SUNRISE PARTNERS LLC /CT
13F-HR, 2000-05-15
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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 [ ]; Amendment Number:
This Amendment (Check only one.): [  ] is a restatement.
                                  [  ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:     Sunrise Partners LLC
Address:  Two American Lane
          Greenwich, CT 06836-2571

13F File Number:   028-05431

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:     Randall U. Tam
Title:    Vice President, Dawn General Partner Corp., Manager
Phone:    203-861-3288
Signature, Place and Date of Signing:

    Randall U. Tam    Greenwich, Connecticut  MAY 15,2000

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:        0

Form 13F Information Table Entry Total:   58

Form 13F Information Table Value Total:   $199,295


List of Other Included Managers:
<PAGE>
<TABLE>                        <C>                                            <C>
                                                              FORM 13F INFORMATION TABLE
                                                           VALUE   SHARES/  SH/ PUT/ INVSTMT    OTHER          VOTING AUTHORITY
         NAME OF ISSUER        TITLE OF CLASS     CUSIP   (x$1000) PRN AMT  PRN CALL DSCRETN   MANAGERS     SOLE    SHARED    NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
ALCOA INC                      COM              013817101      490     6978 SH  PUT  SOLE                        0
AETNA INC                      COM              008117103      749    13500 SH       SOLE                    13500
ALCAN ALUMINUM LTD             COM              013716105      225     6600 SH  PUT  SOLE                        0
AMERICA ONLINE INC             COM              02364J104     2684    39800 SH       SOLE                    39800
<ACQ>ATLANTIC RICHFIELD        COM              048825103     4543    53440 SH       SOLE                    53440
BOC GROUP PLC - ADR            ADR              055617609      672    16700 SH  PUT  SOLE                        0
BP AMOCO PLC - ADR             ADR              055622104      565    10600 SH  PUT  SOLE                        0
CONSOLIDATED PAPERS INC        COM              209759109      907    23600 SH       SOLE                    23600
COLUMBIA ENERGY GROUP          COM              197648108      249     4200 SH       SOLE                     4200
CHAMPION INTERNATIONAL CORP    COM              158525105      724    13600 SH       SOLE                    13600
CONSECO INC                    COM              208464107      944    82500 SH       SOLE                    82500
CONCENTRIC NETWORK CORP        COM              20589R107      754    13700 SH       SOLE                    13700
CABLETRON SYSTEMS              COM              126920107      564    19200 SH       SOLE                    19200
CABLETRON SYSTEMS              COM              126920107     1293    44000 SH  PUT  SOLE                        0
CELESTIAL SEASONINGS INC       COM              151016102      268     7800 SH       SOLE                     7800
CHINA YUCHAI INTL LTD          COM              G21082105      763  1220200 SH       SOLE                  1220200
CITIZENS UTILITIES CO CLASS B  COM              177342201      205    12500 SH       SOLE                    12500
DEXTER CORP                    COM              252165105      981    18500 SH       SOLE                    18500
DII GROUP INC                  COM              232949107     1752    15500 SH       SOLE                    15500
ESAT TELECOM GROUP PLC-ADR     ADR              26883Y102      520     5200 SH       SOLE                     5200
E'TOWN CORP                    COM              269242103     1377    21770 SH       SOLE                    21770
IXNET INC                      COM              46601C109      422     9200 SH       SOLE                     9200
FARR CO                        COM              311648109      588    34480 SH       SOLE                    34480
FINANCIAL SECURITY ASSURANCE   COM              31769P100     1949    26550 SH       SOLE                    26550
GENERAL MOTORS CORP            COM              370442105      422     5100 SH       SOLE                     5100
GTE CORP                       COM              362320103     1164    16400 SH       SOLE                    16400
HANNAFORD BROS CO              COM              410550107     3717    50400 SH       SOLE                    50400
INPRISE CORPORATION            COM              45766C102      272    39900 SH       SOLE                    39900
KROLL-O'GARA CO                COM              501050108      438    40000 SH       SOLE                    40000
<ACQ>INTERLEAF INC             COM              458729209      324     6900 SH       SOLE                     6900
LG&E ENERGY CORP USD           COM              501917108     2707   118325 SH       SOLE                   118325
LIPOSOME COMPANY INC           COM              536310105     1243    71125 SH       SOLE                    71125
MITSUBISHI BK CV 3.00%11/30/02 SDBCV            55262XAA2     7805  7000000 PRN      SOLE                  7000000
MIRAGE RESORTS INC             COM              60462E104     1761    90900 SH       SOLE                    90900
MONSANTO CO                    COM              611662107     2466    49500 SH       SOLE                    49500
MONTANA POWER CO               COM              612085100    47750   746100 SH       SOLE                   746100
INCO LTD CV PFD 5.50% SR E     CVPFD            453258808      281     9000 SH       SOLE                     9000
NAB CV PF 7.875% UNIT          CVPFD            632525309     1431    60000 SH       SOLE                    60000
NEWBRIDGE NETWORKS CORP        COM              650901101     8008   246886 SH       SOLE                   246886
<MGR>ORTEL CORP                COM              68749W102      995     5300 SH       SOLE                     5300
APP FIN VI CV ZCPN 11/18/12    SDBCV            00202NAA3     3537 20350000 PRN      SOLE                 20350000
PECHINEY S.A. - SPONS ADR A    ADR              705151207      246     9700 SH       SOLE                     9700
QWEST COMMUNICATIONS INTL      COM              749121109     1585    33000 SH  PUT  SOLE                        0
ROGERS COMM CV 2% 11/26/05     SDBCV            775109AE1    50717 49383000 PRN      SOLE                 49383000
<ACQ>REYNOLDS METALS CO        COM              761763101      729    10900 SH       SOLE                    10900
SNYDER COMMUNICATIONS INC      COM              832914105     3389   150600 SH       SOLE                   150600
SONY CORP- SPONS ADR           ADR              835699307     2801    10000 SH  CALL SOLE                        0
SONY CORP- SPONS ADR           ADR              835699307     4202    15000 SH  PUT  SOLE                        0
SONICWALL INC                  COM              835470105      400     6000 SH       SOLE                     6000
AT&T CORP                      COM              001957109      242     4300 SH  PUT  SOLE                        0
TELEFONICA DE PERU-SPON ADR    ADR              879384105    11819   695241 SH       SOLE                   695241
U.S. FOODSERVICE               COM              90331R101     6020   233750 SH       SOLE                   233750
UNION CARBIDE CORP             COM              905581104     1452    24900 SH       SOLE                    24900
MEDIAONE GROUP INC             COM              58440J104     3451    42600 SH       SOLE                    42600
US WEST INC                    COM              91273H101     1692    23300 SH       SOLE                    23300
US WEST INC                    COM              91273H101      225     3100 SH  CALL SOLE                        0
US WEST INC                    COM              91273H101     1511    20800 SH  PUT  SOLE                        0
ZIFF DAVIS INC ZD              COM              989511100      305    19500 SH       SOLE                    19500
</TABLE>


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