<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>