HBK INVESTMENTS L P
13F-HR, 2000-11-14
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Quarter ended:  9/30/00

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:     HBK INVESTMENTS L.P.
Address:  300 CRESCENT COURT, SUITE 700
          DALLAS, TEXAS 75201

Form 13F File Number:     28-6078

     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 Report Manager:

Name:     Laurence H. Lebowitz
Title:    Managing Director
Phone:    (214) 758-6124

Signature, Place, and Date of Signing:

     /X/ Laurence H. Lebowitz          Dallas, Texas       November 14, 2000
         Managing Director

Report Type (Check only one.):

     X    13F HOLDINGS REPORT.

          13F NOTICE.

          13F COMBINATION REPORT.

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:  0

Form 13F Information Table Entry Total:  64

Form 13F Information Table Value Total:  $506,326 (thousands)

	Information for which we are requesting confidential treatment has been
omitted and filed separately with the Securities and Exchange Commission.

List of Other Included Managers:  NONE
<PAGE>

<TABLE>

FORM 13F INFORMATION TABLE

<CAPTION>

	TITLE OF	VALUE	SHARES/	SH/	PUT/	INVSTMNT	OTHER	VOTING AUTHORITY
NAME OF ISSUER	CLASS	CUSIP	(X$1000)	PRN AMT	PRN	CALL	DISCRETN	MANAGERS	SOLE	SHARED	NONE
----------------------	-----	-----	--------	-------	---	----	--------	--------	----	------	----
<S>	<C>	<C>	<C>	<C>	<C> <C>	<C>      <C>	<C>	<C>	<C>
AMERICA ONLINE INC DEL	SUB NT CV ZRO 19	02364JAC8	6090	12000	PRN	SOLE	12000	0	0
AMERICAN TOWER CORP	NT CV 2.25%09	029912AD4	61453	51100	PRN	SOLE	51100	0	0
AMF BOWLING INC	DEB CV ZERO 18	03113VAB5	256	25559	PRN	SOLE	25559	0	0
AMSOUTH BANCORPORATION	COM	032165102	326	26100	SHR	SOLE	26100	0	0
ANHEUSER BUSCH COS INC	COM	035229103	465	11000	SHR	SOLE	11000	0	0
APPLE COMPUTER INC	COM	037833100	519	20000	SHR	SOLE	20000	0	0
AT HOME CORP	SB DB CV0.525%18	045919AC1	5663	13000	PRN	SOLE	13000	0	0
AT&T CORP	COM	001957109	5076	172800	SHR	SOLE	172800	0	0
BANK TOKYO-MITSUBISHI LTD	SPONSORED ADR	065379109	7465	630000	SHR	SOLE	630000	0	0
BIOVAIL CORP	WT EXP 093002	09067J117	68726	547300	SHR	SOLE	547300	0	0
BOSTON SCIENTIFIC CORP	COM	101137107	222	13500	SHR	SOLE	13500	0	0
BRIGHTPOINT INC	COM	109473108	674	134062	SHR	SOLE	134062	0	0
BRIGHTPOINT INC	SBLYON ZRO144A18	109473AA6	501	1900	PRN	SOLE	1900	0	0
BRIGHTSTAR INFO TECH GROUP INC	COM	10947N104	2809	1065428	SHR	SOLE	1065428	0	0
CAPSTAR HOTEL CO	SUB NT CV4.75%04	140918AC7	5534	7060	PRN	SOLE	7060	0	0
CARDIODYNAMICS INTL CORP	COM	141597104	1295	243841	SHR	SOLE	243841	0	0
CATERPILLAR INC DEL	COM	149123101	452	13400	SHR	SOLE	13400	0	0
CENDANT CORP	RT PUR PRIDES	151313111	2446	388100	SHR	SOLE	388100	0	0
CIT GROUP INC	CL A	125577106	263	15000	SHR	SOLE	15000	0	0
CKE RESTAURANTS INC	SB NT CV 4.25%04	12561EAB1	14942	32482	PRN	SOLE	32482	0	0
COCA COLA CO	COM	191216100	2481	45000	SHR	SOLE	45000	0	0
COMDISCO INC	COM	200336105	252	13200	SHR	SOLE	13200	0	0
COR THERAPEUTICS INC	COM	217753102	998	16000	SHR	SOLE	16000	0	0
DOLLAR GEN CORP	COM	256669102	293	17500	SHR	SOLE	17500	0	0
DURA PHARMACEUTICALS INC	WT EXP 123102	26632S117	338	271300	SHR	SOLE	271300	0	0
DURA PHARMACEUTICALS INC	WT EX 090105	26632S125	4723	1045400	SHR	SOLE	1045400	0	0
EASTMAN KODAK CO	COM	277461109	499	12200	SHR	SOLE	12200	0	0
ECHOSTAR COMMUNICATIONS NEW	SUB NT CV 144A07	278762AB5	83628	63150	PRN	SOLE	63150	0	0
ELAN PLC	WT EXP 011403	284131802	11898	207200	SHR	SOLE	207200	0	0
GENERAL DATACOMM INDS INC	COM	369487103	1519	286000	SHR	SOLE	286000	0	0
GENTA INC	COM NEW	37245M207	1269	148148	SHR	SOLE	148148	0	0
GENZYME CORP	COM GENL DIV	372917104	750	11000	SHR	SOLE	11000	0	0
HEALTH MGMT ASSOC INC NEW	SR SB DBCV144A20	421933AA0	2167	3000	PRN	SOLE	3000	0	0
HEALTHCARE RLTY TR	SB DB CV 6.55%02	421946AA2	7596	8400	PRN	SOLE	8400	0	0
HRPT PPTYS TR	SB DBCV-A 7.5%03	40426WAB7	10083	10545	PRN	SOLE	10545	0	0
INTEL CORP	COM	458140100	479	11530	SHR	SOLE	11530	0	0
INTERNATIONAL FLAVORS&FRAGRANC	COM	459506101	221	12100	SHR	SOLE	12100	0	0
KELLSTROM INDS INC	SB NT CV 5.75%02	488035AC0	1437	3040	PRN	SOLE	3040	0	0
KOREA ELECTRIC PWR	SPONSORED ADR	500631106	2638	200000	SHR	SOLE	200000	0	0
LAMAR ADVERTISING CO	NT CV 5.25%06	512815AF8	11426	11300	PRN	SOLE	11300	0	0
LUMINANT WORLDWIDE CORP	COM	550260103	2883	922425	SHR	SOLE	922425	0	0
MBL INTL FIN BERMUDA TR	GTD NT EXCH 3%02	55262XAA2	87521	84889	PRN	SOLE	84889	0	0
MEDITRUST CORP	PAIRED CTF NEW	58501T306	1469	500000	SHR	SOLE	500000	0	0
MEDITRUST CORP	DEB CONV 7.5%01	58501TAC2	21148	22195	PRN	SOLE	22195	0	0
NATIONAL HEALTH INVS INC	SUBDB CV 7.75%01	63633DAB0	3228	3547	PRN	SOLE	3547	0	0
NEOTHERAPEUTICS INC	COM	640656104	3445	408259	SHR	SOLE	408259	0	0
OGDEN CORP	SUDDEBCV 5.75%02	676346AD1	1548	1800	PRN	SOLE	1800	0	0
OMEGA HEALTHCARE INVS INC	SUB DB CV 8.5%01	681936AG5	1128	1150	PRN	SOLE	1150	0	0
PETRIE STORES -LIQ TR	COM	716437108	12170	9498600	SHR	SOLE	9498600	0	0
PG&E CORP	COM	69331C108	537	22200	SHR	SOLE	22200	0	0
PHARMOS CORP	COM NEW	717139208	223	66000	SHR	SOLE	66000	0	0
PROSOFTTRAINING COM INC	COM	743477101	1418	110663	SHR	SOLE	110663	0	0
QUOKKA SPORTS INC	COM	749077103	789	191300	SHR	SOLE	191300	0	0
RITE AID CORP	COM	767754104	4280	1070000	SHR	SOLE	1070000	0	0
ROWECOM INC	COM	77957X108	1500	400000	SHR	SOLE	400000	0	0
SERANOVA INC	COM	817476104	7413	650400	SHR	SOLE	650400	0	0
SOVEREIGN BANCORP INC	COM	845905108	648	70000	SHR	SOLE	70000	0	0
SUNBEAM CORP	COM	867071102	223	170000	SHR	SOLE	170000	0	0
SUNRISE ASSISTED LIVING INC	SUB NT CV 5.5%02	86768KAC0	15839	17216	PRN	SOLE	17216	0	0
TIDEL TECHNOLOGIES INC	COM	886368109	2450	400000	SHR	SOLE	400000	0	0
UNIVISION COMMUNICATIONS INC	CL A	914906102	404	10800	SHR	SOLE	10800	0	0
VERTEX PHARMACEUTICALS INC	COM	92532F100	1695	20000	SHR	SOLE	20000	0	0
WEATHERFORD INTL INC	COM	947074100	499	11600	SHR	SOLE	11600	0	0
WHOLE FOODS MKT INC	SB DB CV ZRO 18	966837AC0	4000	10000	PRN	SOLE	10000	0	0


</TABLE>


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