ANGELO GORDON & CO LP/NY
13F-HR, 1999-11-15
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                                               FORM 13F SUMMARY PAGE



                UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                             Washington, D.C. 20549

                               Form 13F COVER PAGE

       Report for the Calendar Year or Quarter Ended: September 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:             Angelo, Gordon & Co., L.P.
Address:          245 Park Avenue, 26th Floor
                  New York, New York  10167

Form 13F File Number:  28-2616

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:             Michael L. Gordon
Title:            Chief Operating Officer
Phone:            212-692-2000

Signature, Place, and Date of Signing:

/S/ MICHAEL L. GORDON
______________________________________
[Signature]

New York, New York
______________________________________
[City, State]

November 15, 1999
______________________________________
[Date]

Report Type (Check only one.):

[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 Summary Page

                                 Report Summary:

Number of Other Included Managers:

         0

Form 13F Information Table Entry Total:

         174

Form 13F Information Table Value Total:

         $ 1,351,104   (thousands)

List of Other Included Managers:

                  Provide  a  numbered  list of the  name(s)  and  Form 13F file
                  number(s)  of  all  institutional   investment  managers  with
                  respect to which this report is filed,  other than the manager
                  filing this report.


NONE

<PAGE>


                                            FORM 13F INFORMATION TABLE
<TABLE>
<CAPTION>


                                                        Value                      Put/  Investment   Other           Voting
                                                                                                                    Authority
Name of Issuer                  Title of    CUSIP     (x$1000)    Shrs or   SH/PRN Call  Discretion  Managers   Sole   Shared   None
- --------------                  --------    -----     --------    --------  ------ ----  ----------  --------   ----   ------   ----
                                 Class                            prn amt
                                 -----                            -------
<S>                              <C>       <C>          <C>       <C>         <C>  <C>   <C>                    <C>
AGL RES INC                      COM       001204 10 6   335         20,600    SH        SOLE                       20,600
ALKERMES INC                     PFD CV    01642T 40 5   8,114      144,900    SH        SOLE                      144,900
                                 EX$3.25
ALLIANCE GAMING CORP             COM NEW   01859P 60 9   1,880      235,914    SH        SOLE                      235,914
ALPHARMA INC                     SB NT CV  020813 AB 7   9,625    7,000,000   PRN        SOLE                    7,000,000
                                 5.75%05
ALZA CORP DEL                    SUB DB    022615 AD 0   4,227    3,500,000   PRN        SOLE                    3,500,000
                                 CONV 5%06
ALZA CORP DEL                    COM       022615 10 8   18,324     428,000    SH        SOLE                      428,000
AMAZON.COM INC                   COM       023135 10 6   3,499       43,800    SH        SOLE                       43,800
AMERICA ONLINE INC DEL           COM       02364J 10 4   499          4,800    SH        SOLE                        4,800
AMERICAN INDL PPTYS  REIT        COM NEW   026791 20 2   1,192       89,540    SH        SOLE                       89,540
AMERITECH CORP NEW               COM       030954 10 1   9,507      141,500    SH        SOLE                      141,500
AMERITRADE HLDG CORP             SB NT CV  03072H AA 7   10,417  14,000,000   PRN        SOLE                   14,000,000
                                 144A 04
ANNTAYLOR STORES CORP            GTD SD CV 036115 AA 1   267        495,000    SH        SOLE                      495,000
                                 144A19
AQUARION CO                      COM       03838W 10 1   10,956     305,400    SH        SOLE                      305,400
ARMCO INC                        PFD CVA   042170 40 7   21,924     425,700    SH        SOLE                      425,700
                                 $3.625
ASHTON TECHNOLOGY GROUP INC      WT EXP    045084 11 8   322         70,500    SH        SOLE                       70,500
                                 050202
AT HOME CORP                     SB DB     045919 AC 1   9,028   13,750,000   PRN        SOLE                   13,750,000
                                 CV0.525%18
AT HOME CORP                     COM SER A 045919 10 7   605         14,600    SH        SOLE                       14,600
AXCESS INC                       COM       054546 10 6   110         39,021    SH        SOLE                       39,021
BOC GROUP PLC                    SPONSORED 055617 60 9   8,013      192,500    SH        SOLE                      192,500
                                 ADR
BROADCOM CORP                    CL  A     111320 10 7   654          6,000    SH        SOLE                        6,000
CASCADE NAT GAS CORP             COM       147339 10 5   1,514       84,700    SH        SOLE                       84,700
CASE CORP                        COM       14743R 10 3   10,187     204,500    SH        SOLE                      204,500
CENTOCOR INC                     CALL      152342 90 1   5,733       97,900    SH  CALL  SOLE                       97,900
CENTOCOR INC                     COM       152342 10 1   18,828     321,500    SH        SOLE                      321,500
CISCO SYS INC                    COM       17275R 10 2   1,001       14,598    SH        SOLE                       14,598
CMS ENERGY CORP                  COM       125896 10 0   6,845      201,700    SH        SOLE                      201,700
CNET INC                         SUB NT    125945 AC 9   7,007    4,250,000   PRN        SOLE                    4,250,000
                                 CONV 5%06
COASTAL CORP                     COM       190441 10 5   450         11,000    SH        SOLE                       11,000
COEUR D'ALENE MINES CORP IDAHO   MARCS     192108 20 7   3,969      675,500    SH        SOLE                      675,500
COEUR D'ALENE MINES CORP IDAHO   SB DB CV  192108 AG 3   2,205    3,500,000   PRN        SOLE                    3,500,000
                                 7.25%05
COLUMBIA ENERGY GROUP            COM       197648 10 8   9,270      167,400    SH        SOLE                      167,400
COMVERSE TECHNOLOGY INC          SUB DB CV 205862 AG 0   5,161    2,300,000   PRN        SOLE                    2,300,000
                                 4.5%05
CONECTIV  INC                    COM       206829 10 3   7,736      394,200    SH        SOLE                      394,200
CONEXANT SYSTEMS INC             SB NT CV  207142 AB 6   4,213    2,500,000   PRN        SOLE                    2,500,000
                                 4.25%06
CONNECTICUT ENERGY CORP          COM       207567 10 8   6,414      165,800    SH        SOLE                      165,800
CONSOLIDATED EDISON INC          COM       209115 10 4   10,703     257,900    SH        SOLE                      257,900
CONSOLIDATED NAT GAS CO          COM       209615 10 3   86,832   1,392,100    SH        SOLE                    1,392,100
CONSTELLATION ENERGY GROUP       COM       210371 10 0   7,869      279,800    SH        SOLE                      279,800
CTG RES INC                      COM       125957 10 0   7,004      198,000    SH        SOLE                      198,000
CYPRUS AMAX MINERALS CO          COM       232809 10 3   2,204      112,300    SH        SOLE                      112,300
DATA GEN CORP                    COM       237688 10 6   1,405       66,700    SH        SOLE                       66,700
DELL COMPUTER CORP               COM       247025 10 9   243          5,800    SH        SOLE                        5,800
DOUBLECLICK INC                  COM       258609 30 4   286          2,400    SH        SOLE                        2,400
DPL INC                          COM       233293 10 9   5,129      291,000    SH        SOLE                      291,000
DRS TECHNOLOGIES INC             SR SB DB  23330X AB 6   285        250,000   PRN        SOLE                      250,000
                                 CV 9%03
E M C CORP MASS                  COM       268648 10 2   364          5,100    SH        SOLE                        5,100
EASTERN ENTERPRISES              COM       27637F 10 0   4,823      103,866    SH        SOLE                      103,866
EASTERN UTILS ASSOC              COM       277173 10 0   48,920   1,637,500    SH        SOLE                    1,637,500
EDISON INTL                      COM       281020 10 7   10,309     424,000    SH        SOLE                      424,000
EMPIRE DIST ELEC CO              COM       291641 10 8   4,422      173,000    SH        SOLE                      173,000
ENERGEN CORP                     COM       29265N 10 8   709         35,000    SH        SOLE                       35,000
ENERGY EAST CORP                 COM       29266M 10 9   4,465      188,000    SH        SOLE                      188,000
EXODUS COMMUNICATIONS INC        COM       302088 10 9   274          3,800    SH        SOLE                        3,800
FIRST UN  REAL EST EQ&MTG INVTS  PFD CONV  337400 30 3   378         17,000    SH        SOLE                       17,000
                                 SER A
FIRST UN REAL EST EQ&MTG INVTS   SH BEN    337400 10 5   2,404      474,880    SH        SOLE                      474,880
                                 INT
FLEET FINL GROUP INC NEW         WT EXP    33901A 11 6   1,222       36,900    SH        SOLE                       36,900
                                 012701
FLORIDA PROGRESS CORP            COM       341109 10 6   18,639     403,000    SH        SOLE                      403,000
FOAMEX INTL INC                  COM       344123 10 4   1,252      178,800    SH        SOLE                      178,800
FORTE SOFTWARE INC               COM       349546 10 1   9,801      356,400    SH        SOLE                      356,400
FPL GROUP INC                    COM       302571 10 4   16,639     330,300    SH        SOLE                      330,300
FRONTIER CORPORATION             COM       35906P 10 5   3,335       62,200    SH        SOLE                       62,200
FRONTIER CORPORATION             CALL      35906P 90 5   1,609       30,000    SH  CALL  SOLE                       30,000
GENERAL INSTR CORP DEL           COM       370120 10 7   44,766     930,200    SH        SOLE                      930,200
GENESYS TELECOMMUNICATION LABS   COM       371931 10 6   553         12,100    SH        SOLE                       12,100
GLOBAL CROSSING LTD              PUT       G3921A 95 0   808         30,500    SH  PUT   SOLE                       30,500
GPU INC                          COM       36225X 10 0   1,837       56,300    SH        SOLE                       56,300
GTE CORP                         COM       362320 10 3   26,537     345,200    SH        SOLE                      345,200
HEWLETT PACKARD CO               SB LYON   428236 AC 7   3,000    5,000,000   PRN        SOLE                    5,000,000
                                 ZERO 17
HOST MARRIOTT CORP NEW           COM       44107P 10 4   331         34,800    SH        SOLE                       34,800
HOUSTON EXPL CO                  COM       442120 10 1   768         35,400    SH        SOLE                       35,400
HUMAN GENOME SCIENCES INC        SUB NT    444903 AA 6   12,720   8,000,000   PRN        SOLE                    8,000,000
                                 CV 144A06
ILLINOVA CORP                    COM       452317 10 0   2,660       94,800    SH        SOLE                       94,800
INPRISE CORP                     COM       45766C 10 2   2,475      604,483    SH        SOLE                      604,483
INTEL CORP                       COM       458140 10 0   490          6,600    SH        SOLE                        6,600
INTELECT COMMUNICATIONS INC      COM       458144 10 2   929      1,061,642    SH        SOLE                    1,061,642
INTERNATIONAL NETWORK SVCS       COM       460053 10 1   20,260     372,600    SH        SOLE                      372,600
IPALCO ENTERPRISES INC           COM       462613 10 0   3,297      169,600    SH        SOLE                      169,600
IXC COMMUNICATIONS INC           COM       450713 10 2   17,629     447,000    SH        SOLE                      447,000
JOHNSON & JOHNSON                PUT       478160 95 4   2,756       30,000    SH  PUT   SOLE                       30,000
KANSAS CITY PWR & LT CO          COM       485134 10 0   7,484      309,400    SH        SOLE                      309,400
KNOLL INC                        COM       498904 10 1   15,507     577,000    SH        SOLE                      577,000
LACLEDE GAS CO                   COM       505588 10 3   1,019       44,800    SH        SOLE                       44,800
LEVIATHAN GAS PIPELINE PARTNRS   COM UNIT  527367 20 5   307         13,500    SH        SOLE                       13,500
LG&E ENERGY CORP                 COM       501917 10 8   2,603      122,500    SH        SOLE                      122,500
LOCAL FINL CORP                  COM       539553 10 7   685         74,000    SH        SOLE                       74,000
LONE STAR INDS INC               COM NEW   542290 40 8   5,092      102,100    SH        SOLE                      102,100
LYCOS INC                        COM       550818 10 8   1,118       22,300    SH        SOLE                       22,300
MACMILLAN BLOEDEL LTD            COM       554783 20 9   16,643   1,063,700    SH        SOLE                    1,063,700
MADISON GAS & ELEC CO            COM       557497 10 4   1,212       61,000    SH        SOLE                       61,000
MAGNA INTL INC                   SBDB CV   559222 AG 9   2,288    2,500,000   PRN        SOLE                    2,500,000
                                 4.875%05
MAINE PUB SVC CO                 COM       560483 10 9   358         19,900    SH        SOLE                       19,900
MCI WORLDCOM INC                 COM       55268B 10 6   349          4,850    SH        SOLE                        4,850
MCKESSON HBOC INC                PUT       58155Q 95 3   1,450       50,000    SH  PUT   SOLE                       50,000
MCN ENERGY GROUP INC             COM       55267J 10 0   3,926      228,400    SH        SOLE                      228,400
MEDIAONE GROUP INC               COM       58440J 10 4   58,339     854,000    SH        SOLE                      854,000
MEDICAL MANAGER CORP NEW         SUB DB    58461U AA 1   3,063    3,500,000   PRN        SOLE                    3,500,000
                                 CONV 5%07
MEDICAL TECHNOLOGY & INNOVATNS   COM       58462M 10 0   8           77,000    SH        SOLE                       77,000
MEDTRONIC INC                    PUT       585055 95 6   13,613     382,800    SH  PUT   SOLE                      382,800
METRICOM INC                     SB NT     591596 AC 5   1,915    1,225,000   PRN        SOLE                    1,225,000
                                 CONV 8%03
MICROSOFT CORP                   COM       594918 10 4   1,241       13,700    SH        SOLE                       13,700
MIDAMERICAN ENERGY HLDGS NEW     COM       59562V 10 7   2,360       80,000    SH        SOLE                       80,000
MINNESOTA PWR INC                COM       604110 10 6   1,714       98,300    SH        SOLE                       98,300
MONSANTO CO                      ADJ CONV  611662 30 5   3,254       90,400    SH        SOLE                       90,400
                                 RATE
MONTANA POWER CO                 COM       612085 10 0   1,163       38,200    SH        SOLE                       38,200
MRV COMMUNICATIONS INC           CALL      553477 90 0   474         20,000    SH  CALL  SOLE                       20,000
NALCO CHEM CO                    COM       629853 10 2   16,413     325,000    SH        SOLE                      325,000
NATIONAL FUEL GAS CO N J         COM       636180 10 1   5,134      108,800    SH        SOLE                      108,800
NATIONAL PWR PLC                 SPON ADR  637194 40 8   1,020       32,000    SH        SOLE                       32,000
                                 FINAL
NEW CENTURY ENERGIES INC         COM       64352U 10 3   4,216      126,100    SH        SOLE                      126,100
NEW ENGLAND ELEC SYS             COM       644001 10 9   36,354     700,800    SH        SOLE                      700,800
NEW WORLD COFFEE-MANHATN BAGEL   COM       648904 10 0   101         61,011    SH        SOLE                       61,011
NIAGARA MOHAWK HLDGS INC         COM       653520 10 6   2,073      134,300    SH        SOLE                      134,300
NICOR INC                        COM       654086 10 7   3,150       84,700    SH        SOLE                       84,700
NISOURCE INC                     COM       65473P 10 5   4,067      183,800    SH        SOLE                      183,800
NOBLE INTL LTD                   COM       655053 10 6   261         18,630    SH        SOLE                       18,630
NORTHEAST UTILS                  COM       664397 10 6   5,781      314,600    SH        SOLE                      314,600
NSTAR                            COM       67019E 10 7   3,909      100,877    SH        SOLE                      100,877
OMNIPOINT CORP                   COM       68212D 10 2   17,567     314,400    SH        SOLE                      314,400
ORACLE CORP                      COM       68389X 10 5   398          8,750    SH        SOLE                        8,750
ORION CAPITAL CORP               CALL      686268 90 3   1,848       39,000    SH  CALL  SOLE                       39,000
OUTDOOR SYS INC                  COM       690057 10 4   21,504     601,500    SH        SOLE                      601,500
PACIFICORP                       COM       695114 10 8   6,432      319,600    SH        SOLE                      319,600
PECO ENERGY CO                   COM       693304 10 7   5,569      148,500    SH        SOLE                      148,500
PEOPLES ENERGY CORP              COM       711030 10 6   3,132       89,000    SH        SOLE                       89,000
PG&E CORP                        COM       69331C 10 8   2,254       87,100    SH        SOLE                       87,100
PIEDMONT NAT GAS INC             COM       720186 10 5   3,198      105,500    SH        SOLE                      105,500
PINNACLE WEST CAP CORP           COM       723484 10 1   4,547      125,000    SH        SOLE                      125,000
PIONEER HI BRED INTL INC         COM       723686 10 1   36,432     915,100    SH        SOLE                      915,100
PREMARK INTL INC                 COM       740459 10 2   10,100     200,000    SH        SOLE                      200,000
PROVIDENCE ENERGY CORP           COM       743743 10 6   1,296       46,700    SH        SOLE                       46,700
PROVIDENT AMER CORP              PUT       743832 95 7   211         14,000    SH  PUT   SOLE                       14,000
PUBLIC SVC CO N C INC            COM       744516 10 5   7,725      249,200    SH        SOLE                      249,200
PUBLIC SVC CO N MEX              COM       744499 10 4   986         54,000    SH        SOLE                       54,000
REALNETWORKS INC                 COM       75605L 10 4   314          3,000    SH        SOLE                        3,000
RELIANT ENERGY INC               COM       75952J 10 8   7,172      265,000    SH        SOLE                      265,000
REPTRON ELECTRONICS INC          SB NT CV  76026W AA 7   1,305    2,600,000   PRN        SOLE                    2,600,000
                                 6.75%04
REPUBLIC N Y CORP                PUT       760719 95 4   8,294      135,000    SH  PUT   SOLE                      135,000
REPUBLIC N Y CORP                COM       760719 10 4   23,039     375,000    SH        SOLE                      375,000
REYNOLDS METALS CO               COM       761763 10 1   44,442     736,100    SH        SOLE                      736,100
SAFEGUARD SCIENTIFICS INC        COM       786449 10 8   1,265       18,600    SH        SOLE                       18,600
SAVILLE SYS PLC                  SPONSORED 805174 10 9   10,387     707,200    SH        SOLE                      707,200
                                 ADR
SCANA CORP                       COM       805898 10 3   2,395       99,000    SH        SOLE                       99,000
SIERRA PAC RES                   COM       826425 10 0   8,709      391,416    SH        SOLE                      391,416
SIGCORP INC                      COM       826912 10 7   1,734       68,000    SH        SOLE                       68,000
SKYTEL COMMUNICATIONS INC        PFD CV    83087Q 30 2   18,737     498,000    SH        SOLE                      498,000
                                 EX $2.25
SMART MODULAR TECH INC           COM       831690 10 2   7,024      206,200    SH        SOLE                      206,200
SONAT INC                        COM       835415 10 0   4,576      115,300    SH        SOLE                      115,300
SOUTH JERSEY INDS INC            COM       838518 10 8   4,705      178,400    SH        SOLE                      178,400
SOUTHWEST GAS CORP               COM       844895 10 2   18,581     689,800    SH        SOLE                      689,800
SPORTS AUTH INC                  SB NT CV  849176 AC 6   1,451    2,350,000   PRN        SOLE                    2,350,000
                                 5.25%01
ST JOSEPH LT & PWR CO            COM       790654 10 7   1,040       50,400    SH        SOLE                       50,400
STANFORD TELECOMMUNICATIONS      COM       854402 10 4   14,774     464,400    SH        SOLE                      464,400
SUNBEAM CORP                     SRSDCV    867071 AA 0   7,471   43,000,000    SH        SOLE                   43,000,000
                                 ZRO144A18
TELEFONOS DE MEXICO S A          SR DB CV  879403 AD 5   13,343  14,000,000   PRN        SOLE                   14,000,000
                                 4.25%04
TESORO PETE CORP                 PIES CV   881609 40 8   9,860      628,500    SH        SOLE                      628,500
                                 1/1000S
TEXAS INSTRS INC                 PUT       882508 95 4   9,525      115,800    SH  PUT   SOLE                      115,800
TII INDS INC                     COM NEW   872479 20 9   99          67,241    SH        SOLE                       67,241
TNP ENTERPRISES INC              COM       872594 10 6   4,754      122,100    SH        SOLE                      122,100
TRANS WORLD AIRLS INC            PUT       893349 95 7   1,176      330,200    SH  PUT   SOLE                      330,200
U S DIAGNOSTIC INC               SUB DB    90328Q AB 4   2,656    3,835,000   PRN        SOLE                    3,835,000
                                 CONV 9%03
U S WEST INC NEW                 COM       91273H 10 1   33,239     582,500    SH        SOLE                      582,500
UNION CARBIDE CORP               COM       905581 10 4   31,548     555,300    SH        SOLE                      555,300
UNITIL CORP                      COM       913259 10 7   1,038       42,700    SH        SOLE                       42,700
UNITRODE CORP                    COM       913283 10 7   23,692     564,100    SH        SOLE                      564,100
VALLEY RES INC                   COM       920062 10 6   756         55,500    SH        SOLE                       55,500
VIDEO NETWORK COMMUNICATIONS     COM       92656N 10 3   721        349,367    SH        SOLE                      349,367
WASHINGTON GAS LT CO             COM       938837 10 1   1,655       61,000    SH        SOLE                       61,000
WESTCOAST ENERGY INC             COM       95751D 10 2   656         35,000    SH        SOLE                       35,000
WICOR INC                        COM       929253 10 2   4,624      159,100    SH        SOLE                      159,100
WILLIAMS COS INC DEL             COM       969457 10 0   10,011     267,400    SH        SOLE                      267,400
WIND RIVER SYSTEMS INC           COM       973149 10 7   875         46,050    SH        SOLE                       46,050
WORLD COLOR PRESS INC DEL        COM       981443 10 4   13,917     373,600    SH        SOLE                      373,600
XOMED SURGICAL PRODS INC         COM       98412V 10 7   12,779     224,200    SH        SOLE                      224,200
YANKEE ENERGY SYS INC            COM       984779 10 8   30,530     715,200    SH        SOLE                      715,200

</TABLE>


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