PICHIN CORP/NY
13F-HR, 2000-02-14
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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, 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:    Pichin Corp. (as sponsor of the TWA Retirement Plans)
Address:          100 South Bedford Road
                  Mt. Kisco, NY  10549

File 13F File Number:  28-3758

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,  statement,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:    Gail Golden
Title:   Vice President and Secretary
Phone:   (212) 702-4300

Signature, Place, and Date of Signing:

/s/ Gail Golden               New York, New York              02/11/00
[Signature]                                 [City, State]                 [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).)
                                                         1



<PAGE>





[ ] 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).)













































                                                              2



<PAGE>



                                               Form 13F SUMMARY PAGE



Report Summary:

Number of Other Included Managers:                            0

Form 13F Information Table Entry Total:              74

Form 13F Information Table Value Total:              $334,909
                                                                   (thousands)


List of Other Included Managers:  None


































                                                              3

<PAGE>



<PAGE>
<TABLE>
                           FORM 13F INFORMATION TABLE
                     AS OF DECEMBER 31, 1999 (SEC USE ONLY)
                        NAME OF REPORTING MANAGER:  Pichin Corp. (as Sponsor of the TWA Retirement Plan)
<CAPTION>
<S>             <C>        <C>        <C>        <C>        <C>        <C>      <C>      <C>       <C>        <C>        <C>
                                      Item 4:    Item 5:               Item 6:
                                      FAIR       SHARES                INVEST-           Item 7:              Item 8:
                Item 2:    Item 3:    MARKET     OF                    MENT              MANAGERS             VOTING
Item 1:         TITLE OF   CUSIP      VALUE      PRINCIPAL             DISCRE-           SEE                  AUTHORITY
NAME OF ISSUER  CLASS      NUMBER     (000)      AMOUNT                TION              INSTR. V             (SHARES)
                                                                       (b)
                                                                       Shared
                                                                       as De-
                                                                       fined    (c)
                                                            (a)        in In-   Shared             (a)        (b)        (c)
                                                            Sole       str. V   Other              Sole       Shared     None



AFLAC Inc.      Com        001055102   8,671     183,750    X                                      183,750

AT&T Corp.      Com        001957109  15,244     300,000    X                                      300,000

American        Com        025816109  16,625     100,000    X                                      100,000
  Express Co.

Ascent          Com        043628106   1,550     122,200    X                                      122,200
  Entmt Group
  Inc.

BCE Inc.        Com        05534B109  18,038     200,000    X                                      200,000

BHC             Cl A       055448104     357       2,230    X                                        2,230
  Communications
  Inc.

BP Amoco        Sponsored  055622104   2,119      35,730    X                                       35,730
  P L C         ADR

Baker Hughes    Com        057224107   2,106     100,000    X                                      100,000
  Inc.

Bank One        Com        06423A103   3,714     116,068    X                                      116,068
  Corp.

Bankamerica     Com        060505104     648      12,918    X                                       12,918
  Corp.

CBS Corp.       Com        12490K107     639      10,000    X                                       10,000

Canadian PAC
  Ltd. New      Com        135923100   4,313     200,000    X                                      200,000

Chevron         Com        166751107     450       5,200    X                                        5,200
  Corporation

City Investing  Unit Ben   177900107      71      55,700    X                                       55,700
  Co. Liq. Tr.  Int

Coca Cola
  Enterprises
  Inc.          Com        191219104   6,038     300,000    X                                      300,000

Comsat Corp.    Com Ser I  20564D107   2,242     112,780    X                                      112,780

Conoco Inc.     Cl B       208251405   9,167     368,526    X                                      368,526

Corning Inc.    Com        219350105  25,788     200,000    X                                      200,000

Covance Inc.    Com        222816100     541      50,000    X                                       50,000

Delphi          Com        247126105   2,202     139,786    X                                      139,786
Automotive
Sys. Corp.

DuPont E.I.
  De Nemours
  & Co.         Com        263534109  11,935     181.171    X                                      181,171

El Paso Energy
  Corp. Del.    Com        283905107     902      23,250    X                                       23,250

Emerging Mkts
  Telecommuni-

02/10/00; 10:13 AM
24950/1720/DOCS/417641.1

<PAGE>



  cations       Com        290887108     409      25,000    X                                       25,000

Emerging Mkts
  Infras-
  tructure      Com        290921105     166      14,774    X                                       14,774

FDX Corp.       Com        31304N107     891      21,760    X                                       21,760

General Mtrs.
  Corp.         Com        370442105  14,538     200,000    X                                      200,000

Golden West
  Finl Corp.
  Del.          Com        381317106   3,015      90,000    X                                       90,000



02/10/00; 10:13 AM
24950/1720/DOCS/417641.1

<PAGE>




Hewlett Packard
  Co.           Com        428236103   1,729      15,200    X                                       15,200

Home Depot
  Inc.          Com        437076102   1,597      23,223    X                                       23,223

Imperial Oil
  Ltd.          Com New    453038408     448      20,718    X                                       20,718

International
  Business
  Machines      Com        459200101  43,150     400,000    X                                      400,000

Isco Inc.       Com        464268101     278      55,545    X                                       55,545

IT Group Inc.   Com        465266104     500      54,780    X                                       54,780

Kaneb Services
  Inc.          Com        484170105     452     103,300    X                                      103,300

Kerr McGee
  Corp.         Com        492386107   4,600      74,200    X                                       74,200

Keycorp New     Com        493267108     496      22,400    X                                       22,400

Koninklijke     Sponsored  500472204  24,840     184,000    X                                      184,000
  Philips       ADR New
  Electrs NV

Lehman Bros
  Hldgs Inc.    Com        524908100   2,541      30,000    X                                       30,000

Lockheed
Martin Corp.    Com        539830109   3,589     164,056    X                                      164,056

Lucent Tech-
nologies Inc.   Com        549463107  19,445     259,264    X                                      259,264

Magna Intl
  Inc.          Cl A       559222401   4,238     100,000    X                                      100,000

Martin
  Marietta
  Matls Inc.    Com        573284106   3,478      84,827    X                                       84,827

Merck & Co.
  Inc.          Com        589331107   1,209      18,000    X                                       18,000

Mitchell
  Energy &
  Dev Corp.     CL A       606592202   1,065      48,250    X                                       48,250

Mitchell
  Energy &
  Dev Corp.     CL B       606592301   1,040      48,250    X                                       48,250

Morgan J P &
  Co., Inc.     Com        616880100     228       1,800    X                                        1,800

Morgan Stanley
  India
  Invt Fd       Com        61745C105     167      10,151    X                                       10,151

Motorola Inc.   Com        620076109   2,209      15,000    X                                       15,000

NCR Corp. New   Com        62886E108     473      12,500    X                                       12,500

NL Inds Inc.    Com New    629156407   1,054      70,000    X                                       70,000

National
  Computer Sys
  Inc.          Com        635519101   4,515     120,000    X                                      120,000

Newport News
  Shipbuilding
  Inc.          Com        652228107     688      25,000    X                                       25,000

Occidental Pete
  Corp. Del     Com        674599105   1,730      80,000    X                                       80,000

Omnicom Group
  Inc.          Com        681919106   6,000      60,000    X                                       60,000

Pactiv Corp.    Com        695257105   1,328     125,000    X                                      125,000

Pall Corp.      Com        696429307   1,106      51,300    X                                       51,300




<PAGE>



Parker
  Drilling Co.  Com        701081101     398     125,000    X                                      125,000

Penn Traffic
  Co. New       Com New    707832200     616      66,581    X                                       66,581

Quest
  Diagnostics
  Inc.          Com        74834L100     764      25,000    X                                       25,000

Raytheon Co.    CL A       755111309     316      12,754    X                                       12,754

Repsol A A      Sponsored  76026T205     558      24,000    X                                       24,000
                ADR

San Juan        Unit       798241105     790      76,100    X                                       76,100
  Basin Rty Tr  BenInt

Savoir
  Technology
  Group Inc.    Com        80533W107     641      90,000    X                                       90,000






<PAGE>



Sentry
  Technology
  Corp.         Com        81731K101       3      30,776    X                                       30,776

Shell Trans &   New Yrk    822703609     882      18,000    X                                       18,000
  Trading PLC   Sh New

Telefonos de    SP ADR
  Mexico SA     ORDL       879403780   5,738      51,000    X                                       51,000

Tenneco
   Automotive InCom        880349105     233      25,000    X                                       25,000

US Bancorp
  Del           Com        902973106   5,684     238,701    X                                      238,701

Ultramar
  Diamond
  Shamrock
  Corp.         Com        904000106   2,777     122,400    X                                      122,400

Unionbancal
  Corp.         Com        908906100     976      24,750    X                                       24,750

Unisys Corp.    Com        909214108  22,784     713,382    X                                      713,382

United
  Television
  Inc.          Com        913066106   3,318      24,100    X                                       24,100

Weatherford
  Intl Inc.     Com        947074100   1,032      25,840    X                                       25,840

Winebago
  Inds Inc.     Com        974637100     827      41,200    X                                       41,200

                TOTAL                334,909


</TABLE>




<PAGE>




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