ALPINE ASSOCIATES A LTD PARTNERSHIP /NJ
13F-HR/A, 2000-06-01
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549

FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  March 31, 2000

Check here if Amendment [X]; Amendment Number: 02
This Amendment (Check only one.): [X] is a restatement.
[ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:     Alpine Associates, A Limited Partnership
          100 Union Avenue
          Cresskill, NJ  07626

13F File Number:  28-5180

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing this 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:          Todd J. Mason
Title:          Analyst
Phone:          201-871-0866
Signature, Place, and Date of Signing:

     Todd J. Mason     Cresskill, New Jersey     06/01/2000

Report Type (Check only one.):
[ X ]          13F HOLDINGS REPORT.

[   ]          13F NOTICE.

[   ]          13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>
FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:     NONE

Form 13F Information Table Entry Total:     138

Form 13F Information Table Value Total:     $1,023,504

List of Other Included Managers:    NONE

<PAGE>
<TABLE>
<C>                              <C>               <C>         <C>         <C>        <C> <C> <C> <C>         <<C>
                                                                           FORM 13F INFO TABLE
                                                                  VALUE     SHARES /   SH PUT INV             VOTING AUTHORITY
NAME OF ISSUER                     TITLE OF CLASS     CUSIP      (x$1000)    PRN AMT  PRN CALLDSC     SOLE    SNONE
APPLE COMPUTER                   COM               037833-10-0         1358      10000SH      SOLE       1000000
AERIAL COMMUN INC                COM               007655-10-3        11363     200000SH      SOLE      20000000
AMFM INC                         COM               001693-10-0        14748     237400SH      SOLE      23740000
AMERICAN TOWER SYS               NT CV 6.25%09     029912-AB-8         9205    4300000PRN     SOLE     430000000
ANDREW CORP                      COM               034425-10-8         1029      45500SH      SOLE       4550000
ARIBA INC                        COM               04033V-10-4         1048       5000SH      SOLE        500000
ATLANTIC RICHFIELD               COM               048825-10-3         9571     112600SH      SOLE      11260000
ASPECT DEVELOPMENT               COM               045234-10-1         8047     125000SH      SOLE      12500000
AVERY DENNISON CORP              COM               053611-10-9          305       5000SH      SOLE        500000
BOEING CO                        COM               097023-10-5         1081      28500SH      SOLE       2850000
BRIGGS & STRATTON                COM               109043-10-9          292       7100SH      SOLE        710000
BANKNORTH GROUP                  COM               06646L-10-0         8848     330000SH      SOLE      33000000
COMPUTER ASSOCIATES              COM               204912-10-9         5931     100211SH      SOLE      10021100
CAREINSITE                       COM               14170M-10-6         1403      60000SH      SOLE       6000000
CATERPILLAR INC                  COM               149123-10-1         1909      48400SH      SOLE       4840000
CBS CORP                         COM               12490K-10-7        35961     635069SH      SOLE      63506900
CORDANT TECH                     COM               218412-10-4         8484     150000SH      SOLE      15000000
COLUMBIA ENERGY GRP              COM               197648-10-8        24464     412900SH      SOLE      41290000
COASTAL CORP                     COM               190441-10-5         5750     125000SH      SOLE      12500000
CHAMPION INTL                    COM               158525-10-5         3120      58600SH      SOLE       5860000
CHASE MANHATTAN CORP             COM               16161A-10-8         2005      23000SH      SOLE       2300000
COMMERCE ONE INC                 COM               200693-10-9          970       6500SH      SOLE        650000
CONVERSE TECHNOLOGY              SUB DB CV 4.5%05  205862-AG-0        29495    6650000PRN     SOLE     665000000
CONCENTRIC NETWORK               COM               20589R-10-7        21560     392000SH      SOLE      39200000
CAN NATL RAILWAY                 PFD CV 063029     136375-40-9         2620      61200SH      SOLE       6120000
COLUMBIA/HCA HEALTH              COM               197677-10-7         2531     100000SH      SOLE      10000000
CORNERSTONE PPTYS                COM               21922H-10-3         2617     150100SH      SOLE      15010000
COMSAT CORPORATION               COM SER 1         20564D-10-7         4155     201449SH      SOLE      20144900
CHIQUITA BRANDS INTL             PFD A NON VTG     170032-40-3         4996     293900SH      SOLE      29390000
CELESTIAL SEASONINGS             COM               151016-10-2         1031      30000SH      SOLE       3000000
CITRIX SYSTEMS INC               COM               177376-10-0          497       7500SH      SOLE        750000
CVC INC                          COM               126945-10-4          775      24400SH      SOLE       2440000
DBT ONLINE INC                   COM               233044-10-6         6712     361600SH      SOLE      36160000
DUFF & PHELPS CREDIT             COM               26432F-10-9          997      10000SH      SOLE       1000000
DII GROUP                        COM               232949-10-7        22613     200000SH      SOLE      20000000
DELTA & PINE LAND                COM               247357-10-6         4959     251100SH      SOLE      25110000
DIME BANCORP                     COM               25429Q-10-2         1247      67400SH      SOLE       6740000
DUANE READE INC                  COM               263578-10-6          988      42500SH      SOLE       4250000
DATA TRANSMISSION                COM               238017-10-7          284      10000SH      SOLE       1000000
EBAY INC                         COM               278642-10-3          880       5000SH      SOLE        500000
EASTERN ENTERPRISES              COM               27637F-10-0        17418     290900SH      SOLE      29090000
ELOT INC                         SUB DB CV 7.5%11  290143-AA-4         1005    1117000PRN     SOLE     111700000
EMCOR GROUP INC                  SB NT CV 5.75%05  29084Q-AC-4         4053    4250000PRN     SOLE     425000000
ETEK DYNAMICS                    COM               269240-10-7         8234      35000SH      SOLE       3500000
EASTERN UTILITIES                COM               277173-10-0         1550      49400SH      SOLE       4940000
IXNET INC                        COM               46601C-10-9         1624      35400SH      SOLE       3540000
FAROUDJA INC                     COM               311643-10-0          482      91900SH      SOLE       9190000
FDX CORP                         COM               31304N-10-7         1014      26000SH      SOLE       2600000
FLASHNET COMM                    COM               338527-10-4         1520     304000SH      SOLE      30400000
FLORIDA PROGRESS                 COM               341109-10-6        13074     285000SH      SOLE      28500000
FIRST SECURITY CORP              COM               336294-10-3         3600     300000SH      SOLE      30000000
GENERAL MILLS INC                COM               370334-10-4         2081      57500SH      SOLE       5750000
GREAT LAKES CHEMICAL             COM               390568-10-3         1020      30000SH      SOLE       3000000
GENUINE PARTS CO                 COM               372460-10-5         1015      42500SH      SOLE       4250000
GRACE W.R. & CO                  COM               38388F-10-8         1015      80000SH      SOLE       8000000
GTE CORPORATION                  COM               362320-10-3        44950     633100SH      SOLE      63310000
IRI INTERNATIONAL                COM               45004F-10-7         3775     400000SH      SOLE      40000000
INTERNATIONAL PAPER              COM               460146-10-3         1090      25500SH      SOLE       2550000
IPC COMMUNICATIONS               COM NEW           44980K-20-6         4120      20000SH      SOLE       2000000
INTERVU INC                      COM               46114R-10-6         5850      65000SH      SOLE       6500000
ILLINOIS TOOL WORKS              COM               452308-10-9          967      17500SH      SOLE       1750000
JOSTENS INC                      COM               481088-10-2        10725     440000SH      SOLE      44000000
KULICKE & SOFFA                  SUB NT CV 144A06  501242-AC-5         6078    3950000PRN     SOLE     395000000
KMART FING I                     PFD TRCV 7.75%    498778-20-8         4226      98000SH      SOLE       9800000
KROLL-O-GARA CO                  COM               501050-10-8         8203     750000SH      SOLE      75000000
LAMAR ADVERTISING                NT CV 5.25%06     512815-AF-8         7153    6210000PRN     SOLE     621000000
INTERLEAF INC                    COM NEW           458729-20-9         9447     201000SH      SOLE      20100000
LG&E ENERGY CORP                 COM               501917-10-8         6291     275000SH      SOLE      27500000
LGS GROUP INC                    CL A SUB VTG      50186E-10-0         4554     241600SH      SOLE      24160000
LIPOSOME COMPANY INC             COM               536310-10-5         6923     396300SH      SOLE      39630000
LORONIX INFORMATION              COM               544183-10-6         3584      98700SH      SOLE       9870000
LSI LOGIC CORP                   COM               502161-10-2         1126      15500SH      SOLE       1550000
LEARN2.COM INC                   COM               522002-10-4          996     241400SH      SOLE      24140000
MASCO CORPORATION                COM               574599-10-6          902      44000SH      SOLE       4400000
MC DONALDS CORP                  COM               580135-10-1         1183      31500SH      SOLE       3150000
MCN ENERGY GROUP INC             COM               55267J-10-0        15000     600000SH      SOLE      60000000
MEAD CORPORATION                 COM               582834-10-7         1048      30000SH      SOLE       3000000
MIRAGE RESORTS INC               COM               60462E-10-4        27125    1400000SH      SOLE     140000000
MEDICAL MANAGER                  COM               58461U-10-3         3857     110000SH      SOLE      11000000
METAMOR WORLDWIDE                COM               59133P-10-0         3720     131400SH      SOLE      13140000
MAPQUEST.COM INC                 COM               565644-10-1         6746     325100SH      SOLE      32510000
MUSTANG.COM INC                  COM               628188-10-4         3234     147000SH      SOLE      14700000
NFO WORLDWIDE                    COM               62910N-10-8         6107     277600SH      SOLE      27760000
NEWFIELD FINANCIAL               QUIPS SER A       651291-20-5        10844     191500SH      SOLE      19150000
NEWBRIDGE NETWORKS               COM               650901-10-1        25950     800000SH      SOLE      80000000
NORFOLK SOUTHERN                 COM               655844-10-8          719      50000SH      SOLE       5000000
NORTHEAST UTILITIES              COM               664397-10-6         4730     220000SH      SOLE      22000000
OEA INC                          COM               670826-10-6         2888     300000SH      SOLE      30000000
OWENS ILLINOIS INC               PFD CONV $.01     690768-50-2         4705     175900SH      SOLE      17590000
OMNICOM GROUP INC                SB DB CV 4.25%07  681919-AE-6         9830    3300000PRN     SOLE     330000000
ONHEALTH NETWORK CO              COM               68272W-10-7         1256     300000SH      SOLE      30000000
NETOPTIX                         COM               64116F-10-3         2834      16500SH      SOLE       1650000
ORTEL CORP                       COM               68749W-10-2         2815      15000SH      SOLE       1500000
ONE VALLEY BANCORP               COM               682419-10-6         3009      86900SH      SOLE       8690000
PAIRGAIN TECH INC                COM               695934-10-9         5918     316700SH      SOLE      31670000
PPG INDS INC                     COM               693506-10-7         1046      20000SH      SOLE       2000000
POGO PRODUCING CO                QUIPS SER A       73044P-20-8         6213      94500SH      SOLE       9450000
PRECISION RESPONSE               COM               740314-10-9         9489     391300SH      SOLE      39130000
PROVIDENCE ENERGY                COM               743743-10-6         3035      80000SH      SOLE       8000000
QWEST COMMUNICATIONS             COM               749121-10-9         6063     125000SH      SOLE      12500000
QWEST COMMUNICATIONS             PUT               749121-95-9         6184     127500SH  PUT SOLE      12750000
REYNOLDS METALS CO               COM               761763-10-1        46813     700000SH      SOLE      70000000
SBS BROADCASTING SA              ORD               L8137F-10-2         2577      41900SH      SOLE       4190000
SEALED AIR CORP                  PFD CV A $2       81211K-20-9        28225     542142SH      SOLE      54214200
SEAGATE TECHNOLOGY               COM               811804-10-3        24100     400000SH      SOLE      40000000
SFX ENTERTAINMENT                CL A              784178-10-5         8469     207500SH      SOLE      20750000
SNYDER COMMUN                    COM SNC           832914-10-5         7313     325000SH      SOLE      32500000
SPYGLASS INC                     COM               852192-10-3         2551      32900SH      SOLE       3290000
SUPERIOR TRUST I                 PFD CV 8.50%      86836P-20-2         2649      84100SH      SOLE       8410000
SOUTHWEST GAS                    COM               844895-10-2         2335     122500SH      SOLE      12250000
AT&T CORPORATION                 PUT               001957-95-9         2813      50000SH  PUT SOLE       5000000
TRAVELERS PPTY CAS               CL A              893939-10-8         4125     100000SH      SOLE      10000000
TEKTRONIX INC                    COM               879131-10-0         1036      18500SH      SOLE       1850000
TEMPLE-INLAND INC                COM               879868-10-7         1021      20500SH      SOLE       2050000
TIMKEN COMPANY                   COM               887389-10-4         1056      65000SH      SOLE       6500000
TIMES MIRROR COMPANY             COM SER A         887364-10-7        13941     150000SH      SOLE      15000000
TRITEL INC                       CL A              89675X-10-4         1339      35000SH      SOLE       3500000
TIME WARNER INC                  COM               887315-10-9        25900     259000SH      SOLE      25900000
TYCO INTERNATIONAL               COM               902124-10-6        14963     300000SH      SOLE      30000000
UBID INC                         COM               903469-10-4          859      29300SH      SOLE       2930000
U S FOODSERVICE                  COM               90331R-10-1         5150     200000SH      SOLE      20000000
U S HOME CORPORATION             COM               911920-10-6         5643     148500SH      SOLE      14850000
UNION CARBIDE CORP               COM               905581-10-4        20409     350000SH      SOLE      35000000
MEDIA ONE GROUP INC              COM               58440J-10-4        88250    1089500SH      SOLE     108950000
MEDIA ONE GROUP INC              PUT               58440J-95-4         8100     100000SH  PUT SOLE      10000000
U S CAN CORPORATION              COM               90328W-10-5         1718      88400SH      SOLE       8840000
U S WEST INC NEW                 COM               91273H-10-1        18156     250000SH      SOLE      25000000
U S WIRELESS CORP                COM               90339C-10-6          496      16000SH      SOLE       1600000
VETERINARY CTRS AMER             COM               925514-10-1         1375     100000SH      SOLE      10000000
VIGNETTE CORP                    COM               926734-10-4         1042       6500SH      SOLE        650000
VOYAGER.NET INC                  COM               92906W-10-1         1722     125800SH      SOLE      12580000
VIATEL INC                       COM               925529-20-8          502      10000SH      SOLE       1000000
WESTERN GAS RES INC              PFD CONV $2.625   958259-30-1         2060      71500SH      SOLE       7150000
WICOR INC                        COM               929253-10-2         7750     250000SH      SOLE      25000000
WESLEY JESSEN VISION             COM               951018-10-0         4852     135000SH      SOLE      13500000
WARNER LAMBERT CO                COM               934488-10-7        25350     260000SH      SOLE      26000000
WESTPOINT STEVENS                COM               961238-10-2         5700     300000SH      SOLE      30000000
ZIONS BANCORPORATION             COM               989701-10-7         2081      50000SH      SOLE       5000000
</TABLE>
[/TABLE]


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