13F-HR 1 pco123101.txt 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, 2001 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: Paulson & Co. Inc. Address: 650 Fifth Avenue 16th Floor New York, NY 10019 13F File Number: 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 submission. Person Signing this Report on Behalf of Reporting Manager: Name: John Paulson Title: President Phone: 212-956-2221 Signature: Place: Date of Signing: John Paulson New York, NY February 7, 2002 Report Type (Check only one): [X] 13F HOLDINGS REPORT [ ] 13F NOTICE [ ] 13F COMBINATION REPORT List of Other Managers Reporting for this Manager: FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 1 Form 13F Information Table Entry Total: 65 Form 13F Information Table Value Total: $314,625 List of Other Included Managers: No. Form 13F File Number Name 01 Paulson Management LLC FORM 13F INFORMATION TABLE
VALUE SHRS OR SH/ PUT/ INVEST OTHER VOTING AUTHORITY NAME OF ISSUER TITLE OF CLASS CUSIP (X$1000) PRN AMT PRN CALL DSCRETN MGRS SOLE SHARED NONE American Intl Group Inc COMMON 026874107 4671 58831 SH SOLE 58831 American Wtr Wks Inc COMMON 030411102 5102 122200 SH DEFINED 01 122200 Amerisourcebergen Corp COMMON 03073E105 2228 35053 SH SOLE 35053 AT&T Corp COMMON 001957109 15419 850000 SH DEFINED 01 850000 Bard C R Inc COMMON 067383109 19995 310000 SH DEFINED 01 310000 Barr Labs Inc COMMON 068306109 1832 23083 SH SOLE 23083 Barrick Gold Corp COMMON 067901108 2082 130556 SH SOLE 130556 Bowater Inc COMMON 102183100 1210 25376 SH SOLE 25376 Calpine Corp COMMON 131347106 1843 109778 SH SOLE 109778 Celestica Inc SUB VTG SHS 15101Q108 2361 58461 SH SOLE 58461 Cendant Corp COMMON 151313103 3105 158333 SH SOLE 158333 ChevronTexaco Corp COMMON 166764100 4446 49618 SH SOLE 49618 Conoco Inc COMMON 208251504 2915 103000 SH DEFINED 01 103000 Conoco Inc Jan 30 Call OPTION 2082519A8 8490 300000 SH CALL DEFINED 01 300000 Cooper Inds Inc COMMON 216669101 6286 180000 SH DEFINED 01 180000 Cooper Inds Inc Jan 40 Ca OPTION 2166699A1 2095 60000 SH CALL DEFINED 01 60000 Cor Therapeutics Inc COMMON 217753102 4906 205000 SH DEFINED 01 205000 Corning Inc COMMON 219350105 1089 122093 SH SOLE 122093 Dal-Tile Intl Inc COMMON 23426R108 16054 690500 SH DEFINED 01 690500 Deutsche Telekom AG SPONSRD ADR 251566105 2176 128761 SH SOLE 128761 Dominion Res Inc COMMON 25746U109 1755 29201 SH SOLE 29201 Elan PLC RIGHTS G29539148 18 137999 SH SOLE 137999 FirstEnergy Corp COMMON 337932107 850 24298 SH SOLE 24298 General Mtrs Corp CLASS H 370442832 6353 411200 SH DEFINED 01 411200 Genesis Microchip Inc COMMON 371933102 10811 163500 SH DEFINED 01 163500 Gucci Group N V COMMON 401566104 13431 158200 SH DEFINED 01 158200 HotJobs Com Inc COMMON 441474103 16625 1600100 SH DEFINED 01 1600100 Immunex Corp COMMON 452528102 16626 600000 SH DEFINED 01 600000 Interpublic Group Cos Inc COMMON 460690100 1361 46083 SH SOLE 46083 JDS Uniphase Corp COMMON 46612J101 111 12730 SH SOLE 12730 Johnson & Johnson COMMON 478160104 7125 120553 SH SOLE 120553 Kerr McGee Corp COMMON 492386107 394 7181 SH SOLE 7181 LSI Logic Corp COMMON 502161102 633 40116 SH SOLE 40116 Maxim Integrated Prods In COMMON 57772K101 752 14312 SH SOLE 14312 Merck & Co Inc COMMON 589331107 312 5307 SH SOLE 5307 Mitchell Energy & Dev Cor CLASS A 606592202 16901 317100 SH DEFINED 01 317100 Netiq Corp COMMON 64115P102 459 13018 SH SOLE 13018 News Corp Ltd SP ADR PFD 652487802 778 29388 SH SOLE 29388 Northrop Grumman Corp COMMON 666807102 5708 56625 SH SOLE 56625 Polycom Inc COMMON 73172K104 313 9106 SH SOLE 9106 Radian Group Inc COMMON 750236101 900 20944 SH SOLE 20944 Rightchoice Managed Care COMMON 76657T102 10499 150000 SH DEFINED 01 150000 Royal Bk Cda Montreal Que COMMON 780087102 2104 64652 SH SOLE 64652 Sanmina SCI Corp COMMON 800907107 654 32843 SH SOLE 32843 Schuler Homes Inc CLASS A 808188106 5310 267500 SH DEFINED 01 267500 Security Cap Group Inc CLASS B 81413P204 12685 500000 SH DEFINED 01 500000 Shaw Communications Inc CL B CONV 82028K200 334 15762 SH SOLE 15762 Shire Pharm Grp PLC SPONSRD ADR 82481R106 1016 27762 SH SOLE 27762 SPX Corp COMMON 784635104 2012 14696 SH SOLE 14696 Storage USA Inc COMMON 861907103 1225 29100 SH SOLE 29100 Swift Transn Co COMMON 870756103 1220 56702 SH SOLE 56702 Telecorp PCS Inc CLASS A 879300101 596 47800 SH DEFINED 01 47800 Teradyne Inc COMMON 880770102 517 17137 SH SOLE 17137 Triad Hospitals Inc COMMON 89579K109 549 18702 SH SOLE 18702 Tyco Intl Ltd COMMON 902124106 7145 121301 SH SOLE 121301 Tyson Foods Inc CLASS A 902494103 3688 319274 SH SOLE 319274 Ultramar Dmnd Shmrck Corp COMMON 904000106 9896 200000 SH DEFINED 01 200000 Union Pac Corp COMMON 907818108 287 5032 SH SOLE 5032 US Bancorp COMMON 902973304 624 29801 SH SOLE 29801 Verisign Inc COMMON 92343E102 1987 52231 SH SOLE 52231 Vidamed Inc COMMON 926530106 11520 1475000 SH DEFINED 01 1475000 Vishay Intertechnology In COMMON 928298108 1009 51752 SH SOLE 51752 Westcoast Energy Inc COMMON 95751D102 16302 616800 SH DEFINED 01 616800 Willamette Inds Inc COMMON 969133107 12702 243700 SH DEFINED 01 243700 Worldcom Inc WRLDCM GP COM 98157D106 226 16021 SH SOLE 16021 314625