<PAGE>
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: March 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: Van Eck Associates Corporation
Address: 99 Park Avenue, 8th Floor
New York, NY 10016
13F File Number: 28-2763
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: Alex Bogaenko
Title: Assistant Controller
Phone: (212) 293-2052
Signature, Place, and Date of Signing:
/s/Alex Bogaenko New York, NY May 3, 2000
[Signature] [City, State] [Date]
Report Type (Check only one):
[XX] 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).)
Provide a numbered list of the name(s) and 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.
[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]
No.
1. None
<PAGE>
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 140
Form 13F Information Table Value Total: $225,520.3
(thousands)
List of Other Included Managers:
None
<PAGE>
<TABLE>
<CAPTION>
SEC FORM 13F REPORTING MANAGER: VAN ECK ASSOCIATES CORP
- -----------------------------------------------------------------------------------------------------------------------------------
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6:
INVESTMENT DISCRETION
---------------------
FAIR SHARES OR
MARKET PRINCIPAL (a)SOLE
NAME OF ISSUER TITLE OF CLASS CUSIP # VALUE AMOUNT
$(000)
- -----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
ADC Telecommunication Common 000886101 $808.1 15,000.00 X
AK Steel Holding Common 001547108 $2,990.6 288,248.30 X
AMB Property Corporation Common 00163T109 $956.8 44,500.00 X
ASA Ltd. Common 002050102 $2,943.1 170,000.00 X
Agnico Eagle Mines Common 008474108 $1,792.8 322,300.00 X
Alcan Aluminum Ltd Common 013716105 $1,355.0 40,000.00 X
America Online, Common 02364J104 $470.8 7,000.00 X
American Express Corp Common 025816109 $372.3 2,500.00 X
American International Group Common 026874107 $492.8 4,500.00 X
Amgen Inc Common 031162100 $491.0 8,000.00 X
Anadarko Petroleum Corp Common 032511107 $2,093.0 54,100.00 X
Anglogold Limited Spon ADR 035128206 $10,121.0 421,709.00 X
Apache Corp. Common 037411105 $2,572.1 51,700.00 X
Apartment Investment & Mgmt Co. Class A 03748R101 $981.4 25,700.00 X
Aracruz Cellulose Corp Spons ADR Class B 038496204 $1,172.7 55,350.00 X
Arden Realty Group Common 039793104 $31.3 1,500.00 X
AvalonBay Communities Common 053484101 $36.6 1,000.00 X
BP Amoco Plc. Spon ADR 055622104 $1,894.3 35,700.00 X
Barrick Gold Corp Common 067901108 $13,811.1 880,388.00 X
Barrett Resource Common 068480201 $1,490.6 50,000.00 X
Battle Mountain Canada Common 071593107 $2,264.0 1,168,500.00 X
Bedford Property Investors Inc. Common 076446301 $570.2 35,500.00 X
Bethlehem Steel Common 087509105 $156.0 26,000.00 X
Boston Properties Inc. Common 101121101 $3,041.3 95,600.00 X
Brandywine Realty Trust Shares Ben Int. 105368203 $1,351.2 78,900.00 X
Burnham Pacific Plc. Common 12232C108 $49.4 7,000.00 X
CBS Corp Common 12490K107 $509.6 9,000.00 X
Camden Property Trust Shares Ben Int. 133131102 $46.0 1,700.00 X
Cardinal Health Inc. Common 14149Y108 $550.5 12,000.00 X
Central Fund Canada Class A 153501101 $1,260.0 360,000.00 X
Champion International Common 158525105 $2,404.2 45,150.00 X
Chase Manhattan Corp Common 16161A108 $392.3 4,500.00 X
Chevron Corp Common 166751107 $3,882.4 42,000.00 X
Cisco Systems Inc. Common 17275R102 $927.8 12,000.00 X
Clear Channel Communication Inc. Common 184502102 $345.3 5,000.00 X
Coastal Corp. Common 190441105 $552.0 12,000.00 X
Coca-Cola Femsa SA Common 191241108 $278.4 15,000.00 X
Cominco Ltd Common 200435105 $731.6 50,300.00 X
CBD (Pao De Azucar) ADR 20440T201 $1,787.5 50,000.00 X
Conoco Inc Class A 208251306 $1,930.6 78,400.00 X
Cooper Cameron Corp Common 216640102 $1,396.4 20,880.00 X
Cornerstone Properties, Inc. Common 21922H103 $1,356.6 77,800.00 X
Crescent Real Estate Co. Common 225756105 $889.0 50,800.00 X
Crown Resources Corp. Common 228569109 $86.1 81,000.00 X
Developers Divers Common 251591103 $55.5 4,000.00 X
Devon Energy Corp Common 25179M103 $437.1 9,000.00 X
Duke Realty Investments Spon ADR 264411505 $47.8 2,500.00 X
<CAPTION>
SEC FORM 13F 3/31/00 SEC USE ONLY
- -------------------------------------------------------------------------------------------------------------------------------
ITEM 1: ITEM 7: ITEM 8:
VOTING AUTHORITY
----------------------------- (SHARES)
MANAGERS -------------------------------------------
(b)SHARED- (c)SHARED SEE (a)SOLE (b)SHARED- (c)NONE
NAME OF ISSUER As defined OTHER INSTR
in Instr. V V
- -------------------------------------------------------------------------------------------------------------------------------
<S> <C>
ADC Telecommunication 15,000
AK Steel Holding 288,248
AMB Property Corporation 44,500
ASA Ltd. 170,000
Agnico Eagle Mines 322,300
Alcan Aluminum Ltd 40,000
America Online, 7,000
American Express Corp 2,500
American International Group 4,500
Amgen Inc 8,000
Anadarko Petroleum Corp 54,100
Anglogold Limited 421,709
Apache Corp. 51,700
Apartment Investment & Mgmt Co. 25,700
Aracruz Cellulose Corp 55,350
Arden Realty Group 1,500
AvalonBay Communities 1,000
BP Amoco Plc. 35,700
Barrick Gold Corp 880,388
Barrett Resource 50,000
Battle Mountain Canada 1,168,500
Bedford Property Investors Inc. 35,500
Bethlehem Steel 26,000
Boston Properties Inc. 95,600
Brandywine Realty Trust 78,900
Burnham Pacific Plc. 7,000
CBS Corp 9,000
Camden Property Trust 1,700
Cardinal Health Inc. 12,000
Central Fund Canada 360,000
Champion International 45,150
Chase Manhattan Corp 4,500
Chevron Corp 42,000
Cisco Systems Inc. 12,000
Clear Channel Communication Inc. 5,000
Coastal Corp. 12,000
Coca-Cola Femsa SA 15,000
Cominco Ltd 50,300
CBD (Pao De Azucar) 50,000
Conoco Inc 78,400
Cooper Cameron Corp 20,880
Cornerstone Properties, Inc. 77,800
Crescent Real Estate Co. 50,800
Crown Resources Corp. 81,000
Developers Divers 4,000
Devon Energy Corp 9,000
Duke Realty Investments 2,500
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
SEC FORM 13F REPORTING MANAGER: VAN ECK ASSOCIATES CORP
- -----------------------------------------------------------------------------------------------------------------------------------
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6:
INVESTMENT DISCRETION
---------------------
FAIR SHARES OR
MARKET PRINCIPAL (a)SOLE
NAME OF ISSUER TITLE OF CLASS CUSIP # VALUE AMOUNT
$(000)
- -----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
Durban Roodeport Common 266597301 $118.9 90,624.00 X
EMC Corp. Common 268648102 $562.5 4,500.00 X
Ensco International Common 26874Q100 $2,575.7 71,300.00 X
Enron Corporation Common 293561106 $1,647.3 22,000.00 X
Equity Office Properties Shares Ben Int. 294741103 $1,507.5 60,000.00 X
Equity Residentia Common 29476L107 $1,000.7 24,900.00 X
Exxon Mobil Corp Common 30231G102 $2,765.2 35,536.12 X
Federal Realty In Shares Ben Int. 313747206 $38.6 2,000.00 X
Fort James Corp. Common 347471104 $1,100.0 50,000.00 X
Freeport-Mcmoran Copper Common 35671D857 $2,050.6 170,000.00 X
Gables Residential Common 362418105 $22.5 1,000.00 X
General Electric Co. Common 369604103 $667.3 4,300.00 X
General Growth Properties Common 370021107 $67.0 2,200.00 X
Georgia Pacific Co. Common 373298108 $3,382.6 85,500.00 X
Glamis Gold Ltd. Common 376775102 $2,313.8 1,234,000.00 X
Global Marine Inc. Common 379352404 $1,682.4 66,300.00 X
Gold Fields Of South Africa SPON ADR 380597500 $9.3 4,000.00 X
Gold Fields Ltd. SPON ADR 38059T106 $7,805.8 2,014,390.00 X
Golden Cycle Gold Corp Common 380894105 $306.3 50,000.00 X
Grubb & Ellis Company Common 400095204 $51.8 9,200.00 X
Grupo Televisa Sa SP ADR REP ORD 40049J206 $2,516.0 37,000.00 X
Grupo Elektra Sa- GLOBL DEP RCPT 40050A102 $1,466.3 115,000.00 X
Harmony Gold Mining Common 413216300 $3,682.0 601,147.00 X
Hellenic Telecom Org SPON ADR 423325307 $362.5 25,000.00 X
Highlands Insurance Co. Common 431032101 $25.5 3,000.00 X
Home Depot Inc Common 437076102 $483.8 7,500.00 X
Homestake Mining Co. Common 437614100 $12,479.8 2,079,965.00 X
Homestead Village Common 437851108 $47.8 15,000.00 X
Honeywell International Corp. Common 438516106 $296.4 5,625.00 X
Intel Corp. Common 458140100 $857.6 6,500.00 X
International Business Machines Corp. Common 459200101 $472.0 4,000.00 X
International Paper co. Common 460146103 $4,176.7 97,700.00 X
JDS Uniphase Corp Common 46612J101 $385.8 3,200.00 X
Jones Lang Lasalle Common 48020Q107 $46.5 3,000.00 X
Kilroy Realty Corp Common 49427F108 $273.8 13,000.00 X
Kimco Realty Co. Common 49446R109 $56.3 1,500.00 X
Lexmark International Group Class A 529771107 $423.0 4,000.00 X
Louisiana Pacific Corp Common 546347105 $1,179.4 85,000.00 X
Lucent Technologies Co. Common 549463107 $425.3 7,000.00 X
MCI Worldcom Inc Common 55268B106 $359.3 7,930.00 X
Macerich Company Common 554382101 $639.4 31,000.00 X
Mack Cali Realty Corp. Common 554489104 $951.2 37,300.00 X
Matav Rt Spon ADR 559776109 $1,660.1 37,200.00 X
Meditrust Common 58501T306 $27.2 15,000.00 X
Merck & Co. Common 589331107 $497.0 8,000.00 X
Microsoft Corp. Common 594918104 $265.6 2,500.00 X
Mills Corporation Common 601148109 $45.0 2,500.00 X
<CAPTION>
SEC FORM 13F 3/31/00 SEC USE ONLY
- -----------------------------------------------------------------------------------------------------------------------------
ITEM 1: ITEM 7: ITEM 8:
VOTING AUTHORITY
--------------------------- (SHARES)
MANAGERS -------------------------------------------
(b)SHARED- (c)SHARED SEE (a)SOLE (b)SHARED- (c)NONE
NAME OF ISSUER As defined OTHER INSTR
in Instr. V V
- -----------------------------------------------------------------------------------------------------------------------------
<S> <C>
Durban Roodeport 90,624
EMC Corp. 4,500
Ensco International 71,300
Enron Corporation 22,000
Equity Office Properties 60,000
Equity Residentia 24,900
Exxon Mobil Corp 35,536
Federal Realty In 2,000
Fort James Corp. 50,000
Freeport-Mcmoran Copper 170,000
Gables Residential 1,000
General Electric Co. 4,300
General Growth Properties 2,200
Georgia Pacific Co. 85,500
Glamis Gold Ltd. 1,234,000
Global Marine Inc. 66,300
Gold Fields Of South Africa 4,000
Gold Fields Ltd. 2,014,390
Golden Cycle Gold Corp 50,000
Grubb & Ellis Company 9,200
Grupo Televisa Sa 37,000
Grupo Elektra Sa- 115,000
Harmony Gold Mining 601,147
Hellenic Telecom Org 25,000
Highlands Insurance Co. 3,000
Home Depot Inc 7,500
Homestake Mining Co. 2,079,965
Homestead Village 15,000
Honeywell International Corp. 5,625
Intel Corp. 6,500
International Business Machines Corp. 4,000
International Paper co. 97,700
JDS Uniphase Corp 3,200
Jones Lang Lasalle 3,000
Kilroy Realty Corp 13,000
Kimco Realty Co. 1,500
Lexmark International Group 4,000
Louisiana Pacific Corp 85,000
Lucent Technologies Co. 7,000
MCI Worldcom Inc 7,930
Macerich Company 31,000
Mack Cali Realty Corp. 37,300
Matav Rt 37,200
Meditrust 15,000
Merck & Co. 8,000
Microsoft Corp. 2,500
Mills Corporation 2,500
</TABLE>
<PAGE>
<TABLE>
<CAPTION>
SEC FORM 13F REPORTING MANAGER: VAN ECK ASSOCIATES CORP
- -----------------------------------------------------------------------------------------------------------------------------------
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6:
INVESTMENT DISCRETION
---------------------
FAIR SHARES OR
MARKET PRINCIPAL (a)SOLE
NAME OF ISSUER TITLE OF CLASS CUSIP # VALUE AMOUNT
$(000)
- -----------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C>
New Plan Excel Realty Common 648053106 $55.0 4,000.00 X
Newmont Mining Co. Common 651639106 $16,837.1 750,400.00 X
Ocean Energy Inc Common 67481E106 $6,358.1 442,300.00 X
Philippine Long Distance Co. Spon ADR 718252604 $438.8 20,000.00 X
Placer Dome Co. Common 725906101 $7,796.1 959,520.00 X
Post Properties Common 737464107 $40.3 1,000.00 X
Prime Retail Trust Common 741570105 $32.8 15,000.00 X
Prologis Trust Shares Ben Int. 743410102 $972.1 50,500.00 X
Public Storage In Common 74460D109 $52.5 2,500.00 X
Qualcomm Inc. Common 747525103 $597.3 4,000.00 X
Reynolds Metals Corp Common 761763101 $3,254.8 48,670.00 X
Rouse Company Common 779273101 $42.3 2,000.00 X
Royal Dutch Petroleum Co. NY Reg Shares 780257804 $1,462.1 25,400.00 X
Royal Gold Inc. Common 780287108 $295.6 86,000.00 X
Schlumberger Ltd. Common 806857108 $1,721.3 22,500.00 X
Simon Property Group Common 828806109 $1,315.2 54,800.00 X
Smith International Inc Common 832110100 $1,348.5 17,400.00 X
Solectron Corp Common 834182107 $560.9 14,000.00 X
Sony Corp. ADR 835699307 $448.2 1,600.00 X
Spieker Properties Common 848497103 $44.5 1,000.00 X
StarMedia Network Common 855546107 $2,194.6 73,000.00 X
Stillwater Mining Co Common 86074Q102 $8,616.0 215,400.00 X
Taiwan Semiconductor Co. Common 874039100 $471.6 8,273.00 X
Taubman Centers Spon ADR Pfd. 876664103 $60.1 5,400.00 X
Telenorteleste ADR 879246106 $2,329.7 87,500.00 X
Telefonos De Mexico Common 879403780 $5,963.0 89,000.00 X
Temple-Inland Inc. Common 879868107 $498.1 10,000.00 X
Texaco Inc. Common 881694103 $820.5 15,300.00 X
Tidewater Inc. Common 886423102 $397.7 12,500.00 X
Time Warner Inc. Common 887315109 $320.0 3,200.00 X
Total S.A. SPONSORED ADR 89151E109 $2,208.8 30,000.00 X
Trammell Crow Co Common 89288R106 $83.0 7,500.00 X
Trizechahn Corp Common 896938107 $1,305.0 87,000.00 X
Tv Azteca Sa SPON ADR 901145102 $4,380.8 297,000.00 X
Tyco Internationa Ltd Common 902124106 $598.5 12,000.00 X
USX Marathon Group Common 902905827 $1,399.6 53,700.00 X
USX Steel Group Common 90337T101 $175.0 7,000.00 X
Unocal Corp Common 915289102 $833.0 28,000.00 X
Vastar Resources Common 922380100 $869.5 11,700.00 X
Vornado Realty Trust SH BEN INT 929042109 $60.3 1,800.00 X
Weyerhaeuser Co Common 962166104 $2,325.6 40,800.00 X
Willamette Industries Inc. Common 969133107 $1,504.7 37,500.00 X
Williams Cos Inc Common 969457100 $1,990.4 45,300.00 X
Wyndham International Inc. Class A 983101106 $610.1 325,410.00 X
Santa Fe International Corp Common G7805C108 $1,628.0 44,000.00 X
Transocean Sedco ORD G90078109 $2,251.2 43,871.80 X
- -------------------------------------------------------------------------------------------- -----------------------
$225,520.3
- -------------------------------------------------------------------------------------------- -----------------------
<CAPTION>
SEC FORM 13F
- --------------------------------------------------------------------------------------------------------------------------
ITEM 1: ITEM 7: ITEM 8:
VOTING AUTHORITY
------------------------- (SHARES)
MANAGERS -------------------------------------------
(b)SHARED- (c)SHARED SEE (a)SOLE (b)SHARED- (c)NONE
NAME OF ISSUER As defined OTHER INSTR
in Instr. V V
- --------------------------------------------------------------------------------------------------------------------------
<S> <C>
New Plan Excel Realty 4,000
Newmont Mining Co. 750,400
Ocean Energy Inc 442,300
Philippine Long Distance Co. 20,000
Placer Dome Co. 959,520
Post Properties 1,000
Prime Retail Trust 15,000
Prologis Trust 50,500
Public Storage In 2,500
Qualcomm Inc. 4,000
Reynolds Metals Corp 48,670
Rouse Company 2,000
Royal Dutch Petroleum Co. 25,400
Royal Gold Inc. 86,000
Schlumberger Ltd. 22,500
Simon Property Group 54,800
Smith International Inc 17,400
Solectron Corp 14,000
Sony Corp. 1,600
Spieker Properties 1,000
StarMedia Network 73,000
Stillwater Mining Co 215,400
Taiwan Semiconductor Co. 8,273
Taubman Centers 5,400
Telenorteleste 87,500
Telefonos De Mexico 89,000
Temple-Inland Inc. 10,000
Texaco Inc. 15,300
Tidewater Inc. 12,500
Time Warner Inc. 3,200
Total S.A. 30,000
Trammell Crow Co 7,500
Trizechahn Corp 87,000
Tv Azteca Sa 297,000
Tyco Internationa Ltd 12,000
USX Marathon Group 53,700
USX Steel Group 7,000
Unocal Corp 28,000
Vastar Resources 11,700
Vornado Realty Trust 1,800
Weyerhaeuser Co 40,800
Willamette Industries Inc. 37,500
Williams Cos Inc 45,300
Wyndham International Inc. 325,410
Santa Fe International Corp 44,000
Transocean Sedco 43,872
- --------------------------------------------------------------------------------------------------------------------------
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</TABLE>