COEUR D ALENE MINES CORP
424B3, 1998-08-12
GOLD AND SILVER ORES
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<PAGE>   1
 
PROSPECTUS SUPPLEMENT NO. 3
DATED AUGUST 12, 1998
(TO PROSPECTUS DATED MARCH 31, 1998)
 
                                  $143,750,000
 
                        COEUR D'ALENE MINES CORPORATION
 
              7 1/4% CONVERTIBLE SUBORDINATED DEBENTURES DUE 2005
 
                            ------------------------
 
     Based on information available to the Company, the total principal amount
of Debentures that currently may be offered by the Selling Debentureholders
pursuant to this Prospectus is $122,185,000. The table on pages 26 and 27 of the
Prospectus setting forth information regarding the Selling Debentureholders is
replaced by the following table:
 
<TABLE>
<CAPTION>
                                                                                       PERCENT OF
                                                                                      $143,750,000
                                         PRINCIPAL AMOUNT    PRINCIPAL AMOUNT OF   PRINCIPAL AMOUNT OF
                                          OF DEBENTURES       DEBENTURES BEING         OUTSTANDING
                 NAME                   BENEFICIALLY OWNED         OFFERED             DEBENTURES
                 ----                   ------------------   -------------------   -------------------
<S>                                     <C>                  <C>                   <C>
MainStay Convertible Fund.............     $ 14,800,000         $ 14,800,000              10.30%
SG Cowen Securities Company...........       12,300,000           12,300,000               8.56
President and Fellows of Harvard
  College.............................       11,000,000           11,000,000               7.65
Argent Classic Convertible Arbitrage
  Fund (Bermuda) L.P..................        8,500,000            8,500,000               5.91
Triton Capital Investments, LTD.......        7,550,000            7,550,000               5.25
J.P. Morgan & Co. Inc. ...............        7,500,000            7,500,000               5.22
Lipper Convertibles, L.P..............        6,000,000            6,000,000               4.17
Phoenix Convertible Fund..............        6,000,000            6,000,000               4.17
Forest Fulcrum Fund LP................        5,150,000            5,150,000               3.58
Forest Global Convertible Fund Series
  A-5.................................        4,400,000            4,400,000               3.06
JMG Convertible Investments, L.P. ....        4,000,000            4,000,000               2.78
Highbridge International LDC..........        2,000,000            2,000,000               1.39
St. Clair Investments, L.P. ..........        3,000,000            3,000,000               2.09
Lipper Offshore Convertibles L.P......        2,500,000            2,500,000               1.74
New York Life Separate Account #7.....        2,500,000            2,500,000               1.74
UBS A.G...............................        2,200,000            2,200,000               1.53
GLG Global Convertible Fund PLC.......        1,550,000            1,550,000               1.08
Duckbill & Co.........................        1,625,000            1,625,000               1.13
KA Management Ltd.                            1,339,500            1,339,500                  *
TQA Vantage Fund, L.P.................        1,200,000            1,200,000                  *
K.A. Trading L.P......................        1,010,500            1,010,500                  *
Argent Classic Convertible Arbitrage
  Fund LP.............................        1,000,000            1,000,000                  *
Commonwealth Life Insurance
  Company -- (Teamsters -- Camden
  Non-Enhanced).......................        1,000,000            1,000,000                  *
Commonwealth Life Insurance
  Comp. -- Stock TRAC (Teamsters I)...        1,000,000            1,000,000                  *
Fortis Services Fund, Inc. -- Growth &
  Income Series.......................        1,000,000            1,000,000                  *
Merrill Lynch Convertible Fund,
  Inc.................................        1,000,000            1,000,000                  *
Merrill Lynch World Income Fund,
  Inc.................................        1,000,000            1,000,000                  *
Security Insurance Company of
  Hartford............................        1,000,000            1,000,000                  *
Tribeca Investments, L.L.C............        1,000,000            1,000,000                  *
TQA Arbitrage Fund, L.P...............          950,000              950,000                  *
Phoenix Home Life Convertible Fund....          750,000              750,000                  *
MainStay VP Convertible Fund..........          700,000              700,000                  *
TQA Leverage Fund, L.P................          675,000              675,000                  *
</TABLE>
<PAGE>   2
 
<TABLE>
<CAPTION>
                                                                                       PERCENT OF
                                                                                      $143,750,000
                                         PRINCIPAL AMOUNT    PRINCIPAL AMOUNT OF   PRINCIPAL AMOUNT OF
                                          OF DEBENTURES       DEBENTURES BEING         OUTSTANDING
                 NAME                   BENEFICIALLY OWNED         OFFERED             DEBENTURES
                 ----                   ------------------   -------------------   -------------------
<S>                                     <C>                  <C>                   <C>
TQA Vantage Plus Fund, Ltd............          675,000              675,000                  *
Reserve Convertible Securities Fund...          550,000              550,000                  *
Providian Life & Health (Camden)......          500,000              500,000                  *
Silverton International Fund
  Limited.............................          500,000              500,000                  *
Zazove Convertible Fund, L.P..........          500,000              500,000                  *
LLT Limited...........................          400,000              400,000                  *
Pacific Horizon Capital Income Fund...          400,000              400,000                  *
McMahan Securities Company, L.P. .....          350,000              350,000                  *
Fortis Equity Portfolio,
  Inc. -- Fortis Growth & Income
  Portfolio...........................          250,000              250,000                  *
LDG Limited...........................          250,000              250,000                  *
Worldwide Transactions Ltd............          170,000              170,000                  *
SoundShare Partners L.P. .............          135,000              135,000                  *
Employee Benefit Convertible Fund.....           55,000               55,000                  *
Bank of America Convertible Securities
  Fund................................          110,000              110,000                  *
Forest Global Convertible Fund Series
  A...................................           50,000               50,000                  *
Salomon Brothers Inc..................           50,000               50,000                  *
Pacific Innovation Trust Capital
  Income Fund.........................           40,000               40,000                  *
                                           ------------         ------------              -----
          Total.......................     $122,185,000         $122,185,000              85.00%
                                           ============         ============              =====
</TABLE>
 
- ---------------
* Less than 1%


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