SEC News Digest, August 2, 2000
Total Page:16
File Type:pdf, Size:1020Kb
SEC NEWS DIGEST Issue 2000-147 August 2000 COMMISSION ANNOUNCEMENTS CORRECTION Press Release 2000-106 which appeared in the August issue of the Digest included The correct address is an inaccurate EDGAR filing web site address https//www edgarfiling sec.gov INVESTMENT COMPANY ACT ARK FUNDS ET AL An order has been issued on an application filed by ARK Funds et al for an order under Section 17b of the Investment Company Act exempting applicants from Section of four series of The 17a of the Act The order permits the proposed reorganizations Govett Funds Inc with and into four series of ARK Funds Because of certain Act IC-24587 affiliations applicants may not rely on Rule 17a-8 under the Rel July 31 SELF-REGULATORY ORGANIZATIONS IMMEDIATE EFFECTWENESS OF PROPOSED RULE CHANGE proposed rule change filed by the Municipal Securities Rulemaking Board consisting of technical amendments to MSRB Rules G-8 and G-15 SR-MSRB-00-9 has become Publication of effective under Section 9b3A of the Securities Exchange Act of 1934 34- the proposal is expected in the Federal Register during the week of August Rel 43090 APPROVAL OF PROPOSED RULE CHANGE The Commission approved proposed rule change SR-CBOE-99-35 submitted by the orders Chicago Board Options Exchange relating to facilitation crosses of index options Publication of the order in the Federal Register is expected during the week of August Rel 34-43099 DELISTJNGS GRANTED An order has been issued granting the application of the New York Stock Exchange to $.01 strike from listing and registration Dyersburg Corporation Common Stock par value Rel 34-43 093 An order has been issued granting the application of the New York Stock Exchange to $.001 value strike from listing and registration Mossimo Inc Common Stock par Rel 34-43 094 An order has been issued granting the application of the New York Stock Exchange to value strike from listing and registration InaCom Corp Common Stock 10 par Rel 34-43095 An order has been issued granting the application of the New York Stock Exchange to Resources 7.375% strike from listing and registration Norcen Energy Limited Debentures due May 15 2006 and 7.80% Debentures due July 2008 Rel 34- 43096 An order has been issued granting the application of the New York Stock Exchange to value strike from listing and registration Giant Group Ltd Common Stock $.01 par Rel 34-43097 SECURITIES ACT REGISTRATIONS filed with the under the Securities Act The following registration statements have been SEC and Phone of 1933 The reported information appears as follows Form Name Address and/or face Number if available of the issuer of the security Title and the number amount of the securities being offered Name of the managing underwriter or depositor if if the statement applicable File number and date filed Assigned Branch and designation is New Issue Commissions Public Registration statements may be obtained in person or by writing to the Reference Branch at 450 Fifth Street N.W Washington D.C 20549 or at the following mail box address publicinfosec.gov In most cases this information is also available on the Commissions website www.sec.gov NEWS DIGEST August 2000 773- S-i LUMINENT INC 20550 NORDI-IOFF STREET CHATSWORTH CA 91311 818 9044 $207000000 COMMON STOCK FILE 33342238 JUL 26 BR 36 NEW ISSUE STE S-B ARCH COMMUNICATIONS GROUP INC IDE 1800 PARK DR 250 WESTBOROUGH MA 01581 508 8706700 6000000 $33840000 COMMON STOCK FILE 333-42240 JUL 26 BR 94404 S-4 WEBVAN GROUP INC 310 LAKESIDE DRIVE FOSTER CITY CA 650 6273000 141000000 $863625000 COMMON STOCK FILE 333 42244 JUL 26 BR MO 63164 982- S-8 RALSTON PURINA CD CHECKERBOARD SQ ST LOUIS 314 1000 5000000 $98906250 COMMON STOCK FILE 33342246 JUL 26 BR S-8 ARCH COMMUNICATIONS GROUP INC /DE 1800 PARK DR STE 250 WESTBOROUGH MA 01581 508 8706700 150000 $846000 COMMON STOCK FILE 33342248 JUL 26 BR S-8 OPTIKA INC 7450 CAMPUS DR 2ND FLOOR STE 200 COLORADO SPRINGS CO 80920 719 5489800 1832657 $9564178.72 COMMON STOCK FILE 33342250 JUL 26 BR S-3 ASTA FUNDING INC 210 SYLVAN AyE ENGLEWOOD CLIFFS NJ 07632 201 5675648 120000 $598500 COMMON STOCK FILE 33342254 JUL 26 BR NV 89107 SB-2 ELAST TECHNOLOGIES INC 2505 RANCHO BEL AIR LAS VEGAS 702 8788310 5000000 $10000000 COMMON STOCK FILE 33342256 JUL 26 BR S-3 SHOP AT HOME INC TN 5388 HICKORY HALLOW PARKWAY P0 BOX 305249 NASHVILLE TN 37013 615 2638000 12970163 $55123193 COMMON STOCK FILE 33342258 JUL 26 BR 614- S-i SYNAPSE GROUP INC HIGH RIDGE PARK STANFORD CT 06905 203 3218 $50000000 COMMON STOCK FILE 33342260 JUL 26 BR sB VERILINK CORE 145 BAYTECH DR SAN JOSE CA 95134 408 945-1199 100000 $1300000 COMMON STOCK FILE 33342262 JUL 26 BR 773-6504 S-3 UNITIL CORE LIBERTY LAND WEST HANPTON NH 03842 603 200000 $5337500 COMMON STOCK FILE 33342264 JUL 26 BR 773-6504 S-8 UNITIL CORP LIBERTY LAND WEST HAMPTON NH 03842 603 150000 $4003125 COMMON STOCK FILE 33342266 JUL 26 BR NEWS DIGEST August 2000 UNIONDALE NY S-8 OSI PHARMACEUTICALS INC 106 CHARLES LINDBERGH BLVD1 11553 333 516 2220023 1257875 $39976839.84 COMMON STOCK FILE 422 74 JUL 26 BR WA S-8 MICROVISION INC 19910 NORTH CREEK PARKWAY STE 100 BOTHELL 98011 333 425 4156847 2650000 $117686500 COMMON STOCK FILE 42276 JUL 26 BR 36 SD 57107 S-8 CREDIT STORE INC 3401 LOUISE AVENUE SIOUX FALLS 800 24018 8000000 $33872000 COMMON STOCK FILE 33342278 JUL 26 BR 5539300 S8 ZOMAX INC IMN/ 5353 NATHAN LANE PLYMOUTH MN 55442 612 1200000 $20700000 COMMON STOCK FILE 33342280 JUL 26 BR 4900 HOPYARD ROAD S-i BRIGHTSTAR INFORMATION TECHNOLOGY GROUP INC SUITE 200 PLEASANTON CA 94566 925 2510000 3716126 $13 935 472 COMMON STOCK FILE 333-42282 JUL 26 BR IL 60045 S-8 ELOYALTY CORP 150 FIELD DRIVE SUITE 250 LAKE FOREST 312 2284500 2400000 $36189288 COMMON STOCK FILE 33342284 JUL 26 BR 587- S8 QUALCOMM INC/DE 5775 MOREHOUSE DR SAN DIEGO CA 92121 858 1121 JUL 4718 $7501.62 COMMON STOCK FILE 33342286 26 BR CA 92121 S-i LIGHTSPAN INC 10140 CAMPUS POINT DRIVE SAN DIEGO 858 8248000 1872513 $13634235 COMMON STOCK FILE 33342288 JUL 26 BR 144TH SB-2 ADVANCED ELECTRONIC SUPPORT PRODUCTS INC 1810 STREET COMMON NORTH MIAMI FL 33181 305 9447710 1179890 $2513166 STOCK FILE 33342290 JUL 26 BR F-2 SATYAN INFOWAY LTD MAANASAROVAR TOWERS 271A ANNA SALAI TEXNANPET 600 015 CHENNAI INDIA 914 4435322 JUL 26 625000 $44300000 FOREIGN COMMON STOCK FILE 33342292 BR NJ 07068 S-3 AUTOMATIC DATA PROCESSING INC ONE AD BOULVARD ROSELAND 333 201 9945000 293325 $15481693.50 COMMON STOCK FILE 42294 JUL 26 BR NEWS DIGEST August 2000 PA S3 UGI CORP /PA/ 460 GULPH RD BOX 858 KING OF PRUSSIA 19406 610 3371000 500000 $10843750 COMMON STOCK FILE 33342296 JUL 26 BR MN 55441 S-3 TRICORD SYSTEMS INC IDE 2905 NORTHWEST BLVD PLYMOUTH 333 612 5579005 9739000 $163712590 COMMON STOCK FILE 42300 JUL 26 BR 07059 271-1001 S-4 CELGENE CORP /DE POWDER HORN DR WARREN NJ 732 4144255 $183383283.75 COMMON STOCK FILE 33342302 JUL 26 BR NEW NY 10003 S-B WIT SOUNDVIEW GROUP INC 826 BROADWAY 6TH FL YORK 212 2534400 179514 $262210.36 COMMON STOCK FILE 33342304 JUL 27 BR CA 91311 S-8 MRV COMMUNICATIONS INC 20415 NORDHOFF ST CHATSWORTH 818 7730900 316315 $10300007 COMMON STOCK FILE 33342306 JUL 27 BR S-3 PMC SIERRA INC 250 900 EAST HPMILTON AVE1 CAMPBELL CA 95008 604 4156000 1218417 $239577335 COMMON STOCK FILE 333 42308 JUL 27 BR S4 EGL INC 15340 VICKERY DR HOUSTON TX 77032 281 6183100 19102100 $538440444 COMMON STOCK FILE 33342310 JUL 27 BR RECENT 8K FILINGS the events Form 8-K is used by companies to file current reports on following Item Changes in Control of Registrant Item Acquisition or Disposition of Assets Item Bankruptcy or Receivership Accountant Item Changes in Registrants Certifying Item Other Materially Important Events Item Resignations of Registrants Directors Item Financial Statements and Exhibits Item Change in Fiscal Year Item Regu Offerings date indicated and/or amendments to 8-K The following companies have filed 8-K reports for the reports of the form 8-K be obtained in person previously filed responding to the itemsl specified reports may Branch at 450 Fifth Washington D.C or by writing to the Commissiops Public Reference Street N.W In most this information is 20549 or at the following e-mail box address publicinfosec.gov cases also available on the Commissions website www.sec.gov NEWS DIGEST August 2000 STATE 8K ITEM NO NP OF ISSUER CODE DATE COMMENT AAMES FINANCIAL CORP/DE DE 07/27/00 ACCLAIM ENTERTAINMENT INC DE 07/28/00 ADC TELECOMMUNICATIONS INC MN 07/26/00 ADVANCE PARADIGM INC DE 07/17/00 ADVANCED MICRO DEVICES INC DE 07/19/00 ADVANTA BUSINESS SERVICES CORP DE 06/12/00 ADVANTA BUSINESS SERVICES CORP DE 06/12/00 ADVANTA CORP DE 07/31/00 ADVANTA EQUIPMENT LEASING RECEIVABL NV 06/12/00 ES SERIES 2000-1 LLC ADVANTA LEASING RECEIVABLES CORP IV NV 06/12/00 ADVANTA LEASING RECEIVABLES CORP IX NV 06/12/00 ADVANTA LEASING RECEIVABLES CORP NV 06/12/00 ADVANTA LEASING RECEIVABLES CORP VI NV 06/12/00 II ALAMOSA PCS HOLDINGS INC 07/31/00 ALL STAR GAS CORP MO 07/31/00 ALLEGIANT BANCORP INC MI 07/26/00 ALLIED HEALTHCARE PRODUCTS INC DE 07/31/00 ALLMERICA FINANCIAL CORP DE 06/30/00 ALTEON WEBSYSTEMS INC DE 07/17/00 ALYN CORP DE 07/31/00 AIVIERICAN COMMUNITY BANCSHARES INC NC 07/28/00 AMERICAN ELECTRIC POWER COMPANY INC NY 07/31/00 AMEND AMERICAN EXPRESS CO NY 07/24/00 AMEND AMERICAN REALTY TRUST INC GA 07/31/00 AMERICAN RESIDENTIAL EAGLE BOND TRU DE 07/25/00 ST 1999-2 COLLATERALIZED AMERICAN TOWER CORP /MA/ DE 07/27/00 ANTEX BIOLOGICS INC DE 07/07/00 APACHE CORP DE 07/27/00 APOGEE ENTERPRISES INC MN 07/29/00 APPLIED ANALYTICAL INDUSTRIES INC DE 07/27/00 APPLIED MAGNETICS CORP DE 01/07/00 APPNET INC /DE/ DE 08/01/00 ARCADIA RECEIVABLES