KAUFMANN FUND INC
13F-HR, 2001-01-18
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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: DECEMBER 31, 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      17 JANUARY 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
------------------           --------------  --------  --------       ------------------  ----------  --------  --------------------
                                                                      SHRS OR  SH/  PUT/  INVESTMENT   OTHER      VOTING AUTHORITY
  NAME OF ISSUER             TITLE OF CLASS   CUSIP       VALUE       PRN AMT  PRN  CALL  DISCRETION  MANAGERS  SOLE   SHARED   NONE
                                                                                             SOLE
------------------           --------------  --------  --------       -------  ---  ----  ----------  --------  ----   ------   ----
<S>                          <C>             <C>       <C>            <C>                 <C>         <C>       <C>    <C>      <C>
ABERCROMBIE AND FITCH CO        COMMON     00289620     7,000,000        350,000           XXXX
ACE LTD                         COMMON     2008853     29,706,250        700,000           XXXX
ACLARA BIOSCIENCES INC          COMMON     00461P10     1,033,125         95,000           XXXX
ADTRAN INC                      COMMON     00738A10     7,437,500        350,000           XXXX
AFFILIATED COMPUTER SVCS        COMMON     00819010    51,584,375        850,000           XXXX
ALEXION PHARMACEUTICALS I       COMMON     01535110     6,811,944        104,900           XXXX
ALLEGIANCE TELECOM INC          COMMON     01747410     2,226,560        100,000           XXXX
ALLOS THERAPEUTICS INC          COMMON     01977710     3,628,125        450,000           XXXX
AMDOCS LIMITED                  COMMON     G0260210    53,000,000        800,000           XXXX
AMERICA ONLINE INC DEL          COMMON     02364J10    22,620,000        650,000           XXXX
AMERICAN TOWER CORP             COMMON     02991220    15,150,000        400,000           XXXX
ANALOG DEVICES INC              COMMON     03265410    10,237,500        200,000           XXXX
APP FIN VII MAURITIUS LTD        BOND      00202PAA     4,680,000     12,000,000           XXXX
ARADIGM CORP                    COMMON     03850510     5,557,500        380,000           XXXX
ARGONAUT TECHNOLOGIES INC       COMMON     04017510     3,485,000        410,000           XXXX
ARQULE INC                      COMMON     04269E10    19,680,000        615,000           XXXX
ARRAY BIOPHARMA INC             COMMON     04269X10     3,038,750        340,000           XXXX
ASPECT MED SYS INC              COMMON     04523510     3,674,250        426,000           XXXX
ATMEL CORP                      COMMON     04951310    13,368,750      1,150,000           XXXX
AURORA BIOSCIENCE CORP          COMMON     05192010     9,667,031        307,500           XXXX
AUTOZONE INC                    COMMON     05333210    25,650,000        900,000           XXXX
BIONX IMPLANTS INC              COMMON     09064Q10     1,186,281        862,750           XXXX
BOB EVANS FARMS INC             COMMON     09676110       780,038         36,600           XXXX
BREEZECOM LTD                   COMMON     256075      11,770,944        822,424           XXXX
BROADWING INC                   COMMON     11162010     5,703,125        250,000           XXXX
BUDGET GROUP INC                COMMON     11900310     2,071,875        975,000           XXXX
CABLETRON SYSTEMS INC           COMMON     12692010     1,506,250        100,000           XXXX
CABOT MICROELECTRONICS CO       COMMON     12709P10       519,375         10,000           XXXX
CALIFORNIA PIZZA KITCHEN        COMMON     13054D10     2,825,000        100,000           XXXX
CARDINAL HEALTH INC             COMMON     1419Y108    33,374,375        335,000           XXXX
CARESCIENCE INC                 COMMON     14172610       213,600        284,800           XXXX
CARNIVAL CORP                   COMMON     14365810     4,960,813        161,000           XXXX
CENDANT CORP                    COMMON     15131310    25,506,250      2,650,000           XXXX
CEPHALON INC                     PREF      15670810    17,040,625         95,000           XXXX
CHAMPIONSHIP AUTO RACING        COMMON     15871110     9,450,000        450,000           XXXX
CHARLES RIV LABORATORIES        COMMON     15986410     6,022,500        220,000           XXXX
CHECK POINT SOFTWARE            COMMON     2181334      6,678,125         50,000           XXXX
CIMA LABS INC                   COMMON     17179610     6,506,250        100,000           XXXX
CINAR CORP                      COMMON     17190530     4,045,844        995,900           XXXX
CLEAR CHANNEL COMMUNICATI       COMMON     19851610    67,812,500      1,400,000           XXXX
CNET NETWORKS INC               COMMON     12613R10     6,793,370        425,000           XXXX
COLLATERAL THERAPEUTICS         COMMON     19392110     1,768,750        100,000           XXXX
COMCAST CORP                    COMMON     20030020    41,750,000      1,000,000           XXXX
COMMUNITY HEALTH SYS INC        COMMON     20366610     5,425,000        155,000           XXXX
COMVERSE TECHNOLOGY INC         COMMON     20586240     5,431,250         50,000           XXXX
CONCEPTUS INC                   COMMON     20601610     6,562,500        500,000           XXXX
CONCORD EFS INC                 COMMON     20618910   245,966,519      5,598,100           XXXX
CORPORATE EXECUTIVE BRD C       COMMON     21988R10    42,147,559      1,059,900           XXXX
CORVAS INTERNATIONAL INC        COMMON     22100510     1,437,500        100,000           XXXX
COSTAR GROUP INC                COMMON     22160N10     5,509,350        233,200           XXXX
COX COMMUNICATIONS INC NE       COMMON     22404410    19,789,063        425,000           XXXX
CROWN CASTLE INTL CORP          COMMON     22822710     1,353,125         50,000           XXXX
CRYOLIFE INC                    COMMON     22890310     9,075,000        300,000           XXXX
CSG SYS INTL INC                COMMON     12634910    46,848,319        998,100           XXXX
CURON MED INC                   COMMON     23129210       803,120        200,000           XXXX
CV THERAPEUTICS INC             COMMON     12666710     4,881,750         69,000           XXXX
CYPRESS SEMICONDUCTOR COR       COMMON     23280610     4,921,875        250,000           XXXX
DELTAGEN INC                    COMMON     24783R10     3,131,250        300,000           XXXX
DEVON ENERGY CORPORATION        COMMON     25179M10     1,524,250         25,000           XXXX
DIAGNOSTIC PRODS CORP           COMMON     25245010     4,069,563         74,500           XXXX
DIAMONDS TR                     COMMON     25278710    10,678,130        100,000           XXXX
DISPATCH MNGM SVCS CORP         COMMON     25492710        59,122      1,260,600           XXXX
DOVER DOWNS ENTMT INC           COMMON     26008610     3,635,938        325,000           XXXX
E M C CORP MASS                 COMMON     26864810    19,950,000        300,000           XXXX
EBAY INC                        COMMON     27864210     4,950,000        150,000           XXXX
EEX CORP                        COMMON     29356V10    10,399,838      2,133,300           XXXX
ENRON CORP                      COMMON     29356110    19,950,000        240,000           XXXX
ENTERCOM COMMUNICATIONS C       COMMON     29363910    16,530,000        480,000           XXXX
EXABYTE CORP                    COMMON     30061510     2,578,125        750,000           XXXX
EXPRESS SCRIPTS INC             COMMON     30218210    25,562,500        250,000           XXXX
FAMILY DLR STORES INC           COMMON     30700010     8,575,000        400,000           XXXX
FEDERAL AGRIC MTG CORP          COMMON     31314830    12,220,450        522,800           XXXX
FOREST OIL CORP                 COMMON     34609160     6,637,500        180,000           XXXX
FRANKLIN RES INC                COMMON     35461310     3,810,000        100,000           XXXX
FRONTLINE LTD                   COMMON     35921R10    24,822,750      1,833,400           XXXX
GARMIN LTD                      COMMON     2695620      4,937,500        250,000           XXXX
GENZYME TRANSGENICS CORP        COMMON     37246E10     2,146,875        150,000           XXXX
GETTY IMAGES INC                COMMON     37427610     6,400,000        200,000           XXXX
GREENPOINT FINL CORP            COMMON     39538410    16,375,000        400,000           XXXX
GRUPO TELEVISION SA DE CV       COMMON     40049J20     8,987,500        200,000           XXXX
HAEMONETICS CORP MASS           COMMON     40502410     9,262,500        300,000           XXXX
HEALTH MGMT ASSOC               COMMON     42193310     8,300,000        400,000           XXXX
HEALTHCARE RECOVERIES INC       COMMON     42220K10     4,100,750      1,396,000           XXXX
HEALTHSOUTH CORP                COMMON     42192410    16,312,500      1,000,000           XXXX
HOMESTORE COM INC               COMMON     43785210     3,372,950        167,600           XXXX
HOTEL RESERVATIONS NETWOR       COMMON     44145110     8,600,463        303,100           XXXX
IDEC PHARMACEUTICALS CORP       COMMON     44937010    38,860,313        205,000           XXXX
IHOP CORP NEW                   COMMON     44962310     2,168,750        100,000           XXXX
ILLUMINET HOLDINGS INC          COMMON     45233410    16,510,413        719,800           XXXX
INDYMAC BANCORP INC             COMMON     45660710    29,500,000      1,000,000           XXXX
INFINITY BROADCASTING COR       COMMON     45662S10    28,635,938      1,025,000           XXXX
INSPIRE PHAMACEUTICAL INC       COMMON     45773310     2,606,250        100,000           XXXX
INTERGRATED TELECOM EXPRE       COMMON     45817U10     2,534,089        530,000           XXXX
INTERMUNE PHARMACEUTICALS       COMMON     45885B10     7,586,250        170,000           XXXX
IRON MTN INC PA                 COMMON     46284610     3,712,500        100,000           XXXX
ITC DELTACOM                    COMMON     45031T10     2,248,419        417,100           XXXX
JDS UNIPHASE CORP               COMMON     46612J10     6,253,125        150,000           XXXX
KINDER MORGAN INC KANS          COMMON     49455P10    21,396,875        410,000           XXXX
KING PHARMACEUTICALS INC        COMMON     49558210    15,506,250        300,000           XXXX
KROLL O GARA CO                 COMMON     50105010     1,340,400        223,400           XXXX
LABORATORY CORP AMER HLDG       COMMON     50540R40    17,600,000        100,000           XXXX
LAMAR ADVERTISING CO            COMMON     51281510    21,998,466        570,000           XXXX
LANDRYS SEAFOOD REST INC        COMMON     51508L10       165,956         16,700           XXXX
LIFEPOINT HOSPS INC             COMMON     53219L10     3,634,063         72,500           XXXX
LIGHTSPAN INC                   COMMON     53326F10       165,313        115,000           XXXX
LINCARE HLDGS INC               COMMON     53279110   285,312,500      5,000,000           XXXX
MAIL COM INC                    COMMON     56031110       629,884        876,300           XXXX
MEDAREX INC                     COMMON     58391610    10,187,500        250,000           XXXX
METHODE ELECTRS INC             COMMON     59152020    11,468,750        500,000           XXXX
MIPS TECHNOLOGIES INC           COMMON     60456710     1,677,485         65,824           XXXX
NASDAQ 100 TR                   COMMON     63110010    23,350,000        400,000           XXXX
NETWORKS ASSOCS INC             COMMON     64093810     5,318,125      1,270,000           XXXX
NEXTEL COMMUNICATIONS INC       COMMON     65332V10     4,950,000        200,000           XXXX
NEXTEL PARTNERS INC             COMMON     65333F10     3,463,375        206,000           XXXX
NISOURCE INC                    COMMON     65473P10     3,075,000        100,000           XXXX
NPS PHARMACEUTICALS INC         COMMON     62936P10     4,800,000        100,000           XXXX
NRG ENERGY INC                  COMMON     62937710     6,953,125        250,000           XXXX
NUI CORP                        COMMON     62943010     6,437,500        200,000           XXXX
OCEAN ENERGY INC TEX            COMMON     67481E10       868,750         50,000           XXXX
OCEANEERING INTL INC            COMMON     67523210    11,662,500        600,000           XXXX
OCWEN FINL CORP                 COMMON     67574610       637,500        100,000           XXXX
OMI CORPORATION                 COMMON     67087410     9,978,125      1,550,000           XXXX
ORDINA NV                       COMMON     5250640      5,624,644        259,872           XXXX
ORION PWR HLDGS INC             COMMON     68628610     8,618,750        350,000           XXXX
ORTHOFIX INTERNATIONAL          COMMON     N6748L10    15,814,463        826,900           XXXX
PEC SOLUTIONS INC               COMMON     70510710     1,625,000        200,000           XXXX
PETSMART INC                    COMMON     71676810    28,750,000     10,000,000           XXXX
PETSMART INC                     BOND      716768AA    23,625,000     37,500,000           XXXX
PHARMACEUTICAL HOLDRS TR        COMMON     71712A20     2,285,000         20,000           XXXX
PHARMACOPEIA INC                COMMON     71713B10     2,181,250        100,000           XXXX
PHILADELPHIA CONS HLDG CO       COMMON     71752810    40,137,500      1,300,000           XXXX
PRIME HOSPITALITY CORP          COMMON     74191710       290,625         25,000           XXXX
QUICKLOGIC CORP                 COMMON     74838C10     3,468,750        500,000           XXXX
QWEST COMMUNICATIONS INTL       COMMON     74912110     6,150,000        150,000           XXXX
RADVISION LTD                   COMMON     2562326      4,309,375        350,000           XXXX
RIT TECHNOLOGIES LTD            COMMON     2092276        962,406        133,900           XXXX
ROSETTA INPHARMATICS INC        COMMON     77777710     2,400,000        150,000           XXXX
ROSS STORES INC                 COMMON     77829610     1,687,500        100,000           XXXX
RTW INC                         COMMON     74974R10     5,155,650      1,231,200           XXXX
SBS BROADCASTING SA             COMMON     2812838      2,618,750        100,000           XXXX
SERONO SA                       COMMON     81752M10     3,590,625        150,000           XXXX
SHAW GROUP INC                  COMMON     82028010     3,250,000         65,000           XXXX
SHOHKOH FUND + CO               COMMON     6805715     10,321,900        100,000           XXXX
SIEBEL SYS INC                  COMMON     82617010     3,381,250         50,000           XXXX
SILICON GRAPHICS INC            COMMON     82705610     1,900,000        475,000           XXXX
SIMPSON MFG INC                 COMMON     82907310    10,200,000        200,000           XXXX
SPEEDWAY MOTORSPORTSINC         COMMON     84778810     1,543,200         64,300           XXXX
STARWOOD HOTELS + RESORTS       COMMON     85590520    21,150,000        600,000           XXXX
STRATOS LIGHTWAVE INC           COMMON     86310010       426,563         25,000           XXXX
SUNRISE TELECOM INC             COMMON     86769Y10       673,055        172,300           XXXX
TALK COM INC                    COMMON     87917610     4,312,500      3,000,000           XXXX
TEEKAY SHIPPING CORP            COMMON     2933795     11,400,000        300,000           XXXX
TELEDYNE TECHNOLOGIES INC       COMMON     87936010    15,356,250        650,000           XXXX
TELIK INC                       COMMON     87959M10     1,987,500        300,000           XXXX
TELLABS INC                     COMMON     87966410     5,650,000        100,000           XXXX
TENET HEALTHCARE CORP           COMMON     88033G10     4,443,750        100,000           XXXX
THERMOGENESIS CORP              COMMON     88362320       973,700        556,400           XXXX
TMP WORLDWIDE INC               COMMON     87294110       550,000         10,000           XXXX
TNT POST GROEP NV               COMMON     88874210     1,976,209         81,700           XXXX
TRITON ENERGY LTD               COMMON     2899273      3,000,000        100,000           XXXX
UNISYS CORP                     COMMON     90921410     2,925,000        200,000           XXXX
UNITED PAN EUROPE               COMMON     91130020     4,725,000        450,000           XXXX
UROLOGIX INC                    COMMON     91727310       292,938         21,500           XXXX
UTD PAN EUROPE  COM             COMMON     5931332      1,593,743        156,000           XXXX
UTILICORP UTD INC               COMMON     91800510     6,200,000        200,000           XXXX
VARIAGENICS INC                 COMMON     92219610     1,185,940        100,000           XXXX
VIRGINIA GAS CO                 COMMON     92781410     2,223,750        593,000           XXXX
VITESSE SEMICONDUCTOR COR       COMMON     92849710    48,675,000        880,000           XXXX
WASHINGTON REAL ESTATE IN       COMMON     93965310     2,362,500        100,000           XXXX
WATERS CORP                     COMMON     94184810    14,612,500        175,000           XXXX
WETHERSPOON (JD)                COMMON     0163895    102,954,108     20,614,322           XXXX
XILINX INC                      COMMON     98391910       461,250         10,000           XXXX
           ** GRAND TOTAL **                        2,291,751,317
</TABLE>


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