WHITE RIVER GLOBAL FUND MANAGEMENT INC
13F-HR, 2000-08-10
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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

If amended report check here:     __                     Amendment Number:

This Amendment (Check only one.)  __ is a restatement.
                                  __ adds new holding
                                      entries.


David A. Liebowitz
_______________________________________________________________________________
Name of Institutional Investment Manager

White River Global Fund  245 Park Ave.              New York  NY          10167
Management, Inc.
________________________________________________________________________________
Business Address         (Street)                   (City)    (State)     (Zip)


13F File Number:


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 and tables, are considered integral parts of this form.


Person Signing this Report on Behalf of Reporting Manager:

Kenneth Edlow                      Secretary                      (212) 272-4394
________________________________________________________________________________
Name                               (Title)                            (Phone)



                                        ________________________________________
                                             (Manual signature of Person Duly
                                             Authorized to Submit This Report)

                                                   245 Park Avenue
                                                 New York, NY  10167


                                        ________________________________________
                                                (Place and Date of Signing)



Report Type:

 X        13F HOLDINGS REPORT.

          13F NOTICE.

          13F COMBINATION REPORT.


<PAGE>




                             Form 13F SUMMARY PAGE



Report Summary:


Number of Other Included Managers:

Form 13F Information Table Entry Total:              95

Form 13F Information Table Value Total: $         368345.141
                                         (thousands)



List of Other Included Managers:


Name and 13F file numbers of ALL Institutional  Investment Managers with respect
to which this schedule is filed (other than the one filing this report):   (List
in alphabetical order).


(If there are no entries in this list, state "NONE" and omit the column headings
and list entries .)

13F File Numbers will be assigned to Institutional   Investment Managers after
they file their first report.

   13F File No.: Name:                     13F File No.: Name:
   _____________ _____________________     _____________ _____________________
1.                                      6.
   _____________ _____________________     _____________ _____________________
2.                                      7.
   _____________ _____________________     _____________ _____________________
3.                                      8.
   _____________ _____________________     _____________ _____________________
4.                                      9.
   _____________ _____________________     _____________ _____________________
5.                                      10.
   _____________ _____________________     _____________ _____________________
<PAGE>
<TABLE>
                                                      FORM 13F INFORMATION TABLE

<CAPTION>
COLUMN 1       COLUMN 2   COLUMN 3      COLUMN 4                 COLUMN 5           COL 6      COL 7       COLUMN 8
Name of Issuer   Title     Cusip         VALUE             SHRS OR       SH/  PUT/  Invstmt    Other      VOTING AUTHORITY
                 of Class               (X$1000)           PRN AMT       PRN  CALL  Dscretn    Mngrs   Sole        Shared     None
<S>                              <C>                                              <C>
GLOBAL CROSSING  PFD CV  G3921A134         9477.500          42500       SH         SOLE        00       42500
ADVANCED ENERGY  SUB NT  007973AA8         1351.000        1000000       SH         SOLE        00     1000000
AETHER SYS INC   SUB NT  00808VAA3         2086.000        2000000       SH         SOLE        00     2000000
AFFILIATED COMP  SB NT   008190AD2         3103.425        3183000       SH         SOLE        00     3183000
AFFYMETRIX INC   SB NT   00826TAA6         2476.516        1687000       SH         SOLE        00     1687000
ALKERMES INC     SUB NT  01642TAA6          417.500         500000       SH         SOLE        00      500000
ALKERMES INC     PFD CV  01642T405           15.994            100       SH         SOLE        00         100
ALPHARMA INC     SR SB   020813AC5        12746.500        6500000       SH         SOLE        00     6500000
ALZA CORP DEL    SUB DB  022615AD0        19180.500       12787000       SH         SOLE        00    12787000
AMAZON COM INC   COM     023135106          101.676           2800       SH         SOLE        00        2800
AMERICA ONLINE   SUB NT  02364JAC8         1252.500        2500000       SH         SOLE        00     2500000
AMERICA ONLINE   COM     02364J104           49.374            936       SH         SOLE        00         936
AMERICAN TOWER   NT CV   029912AD4         4518.500        3500000       SH         SOLE        00     3500000
AMERICAN TOWER   NT CV   029912AE2         3033.000        3000000       SH         SOLE        00     3000000
AMKOR TECHNOLOG  SB NT   031652AA8         1992.445         755000       SH         SOLE        00      755000
ARCHSTONE CMNTY  PFD SE  039581202         1007.500          32500       SH         SOLE        00       32500
ASIA PULP & PAP  WT EXP  04516V209            0.800          50000       SH         SOLE        00       50000
AT HOME CORP     SB NT   045919AD9         5975.500        8500000       SH         SOLE        00     8500000
BRADLEY REAL ES  PFD CV  104580204         2847.075         130900       SH         SOLE        00      130900
CALLON PETE CO   PFD A   13123X201          559.125          15750       SH         SOLE        00       15750
CANADIAN NATL R  PFD CV  136375409         2767.500          61500       SH         SOLE        00       61500
CENDANT CORP     RT PUR  151313111          298.705          35400       SH         SOLE        00       35400
CENTERPOINT PPT  PFD CV  151895307           28.200            600       SH         SOLE        00         600
CHIEFTAIN INTL   PFD CV  168672202           84.906           3250       SH         SOLE        00        3250
CHIRON CORP      SB CV   170040AB5         6172.500        3750000       SH         SOLE        00     3750000
COMCAST CORP     ZONES   200300507        52762.624         459805       SH         SOLE        00      459805
CONEXANT SYSTEM  SB NT   207142AB6        13368.290        6049000       SH         SOLE        00     6049000
CONEXANT SYSTEM  SB NT   207142AD2        11549.250       14750000       SH         SOLE        00    14750000
COR THERAPEUTIC  SB NT   217753AC6         1041.000         750000       SH         SOLE        00      750000
CROSS TIMBERS O  PFD CV  227573201           11.750            250       SH         SOLE        00         250
DAYTON SUPERIOR  PFD CV  240029207           10.813            500       SH         SOLE        00         500
DIAMOND OFFSHOR  DEB ZR  25271CAB8         2495.000        5000000       SH         SOLE        00     5000000
DOUBLECLICK INC  SB NT   258609AC0          747.600         700000       SH         SOLE        00      700000
EFFICIENT NETWO  SB NT   282056AA8          745.000        1000000       SH         SOLE        00     1000000
EL PASO ENERGY   PFD CV  283678209           48.281            750       SH         SOLE        00         750
EMMIS COMMUNICA  PFD CV  291525202           24.650            425       SH         SOLE        00         425
EQUITY RESIDENT  PFD CO  29476L883          871.638          33850       SH         SOLE        00       33850
FNB CORP PA      PFD CV  302520200           51.700           1100       SH         SOLE        00        1100
FINOVA FIN TR    TOPRS   31808E207          601.272          25053       SH         SOLE        00       25053
FLEETBOSTON FIN  WT EXP  339030116           39.750           1500       SH         SOLE        00        1500
GETTY IMAGES IN  SB NT   374276AD5         1646.000        2000000       SH         SOLE        00     2000000
GOLDEN ST BANCO  WT EXP  381197128          864.150         123450       SH         SOLE        00      123450
HUMAN GENOME SC  SB NT   444903AG3         1652.000        2000000       SH         SOLE        00     2000000
IMC GLOBAL INC   WT EXP  449669118            0.080           5000       SH         SOLE        00        5000
IMCLONE SYS INC  SUB NT  45245WAA7          442.500         500000       SH         SOLE        00      500000
INTERMAGNETICS   SBDB14  458771AB8          665.000         500000       SH         SOLE        00      500000
INTERNET CAP GR  SUB NT  46059CAA4         1637.500        2500000       SH         SOLE        00     2500000
JACOR COMMUNUNI  WT EXP  469858138          177.195          15000       SH         SOLE        00       15000
JAMESON INNS IN  PFD CV  470457300           44.000           4000       SH         SOLE        00        4000
JUNIPER NETWORK  SB NT   48203RAA2         4420.000        4000000       SH         SOLE        00     4000000
KERR MCGEE CORP  SB DB   492386AP2         2260.000        2000000       SH         SOLE        00     2000000
KULICKE & SOFFA  SUB NT  501242AC5         1771.350        1225000       SH         SOLE        00     1225000
LSI LOGIC CORP   SB NT   502161AD4        43533.373       12571000       SH         SOLE        00    12571000
LABORATORY CORP  PFD CV  50540R300            1.547             11       SH         SOLE        00          11
LABORATORY CORP  COM NE  50540R409            0.154              2       SH         SOLE        00           2
LATTICE SEMICON  SUB NT  518415AC8          111.848          62000       SH         SOLE        00       62000
LITTELFUSE INC   WT A E  537008120          592.578          13150       SH         SOLE        00       13150
MBL INTL FIN BE  GTD NT  55262XAA2            5.145           5000       SH         SOLE        00        5000
MGC COMMUNICATI  PFD CV  552763500         4063.800          78150       SH         SOLE        00       78150
MATSUSHITA ELEC  ADR     576879209          359.800           1400       SH         SOLE        00        1400
MCLEODUSA INC    PFD CO  582266201         6640.160          13277       SH         SOLE        00       13277
MILLENNIUM PHAR  SUB NT  599902AB9        15974.500       10750000       SH         SOLE        00    10750000
MONSANTO CO      ADJ CO  611662305          255.663           5650       SH         SOLE        00        5650
NATIONAL AUSTRA  CAP UT  632525309        11652.215         411550       SH         SOLE        00      411550
NEWFIELD FINL T  QUIPS   651291205          252.637           4246       SH         SOLE        00        4246
NORAM FING I     TOPRS   65541W207           12.075            150       SH         SOLE        00         150
PNC FINL SVCS G  PFD C   693475402           56.350            700       SH         SOLE        00         700
PNC FINL SVCS G  PFD CV  693475501           41.250            500       SH         SOLE        00         500
PHILIPPINE LONG  SPONSO  718252703          729.965          19863       SH         SOLE        00       19863
PHOENIX INVT PA  SUB DB  719085AA0          350.280         278000       SH         SOLE        00      278000
POGO TR I        QUIPS   73044P208          944.222          17649       SH         SOLE        00       17649
PROLOGIS TR      PFD CV  743410300           29.975           1100       SH         SOLE        00        1100
RATIONAL SOFTWA  SUB NT  75409PAA1         1459.000        1000000       SH         SOLE        00     1000000
RECKSON ASSOCS   CL B    75621K304          793.640          31199       SH         SOLE        00       31199
ROUSE CO         PFD CO  779273309          405.763          11350       SH         SOLE        00       11350
SBC COMMUNICATI  DECS 7  78387G202           58.297            601       SH         SOLE        00         601
SCI SYS INC      SUB NT  783890AF3         3117.500        3625000       SH         SOLE        00     3625000
ST PAUL CAP L L  PFD MI  792856205          149.375           2500       SH         SOLE        00        2500
SEALED AIR CORP  PFD CV  81211K209         6253.959         123535       SH         SOLE        00      123535
SEMTECH CORP     SB NT   816850AB7         4352.000        4000000       SH         SOLE        00     4000000
SEPRACOR INC     SB DB   817315AJ3         3660.000        2500000       SH         SOLE        00     2500000
SIEBEL SYS INC   SB NT   826170AC6        31406.760        8712000       SH         SOLE        00     8712000
SOVEREIGN BANCO  UNIT E  845905306         1837.500          37500       SH         SOLE        00       37500
STMICROELECTRON  SUB LY  861012AB8        15695.000       10750000       SH         SOLE        00    10750000
TAIWAN SEMICOND  SPONSO  874039209        11482.826         295850       SH         SOLE        00      295850
TANGER FACTORY   PFD A   875465205           18.381            850       SH         SOLE        00         850
TEKELEC          SB DSC  879101AA1         2059.500         750000       SH         SOLE        00      750000
TESORO PETE COR  PIES C  881609408          155.513          14300       SH         SOLE        00       14300
TITAN CORP       PFD CO  888266202            7.313            250       SH         SOLE        00         250
TRIQUINT SEMICO  SB NT   89674KAA1         2272.500        2500000       SH         SOLE        00     2500000
U S RESTAURANT   PFD CV  902971209           34.296           3451       SH         SOLE        00        3451
UNITED STATES C  LYON Z  911684AA6         2750.000        5000000       SH         SOLE        00     5000000
UNITEDGLOBALCOM  CV PFD  913247201         7401.163         120100       SH         SOLE        00      120100
UNITEDGLOBALCOM  PFD D   913247805          756.500          17000       SH         SOLE        00       17000
WEATHERFORD INT  COM     947074100         5135.877         129000       SH         SOLE        00      129000
</TABLE>


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