LONGWOOD INVESTMENT ADVISORS INC/PA
13F-HR, 1999-09-10
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<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: March 31, 1999

Check here if Amendment [    ];   Amendment Number:
This Amendment    (Check only one):     [  ]   is a restatement
                                        [  ]   adds a new holding

Institutional Investment Manager Filing this Report:

Name :            LONGWOOD INVESTMENT ADVISORS INC/PA
Address :         3 RADNOR CORPORATE CENTER
                  SUITE 300
                  RADNOR, PA    19087

13F File Number :  801-49599

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:   John P. McNiff
Title:  President
Place:  Radnor, PA  19087
Phone:  610-995-9559
Signature, Place and Date of Signing
John P. McNiff       Radnor, PA                May 12, 1999


<PAGE>

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 AND EXCHANGE ACT OF 1934.
<PAGE>



                              FORM 13F SUMMARY PAGE


REPORT SUMMARY:

Number of Other Included Managers:  0

Form 13F Information Table Entry Total:     59

Form 13F Information Table Value Total:     $86,567


List of Other Included Managers:

<TABLE>
<CAPTION>

No.               13F File Number  Name
- ---               ---------------  ----
                                                        Form 13F Information Table                          Voting Authority
Name of Issuer                     Title  Cusip         Value    Shares/  SH/    PUT/   Invstmt   Other     Sole    Shared  None
                                   of                   (x1000)  PRN AMT  PRN    CALL   Dscretn   Managers
                                   Class
<S>                                <C>    <C>           <C>      <C>      <C>           <C>                 <C>
GOLDCORP INC NEW                   COM    38095610      851      141900   SH            SOLE                141900
SCOTTISH ANNUITY & LIFE            COM                  3232     331500   SH            SOLE                331500
TVX GOLD CORP                      COM    87308K10      1197     957300   SH            SOLE                957300
ALTERNATIVE LIVING SERVICES        COM    02145K10      1636     81800    SH            SOLE                81800
AMER ONOCOLOGY RESOURCES INC       COM    028910107     293      32500    SH            SOLE                32500
APRIA HEALTHCARE GROUP INC         COM    037933108     475      40000    SH            SOLE                40000
ARDENT SOFTWARE INC                COM    039794102     562      35000    SH            SOLE                35000
BARRINGER TECHNOLOGIES INC         COM    06850960      1142     172350   SH            SOLE                172350
BEYOND.COM CORP.                   COM    08860E101     52       2000     SH            SOLE                2000
BJ SERVICES CO                     COM    055482103     3655     157200   SH            SOL                 157200
BJ SERVICES CO-WTS                 COM    055482111     78       4000     SH            SOLE                4000
CAREMATRIX CORP                    COM    141706101     3807     200350   SH            SOLE                200350
CLARK/BARDES HOLDINGS INC          COM    180668105     90       5300     SH            SOLE                5300
CLINTRIALS INC                     COM    188767107     3379     574900   SH            SOLE                574900
COLUMBIA LABORATORIES INC          COM    197779101     1657     279100   SH            SOLE                279100
COMMSCOPE INC                      COM    203372107     2747     131200   SH            SOLE                131200
CUMULUS MEDIA INC                  COM    231082108     2190     186400   SH            SOLE                186400
CIMA LABS INC                      COM    171796105     927      302600   SH            SOLE                302600
DEL GLOBAL TECHNOLOGIES            COM    245073101     2110     244600   SH            SOLE                244600
DELL COMPUTER CORP                 COM    247025109     507      12400    SH            SOLE                12400
DOLLAR THRIFTY AUTO GROUP          COM    25674310      160      9300     SH            SOLE                9300
</TABLE>

<PAGE>
<TABLE>
<CAPTION>

No.               13F File Number  Name
- ---               ---------------  ----
                                                        Form 13F Information Table                          Voting Authority
Name of Issuer                     Title  Cusip         Value    Shares/  SH/    PUT/   Invstmt   Other     Sole    Shared  None
                                   of                   (x1000)  PRN AMT  PRN    CALL   Dscretn   Managers
                                   Class
<S>                                <C>    <C>           <C>      <C>      <C>           <C>                 <C>
ECO SOIL SYSTEMS INC               COM    278858105     371      53500    SH            SOLE                53500
EPIX MEDICAL INC                   COM    26881Q10      633      79100    SH            SOLE                79100
FOX ENTERTAINMENT GROUP INC        COM    35128T107     4996     184200   SH            SOLE                184200
GETTY IMAGES INC                   COM    374276103     227      10800    SH            SOLE                10800
GUILFORD PHARMACEUTICALS           COM    401829106     447      39300    SH            SOLE                39300
HEALTHWORLD CORP                   COM    42222E10      1563     115800   SH            SOLE                115800
ILEX ONOCOLOGY INC                 COM    451923106     4469     438700   SH            SOLE                438700
INFOSEEK CORP                      COM    45678M107     277      3750     SH            SOLE                3750
INSO CORP                          COM    457674109     193      25500    SH            SOLE                25500
KENNAMETAL INC                     COM    489170100     2203     125000   SH            SOLE                125000
KRONOS INC                         COM    501052104     401      16350    SH            SOLE                16350
LANDMARK SYSTEMS  CORP             COM    51506S10      1134     125100   SH            SOLE                125100
LODGNET ENTERTAINMENT CORP         COM    54021110      3064     466900   SH            SOLE                466900
MAXIM PHARMACEUTICALS              COM    57772M107     394      35000    SH            SOLE                35000
MERIDIAN GOLD CORP                 COM    589975101     1191     202700   SH            SOLE                202700
MICRO WAREHOUSE INC                COM    59501B105     2103     130400   SH            SOLE                130400
MID ATLANTIC MEDICAL SERVICES      COM    59523C107     503      50000    SH            SOLE                50000
MORGAN STANLEY DEAN WITTER         COM    617446448     869      8700     SH            SOLE                8700
MOTIVEPOWER INDUSTRIES INC         COM    61980K101     38       1500     SH            SOLE                1500
MERIDIAN DIAGNOSTICS INC           COM    589602101     567      90700    SH            SOLE                90700
NATIONAL INSTRUMENTS CORP          COM    636518102     53       1850     SH            SOLE                1850
NEW PARK RES. INC.                 COM    651718504     36       5000     SH            SOLE                5000
NL INDUSTRIES INC                  COM    629156407     180      20000    SH            SOLE                20000
NORTEK INC                         COM    656559101     3578     144550   SH            SOLE                144550
OCEAN ENERGY INC                   COM    674812102     1746     249400   SH            SOLE                249400
PATRIOT AMERICAN HOSP.             COM    70335220      28       5366     SH            SOLE                5366
POGO PRODUCING CO                  COM    730448107     390      30000    SH            SOLE                30000
PROSOFT DEVELOPMENT INC            COM    74347710      858      327000   SH            SOLE                327000
RATIONAL SOFTWARE CORP             COM    75409P202     1640     61150    SH            SOLE                61150
RCN CORP                           COM    749361101     2252     67100    SH            SOLE                67100
ROCK FINANCIAL CORP                COM    772150108     360      20000    SH            SOLE                20000
SIMPSON INDUSTRIES INC             COM    829060102     4245     441000   SH            SOLE                441000
SMITH INTERNATIONAL INC            COM    83211010      4544     113600   SH            SOLE                113600
SMURFIT-STONE CONTAINER CORP       COM    832727101     2659     137700   SH            SOLE                137700
TWEETER HOME ENTMT GROUP INC       COM    901167106     543      16850    SH            SOLE                16850
UBID INC                           COM    903469104     1044     16000    SH            SOLE                16000
VANTIVE CORP                       COM    922091103     1492     123700   SH            SOLE                123700
WANG LABORATORIES INC NEW          COM    93369N109     3529     179800   SH            SOLE                179800
</TABLE>



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