-----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, Lm/fOYVY/MViRurAAydBQ12kAfgyF9cRj6bYfyShYMiCOtPfR+z3B01Tjq8V6Rbr Y9sSZsvmyi1wh6JACBqXjQ== /in/edgar/work/20000811/0000950159-00-000316/0000950159-00-000316.txt : 20000921 0000950159-00-000316.hdr.sgml : 20000921 ACCESSION NUMBER: 0000950159-00-000316 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20000630 FILED AS OF DATE: 20000811 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SCHNEIDER CAPITAL MANAGEMENT LP CENTRAL INDEX KEY: 0001037584 STANDARD INDUSTRIAL CLASSIFICATION: [ ] IRS NUMBER: 232856392 STATE OF INCORPORATION: PA FILING VALUES: FORM TYPE: 13F-HR SEC ACT: SEC FILE NUMBER: 028-03579 FILM NUMBER: 692284 BUSINESS ADDRESS: STREET 1: 460 EAST SWEDESFORD ROAD, SUITE 1080 CITY: WAYNE STATE: PA ZIP: 19087 BUSINESS PHONE: 6106878080 13F-HR 1 0001.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: 6/30/00 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: Schneider Capital Management Corporation Address: 460 East Swedesford Road, Suite 1080 Wayne, PA 19087 Form 13F File Number: 28-03579 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: Gary P. Soura Title: Senior Vice President Phone: (610) 687-8080 Signature, Place, and Date of Signing: /s/Gary P. Soura Wayne, PA 8/11/00 - --------------------------- --------------------- ------- [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).) List of Other Managers Reporting for this Manager:
Voting Authority Title Value Shares/ Sh/ Put/ Invstmt Other Name of Issuer of Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- AON Corp COM 037389103 3370 108500 SH Sole 10800 97700 Ace Ltd Ord COM G007OK103 31206 1114500 SH Sole 366800 747700 Aetna, Inc. COM 008117103 29308 456600 SH Sole 146400 310200 Airgas, Inc. COM 009363102 1676 294600 SH Sole 294600 Albany Int'l. Corp. Cl. A COM 012348108 5218 359843 SH Sole 139262 220581 Alexander & Baldwin COM 014482103 7382 334600 SH Sole 74600 260000 Allstate Corp. COM 020002101 2447 110000 SH Sole 37400 72600 Amerco COM 023586100 292 14600 SH Sole 14600 American Re Part. Lp COM 029169109 4669 508200 SH Sole 80000 428200 American Retirement Corp COM 028913101 997 179300 SH Sole 179300 Americredit Corp. COM 03060r101 8634 507900 SH Sole 210700 297200 Arch Chemical Inc COM 03937R102 2693 123100 SH Sole 40100 83000 Archer Daniels Midland COM 039483102 9481 966200 SH Sole 288200 678000 Arrow Electronics, Inc. COM 042735100 13686 441500 SH Sole 111400 330100 Asia Pulp & Paper-Sp Adr COM 04516V100 4028 795700 SH Sole 41700 754000 Avado Brands Inc. COM 05336P108 237 158300 SH Sole 68300 90000 Avista Corp COM 05379B107 1482 85000 SH Sole 85000 BE Aerospace, Inc. COM 073302101 943 137200 SH Sole 20000 117200 Baker J., Inc. COM 057232100 6358 1093800 SH Sole 349100 744700 Bank Plus Corp. COM 064446107 3725 1228917 SH Sole 501000 727917 Barry RG COM 068798107 3126 806600 SH Sole 333100 473500 Bay View Capital Corp COM 07262L101 6898 703000 SH Sole 400400 302600 Billing Concepts Corp COM 090063108 1061 239200 SH Sole 239200 Birmingham Steel Corp COM 091250100 3270 843900 SH Sole 286700 557200 Boardwalk Equities COM 096613104 5557 587400 SH Sole 207400 380000 Boeing Co. COM 097023105 251 6000 SH Sole 6000 Brush Wellman Inc. COM 117421107 3475 222400 SH Sole 84400 138000 Budget Group, Inc. COM 119003101 2238 542500 SH Sole 282500 260000 Voting Authority Title Value Shares/ Sh/ Put/ Invstmt Other Name of Issuer of Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- Burlington Industries,.Inc. COM 121693105 155 92000 SH Sole 92000 CMS Energy Corp COM 125896100 9195 415600 SH Sole 154100 261500 CNA Financial Corp COM 126117100 3142 92400 SH Sole 17400 75000 CNH Global N.V. COM N20935107 16346 1767100 SH Sole 848300 918800 CSX Corporation COM 126408103 10352 488600 SH Sole 144800 343800 Canadian Hotel Inc Prop-Tr Uni COM 135928109 8515 1320225 SH Sole 271309 1048916 Catellus Dev. Corp. COM 149111106 7003 466900 SH Sole 134500 332400 Champion Enterprises Inc. COM 158496109 2987 612800 SH Sole 255700 357100 Chicago Bridge & Iron Co. COM N19808109 286 19500 SH Sole 19500 Chiquita Brands Int'l COM 170032106 2277 578200 SH Sole 68800 509400 Cincinnati Financial Corp. COM 172062101 1729 55000 SH Sole 55000 Clayton Homes COM 184190106 8146 1018300 SH Sole 568300 450000 Commonwealth Industries, Inc. COM 203004106 2358 401300 SH Sole 70900 330400 Corn Products Intl Inc COM 219023108 17018 642200 SH Sole 366700 275500 Coventry Health Care, Inc. COM 222862104 8155 611900 SH Sole 264900 347000 Cracker Barrel Ctry St Com COM 224100107 323 22000 SH Sole 22000 DTE Energy Company COM 233331107 8078 264300 SH Sole 74800 189500 Danielson Holding Corp. COM 236274106 2056 421800 SH Sole 421800 E.W. Blanch Holdings Inc. COM 093210102 1958 96400 SH Sole 96400 Eastman Chemical Company COM 277432100 473 9900 SH Sole 9900 Emeritus Corp. COM 291005106 85 25800 SH Sole 25800 Exide Corp. COM 302051107 8025 1003100 SH Sole 549100 454000 FPIC Insurance Group Inc. COM 302563101 3831 244200 SH Sole 244200 FirstFed Financial Corp COM 337907109 1412 100000 SH Sole 100000 Fluor Corp COM 343861100 7868 248800 SH Sole 26800 222000 Foundation Health Systems-A COM 350404109 11417 878200 SH Sole 398200 480000 Fremont General Corp. COM 357288109 1792 455000 SH Sole 172300 282700 Friede Goldman Halter Inc. COM 358430106 1602 179300 SH Sole 179300 Fritz Companies Inc. COM 358846103 1453 140900 SH Sole 140900 -2- Voting Authority Title Value Shares/ Sh/ Put/ Invstmt Other Name of Issuer of Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- Frontier Insurance Group Inc COM 359081106 440 703300 SH Sole 703300 Gaylord Container A COM 368145108 7048 2622400 SH Sole 462400 2160000 General Semiconductor, Inc. COM 370787103 11887 805900 SH Sole 284600 521300 Georgia Gulf Corp. COM 373200203 820 39400 SH Sole 28400 11000 Glamis Gold Ltd. COM 376775102 1232 635800 SH Sole 635800 Glatfelter (p. H.) Co. COM 377316104 1937 190100 SH Sole 185100 5000 Global Telesystems Group COM 37936U104 362 30000 SH Sole 30000 Golden St Bancorp Inc Com COM 381197102 12359 686600 SH Sole 251300 435300 Great Atlantic & Pacific COM 390064103 7519 452300 SH Sole 257200 195100 Greenpoint Finl Corp Com COM 395384100 1699 90600 SH Sole 50600 40000 Grey Wolf COM 397888108 12136 2427200 SH Sole 1106800 1320400 HCC Insurance Holdings Inc. COM 404132102 15983 846800 SH Sole 390900 455900 Homestake Mining COM 437614100 3987 580000 SH Sole 112500 467500 Hudson's Bay Co COM 444204101 6196 584500 SH Sole 304900 279600 Humana, Inc. COM 444859102 10798 2214900 SH Sole 1110300 1104600 ICO Global Communications COM G4705T109 120 257000 SH Sole 38500 218500 IMC Global, Inc, COM 449669100 16640 1280000 SH Sole 590600 689400 IPC Holdings COM G4933P101 140 10000 SH Sole 10000 Ikon Office Solutions, Inc. COM 451713101 2389 616400 SH Sole 301400 315000 Imperial Sugar Co COM 453096109 144 109600 SH Sole 109600 Ingram Micro Inc. COM 457153104 436 25000 SH Sole 25000 International Multifoods Corp. COM 460043102 8334 481400 SH Sole 214300 267100 Intertan, Inc. COM 461120107 5094 433521 SH Sole 151521 282000 Kirby Corp. COM 497266106 4435 208700 SH Sole 102600 106100 Legacy Hotels Reit 144a COM 524919305 2033 339900 SH Sole 339900 Legacy Hotels Reit Common COM 524919107 78 13000 SH Sole 13000 Litton Industries COM 538021106 840 20000 SH Sole 20000 Local Financial COM 539553107 936 112200 SH Sole 20000 92200 Loews Corp COM 540424108 7074 117900 SH Sole 57900 60000 -3- Voting Authority Title Value Shares/ Sh/ Put/ Invstmt Other Name of Issuer of Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- Longview Fibre Co. COM 543213102 9926 897300 SH Sole 313200 584100 Loral Space & Communications COM G56462107 10951 1578500 SH Sole 519500 1059000 M.A. Hanna Company COM 410522106 1941 215700 SH Sole 215700 MSC Software Corp COM 553531104 545 58500 SH Sole 58500 Magnetek, Inc. COM 559424106 474 59300 SH Sole 12600 46700 Mcdermott Int'l., Inc. COM 580037109 330 37500 SH Sole 37500 Mercer Int'l., Inc.-Sbi COM 588056101 11958 1438600 SH Sole 495500 943100 Metromedia International Group COM 591695101 8047 1694158 SH Sole 1023628 670530 Metso Corp. ADR COM 592671101 6381 543100 SH Sole 309900 233200 Micron Technology, Inc. COM 595112103 282 3200 SH Sole 3200 NS Group, Inc. COM 628916108 4659 222500 SH Sole 146500 76000 National Data Corp COM 635621105 292 12700 SH Sole 12700 Newhall Land & Farm Lp COM 651426108 8745 330000 SH Sole 111600 218400 Newpark Resources, Inc. COM 651718504 6430 681300 SH Sole 120900 560400 Niagara Mohawk Power COM 653520106 11597 832100 SH Sole 287100 545000 Nordic American Tanker Shippi COM G65773106 1926 115007 SH Sole 115007 Oakwood Homes COM 674098108 1592 878400 SH Sole 650100 228300 Ohio Casualty Corp. COM 677240103 319 30000 SH Sole 30000 Orbital Sciences Corp COM 685564106 14995 1230400 SH Sole 631700 598700 Overseas Shipholding COM 690368105 2322 94300 SH Sole 94300 PG&E Corp COM 69331C108 9899 402000 SH Sole 147600 254400 PXRE Group Ltd COM G73018106 1573 116500 SH Sole 116500 Petroleo Brasileiro Sa Adr COM 71654V101 242 8000 SH Sole 8000 Pilgrims Pride Corp - CI A COM 721467207 1611 296200 SH Sole 296200 Policy Mgmt Sys Corp Corn COM 731108106 5055 328800 SH Sole 128800 200000 Potlatch Corp COM 737628107 1620 48900 SH Sole 48900 Prison Realty Trust-Reit COM 74264N105 575 187600 SH Sole 77800 109800 Professionals Group Inc COM 742954100 2135 87350 SH Sole 87350 Quorum Health Group Inc. COM 749084109 1467 142300 SH Sole 142300 -4- Voting Authority Title Value Shares/ Sh/ Put/ Invstmt Other Name of Issuer of Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- R & B Falcon Corporation COM 74912E101 13652 579400 SH Sole 159200 420200 Rayonier, Inc. COM 754907103 6644 185200 SH Sole 85200 100000 Read-Rite Corp. COM 755246105 655 295000 SH Sole 295000 Renaissance Re Holdings Ltd. COM G7496G103 12455 285900 SH Sole 141400 144500 Republic Service Inc COM 760759100 2400 150000 SH Sole 150000 Riggs National Corp Wash DC COM 766570105 757 60000 SH Sole 60000 Sanderson Farms Inc. COM 800013104 160 20000 SH Sole 20000 Sea Containers CI. A COM 811371707 6050 286400 SH Sole 163500 122900 Sensormatic Electrs. COM 817265101 11508 727800 SH Sole 328800 399000 Smedvig ASA ADR B COM 83169H204 3859 239300 SH Sole 239300 Smithfield Foods, Inc COM 832248108 11921 424800 SH Sole 179800 245000 Smurfit-Stone Container Corp COM 832727101 3511 272700 SH Sole 177200 95500 Sovereign Bancorp COM 845905108 6921 984300 SH Sole 354300 630000 St. Paul Companies COM 792860108 1365 40000 SH Sole 40000 Star Gas Partner L.P. Sr. Subo COM 85512c2O4 1379 206238 SH Sole 44921 161317 Suiza Foods Corp COM 865077101 8397 171800 SH Sole 84200 87600 Sunrise Assisted Living COM 86768KI06 1339 72400 SH Sole 72400 TCF Financial Corp COM 872275102 771 30000 SH Sole 30000 Tate & Lyle PIc-Spons Adr COM 876570607 16490 823900 SH Sole 313200 510700 Technip COM 4874160 3839 31800 SH Sole 31800 Tenet Healthcare Corporation COM 88033G100 15341 568200 SH Sole 172300 395900 Tesoro Petroleum COM 881609101 4750 469100 SH Sole 269100 200000 The Finish Line COM 317923100 1185 144700 SH Sole 144700 Tidewater Inc COM 886423102 2700 75000 SH Sole 46500 28500 Titan International Inc COM 8883OM102 1017 191400 SH Sole 191400 Toys R Us, Inc. COM 892335100 2068 142000 SH Sole 12000 130000 Trico Marine Services Inc. COM 896106101 946 74200 SH Sole 74200 Trigon Healthcare, Inc. COM 89618L100 516 10000 SH Sole 10000 Tupperware Corporation COM 899896104 16535 751600 SH Sole 359100 392500 -5- Voting Authority Title Value Shares/ Sh/ Put/ Invstmt Other Name of Issuer of Class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- Tyson Foods, Inc. Class A COM 902494103 9976 1140100 SH Sole 406800 733300 UCAR Int'l., Inc. COM 90262K109 4878 373400 SH Sole 99400 274000 Ugly Duckling Corp COM 903512101 459 65000 SH Sole 65000 Ultramar Diamond Shamrock COM 904000106 372 15000 SH Sole 15000 Ultratech Stepper Inc COM 904034105 11128 748100 SH Sole 368900 379200 Union Acceptance Corp CI. A COM 904832102 218 47200 SH Sole 47200 Unisource Energy Corp. Hldg. COM 909205106 7765 517700 SH Sole 241100 276600 United Wisconsin Services, Inc COM 913238101 616 116000 SH Sole 116000 Unova Inc. COM 91529B106 4624 632300 SH Sole 322300 310000 Valero Energy Corp. COM 91913Y100 18628 586700 SH Sole 145700 441000 Vlasic Foods International COM 928559103 673 414100 SH Sole 414100 Washington Federal Inc. COM 938824109 3568 195500 SH Sole 160500 35000 Washington Mutual Inc. COM 939322103 2584 89500 SH Sole 14000 75500 Wellman Inc COM 949702104 6621 409000 SH Sole 209600 199400 Westcorp. COM 957907108 11235 941134 SH Sole 297966 643168 Western Resources, Inc. COM 959425109 775 50000 SH Sole 50000 Willbros Group Inc. COM 969199108 542 78900 SH Sole 78900 Wisconsin Central Transport COM 976592105 971 74700 SH Sole 74700 York International Corp New COM 986670107 12231 484400 SH Sole 184400 300000 American Re Partners Pfd. Unit PRD 029169208 1246 179607 SH Sole 179607 Loral Space&Comm CNV PFD CP 543885602 2892 130000 SH Sole 61200 68800 REPORT SUMMARY 165 DATA RECORD 843867 0
-6- Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: None --------- Form 13F Information Table Entry Total: 165 --------- Form 13F Information Table Value Total: $ 843,867 --------- (thousands) List of Other Included Managers: None 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. --7-
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