FARALLON CAPITAL MANAGEMENT LLC
13F-HR, 2000-11-14
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<PAGE>
                                    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: September 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
                                November 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:

                                       150

                    Form 13 F Information Table Value Total:

                             $3,816,206 (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
September 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
--------------------------   ------------------   ---------  -------   ------- --- ----  ----------  --------   -------- ------ ----

Adaptec Inc                   Sub NT CV 4.75%04   00651FAC2    19517   23304000 PRN        Other        01      23304000
Adaptec Inc.                  COM                 00651F108     5000     250000 SH         Other        01        250000
ADC Telecom                   COM                 000886101     4189     155867 SH         Other        01        155867
Alcoa                         COM                 013817101    11258     444758 SH         Other        01        444758
Allergan Specialty
  Therapy                     CL A                018494104    26958    1198121 SH         Other        01       1198121
Allstate Corp                 COM                 020002101     3748     107843 SH         Other        01        107843
Alteon Websystems             COM                 02145A109    51283     473200 SH         Other        01        473200
American Standard Co.         COM                 029712106    17793     400400 SH         Other        01        400400
Amresco Capital Trust         COM Sh Ben Int      031919103    14406    1722011 SH         Other        01       1722011
Anadarko Petrol               COM                 032511107    17542     263953 SH         Other        01        263953
Applied Materials             COM                 038222105     8684     146566 SH         Other        01        146566
Argosy Gaming                 COM                 040228108      507      28000 SH         Other        01         28000
Associates First              CL A                046008108    54994    1447200 SH         Other        01       1447200
At Home Corp                  COM Ser A           045919107      790      55914 SH         Other        01         55914
AT&T                          COM                 001957109    57468    1956357 SH         Other        01       1956357
AT&T Canada                   Depts Recpt CL B    00207Q202     8170     268000 SH         Other        01        268000
Battle Mtn Gold               COM                 071593107      542     310000 SH         Other        01        310000
Bestfoods                     COM                 08658U101   452338    6217700 SH         Other        01       6217700
Biovail Corp Int              WT Exp 093002       09067J117    64546     513800 SH         Other        01        513800
Broadwing                     COM                 111620100    12456     487266 SH         Other        01        487266
Brookfield Properties Corp.   COM                 112900105    15214     943103 SH         Other        01        943103
Capital Pacific
  Holdings Inc                COM                 14040M104     8430    2809851 SH         Other        01       2809851
Caremark Rx                   COM                 141705103      274      24369 SH         Other        01         24369
Catalytica                    COM                 148885106     6618     534800 SH         Other        01        534800
C-Cube Microsystems Inc.      COM                 12501N108     7821     382700 SH         Other        01        382700
CHC Helicopter Corp           CL A SUB VTG        12541C203      432      60400 SH         Other        01         60400
Chiles Offshore               COM                 16888M104      757      35000 SH         Other        01         35000
Chris Craft Inc.              COM                 170520100    25264     306700 SH         Other        01        306700
Cisco                         COM                 17275R102     4519      81790 SH         Other        01         81790
Citadel Communications        COM                 172853202     3482     205600 SH         Other        01        205600
City Investing Co Liq. Tr     Unit Ben Int        177900107    15860   11667429 SH         Other        01      11667429
Clear Channel Communications  COM                 184502102    10447     184898 SH         Other        01        184898
Clinichem  Dev Inc            CL A                186906103     2927     260200 SH         Other        01        260200
CMGI                          COM                 125750109     2166      77524 SH         Other        01         77524
Cobalt Networks Inc.          COM                 19074R101    11633     201000 SH         Other        01        201000
Columbia Energy Group         COM                 197648108    13944     196400 SH         Other        01        196400
Consorcio G
   Grupo Dina S A CV          Sub DB Conv 8%04    210306AB2    13183   52734000 PRN        Other        01      52734000
Corning                       COM                 219350105    12418      41810 SH         Other        01         41810
Crescendo Pharmaceuticals     CL A                225637107    24416    1192845 SH         Other        01       1192845
Daisytek Int'l Corp           COM                 234053106      537      85100 SH         Other        01         85100
Delhaize America              CL A                246688105      216      12392 SH         Other        01         12392
Devon Energy                  COM                 25179M103    15317     254650 SH         Other        01        254650
Dexter Corp                   COM                 252165105    18684     272100 SH         Other        01        272100
Dura Pharmaceuticals Inc      WT Exp 123102       26632S117     1804    1374400 SH         Other        01       1374400
Dura Pharmaceuticals Inc      WT Exp 090105       26632S125     6185    1374400 SH         Other        01       1374400
Eastern Enterprises           COM                 27637F100    37458     587000 SH         Other        01        587000
El Paso Electric Co.          COM New             283677854     3816     277094 SH         Other        01        277094
Elan Corp PLC                 Wt Exp 011403       284131802    14792     242500 SH         Other        01        242500
Elan Corp PLC                 RT                  G29539148      433     446600 SH         Other        01        446600
EMC Corp.                     COM                 268648102    11709     118124 SH         Other        01        118124
Emcor Group Inc.              SB NT CC 5.75%05    29084QAC4     2080    2000000 PRN        Other        01       2000000
Fidelity National             COM                 316326107     5211     210563 SH         Other        01        210563
First Security Corp           COM                 336294103    17927    1099000 SH         Other        01       1099000
Fisher Scientific Intl        COM New             338032204    17903     530465 SH         Other        01        530465
Flextronics                   COM                 Y2573F102     9493     115685 SH         Other        01        115685
Florida Progress Corp         COM                 341109106     9830     185700 SH         Other        01        185700
Ft. James Inc.                COM                 347471104    31785    1040000 SH         Other        01       1040000
Gartner Group                 COM                 366651107     8395     722130 SH         Other        01        722130
Gartner Group                 CL B                366651206    22304    2050960 SH         Other        01       2050960
Geltex Pharmaceticals         COM                 368538104    25110     536400 SH         Other        01        536400
General Semiconductor Inc.    COM                 370787103     6696     549452 SH         Other        01        549452
Georgia Pac Corp              COM GA PAC GRP      373298108     6181     263000 SH  CALL   Other        01        263000
Getthere.com Inc              COM                 374266104    18041    1023600 SH         Other        01       1023600
Global Light Telecom Inc      COM                 37934X100     1338     259900 SH         Other        01        259900
Go2net Inc                    COM                 383486107    26928     495800 SH         Other        01        495800
Golden State Bancorp          COM                 381197102    36649    1551300 SH         Other        01       1551300
Golden State Bancorp          WT Exp 000000       381197136     4036    3311838 SH         Other        01       3311838
Harcourt General              COM                 41163G101     4620      78300 SH         Other        01         78300
I 2 Tech                      COM                 465754109     7863      42050 SH         Other        01         42050
Impac Commercial Holdings     COM                 45254R108     2402     373100 SH         Other        01        373100
IMS Health                    COM                 449934108    22030    1061700 SH         Other        01       1061700
Infinity Broadcasting         CL A                45662S102    77209    2339675 SH         Other        01       2339675
Informix Inc                  COM                 456779107     1102     269150 SH         Other        01        269150
Innovative Solutions          COM                 45769N105      843      49200 SH         Other        01         49200
Intel                         COM                 458140100    25095     604708 SH         Other        01        604708
Interlogix Inc.               COM                 458763109     5839     457924 SH         Other        01        457924
Intermedia Communications     COM                 458801107    14866     505000 SH         Other        01        505000
Johnson & Johnson             COM                 478160104     6897      73422 SH         Other        01         73422
Juno Lighting                 COM New             482047206     2910     535202 SH         Other        01        535202
Koger Equity Inc              COM                 500228101    20667    1215727 SH         Other        01       1215727
Korn Ferry International      COM New             500643200    40486    1070700 SH         Other        01       1070700
LG&E Energy Corp              COM                 501917108    74715    3057400 SH         Other        01       3057400
Lincoln Electric Holdings     COM                 533900106      784      59200 SH         Other        01         59200
Loews Corp.                   COM                 540424108    18918     226900 SH         Other        01        226900
Lycos Inc.                    COM                 550818108    20240     294400 SH         Other        01        294400
Lynx Therapeutics             COM New             551812308      215       6871 SH         Other        01          6871
Matrixone Inc.                COM                 57685P304     4478     111950 SH         Other        01        111950
Maverick Tube Corp            COM                 577914104      324      12032 SH         Other        01         12032
McLeod USA                    CL A                582266102     1259      87945 SH         Other        01         87945
Midas Inc                     COM                 595626102     4236     302551 SH         Other        01        302551
MMC Networks, Inc.            COM                 55308N102    20334     161300 SH         Other        01        161300
Momentum Business Apps        CL A                60877P108     7208     716324 SH         Other        01        716324
Morgan JP and Co              COM                 616880100    29604     181200 SH         Other        01        181200
Motorola                      COM                 620076109    14488     512832 SH         Other        01        512832
Nabisco Group Holdings        COM                 62952P102    76739    2692600 SH         Other        01       2692600
Nabisco Hldgs Corp            CL A                629526104    67440    1254700 SH         Other        01       1254700
Nextlink Comm                 CL A                65333H707     8390     238444 SH         Other        01        238444
Niagara Mohawk Power          COM                 653520106     4437     281700 SH         Other        01        281700
Nortel Inversora SA           Spons ADR Pfd B     656567401    68388    4578290 SH         Other        01       4578290
Nortel Networks               COM                 656568102    17112     287300 SH         Other        01        287300
On Command Corp               COM                 682160106     7098     585400 SH         Other        01        585400
Open TV Corp                  CL A                G67543101      534      16092 SH         Other        01         16092
Pacific Gulf Properties       COM                 694396102    15881     593700 SH         Other        01        593700
Paine Webber Group Inc.       COM                 695629105    35493     521000 SH         Other        01        521000
Panamsat                      COM                 697933109     3981     124900 SH         Other        01        124900
PE Corp                       WT G Exp 091103     69332S110      258       2801 SH         Other        01          2801
Peoplesoft, Inc               COM                 712713106     2426      86835 SH         Other        01         86835
Pfizer                        COM                 717081103    23863     531025 SH         Other        01        531025
Pharmacia                     COM                 71713U102    49981     830424 SH         Other        01        830424
Playtex Products              COM                 72813P100     2496     211300 SH         Other        01        211300
Plum Creek Timber             COM                 729251108     2947     132100 SH         Other        01        132100
Profit Recovery Grp           COM                 743168106    12205    1235900 SH         Other        01       1235900
PSI Net                       COM                 74437C101      547      57209 SH         Other        01         57209
PSS World Medical             COM                 69366A100     4208    1160700 SH         Other        01       1160700
R & B Falcon                  COM                 74912E101    71756    2574200 SH         Other        01       2574200
Rite Aid                      COM                 767754104     5461    1365314 SH         Other        01       1365314
Rubio's Restaurants           COM                 78116B102     3790     652111 SH         Other        01        652111
S1 Corp                       COM                 78463B101      435      36408 SH         Other        01         36408
SBC Communications            COM                 78387G103     8039     160787 SH         Other        01        160787
Scripps EW Co Ohio            CL A                811054204    26438     489600 SH         Other        01        489600
SDL Inc.                      COM                 784076101     1858       6000 SH         Other        01          6000
Seagate Technology Inc.       COM                 811804103   658743    9547000 SH         Other        01       9547000
Seagram Ltd.                  COM                 811850106   103606    1803800 SH         Other        01       1803800
Sealed Air Corp New           PFD CV A $2         81211K209    62505    1389001 SH         Other        01       1389001
Shandong Huaneng Power        Spon ADR N          819419102     5832     765400 SH         Other        01        765400
Shaw Industries               COM                 820286102     9907     535500 SH         Other        01        535500
Shire Pharmaceutical          Spon ADR            82481R106     2922      56591 SH         Other        01         56591
Software.com                  COM                 83402P104    35822     197500 SH         Other        01        197500
Solectron Corp                COM                 834182107     3298      71502 SH         Other        01         71502
Solutia Inc                   COM                 834376105    22631    1989500 SH         Other        01       1989500
Summit Bancorp                COM                 866005101    14418     417900 SH         Other        01        417900
Sun Microsystems              COM                 866810104     1247      10600 SH         Other        01         10600
Synavant                      COM                 87157A105      355      53085 SH         Other        01         53085
Telecom Argentina Stet Fr     Spon ADR Rep B      879273209    30338    1402900 SH         Other        01       1402900
Teledyne                      COM                 879360105     8353     286800 SH         Other        01        286800
Telephone & Data Sys Inc      COM                 879433100    21011     189800 SH         Other        01        189800
Texas Instruments             COM                 882508104    11974     253760 SH         Other        01        253760
Total Renal Care Holdings     COM                 89151A107     7559    1007900 SH         Other        01       1007900
Total Renal Care Holdings     SB NT CV 144A 7%09  89151AAA5    24427   34164000 PRN        Other        01      34164000
United Asset Mgmnt Corp       COM                 909420101    14307     572300 SH         Other        01        572300
United Stationers Inc         COM                 913004107    52565    1955900 SH         Other        01       1955900
Usec Inc.                     COM                 90333E108     1193     280600 SH         Other        01        280600
UST Inc                       COM                 902911106     4575     200000 SH         Other        01        200000
Voicestream Wireless          COM                 928615103   258564    2227800 SH         Other        01       2227800
Waste Management Inc          COM                 94106L109    30603    1755000 SH         Other        01       1755000
Western Resources Inc         COM                 959425109    11489     531300 SH         Other        01        531300
Xcel Energy Inc.              COM                 98389B100     4694     170700 SH         Other        01        170700
Young & Rubicam               COM                 987425105    79789    1611900 SH         Other        01       1611900
Ziff Davis Inc                COM ZD Net          989511209     2933     208600 SH         Other        01        208600
Ziff-Davis Inc.               COM ZD              989511100     5861     721400 SH         Other        01        721400
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