ALPINE PARTNERS LP
13F-HR/A, 2000-08-14
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549

FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  June 30, 2000

Check here if Amendment [X]; Amendment Number: 01
This Amendment (Check only one.): [X] is a restatement.
[ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:     Alpine Partners, L.P.
          100 Union Avenue
          Cresskill, NJ  07626

13F File Number:  28-5251

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     08/14/2000

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:    84

Form 13F Information Table Value Total:     $196,426

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
AMFM INC                         COM               001693-10-0         7176     104000SH      Sole      10400000
AMERICAN TOWER SYS               NT CV 6.25%09     029912-AB-8         2408    1300000PRN     Sole     130000000
ACT NETWORKS INC                 COM               000975-10-2         1103      72000SH      Sole       7200000
APEX INC                         COM               037548-10-4          239       5100SH      Sole        510000
APPNET INC                       COM               03831Q-10-1          864      24000SH      Sole       2400000
BURR-BROWN CORP                  COM               122574-10-6         4855      56000SH      Sole       5600000
SUMMIT TECHNOLOGY                COM               86627E-10-1         1510      80000SH      Sole       8000000
BESTFOODS                        COM               08658U-10-1        12465     180000SH      Sole      18000000
CONSOLIDATED PAPERS              COM               209759-10-9         4388     120000SH      Sole      12000000
COLUMBIA ENERGY GRP              COM               197648-10-8        12338     188000SH      Sole      18800000
COASTAL CORPORATION              COM               190441-10-5         5509      90500SH      Sole       9050000
CNF TRUST I                      TECONS SER A      12612V-20-5         1446      38500SH      Sole       3850000
CHIQUITA BRANDS INC              PFD A NON VTG     170032-40-3          563      38000SH      Sole       3800000
DIME BANCORP INC NEW             COM               25429Q-10-2         2022     128400SH      Sole      12840000
CENTRAL NEWSPAPERS               CL A              154647-10-1         1265      20000SH      Sole       2000000
EASTERN ENTERPRISES              COM               27637F-10-0         3024      48000SH      Sole       4800000
ELOT INC                         SUB DB CV 7.5%11  290143-AA-4          162     203000PRN     Sole      20300000
EMCOR GROUP INC                  SB NT CV 5.75%05  29084Q-AC-4          886     900000PRN     Sole      90000000
EMMIS COMMUNICATIONS             PFD CV SER A      291525-20-2          509       8500SH      Sole        850000
FLORIDA PROGRESS                 COM               341109-10-6         7500     160000SH      Sole      16000000
FINANCIAL SEC ASSURN             COM               31769P-10-0         2428      32000SH      Sole       3200000
FIRST SECURITY CORP              COM               336294-10-3         1628     120000SH      Sole      12000000
GLOBAL CROSSING                  PFD CV 6.75%      G3921A-13-4          703       3200SH      Sole        320000
GUARANTY FED SVGS BK             COM               40108P-10-1          137      13500SH      Sole       1350000
GLIATECH                         COM               37929C-10-3          324      16000SH      Sole       1600000
HUMAN GENOME SCIENCE             SUB NT CV 144A07  444903-AE-8         1072     800000PRN     Sole      80000000
INTL HOME FOODS INC              COM               459655-10-6         2680     128000SH      Sole      12800000
INTL PAPER CO                    COM               460146-10-3          358      12000SH      Sole       1200000
JOHNS MANVILLE CORP              COM               478129-10-9         1055      80000SH      Sole       8000000
K MART FING I                    PFD TRCV 7.75%    498778-20-8          806      22000SH      Sole       2200000
KROLL-O-GARA CO                  COM               501050-10-8          321      48000SH      Sole       4800000
LAMAR ADVERTISING CO             NT CV 5.25%06     512815-AF-8          729     655000PRN     Sole      65500000
LYCOS INC                        COM               550818-10-8         2160      40000SH      Sole       4000000
LG&E ENERGY CORP                 COM               501917-10-8         1051      44000SH      Sole       4400000
LORONIX INFORMATION              COM               544183-10-6          604      16800SH      Sole       1680000
MCN ENERGY GROUP INC             COM               55267J-10-0         1026      48000SH      Sole       4800000
MEDQUIST INC                     COM               584949-10-1         1583      46561SH      Sole       4656100
MALLINCKRODT INC NEW             COM               561232-10-9         2780      64000SH      Sole       6400000
MEDICAL MANAGER CORP             COM               58461U-10-3         1363      40000SH      Sole       4000000
NABISCO HOLDINGS                 CL A              629526-10-4         7560     144000SH      Sole      14400000
NEW CENTURY ENERGIES             COM               64352U-10-3          600      20000SH      Sole       2000000
NEWFIELD FINL TR I               QUOPS SER A       651291-20-5         2043      33350SH      Sole       3335000
NABISCO GRP HOLDINGS             COM               62952P-10-2         2075      80000SH      Sole       8000000
NORTHEAST UTILITIES              COM               664397-10-6         1446      66500SH      Sole       6650000
OMNICOM GROUP INC                SB DB CV 4.25%07  681919-AE-6         1133     400000PRN     Sole      40000000
ONEMAIN.COM INC                  COM               68267P-10-9          799      71000SH      Sole       7100000
ONHEALTH NETWORK CO              COM               68272W-10-7           88      38000SH      Sole       3800000
ONE VALLEY BANCORP               COM               682419-10-6          694      22200SH      Sole       2220000
PETCO ANIMAL                     COM               716016-10-0          538      27400SH      Sole       2740000
PRIMARK CORPORATION              COM               741903-10-8          298       8000SH      Sole        800000
POLICY MANAGEMENT                COM               731108-10-6         1722     112000SH      Sole      11200000
PINNACLE ENTERTAIN               COM               723456-10-9          395      20300SH      Sole       2030000
POGO TR I                        QUIPS SER A       73044P-20-8          899      16500SH      Sole       1650000
PHILIP SVCS CORP                 COM               718193-10-5           65      10127SH      Sole       1012700
PROVIDENCE ENERGY                COM               743743-10-6          518      12800SH      Sole       1280000
RANGER OIL LTD                   COM               752805-10-1         1164     147300SH      Sole      14730000
RELIASTAR FINANCIAL              COM               75952U-10-3         3356      64000SH      Sole       6400000
SEALED AIR CORP                  PFD CV A $2       81211K-20-9         3868      77355SH      Sole       7735500
SEAGATE TECHNOLOGY               COM               811804-10-3        11880     216000SH      Sole      21600000
SFX ENTERTAINMENT                CL A              784178-10-5         5438     120000SH      Sole      12000000
SCHEIN PHARM INC                 COM               806416-10-3         2340     108200SH      Sole      10820000
SNYDER COMMUNICATION             COM SNC           832914-10-5          950      40000SH      Sole       4000000
SPYGLASS INC                     COM               852192-10-3          752      24000SH      Sole       2400000
SUPERIOR TR I                    PFD CV 8.50%      86836P-20-2          307      11538SH      Sole       1153800
SOUTHWEST GAS CORP               COM               844895-10-2          280      16000SH      Sole       1600000
TELEFONICA DE ARGENT             SPON ADR CL B     879378-20-6          996      28000SH      Sole       2800000
TELEFONICA DEL PERU              SPON ADR CL B     879384-10-5          835      54000SH      Sole       5400000
TELE SUDESTE CELULAR             SPON ADR PFD      879252-10-4         1155      24800SH      Sole       2480000
TELECOM DE SAO PAULO             SPON ADR PFD      87929A-10-2         1152      41600SH      Sole       4160000
TIME WARNER INC                  COM               887315-10-9         9728     128000SH      Sole      12800000
TYCO INTERNATIONAL               COM               902124-10-6         2653      56000SH      Sole       5600000
UNION CARBIDE CORP               COM               905581-10-4         3960      80000SH      Sole       8000000
MEDIA ONE GROUP INC              PUT               58440J-95-4         1702      25600SH  PUT Sole       2560000
UNION PACIFIC RES                COM               907834-10-5          792      36000SH      Sole       3600000
U S CAN CORPORATION              COM               90328W-10-5          245      14100SH      Sole       1410000
U S WEST                         COM               91273H-10-1         8678     101200SH      Sole      10120000
VETERINARY CTRS AMER             COM               925514-10-1          440      32000SH      Sole       3200000
SEAGRAM LTD                      COM               811850-10-6         7192     124000SH      Sole      12400000
VOYAGER.NET INC                  COM               92906W-10-1          236      29500SH      Sole       2950000
VERIO INC                        COM               923433-10-6         3107      56000SH      Sole       5600000
VERTEX PHARM                     SUB NT CV 144A07  92532F-AA-8          429     300000PRN     Sole      30000000
WESLEY JESSEN VISION             COM               951018-10-0         3606      96000SH      Sole       9600000
WYNN'S INTERNATIONAL             COM               983195-10-8          726      32000SH      Sole       3200000
YOUNG & RUBICAM INC              COM               987425-10-5         4552      79600SH      Sole       7960000
</TABLE>


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