PORTER A ALEX
13F-HR, 2000-08-11
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<PAGE>




                          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

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:    A. Alex Porter
Address: c/o Porter, Felleman Inc.
         100 Park Avenue, Suite 2120
         New York, NY 10017



Form 13F File Number: 28-05807

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:    A. Alex Porter
Title:   Principal
Phone:   212-689-1203

Signature, Place, and Date of Signing:


         /s/ A. Alex Porter      New York, NY          8/11/2000
              [Signature]        [City, State]          [Date]




<PAGE>

Report Type (Check only one.):

[ X ]    13F HOLDINGS REPORT.  (Check here if all holdings of
         this reporting manager are reported in this report.)

[  ]     13F NOTICE.  (Check here if no holdings reported are in
         this report, and all holdings are reported by other
         reporting manager(s).)

[  ]     13F COMBINATION REPORT.  (Check here if a portion of the
         holdings for this reporting manager are reported in this
         report and a portion are reported by other reporting
         manager(s).)

List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]

         Form 13F File Number     Name

         28-                      Paul Orlin
         [Repeat as necessary.]



<PAGE>

                      Form 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:          1

Form 13F Information Table Entry Total:     154

Form 13F Information Table Value Total:     $247,062,118


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.

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

         No.       Form 13F File Number     Name

         1         28-                      Paul Orlin

         [Repeat as necessary.]



<PAGE>

<TABLE>
                   Form 13F INFORMATION TABLE
                          June 30, 2000
<CAPTION>
   COLUMN 1        COLUMN 2      COLUMN 3      COLUMN 4  COLUMN 5
   COLUMN 6        COLUMN 7      COLUMN 8
   ---------       --------      --------      --------       --------             ---------      --------      --------
                                                                             INVESTMENT DISCRETION          VOTING AUTHORITY
                                                                                          (c)
                    TITLE        CUSIP         MARKET    SHRS OR  SH/  PUT/   (a)  (b)   SHARED   OTHER     (a)   (b)    (c)
NAME OF ISSUER     OF CLASS      NUMBER        VALUE     PRN AMT  PRN  CALL  SOLE SHARED OTHER   MANAGERS  SOLE  SHARED  NONE
--------------     --------      ------        ------    -------  ---  ----  ---- ------ ------  --------  ----  ------  ----
<S>                <C>           <C>         <C>         <C>       <C>  <C>  <C>  <C>    <C>     <C>       <C>   <C>     <C>

ADIDAS                           4031976     783,257.16    15,900  X                X            1                 X
EWMC INTERNATIONAL
  INC                          268937109     549,238.61 1,175,863  X                X            1                 X
FLAMEL TECHNOLO-
  GIES SA                      338488109     366,525.00    72,400  X                X                              X
GLOBAL TECH
  APPLIANCES INC               G39320109     694,438.00   135,500  X                X            1                 X
I-STAT CORP                    450312103     945,037.50    47,400  X                X            1                 X
LERNOUT & HAUSPIE
  SPEECH                       B5628B104   1,340,343.75    45,000  X                X            1                 X
PETROLEUM GEO-
  SERVICES A/S                 716597109     523,687.50    31,500  X                X            1                 X
SAP AG-SPONSORED
  ADR                          803054204   1,698,750.00    30,000  X                X            1                 X
SMALLWORLDWIDE PLC             83168P108     419,787.50    47,300  X                             1                 X
ABERCROMBIE &
  FITCH CO-CLA                   2896207     775,781.25    37,500  X                X            1                 X
ADVANCE PARADIGM
  INC                            7491103     238,750.00    10,000  X                X            1                 X
ADVANCES RADIO
  TELECOM CORP                 00754U101     165,156.25    17,500  X                X            1                 X
AES CORP                       60130H105  14,377,440.00   248,960  X                X            1                 X
AG SERVICES OF
  AMERICA INC.                   1250109     263,500.00    17,000  X                X            1                 X
ALLIED HOLDINGS
  INC                           19223106     126,000.00    21,000  X                X            1                 X
ALLOS THERAPEUTICS
  INC                           19777101     318,500.00    28,000  X                X            1                 X
ALPINE GROUP INC                20825105   5,236,481.25   846,300  X                X            1                 X
AMERCIAN EAGLE
  OUTFITTERS INC               02553E106   1,665,693.75    77,700  X                X            1                 X
AMERICAN FINANCIAL
  HOLDINGS                      26075101   2,700,000.00   160,000  X                X            1                 X
AMES DEPARTMENT
  STORES INC NE                 30789507      70,438.00    14,000  X                X            1                 X
AT HOME CORP-SER A              45919107     151,070.36    10,000  X                X            1                 X
AT&T CORP LIBERTY



<PAGE>

  MEDIA GROUP                    1957208     515,625.00    25,000  X                X            1                 X
BANK OF AMER CORP               60505104   4,051,125.00    78,000  X                X            1                 X
BAXTER INTERNA-
  TIONAL INC                    71813109   1,080,783.00    14,256  X                X            1                 X
BEA SYSTEMS INC                 73325102     540,625.00    10,000  X                X            1                 X
BROADVISION INC                111412102   1,298,500.00    39,200  X                X            1                 X
BURLINGTON
  RESOURCES INC                122012103     712,500.00    20,000  X                X            1                 X
BUSINESS OBJECTS
  SA SPONSORED                 12328X107    1,575,00.00    18,000  X                X            1                 X
CALPINE CORP                   131347106     543,375.00     7,000  X                X            1                 X
CANADIAN NATURAL
  RESOURCES []                 136385101   2,943,750.00   100,000  X                X            1                 X
CARRIER ACCESS
  CORP                         144460102     776,250.00    15,000  X                X            1                 X
CENTURY BUSINESS
  SERVICES INC                 156490104     137,325.00    71,200  X                X            1                 X
CHESAPEAKE ENERGY
  CORP                         165167107     188,325.00    27,900  X                X            1                 X
CHOICEPOINT INC                170388102   5,564,187.50   127,000  X                X            1                 X
CINAR CORPORATION
  CL B                         171905300     970,000.00   310,400  X                X            1                 X
CLOROX COMPANY                 189054109     659,063.00    19,000  X                X            1                 X
CLOSURE MEDICAL
  CORP                         189093107     758,418.75    38,900  X                X            1                 X
CNET NETWORKS INC              12613R104     769,875.00    28,000  X                X            1                 X
CNS INC                        126136100     129,038.00    27,900  X                X            1                 X
COASTAL CORP                   190441105     645,000.00    10,000  X                X            1                 X
COLGATE PALMOLIVE
  CO                            19462103     793,125.00    15,000  X                X            1                 X
COMDISCO INC                   200336105   2,386,875.00    95,000  X                X            1                 X
COMMERCE GROUP
  INC-MASS.                    200641108     400,648.50    14,453  X                X            1                 X
COMMONWEALTH BANK-
  SHARES INC                   202736104     634,647.00    94,744  X                X            1                 X
COOPER CAMERON
   CORP                        216640102     433,875.00     6,000  X                X            1                 X
CORECOMM LIMITED               G2422R109     441,250.00    35,300  X                X            1                 X
CRESTLINE CAPITAL
  CORP                         226153104     787,950.00    41,200  X                X            1                 X
DAOU SYSTEMS INC               237015102      46,656.25    20,000  X                X            1                 X
DAW TECHNOLOGIES
  INC                          239220106      26,250.00    30,000  X                X            1                 X
DELPHI AUTOMATIVE
  SYS CORP                     247126105     607,500.00    40,000  X                X            1                 X
DIAL CORP NEW                  25247D101   1,672,443.75   140,100  X                X            1                 X
DIAMOND OFFSHORE
  DRILLING INC                 25271C102   1,260,000.00    32,000  X                X            1                 X
DOMINION RES INC
  VA NEW                       25746U109   1,271,875.00    25,000  X                X            1                 X
DUKE POWER CO                  264399106   1,823,250.00    26,000  X                X            1                 X



<PAGE>

EARTHSHELL CORP                27032B100     250,812.50    83,900  X                X            1                 X
ECHLEON CORP                   27874N105     240,000.00     6,000  X                X            1                 X
EL PASO ELECTRIC
  CO NEW                       283677854   6,828,250.00   496,600  X                X            1                 X
ELAN CORP PLC-ADR              284131208   2,120,656.25    39,500  X                X            1                 X
ELECTRONIC ARTS
  INC                          285512109     860,000.00    10,000  X                X            1                 X
EPITOPE INC                    294261102     160,500.00    12,000  X                X            1                 X
EWM EWMC INTER-
  NATIONAL INC
  WARRANTS                                   193,413.42   568,863  X                X            1                 X
EXCO RESOURCES
  INC NEW                      269279204   1,343,400.00   147,600  X                X            1                 X
EXIDE CORP                     302051107     381,000.00    48,000  X                X            1                 X
FANNIE MAE                                   116,156.26     2,100  X                X            1                 X
FASTENAL CO                    311900104   3,176,931.25    47,200  X                X            1                 X
FEDERAL NATIONAL
  MORTGAGE ASSET               313586109   2,627,344.00    47,500  X                X            1                 X
FIDELITY NATIONAL
  FINANCIAL                    316326107     803,000.00    44,000  X                X            1                 X
GAP INC                        364760108   1,584,375.00    50,000  X                X            1                 X
GARDENBURGER INC               365476100     133,250.00    26,000  X                X            1                 X
GARDRN FRESH REST-
  AURANT CORP                  365235100     287,812.50    50,000  X                X            1                 X
GENZYME CORP -
  TISSUE REPAIR                372917401     141,375.00    26,000  X                X            1                 X
GETTHERE.COM INC               374266104      3,406,700   358,600  X                X            1                 X
GREENPOINT FINAN-
  CIAL CORP                    395384100  12,472,562.50   506,500  X                X            1                 X
HARMAN INTERNA-
  TIONAL                       413086109   3,470,700.00    55,200  X                X            1                 X
HUDSON CITY
  BANCORP INC                  443683107   1,260,625.00    75,000  X                X            1                 X
TECHNOLOGIES INC               465754109   1,972,250.00    14,000  X                X            1                 X
IMMUNEX CORP                   452528102     226,875.00     4,400  X                X            1                 X
INFORMIX CORP                  456779107      69,375.00    15,000  X                X            1                 X
INTERACTIVE
  PICTURES CORP                46059S101     208,162.00    21,214  X                X            1                 X
INTERNATIONAL
  SPEEDWAY CORP                460335201     484,562.50    15,000  X                X            1                 X
INTERNATIONAL
  BUSINESS                     459200101   1,427,250.00    12,000  X                X            1                 X
IRON MOUNTAIN
  INC PA                       462846106     335,515.63     9,850  X                X            1                 X
IXL ENTERPRISES
  INC                         4501718101     136,093.75    11,000  X                X            1                 X
KIMCO REALTY CORP              49446R109   6,456,537.50   158,200  X                X            1                 X
KRONOS INC                     501052104     165,000.00     5,000  X                X            1                 X
LABOR READY INC
  NEW                          505401208     443,750.00   100,000  X                X            1                 X
LEAR CORP                      521865105   4,218,125.00   170,000  X                X            1                 X



<PAGE>

LIFELINE SYSTEMS
  INC                          532192101   1,063,625.00    72,400  X                X            1                 X
LINCOLN ELEC
  HOLDINGS INC                 533900106   1,046,400.00    65,400  X                X            1                 X
MERCURY COMPUTER
  SYSTEMS INC                  589378108     833,625.00    34,200  X                X            1                 X
MICHAELS STORES
   INC                         594087108   2,259,563.00    51,500  X                X            1                 X
MID ATLANTIC
  MEDICAL SERVICES             59523C107     449,875.00    29,500  X                X            1                 X
MIDDLEBY CORP                  596278101     670,750.00   105,000  X                X            1                 X
MONTANA POWER CO               612085100   3,937,000.00   127,000  X                X            1                 X
MUSICLAND STORES
  CORP                         62758B109   1,259,375.00   162,500  X                X            1                 X
NASDAQ 100 SHARES              631100104   1,103,843.75    12,000  X                X            1                 X
NEW ENGLAND
  BUSINESS SVC INC             643872104   1,197,275.00    57,700  X                X            1                 X
NEWELL RUBBERMAID
  INC COM                      651229106   1,694,063.00    65,000  X                X            1                 X
NIAGARA MOHAWK
  HOLDINGS INC                 653520106   5,667,200.00   404,800  X                X            1                 X
OCEAN ENERGY INC
  TEX (NEW )                                 297,781.00    22,264  X                X            1                 X
OGLEBAY NORTON CO              677007106  10,405,862.50   391,300  X                X            1                 X
PACCAR INC-DEL-W/
  RTS TO PUR                   693718108   1,507,187.50    35,000  X                X            1                 X
PACIFIC SUNWEAR
  OF CALIFORNIA                694873100   1,383,662.50    69,400  X                X            1                 X
PARK-OHIO HLDGS
  CORP                         700666100   3,437,975.00   377,400  X                X            1                 X
PAYLESS SHOE-
  SOURCE INC                   704379106   1,270,200.00    23,200  X                X            1                 X
P-COM INC                      693262107     376,000.00    64,000  X                X            1                 X
PEDIATRIX MEDICAL
  GROUP INC                    705324101     335,644.00    22,100  X                X            1                 X
PER-SE TECHNOLO-
  GIES INC                     713569309     170,544.00    14,592  X                X            1                 X
PF CHANGES CHINA
  BISTRO                       69333Y108     899,531.00    28,500  X                X            1                 X
PMC COMMERCIAL
  TRUST-SBI                     69343102   1,747,575.00   172,600  X                X            1                 X
POLYVISION CORP                731805107     171,062.50    80,500  X                X            1                 X
PRE-PAID LEGAL
  SERVICES INC                 740065107   3,331,143.75   102,300  X                X            1                 X
PROVIDENT FINANCIAL
  GROUP INC                     74866106   1,742,087.50    65,600  X                X            1                 X
QLOGIC CORP                    747277101     468,511.50     5,802  X                X            1                 X
RESOURCE BANC-
  SHARES MORTGAGE              761197102   1,022,456.25   224,100  X                X            1                 X
RIO ALTO EXPORA-
  TION LTD                      76689103   2,256,575.10   120,100  X                X            1                 X



<PAGE>

SANTA FE SNYDER
  CORP                         80218K105   2,237,500.00    200,00  X                X            1                 X
SAPIENT CORP                   803062108   2,327,250.00    16,000  X                X            1                 X
SCHWEITZER                     808541106   3,954,375.00   285,000  X                X            1                 X
SCIENTIFIC LEARNING
  CORP                         808760102     149,500.00    30,000  X                X            1                 X
SCM MICROSYSTEMS
  INC                          784018103   1,198,500.00    23,500  X                X            1                 X
SEACOR HOLDING INC             811904101  11,629,268.75   286,700  X                X            1                 X
SEALED AIR CORP
  NEW                          81211K100   8,548,500.00   164,000  X                X            1                 X
SEITEL INC NEW                8160743206     603,056.25    45,300  X                X            1                 X
SELECT COMFORT
  CORP                         81616X103      26,875.00    10,000  X                X            1                 X
SENSORMATIC ELEC-
  TRONICS CORP                 817265101     172,500.00    10,000  X                X            1                 X
SERANOVA INC                   817476104     120,000.00    15,000  X                X            1                 X
SOFTNET SYSTEMS
  INC                          833964109   3,112,806.25   426,500  X                X            1                 X
SOMERSET GROUP INC             834706103     510,091.00    21,706  X                X            1                 X
SPEEDWAY MOTOR-
  SPORTS INC                   847788106     360,000.00    15.000  X                X            1                 X
SUNGLASS HUT INTER-
  NATIONAL INC                 86736F106     224,750.00    31,000  X                X            1                 X
SUNOCO INC                     86764P109   3,242,187.50   125,000  X                X            1                 X
SUNRISE TECHNOLO-
  GIES INTL INC                86769L103     481,906.25    58,000  X                X            1                 X
TALBOTS INC                    874161102     642,500.00    10,000  X                X            1                 X
TALK.COM                       874264101     563,062.51   117,000  X                X            1                 X
TARGET CORP                    87612E106     318,750.00    10,000  X                X            1                 X
TECHNOLOGY SOLU-
  TIONS                        87872T108     194,718.75    46,500  X                X            1                 X
TRANS WORLD ENTER-
  TAINMENT CO                  89336Q100     185,562.56    16,000  X                X            1                 X
TREX INC                       89531P105     319,050.00     7,200  X                X            1                 X
US PLASTIC LUMBER
  CORP                         902948108     185,875.00    50,000  X                X            1                 X
UNITED STATIONERS
  INC                          913004107     674,425.00    21,200  X                X            1                 X
UNITEDGLOBALCOM
  CL A                         913247508   1,753,875.00    38,500  X                X            1                 X
USA DETERGENTS INC             902938109      70,125.00    22,000  X                X            1                 X
USA EDUCATION INC              90390U102   8,656,875.00   190,000  X                X            1                 X
UTS BLUE RIDGE REAL
  ESTATE CO                     96005103     352,712.50    35,700  X                X            1                 X
VENTANA MEDICAL
  SYSTEMS INC                  92276H106   1,143,750.00    57,200  X                X            1                 X
VENTRO CORP                    922815105     186,968.75    15,500  X                X            1                 X
VERIZON COMMUNI-
  CATIONS                      92343V104   1,901,250.00    45,000  X                X            1                 X
VISTEON CORP                   92839U107   3,782,187.50   245,000  X                X            1                 X



<PAGE>

WILLIAMS COMMUNI-
  ATIONS GROUP                 969455104   1,590,000.00    53,000  X                X            1                 X
WILLIAMS COMPANIES
  INC                          969457100   6,256,125.00   134,000  X                X            1                 X
WOODHEAD INDUSTRIES
  INC                          979438108     548,250.00    26,600  X                X            1                 X
WT PER-SE TECH-
  NOLOGIES INC
  EXF                          713569119     548,250.03    26,949  X                X            1                 X
                   Total:                247,062,118.49











































02903001.AA5


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