KAUFMANN FUND INC
13F-HR, 2000-10-10
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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: 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: 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      10 OCTOBER 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  13,689,445      550,000                 XXXX
ACCREDO HEALTH INC               COMMON    00437V10   4,887,500      100,000                 XXXX
ACE LTD                          COMMON    2008853   23,550,000      600,000                 XXXX
ACLARA BIOSCIENCES INC           COMMON    00461P10   2,885,625       95,000                 XXXX
ADTRAN INC                       COMMON    00738A10  10,636,725      250,000                 XXXX
AFFILIATED COMPUTER SVCS         COMMON    00819010  54,862,500    1,100,000                 XXXX
ALEXION PHARMACEUTICALS I        COMMON    01535110  89,376,000      784,000                 XXXX
ALLIANCE SEMICONDUCTOR CO        COMMON    01877H10   2,981,250      150,000                 XXXX
ALLOS THERAPEUTICS INC           COMMON    01977710   4,078,125      450,000                 XXXX
ALPHA INDS INC                   COMMON    02075310  27,250,000      800,000                 XXXX
AMDOCS LIMITED                   COMMON    G0260210 124,750,000    2,000,000                 XXXX
AMERICA ONLINE INC DEL           COMMON    02364J10  34,937,500      650,000                 XXXX
AMERICAN TOWER CORP              COMMON    02991220  22,612,500      600,000                 XXXX
ANALOG DEVICES INC               COMMON    03265410  20,640,625      250,000                 XXXX
APP FIN VII MAURITIUS LTD        BOND      00202PAA   6,240,000   12,000,000                 XXXX
ARADIGM CORP                     COMMON    03850510  13,762,540      666,667                 XXXX
ARGONAUT TECHNOLOGIES INC        COMMON    04017510   2,970,000      160,000                 XXXX
ARQULE INC                       COMMON    04269E10  16,721,250      980,000                 XXXX
ASM LITHOGRAPHY HLDG N V         COMMON    224253     6,462,500      200,000                 XXXX
ASPECT MED SYS INC               COMMON    04523510   2,475,000      200,000                 XXXX
ASSOCIATES FIRST CAP CORP        COMMON    04600810  16,150,000      425,000                 XXXX
ATMEL CORP                       COMMON    04951310  27,945,000    1,840,000                 XXXX
AURORA BIOSCIENCE CORP           COMMON    05192010  28,662,000      421,500                 XXXX
AUTOZONE INC                     COMMON    05333210  22,687,500    1,000,000                 XXXX
AVAYA INC                        COMMON    05349910   1,146,875       50,000                 XXXX
BIOCHEM PHARM INC                COMMON    09058T10   4,387,500      200,000                 XXXX
BIOGEN INC                       COMMON    09059710   5,856,000       96,000                 XXXX
BIONX IMPLANTS INC               COMMON    09064Q10   2,696,094      862,750                 XXXX
BREEZECOM LTD                    COMMON    256075    27,088,591      822,424                 XXXX
BUCKEYE TECHNOLOGIES INC         COMMON    11815H10   6,225,000      300,000                 XXXX
BUDGET GROUP INC                 COMMON    11900310   3,778,125      975,000                 XXXX
CABLETRON SYSTEMS INC            COMMON    12692010   8,812,500      300,000                 XXXX
CABOT MICROELECTRONICS CO        COMMON    12709P10   8,808,000      183,500                 XXXX
CALIFORNIA PIZZA KITCHEN         COMMON    13054D10   2,800,000      100,000                 XXXX
CAPITAL ONE FINL CORP            COMMON    14040H10  14,012,500      200,000                 XXXX
CARDINAL HEALTH INC              COMMON    1419Y108   8,818,750      100,000                 XXXX
CARREFOUR                        COMMON    5641567   10,725,636      145,000                 XXXX
CENDANT CORP                     COMMON    15131310  33,168,750    3,050,000                 XXXX
CEPHALON INC                     PREF      15670810  13,086,250       95,000                 XXXX
CEPHALON INC                     COMMON    15670810  23,280,000      480,000                 XXXX
CHAMPIONSHIP AUTO RACING         COMMON    15871110  11,868,188      486,900                 XXXX
CHARLES RIV LABORATORIES         COMMON    15986410   7,480,000      220,000                 XXXX
CHECK POINT SOFTWARE             COMMON    2181334  107,730,000      684,000                 XXXX
CHILDRENS PL RETAIL STORE        COMMON    16890510   2,575,000      100,000                 XXXX
CINAR CORP                       COMMON    17190530   2,987,700      995,900                 XXXX
CITADEL COMMUNICATIONS CO        COMMON    17285320   6,800,000      400,000                 XXXX
CLEAR CHANNEL COMMUNICATI        COMMON    19851610  79,100,000    1,400,000                 XXXX
CNET NETWORKS INC                COMMON    12613R10  10,352,745      425,000                 XXXX
COLLATERAL THERAPEUTICS          COMMON    19392110   2,893,750      100,000                 XXXX
COMCAST CORP                     COMMON    20030020  20,468,750      500,000                 XXXX
COMVERSE TECHNOLOGY INC          COMMON    20586240  21,600,000      200,000                 XXXX
CONCEPTUS INC                    COMMON    20601610   2,737,500      300,000                 XXXX
CONCORD EFS INC                  COMMON    20618910 211,317,820    5,950,000                 XXXX
CORIXA CORP                      COMMON    21887F10   8,125,425      161,700                 XXXX
CORNING INC                      COMMON    21935010  13,365,000       45,000                 XXXX
CORPORATE EXECUTIVE BRD C        COMMON    21988R10  40,250,000    1,000,000                 XXXX
CORVIS CORP                      COMMON    22100910   1,220,938       20,000                 XXXX
COSTAR GROUP INC                 COMMON    22160N10   9,253,700      250,100                 XXXX
CROWN CASTLE INTL CORP           COMMON    22822710   5,901,875      190,000                 XXXX
CRYOLIFE INC                     COMMON    22890310   6,937,500      200,000                 XXXX
CSG SYS INTL INC                 COMMON    12634910   2,900,000      100,000                 XXXX
CURON MED INC                    COMMON    23129210     575,000       50,000                 XXXX
CV THERAPEUTICS INC              COMMON    12666710  27,223,455      350,000                 XXXX
CYPRESS SEMICONDUCTOR COR        COMMON    23280610  89,359,375    2,150,000                 XXXX
CYRAS SYS INC                    BOND      20636Z     4,200,000    3,500,000                 XXXX
DELTAGEN INC                     COMMON    24783R10   9,281,250      300,000                 XXXX
DEVON ENERGY CORPORATION         COMMON    25179M10  30,070,489      499,925                 XXXX
DIAGNOSTIC PRODS CORP            COMMON    25245010   3,995,063       74,500                 XXXX
DISPATCH MNGM SVCS CORP          COMMON    25492710     774,000    1,548,000                 XXXX
DOVER DOWNS ENTMT INC            COMMON    26008610   4,836,156      359,900                 XXXX
EBAY INC                         COMMON    27864210  10,293,750      150,000                 XXXX
EEX CORP                         COMMON    29356V10  10,399,838    2,133,300                 XXXX
EFFICIENT NETWORKS INC           COMMON    28205610   7,835,625      210,000                 XXXX
ENRON CORP                       COMMON    29356110  19,715,625      225,000                 XXXX
ENTERCOM COMMUNICATIONS C        COMMON    29363910  14,370,000      480,000                 XXXX
ENTERGRIS INC                    COMMON    29362U10   3,825,000      400,000                 XXXX
EXABYTE CORP                     COMMON    30061510   5,625,000      500,000                 XXXX
EXPEDITORES INTL WASH INC        COMMON    30213010   9,012,500      200,000                 XXXX
FAMILY DLR STORES INC            COMMON    30700010  15,400,000      800,000                 XXXX
FEDERAL AGRIC MTG CORP           COMMON    31314830  11,389,275      646,200                 XXXX
FLAG TELECOM HOLDINGS LTD        COMMON    2542823    1,650,000      150,000                 XXXX
FOREST OIL CORP                  COMMON    34609160   8,237,819      508,900                 XXXX
FRANKLIN RES INC                 COMMON    35461310  13,329,000      300,000                 XXXX
FRONTLINE LTD                    COMMON    35921R10  23,396,100    1,500,000                 XXXX
GENTA INC                        COMMON    37245M20     956,250      100,000                 XXXX
GENZYME TRANSGENICS CORP         COMMON    37246E10   5,287,500      150,000                 XXXX
GETTY IMAGES INC                 COMMON    37427610   6,087,500      200,000                 XXXX
GREENPOINT FINL CORP             COMMON    39538410  18,414,900      621,600                 XXXX
GRUPO TELEVISION SA DE CV        COMMON    40049J20  11,537,500      200,000                 XXXX
HEALTH MGMT ASSOC                COMMON    42193310   4,162,500      200,000                 XXXX
HEALTHCARE RECOVERIES INC        COMMON    42220K10   6,107,500    1,396,000                 XXXX
HELLER FINL INC                  COMMON    42332810   9,996,875      350,000                 XXXX
HOMESTORE COM INC                COMMON    43785210   8,550,575      182,900                 XXXX
HOTEL RESERVATIONS NETWOR        COMMON    44145110  25,018,538      683,100                 XXXX
ILLUMINET HOLDINGS INC           COMMON    45233410  16,505,700      594,800                 XXXX
INAMED CORP                      COMMON    45323510   5,625,000      200,000                 XXXX
INDYMAC BANCORP INC              COMMON    45660710  18,506,250      900,000                 XXXX
INFINEON TECHNOLOGIES AG         COMMON    45662N10  28,500,000      600,000                 XXXX
INFINITY BROADCASTING COR        COMMON    45662S10  33,825,000    1,025,000                 XXXX
INPUT/OUTPUT INC                 COMMON    45765210     962,500      100,000                 XXXX
INSPIRE PHAMACEUTICAL INC        COMMON    45773310   3,000,000      100,000                 XXXX
INTEGRATED DEVICE TECHNOL        COMMON    45811810   4,525,000       50,000                 XXXX
INTERGRATED TELECOM EXPRE        COMMON    45817U10   8,300,000      400,000                 XXXX
INTERMUNE PHARMACEUTICALS        COMMON    45885B10   9,222,500      170,000                 XXXX
INTERNET COM CORP                COMMON    45868P10   8,025,188      259,400                 XXXX
INTERSIL HLDG CORP               COMMON    46069510   2,493,750       50,000                 XXXX
IRON MTN INC PA                  COMMON    46284610   1,535,500       41,500                 XXXX
JDS UNIPHASE CORP                COMMON    46612J10  47,343,750      500,000                 XXXX
KING PHARMACEUTICALS INC         COMMON    49558210   5,015,625      150,000                 XXXX
KROLL O GARA CO                  COMMON    50105010   1,340,400      223,400                 XXXX
L90 INC                          COMMON    53944110     620,000       80,000                 XXXX
LAMAR ADVERTISING CO             COMMON    51281510  21,588,750      570,000                 XXXX
LIFEMINDERS INC                  COMMON    53220Q10     458,750       20,000                 XXXX
LINCARE HLDGS INC                COMMON    53279110 140,445,394    4,895,700                 XXXX
LOWES COS INC                    COMMON    54866110   6,731,250      150,000                 XXXX
MACROMEDIA INC                   COMMON    55610010   8,081,250      100,000                 XXXX
MAIL COM INC                     COMMON    56031110   4,573,234      876,300                 XXXX
MARTHA STEWART LIVING INC        COMMON    57308310   1,470,000       56,000                 XXXX
MASCO CORP                       COMMON    57459910   3,725,000      200,000                 XXXX
MBNA CORP                        COMMON    55262L10  23,100,000      600,000                 XXXX
MCLEODUSA INC                    COMMON    58226610  14,312,500    1,000,000                 XXXX
MEDAREX INC                      COMMON    58391610  19,943,125      170,000                 XXXX
METHODE ELECTRS INC              COMMON    59152020  15,509,375      350,000                 XXXX
MIPS TECHNOLOGIES INC            COMMON    60456710   2,534,224       65,824                 XXXX
NEXTEL COMMUNICATIONS INC        COMMON    65332V10   9,350,000      200,000                 XXXX
NEXTEL PARTNERS INC              COMMON    65333F10   5,999,750      206,000                 XXXX
NOVELLUS SYS INC                 COMMON    67000810  23,281,250      500,000                 XXXX
NRG ENERGY INC                   COMMON    62937710   3,650,000      100,000                 XXXX
NUI CORP                         COMMON    62943010   2,233,875       74,000                 XXXX
OAK TECHNOLOGY                   COMMON    67180210   2,737,500      100,000                 XXXX
OCEAN ENERGY INC TEX             COMMON    67481E10   3,087,500      200,000                 XXXX
OCEANEERING INTL INC             COMMON    67523210   9,975,000      600,000                 XXXX
OMI CORPORATION                  COMMON    67087410  14,449,388    1,725,300                 XXXX
OMNIVISION TECHNOLOGIES I        COMMON    68212810   6,568,031      181,500                 XXXX
OPENTV CORP                      COMMON    2521510    3,325,000      100,000                 XXXX
ORDINA NV                        COMMON    5250640    8,696,100      300,000                 XXXX
ORTHOFIX INTERNATIONAL           COMMON    N6748L10  20,465,775      826,900                 XXXX
PEC SOLUTIONS INC                COMMON    70510710   1,287,500      200,000                 XXXX
PEGASUS SYS INC                  COMMON    70590610   3,912,500      200,000                 XXXX
PETSMART INC                     COMMON    71676810  44,367,188    9,465,000                 XXXX
PETSMART INC                     BOND      716768AA  28,734,375   37,500,000                 XXXX
PHARMACOPEIA INC                 COMMON    71713B10   2,550,000      100,000                 XXXX
PHILADELPHIA CONS HLDG CO        COMMON    71752810  27,137,500    1,300,000                 XXXX
PINNACLE HLDGS INC               COMMON    72346N10   6,656,250      250,000                 XXXX
PIXELWORKS INC                   COMMON    72581M10   4,139,275       86,800                 XXXX
PMC SIERRA INC                   COMMON    69344F10   4,305,000       20,000                 XXXX
PRIMUS TELECOMM GROUP INC        COMMON    74192910   9,500,000    1,000,000                 XXXX
PRWW LTD                         COMMON    74056810     957,863       86,100                 XXXX
QLT INC                          COMMON    74692710   7,087,500      100,000                 XXXX
QWEST COMMUNICATIONS INTL        COMMON    74912110  24,031,250      500,000                 XXXX
RADVISION LTD                    COMMON    2562326    9,865,625      350,000                 XXXX
REAL NETWORKS INC                COMMON    7560JL10   1,590,000       40,000                 XXXX
RIT TECHNOLOGIES LTD             COMMON    2092276    2,112,500      200,000                 XXXX
ROSETTA INPHARMATICS INC         COMMON    77777710   4,183,590      150,000                 XXXX
RTW INC                          COMMON    74974R10   3,912,580    1,170,100                 XXXX
SANGSTAT MED CORP                COMMON    80100310   1,921,875      150,000                 XXXX
SBA COMMUNCATIONS CORP           COMMON    78388J10   1,048,438       25,000                 XXXX
SBS BROADCASTING SA              COMMON    2812838    3,981,250      100,000                 XXXX
SDL INC                          COMMON    78407610   7,084,000       23,000                 XXXX
SEACHANGE INTL INC               COMMON    81169910   3,337,500      100,000                 XXXX
SERONO SA                        COMMON    81752M10   4,537,500      150,000                 XXXX
SHOHKOH FUND + CO                COMMON    6805715    1,258,287       10,000                 XXXX
SIEBEL SYS INC                   COMMON    82617010  62,335,000      560,000                 XXXX
SILICON GRAPHICS INC             COMMON    82705610   1,959,375      475,000                 XXXX
SIMPSON MFG INC                  COMMON    82907310   8,937,500      200,000                 XXXX
SOUTHERN ENERGY INC              COMMON    84281610     313,750       10,000                 XXXX
SPEEDWAY MOTORSPORTSINC          COMMON    84778810   2,081,250      100,000                 XXXX
ST MARY LD + EXPL CO             COMMON    79222810  16,132,219      699,500                 XXXX
STAPLES INC                      COMMON    85503010  16,315,625    1,150,000                 XXXX
STRATOS LIGHTWAVE INC            COMMON    86310010     806,250       25,000                 XXXX
SUNRISE TELECOM INC              COMMON    86769Y10   9,813,538      340,600                 XXXX
SYMBOL TECHNOLOGIES INC          COMMON    87150810     718,750       20,000                 XXXX
TALK COM INC                     COMMON    87917610   7,442,241    1,689,000                 XXXX
TEEKAY SHIPPING CORP             COMMON    2933795    9,387,500      200,000                 XXXX
TELEDYNE TECHNOLOGIES INC        COMMON    87936010  18,931,250      650,000                 XXXX
TELIK INC                        COMMON    87959M10   2,737,500      300,000                 XXXX
TELLABS INC                      COMMON    87966410   4,775,000      100,000                 XXXX
THERMOGENESIS CORP               COMMON    88362320   1,651,840      556,400                 XXXX
TIME WARNER TELECOM INC          COMMON    88731910  12,377,663      256,200                 XXXX
TITAN CORP                       COMMON    88826610   1,650,000      100,000                 XXXX
TMP WORLDWIDE INC                COMMON    87294110  20,125,000      250,000                 XXXX
TNT POST GROEP NV                COMMON    88874210   9,314,720      400,000                 XXXX
TRITON ENERGY LTD                COMMON    2899273    3,900,000      100,000                 XXXX
UNISYS CORP                      COMMON    90921410  11,250,000    1,000,000                 XXXX
UNITED PAN EUROPE                COMMON    91130020   8,746,875      450,000                 XXXX
UNITEDGLOBALCOM                  COMMON    91324750   9,000,000      300,000                 XXXX
UTD PAN EUROPE  COM              COMMON    5931332    3,057,850      156,000                 XXXX
UTILICORP UTD INC                COMMON    91800510   2,587,500      100,000                 XXXX
VARIAGENICS INC                  COMMON    92219610   2,237,500      100,000                 XXXX
VIRGINIA GAS CO                  COMMON    92781410   2,223,750      593,000                 XXXX
VISHAY INTERTECHNOLOGY IN        COMMON    92829810   9,225,000      300,000                 XXXX
VITESSE SEMICONDUCTOR COR        COMMON    92849710 179,209,063    2,015,000                 XXXX
WASHINGTON REAL ESTATE IN        COMMON    93965310   2,006,250      100,000                 XXXX
WATERS CORP                      COMMON    94184810  17,800,000      200,000                 XXXX
WESTERN MULTIPLEX CORP           COMMON    95874P10   6,425,000      400,000                 XXXX
WETHERSPOON (JD)                 COMMON    0163895   94,136,000   20,500,000                 XXXX
XILINX INC                       COMMON    98391910  46,237,500      540,000                 XXXX
           ** GRAND TOTAL **                      3,139,669,794
</TABLE>


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