ALPINE PARTNERS LP
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 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     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:     108

Form 13F Information Table Value Total:     $156,723

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          217       1600SH      SOLE        160000
AERIAL COMMUN INC                COM               007655-10-3         1818      32000SH      SOLE       3200000
AMFM INC                         COM               001693-10-0         2361      38000SH      SOLE       3800000
AMERICAN TOWER SYS               NT CV 6.25%09     029912-AB-8         1498     700000PRN     SOLE      70000000
ATLANTIC RICHFIELD               COM               048825-10-3         1360      16000SH      SOLE       1600000
ASPECT DEVELOPMENT               COM               045234-10-1         1288      20000SH      SOLE       2000000
BANKNORTH GROUP                  COM               06646L-10-0         1416      52800SH      SOLE       5280000
COMPUTER ASSOCIATES              COM               204912-10-9          952      16086SH      SOLE       1608600
CAREINSITE                       COM               14170M-10-6          224       9600SH      SOLE        960000
CATERPILLAR INC                  COM               149123-10-1          304       7700SH      SOLE        770000
CBS CORP                         COM               12490K-10-7         5755     101629SH      SOLE      10162900
CORDANT TECH                     COM               218412-10-4         1358      24000SH      SOLE       2400000
COLUMBIA ENERGY GRP              COM               197648-10-8         3916      66100SH      SOLE       6610000
COASTAL CORP                     COM               190441-10-5          920      20000SH      SOLE       2000000
CHAMPION INTL                    COM               158525-10-5          501       9400SH      SOLE        940000
CHASE MANHATTAN CORP             COM               16161A-10-8          314       3600SH      SOLE        360000
CONVERSE TECHNOLOGY              SUB DB CV 4.5%05  205862-AG-0         3770     850000PRN     SOLE      85000000
CONCENTRIC NETWORK               COM               20589R-10-7         3520      64000SH      SOLE       6400000
CAN NATL RAILWAY                 PFD CV 063029     136375-40-9          347       8100SH      SOLE        810000
COLUMBIA/HCA HEALTH              COM               197677-10-7          405      16000SH      SOLE       1600000
CORNERSTONE PPTYS                COM               21922H-10-3          419      24000SH      SOLE       2400000
COMSAT CORPORATION               COM SER 1         20564D-10-7          527      25557SH      SOLE       2555700
CHIQUITA BRANDS INTL             PFD A NON VTG     170032-40-3          646      38000SH      SOLE       3800000
DBT ONLINE INC                   COM               233044-10-6          980      52800SH      SOLE       5280000
DII GROUP                        COM               232949-10-7         3618      32000SH      SOLE       3200000
DELTA & PINE LAND                COM               247357-10-6          794      40200SH      SOLE       4020000
DIME BANCORP                     COM               25429Q-10-2          200      10800SH      SOLE       1080000
EASTERN ENTERPRISES              COM               27637F-10-0         2874      48000SH      SOLE       4800000
ELOT INC                         SUB DB CV 7.5%11  290143-AA-4          144     160000PRN     SOLE      16000000
EMCOR GROUP INC                  SB NT CV 5.75%05  29084Q-AC-4          858     900000PRN     SOLE      90000000
ETEK DYNAMICS                    COM               269240-10-7         1317       5600SH      SOLE        560000
EASTERN UTILITIES                COM               277173-10-0          238       7600SH      SOLE        760000
IXNET INC                        COM               46601C-10-9          243       5300SH      SOLE        530000
FAROUDJA INC                     COM               311643-10-0           76      14500SH      SOLE       1450000
FLASHNET COMM                    COM               338527-10-4          240      48000SH      SOLE       4800000
FLORIDA PROGRESS                 COM               341109-10-6         2101      45800SH      SOLE       4580000
FIRST SECURITY CORP              COM               336294-10-3          576      48000SH      SOLE       4800000
GENERAL MILLS INC                COM               370334-10-4          329       9100SH      SOLE        910000
GRACE W.R. & CO                  COM               38388F-10-8          169      13300SH      SOLE       1330000
GTE CORPORATION                  COM               362320-10-3         7192     101300SH      SOLE      10130000
IRI INTERNATIONAL                COM               45004F-10-7          604      64000SH      SOLE       6400000
IPC COMMUNICATIONS               COM NEW           44980K-20-6          659       3200SH      SOLE        320000
INTERVU INC                      COM               46114R-10-6          864       9600SH      SOLE        960000
JOSTENS INC                      COM               481088-10-2         1716      70400SH      SOLE       7040000
KULICKE & SOFFA                  SUB NT CV 144A06  501242-AC-5          846     550000PRN     SOLE      55000000
KMART FING I                     PFD TRCV 7.75%    498778-20-8          690      16000SH      SOLE       1600000
KROLL-O-GARA CO                  COM               501050-10-8         1313     120000SH      SOLE      12000000
LAMAR ADVERTISING                NT CV 5.25%06     512815-AF-8          754     655000PRN     SOLE      65500000
INTERLEAF INC                    COM NEW           458729-20-9         1504      32000SH      SOLE       3200000
LG&E ENERGY CORP                 COM               501917-10-8         1007      44000SH      SOLE       4400000
LGS GROUP INC                    CL A SUB VTG      50186E-10-0          714      37900SH      SOLE       3790000
LIPOSOME COMPANY INC             COM               536310-10-5         1167      66800SH      SOLE       6680000
LORONIX INFORMATION              COM               544183-10-6          494      13600SH      SOLE       1360000
LEARN2.COM INC                   COM               522002-10-4          159      38600SH      SOLE       3860000
MCN ENERGY GROUP INC             COM               55267J-10-0         2400      96000SH      SOLE       9600000
MIRAGE RESORTS INC               COM               60462E-10-4         4340     224000SH      SOLE      22400000
MEDICAL MANAGER                  COM               58461U-10-3          617      17600SH      SOLE       1760000
METAMOR WORLDWIDE                COM               59133P-10-0          589      20800SH      SOLE       2080000
MAPQUEST.COM INC                 COM               565644-10-1         1077      51900SH      SOLE       5190000
MUSTANG.COM INC                  COM               628188-10-4          493      22400SH      SOLE       2240000
NFO WORLDWIDE                    COM               62910N-10-8         1056      48000SH      SOLE       4800000
NEWFIELD FINANCIAL               QUIPS SER A       651291-20-5         1679      29650SH      SOLE       2965000
NEWBRIDGE NETWORKS               COM               650901-10-1         4152     128000SH      SOLE      12800000
NORTHEAST UTILITIES              COM               664397-10-6          757      35200SH      SOLE       3520000
OEA INC                          COM               670826-10-6          462      48000SH      SOLE       4800000
OWENS ILLINOIS INC               PFD CONV $.01     690768-50-2          754      28200SH      SOLE       2820000
OMNICOM GROUP INC                SB DB CV 4.25%07  681919-AE-6         1192     400000PRN     SOLE      40000000
ONHEALTH NETWORK CO              COM               68272W-10-7          201      48000SH      SOLE       4800000
NETOPTIX                         COM               64116F-10-3          412       2400SH      SOLE        240000
ORTEL CORP                       COM               68749W-10-2          450       2400SH      SOLE        240000
ONE VALLEY BANCORP               COM               682419-10-6          481      13900SH      SOLE       1390000
PAIRGAIN TECH INC                COM               695934-10-9          946      50600SH      SOLE       5060000
POGO PRODUCING CO                QUIPS SER A       73044P-20-8          960      14600SH      SOLE       1460000
PRECISION RESPONSE               COM               740314-10-9         1358      56000SH      SOLE       5600000
PROVIDENCE ENERGY                COM               743743-10-6          486      12800SH      SOLE       1280000
QWEST COMMUNICATIONS             COM               749121-10-9          970      20000SH      SOLE       2000000
QWEST COMMUNICATIONS             PUT               749121-95-9          989      20400SH  PUT SOLE       2040000
REYNOLDS METALS CO               COM               761763-10-1         7490     112000SH      SOLE      11200000
SBS BROADCASTING SA              ORD               L8137F-10-2          633      10300SH      SOLE       1030000
SEALED AIR CORP                  PFD CV A $2       81211K-20-9         4444      85355SH      SOLE       8535500
SEAGATE TECHNOLOGY               COM               811804-10-3         3856      64000SH      SOLE       6400000
SFX ENTERTAINMENT                CL A              784178-10-5         1171      28700SH      SOLE       2870000
SNYDER COMMUN                    COM SNC           832914-10-5         1170      52000SH      SOLE       5200000
SPYGLASS INC                     COM               852192-10-3          411       5300SH      SOLE        530000
SUPERIOR TRUST I                 PFD CV 8.50%      86836P-20-2          442      14038SH      SOLE       1403800
SOUTHWEST GAS                    COM               844895-10-2          372      19500SH      SOLE       1950000
AT&T CORPORATION                 PUT               001957-95-9          354       6300SH  PUT SOLE        630000
TRAVELERS PPTY CAS               CL A              893939-10-8          660      16000SH      SOLE       1600000
TIMKEN COMPANY                   COM               887389-10-4          169      10400SH      SOLE       1040000
TIMES MIRROR COMPANY             COM SER A         887364-10-7         2231      24000SH      SOLE       2400000
TRITEL INC                       CL A              89675X-10-4          214       5600SH      SOLE        560000
TIME WARNER INC                  COM               887315-10-9         3980      39800SH      SOLE       3980000
TYCO INTERNATIONAL               COM               902124-10-6         2394      48000SH      SOLE       4800000
U S FOODSERVICE                  COM               90331R-10-1          824      32000SH      SOLE       3200000
U S HOME CORPORATION             COM               911920-10-6          901      23700SH      SOLE       2370000
UNION CARBIDE CORP               COM               905581-10-4         3266      56000SH      SOLE       5600000
MEDIA ONE GROUP INC              COM               58440J-10-4        14118     174300SH      SOLE      17430000
MEDIA ONE GROUP INC              PUT               58440J-95-4         1296      16000SH  PUT SOLE       1600000
U S CAN CORPORATION              COM               90328W-10-5          274      14100SH      SOLE       1410000
U S WEST INC NEW                 COM               91273H-10-1         2905      40000SH      SOLE       4000000
VETERINARY CTRS AMER             COM               925514-10-1          220      16000SH      SOLE       1600000
VOYAGER.NET INC                  COM               92906W-10-1          204      14900SH      SOLE       1490000
WESTERN GAS RES INC              PFD CONV $2.625   958259-30-1          305      10600SH      SOLE       1060000
WICOR INC                        COM               929253-10-2         1302      42000SH      SOLE       4200000
WESLEY JESSEN VISION             COM               951018-10-0          719      20000SH      SOLE       2000000
WARNER LAMBERT CO                COM               934488-10-7         4056      41600SH      SOLE       4160000
WESTPOINT STEVENS                COM               961238-10-2          912      48000SH      SOLE       4800000
ZIONS BANCORPORATION             COM               989701-10-7          333       8000SH      SOLE        800000
</TABLE>


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