FARALLON CAPITAL MANAGEMENT LLC
13F-HR, 2000-08-14
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<PAGE>
                                    FORM 13F


                                                      --------------------------
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                                                      OMB Number: 3235-0006
                                                      Expires: October 31, 2000
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                UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                              Washington, DC 20549


                               Form 13F COVER PAGE

          Report for the Calendar Year of Quarter Ended: June 30, 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:
                       Farallon Capital Management, L.L.C.
                               One Maritime Plaza
                                   Suite 1325
                         San Francisco, California 94111

                          Form 13F File Number: 28-3896

     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:
                                  Meridee Moore
                                 Managing Member
                                 (415) 421-2132






                             /s/ Meridee A. Moore
                            San Francisco, California
                                 August 14, 2000



                                  Report Type:
                               13F Holdings Report


<PAGE>

                             Form 13 F Summary Page

                                 Report Summary

                        Number of Other Included Managers

                                        1

                    Form 13 F Information Table Entry Total:

                                       153

                    Form 13 F Information Table Value Total:

                             $3,670,660 (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.

No. 1
Form 13F File Number: 28-6372
Name:  Farallon Partners, L.L.C.

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Farallon Capital Managment, L.L.C.
FORM 13F
June 30, 2000

<S>                            <C>             <C>        <C>      <C>                   <C>       <C>        <C>

Column 1                       Column 2         Column 3  Column 4       Column 5         Column 6  Column 7         Column 8
                                                                                                                Voting Authority
Name of Issuer                 Title of class   CUSIP     (x$1000) Shares/     Sh/ Put/  Investment Other     Sole     Shared   None
                                                          Value    Prn Amt     Prn Call  Discretion Managers
------------------------------ ---------------- --------- -------- --------------------  ---------- -------- -----------------------



Active Software                COM              00504E100 1,437    18,500      SH        Other  01           18,500
Akamai Tech                    COM              00971T101 2,319    19,537      SH        Other  01           19,537
Alcoa Inc                      COM              013817101 12,898   444,758     SH        Other  01           444,758
Allergan Specialty Therap      CL A             018494104 21,291   1,191,121   SH        Other  01           1,191,121
Allstate Corp                  COM              020002101 2,400    107,843     SH        Other  01           107,843
American Software              CL A             029683109 150      29,700      SH        Other  01           29,700
American Standard Co. Inc Del  COM              029712106 9,122    222,500     SH        Other  01           222,500
AMFM Inc.                      COM              001693100 12,199   176,800     SH        Other  01           176,800
Amresco Cap Tr                 Com Sh Ben Int   031919103 2,247    221,900     SH        Other  01           221,900
Anacomp Inc.                   COM              032371106 512      204,847     SH        Other  01           204,847
Applied Materials              COM              038222105 13,283   146,566     SH        Other  01           146,566
At Home Corp                   COM Ser A        045919107 1,157    55,914      SH        Other  01           55,914
AT&T Corp                      COM              001957109 2,632    83,240      SH        Other  01           83,240
Banco Rio De La Plata SA       Spons ADR CL B   059644104 47,746   3,264,660   SH        Other  01           3,264,660
Battle Mtn Gold                COM              071593107 678      310,000     SH        Other  01           310,000
Bestfoods                      COM              08658u101 134,580  1,943,400   SH        Other  01           1,943,400
Biovail Corp Int New           WT EXP 093002    09067J117 38,278   513,800     SH        Other  01           513,800
Broadwing Inc                  COM              111620100 12,638   487,266     SH        Other  01           487,266
Brookfield Properties Corp.    COM              112900105 10,403   784,000     SH        Other  01           784,000
Capital Pacific Holdings Inc   COM              14040M104 7,200    2,809,851   SH        Other  01           2,809,851
C-Cube Microsystems Inc.       COM              12501N108 7,487    382,700     SH        Other  01           382,700
CHC Helicopter Corp            CL A Sub Vtg     12541C203 584      178,200     SH        Other  01           178,200
Cisco Sys Inc                  COM              17275R102 5,199    81,790      SH        Other  01           81,790
City Investing Co Liq. Tr      Unit Ben Int     177900107 15,834   11,648,029  SH        Other  01           11,648,029
Clinichem  Dev Inc             CL A             186906103 2,992    260,200     SH        Other  01           260,200
CMGI Inc                       COM              125750109 3,546    77,524      SH        Other  01           77,524
CMP Group Inc.                 COM              125887109 43,177   1,473,000   SH        Other  01           1,473,000
Coastal Corp                   COM              190441105 7,305    120,000     SH        Other  01           120,000
Coinmach Laundry Corp          COM              19259L101 5,872    419,400     SH        Other  01           419,400
Comsat Corp                    COM Ser 1        20564D107 9,505    404,483     SH        Other  01           404,483
Concentric Network Corp        COM              20589R107 16,300   429,663     SH        Other  01           429,663
Consorcio G Grupo Dina S A CV  Sub DB Conv 8%04 210306AB2 20,566   52,734,000  PRN       Other  01           52,734,000
Corning Inc                    COM              219350105 11,283   41,810      SH        Other  01           41,810
Crescendo Pharmaceuticals      CL A             225637107 24,081   1,192,845   SH        Other  01           1,192,845
Daisytek Int'l Corp            COM              234053106 803      85,100      SH        Other  01           85,100
DoubleClick Inc                COM              258609304 4,640    121,712     SH        Other  01           121,712
Dura Pharmaceuticals           WT EXP 123102    26632S117 515      1,374,400   SH        Other  01           1,374,400
Eastern Enterprises            COM              27637F100 30,486   483,900     SH        Other  01           483,900
El Paso Electric Co.           COM New          283677854 3,100    277,094     SH        Other  01           277,094
Elan PLC                       WT EXP 011403    284131802 10,427   242,500     SH        Other  01           242,500
EMC Corp Mass                  COM              268648102 9,088    118,124     SH        Other  01           118,124
Emcor Group Inc.               SB NT CV 5.75%05 29084QAC4 1,950    2,000,000   PRN       Other  01           2,000,000
Encompass Svcs Corp            COM              29255U104 2,333    405,727     SH        Other  01           405,727
Fidelity National Finl Inc     COM              316326107 3,856    210,559     SH        Other  01           210,559
Financial Secur Assur          COM              31769P100 57,877   762,800     SH        Other  01           762,800
   Hldgs Ltd
Fisher Scientific Intl         COM New          338032204 14,557   588,165     SH        Other  01           588,165
Fletcher Challenge Paper Div   Spons ADR        339325102 1,976    174,700     SH        Other  01           174,700
Florida Progress Corp          COM              341109106 8,236    175,700     SH        Other  01           175,700
Gartner Group Inc New          COM              366651107 10,014   834,530     SH        Other  01           834,530
Gartner Group Inc New          CL B             366651206 18,434   1,866,760   SH        Other  01           1,866,760
General Motors Corp            COM              370442105 2,549    43,897      SH        Other  01           43,897
General Semiconductor Inc.     COM              370787103 8,104    549,452     SH        Other  01           549,452
Gliatech                       COM              37929C103 1,428    70,500      SH        Other  01           70,500
Global Light Telecom Inc       COM              37934X100 4,364    399,000     SH        Other  01           399,000
Golden State Bancorp           COM              381197102 27,923   1,551,300   SH        Other  01           1,551,300
Golden State Bancorp           WT EXP 000000    381197136 3,681    3,271,838   SH        Other  01           3,271,838
Hannaford Bros. Co             COM              410550107 43,182   600,800     SH        Other  01           600,800
HomeGrocer.com                 COM              43740K100 672      111,500     SH        Other  01           111,500
I 2 Technologies               COM              465754109 8,801    84,425      SH        Other  01           84,425
Ikon Office Solutions          COM              451713101 1,686    435,000     SH        Other  01           435,000
Impac Commercial Holdings      COM              45254R108 2,069    355,900     SH        Other  01           355,900
IMS Health                     COM              449934108 17,851   991,700     SH        Other  01           991,700
Infinity Broadcasting CP new   CL A             45662S102 33,737   925,875     SH        Other  01           925,875
Informix Corp                  COM              456779107 2,002    269,150     SH        Other  01           269,150
Intel Corp                     COM              458140100 40,402   302,354     SH        Other  01           302,354
Intelligent Polymers, Ltd.     COM              G48029105 21,450   589,700     SH        Other  01           589,700
Interlogix Inc.                COM              458763109 3,483    260,424     SH        Other  01           260,424
International Home Foods Inc.  COM              459655106 5,507    263,000     SH        Other  01           263,000
Int'l Paper Co.                COM              460146103 1,084    36,360      SH        Other  01           36,360
Johnson & Johnson              COM              478160104 13,443   131,954     SH        Other  01           131,954
Juno Lighting Inc              COM New          482047206 3,144    535,202     SH        Other  01           535,202
Koger Equity Inc               COM              500228101 17,907   1,061,127   SH        Other  01           1,061,127
Korn Ferry International       COM              500643200 28,436   897,400     SH        Other  01           897,400
Lexington Global Asset Mgrs    COM              528932106 472      45,500      SH        Other  01           45,500
LG&E Energy Corp               COM              501917108 33,050   1,384,300   SH        Other  01           1,384,300
LHS Group                      COM              501938104 5,934    173,900     SH        Other  01           173,900
Lincoln Electric Holdings      COM              533900106 812      57,000      SH        Other  01           57,000
Loews Corp.                    COM              540424108 750      12,500      SH  PUT   Other  01           12,500
Loews Corp.                    COM              540424108 12,438   207,300     SH        Other  01           207,300
Lycos Inc.                     COM              550818108 16,321   301,900     SH        Other  01           301,900
Lynx Therapeutics              COM New          551812308 327      6,871       SH        Other  01           6,871
Mapquest.com                   COM              565644101 325      20,000      SH        Other  01           20,000
Mattel                         COM              577081102 5,155    390,882     SH        Other  01           390,882
Mcleod USA Inc                 COM              582266102 1,819    87,945      SH        Other  01           87,945
MCN Energy Corp                COM              55267J100 1,304    61,000      SH        Other  01           61,000
Mediaone Group Inc.            COM              58440J104 352,080  5,309,300   SH        Other  01           5,309,300
Medquist Inc.                  COM              584949101 2,992    88,000      SH  PUT   Other  01           88,000
Medquist Inc.                  COM              584949101 2,984    87,759      SH        Other  01           87,759
Metamor Worldwide              COM              59133P100 2,998    109,509     SH        Other  01           109,509
Midas Inc                      COM              595626102 6,125    306,251     SH        Other  01           306,251
Momentum Business Apps         CL A             60877P108 5,283    716,324     SH        Other  01           716,324
Motorola                       COM              620076109 14,904   512,833     SH        Other  01           512,833
Nabisco Group Holding Corp     COM              62952P102 35,508   1,369,000   SH        Other  01           1,369,000
Nortel Inversora SA            Spon ADR pfd B   656567401 79,996   4,210,290   SH        Other  01           4,210,290
Nortel Networks Corp New       COM              656568102 19,608   287,300     SH        Other  01           287,300
On Command Corp                COM              682160106 6,149    445,200     SH        Other  01           445,200
Onemain.com                    COM              68267P109 2,019    179,500     SH        Other  01           179,500
Pacific Gulf Properties        COM              694396102 7,338    292,800     SH        Other  01           292,800
Pairgain Technologies          COM              695934109 11,734   140,008     SH        Other  01           140,008
Panamsat Corp New              COM              697933109 5,449    124,900     SH        Other  01           124,900
Peoplesoft                     COM              712713106 1,444    86,835      SH        Other  01           86,835
Pharmacia Corp                 COM              717134102 42,940   830,760     SH        Other  01           830,760
Philip Morris Cos Inc          COM              718154107 2,258    85,000      SH  PUT   Other  01           85,000
Pioneer Group Inc              COM              723684106 39,964   944,500     SH        Other  01           944,500
Playtex Products               COM              72813P100 2,051    181,300     SH        Other  01           181,300
PSS World Medical              COM              69366A100 3,739    561,700     SH        Other  01           561,700
Ranger Oil Ltd                 COM              752805101 5,868    1,100,000   SH        Other  01           1,100,000
Reliastar Financial Corp       COM              75952U103 129,185  2,463,600   SH        Other  01           2,463,600
Rite Aid                       COM              767754104 8,960    1,365,314   SH        Other  01           1,365,314
Rubio's Restaurants            COM              78116B102 5,165    626,026     SH        Other  01           626,026
S1 Corp                        COM              78463B101 849      36,408      SH        Other  01           36,408
SBC Communications             COM              78387G103 6,954    160,787     SH        Other  01           160,787
Scios Inc.                     COM              808905103 282      50,200      SH        Other  01           50,200
Scripps EW Co. Ohio            COM              811054204 14,573   295,900     SH        Other  01           295,900
Seagate Technology Inc.        COM              811804103 379,725  6,904,100   SH        Other  01           6,904,100
Seagram Ltd.                   COM              811850106 15,080   260,000     SH        Other  01           260,000
Sealed Air Corp New            PFD CV A $2      81211K209 70,318   1,389,001   SH        Other  01           1,389,001
SFX Entertainment              CL A             784178105 4,078    90,000      SH        Other  01           90,000
Shared Medical Systems         COM              819486101 64,608   885,800     SH        Other  01           885,800
Shire Pharmaceutical Grp PLC   Spons ADR        82481R106 2,936    56,591      SH        Other  01           56,591
Snyder Communications          COM SNC          832914105 1,900    80,000      SH        Other  01           80,000
Solectron Corp                 COM              834182107 2,994    71,502      SH        Other  01           71,502
Solutia Inc                    COM              834376105 25,235   1,835,300   SH        Other  01           1,835,300
Spiros Development Corp        COM              848936100 19,585   1,374,400   SH        Other  01           1,374,400
Spyglass Inc                   COM              852192103 3,513    112,200     SH        Other  01           112,200
Summit Technology              COM              86627E101 8,226    435,800     SH        Other  01           435,800
Sun Microsystems               COM              866810104 3,261    35,860      SH        Other  01           35,860
Telec. de Sao Paulo            Spons ADR Pref   87929A102 404,669  14,642,495  SH        Other  01           14,642,495
Telecom Argentina Stet-France  Spons ADR Rep B  879273209 38,580   1,402,900   SH        Other  01           1,402,900
Teledyne                       COM              879360105 10,186   608,100     SH        Other  01           608,100
Telefon de Peru SA             Spons ADR CL B   879384105 82,608   5,468,681   SH        Other  01           5,468,681
Telefonica de Argentina SA     Spons ADR CL B   879378206 3,412    1,050,000   SH        Other  01           1,050,000
Telesudeste Cell Part SA       Spons ADR Pfd    879252104 101,597  2,197,770   SH        Other  01           2,197,770
Texas Instruments              COM              882508104 20,207   294,193     SH        Other  01           294,193
Total Renal Care Holdings      COM              89151A107 5,449    908,100     SH        Other  01           908,100
Total Renal                    SB NT CV         89151AAA5 22,719   34,164,000  PRN       Other  01           34,164,000
Care Holdings                  144A7%09
Union Carbide Corp             COM              905581104 5,692    115,000     SH        Other  01           115,000
Union Pacific Resources        COM              907834105 83,545   3,797,500   SH        Other  01           3,797,500
United Asset Mgmnt Corp        COM              909420101 10,633   454,900     SH        Other  01           454,900
United Stationers Inc          COM              913004107 50,395   1,556,600   SH        Other  01           1,556,600
Usec Inc.                      COM              90333E108 1,298    280,600     SH        Other  01           280,600
Vastar Resources               COM              922380100 22,252   270,950     SH        Other  01           270,950
Verio Inc.                     COM              923433106 147,724  2,664,700   SH        Other  01           2,664,700
Vlasic Foods Int'l             COM              928559103 148      91,100      SH        Other  01           91,100
Voyager.net                    COM              92906W101 2,810    351,300     SH        Other  01           351,300
Warner Chilcott PLC            Spons ADR        934435207 2,225    100,000     SH        Other  01           100,000
Warner Lambert Co              COM              934488107 43,824   913,000     SH        Other  01           913,000
Waste Management Inc Del       COM              94106L109 33,345   1,755,000   SH        Other  01           1,755,000
Western Resources Inc          COM              959425109 10,627   685,600     SH        Other  01           685,600
Wynn's International           COM              983195108 3,063    135,000     SH        Other  01           135,000
Yahoo Inc                      COM              984332106 10,051   81,142      SH        Other  01           81,142
Young & Rubicam                COM              987425105 73,680   1,288,400   SH        Other  01           1,288,400
Ziff-Davis Inc.                COM ZD           989511100 2,258    250,900     SH        Other  01           250,900



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