ANGELO GORDON & CO LP/NY
13F-HR, 2000-02-14
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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: December 31, 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]

February     , 2000
______________________________________
[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:

         170

Form 13F Information Table Value Total:


         $   1,340,383 (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>
ACTV INC                       COM         00088E 10 4   233          5,100                SOLE                     X
AFFYMETRIX INC                 SB NT CV    00826T AA 6   9,371    6,100,000                SOLE                     X
                               144A 06
ALKERMES INC                   PFD CV      01642T 40 5   12,932     144,900                SOLE                     X
                               EX$3.25
ALLIANCE GAMING CORP           COM NEW     01859P 60 9   641        235,914                SOLE                     X
ALLIANT CORP                   COM         018802 10 8   976         35,500                SOLE                     X
ALPHARMA INC                   SB NT CV    020813 AB 7   7,191    6,000,000                SOLE                     X
                               5.75%05
AMERICA ONLINE INC DEL         COM         02364J 10 4   1,433       19,000                SOLE                     X
AMERICA ONLINE INC DEL         SUB NT CV   02364J AC 8   5,674   10,000,000                SOLE                     X
                               ZRO 19
AMERICAN INDL PPTYS REIT       COM NEW     026791 20 2   1,108       89,540                SOLE                     X
AMFM INC                       COM         001693 10 0   15,348     196,927                SOLE                     X
AMGEN INC                      COM         031162 10 0   372          6,200                SOLE                     X
AQUARION CO                    COM         03838W 10 1   5,594      151,200                SOLE                     X
ASHTON TECHNOLOGY GROUP INC    WT EXP      045084 11 8   198         60,780                SOLE                     X
                               050202
AT HOME CORP                   SB NT CV    045919 AD 9   9,670   10,000,000                SOLE                     X
                               144A 06
AT HOME CORP                   SB DB       045919 AC 1   12,483  19,750,000                SOLE                     X
                               CV0.525%18
ATLANTIC RICHFIELD CO          COM         048825 10 3   37,602     434,700                SOLE                     X
ATLANTIC RICHFIELD CO          PUT         048825 95 3   25,950     300,000         P      SOLE                     X
AT&T CORP                      COM         001957 10 9   223          4,400                SOLE                     X
AVISTA CORP                    RECONS L    05379B 50 3   955         62,600                SOLE                     X
                               1/10S
AXCESS INC                     COM         054546 10 6   215         39,021                SOLE                     X
BLUESTONE SOFTWARE INC         COM         09623P 10 2   229          2,000                SOLE                     X
BOC GROUP PLC                  SPONSORED   055617 60 9   8,154      191,300                SOLE                     X
                               ADR
BROADCOM CORP                  CL A        111320 10 7   354          1,300                SOLE                     X
CALLON PETE CO DEL             PFD A CV    13123X 20 1   1,887       55,500                SOLE                     X
                               EXCH
CASCADE NAT GAS CORP           COM         147339 10 5   1,475       91,500                SOLE                     X
CENTOCOR INC                   SB DB CV    152342 AE 1   2,658    2,000,000                SOLE                     X
                               4.75%05
CENTRAL HUDSON GAS & ELEC CORP COM         153609 10 2   4,782      144,900                SOLE                     X
CEPHALON INC                   PFD CV      156708 30 7   12,150     120,000                SOLE                     X
                               EX 144A
CINERGY CORP                   COM         172474 10 8   3,597      149,100                SOLE                     X
CISCO SYS INC                  COM         17275R 10 2   943          8,800                SOLE                     X

<PAGE>

CITIZENS UTILS CO DEL          CL B        177342 20 1   341         24,000                SOLE                     X
CLARIFY INC                    COM         180492 10 0   18,142     143,100                SOLE                     X
CMGI INC                       COM         125750 10 9   504          1,822                SOLE                     X
CMS ENERGY CORP                COM         125896 10 0   10,797     346,200                SOLE                     X
CNET INC                       SUB NT      125945 AC 9   7,871    4,750,000                SOLE                     X
                               CONV 5%06
COEUR D ALENE MINES CORP IDAHO SB DB CV    192108 AG 3   2,616    4,500,000                SOLE                     X
                               7.25%05
COEUR D ALENE MINES CORP IDAHO MARCS       192108 20 7   2,458      678,000                SOLE                     X
COLUMBIA ENERGY GROUP          COM         197648 10 8   9,589      151,600                SOLE                     X
COMCAST CORP                   ZONES CV2%  200300 50 7   9,950      100,000                SOLE                     X
                               PCS
COMPAQ COMPUTER CORP           COM         204493 10 0   230          8,500                SOLE                     X
COMVERSE TECHNOLOGY INC        SUB DB CV   205862 AG 0   17,791   5,200,000                SOLE                     X
                               4.5%05
CONECTIV INC                   COM         206829 10 3   841         50,000                SOLE                     X
CONEXANT SYSTEMS INC           SB NT CV    207142 AB 6   23,654   8,000,000                SOLE                     X
                               4.25%06
CONNECTICUT ENERGY CORP        COM         207567 10 8   13,653     351,200                SOLE                     X
CONSOLIDATED NAT GAS CO        COM         209615 10 3   67,145   1,034,000                SOLE                     X
CONSTELLATION ENERGY CORP      COM         210371 10 0   10,556     364,000                SOLE                     X
CTG RES INC                    COM         125957 10 0   6,623      190,600                SOLE                     X
DELL COMPUTER CORP             COM         247025 10 9   332          6,500                SOLE                     X
DII GROUP INC                  COM         232949 10 7   8,580      120,900                SOLE                     X
DPL INC                        COM         233293 10 9   4,863      280,900                SOLE                     X
DRS TECHNOLOGIES INC           SR SB DB    23330X AB 6   279        250,000                SOLE                     X
                               CV 9%03
DTE ENERGY CO                  COM         233331 10 7   5,475      174,500                SOLE                     X
DUKE ENERGY CORP               COM         264399 10 6   10,792     215,300                SOLE                     X
E M C CORP MASS                COM         268648 10 2   885          8,100                SOLE                     X
E TOWN                         COM         269242 10 3   6,412      103,000                SOLE                     X
EASTERN ENTERPRISES            COM         27637F 10 0   44,874     781,266                SOLE                     X
EASTERN UTILS ASSOC            COM         277173 10 0   47,263   1,559,200                SOLE                     X
EL PASO ELEC CO                COM NEW     283677 85 4   823         85,000                SOLE                     X
EL PASO ENERGY CORP DEL        COM         283905 10 7   2,651       68,300                SOLE                     X
EL PASO ENERGY PARTNERS L P    COM         28368B 10 2   1,440       75,800                SOLE                     X
ELCOM INTL INC                 COM         284434 10 7   238          7,000                SOLE                     X
EMPIRE DIST ELEC CO            COM         291641 10 8   4,371      193,200                SOLE                     X
ENERGEN CORP                   COM         29265N 10 8   659         36,500                SOLE                     X
ENERGYNORTH INC                COM         292925 10 4   1,652       30,000                SOLE                     X
ENTERGY CORP NEW               COM         29364G 10 3   11,330     440,000                SOLE                     X

<PAGE>

EOG RES INC                    COM         26875P 10 1   2,020      115,000                SOLE                     X
ETOYS INC                      SUB NT CV   297862 AA 2   8,788   13,700,000                SOLE                     X
                               144A04
FIRST UN REAL EST EQ&MTG INVTS SH BEN INT  337400 10 5   2,256      474,880                SOLE                     X
FIRST UN REAL EST EQ&MTG INVTS PFD CONV    337400 30 3   344         17,000                SOLE                     X
                               SER A
FLEETBOSTON FINL CORP          WT EXP      339030 11 6   1,230       42,400                SOLE                     X
                               012601
FLORIDA PROGRESS CORP          COM         341109 10 6   17,052     403,000                SOLE                     X
FOAMEX INTL INC                COM         344123 10 4   1,486      178,800                SOLE                     X
FPL GROUP INC                  COM         302571 10 4   17,159     400,800                SOLE                     X
FREEPORT-MCMORAN COPPER & GOLD PFD CV      35671D 50 1   3,572      187,400                SOLE                     X
                               0.05SH
GENERAL INSTR CORP DEL         COM         370120 10 7   49,742     585,200                SOLE                     X
GTE CORP                       COM         362320 10 3   17,556     248,800                SOLE                     X
HOUSTON EXPL CO                COM         442120 10 1   733         37,000                SOLE                     X
HUMAN GENOME SCIENCES INC      SUB NT CV   444903 AC 2   6,011    5,000,000                SOLE                     X
                               144A06
I2 TECHNOLOGIES INC            SUBNTCV     465754 AD 1   4,181    3,000,000                SOLE                     X
                               144A 06
ILLINOVA CORP                  COM         452317 10 0   6,908      198,800                SOLE                     X
INTEL CORP                     COM         458140 10 0   428          5,200                SOLE                     X
INTERDIGITAL COMMUNICATIONS CP COM         45866A 10 5   375          5,000                SOLE                     X
INTERMEDIA COMMUNICATIONS INC  COM         458801 10 7   3,505       90,300                SOLE                     X
INTERNATIONAL BUSINESS MACHS   COM         459200 10 1   400          3,700                SOLE                     X
IPALCO ENTERPRISES INC         COM         462613 10 0   4,409      258,400                SOLE                     X
KANSAS CITY PWR & LT CO        COM         485134 10 0   8,812      399,400                SOLE                     X
KINDER MORGAN INC KANSAS       COM         49455P 10 1   2,200      109,000                SOLE                     X
KULICKE & SOFFA INDS INC       SUB NT CV   501242 AC 5   1,111    1,000,000                SOLE                     X
                               144A06
LACLEDE GAS CO                 COM         505588 10 3   2,255      104,300                SOLE                     X
LORAL SPACE & COMMUNICATIONS   PFD CONV    G56462 14 9   5,344       83,300                SOLE                     X
                               C 6%
LSI LOGIC CORP                 SB NT CV    502161 AD 4   18,063   8,000,000                SOLE                     X
                               4.25%04
MADISON GAS & ELEC CO          COM         557497 10 4   1,243       61,000                SOLE                     X
MAINE PUB SVC CO               COM         560483 10 9   346         19,900                SOLE                     X
MAPQUEST COM INC               COM         565644 10 1   1,582       70,100                SOLE                     X
MATTEL INC                     COM         577081 10 2   1,078       82,140                SOLE                     X
MCI WORLDCOM INC               COM         55268B 10 6   271          5,100                SOLE                     X

<PAGE>

MCI WORLDCOM INC               PFD CV C    55268B 20 5   21,638     421,700                SOLE                     X
                               $2.25
MCI WORLDCOM INC               PUT         55268B 95 6   19,474     367,000         P      SOLE                     X
MCN ENERGY GROUP INC           COM         55267J 10 0   24,066   1,013,300                SOLE                     X
MEDIAONE GROUP INC             COM         58440J 10 4   63,401     825,401                SOLE                     X
MEDICAL MANAGER CORP NEW       SUB DB      58461U AA 1   10,890   7,514,000                SOLE                     X
                               CONV 5%07
MEDICAL TECHNOLOGY & INNOVATNS COM         58462M 10 0   2           77,000                SOLE                     X
METRICOM INC                   SB NT       591596 AC 5   6,619    1,225,000                SOLE                     X
                               CONV 8%03
MICRO WHSE INC                 COM         59501B 10 5   2,405      130,000                SOLE                     X
MICROSOFT CORP                 COM         594918 10 4   467          4,000                SOLE                     X
MIDAMERICAN ENERGY HLDGS NEW   COM         59562V 10 7   7,997      237,400                SOLE                     X
MINNESOTA PWR INC              COM         604110 10 6   2,908      171,700                SOLE                     X
MONSANTO CO                    ADJ CONVR   611662 30 5   25,927     782,700                SOLE                     X
                               RATE
MONTANA POWER CO               COM         612085 10 0   1,626       45,100                SOLE                     X
MRV COMMUNICATIONS INC         CALL        553477 90 0   1,258       20,000         C      SOLE                     X
NASDAQ 100 TR                  UNIT SER 1  631100 10 4   4,258       23,300                SOLE                     X
NATIONAL FUEL GAS CO N J       COM         636180 10 1   809         17,400                SOLE                     X
NEW ENGLAND ELEC SYS           COM         644001 10 9   25,502     492,800                SOLE                     X
NEW WORLD COFFEE-MANHATN BAGEL COM NEW     648904 20 9   116        232,528                SOLE                     X
NICOR INC                      COM         654086 10 7   4,995      153,700                SOLE                     X
NISOURCE INC                   COM         65473P 10 5   5,593      312,900                SOLE                     X
NORTHEAST UTILS                COM         664397 10 6   6,596      320,800                SOLE                     X
NORTHWEST NAT GAS CO           COM         667655 10 4   1,656       75,500                SOLE                     X
NSTAR                          COM         67019E 10 7   5,565      137,400                SOLE                     X
OMNIPOINT CORP                 COM         68212D 10 2   31,254     259,500                SOLE                     X
OPTICAL COATING LAB INC        PUT         683829 95 5   4,440       15,000         P      SOLE                     X
ORACLE CORP                    COM         68389X 10 5   863          7,700                SOLE                     X
P P & L RES INC                COM         693499 10 5   3,774      165,000                SOLE                     X
PECO ENERGY CO                 COM         693304 10 7   782         22,500                SOLE                     X
PEOPLES ENERGY CORP            COM         711030 10 6   2,982       89,000                SOLE                     X
PIEDMONT NAT GAS INC           COM         720186 10 5   3,191      105,500                SOLE                     X
PROVIDENT AMER CORP            CALL        743832 90 7   158          4,500         C      SOLE                     X
PROVIDENT AMER CORP            PUT         743832 95 7   352         10,000         P      SOLE                     X
PUBLIC SVC CO  N C INC         COM         744516 10 5   8,052      249,200                SOLE                     X
PUBLIC SVC CO N MEX            COM         744499 10 4   1,142       70,300                SOLE                     X
PUBLIC SVC ENTERPRISE GROUP    COM         744573 10 6   2,364       67,900                SOLE                     X

<PAGE>

QWEST COMMUNICATIONS INTL INC  PUT         749121 95 9   860         20,000         P      SOLE                     X
RELIANT ENERGY INC             COM         75952J 10 8   9,882      432,000                SOLE                     X
REPTRON ELECTRONICS INC        SB NT CV    76026W AA 7   1,508    2,600,000                SOLE                     X
                                6.75%04
REPUBLIC N Y CORP              COM         760719 10 4   21,607     300,100                SOLE                     X
REYNOLDS METALS CO             COM         761763 10 1   43,722     570,600                SOLE                     X
SAFEGUARD SCIENTIFICS INC      COM         786449 10 8   1,945       12,000                SOLE                     X
SAFEGUARD SCIENTIFICS INC      CALL        786449 90 8   3,260       20,000         C      SOLE                     X
SAFESKIN CORP                  COM         786454 10 8   3,548      292,600                SOLE                     X
SCANA CORP                     COM         805898 10 3   3,198      119,000                SOLE                     X
SCOTTISH PWR PLC               SPON ADR    81013T 70 5   3,612      129,000                SOLE                     X
                               FINAL
SIEBEL SYS INC                 SB NT CV    826170 AA 0   11,705   6,000,000                SOLE                     X
                               144A 06
SIGCORP INC                    COM         826912 10 7   4,382      192,600                SOLE                     X
SOUTH JERSEY INDS INC          COM         838518 10 8   5,901      207,500                SOLE                     X
SOUTHWEST GAS CORP             COM         844895 10 2   17,604     765,400                SOLE                     X
SPORTS AUTH INC                SB NT CV    849176 AC 6   1,410    2,350,000                SOLE                     X
                               5.25%01
SPRINT CORP                    COM FON     852061 10 0   18,848     280,000                SOLE                     X
                               GROUP
ST JOSEPH LT & PWR CO          COM         790654 10 7   674         32,900                SOLE                     X
SUNBEAM CORP                   SRSDCV      867071 AA 0   6,433   41,500,000                SOLE                     X
                               ZRO144A18
TC PIPELINES LP                UT COM LTD  87233Q 10 8   1,172       83,000                SOLE                     X
                               PRT
TEXAS UTILS CO                 COM         882848 10 4   5,061      142,300                SOLE                     X
THEGLOBE COM INC               COM         88335R 10 1   117         14,000                SOLE                     X
TII INDS INC                   COM NEW     872479 20 9   82          67,241                SOLE                     X
TNP ENTERPRISES INC            COM         872594 10 6   8,159      197,800                SOLE                     X
TRANS WORLD AIRLS INC          PUT         893349 95 7   2,232      811,600         P      SOLE                     X
U S DIAGNOSTIC INC             SUB DB      90328Q AB 4   2,771    4,518,000                SOLE                     X
                               CONV 9%03
U S WEST INC NEW               COM         91273H 10 1   58,867     817,600                SOLE                     X
UNAPIX ENTMT INC               COM         904270 10 5   17          10,488                SOLE                     X
UNITIL CORP                    COM         913259 10 7   2,231       62,400                SOLE                     X
UTILICORP UTD INC              COM         918005 10 9   2,115      108,800                SOLE                     X
VERTICALNET  INC               SB DB CV    92532L AA 5   12,565   3,000,000                SOLE                     X
                               144A 04
VIDEO NETWORK COMMUNICATIONS   COM         92656N 10 3   1,059      349,367                SOLE                     X
VISIO CORP                     COM         927914 10 1   8,811      185,500                SOLE                     X
WELLSFORD REAL PPTYS INC       COM         950240 10 1   695         81,780                SOLE                     X
WESTCOAST ENERGY INC           COM         95751D 10 2   867         54,000                SOLE                     X
WESTERN DIGITAL CORP           SB DB CV    958102 AH 8   2,608   17,684,000                SOLE                     X
                               ZERO 18
WICOR INC                      COM         929253 10 2   5,024      172,700                SOLE                     X

<PAGE>

WILLIAMS COS INC DEL           COM         969457 10 0   4,352      142,400                SOLE                     X
WIND RIVER SYSTEMS INC         COM         973149 10 7   1,320       36,050                SOLE                     X
YANKEE ENERGY SYS INC          COM         984779 10 8   26,499     603,100                SOLE                     X



</TABLE>



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