0000950123-01-507148.txt : 20011019
0000950123-01-507148.hdr.sgml : 20011019
ACCESSION NUMBER: 0000950123-01-507148
CONFORMED SUBMISSION TYPE: 424B3
PUBLIC DOCUMENT COUNT: 1
FILED AS OF DATE: 20011011
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: AMDOCS LTD
CENTRAL INDEX KEY: 0001062579
STANDARD INDUSTRIAL CLASSIFICATION: SERVICES-COMPUTER PROGRAMMING SERVICES [7371]
STATE OF INCORPORATION: MO
FISCAL YEAR END: 0930
FILING VALUES:
FORM TYPE: 424B3
SEC ACT: 1933 Act
SEC FILE NUMBER: 333-67572
FILM NUMBER: 1757046
BUSINESS ADDRESS:
STREET 1: C/O TOWER HILL HOUSE
STREET 2: LE BORDAGE GYL 3QT
CITY: ST PETER PORT
STATE: E7
ZIP: 00000
BUSINESS PHONE: 3148213242
MAIL ADDRESS:
STREET 1: TOWER HILL HOUSE LE BORDAGE GY1 3QT
STREET 2: ST PETER PORT
CITY: ISLAND OF GUERNSEY
STATE: X0
ZIP: 00000
424B3
1
y53149bbe424b3.txt
FILED PURSUANT TO RULE 424(B)(3)
1
PROSPECTUS SUPPLEMENT NO. 2 FILED PURSUANT TO RULE 424(B)(3)
(TO PROSPECTUS DATED SEPTEMBER 25, 2001) REGISTRATION STATEMENT NO. 333-67572
AMDOCS LIMITED
$500,000,000
2% CONVERTIBLE NOTES DUE JUNE 1, 2008
AND
5,429,350 ORDINARY SHARES ISSUABLE
UPON CONVERSION OF THE NOTES
------------------------
This prospectus supplement relates to the resale by holders of our 2%
Convertible Notes due June 1, 2008 and ordinary shares issuable upon conversion
of the notes. This prospectus supplement may only be delivered or used in
connection with our prospectus dated September 25, 2001. Our ordinary shares are
traded on the New York Stock Exchange under the symbol "DOX."
NEITHER THE SECURITIES AND EXCHANGE COMMISSION NOR ANY STATE SECURITIES
COMMISSION HAS APPROVED OR DISAPPROVED OF THESE SECURITIES OR DETERMINED IF THIS
PROSPECTUS IS TRUTHFUL OR COMPLETE. ANY REPRESENTATION TO THE CONTRARY IS A
CRIMINAL OFFENSE.
------------------------
PROSPECTUS SUPPLEMENT DATED OCTOBER 11, 2001
2
The information appearing in the following table supplements or supersedes
in part the information in the table under the caption "Selling Holders",
beginning on page 50 in our prospectus and was provided by or on behalf of the
selling holders.
PRINCIPAL ORDINARY
AMOUNT OF SHARES ORDINARY SHARES
NOTES BENEFICIALLY BENEFICIALLY OWNED
BENEFICIALLY OWNED ORDINARY AFTER OFFERING
OWNED AND BEFORE SHARES -------------------
NAME AND ADDRESS OFFERED OFFERING OFFERED(1) AMOUNT PERCENT
---------------- ------------ ------------ ---------- -------- --------
AXP Variable Portfolio -- Managed $1,460,000 15,853 15,853 0 *
Fund, a series of AXP Variable
Portfolio Managed Series, Inc.
c/o American Express Financial
Advisors
50592 AXP Financial Center
Minneapolis, MN 55474
Citadel Equity Fund LTD 4,285,000 540,729 46,529 494,200 *
c/o Citadel Limited Partnership
225 West Washington Street
9th Floor
Chicago, IL 60606
Gaia Offshore Master Fund Ltd. 22,000,000 238,891 238,891 0 *
750 Lexington Avenue
22nd Floor
New York, NY 10022
Jackson Investment Fund LTD 230,000 71,797 2,497 69,300 *
c/o Citadel Limited Partnership
225 West Washington Street
9th Floor
Chicago, IL 60606
Lyxor Master Fund 2,000,000 21,717 21,717 0 *
750 Lexington Avenue
22nd Floor
New York, NY 10022
---------------
* Indicates less than 1%.
(1) Assumes conversion of all the holder's notes at a conversion rate of 10.8587
ordinary shares per each $1,000 principal amount of the notes and resale of
all ordinary shares offered hereby. In addition, the per share conversion
price, and therefore the number of ordinary shares issuable upon conversion
of the notes, is subject to adjustment. As a result, the aggregate principal
amount of the notes and the number of shares of ordinary shares issuable
upon conversion of the notes may increase or decrease.