VEREDUS ASSET MANAGEMENT LLC
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 Year or Quarter Ended: Quarter End September 30, 2000

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:      Veredus Asset Management LLC
Address:   6060 Dutchmans Lane Suite 320
           Louisville, KY 40205

Form 13F File Number:          28-7802

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:      James R. Jenkins
Title:     V.P. & Chief Operating Officer
Phone:     (502) 899-4080

Signature, Place, and Date of Signing:

JAMES R. JENKINS           LOUISVILLE, KENTUCKY           November 10, 2000
----------------           --------------------           -----------------
  [Signature]                 [City, State]                    [Date]

Report Type (Check only one.):

[X]        13F HOLDINGS REPORT.

[ ]        13F NOTICE.

[ ]        13F COMBINATION REPORT.




<PAGE>





                              Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                  0
                                              --------------
Form 13F Information Table Entry Total:             83
                                              --------------

Form 13F Information Table Value Total:          $497,345
                                              -------------
                                               (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

NONE






<PAGE>






<TABLE>
<CAPTION>


                                                                                                                     VOTING
                                                                    VALUE    SH/     PUT/  INVESTMENT OTHER         AUTHORITY
                   NAME         TITLE      CUSIP       (000s)       SHARES   PRN     CALL    DISCRTN   MGRS    SOLE   SHARE  NONE
-----------------------------------------------------------------------------------------------------------------------------------
<S>                             <C>    <C>         <C>         <C>          <C>    <C>      <C>           <C>             <C>
ACLARA BIOSCIENCES INC            COM    00461P106        24          800     SH              SOLE                800             0
ACUSON  CORP                      COM    005113105     5,008      220,150     SH              SOLE            132,850        87,300
AIRTRAN HLDGS INC                 COM    00949P108     7,228    1,628,950     SH              SOLE          1,053,400       575,550
AMERICAN INTL GROUP INC           COM    026874107       144        1,500     SH              SOLE              1,500             0
AMGEN INC                         COM    031162100       178        2,550     SH              SOLE              2,550             0
BIOSOURCE INTERNATIONAL INC       COM    09066H104     8,573      276,550     SH              SOLE            178,850        97,700
BJ SERVICES CO                    COM    055482103        92        1,500     SH              SOLE              1,500             0
CAL DIVE INTL INC                 COM    127914109     2,288       40,000     SH              SOLE             26,400        13,600
CELL THERAPEUTICS INC             COM    150934107     8,096      121,400     SH              SOLE             79,850        41,550
CHARLOTTE RUSSE HLDG INC          COM    161048103     3,483      262,900     SH              SOLE            161,300       101,600
CHARMING SHOPPES INC              COM    161133103     8,310    1,592,400     SH              SOLE          1,029,200       563,200
CHECKERS DRIVE-IN RESTAURANTS     COM    162809305        78       20,000     SH              SOLE             20,000             0
CHESAPEAKE ENERGY CORP            COM    165167107    11,195    1,557,600     SH              SOLE          1,077,500       480,100
CHRISTOPHER & BANKS CORP          COM    171046105    16,873      434,025     SH              SOLE            284,275       149,750
CHUBB CORP                        COM    171232101     2,334       29,500     SH              SOLE             29,500             0
CITIGROUP INC                     COM    172967101       108        1,999     SH              SOLE              1,999             0
CITY NATIONAL CORP                COM    178566105     7,242      187,500     SH              SOLE            124,400        63,100
COMMUNITY HEALTH SYSTEMS INC      COM    203668108     9,586      298,400     SH              SOLE            196,900       101,500
COOPER CAMERON CORP               COM    216640102       449        6,100     SH              SOLE              6,100             0
COVENTRY HEALTH CARE INC          COM    222862104     6,250      413,200     SH              SOLE            272,500       140,700
CYTYC CORP                        COM    232946103    11,622      269,500     SH              SOLE            180,300        89,200
DIDAX INC                         COM    227685104        44       23,200     SH              SOLE             23,200             0
DRESS BARN INC                    COM    261570105     6,287      299,400     SH              SOLE            191,700       107,700
DRIL-QUIP INC                     COM    262037104     5,850      146,700     SH              SOLE             91,500        55,200
ELECTRONIC ARTS INC               COM    285512109        99        2,000     SH              SOLE              2,000             0
EVEREST REINSURANCE HOLDINGS IN   COM    299808105       223        4,500     SH              SOLE              4,500             0
FAIR ISAAC & CO INC               COM    303250104     4,307      100,900     SH              SOLE             66,300        34,600
FILENET CORP                      COM    316869106    10,356      569,400     SH              SOLE            370,100       199,300
FRONTIER AIRLINES INC NEW         COM    359065109    11,939      614,200     SH              SOLE            414,500       199,700
GENESCO INC                       COM    371532102    18,985    1,120,900     SH              SOLE            742,600       378,300
GILEAD SCIENCES INC               COM    375558103        55          500     SH              SOLE                500             0
GLENAYRE TECHNOLOGIES INC         COM    377899109     7,507      690,300     SH              SOLE            456,500       233,800
GLOBAL MARINE INC NEW             COM    379352404     1,349       43,700     SH              SOLE             43,700             0
HCA-HEALTHCARE CO                 COM    404119109        93        2,500     SH              SOLE              2,500             0
HEALTHSOUTH CORP                  COM    421924101    15,373    1,892,100     SH              SOLE          1,275,600       616,500
HUMANA INC                        COM    444859102    12,148    1,130,000     SH              SOLE            747,100       382,900
INSIGHT COMMUNICATIONS INC        COM    45768V108     4,859      306,100     SH              SOLE            188,000       118,100
ISOLYSER CO INC                   COM    464888106     1,289      624,900     SH              SOLE            382,200       242,700
KENSEY NASH CORP                  COM    490057106     1,859      143,000     SH              SOLE             91,700        51,300
KENT ELECTRONICS CORP             COM    490553104     6,788      284,300     SH              SOLE            188,100        96,200
KINDER MORGAN INC KANS            COM    49455P101     9,915      242,200     SH              SOLE            156,200        86,000
K-SWISS INC-CL A                  COM    482686102     5,888      261,700     SH              SOLE            172,900        88,800
LASERSIGHT INC                    COM    517924106     3,031      979,580     SH              SOLE            660,530       319,050
LEUCADIA NATIONAL CORP            COM    527288104     8,421      314,800     SH              SOLE            208,000       106,800
MARINE DRILLING COMPANIES INC     COM    568240204    17,734      620,900     SH              SOLE            396,200       224,700
MARSH & MCLENNAN COMPANIES INC    COM    571748102       106          800     SH              SOLE                800             0
MAVERICK TUBE CORP                COM    577914104     4,808      178,500     SH              SOLE            120,000        58,500
MEMC ELECTRONIC MATERIALS INC     COM    552715104     8,196      636,600     SH              SOLE            405,000       231,600
MENS WEARHOUSE INC                COM    587118100    10,429      368,350     SH              SOLE            243,950       124,400
METLIFE INC                       COM    59156R108       126        4,800     SH              SOLE              4,800             0
MICHAELS STORES INC               COM    594087108     4,704      117,600     SH              SOLE             75,700        41,900
MONTEREY PASTA CO                 COM    612570101       758      149,700     SH              SOLE            149,700             0
NEOPHARM INC                      COM    640919106       395       10,000     SH              SOLE              6,800         3,200
NOVEN PHARMACEUTICALS INC         COM    670009109        56        1,300     SH              SOLE              1,300             0
NOVOSTE CORP                      COM    67010C100     9,558      224,900     SH              SOLE            148,300        76,600
OXFORD HEALTH PLANS INC           COM    691471106    27,572      897,100     SH              SOLE            593,800       303,300
PARKER DRILLING CO                COM    701081101     5,600      800,000     SH              SOLE            527,100       272,900
PATTERSON ENERGY INC              COM    703414102    14,125      410,900     SH              SOLE            274,300       136,600
PER-SE TECHNOLOGIES INC           COM    713569309         3          246     SH              SOLE                 31           215
PF CHANGS CHINA BISTRO INC        COM    69333Y108     7,844      226,950     SH              SOLE            144,650        82,300
PHYSIOMETRIX INC                  COM    718928104     2,810      127,000     SH              SOLE             83,200        43,800
QLT PHOTOTHERAPEUTICS             COM    746927102       468        6,600     SH              SOLE              6,600             0
QUORUM HEALTH GROUP INC           COM    749084109     7,047      542,100     SH              SOLE            358,400       183,700
R & B FALCON CORP                 COM    74912E101    19,292      692,100     SH              SOLE            520,000       172,100
REEBOK INTERNATIONAL LTD          COM    758110100     7,183      381,800     SH              SOLE            253,000       128,800
ROWAN COMPANIES INC               COM    779382100    10,585      365,000     SH              SOLE            228,100       136,900
SCHLUMBERGER LTD                  COM    806857108     1,585       19,250     SH              SOLE             19,250             0
SILICON IMAGE INC                 COM    82705T102        42        1,700     SH              SOLE              1,700             0
SMITH INTERNATIONAL INC           COM    832110100    12,120      148,600     SH              SOLE             97,200        51,400
TEKELEC INC                       COM    879101103    11,897      361,900     SH              SOLE            210,300       151,600
TERAYON COMMUNICATION SYS         COM    880775101     5,304      156,300     SH              SOLE            101,600        54,700
3DO CO                            COM    88553W105     6,364      951,650     SH              SOLE            632,550       319,100
TIDEWATER INC                     COM    886423102    10,920      240,000     SH              SOLE            153,500        86,500
TRIGON HEALTHCARE INC             COM    89618L100     6,160      117,200     SH              SOLE             77,000        40,200
UNITED HEALTHCARE CORP            COM    91324P102       138        1,400     SH              SOLE              1,400             0
VARIAN INC                        COM    922206107    16,958      393,800     SH              SOLE            259,400       134,400
VARIAN SEMICONDUCTOR EQUIPMENT    COM    922207105    10,393      277,600     SH              SOLE            182,400        95,200
W R BERKELEY CORP                 COM    084423102     9,176      265,500     SH              SOLE            172,600        92,900
WELLPOINT HEALTH NETWORKS INC     COM    94973H108       106        1,100     SH              SOLE              1,100             0
WIND RIVER SYSTEMS INC            COM    973149107        58        1,200     SH              SOLE              1,200             0
APPLIED MATERIALS OCT 85          OPTION 0382220VQ       505          200     SH     PUT      SOLE                200             0
EMERGE INTERACTIVE NOV 17.50      OPTION 29088W0WW       338          820     SH     PUT      SOLE                820             0
PAPA JOHNS OCT 22.50              OPTION 6988130VX        56        1,000     SH     PUT      SOLE              1,000             0
                                                   -----------------------                                 -----------    ----------
                                                     497,345   26,865,870                                  17,796,555     9,069,315
                                                   =======================                                 ---========    ==========

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