KAUFMANN FUND INC
13F-HR, 2000-07-11
Previous: HANCOCK JOHN VARIABLE ANNUITY ACCOUNT U, 485BPOS, EX-99.10B, 2000-07-11
Next: KOMATSU LTD, 6-K, 2000-07-11





                                  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, 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: 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:JUDITH REARDON
Title:VICE PRESIDENT
Phone:212-922-2999

Signature, Place, and Date of Signing:


/s/
  JUDITH REARDON      NEW YORK, NY      11 JULY 2000
    [Signature]       [City, State]        [Date]


<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>
3I GROUP                          COMMON   00888693   11,309,650     550,000                 XXXX
ACE LTD                           COMMON   2008853    11,200,000     400,000                 XXXX
ACLARA BIOSCIENCES INC            COMMON   00461P10    3,565,625      70,000                 XXXX
AFFILIATED COMPUTER SVCS          COMMON   00819010   42,981,250   1,300,000                 XXXX
ALEXION PHARMACEUTICALS I         COMMON   01535110   56,056,000     784,000                 XXXX
ALLIANCE SEMICONDUCTOR CO         COMMON   01877H10    3,684,375     150,000                 XXXX
ALLOS THERAPEUTICS INC            COMMON   01977710    4,387,500     450,000                 XXXX
ALPHA INDS INC                    COMMON   02075310   35,250,000     800,000                 XXXX
AMDOCS LIMITED                    COMMON   G0260210  162,710,000   2,120,000                 XXXX
AMERICA ONLINE INC DEL            COMMON   02364J10   29,012,500     550,000                 XXXX
AMERICAN TOWER CORP               COMMON   02991220   33,350,000     800,000                 XXXX
ANADIGICS INC                     COMMON   03251511   12,238,656     359,300                 XXXX
APP FIN VII MAURITIUS LTD         BOND     00202PAA   14,500,000  20,000,000                 XXXX
ARADIGM CORP                      COMMON   03850510   10,500,005     666,667                 XXXX
ARIBA INC                         COMMON   04033V10    4,902,345      50,000                 XXXX
ARQULE INC                        COMMON   04269E10   18,987,500     980,000                 XXXX
ASM LITHOGRAPHY HLDG N V          COMMON   224253      8,825,000     200,000                 XXXX
ASPECT MED SYS INC                COMMON   04523510      270,000      10,000                 XXXX
ATMEL CORP                        COMMON   04951310   33,925,000     920,000                 XXXX
AURORA BIOSCIENCE CORP            COMMON   05192010   42,446,719     622,500                 XXXX
AUTOZONE INC                      COMMON   05333210   17,600,000     800,000                 XXXX
BIOCHEM PHARM INC                 COMMON   09058T10    4,925,000     200,000                 XXXX
BIOGEN INC                        COMMON   09059710    3,225,000      50,000                 XXXX
BIONX IMPLANTS INC                COMMON   09064Q10    2,102,953     862,750                 XXXX
BREEZECOM LTD                     COMMON   256075      9,026,250     207,500                 XXXX
BUCKEYE TECHNOLOGIES INC          COMMON   11815H10    2,459,194     112,100                 XXXX
CABLETRON SYSTEMS INC             COMMON   12692010    7,575,000     300,000                 XXXX
CABOT MICROELECTRONICS CO         COMMON   12709P10    3,984,825      87,100                 XXXX
CAPITAL ONE FINL CORP             COMMON   14040H10   13,387,500     300,000                 XXXX
CARDINAL HEALTH INC               COMMON   1419Y108    7,400,000     100,000                 XXXX
CAREY INTL INC                    COMMON   14175010    5,550,000     400,000                 XXXX
CARREFOUR                         COMMON   5641567     5,126,745      75,000                 XXXX
CENDANT CORP                      COMMON   15131310   70,000,000   5,000,000                 XXXX
CEPHALON INC                      PREF     15670810   16,078,750      95,000                 XXXX
CEPHALON INC                      COMMON   15670810   28,740,000     480,000                 XXXX
CHAMPIONSHIP AUTO RACING          COMMON   15871110   12,415,950     486,900                 XXXX
CHARLES RIV LABORATORIES          COMMON   15986410    4,881,250     220,000                 XXXX
CHECK POINT SOFTWARE              COMMON   2181334    80,465,000     380,000                 XXXX
CIMA LABS INC                     COMMON   17179610    2,047,275     101,100                 XXXX
CINAR CORP                        COMMON   17190530    6,971,300     995,900                 XXXX
CITADEL COMMUNICATIONS CO         COMMON   17285320   13,975,000     400,000                 XXXX
CITRIX SYS INC                    COMMON   17737610    4,734,375     250,000                 XXXX
CLEAR CHANNEL COMMUNICATI         COMMON   19851610   75,000,000   1,000,000                 XXXX
COLLATERAL THERAPEUTICS           COMMON   19392110    2,535,940     100,000                 XXXX
COMCAST CORP                      COMMON   20030020   12,150,000     300,000                 XXXX
COMVERSE TECHNOLOGY INC           COMMON   20586240    9,300,000     100,000                 XXXX
CONCORD EFS INC                   COMMON   20618910  154,700,000   5,950,000                 XXXX
CORIXA CORP                       COMMON   21887F10   12,881,250     300,000                 XXXX
CORNING INC                       COMMON   21935010   13,493,750      50,000                 XXXX
CORPORATE EXECUTIVE BRD C         COMMON   21988R10   29,937,500     500,000                 XXXX
COSTAR GROUP INC                  COMMON   22160N10    7,521,256     300,100                 XXXX
CROWN CASTLE INTL CORP            COMMON   22822710    6,387,500     175,000                 XXXX
CRYOLIFE INC                      COMMON   22890310    2,300,000     100,000                 XXXX
CSG SYS INTL INC                  COMMON   12634910    5,606,250     100,000                 XXXX
CV THERAPEUTICS INC               COMMON   12666710   24,259,375     350,000                 XXXX
CYPRESS SEMICONDUCTOR COR         COMMON   23280610   90,837,500   2,150,000                 XXXX
DIGITAL IMPACT INC DEL            COMMON   23331110      706,250      50,000                 XXXX
DISPATCH MNGM SVCS CORP           COMMON   25492710    2,031,750   1,548,000                 XXXX
DOVER DOWNS ENTMT INC             COMMON   26008610    5,038,600     359,900                 XXXX
EEX CORP                          COMMON   29356V10   12,399,806   2,133,300                 XXXX
EFFICIENT NETWORKS INC            COMMON   28205610   15,448,125     210,000                 XXXX
EMAILTHATPAYS COM INC             COMMON   29077310       48,160      17,200                 XXXX
ENDOCARE INC                      COMMON   29264P10   15,422,400     761,600                 XXXX
ENRON CORP                        COMMON   29356110   13,867,500     215,000                 XXXX
ENTERCOM COMMUNICATIONS C         COMMON   29363910   23,400,000     480,000                 XXXX
EXABYTE CORP                      COMMON   30061510    2,250,000     500,000                 XXXX
EXPEDITORES INTL WASH INC         COMMON   30213010    9,500,000     200,000                 XXXX
EXTREME NETWORKS INC              COMMON   30226D10    5,275,000      50,000                 XXXX
FAMILY DLR STORES INC             COMMON   30700010   11,737,500     600,000                 XXXX
FEDERAL AGRIC MTG CORP            COMMON   31314830    7,557,938     519,000                 XXXX
FLAG TELECOM HOLDINGS LTD         COMMON   2542823     2,231,250     150,000                 XXXX
FOREST OIL CORP                   COMMON   34609160   10,501,219     658,900                 XXXX
FRONTLINE LTD                     COMMON   35921R10    9,177,750     750,000                 XXXX
GENZYME TRANSGENICS CORP          COMMON   37246E10    4,068,750     150,000                 XXXX
GETTY IMAGES INC                  COMMON   37427610   18,531,250     500,000                 XXXX
GO2NET                            COMMON   38348610    2,515,625      50,000                 XXXX
GREENPOINT FINL CORP              COMMON   39538410   11,655,000     621,600                 XXXX
GRUPO TELEVISION SA DE CV         COMMON   40049J20    6,893,750     100,000                 XXXX
HEALTHCARE RECOVERIES INC         COMMON   42220K10    4,973,250   1,396,000                 XXXX
HEICO CORP NEW                    COMMON   42280610    1,225,000     100,000                 XXXX
HELLER FINL INC                   COMMON   42332810    4,848,250     236,500                 XXXX
HOTEL RESERVATIONS NETWOR         COMMON   44145110   26,031,250     875,000                 XXXX
ILLUMINET HOLDINGS INC            COMMON   45233410    3,622,300      71,200                 XXXX
INAMED CORP                       COMMON   45323510    7,325,000     200,000                 XXXX
INDY MAC MTG HLDGS INC            COMMON   45660710   10,850,000     800,000                 XXXX
INFINEON TECHNOLOGIES AG          COMMON   45662N10   47,550,000     600,000                 XXXX
INFINITY BROADCASTING COR         COMMON   45662S10   73,785,938   2,025,000                 XXXX
INPUT/OUTPUT INC                  COMMON   45765210      843,750     100,000                 XXXX
INSIGHT COMMUNICATIONS IN         COMMON   45768V10   13,189,063     844,100                 XXXX
INTEGRATED DEVICE TECHNOL         COMMON   45811810    5,987,500     100,000                 XXXX
INTERMEDIA COMMUNICATIONS         COMMON   45880110    2,975,000     100,000                 XXXX
INTERNET COM CORP                 COMMON   45868P10    5,106,938     259,400                 XXXX
JDS UNIPHASE CORP                 COMMON   46612J10   71,925,000     600,000                 XXXX
KROLL O GARA CO                   COMMON   50105010    1,493,988     223,400                 XXXX
L90 INC                           COMMON   53944110    1,575,000     150,000                 XXXX
LAMAR ADVERTISING CO              COMMON   51281510   24,688,125     570,000                 XXXX
LINCARE HLDGS INC                 COMMON   53279110  119,335,213   4,846,100                 XXXX
LOWES COS INC                     COMMON   54866110    6,159,375     150,000                 XXXX
LSI LOGIC CORP                    COMMON   50216110   81,187,500   1,500,000                 XXXX
MACROMEDIA INC                    COMMON   55610010   23,688,438     245,000                 XXXX
MAIL COM INC                      COMMON   56031110    1,415,050     248,800                 XXXX
MARTHA STEWART LIVING INC         COMMON   57308310    1,232,000      56,000                 XXXX
MARVELL TECHNOLOGY GROUP          COMMON   2594653       570,000      10,000                 XXXX
MASCO CORP                        COMMON   57459910    1,806,250     100,000                 XXXX
MBNA CORP                         COMMON   55262L10   10,850,000     400,000                 XXXX
MCLEODUSA INC                     COMMON   58226610    4,137,500     200,000                 XXXX
MEDAREX INC                       COMMON   58391610   14,365,000     170,000                 XXXX
METHODE ELECTRS INC               COMMON   59152020   13,518,750     350,000                 XXXX
MIPS TECHNOLOGIES INC             COMMON   60456710    2,534,301      65,826                 XXXX
NEXTEL COMMUNICATIONS INC         COMMON   65332V10   12,237,500     200,000                 XXXX
NEXTEL PARTNERS INC               COMMON   65333F10    6,707,875     206,000                 XXXX
NOVELLUS SYS INC                  COMMON   67000810   28,281,250     500,000                 XXXX
OAK TECHNOLOGY                    COMMON   67180210    2,156,250     100,000                 XXXX
OCEAN ENERGY INC TEX              COMMON   67481E10    5,320,313     375,000                 XXXX
OCEANEERING INTL INC              COMMON   67523210   11,400,000     600,000                 XXXX
OMI CORPORATION                   COMMON   67087410    4,893,750     900,000                 XXXX
OPENTV CORP                       COMMON   2521510     8,526,250     190,000                 XXXX
ORDINA BEHEER NV                  COMMON   5250640     6,148,268     184,000                 XXXX
ORTHOFIX INTERNATIONAL            COMMON   N6748L10   14,780,838     826,900                 XXXX
PACIFIC HEALTH LABS               COMMON                 458,906     133,500                 XXXX
PEGASUS SYS INC                   COMMON   70590610    2,175,000     200,000                 XXXX
PETSMART INC                      COMMON   71676810   26,257,500   7,780,000                 XXXX
PETSMART INC                      BOND     716768AA   25,031,250  37,500,000                 XXXX
PHARMACOPEIA INC                  COMMON   71713B10    4,637,500     100,000                 XXXX
PHILADELPHIA CONS HLDG CO         COMMON   71752810   21,856,250   1,300,000                 XXXX
PINNACLE HLDGS INC                COMMON   72346N10   13,500,000     250,000                 XXXX
PIXELWORKS INC                    COMMON   72581M10    7,052,500     310,000                 XXXX
PIXTECH INC                       COMMON   72583K10    2,097,404   1,082,531                 XXXX
PMC SIERRA INC                    COMMON   69344F10    3,553,750      20,000                 XXXX
PRIMUS TELECOMM GROUP INC         COMMON   74192910    7,462,500     300,000                 XXXX
PROTEIN DESIGN LABS INC           COMMON   74369L10   19,794,372     120,000                 XXXX
PRWW LTD                          COMMON   74056810    1,387,500     100,000                 XXXX
QLT INC                           COMMON   74692710    3,865,625      50,000                 XXXX
QUANTA SERVICES INC               COMMON   74762E10      550,000      10,000                 XXXX
QWEST COMMUNICATIONS INTL         COMMON   74912110   24,843,750     500,000                 XXXX
REAL NETWORKS INC                 COMMON   7560JL10    2,022,500      40,000                 XXXX
RTW INC                           COMMON   74974R10    4,424,499   1,170,100                 XXXX
SANGSTAT MED CORP                 COMMON   80100310    2,887,500     100,000                 XXXX
SANTA FE SNYDER CORP              COMMON   80218K10   35,362,031   3,108,750                 XXXX
SAWTEK INC                        COMMON   80546810    6,331,875     110,000                 XXXX
SBA COMMUNCATIONS CORP            COMMON   78388J10    1,298,438      25,000                 XXXX
SBS BROADCASTING SA               COMMON   2812838     5,450,000     100,000                 XXXX
SDL INC                           COMMON   78407610    6,559,313      23,000                 XXXX
SHOHKOH FUND + CO                 COMMON   6805715     2,252,486      10,000                 XXXX
SIEBEL SYS INC                    COMMON   82617010   54,793,438     335,000                 XXXX
SILICON GRAPHICS INC              COMMON   82705610    1,781,250     475,000                 XXXX
SIMPSON MFG INC                   COMMON   82907310    9,562,500     200,000                 XXXX
SPEEDWAY MOTORSPORTSINC           COMMON   84778810    2,300,000     100,000                 XXXX
ST MARY LD + EXPL CO              COMMON   79222810   16,825,000     400,000                 XXXX
STRATOS LIGHTWAVE INC             COMMON   86310010      696,875      25,000                 XXXX
TALK COM INC                      COMMON   87917610    8,850,694   1,522,700                 XXXX
TELLABS INC                       COMMON   87966410   13,687,500     200,000                 XXXX
THERMOGENESIS CORP                COMMON   88362320      867,100     478,400                 XXXX
TIME WARNER TELECOM INC           COMMON   88731910   26,149,125     406,200                 XXXX
TITAN CORP                        COMMON   88826610      895,000      20,000                 XXXX
TIVO INC                          COMMON   88870610      350,000      10,000                 XXXX
TMP WORLDWIDE INC                 COMMON   87294110   18,453,125     250,000                 XXXX
TNT POST GROEP NV                 COMMON   88874210   10,788,120     400,000                 XXXX
UNITED PAN EUROPE                 COMMON   91130020   12,150,000     450,000                 XXXX
UNITEDGLOBALCOM                   COMMON   91324750   14,025,000     300,000                 XXXX
UTD PAN EUROPE  COM               COMMON   5931332     4,079,275     156,000                 XXXX
VERISIGN INC                      COMMON   92343E10    1,897,375      10,750                 XXXX
VIATEL INC                        COMMON   92552920    7,854,688     275,000                 XXXX
VIRGINIA GAS CO                   COMMON   92781410    2,001,375     593,000                 XXXX
VISHAY INTERTECHNOLOGY IN         COMMON   92829810   11,381,250     300,000                 XXXX
VITESSE SEMICONDUCTOR COR         COMMON   92849710  156,688,125   2,130,000                 XXXX
WASHINGTON REAL ESTATE IN         COMMON   93965310      675,675      37,800                 XXXX
WATERS CORP                       COMMON   94184810   12,481,250     100,000                 XXXX
WETHERSPOON (JD)                  COMMON   0163895   116,319,050  20,500,000                 XXXX
XILINX INC                        COMMON   98391910   44,583,750     540,000                 XXXX
                                  GRAND TOTAL      2,970,437,448

</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission