PORTER A ALEX
13F-HR, 2000-11-14
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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: 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:    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          11/14/2000
         --------------------    --------------        ----------
              [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
         28-                      Geoffrey Hulme
         28-                      Jeremy Mindich

         [Repeat as necessary.]



<PAGE>

                      Form 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:          3

Form 13F Information Table Entry Total:     151

Form 13F Information Table Value Total:     $255,088,356


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
         2         28-                      Geoffrey Hulme
         3         28-                      Jeremy Mindich

         [Repeat as necessary.]



<PAGE>

<TABLE>
                                                   Form 13F INFORMATION TABLE
                                                       September 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>

ABERCROMBIE
  & FITCH CO-CL A   COMMON       2896207        714,843    37,500  X                X            1, 2, 3           X
ACTION, PERFORMANCE
  COMPANIES         COMMON       4933107        192,499    65,000  X                X            1, 2, 3           X
ADVANCED RADIO
  TELECOM CORP      COMMON     00754U101        148,750    17,500  X                X            1, 2, 3           X
ADVANCE PARADIGM
  INC               COMMON                      421,875    10,000  X                X            1, 2, 3           X
AES CORP            COMMON     00130H105     13,803,760   248,960  X                X            1, 2, 3           X
AETNA INC           COMMON                    1,161,249    20,000  X                X            1, 2, 3           X
AG SERVICES OF
  AMERICA INC.      COMMON       1250109        528,750    30,000  X                X            1, 2, 3           X
ALPINE GROUP INC    COMMON      20825105      3,476,375   793,600  X                X            1, 2, 3           X
ALLIED HOLDINGS
  INC               COMMON     019223106        308,875    65,200  X                X            1, 2, 3           X
ALLOS THERAPEUTICS
  INC               COMMON      19777101        256,656    28,000  X                X            1, 2, 3           X
AMES DEPARTMENT
  STORES INC NEW    COMMON      30789507         81,027    14,000  X                             1, 2, 3           X
AMERICAN EAGELES
  OUTFITTERS INC    COMMON     2.55E+109      2,447,550    77,700  X                X            1, 2, 3           X
AMERICAN FINANCIAL
  HLDGS INC         COMMON      26075101      1,057,500    60,000  X                X            1, 2, 3           X
AT&T CORP LIBERTY
  MEDIA GROUP       COMMON       1957208        810,000    45,000  X                X            1, 2, 3           X
BAXTER INTL INC     COMMON      71813109      1,137,806    14,256  X                X            1, 2, 3           X
BEA SYSTEMS INC     COMMON     073325102        778,750    10,000  X                X            1, 2, 3           X
UTS BLUE RIDGE
  REAL ESTATE CO    COMMON      96005103        352,712    35,700  X                X            1, 2, 3           X
BROADVISION INC     COMMON     111412102        236,324     9,200  X                X            1, 2, 3           X
BREAKAWAY SOLUTIONS
  INC               COMMON     106372105         89,062    10,000  X                X            1, 2, 3           X
BUSINESS OBJECTS SA
  SPONSORED         COMMON     12328X107      2,035,125    18,000  X                X            1, 2, 3           X
CARRIER ACCESS CORP COMMON     144460102        752,349    38,000  X                X            1, 2, 3           X
CENTURY BUSINESS
  SERVICES INC      COMMON     156490104         93,449    71,000  X                X            1, 2, 3           X
COMDISCO INC        COMMON     200336105      1,810,936    95,000  X                X            1, 2, 3           X



<PAGE>

CANADIAN NATURAL
  RESOURCES LTD     COMMON     136385101      3,685,000   110,000  X                X            1, 2, 3           X
CHESAPEAKE ENERGY
  CORP              COMMON     165167107        200,531    27,900  X                X            1, 2, 3           X
COASTAL CORP        COMMON     190441105      1,297,187    17,500  X                X            1, 2, 3           X
CINAR CORPORATION   COMMON     171905300      1,176,408   425,000  X                X            1, 2, 3           X
COLGATE PALMOLIVE
  CO                COMMON     194162103      2,171,200    46,000  X                X            1, 2, 3           X
COMMERCE GROUP
  INC-MASS.         COMMON     200641108        420,635    14,536  X                X            1, 2, 3           X
COOPER CAMERON CORP COMMON     216640102        442,125     6,000  X                X            1, 2, 3           X
CRESTLINE CAPITAL
  CORP              COMMON     226153104        826,575    41,000  X                X            1, 2, 3           X
CELL PATHWAYS
  INC - NEW         COMMON     15114R101        164,125    20,200  X                X            1, 2, 3           X
CLOSURE MEDICAL CORP           189093107        979,793    38,900  X                X            1, 2, 3           X
CLOROX COMPANY      COMMON    1890454109        751,687    19,000  X                X            1, 2, 3           X
CNET NETWORKS INC   COMMON     12613R104        332,211    13,600  X                X            1, 2, 3           X
CNS INC             COMMON     126136100        115,087    27,900  X                X            1, 2, 3           X
CORECOMM LIMITED    COMMON     21869Q108        351,630    44,300  X                X            1, 2, 3           X
CALPINE CORP        COMMON     131347106      1,252,500    13,300  X                X            1, 2, 3           X
CHOICEPOINT INC     COMMON     170388102      6,743,624   147,000  X                X            1, 2, 3           X
COMMONWEALTH
  BANKSHARES
  INC - VA          COMMON     202736104        632,905    94,744  X                X            1, 2, 3           X
DOMINION RES INC
  VA NEW            COMMON     25746U109      1,451,562    25,000  X                X            1, 2, 3           X
DAOU SYSTEMS INC    COMMON     237015102         19,783    20,000  X                X            1, 2, 3           X
DAW TECHNOLOGIES
  INC               COMMON     239220106         34,687    30,000  X                X            1, 2, 3           X
DIAL CORP NEW       COMMON     25247D101      1,628,662   140,100  X                X            1, 2, 3           X
DELPHI AUTOMOTIVE
  SYS CORP          COMMON     247126105      1,210,000    80,000  X                X            1, 2, 3           X
DEVON ENERGY
  CORPORATION NEW   COMMON     25179M103      4,234,560    70,400  X                X            1, 2, 3           X
EL PASO ELECTRIC
  CO NEW            COMMON     283677854      6,838,182   496,600  X                X            1, 2, 3           X
ELAN CORP PLC - ADR COMMON     284131208      2,162,625    39,500  X                X            1, 2, 3           X
EPITOPE INC         COMMON      29421102        158,250    12,000  X                X            1, 2, 3           X
EARTHSHELL CORP     COMMON     27032B100        104,875    83,900  X                X            1, 2, 3           X
EWMC INTL INC       COMMON      EWMCFW.P        435,069 1,175,863  X                X            1, 2, 3           X
EXIDE CORP          COMMON     302051107        435,000    48,000  X                X            1, 2, 3           X
EXCO RESOURCES
  INC NEW           COMMON     269279204      2,843,793   193,500  X                X            1, 2, 3           X
EWMC INTL INC       WARRANTS    EWMCFW.P        136,527   568,863  X                X            1, 2, 3           X
FANNIE MAE          COMMON     313586109        214,500     3,000  X                X            1, 2, 3           X
FASTENAL CO         COMMON     311900104      2,298,037    39,900  X                X            1, 2, 3           X
FLAMEL
  TECHNOLOGIES SA   COMMON     338488109        514,225    72,400  X                X            1, 2, 3           X
FIDELITY NATIONAL
  FINANCIAL         COMMON     316326107      1,089,000    44,000  X                X            1, 2, 3           X



<PAGE>

FEDERAL NATIONAL
  MORTGAGE ASSN     COMMON     313586109      3,932,500    55,000  X                X            1, 2, 3           X
FIRST UNION CORP    COMMON     337358105      2,735,937    85,000  X                X            1, 2, 3           X
FLORIDA EAST COAST
  INDS INC          COMMON     340632108        205,000     5,000  X                X            1, 2, 3           X
GARDENBURGER INC    COMMON     365476100        157,500    45,000  X                X            1, 2, 3           X
GAP INC             COMMON     364760108      1,006,249    50,000  X                X            1, 2, 3           X
GREENPOINT FINANCIAL
  CORP              COMMON     395384100     13,671,937   461,500  X                X            1, 2, 3           X
GETTHERE COM INC    COMMON     374266106      6,090,367   344,400  X                X            1, 2, 3           X
GENZYME CORP -
  TISSUE REPAIR     COMMON     372917401        106,437    36,000  X                X            1, 2, 3           X
GLOBAL TECH
  APPLIANCES INC    COMMON     G39320109        125,000   677,500  X                X            1, 2, 3           X
HARMAN INTER-
  NATIONAL          COMMON     413086109      5,098,640   130,400  X                X            1, 2, 3           X
HUDSON CITY BANCORP
  INC               COMMON     443683107      1,285,000    79,000  X                X            1, 2, 3           X
HUMMINGBIRD LTD     COMMON     44544R101        385,937    13,000  X                X            1, 2, 3           X
I-STAT CORP         COMMON     450312103      1,117,550     2,000  X                X            1, 2, 3           X
IMMUNEX CORP        COMMON     452528102        191,400     4,400  X                X            1, 2, 3           X
INTL BUSINESS
  MACHINES CORP     COMMON     459200101      2,362,500    21,000  X                X            1, 2, 3           X
INFORMIX CORP       COMMON     456779107         61,875    15,000  X                X            1, 2, 3           X
IXL ENTERPRISES INC COMMON     450718101         48,109    11,000  X                X            1, 2, 3           X
INTEL CORP          COMMON     458140100      1,246,800    30,000  X                X            1, 2, 3           X
INTERNET PICTURES
  CORP              COMMON     46059S101        126,225    23,214  X                X            1, 2, 3           X
IRON MOUNTAIN
  INC PA            COMMON     462846106        364,450     9,850  X                X            1, 2, 3           X
INTERNATIONAL
  SPEEDWAY CORP     COMMON     460335201        584,938    15,000  X                X            1, 2, 3           X
INTELLIGROUP INC    COMMON     45816a106         23,437    15,000  X                X            1, 2, 3           X
12 TECHOLOGIES INC  COMMON     465754109      2,618,812    14,000  X                X            1, 2, 3           X
JAKKS PACIFIC INC   COMMON     4.70e+110        282,140    30,000  X                X            1, 2, 3           X
KIMCO REALTY CORP   COMMON     49446R109      6,683,950   158,200  X                X            1, 2, 3           X
LEAR CORP           COMMON     521865105      3,495,625   170,000  X                X            1, 2, 3           X
LINCOLN ELEC CO.
  HOLDINGS INC      COMMON     533900106        870,550    65,400  X                X            1, 2, 3           X
LIFELINE SYSTEMS
  INC               COMMON     532192101      1,157,474    72,400  X                X            1, 2, 3           X
LABOR READY INC NEW COMMON     505401208        209,375    50,000  X                X            1, 2, 3           X
MIDDLEBY CORP       COMMON     596278101        629,659   105,000  X                X            1, 2, 3           X
MICHAELS STORES INC COMMON     594087108      2,080,000    51,500  X                X            1, 2, 3           X
MUSICLAND STORES
  CORP              COMMON     62758B109      1,147,655   162,500  X                X            1, 2, 3           X
MID ATLANTIC MEDICAL
  SERVICES          COMMON     59523C107        446,187    29,500  X                X            1, 2, 3           X
MERCURY COMPUTER
  SYSTEMS INC       COMMON     589378108        812,124    29,200  X                X            1, 2, 3           X
MRV COMMUNICATIONS



<PAGE>

  INC               COMMON     553477100        317,030     7,000  X                X            1, 2, 3           X
MONTANA POWER CO    COMMON     612085100      4,238,624   127,000  X                X            1, 2, 3           X
NEW ENGLAND BUSINESS
  SVC INC           COMMON     643872104        846,437    46,700  X                X            1, 2, 3           X
NIAGARA MOHAWK
  HOLDINGS INC      COMMON     653520106      6,375,600   404,800  X                X            1, 2, 3           X
NEWELL RUBBERMAID
  INC COM           COMMON     651229106        912,500    40,000  X                X            1, 2, 3           X
NEXTCARD INC        COMMON     65332K107         45,483     5,000  X                X            1, 2, 3           X
OCEAN ENERGY INC
  TEX (NEW)         COMMON     6.75E+110        343,700    22,264  X                X            1, 2, 3           X
OGLEBAY NORTON CO   COMMON     677007106      9,735,600   347,700  X                X            1, 2, 3           X
PACCAR INC - DEL
  - W/RTS TO PUR    COMMON     693718108      1,297,187    35,000  X                X            1, 2, 3           X
PMC, COMMERCIAL
  TRUST - SBI       COMMON     693434102      1,790,725   172,600  X                X            1, 2, 3           X
P - COM INC         COMMON     693262107        424,000    73,000  X                X            1, 2, 3           X
PEDIATRIX MEDICAL
  GROUP INC.        COMMON                      285,918    22,100  X                X            1, 2, 3           X
PF CHANGS CHINA
  BISTRO            COMMON     69333Y108        958,031    28,500  X                X            1, 2, 3           X
PROVIDENT FINANCIAL
  GROUP INC         COMMON     743866105      2,220,749    75,600  X                X            1, 2, 3           X
PARK-OHIO HLDGS
  CORP              COMMON     700666100      2,969,125   377,400  X                X            1, 2, 3           X
POLYVISION CORP     COMMON     731805107        191,187    80,500  X                X            1, 2, 3           X
PRE-PAID LEGAL
  SERVICES INC      COMMON     740065107      3,305,568   102,300  X                X            1, 2, 3           X
PROCOM TECHNOLOGY
  INC               COMMON     74279W107        600,293    22,000  X                X            1, 2, 3           X
PAYLESS SHOESOURCE
  INC.              COMMON     704379106      3,651,200    65,200  X                X            1, 2, 3           X
PACIFIC SUNWEAR OF
  CALIFORNIA        COMMON     694873100      1,301,000    69,400  X                X            1, 2, 3           X
QLOGIC CORP         COMMON     747277101        510,576     5,802  X                X            1, 2, 3           X
RESOURCE BANCSHARES
  MORTGAGE          COMMON     761197102      1,272,869   224,100  X                X            1, 2, 3           X
RIO ALTO
  EXPLORATION LTD   COMMON     766892103      2,873,289   135,100  X                X            1, 2, 3           X
SAP AG-SPONSORED
  ADR               COMMON     803054204      1,845,000    30,000  X                X            1, 2, 3           X
SAPIENT CORP        COMMON     803062108        776,955    19,100  X                X            1, 2, 3           X
SCHWEITZER MAUDUIT
  INTL INC          COMMON     808541106      3,878,749   290,000  X                X            1, 2, 3           X
SCIENTIFIC LEARNING
  CORP              COMMON     808760102        163,000    30,000  X                X            1, 2, 3           X
SEACOR HOLDING INC. COMMON     811904101     11,922,012   225,700  X                X            1, 2, 3           X
SEALED AIR CORP NEW COMMON     81211K100      5,611,000   124,000  X                X            1, 2, 3           X
SEITEL INC NEW      COMMON                      651,187    45,300  X                X            1, 2, 3           X
SENSORMATIC
  ELECTRONIC CORP   COMMON     817265101        150,000    10,000  X                X            1, 2, 3           X



<PAGE>

SERANOVA INC        COMMON     817476104         78,750    15,000  X                X            1, 2, 3           X
SMALLWORLDWIDE
  PLC               COMMON     83168P108      1,155,068    58,300  X                X            1, 2, 3           X
SOFTNET SYSTEMS INC COMMON     833964109      2,545,676   426,500  X                X            1, 2, 3           X
SOMERSET GROUP INC  COMMON     834706103        613,194    21,706  X                X            1, 2, 3           X
SPEEDWAY MOTORSPORTS
  INC               COMMON     847788106        291,374    14,000  X                X            1, 2, 3           X
SUNGLASS HUT
  INTERNATIONAL INC COMMON     86736F106        346,155    31,000  X                X            1, 2, 3           X
SUNRISE TECHNOLOGIES
  INC               COMMON     86769L103        344,998    48,000  X                X            1, 2, 3           X
SUNOCO INC          COMMON     86764P109      5,272,811   195,000  X                X            1, 2, 3           X
TALK.COM INC        COMMON     874264104        515,530   117,000  X                X            1, 2, 3           X
TARGET CORP         COMMON     87612E106        768,750    30,000  X                X            1, 2, 3           X
TALBOTS INC         COMMON     879161102        662,500    10,000  X                X            1, 2, 3           X
TETRA TECH INC NEW  COMMON                      142,813     5,000  X                X            1, 2, 3           X
TREX INC            COMMON     89531P105        218,249     7,200  X                X            1, 2, 3           X
TECHNOLOGY SOLUTIONS
  CO                COMMON     87872T108        115,906    46,500  X                X            1, 2, 3           X
UNITED STATIONERS
  INC               COMMON      91304107        569,750    21,200  X                X            1, 2, 3           X
UNITEDGLOBALCOM
  CL A              COMMON     913247508         56,500    74,843  X                X            1, 2, 3           X
US PLASTIC LUMBER
  CORP              COMMON     902948108      1,694,843    50,000  X                X            1, 2, 3           X
USA DETERGENTS INC  COMMON     902938109         70,125    22,000  X                X            1, 2, 3           X
USA EDUCATION INC   COMMON     90390U102      9,492,937   197,000  X                X            1, 2, 3           X
VALSPAR CORP        COMMON     920355104      2,528,900   110,000  X                X            1, 2, 3           X
VISTEON CORP        COMMON     92839U107      3,478,750   230,000  X                X            1, 2, 3           X
VENTANA MEDICAL
  SYSTEM INC        COMMON     92276H106      1,413,387    50,700  X                X            1, 2, 3           X
VENTRO CORP         COMMON     922815105        170,500    15,500  X                X            1, 2, 3           X
VERIZON
  COMMUNICATIONS    COMMON     92343V104      2,518,750    52,000  X                X            1, 2, 3           X
WILLIAMS
  COMMUNICATIONS
  GROUP             COMMON     969455104      1,860,000    93,000  X                X            1, 2, 3           X
WOODHEAD INDUSTRIES
  INC               COMMON     979438108        553,611    26,600  X                X            1, 2, 3           X
WILLIAMS COMPANIES
  INC               COMMON     969457100      4,182,750    99,000  X                X            1, 2, 3           X
</TALBLE>
                                  Total:   $255,088,356










02903001.AA6


</TABLE>


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