UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: MARCH 31, 1999
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: THE EDGEMONT ASSET MANAGEMENT CORPORATION
Address: 140 EAST 45TH STREET, 43RD FLOOR
NEW YORK, NY 10017
Form 13F File Number: 28-
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:ANTHONY W. TOOGOOD
Title:VICE PRESIDENT
Phone:212-922-2999
Signature, Place, and Date of Signing:
/s/
ANTHONY W. TOOGOOD NEW YORK, NY 6 AUGUST 1999
[Signature] [City, State] [Date]
Report Type (Check one only):
[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).)
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FORM 13F INFORMATION TABLE
PAGE 1
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COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8
- ------------------ -------------- -------- -------- ------------------ ---------- -------- --------------------
VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DISCRETION MANAGERS SOLE SHARED NONE
SOLE
- ------------------ -------------- -------- -------- ------- --- ---- ---------- -------- ---- ------ ----
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
AASTROM BIOSCIENCES INC COMMON 00253410 4,593,708 1,884,598 xxxx xxxx
AAVID THERMAL TECHNOLOGIE COMMON 00253910 4,812,500 350,000 xxxx xxxx
ABN AMRO ASIA SECS COMMON 69338P10 20,049 27,300 xxxx xxxx
ABN AMRO ASIA SECSPLC COMMON 69338P10 295,335 213,300 xxxx xxxx
ABN AMRO ASIA SECSPLC COMMON 69338P10 40,891 85,100 xxxx xxxx
AFFILIATED COMPUTER SVCS COMMON 00819010 73,200,000 1,600,000 xxxx xxxx
AFFYMETRIX INC COMMON 00826t10 2,193,188 63,000 xxxx xxxx
ALBANY MOLECULAR RESH INC COMMON 01242310 3,675,000 147,000 xxxx xxxx
ALEXION PHARMACEUTICALS I COMMON 01535110 7,064,719 837,300 xxxx xxxx
ALLIED CAP CORP NEW COMMON 01903Q10 7,258,125 395,000 xxxx xxxx
ALPHA INDS INC COMMON 02075310 16,411,631 893,150 xxxx xxxx
ALTERA CORP COMMON 02144110 23,800,000 400,000 xxxx xxxx
AMBASSADORS INTL INC COMMON 02317810 15,216,250 940,000 xxxx xxxx
AMDOCS LIMITED COMMON G0260210 85,418,750 3,950,000 xxxx xxxx
AMERICAN TOWER CORP COMMON 02991220 18,375,000 750,000 xxxx xxxx
AMERIPATH INC COMMON 03071D10 4,306,500 478,500 xxxx xxxx
APACHE CORP COMMON 03741110 10,425,000 400,000 xxxx xxxx
APP FIN VII MAURITIUS LTD BOND 00202PAA 16,457,500 29,000,000 xxxx xxxx
ARADIGM CORP COMMON 03850510 3,444,688 377,500 xxxx xxxx
ARQULE INC COMMON 04269E10 9,847,550 2,129,200 xxxx xxxx
ASIA PACIFIC WIRE + CABLE COMMON G0535E10 452,400 185,600 xxxx xxxx
ASIA PULP + PAPER LTD COMMON 04516V10 3,768,750 450,000 xxxx xxxx
AURORA BIOSCIENCE CORP COMMON 05192010 12,768,408 1,900,400 xxxx xxxx
AVIRON COMMON 05376210 9,286,650 458,600 xxxx xxxx
AXYS PHARMACEUTICAL INC COMMON 05463510 1,949,281 465,500 xxxx xxxx
BANGKOK BANK COMMON 633,543 309,000 xxxx xxxx
BANGKOK EXPRESSWAY COMMON 62,281 101,700 xxxx xxxx
BARNETT INC COMMON 06806210 6,468,000 739,200 xxxx xxxx
BILLING CONCEPTS CORP COMMON 09006310 28,776,688 2,423,300 xxxx xxxx
BIONX IMPLANTS INC COMMON 09064Q10 4,401,600 838,400 xxxx xxxx
BLYTH INDS INC COMMON 09643P10 40,606,650 1,718,800 xxxx xxxx
BMC SOFTWARE INC COMMON 05592110 9,265,625 250,000 xxxx xxxx
BORON LEPORE + ASSOCS INC COMMON 10001P10 8,001,200 771,200 xxxx xxxx
BOYDS COLLECTION LTD COMMON 10335410 5,400,000 300,000 xxxx xxxx
BUCKEYE TECHNOLOGIES INC COMMON 11815H10 7,000,000 500,000 xxxx xxxx
CAPITAL NOMURA SECS PUB C COMMON 421,870 195,600 xxxx xxxx
CARDINAL HEALTH INC COMMON 1419Y108 36,300,000 550,000 xxxx xxxx
CAREY INTL INC COMMON 14175010 8,450,000 520,000 xxxx xxxx
CENDANT CORP COMMON 15131310 277,200,000 17,600,000 xxxx xxxx
CENTRAL GARDEN + PET CO COMMON 15352710 25,312,500 1,500,000 xxxx xxxx
CENTRAL GARDEN + PET CO BOND 5,385,000 6,000,000 xxxx xxxx
CEPHALON INC COMMON 15670810 4,375,000 500,000 xxxx xxxx
CEPHALON INC BOND 10,000,000 10,000,000 xxxx xxxx
CHAMPIONSHIP AUTO RACING COMMON 15871110 9,110,300 312,800 xxxx xxxx
CHARLES RIV ASSOCS INC COMMON 15985210 4,885,313 202,500 xxxx xxxx
CHECK POINT SOFTWARE TECH COMMON 9,675,000 225,000 xxxx xxxx
CINAR CORP COMMON 17190510 28,750,000 1,250,000 xxxx xxxx
CIRCUIT CITY STORES INC COMMON 17273710 53,637,500 700,000 xxxx xxxx
CITRIX SYS INC COMMON 17737610 19,062,500 500,000 xxxx xxxx
CLEAR CHANNEL COMMUNICATI COMMON 19851610 67,062,500 1,000,000 xxxx xxxx
COAST DENTAL SVCS INC COMMON 19034410 3,283,125 510,000 xxxx xxxx
COGENERATION PCL COMMON 85,491 139,600 xxxx xxxx
COMPASS EAST IND COMMON 106,618 28,600 xxxx xxxx
COMPDENT CORP COMMON 20449F10 14,478,750 1,158,300 xxxx xxxx
COMPUWARE CORP COMMON 20563810 7,162,500 300,000 xxxx xxxx
CONCORD EFS INC COMMON 20618910 27,562,500 1,000,000 xxxx xxxx
CORPORATE EXECUTIVE BRD C COMMON 21988R10 9,727,100 368,800 xxxx xxxx
CORT BUSINESS SVCS CORP COMMON 22049310 1,604,875 69,400 xxxx xxxx
CSG SYS INTL INC COMMON 12634910 23,662,500 600,000 xxxx xxxx
CUNNINGHAM GRAPHICS INTL COMMON 23115710 3,761,625 286,600 xxxx xxxx
CYTYC CORP COMMON 23294610 5,550,000 400,000 xxxx xxxx
DECS TR IV PREF 4,000,000 500,000 xxxx xxxx
DEL MONTE FOODS CO COMMON 24522P10 25,056,250 1,900,000 xxxx xxxx
DENTAL / MED DIAGNOSTIC S COMMON 24873K20 80,625 10,000 xxxx xxxx
DENTSPLY INTL INC NEW COMMON 24903010 6,975,000 300,000 xxxx xxxx
DIAGNOSTIC PRODS CORP COMMON 25245010 18,522,150 763,800 xxxx xxxx
DISPATCH MNGM SVCS CORP COMMON 25492710 3,711,656 1,319,700 xxxx xxxx
DSP COMMUNICATIONS INC COMMON 23332K10 3,268,663 205,900 xxxx xxxx
DUCATI MOTOR HLDG COMMON 5641534 4,395,300 1,500,000 xxxx xxxx
DURA PHARMACEUTICALS INC COMMON 26632S10 8,475,000 600,000 xxxx xxxx
E4L INC COMMON 26845210 1,847,813 219,000 xxxx xxxx
EASTERN WATER RES COMMON 6297282 615,120 660,000 xxxx xxxx
ECLIPSYS CORP COMMON 27885610 4,805,938 227,500 xxxx xxxx
ELECTRICITY GENRTG COMMON 28501510 14,645 10,000 xxxx xxxx
ENDOCARE INC COMMON 29264P10 1,903,581 499,300 xxxx xxxx
ENTERCOM COMMUNICATIONS C COMMON 29363910 5,320,400 150,400 xxxx xxxx
ENZON INC COMMON 29390410 5,959,000 404,000 xxxx xxxx
EPIX MED INC COMMON 26881Q10 3,600,000 450,000 xxxx xxxx
ETHAN ALLEN INTERIORS INC COMMON 29760210 2,722,344 65,500 xxxx xxxx
FAMILY DLR STORES INC COMMON 30700010 23,000,000 1,000,000 xxxx xxxx
FEDERAL AGRIC MTG CORP COMMON 31314810 7,630,625 145,000 xxxx xxxx
FINISH LINE INC COMMON 31792310 5,150,000 400,000 xxxx xxxx
FLEXTRONICS INTERNATIONAL COMMON 3,315,000 65,000 xxxx xxxx
FOREST OIL CORP COMMON 34609160 2,250,000 300,000 xxxx xxxx
GALILEO INTL INC COMMON 36354710 48,375,000 1,000,000 xxxx xxxx
GELTEX PHARMACEUTICALS IN COMMON 36853810 4,705,313 334,600 xxxx xxxx
GENESYS TELECOMMUNICATION COMMON 37193110 1,506,250 100,000 xxxx xxxx
GETTY IMAGES INC COMMON 37427610 10,500,000 500,000 xxxx xxxx
GLOBAL DIRECTMAIL CORP COMMON 37932110 41,875,000 2,500,000 xxxx xxxx
GREENPOINT FINL CORP COMMON 39538410 42,256,000 1,216,000 xxxx xxxx
HANGER ORTHOPEDIC GROUP COMMON 41043F20 12,472,650 923,900 xxxx xxxx
HASTINGS ENTMT INC COMMON 41836510 5,156,250 500,000 xxxx xxxx
HEALTH SYS DESIGN CORP COMMON 42196410 773,738 131,700 xxxx xxxx
HEALTHCARE RECOVERIES INC COMMON 42220K10 7,651,800 1,569,600 xxxx xxxx
HELLER FINL INC COMMON 42332810 14,100,000 600,000 xxxx xxxx
HUTCHINSON TECHNOLOGY INC COMMON 44840710 24,875,000 1,000,000 xxxx xxxx
HUTCHINSON TECHNOLOGY INC BOND 448407AA 26,160,000 24,000,000 xxxx xxxx
IDX SYS CORP COMMON 44949110 11,484,000 792,000 xxxx xxxx
INCYTE PHARMACUTICALS INC COMMON 45337C10 13,435,856 669,700 xxxx xxxx
INFINITY BROADCASTING COR COMMON 45662S10 39,912,500 1,550,000 xxxx xxxx
INSPIRE INS SOLUTIONS INC COMMON 45773210 21,889,900 1,152,100 xxxx xxxx
INTERMEDIA COMMUNICATIONS COMMON 45880110 5,325,000 200,000 xxxx xxxx
INTERNATIONAL TELECOMM SY COMMON 46047F10 18,183,825 1,469,400 xxxx xxxx
INTIMATE BRANDS INC COMMON 46115610 24,062,500 500,000 xxxx xxxx
INVITROGEN CORP COMMON 46185R10 2,143,688 166,500 xxxx xxxx
IRSA INVERSIONES Y REPRES COMMON 2458577 2,684,474 101,781 xxxx xxxx
ITT EDL SVCS INC COMMON 45068B10 17,838,431 474,900 xxxx xxxx
IVILLAGE INC COMMON 46588H10 502,500 5,000 xxxx xxxx
JDS FITEL INC COMMON 46593410 22,524,000 400,000 xxxx xxxx
JLM INDS INC COMMON 46621D10 2,100,000 400,000 xxxx xxxx
KEYSTONE AUTOMOTIVE INDS COMMON 49338N10 3,250,000 200,000 xxxx xxxx
KOHLS CORP COMMON 50025510 7,087,500 100,000 xxxx xxxx
KROLL O GARA CO COMMON 50105010 5,425,000 200,000 xxxx xxxx
LAMAR ADVERTISING CO COMMON 51281510 24,774,375 730,000 xxxx xxxx
LASER VISION CTRS INC COMMON 51807H10 381,250 10,000 xxxx xxxx
LINCARE HLDGS INC COMMON 53279110 141,713,438 5,038,700 xxxx xxxx
LOWES COS INC COMMON 54866110 30,250,000 500,000 xxxx xxxx
LSI LOGIC CORP COMMON 50216110 26,509,375 850,000 xxxx xxxx
MAPICS INC COMMON 56491010 9,801,563 1,275,000 xxxx xxxx
MAXTOR CORP COMMON 57772920 4,943,750 700,000 xxxx xxxx
MCKESSON HBOC INC COMMON 58155Q10 72,600,000 1,100,000 xxxx xxxx
MEDICAL MANAGER CORP COMMON 58461C10 8,556,250 370,000 xxxx xxxx
MEDPARTNERS INC COMMON 58496810 28,975,000 6,100,000 xxxx xxxx
MEDSTONE INTL INC NEW COMMON 58505C10 570,625 83,000 xxxx xxxx
METRO ONE TELECOMM INC COMMON 59163F10 1,425,000 100,000 xxxx xxxx
MICRO WHSE INC COMMON 59501B10 22,992,638 1,425,900 xxxx xxxx
MONRO MUFFLER BRAKE INC COMMON 61023610 712,500 100,000 xxxx xxxx
NATIONAL FINANCE PUBLIC COMMON 585,800 2,000,000 xxxx xxxx
NEOPATH INC COMMON 64051710 1,000,000 250,000 xxxx xxxx
NETWORKS ASSOCS INC COMMON 64093810 9,206,250 300,000 xxxx xxxx
NEW ERA OF NETWORKS INC COMMON 64431210 8,001,275 118,100 xxxx xxxx
NEXSTAR PHARMACEUTICALS I COMMON 65333B10 6,923,963 405,800 xxxx xxxx
NIKE INC COMMON 65410610 5,768,750 100,000 xxxx xxxx
NOKIA CORP COMMON 65490220 3,115,000 20,000 xxxx xxxx
NUCO2 INC COMMON 62942810 3,343,750 500,000 xxxx xxxx
OCEANEERING INTL INC COMMON 67523210 2,478,988 163,900 xxxx xxxx
OCULAR SCIENCES INC COMMON 67574410 8,620,594 300,500 xxxx xxxx
OFFICE DEPOT INC COMMON 67622010 147,250,000 4,000,000 xxxx xxxx
OMNICARE INC COMMON 68190410 7,586,875 398,000 xxxx xxxx
ORTHODONTIC CTRS AMER INC COMMON 68750P10 9,450,000 600,000 xxxx xxxx
ORTHOFIX INTERNATIONAL COMMON N6748L10 15,000,000 1,000,000 xxxx xxxx
OUTDOOR SYS INC COMMON 69005710 24,000,000 800,000 xxxx xxxx
PEAK TRENDS TR COMMON 70468N10 4,125,000 1,000,000 xxxx xxxx
PENSKE MOTORSPORTS INC COMMON 70959810 1,103,325 31,300 xxxx xxxx
PETSMART INC COMMON 71676810 47,093,937 5,863,800 xxxx xxxx
PETSMART INC BOND 716768AA 66,300,000 60,000,000 xxxx xxxx
PHILADELPHIA CONS HLDG CO COMMON 71752810 25,283,038 1,256,300 xxxx xxxx
PHYSICIAN RELIANCE NETWOR COMMON 71940G10 51,000,000 6,000,000 xxxx xxxx
PIXTECH INC PREF 72583K10 6,020,469 266,297 xxxx xxxx
PIXTECH INC COMMON 72583K10 1,695,423 678,169 xxxx xxxx
PLATINUM TECHNOLOGY INTL COMMON 72764T10 11,838,962 464,273 xxxx xxxx
POWERWAVE TECHNOLOGIES IN COMMON 73936310 14,116,563 497,500 xxxx xxxx
PROJECT SOFTWARE + DEV IN COMMON 74339P10 796,250 32,500 xxxx xxxx
PROTEIN DESIGN LABS INC COMMON 74369L10 7,531,250 500,000 xxxx xxxx
PSS WORLD MED INC COMMON 71940L10 40,306,613 4,573,800 xxxx xxxx
PUMA TECHNOLOGY INC COMMON 74588710 344,625 91,900 xxxx xxxx
QLT PHOTOTHERAPEUTICS COMMON 74692710 19,465,649 481,300 xxxx xxxx
QRS CORP COMMON 74837W10 12,512,500 200,000 xxxx xxxx
RCN CORP COMMON 74936110 6,712,500 200,000 xxxx xxxx
REALTY INFORMATION GROUP COMMON 75612B10 2,486,250 85,000 xxxx xxxx
RENTOKIL INITIAL COMMON 33,743,050 5,500,000 xxxx xxxx
RTW INC COMMON 74974R10 6,410,125 1,349,500 xxxx xxxx
SENSORMATIC ELECTRS CORP COMMON 81726510 1,900,000 200,000 xxxx xxxx
SEROLOGICALS CORP COMMON 81752310 11,345,031 836,500 xxxx xxxx
SHERIDAN HEALTHCARE INC COMMON 82378110 7,745,250 898,000 xxxx xxxx
SHIRE PHARMACEUTICALS GRO COMMON 8,020,875 351,600 xxxx xxxx
SHOPKO STORES INC COMMON 82491110 23,900,000 800,000 xxxx xxxx
SIEBEL SYS INC COMMON 82617010 16,387,500 345,000 xxxx xxxx
SIMPSON MFG INC COMMON 82907310 11,571,875 287,500 xxxx xxxx
SKYTEL COMMUNICATIONS INC COMMON 83087Q10 10,422,213 626,900 xxxx xxxx
SNYDER OIL CORP COMMON 83348210 17,404,688 1,175,000 xxxx xxxx
SONOSITE INC COMMON 83568G10 343,750 25,000 xxxx xxxx
SPEEDWAY MOTORSPORTSINC COMMON 84778810 1,546,875 37,500 xxxx xxxx
ST MARY LD + EXPL CO COMMON 79222810 6,950,000 400,000 xxxx xxxx
STAPLES INC COMMON 85503010 49,312,500 1,500,000 xxxx xxxx
STERIGNICS INTL INC COMMON 85932610 97,500 10,000 xxxx xxxx
STERILE RECOVERIES INC COMMON 85915110 6,464,675 630,700 xxxx xxxx
STERIS CORP COMMON 85915210 109,681,688 4,119,500 xxxx xxxx
STERLING SOFTWARE INC. COMMON 85954710 17,812,500 750,000 xxxx xxxx
SURMODICS INC COMMON 86887310 1,304,800 93,200 xxxx xxxx
SYNETIC INC COMMON 87160F10 11,175,000 200,000 xxxx xxxx
SYNOPSYS INC COMMON 87160710 23,811,250 443,000 xxxx xxxx
TEL SAVE COM INC COMMON 87917610 5,218,750 500,000 xxxx xxxx
TELLABS INC COMMON 87966410 9,775,000 100,000 xxxx xxxx
THAI FARMERS BANK COMMON 404,740 200,000 xxxx xxxx
THAI REINSURANCE PUBLIC C COMMON 79,885 50,000 xxxx xxxx
TMP WORLDWIDE INC COMMON 87294110 19,443,750 300,000 xxxx xxxx
TRANSACTION NETWORK SVCS COMMON 89341410 24,562,500 1,500,000 xxxx xxxx
TRANSACTION SYS ARCHITECT COMMON 89341610 10,800,000 300,000 xxxx xxxx
TRANSKARYOTIC THERAPIES I COMMON 89373510 298,450 9,400 xxxx xxxx
UNIPHASE CORP COMMON 90914910 17,268,750 150,000 xxxx xxxx
UNITED PAN EUROPE COMMON 91130020 9,562,500 250,000 xxxx xxxx
UNIVERSAL STANDARD HEALTH COMMON 91383910 175,000 700,000 xxxx xxxx
VALLEY MEDIA INC COMMON 91972C10 1,137,500 50,000 xxxx xxxx
VENTANA MED SYS INC COMMON 92276H10 6,466,375 289,000 xxxx xxxx
VICAL INC COMMON 92560210 2,665,000 260,000 xxxx xxxx
VICOR CORP COMMON 92581510 6,250,000 500,000 xxxx xxxx
VIRGINIA GAS CO COMMON 92781410 1,482,500 593,000 xxxx xxxx
VIROPHARMA INC COMMON 92824110 1,470,813 233,000 xxxx xxxx
VISIO CORP COMMON 92791410 12,690,000 451,200 xxxx xxxx
VITESSE SEMICONDUCTOR COR COMMON 92849710 40,500,000 800,000 xxxx xxxx
WETHERSPOON (JD) COMMON 0163895 79,395,810 17,377,065 xxxx xxxx
WILMAR INDS INC COMMON 97142610 5,468,775 369,200 xxxx xxxx
XOMED SURGICAL PRODS INC COMMON 98412V10 11,775,000 300,000 xxxx xxxx
YOUNG INNOVATIONS INV COMMON 98752010 709,700 60,400 xxxx xxxx
ZOLL MED CORP COMMON 98992210 10,786,600 980,600 xxxx xxxx
ZONAGEN INC COMMON 98975L10 225,750 10,500 xxxx xxxx
GRAND 3,284,418,968
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