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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: March 31, 2000
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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: Eos Partners, LP
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Address: 320 Park Ave.
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New York, NY 10022
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Form 13F File Number: 28-4019
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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: Brian D. Young as General Partner for Eos Partners, LP
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Title: General Partner
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Phone: 212-832-5800
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Signature, Place, and Date of Signing:
/s/ Brian D. Young New York, NY 5/3/00
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(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).)
[ ] 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).)
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Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
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Form 13F Information Table Entry Total: 69
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Form 13F Information Table Value Total: $ 136,457
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(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.
NONE
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FORM 13F
Page 1 of 1 Name of Reporting Manager: Eos Partners, L.P.
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Item 1: Item 2: Item 3: Item 4: Item 5:
Name of Issuer Title of Class CUSIP Fair Market Shares or
Number Value Principal
Amount
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Accrue Software Common 00437W102 1,317,225 67,915
AT&T Corp Liberty Media Common 001957208 4,507,749 76,000
America Online Inc Common 02364J104 5,395,000 80,000
Amerisource Health Corp Common 03071P102 825,000 55,000
Amgen Inc. Common 031162100 306,875 5,000
Anacomp, Inc. Common 032371106 112,049 7,200
BJ's Wholesale Club Common 05548J106 5,053,987 131,700
Bank One Corp Common 06423A103 2,070,000 60,000
Baxter Int'l Common 071813109 313,437 5,000
Biogen Inc Common 090597105 349,375 5,000
The CIT Group Common 125577106 1,364,999 70,000
CTC Communications Corp Common 126419100 3,305,568 77,550
Cablevision Sys Corp Common 12686c109 2,733,749 45,000
Cardinal Health Inc. Common 14149Y108 2,981,874 65,000
Chase Manhattan Corp Common 16161A108 1,307,812 15,000
Cisco Systems, Inc. Common 17275R102 6,958,124 90,000
Citigroup Inc Common 172967101 2,095,624 35,000
Columbia / HCA Healthcare Common 197677107 506,249 20,000
Comcast CP Cl-A Common 200300200 1,518,124 35,000
Corning Inc Common 219350105 1,455,000 7,500
Encompass Svcs Corp Common 29255U104 562,602 97,844
Ericsson LM Tel Co. ADR Common 294821400 938,125 10,000
General Motors Corp Common 370442105 2,484,374 30,000
Global Telesystems Group Common 37936U104 820,000 40,000
Heller Financial Class A Common 423328103 690,000 30,000
Home Depot Inc Common 437076102 1,290,000 20,000
Intel Corp Common 458140100 3,958,124 30,000
Intelect Communications Common 458144102 363,016 75,000
Intermedia Communications Common 458801107 1,207,812 25,000
Ivax Corp Common 465823102 272,499 10,000
JDS Uniphase Corp Common 46612J101 3,616,874 30,000
Juniper Networks Inc Common 48203R104 5,271,249 20,000
Kansas City Southern Ind Common 485170104 7,184,374 83,600
Kroger Company Common 501044101 2,634,374 150,000
Laboratory Corp of America
Holdings Common 50540R102 4,211,749 991,000
Level 3 Communications Inc.Common 52729N100 3,701,249 35,000
Lockheed Martin Corp Common 539830109 306,562 15,000
Lucent Technologies Inc Common 549463107 612,499 10,000
MBNA Corp. Common 55262L100 2,040,000 80,000
MCI Worldcom Common 55268B106 2,265,624 50,000
MGC Communications Common 552763302 2,860,000 40,000
Mediaone Group Inc Common 58440J104 2,421,900 29,900
Motorola Inc. Common 620076109 2,920,000 20,000
Nabors Industries Common 629568106 1,552,499 40,000
Nortel Networks Corp Common 656569100 1,261,249 10,000
Novell Inc Common 670006105 572,499 20,000
Oracle Corp Common 68389X105 3,903,124 50,000
Pac-West Telecom Inc Common 69371Y101 2,340,625 74,900
Pfizer Inc Common 717081103 1,096,874 30,000
Plains Resources Inc Common 726540503 1,148,749 91,900
Pointe Communication Corp Common 730749108 445,374 125,000
Precision Drilling Corp Common 74022D100 667,499 20,000
Qualcom Diagnostics Inc Common 747525103 2,986,249 20,000
Quest Diagnostics Inc Common 74834L100 3,251,549 81,800
R&B Falcon Corp. Common 74912E101 1,476,561 75,000
RF Micro Devices Common 749941100 4,031,249 30,000
Raytheon Company Common 755111408 443,749 25,000
Reader's Digest Assoc.
Class A Common 755267101 3,006,874 85,000
Reader's Digest Assoc.
ClassB Common 755267200 429,374 15,000
Sun Microsystems Common 866810104 1,405,546 15,000
Supervalu Inc Common 868536103 946,874 50,000
Tenet Healthcare Corp Common 88033G100 464,999 20,000
Textron Inc. Del. Common 883203101 608,749 10,000
Tripath Imaging Inc Common 896942109 178,749 20,000
Tyco International Common 902124106 3,007,499 60,000
Unumprovident Corp Common 91529Y106 846,874 50,000
Vastar Resources, Inc. Common 922380100 1,114,687 15,000
Wal Mart Stores Common 931142103 1,129,999 20,000
Yahoo! Inc Common 984332106 1,028,249 6,000
Table continued...
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<TABLE>
<CAPTION>
FORM 13F
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(SEC USE ONLY)
Page 1 of 1 Name of Reporting Manager: Eos Partners, L.P.
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Item 1: Item 6: Item 7: Item 8:
Name of Issuer Investment Discretion Managers Voting Authority (Shares)
---------------------------- See Instr. V --------------------------
(b) Shared-
(a) Sole As Defined (c) Shared (a) Sole (b) Shared (c) None
in Instr. V Other
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<S> <C> <C> <C>
Accrue Software 67,915 1 67,915
AT&T Corp Liberty Media 76,000 1 76,000
America Online Inc 80,000 1 80,000
Amerisource Health Corp 55,000 1 55,000
Amgen Inc. 5,000 1 5,000
Anacomp, Inc. 7,200 1 7,200
BJ's Wholesale Club 131,700 1 131,700
Bank One Corp 60,000 1 60,000
Baxter Int'l 5,000 1 5,000
Biogen Inc 5,000 1 5,000
The CIT Group 70,000 1 70,000
CTC Communications Corp 77,550 1 77,550
Cablevision Sys Corp 45,000 1 45,000
Cardinal Health Inc. 65,000 1 65,000
Chase Manhattan Corp 15,000 1 15,000
Cisco Systems, Inc. 90,000 1 90,000
Citigroup Inc 35,000 1 35,000
Columbia / HCA Healthcare 20,000 1 20,000
Comcast CP Cl-A 35,000 1 35,000
Corning Inc 7,500 1 7,500
Encompass Svcs Corp 97,844 1 97,844
Ericsson LM Tel Co. ADR 10,000 1 10,000
General Motors Corp 30,000 1 30,000
Global Telesystems Group 40,000 1 40,000
Heller Financial Class A 30,000 1 30,000
Home Depot Inc 20,000 1 20,000
Intel Corp 30,000 1 30,000
Intelect Communications 75,000 1 75,000
Intermedia Communications 25,000 1 25,000
Ivax Corp 10,000 1 10,000
JDS Uniphase Corp 30,000 1 30,000
Juniper Networks Inc 20,000 1 20,000
Kansas City Southern Ind 83,600 1 83,600
Kroger Company 150,000 1 150,000
Laboratory Corp of America
Holdings 991,000 1 991,000
Level 3 Communications Inc. 35,000 1 35,000
Lockheed Martin Corp 15,000 1 15,000
Lucent Technologies Inc 10,000 1 10,000
MBNA Corp. 80,000 1 80,000
MCI Worldcom 50,000 1 50,000
MGC Communications 40,000 1 40,000
Mediaone Group Inc 29,900 1 29,900
Motorola Inc. 20,000 1 20,000
Nabors Industries 40,000 1 40,000
Nortel Networks Corp 10,000 1 10,000
Novell Inc 20,000 1 20,000
Oracle Corp 50,000 1 50,000
Pac-West Telecom Inc 74,900 1 74,900
Pfizer Inc 30,000 1 30,000
Plains Resources Inc 91,900 1 91,900
Pointe Communication Corp 125,000 1 125,000
Precision Drilling Corp 20,000 1 20,000
Qualcom Diagnostics Inc 20,000 1 20,000
Quest Diagnostics Inc 81,800 1 81,800
R&B Falcon Corp. 75,000 1 75,000
RF Micro Devices 30,000 1 30,000
Raytheon Company 25,000 1 25,000
Reader's Digest Assoc.
Class A 85,000 1 85,000
Reader's Digest Assoc.
ClassB 15,000 1 15,000
Sun Microsystems 15,000 1 15,000
Supervalu Inc 50,000 1 50,000
Tenet Healthcare Corp 20,000 1 20,000
Textron Inc. Del. 10,000 1 10,000
Tripath Imaging Inc 20,000 1 20,000
Tyco International 60,000 1 60,000
Unumprovident Corp 50,000 1 50,000
Vastar Resources, Inc. 15,000 1 15,000
Wal Mart Stores 20,000 1 20,000
Yahoo! Inc 6,000 1 6,000
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