-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, LS4u1Ks4HFj0y9Tv8TYEfrXT0le03nH4adjTnezNCGxpdjgfkqBUTbqOX3yR1tva vZqRYuKEKllJGGx3aQn9YA== 0000902561-02-000119.txt : 20020414 0000902561-02-000119.hdr.sgml : 20020414 ACCESSION NUMBER: 0000902561-02-000119 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20011231 FILED AS OF DATE: 20020215 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MANGAN & MCCOLL PARTNERS LLC CENTRAL INDEX KEY: 0001166530 IRS NUMBER: 562255524 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-10126 FILM NUMBER: 02550216 BUSINESS ADDRESS: STREET 1: 100 N TRYON ST STREET 2: STE 5130 CITY: CHARLOTTE STATE: NC ZIP: 28202 BUSINESS PHONE: 7043768100 MAIL ADDRESS: STREET 1: 100 N TRYON ST STREET 2: STE 5130 CITY: CHARLOTTE STATE: NC ZIP: 28202 13F-HR 1 sc13f-hr.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 ---------------- If amended report check here: |_| Amendment Number: _____ This Amendment (Check only one): |_| is a restatement |_| adds new holding entries. Name of Institutional Investment Manager Name: Mangan & McColl Partners, LLC ---------------------------------- Address: Bank of America Corporate Center ---------------------------------- 100 North Tryon Street, Suite 5130 ---------------------------------- Charlotte, North Carolina 28202 ---------------------------------- 13F File Number: 28- (Not Yet Assigned) 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, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: J. J. Schonberg ---------------------------------- Title: Chief Financial Officer ---------------------------------- Phone: (704) 376-0042 ---------------------------------- Signature, Place, and Date of Signing: /s/ Joseph J. Schonberg Charlotte, North Carolina February 14, 2002 - --------------------------------------------------------- ------------------ [Signature] [City, State] [Date] Report Type: (Check only one.): [X] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 0 ------------ Form 13F Information Table Entry Total: 81 ------------ Form 13F Information Table Value Total: $ 288,452 ------------ (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. Form 13F File Number Name N/A
Form 13F Information Table Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ----------------------------------------------------------------------------------------------------------------------------------- Name of Issuer Title of CUSIP Value Shrs or Sh/ Put/ Investment Other Voting Authority Class (X$1000) Prn Amt Prn Call Discretion Managers Sole Shared None - ----------------------------------------------------------------------------------------------------------------------------------- ACE LTD-ORD COMMON G0070K103 803 20,000 SH SOLE N/A 20000 AMBANC HOLDING CO INC COMMON 23161102 971 45,500 SH SOLE N/A 45500 ALGIERS BANCORP INC COMMON 15600109 230 26,750 SH SOLE N/A 26750 ALTERA CORP COMMON 21441100 531 25,000 SH SOLE N/A 25000 AMERICAN BANCORPORATION COMMON 24076408 450 20,000 SH SOLE N/A 20000 OH AMRESCO CAPITAL TRUST SBI COMMON 31919103 36 27,100 SH SOLE N/A 27100 AMERICAN FINANCIAL HLDGS I COMMON 26075101 381 15,000 SH SOLE N/A 15000 ANWORTH MORTGAGE ASSET COR COMMON 37347101 592 65,000 SH SOLE N/A 65000 AREA BANCSHARES CORP NEW COMMON 39872106 740 38,000 SH SOLE N/A 38000 AVIRON COMMON 53762100 5,381 108,200 SH SOLE N/A 108200 AVNET INC COMMON 53807103 416 16,328 SH SOLE N/A 16328 BANK OF AMER CORP COMMON 60505104 6,925 110,000 SH SOLE N/A 110000 C R BARD INC COMMON 67383109 19,537 302,900 SH SOLE N/A 302900 AMERICAN BANK OF CONNECTIC COMMON 24327108 1,479 47,400 SH SOLE N/A 47400 BANKNORTH GROUP INC NEW-DE COMMON 06646R107 2,756 122,400 SH SOLE N/A 122400 BOWNE & CO INC COMMON 103043105 256 20,000 SH SOLE N/A 20000 BANK PLUS CORP COMMON 64446107 6,441 887,200 SH SOLE N/A 887200 BERKSHIRE HATHAWAY INC-DEL COMMON 84670207 3,156 1,250 SH SOLE N/A 1250 Form 13F Information Table Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ----------------------------------------------------------------------------------------------------------------------------------- Name of Issuer Title of CUSIP Value Shrs or Sh/ Put/ Investment Other Voting Authority Class (X$1000) Prn Amt Prn Call Discretion Managers Sole Shared None - ----------------------------------------------------------------------------------------------------------------------------------- BAY VIEW CAPITAL CORP - DE COMMON 07262L101 1,728 235,800 SH SOLE N/A 235800 CITIGROUP INC COMMON 172967101 4,528 89,700 SH SOLE N/A 89700 COOPER INDUSTRIES INC COMMON 216669101 10,958 313,800 SH SOLE N/A 313800 CENDANT CORP COMMON 151313103 981 50,000 SH SOLE N/A 50000 CERES GROUP INC COMMON 156772105 1,476 400,000 SH SOLE N/A 400000 COMMUNITY SAVINGS BANKSHAR COMMON 204037105 8,097 426,400 SH SOLE N/A 426400 CAPITAL ONE FINANCIAL CORP COMMON 14040H105 1,619 30,000 SH SOLE N/A 30000 COR THERAPEUTICS INC COMMON 217753102 5,430 226,900 SH SOLE N/A 226900 CALPINE CORP COMMON 131347106 2,351 140,000 SH SOLE N/A 140000 CHEVRONTEXACO CORP COMMON 166764100 2,450 27,340 SH SOLE N/A 27340 CROSSWORLDS SOFTWARE INC COMMON 22769P109 147 31,600 SH SOLE N/A 31600 DELL COMPUTER CORP COMMON 247025109 951 35,000 SH SOLE N/A 35000 DIME BANCORP INC COMMON 25429Q102 9,251 256,416 SH SOLE N/A 256416 DTE ENERGY CO. COMMON 233331107 1,971 47,000 SH SOLE N/A 47000 DYNEGY INC (HOLDING CO) CL COMMON 26816Q101 638 25,000 SH SOLE N/A 25000 FREEPORT MCMORAN COPPER & COMMON 35671D105 10,733 832,000 SH SOLE N/A 832000 FEDDERS CORP-CL A NON VTG COMMON 313135303 55 19,700 SH SOLE N/A 19700 GENERAL MOTORS CORP CL H COMMON 370442832 725 46,900 SH SOLE N/A 46900 STARWOOD HOTELS & RESORTS COMMON 85590A203 746 25,000 SH SOLE N/A 25000 INTL BUSINESS MACHINES COR COMMON 459200101 3,931 32,500 SH SOLE N/A 32500 INTEGRATED DEVICE TECHNOLO COMMON 458118106 665 25,000 SH SOLE N/A 25000 IMMUNEX CORP COMMON 452528102 4,478 161,600 SH SOLE N/A 161600 INFORMAX INC COMMON 45677N205 134 45,500 SH SOLE N/A 45500 JOHNSON & JOHNSON COMMON 478160104 3,000 50,764 SH SOLE N/A 50764 Form 13F Information Table Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ----------------------------------------------------------------------------------------------------------------------------------- Name of Issuer Title of CUSIP Value Shrs or Sh/ Put/ Investment Other Voting Authority Class (X$1000) Prn Amt Prn Call Discretion Managers Sole Shared None - ----------------------------------------------------------------------------------------------------------------------------------- J P MORGAN CHASE & CO COMMON 46625H100 1,818 50,000 SH SOLE N/A 50000 KEANE INC COMMON 486665102 256 14,224 SH SOLE N/A 14224 LEEDS FEDERAL BANKSHARES I COMMON 524226107 1,646 52,100 SH SOLE N/A 52100 LASER MORTGAGE MANAGEMENT COMMON 51806D100 40 35,000 SH SOLE N/A 35000 LSI LOGIC CORP COMMON 502161102 165 10,475 SH SOLE N/A 10475 LOEWS CORP COMMON 540424108 13,136 237,200 SH SOLE N/A 237200 MARRIOTT INTERNATIONAL INC COMMON 571903202 407 10,000 SH SOLE N/A 10000 MCG CAPITAL CORP COMMON 58047P107 4,272 240,000 SH SOLE N/A 240000 MCSI INC COMMON 55270M108 235 10,000 SH SOLE N/A 10000 MERRILL LYNCH & CO INC COMMON 590188108 2,345 45,000 SH SOLE N/A 45000 MITCHELL ENERGEY & DEV COR COMMON 606592202 18,404 345,300 SH SOLE N/A 345300 MONOLITHIC SYSTEM TECH INC COMMON 609842109 515 25,000 SH SOLE N/A 25000 MORGAN STANLEY DEAN WITTER COMMON 617446448 2,238 40,000 SH SOLE N/A 40000 METRIS COMPANIES INC COMMON 591598107 643 25,000 SH SOLE N/A 25000 NEW CENTURY FINANCIAL CORP COMMON 64352D101 5,311 392,500 SH SOLE N/A 392500 NEIMAN-MARCUS GROUP INC CL COMMON 640204301 668 22,500 SH SOLE N/A 22500 NORTHROP GRUMMAN CORP COMMON 666807102 370 3,668 SH SOLE N/A 3668 NEXTWAVE TELECOM INC CL B COMMON 65332M103 2,281 285,100 SH SOLE N/A 285100 NEW YORK COMMUNITY BANCORP COMMON 649445103 1,180 51,600 SH SOLE N/A 51600 ORION POWER HOLDINGS INC COMMON 686286105 17,902 685,900 SH SOLE N/A 685900 PHILLIPS PETROLEUM CO COMMON 718507106 2,262 37,536 SH SOLE N/A 37536 PINNACLE BANCSHARES INC-DE COMMON 722903101 371 41,900 SH SOLE N/A 41900 RAIT INVESTMENT TRUST COMMON 749227104 978 60,000 SH SOLE N/A 60000 Form 13F Information Table Column 1 Column 2 Column 3 Column 4 Column 5 Column 6 Column 7 Column 8 - ----------------------------------------------------------------------------------------------------------------------------------- Name of Issuer Title of CUSIP Value Shrs or Sh/ Put/ Investment Other Voting Authority Class (X$1000) Prn Amt Prn Call Discretion Managers Sole Shared None - ----------------------------------------------------------------------------------------------------------------------------------- RIGHTCHOICE MANAGED CARE I COMMON 76657T102 18,883 269,800 SH SOLE N/A 269800 SANMINA-SCI CORP COMMON 800907107 1,597 80,240 SH SOLE N/A 80240 SECUITY CAPITAL GROUP INC COMMON 81413P204 13,086 515,800 SH SOLE N/A 515800 SCHULER HOMES INC COMMON 808188106 2,253 113,500 SH SOLE N/A 113500 USA EDUCATION INC COMMON 90390U102 2,521 30,000 SH SOLE N/A 30000 SPECTRA-PHYSICS LASERS INC COMMON 847568102 2,286 130,500 SH SOLE N/A 130500 SPX CORP COMMON 784635104 2,635 19,247 SH SOLE N/A 19247 STATIA TERMINALS GRP N V COMMON N82345104 1,200 66,500 SH SOLE N/A 66500 AT&T CORP COMMON 1957109 4,983 274,700 SH SOLE N/A 274700 TELECORP PCS INC NEW COMMON 879300101 1,784 143,100 SH SOLE N/A 143100 UNITED TECHNOLOGIES CORP COMMON 913017109 1,616 25,000 SH SOLE N/A 25000 VIDAMED INC COMMON 926530106 2,190 280,000 SH SOLE N/A 280000 VALERO ENERGY CORP COMMON 91913Y100 1,094 28,700 SH SOLE N/A 28700 WILLAMETTE INDUSTRIES INC COMMON 969133107 24,403 468,200 SH SOLE N/A 468200 WASHINGTON MUTUAL INC COMMON 939322103 1,635 50,000 SH SOLE N/A 50000 WAL-MART STORES INC COMMON 931142103 719 12,500 SH SOLE N/A 12500
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