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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 SEPTEMBER 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: 108
Form 13F Information Table Value Total: $ 343540.831
(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>
FORM 13F INFORMATION TABLE
<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>
TOTAL FINA ELF WT EXP F9212D142 43.575 1400 SH SOLE 00 1400
GLOBAL CROSSING PFD CV G3921A134 10550.625 42500 SH SOLE 00 42500
AES CORP JR SBD 00130HAN5 7252.900 2900000 SH SOLE 00 2900000
AETHER SYS INC SUB NT 00808VAA3 1528.000 2000000 SH SOLE 00 2000000
AFFILIATED COMP SB NT 008190AD2 3463.753 2683000 SH SOLE 00 2683000
AFFYMETRIX INC SB NT 00826TAA6 682.191 687000 SH SOLE 00 687000
AFFYMETRIX INC COM 00826T108 745.631 14950 SH SOLE 00 14950
ALKERMES INC SUB NT 01642TAA6 377.500 500000 SH SOLE 00 500000
ALKERMES INC PFD CV 01642T405 5.900 50 SH SOLE 00 50
ALLIED RISER CO SB NT 019496AA6 589.000 1000000 SH SOLE 00 1000000
ALPHARMA INC SB NT 020813AB7 178.350 82000 SH SOLE 00 82000
ALPHARMA INC SR SB 020813AC5 11713.725 5931000 SH SOLE 00 5931000
AMAZON COM INC COM 023135106 1366.471 35550 SH SOLE 00 35550
AMERICA ONLINE SUB NT 02364JAC8 1285.000 2500000 SH SOLE 00 2500000
AMERICA ONLINE COM 02364J104 58.588 1090 SH SOLE 00 1090
AMERICAN TOWER NT CV 029912AE2 2850.000 3000000 SH SOLE 00 3000000
AMERICAN TOWER CL A 029912201 171.179 4542 SH SOLE 00 4542
AMKOR TECHNOLOG SB NT 031652AA8 543.599 276500 SH SOLE 00 276500
ANIXTER INTL IN LYON Z 035290AA3 1359.000 3000000 SH SOLE 00 3000000
APARTMENT INVT PFD CO 03748R705 23.588 850 SH SOLE 00 850
ARCHSTONE CMNTY PFD SE 039581202 704.444 20950 SH SOLE 00 20950
AT HOME CORP SB NT 045919AD9 5686.500 8500000 SH SOLE 00 8500000
BANK TOKYO-MITS SPONSO 065379109 22.207 1900 SH SOLE 00 1900
CALLON PETE CO PFD A 13123X201 40.838 1100 SH SOLE 00 1100
CALPINE CORP COM 131347106 1012.438 9700 SH SOLE 00 9700
CANADIAN NATL R PFD CV 136375409 2744.438 61500 SH SOLE 00 61500
CELESTICA INC LYON 15101QAA6 5124.000 10500000 SH SOLE 00 10500000
CENDANT CORP RT PUR 151313111 250.942 39750 SH SOLE 00 39750
CENTERPOINT PPT PFD CV 151895307 882.921 16600 SH SOLE 00 16600
CHIEFTAIN INTL PFD CV 168672202 456.500 16600 SH SOLE 00 16600
CHIRON CORP SB CV 170040AB5 5861.250 3750000 SH SOLE 00 3750000
CIRRUS LOGIC CO SB NT 172755AC4 6676.000 4000000 SH SOLE 00 4000000
COMCAST CORP ZONES 200300507 31425.765 459609 SH SOLE 00 459609
CONEXANT SYSTEM SB NT 207142AB6 6799.884 3549000 SH SOLE 00 3549000
CROSS TIMBERS O PFD CV 227573201 678.781 10150 SH SOLE 00 10150
DEVON ENERGY CO SRDBCV 25179MAC7 10093.750 21250000 SH SOLE 00 21250000
DIAMOND OFFSHOR DEB ZR 25271CAB8 2500.000 5000000 SH SOLE 00 5000000
ECHOSTAR COMMUN SUB NT 278762AB5 7260.000 5500000 SH SOLE 00 5500000
ECHOSTAR COMMUN SB NT 278762AD1 1320.000 1000000 SH SOLE 00 1000000
ECHOSTAR COMMUN CL A 278762109 26.375 500 SH SOLE 00 500
EMMIS COMMUNICA PFD CV 291525202 16.788 425 SH SOLE 00 425
EQUITY RESIDENT PFD CO 29476L883 13.375 500 SH SOLE 00 500
EXODUS COMMUNIC COM 302088109 1402.250 28400 SH SOLE 00 28400
FLEETBOSTON FIN WT EXP 339030116 964.294 27650 SH SOLE 00 27650
GETTY IMAGES IN SB NT 374276AD5 1548.000 2000000 SH SOLE 00 2000000
HUMAN GENOME SC SB NT 444903AG3 1938.000 2000000 SH SOLE 00 2000000
IMC GLOBAL INC WT EXP 449669118 0.040 5000 SH SOLE 00 5000
IMAGEWARE SYS I WT EXP 45245S116 15.250 3050 SH SOLE 00 3050
INTERNATIONAL R SUB NT 460254AD7 4575.000 5000000 SH SOLE 00 5000000
JACOR COMMUNUNI WT EXP 469858138 24.000 3000 SH SOLE 00 3000
JUNIPER NETWORK SB NT 48203RAA2 4554.000 3000000 SH SOLE 00 3000000
JUNIPER NETWORK COM 48203R104 1094.690 5000 SH SOLE 00 5000
KERR MCGEE CORP SB DB 492386AP2 2486.000 2000000 SH SOLE 00 2000000
KULICKE & SOFFA SUB NT 501242AC5 1026.550 1225000 SH SOLE 00 1225000
LSI LOGIC CORP SB NT 502161AD4 10030.438 5071000 SH SOLE 00 5071000
LITTELFUSE INC WT A E 537008120 317.241 12850 SH SOLE 00 12850
MBL INTL FIN BE GTD NT 55262XAA2 8.232 8000 SH SOLE 00 8000
MATSUSHITA ELEC ADR 576879209 367.675 1400 SH SOLE 00 1400
MATTEL INC COM 577081102 108.703 9716 SH SOLE 00 9716
MCLEODUSA INC PFD CO 582266201 6626.870 21377 SH SOLE 00 21377
MERCURY INTERAC SB NT 589405AA7 1936.250 1250000 SH SOLE 00 1250000
MERCURY INTERAC COM 589405109 642.675 4100 SH SOLE 00 4100
MILLENNIUM PHAR SUB NT 599902AB9 1418.250 750000 SH SOLE 00 750000
MONSANTO CO ADJ CO 611662305 2097.619 40050 SH SOLE 00 40050
MPOWER COMMUNIC PFD CV 62473J205 1219.075 78650 SH SOLE 00 78650
NABORS INDS INC COM 629568106 631.420 12050 SH SOLE 00 12050
NATIONAL AUSTRA CAP UT 632525309 9911.305 391550 SH SOLE 00 391550
NATIONAL AUSTRA SPONSO 632525408 308.719 4450 SH SOLE 00 4450
NEWFIELD FINL T QUIPS 651291205 997.500 14250 SH SOLE 00 14250
NORAM ENERGY CO SUB DE 655419AC3 144.320 164000 SH SOLE 00 164000
OGDEN CORP PFD CV 676346208 8.366 99 SH SOLE 00 99
PNC FINL SVCS G PFD CV 693475501 86.000 800 SH SOLE 00 800
PATINA OIL & GA WT EXP 703224113 187.465 23250 SH SOLE 00 23250
PHILIPPINE LONG SPONSO 718252703 713.938 19763 SH SOLE 00 19763
POGO TR I QUIPS 73044P208 1041.066 16997 SH SOLE 00 16997
PRISON RLTY TR PFD CV 74264N303 28.500 1500 SH SOLE 00 1500
PROLOGIS TR PFD CV 743410300 492.000 16000 SH SOLE 00 16000
PROVIDIAN FINL SR NT 74406AAA0 2238.000 2000000 SH SOLE 00 2000000
QUANTA SVCS INC SUB NT 74762EAA0 1189.500 1500000 SH SOLE 00 1500000
RECKSON ASSOCS CL B 75621K304 2516.318 97249 SH SOLE 00 97249
ROUSE CO PFD CO 779273309 405.763 11350 SH SOLE 00 11350
SBC COMMUNICATI DECS 7 78387G202 198.437 2154 SH SOLE 00 2154
SCI SYS INC SUB NT 783890AF3 3806.250 3625000 SH SOLE 00 3625000
SANMINA CORP SUB NT 800907AB3 11065.000 5000000 SH SOLE 00 5000000
SANMINA CORP SD CV 800907AC1 4841.500 11500000 SH SOLE 00 11500000
SEALED AIR CORP PFD CV 81211K209 4771.575 106035 SH SOLE 00 106035
SEMTECH CORP SB NT 816850AB7 4158.000 3500000 SH SOLE 00 3500000
SEMTECH CORP COM 816850101 422.625 9800 SH SOLE 00 9800
SEPRACOR INC SB DB 817315AE4 1297.000 250000 SH SOLE 00 250000
SEPRACOR INC SB DEB 817315AL8 1123.500 750000 SH SOLE 00 750000
SIEBEL SYS INC SB NT 826170AC6 42327.888 8731000 SH SOLE 00 8731000
SIX FLAGS INC PINES 83001P208 6333.327 201058 SH SOLE 00 201058
SOLECTRON CORP SR LYO 834182AK3 15032.790 22437000 SH SOLE 00 22437000
SOVEREIGN BANCO UNIT E 845905306 2153.925 37500 SH SOLE 00 37500
SPRINT CORP PCS CO 852061506 3101.322 88450 SH SOLE 00 88450
STEPAN CO PFD CO 858586209 3.800 149 SH SOLE 00 149
STMICROELECTRON SUB LY 861012AB8 10904.000 9400000 SH SOLE 00 9400000
STMICROELECTRON COM 861012102 2207.419 46350 SH SOLE 00 46350
TEKELEC SB DSC 879101AA1 1449.750 750000 SH SOLE 00 750000
TESORO PETE COR PIES C 881609408 58.800 5600 SH SOLE 00 5600
TRANSWITCH CORP NT CV 894065AA9 508.000 500000 SH SOLE 00 500000
TRIQUINT SEMICO SB NT 89674KAA1 1965.000 2500000 SH SOLE 00 2500000
UNITEDGLOBALCOM PFD CV 913247201 4999.163 120100 SH SOLE 00 120100
UNITEDGLOBALCOM PFD D 913247805 557.700 16900 SH SOLE 00 16900
UNIVERSAL HLTH CL B 913903100 1305.781 15250 SH SOLE 00 15250
VORNADO RLTY TR PFD CO 929042208 91.548 1750 SH SOLE 00 1750
WEATHERFORD INT SD CV 947074AA8 13793.500 24500000 SH SOLE 00 24500000
WEATHERFORD INT COM 947074100 5411.550 125850 SH SOLE 00 125850
</TABLE>