KAUFMANN FUND INC
13F-HR, 1999-08-06
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                                  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, 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).)

<PAGE>

                           FORM 13F INFORMATION TABLE


                                                                         PAGE  1
<TABLE>
<CAPTION>
     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    1,875,000     1,500,000          X                     X
AAVID THERMAL TECHNOLOGIE    COMMON          00253910    7,918,750       350,000          X                     X
ADFORCE INC                  COMMON          99686710    3,141,950       133,700          X                     X
AFFILIATED COMPUTER SVCS     COMMON          00819010   81,000,000     1,600,000          X                     X
ALEXION PHARMACEUTICALS I    COMMON          01535110    7,431,038       837,300          X                     X
ALPHA INDS INC               COMMON          02075310   52,387,500     1,100,000          X                     X
ALTERA CORP                  COMMON          02144110   36,812,500     1,000,000          X                     X
AMBASSADORS INTL INC         COMMON          02317810   13,610,625       915,000          X                     X
AMDOCS LIMITED               COMMON          G0260210  102,375,000     4,500,000          X                     X
AMERICAN TOWER CORP          COMMON          02991220   21,136,800       880,700          X                     X
AMERIPATH INC                COMMON          03071D10    1,102,275       127,800          X                     X
ANIKA THERAPEUTICS INC       COMMON          03525510    2,357,900       277,400          X                     X
ANNTAYLOR STORES CORP        COMMON          03611510    4,500,000       100,000          X                     X
APACHE CORP                  COMMON          03741110   15,600,000       400,000          X                     X
APEX PC SOLUTIONS INC        COMMON          03754810    4,100,000       200,000          X                     X
APP FIN VII MAURITIUS LTD    BOND            00202PAA   21,460,000    29,000,000          X                     X
ARADIGM CORP                 COMMON          03850510    3,350,313       377,500          X                     X
ARIBA INC                    COMMON          04033V10    2,917,500        30,000          X                     X
ARQULE INC                   COMMON          04269E10   10,379,850     2,129,200          X                     X
ASIA PULP + PAPER LTD        COMMON          04516V10   18,768,750     1,950,000          X                     X
ASIA PULP PAPER LTD          COMMON          04516V20      236,250        90,000          X                     X
AUDIO CODES LTD              COMMON          M1534210    8,100,000       300,000          X                     X
AURORA BIOSCIENCE CORP       COMMON          05192010   13,777,900     1,900,400          X                     X
AVIRON                       COMMON          05376210    7,187,500       250,000          X                     X
AXYS PHARMACEUTICAL INC      COMMON          05463510    1,571,063       465,500          X                     X
BILLING CONCEPTS CORP        COMMON          09006310   27,110,669     2,423,300          X                     X
BIONX IMPLANTS INC           COMMON          09064Q10    4,125,000       750,000          X                     X
BLYTH INDS INC               COMMON          09643P10   17,187,500       500,000          X                     X
BMC SOFTWARE INC             COMMON          05592110    5,400,000       100,000          X                     X
BOSTON SCIENTIFIC CORP       COMMON          10113710    2,196,875        50,000          X                     X
CAREINSITE INC               COMMON          14170M10    5,670,000       120,000          X                     X
CAREY INTL INC               COMMON          14175010   12,805,000       520,000          X                     X
CENDANT CORP                 COMMON          15131310  323,900,000    15,800,000          X                     X
CEPHALON INC                 COMMON          15670810    8,687,500       500,000          X                     X
CEPHALON INC                 BOND                       10,000,000    10,000,000          X                     X
CHAMPIONSHIP AUTO RACING     COMMON          15871110   15,351,950       512,800          X                     X
CHARLES RIV ASSOCS INC       COMMON          15985210    5,012,500       200,000          X                     X
CHECK POINT SOFTWARE TECH    COMMON          2181334    26,812,500       500,000          X                     X
CINAR CORP                   COMMON          17190530   30,625,000     1,250,000          X                     X
CIRCUIT CITY STORES INC      COMMON          17273710   65,100,000       700,000          X                     X
CISCO SYS INC                COMMON          17275R10      322,500         5,000          X                     X
CITADEL COMMUNICATIONS CO    COMMON          17285320    8,142,188       225,000          X                     X
CITRIX SYS INC               COMMON          17737610   28,250,000       500,000          X                     X
CLEAR CHANNEL COMMUNICATI    COMMON          19851610   70,660,938     1,025,000          X                     X
COAST DENTAL SVCS INC        COMMON          19034410    1,295,625       276,400          X                     X
COINSTAR INC                 COMMON          19259P30    1,147,500        40,000          X                     X
COMPUWARE CORP               COMMON          20563810    6,362,500       200,000          X                     X
CONCORD EFS INC              COMMON          20618910  105,146,563     2,485,000          X                     X
CONSOLIDATED STORES CORP     COMMON          22025610   10,292,400       381,200          X                     X
CORPORATE EXECUTIVE BRD C    COMMON          21988R10   16,892,188       475,000          X                     X
CROWN CASTLE INTL CORP       COMMON          22822710      832,500        40,000          X                     X
CSG SYS INTL INC             COMMON          12634910   22,259,375       850,000          X                     X
CUNNINGHAM GRAPHICS INTL     COMMON          23115710    4,089,750       246,000          X                     X
CYTYC CORP                   COMMON          23294610    7,137,000       366,000          X                     X
DEL MONTE FOODS CO           COMMON          24522P10   33,500,000     2,000,000          X                     X
DIAGNOSTIC PRODS CORP        COMMON          25245010   11,050,000       400,000          X                     X
DISPATCH MNGM SVCS CORP      COMMON          25492710    3,670,482     1,319,700          X                     X
DSP COMMUNICATIONS INC       COMMON          23332K10    5,945,363       205,900          X                     X
DUCATI MOTOR HLDG            COMMON          5641534     3,927,600     1,500,000          X                     X
DURA PHARMACEUTICALS INC     COMMON          26632S10    7,162,500       600,000          X                     X
EASTERN WATER RES            COMMON          6297282       814,374       660,000          X                     X
ECLIPSYS CORP                COMMON          27885610    5,445,781       227,500          X                     X
EEX CORP                     COMMON          29356V10    2,081,250       300,000          X                     X
ENDOCARE INC                 COMMON          29264P10    2,995,800       499,300          X                     X
ENRON OIL + GAS CO           COMMON          29356210    2,025,000       100,000          X                     X
ENZON INC                    COMMON          29390410    8,357,750       404,000          X                     X
EPIX MED INC                 COMMON          26881Q10    2,475,000       450,000          X                     X
EXPRESS SCRIPTS INC          COMMON          30218210   26,181,563       435,000          X                     X
FEDERAL AGRIC MTG CORP       COMMON          31314810   11,872,125       173,000          X                     X
FINISH LINE INC              COMMON          31792310    4,500,000       400,000          X                     X
FLYCAST COMMUNICATIONS CO    COMMON          34406710      669,375        35,000          X                     X
FOREST OIL CORP              COMMON          34609160    8,526,169       678,700          X                     X
GALILEO INTL INC             COMMON          36354710  106,875,000     2,000,000          X                     X
GENERAL NUTRITION COS INC    COMMON          37047F10   15,763,913       676,200          X                     X
GETTY IMAGES INC             COMMON          37427610    9,437,500       500,000          X                     X
GOTO COM INC                 COMMON          38348T10      700,000        25,000          X                     X
GREENPOINT FINL CORP         COMMON          39538410   39,900,000     1,216,000          X                     X
HA LO INDS INC               COMMON          40442910    3,549,075       359,400          X                     X
HANGER ORTHOPEDIC GROUP      COMMON          41043F20   13,107,831       923,900          X                     X
HEALTHCARE RECOVERIES INC    COMMON          42220K10    6,631,000     1,396,000          X                     X
HUTCHINSON TECHNOLOGY INC    COMMON          44840710   22,200,000       800,000          X                     X
HUTCHINSON TECHNOLOGY INC    BOND            448407AA   27,960,000    24,000,000          X                     X
INFINITY BROADCASTING COR    COMMON          45662S10   47,600,000     1,600,000          X                     X
INSO CORP                    COMMON          45678310      268,750        50,000          X                     X
INSPIRE INS SOLUTIONS INC    COMMON          45773210   16,705,450     1,152,100          X                     X
INTERMEDIA COMMUNICATIONS    COMMON          45880110    6,000,000       200,000          X                     X
INTERNATIONAL TELECOMM SY    COMMON          46047F10   23,830,400     1,489,400          X                     X
INTERNET COM CORP            COMMON          46096710      502,500        40,000          X                     X
IRSA INVERSIONES Y REPRES    COMMON          2458577     3,142,488       101,781          X                     X
ITC DELTACOM                 COMMON          45031T10    8,750,000       312,500          X                     X
ITT EDL SVCS INC             COMMON          45068B10    7,607,644       291,900          X                     X
ITURF INC                    COMMON          46575Q10      451,563        25,000          X                     X
JDS FITEL INC                COMMON          46593410   25,161,300       300,000          X                     X
JLM INDS INC                 COMMON          46621D10    2,100,000       400,000          X                     X
JONES APPAREL GROUP INC      COMMON          48007410   34,312,500     1,000,000          X                     X
KEYSTONE AUTOMOTIVE INDS     COMMON          49338N10    3,475,000       200,000          X                     X
KROLL O GARA CO              COMMON          50105010    6,618,750       300,000          X                     X
LAMAR ADVERTISING CO         COMMON          51281510   24,562,500       600,000          X                     X
LASER VISION CTRS INC        COMMON          51807H10    1,575,000        25,000          X                     X
LINCARE HLDGS INC            COMMON          53279110  125,967,500     5,038,700          X                     X
LSI LOGIC CORP               COMMON          50216110   39,206,250       850,000          X                     X
MAIL COM INC                 COMMON          56031110   10,346,875       550,000          X                     X
MAPICS INC                   COMMON          56491010   13,467,188     1,275,000          X                     X
MEDPARTNERS INC              COMMON          58496810   18,906,250     2,500,000          X                     X
MICRO WHSE INC               COMMON          59501B10   17,875,000     1,000,000          X                     X
MICROSOFT CORP               COMMON          59491810      450,938         5,000          X                     X
NUCO2 INC                    COMMON          62942810    2,187,500       250,000          X                     X
OCEANEERING INTL INC         COMMON          67523210    2,642,888       163,900          X                     X
OFFICE DEPOT INC             COMMON          67622010  118,034,375     5,350,000          X                     X
ORACLE CORP                  COMMON          68389X10      371,250        10,000          X                     X
ORCKIT COMMUNICATIONS LTD    COMMON          M7531S10    9,900,000       400,000          X                     X
ORTHODONTIC CTRS AMER INC    COMMON          68750P10    6,709,375       475,000          X                     X
ORTHOFIX INTERNATIONAL       COMMON          N6748L10   14,875,000     1,000,000          X                     X
OUTDOOR SYS INC              COMMON          69005710   29,200,000       800,000          X                     X
PENSKE MOTORSPORTS INC       COMMON          70959810    1,553,263        31,300          X                     X
PETSMART INC                 COMMON          71676810   60,103,950     5,863,800          X                     X
PETSMART INC                 BOND            716768AA   67,725,000    52,500,000          X                     X
PHILADELPHIA CONS HLDG CO    COMMON          71752810   31,514,350     1,286,300          X                     X
PHYCOR INC                   COMMON          71940F10    3,703,150       500,000          X                     X
PIXTECH INC                  PREF            72583K10    5,399,997       266,297          X                     X
PIXTECH INC                  COMMON          72583K10      864,665       678,169          X                     X
POWERWAVE TECHNOLOGIES IN    COMMON          73936310   11,529,375       357,500          X                     X
PROJECT SOFTWARE + DEV IN    COMMON          74339P10    1,015,625        32,500          X                     X
PROTEIN DESIGN LABS INC      COMMON          74369L10   11,093,750       500,000          X                     X
PROVIDENT FINL               COMMON          0268596     7,298,542       531,000          X                     X
PSS WORLD MED INC            COMMON          71940L10   51,169,388     4,573,800          X                     X
PUMA TECHNOLOGY INC          COMMON          74588710      482,475        91,900          X                     X
QLT PHOTOTHERAPEUTICS        COMMON          74692710   20,433,287       376,100          X                     X
QUINTILES TRANSNATIONAL C    COMMON          74876710   16,800,000       400,000          X                     X
RADIO ONE INC                COMMON          75040P10    1,627,500        35,000          X                     X
REALTY INFORMATION GROUP     COMMON          75612B10    8,700,000       200,000          X                     X
RECOVERY ENGR INC            COMMON          75626910      170,000        10,000          X                     X
ROYAL BK SCOT GRP            COMMON          0754783     8,196,520       400,000          X                     X
RTW INC                      COMMON          74974R10    7,928,313     1,349,500          X                     X
SANTA FE SNYDER CORP         COMMON          80218K10   18,366,719     2,408,750          X                     X
SBA COMMUNCATIONS CORP       COMMON          78388J10    2,179,688       225,000          X                     X
SENSORMATIC ELECTRS CORP     COMMON          81726510    2,787,500       200,000          X                     X
SHOHKOH FUND + CO            COMMON          6805715    14,350,666        20,000          X                     X
SHOPKO STORES INC            COMMON          82491110   29,000,000       800,000          X                     X
SIEBEL SYS INC               COMMON          82617010   33,187,500       500,000          X                     X
SIMPSON MFG INC              COMMON          82907310   12,221,750       257,300          X                     X
SKECHERS U S A INC           COMMON          83056610    7,875,000       750,000          X                     X
SONOSITE INC                 COMMON          83568G10      850,000        50,000          X                     X
SPEEDWAY MOTORSPORTSINC      COMMON          84778810    1,474,219        37,500          X                     X
ST MARY LD + EXPL CO         COMMON          79222810    8,225,000       400,000          X                     X
STAPLES INC                  COMMON          85503010   21,656,250       700,000          X                     X
STERILE RECOVERIES INC       COMMON          85915110    5,203,125       450,000          X                     X
STERLING COMM INC            COMMON          85920510      365,000        10,000          X                     X
STERLING SOFTWARE INC.       COMMON          85954710    4,187,269       156,900          X                     X
SYNETIC INC                  COMMON          87160F10   13,750,000       200,000          X                     X
SYNOPSYS INC                 COMMON          87160710   27,648,938       501,000          X                     X
SYSTEMAX INC                 COMMON          87185110   27,486,113     2,221,100          X                     X
TALK COM INC                 COMMON          87917610   11,250,000     1,000,000          X                     X
TELLABS INC                  COMMON          87966410   13,512,500       200,000          X                     X
THAI FARMERS BANK            COMMON          6888794       618,300       200,000          X                     X
THORATEC LABS CORP           COMMON          88517530    2,771,000       260,800          X                     X
TIME WARNER TELECOM INC      COMMON          88731910    9,425,000       325,000          X                     X
TMP WORLDWIDE INC            COMMON          87294110   19,050,000       300,000          X                     X
TOPJOBS NET PLC              COMMON          89072610    1,112,500       200,000          X                     X
TRANSACTION NETWORK SVCS     COMMON          89341410   43,875,000     1,500,000          X                     X
TRANSACTION SYS ARCHITECT    COMMON          89341610    4,009,200       102,800          X                     X
UNITED PAN EUROPE            COMMON          91130020   13,812,500       250,000          X                     X
UNITED PAYORS + UTD PROVI    COMMON          91131910   26,303,900     1,134,400          X                     X
UNIVERSAL STANDARD HEALTH    COMMON          91383910       22,800       190,000          X                     X
US ONCOLOGY INC              COMMON          90338W10   71,618,088     5,968,174          X                     X
VIRGINIA GAS CO              COMMON          92781410    2,594,375       593,000          X                     X
VISIO CORP                   COMMON          92791410    8,579,288       225,400          X                     X
VITESSE SEMICONDUCTOR COR    COMMON          92849710   53,950,000       800,000          X                     X
WETHERSPOON (JD)             COMMON          0163895    81,031,166    17,426,432          X                     X
WIT CAP GROUP INC            COMMON          97737K30    4,590,000       135,000          X                     X
XOMED SURGICAL PRODS INC     COMMON          98412V10   14,606,250       300,000          X                     X
ZIFF DAVIS INC               COMMON          98951120    6,479,200       249,200          X                     X
ZOLL MED CORP                COMMON          98992210   11,767,200       980,600          X                     X
                                             GRAND   3,245,144,824
</TABLE>



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