LONGWOOD INVESTMENT ADVISORS INC/PA
13F-HR, 2000-05-08
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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, 2000

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

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

<PAGE>

John P. McNiff             Radnor, PA                May 4, 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 AND EXCHANGE ACT OF 1934.



<PAGE>

                              FORM 13F SUMMARY PAGE


REPORT SUMMARY :

Number of Other Included Managers :  0

Form 13F Information Table Entry Total :    56

Form 13F Information Table Value Total :    149,384


List of Other Included Managers :

No.               13F File Number   Name
- ---               ---------------   ----
<PAGE>
<TABLE>
<CAPTION>
                                                        Form 13F Information Table                        Voting Authority
Name of Issuer                      Title  Cusip        Value   Shares/    SH/   PUT/   Invstmt   Other
                                    of                 (x1000)  PRN AMT    PRN   CALL   Dscretn   Managers  Sole     Shared  None
                                    Class
<S>                                <C>    <C>           <C>     <C>          <C>         <C>           <C>
ACE LTD-ORD                         COM    G0070K103       23      1000      SH           SOLE              1000
CORE LABORATORIES                   COM    N22717107     4635    159500      SH           SOLE            159500
AMAZON COM INC                      COM    023135106     1229     18350      SH           SOLE             18350
ANNUITY & LIFE REINS. HLDGS. LTD    COM    G03910109     2519     96900      SH           SOLE             96900
ANSYS INC                           COM    03662Q105     2373    220700      SH           SOLE            220700
CHASE MANHATTAN CORP NEW            COM    1616A108      1744     20000      SH           SOLE             20000
CINAR CORPORATION                   COM    171905300      775    100000      SH           SOLE            100000
CIRCLE INTERNATIONAL INC.           COM    172574105      650     25000      SH           SOLE             25000
CITIGROUP INC                       COM    172967101      240      4000      SH           SOLE              4000
CLINTRIALS INC                      COM    188767107     4376   1129350      SH           SOLE           1129350
CORSAIR COMMUNICATIONS              COM    220406102     5233    273600      SH           SOLE            273600
DURA PHARMACEUTICALS                COM    26632S109     2561    208000      SH           SOLE            208000
EEX CORPORATION-NEW                 COM    26842V207     4682   1387300      SH           SOLE           1387300
ELECTRONIC DATA SYSTEMS CORP        COM    285661104       45       700      SH           SOLE               700
EMC CORP-MASS                       COM    268648102     2426     19250      SH           SOLE             19250
ENTRADE INC.                        COM    29382L100     1136     36800      SH           SOLE             36800
ENZON, INC.                         COM    293904108     4394    116600      SH           SOLE            116600
EXCELON CORP                        COM    300691102     2967    263700      SH           SOLE            263700
FILENET CORP.                       COM    316869106     4656    156500      SH           SOLE            156500
FLOWSERVE CORP                      COM    34354P105     4644    360700      SH           SOLE            360700
GATEWAY INC                         COM    367833100      796     15000      SH           SOLE             15000
GENERAL ELECTRIC CO                 COM    369604103      166      1066      SH           SOLE              1066
GENTIVA HEALTH SERVICES INC         COM    37247A102     1932    270000      SH           SOLE            270000
ICN PHARMACEUTICALS                 COM    448924100     5464    200500      SH           SOLE            200500
INFORMIX CORP                       COM    456779107    10629    627550      SH           SOLE            627550
INTEL CORP                          COM    458140100       66       500      SH           SOLE               500
IT GROUP INC                        COM    465266104     2446    323500      SH           SOLE            323500
JP MORGAN & CO INC                  COM    465933109      123       933      SH           SOLE               933
KENNAMETAL INC                      COM    489170100     4207    139950      SH           SOLE            139950
LUCENT TECHNOLOGIES                 COM    549463107       29       472      SH           SOLE               472
MARCHFIRST INC                      COM    566244109       18       500      SH           SOLE               500
MARINE DRILLING COMPANIES INC       COM    568240204     5555    202400      SH           SOLE            202400
MEDIA 100 INC                       COM    58440W105     1524     43700      SH           SOLE             43700
MICRON TECHNOLOGY INC               COM    595112103     3049     24200      SH           SOLE             24200
NATIONAL-OILWELL INC                COM    637071101     6864    222300      SH           SOLE            222300
NS GROUP INC                        COM    628916108     6329    388000      SH           SOLE            388000
OCEAN ENERGY  INC TEX (NEW)         COM    67481E106     6515    453250      SH           SOLE            453250
ODS NETWORKS INC                    COM    67082N109     6547    272800      SH           SOLE            272800
OPEN MARKET                         COM    68370M100     4893    190000      SH           SOLE            190000
OSI PHARMACEUTICALS                 COM    671040103     3496    179300      SH           SOLE            179300
HYPERFEED  INC.                     COM    693236200      571     95238      SH           SOLE             95238
PEGASUS SYSTEMS INC                 COM    705906105     1423     90000      SH           SOLE             90000
QUALCOMM INC                        COM    747525103     2986     20000      SH           SOLE             20000
RIBOZYME PHARMACEUTICALS INC        COM    762567105     2341     92500      SH           SOLE             92500
S3 INC                              COM    784849101     2468    117500      SH           SOLE            117500
SILICON GRAPHICS INC                COM    827056102     2323    219900      SH           SOLE            219900
TEKELEC INC                         COM    879101103     2055     55350      SH           SOLE             55350
TETRA TECHNOLOGIES                  COM    88162F105     6828    510500      SH           SOLE            510500
TITAN EXPLORATION INC               COM    888289105      325     65000      SH           SOLE             65000
VELVET EXPLORATION LTD              COM    922582101     2608    805300      SH           SOLE            805300
WESTERN GAS RES INC COM             COM    958259103     1168     73600      SH           SOLE             73600
WTS AVANT IMMUNOTHERAPEUTICS        COM    053491106      107     20370      SH           SOLE             20370
POST ENERGY CORP NEW                COM                   396    100000      SH           SOLE            100000
ULSTER PETROLEUMS LTD NEW           COM    903840304     1279    256200      SH           SOLE            256200
SYNSORB BIOTECH INC                 COM                   150     30000      SH           SOLE             30000
GENITOPE CORP PRIVATE PLACEMENT     PRF                   400    153845      SH           SOLE            153845
</TABLE>



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