FARALLON CAPITAL MANAGEMENT LLC
13F-HR, 2000-05-15
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                                    FORM 13F


                                                       .........................
                                                              OMB Approval
                                                       .........................
                                                       OMB Number: 3235-0006
                                                       Expires: October 31, 2000
                                                       Estimated average
                                                         burden hours
                                                         per response:      24.7
                                                       .........................

                UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                              Washington, DC 20549


                               Form 13F COVER PAGE

          Report for the Calendar Year of 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:
                       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 A. Moore
                                 Managing Member
                                 (415) 421-2132


                              /S/ Meridee A. Moore
                            San Francisco, California
                                  May 15, 2000



                                  Report Type:
                               13F Holdings Report

<PAGE>


                             Form 13F Summary Page

                                 Report Summary


                       Number of Other Included Managers

                                       1

                    Form 13F Information Table Entry Total:

                                      148

                    Form 13F Information Table Value Total:
                             $2,918,790 (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.

<PAGE>
<TABLE>
<CAPTION>

Farallon Capital Management, L.L.C.
FORM 13F
March 31, 2000


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

Aironet Wireless Corp   COM          00943A107      6323     81790       SH          Other         01            81790
Alcoa                   COM          013817101      1333     18979       SH          Other         01            18979
Allergan Specialty      CL A         018494104     15623   1146621       SH          Other         01          1146621
Therap
Allstate Corp           COM          020002101      2568    107843       SH          Other         01           107843
Alza Corp Del           COM          022615108     18818    501000       SH          Other         01           501000
America Online          COM          02364J104     11343    168676       SH          Other         01           168676
American Software       CL A         029683109      1515    107700       SH          Other         01           107700
AMFM Inc.               COM          001693100      3653     58800       SH          Other         01            58800
Amphenol Corp New       CL A         032095101      5524     54029       SH          Other         01            54029
AMR Corp                COM          001765106       908     28500       SH          Other         01            28500
Amresco Capital Trust   COM          031919104      6246    613100       SH          Other         01           613100
Anacomp Inc.            COM          032371106      3175    204847       SH          Other         01           204847
Aspect Development      COM          045234101     31684    491700       SH          Other         01           491700
At Home Corp            COM Ser A    045919107      1842     55914       SH          Other         01            55914
AT&T Corp               COM          001957109     17499    311098       SH          Other         01           311098
Atlantic Richfield Co.  COM          048825103    205649   2419400       SH          Other         01          2419400
Banco Rio De            Spon ADR     059644104     40012   2795580       SH          Other         01          2795580
La Plata SA             CL B
Biovail Corp           wt exp        09067K114     26011    513800       SH          Other         01           513800
Int - new              093002
Boise Cascade           COM          097403109      9106    556100       SH          Other         01           556100
Office Prod.
Broadwing Inc           COM          111620100     18120    487266       SH          Other         01           487266
Brookfield              COM          112900105      4086    353400       SH          Other         01           353400
Properties Corp.
Burlington              COM          122014103     13954    377125       SH          Other         01           377125
Resources, Inc.
Calif Fed               Contig       130209604        85     54561       SH          Other         01            54561
 Bk fsb Los Angl        Litig Rec
Capital Pacific         COM          14040M104     10537   2809851       SH          Other         01          2809851
Hldgs Inc
CBS Corp                COM          12490K107     11268    199000       SH          Other         01           199000
C-Cube Microsystems     COM          125015107     17308    237700       SH          Other         01           237700
Champion Int'l Corp     COM          158525105      7663    143900       SH          Other         01           143900
CHC Helicopter Corp     CL A         12541C203       609    178200       SH          Other         01           178200
                       Sub Vtg
City Investing          Units        177900107     15432  11619029       SH          Other         01         11619029
  Co Liq. Tr           Ben Int
Clarify Inc.            COM          180492100     30401    241280       SH          Other         01           241280
Clear Channel           COM          184502102     10504    152089       SH          Other         01           152089
Comunications
Clinichem  Dev Inc      COM          186906103      2992    260200       SH          Other         01           260200
CMGI Inc                COM          125750109     11953    105546       SH          Other         01           105546
CMP Group Inc.          COM          125887109     19426    667000       SH          Other         01           667000
Coast Federal           RT           19034Q110       228    165722       SH          Other         01           165722
Litigation Tr
Coastal Corp            COM          190441105      5520    120000       SH          Other         01           120000
Columbia Energy Group   COM          197648108      6914    116700       SH          Other         01           116700
Commercial Intertech    COM          201709102      2707    137500       SH          Other         01           137500
Comsat Corp           COM Ser 1      20564D107     10091    489283       SH          Other         01           489283
Concentric              COM          20589R107     46431    844200       SH          Other         01           844200
Network Corp
Consorcio G            SUB DB        210306AB2     22379  44758000      PRN          Other         01         44758000
Grupo Dina S A CV     Conv 8%02
Cordant Tech            COM          218412104     53497    945800       SH          Other         01           945800
Corning Inc             COM          219350105      8111     41810       SH          Other         01            41810
Crescendo               CL A         225637107     21824   1167845       SH          Other         01          1167845
Pharmaceuticals
Daisytek Int'l Corp     COM          234053106      1287     85100       SH          Other         01            85100
DII Group               COM          232949107     63063    561500       SH          Other         01           561500
Dura                   WT EXP        26632S117       515   1374400       SH          Other         01          1374400
Pharmaceuticals Inc.   123103
DoubleClick             COM          258609304     11395    121712       SH          Other         01           121712
Eastern Enterprises     COM          27637F100     32303    539500       SH          Other         01           539500
Eastern                 COM          277173100     30054    957900       SH          Other         01           957900
Utilities Assoc.
El Paso Electric Co.    COM New      283677854      3389    326694       SH          Other         01           326694
Elan PLC                wt exp       284131802     11200    250000       SH          Other         01           250000
                        011403
EMC Corp Mass           COM          268648102      7383     59062       SH          Other         01            59062
Encompass Svcs          COM          29255U104      1805    313914       SH          Other         01           313914
Etec Systems            COM          26922C103     13814    146567       SH          Other         01           146567
Fidelity National       COM          316326107      2908    210559       SH          Other         01           210559
Finl. Inc
Financial Security      COM          31769P100     17625    240000       SH          Other         01           240000
Assurance Holdings
Fisher Scientific Intl  COM New      338032204     35407    795665       SH          Other         01           795665
Gartner Group           COM          366651107     13144    834530       SH          Other         01           834530
Gartner Group           CL B         366651206     24851   1866760       SH          Other         01          1866760
General                 COM          370787103      9478    549452       SH          Other         01           549452
Semiconductor Inc.
Global Light            COM          37934X100      6980    340500       SH          Other         01           340500
Telecom Inc
Golden State Bancorp    COM          381197102     23173   1551300       SH          Other         01          1551300
Golden State Bancorp    WT Exp       381197136      4294   3271838       SH          Other         01          3271838
                        000000
Goodrich BF Co          COM          382388106      7064    246244       SH          Other         01           246244
Hannaford Bros. Co      COM          410550107     43107    584500       SH          Other         01           584500
Howmet International    COM          443208103      2536    125600       SH          Other         01           125600
Ikon Office Solutions   COM          451713101      2568    415000       SH          Other         01           415000
Impac Commercial        COM          45254R108       632    120400       SH          Other         01           120400
Holdings
IMS Health              COM          449934108      3557    210000       SH          Other         01           210000
Infinity Broadcasting   CL A         45662S102     29975    925875       SH          Other         01           925875
 Cp New
Informix Corp           COM          456779107      8879    526154       SH          Other         01           526154
Intel                   COM          458140100     39854    302354       SH          Other         01           302354
Intelligent             COM          G48029105     20155    582100       SH          Other         01           582100
 Polymers, Ltd.
Intervu Inc             COM          46114R106      8496     94400       SH          Other         01            94400
IPC Communications      COM New      44980K206     11886     57700       SH          Other         01            57700
ITI Technologies        COM          450564109     15514    518200       SH          Other         01           518200
JDS Uniphase Corp       COM          46612J101     38189    316920       SH          Other         01           316920
Johnson & Johnson       COM          478160104      9245    131954       SH          Other         01           131954
Jostens                 COM          481088102      3605    147900       SH          Other         01           147900
Juno Lighting           COM New      482047206      4750    535202       SH          Other         01           535202
Koger Equity Inc        COM          500228101     18125   1050727       SH          Other         01          1050727
Korn Ferry              COM New      500643200     13167    442600       SH          Other         01           442600
International
LG&E Energy Corp        COM          501917108     18190    795200       SH          Other         01           795200
LHS Group               COM          501938104      3218     71600       SH          Other         01            71600
Liposome                COM          536310105      6062    352700       SH          Other         01           352700
Lucent Tech             COM          549463107     50120    825023       SH          Other         01           825023
Lynx Therapeutics       COM          551812308       204      6871       SH          Other         01             6871
Mapquest Com Inc        COM          565644101       414     20000       SH          Other         01            20000
Mattel                  COM          577081102      4080    390882       SH          Other         01           390882
MCN Energy Corp         COM          55267J100     44327   1773100       SH          Other         01          1773100
Mediaone Group Inc.     COM          58440J104    216213   2669300       SH          Other         01          2669300
Metamor Worldwide       COM          59133P100      7924    280500       SH          Other         01           280500
Midas Inc               COM          595626102      7350    306251       SH          Other         01           306251
Momentum Business Apps  CL A         60877P108      5395    716324       SH          Other         01           716324
Monsanto Co             COM          611662107     66948   1344671       SH          Other         01          1344671
Motorola Inc            COM          620076109     24338    170944       SH          Other         01           170944
Netoptix Corp           COM          64116F103     21249    123900       SH          Other         01           123900
Newbridge Networks      COM          650901101     88451   2726800       SH          Other         01          2726800
Nortel Inversora      Spon ADR       656567401     53493   2593600       SH          Other         01          2593600
S A                    Pfd B
On Command Corp         COM          682160106      2118    141200       SH          Other         01           141200
Ortel Corp              COM          68749W102     50531    269500       SH          Other         01           269500
Panamsat Corp           COM          697933109      6120    124900       SH          Other         01           124900
Peoplesoft              COM          922091103      3255    162758       SH          Other         01           162758
Pharmacia &             COM          716941109      3289     55513       SH          Other         01            55513
Upjohn Inc.
Pimco Advisors       UT Ltd Part Int 69338P102      4866    127000       SH          Other         01           127000
Hldgs LP
Qwest Communications    COM          749121109     53350   1100000       SH    PUT   Other         01          1100000
Intl
Reynolds Metals         COM          761763101     46585    696600       SH          Other         01           696600
Rubios Restaurants      COM          78116B102      4565    652111       SH          Other         01           652111
S1 Corp                 COM          78463B101      3120     36408       SH          Other         01            36408
SBC Communications      COM          78387G103      6753    160787       SH          Other         01           160787
Scios Inc.              COM          808905103       157     30200       SH          Other         01            30200
Scripps EW Co Ohio      CL A         811054204     10219    210700       SH          Other         01           210700
Seagate Technology Inc. COM          811804103     76325   1266800       SH          Other         01          1266800
Sealed Air Corp New    PFD CV A $2   81211K209     72141   1389001       SH          Other         01          1389001
Shire Pharmaceutical   Spons ADR     82481R106      5484    107005       SH          Other         01           107005
GRP PLC
Silknet Software        COM          827094103      6427     62700       SH          Other         01            62700
Solectron Corp          COM          834182107      3633     90678       SH          Other         01            90678
Solutia Inc             COM          834376105     22006   1645300       SH          Other         01          1645300
Spiros Development Corp COM          848936100     19156   1374400       SH          Other         01          1374400
Splitrock Services      COM          848636304      4730    104300       SH          Other         01           104300
Spyglass Inc            COM          852192103      1085     14000       SH          Other         01            14000
St. Laurent Paper       COM          790907109     29842   1561300       SH          Other         01          1561300
Sterling Software       COM          859547101      8403    275500       SH          Other         01           275500
Sun Microsystems        COM          866810104      3360     35860       SH          Other         01            35860
Sylvan Learning Systems COM          871399101      1670    105200       SH          Other         01           105200
Telecom Argentina     Spons ADR      897273209      5418    138038       SH          Other         01           138038
Stet France             rep B
Telecommunicacoes     Spons ADR      87929A102     79391   2674222       SH          Other         01          2674222
de Sao Paulo            Pfd
Teledyne Tech           COM          879360105     10392    598100       SH          Other         01           598100
Telefon de Peru SA    Spons ADR      879384105     43456   2556217       SH          Other         01          2556217
                        CL B
Telefonica            Spons ADR      879378206      4084   1050000       SH          Other         01          1050000
de Argentina SA         CL B
Telesudeste           Spons ADR      879252104     48186    964920       SH          Other         01           964920
Cellular Part SA        Pfd
Texas Instruments       COM          882508104     23535    147097       SH          Other         01           147097
Total Renal             COM          89151A107      3320   1062500       SH          Other         01          1062500
Care Holdings
Total Renal           SB NT CV       89151AAA5     20613  36164000      PRN          Other         01         36164000
Care Holdings        144A 7% 09
U.S. West               COM          91273H101     15288    210500       SH          Other         01           210500
Union Carbide Corp      COM          905581104      8805    151000       SH          Other         01           151000
United Stationers Inc   COM          712713106     50041   1402200       SH          Other         01          1402200
US Foodservice          COM          90331R101     49695   1929900       SH          Other         01          1929900
Usec Inc.               COM          90333E108      1298    280600       SH          Other         01           280600
Vastar Resources        COM          922380100     11518    155000       SH          Other         01           155000
Verisign Inc            COM          92343E102     14698     98400       SH          Other         01            98400
Vlasic Foods Int'l      COM          928559103       216     91100       SH          Other         01            91100
Warner Lambert          COM          934488107     48584    498300       SH          Other         01           498300
Waste Management Inc    COM          94106L109     22653   1655000       SH          Other         01          1655000
Wicor Inc.              COM          929253102     16368    528000       SH          Other         01           528000
Yahoo Inc               COM          984332106     13901     81142       SH          Other         01            81142
Ziff-Davis Inc.         COM ZD       989511100      3920    250900       SH          Other         01           250900

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