-----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, WMGdAnTi9IpaaGrGE6bQKfmPOWXNymx3FiepI5nk4Jp9hCVCBQJT5BkNyrUWvheP WA57TAPoitxd0JcsWZsqmg== 0000950159-01-500072.txt : 20010514 0000950159-01-500072.hdr.sgml : 20010514 ACCESSION NUMBER: 0000950159-01-500072 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20010331 FILED AS OF DATE: 20010511 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: 1629353 BUSINESS ADDRESS: STREET 1: 460 EAST SWEDESFORD ROAD, SUITE 1080 CITY: WAYNE STATE: PA ZIP: 19087 BUSINESS PHONE: 6106878080 13F-HR 1 scm13f3-01.txt SCHNEIDER CAPITAL MANAGEMENT Form 13F COVER PAGE Report for the Calendar Year or Quarter Ended: March 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: 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 May 4, 2001 - ------------------------ ------------------- ----------- [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: Schneider Capital Management FORM 13F March 31, 2001
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 -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- 3DO Co COM 88553W105 722 360900 SH Sole 360900 ABC-NACO Inc COM 000752105 687 229100 SH Sole 229100 ANC Rental Corp COM 001813104 856 285500 SH Sole 285500 AON Corp COM 037389103 31354 883200 SH Sole 364700 518500 AT&T Corp COM 001957109 441 20700 SH Sole 20700 Acclaim Entertainment Inc COM 004325205 382 255000 SH Sole 255000 Ace Ltd COM G0070K103 38238 1040200 SH Sole 430900 609300 Adtran Inc COM 00738A106 246 10000 SH Sole 10000 Aetna Inc COM 00817Y108 43679 1216000 SH Sole 507200 708800 Airgas Inc COM 009363102 6317 801700 SH Sole 505800 295900 Albany Intl Corp Cl A COM 012348108 4782 259883 SH Sole 58102 201781 Alcan Inc COM 013716105 32472 902000 SH Sole 383500 518500 Alexander & Baldwin Inc COM 014482103 9016 421800 SH Sole 181800 240000 Amer Real Estate Part LP COM 029169109 5236 560000 SH Sole 131800 428200 American Financial Group COM 025932104 19205 796900 SH Sole 501800 295100 American Retirement Corp COM 028913101 1464 375500 SH Sole 375500 Americredit Corp COM 03060r101 13413 413600 SH Sole 196400 217200 Amkor Technolog Inc COM 031652100 4276 262100 SH Sole 94700 167400 Angelica Corp COM 034663104 1605 138400 SH Sole 138400 Archer-Daniels-Midland Co COM 039483102 28354 2156200 SH Sole 913605 1242595 Atwood Oceanics Inc COM 050095108 6506 159000 SH Sole 76400 82600 Avista Corp COM 05379B107 6368 361400 SH Sole 212200 149200 Bancfirst Ohio Corp COM 059450106 1470 83700 SH Sole 83700 Bank Plus Corp. COM 064446107 6765 1216117 SH Sole 638200 577917 Bankunited Financial Corp Cl A COM 06652B103 2133 193900 SH Sole 193900 Barry (R.G.) Corp COM 068798107 2132 852800 SH Sole 459000 393800 Bay View Capital Corp COM 07262L101 3113 656700 SH Sole 359000 297700 Birmingham Steel Corp COM 091250100 1039 1094100 SH Sole 543600 550500 Boardwalk Equities Inc COM 096613104 4261 624800 SH Sole 624800 Boardwalk Equities Inc (US) COM 096613104 507 75000 SH Sole 75000 Boeing Co COM 097023105 808 14500 SH Sole 14500 Brunswick Corp COM 117043109 2644 134700 SH Sole 55100 79600 Brush Engineered Materials Inc COM 117421107 5974 320300 SH Sole 190800 129500 CKE Restaurants Inc COM 12561e105 70 30000 SH Sole 30000 CNA Financial Corp COM 126117100 2626 75000 SH Sole 75000 CNH Global N.V. COM N20935107 10800 1643800 SH Sole 755000 888800 CSX Corp COM 126408103 29248 867900 SH Sole 313600 554300 Canadian Hotel Income Prop REI COM 135928109 7150 1288225 SH Sole 1288225 Casual Male Corp COM 148710106 1232 410800 SH Sole 331200 79600 Catellus Dev Corp COM 149111106 4097 260100 SH Sole 89100 171000 Century Aluminum Co COM 156431108 720 45000 SH Sole 45000 Champion Enterprises Inc COM 158496109 5954 1156200 SH Sole 823900 332300 Cincinnati Financial Corp COM 172062101 9769 257500 SH Sole 98400 159100 Circuit City Stores Inc-CC Grp COM 172737108 1270 119800 SH Sole 18300 101500 Clayton Homes Inc COM 184190106 13435 1114900 SH Sole 654900 460000 Cleveland-Cliffs Inc COM 185896107 1526 84800 SH Sole 84800 Commercial Metals Co COM 201723103 771 30700 SH Sole 30700 Commonwealth Industries Inc COM 203004106 1300 297100 SH Sole 32200 264900 Corn Products Intl Inc COM 219023108 29039 1131700 SH Sole 666900 464800 Covenant Transport Inc Cl A COM 22284P105 2007 147300 SH Sole 147300 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 -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- DTE Energy Co COM 233331107 13512 339500 SH Sole 146100 193400 Danielson Holding Corp COM 236274106 2078 451800 SH Sole 451800 Dean Foods Co COM 242361103 3457 102100 SH Sole 61900 40200 Diamond Offshore Drilling Inc COM 25271C102 2648 67300 SH Sole 27300 40000 E.W. Blanch Holdings Inc COM 093210102 1285 161600 SH Sole 161600 Electro Scientific Inds Inc COM 285229100 1945 69300 SH Sole 30500 38800 Exide Corp COM 302051107 8100 987800 SH Sole 543500 444300 FPIC Insurance Grp Inc COM 302563101 3883 406100 SH Sole 406100 Fairfax Financial Hldgs LTD COM 303901102 7773 61400 SH Sole 59000 2400 Finish Line Inc Cl A COM 317923100 1143 175800 SH Sole 175800 First Niagara Financial Grp COM 33582U100 347 31000 SH Sole 31000 FirstFed Financial Corp COM 337907109 1277 45600 SH Sole 45600 Flushing Financial Corp COM 343873105 2148 116500 SH Sole 116500 Friede Goldman Halter Inc COM 358430106 1160 473500 SH Sole 473500 Gainsco Inc COM 363127101 596 331000 SH Sole 331000 Gaylord Container Corp Cl A COM 368145108 2649 2283800 SH Sole 531900 1751900 General Semiconductor Inc COM 370787103 2314 244400 SH Sole 89700 154700 Georgia Gulf Corp COM 373200203 3001 172400 SH Sole 98700 73700 Glatfelter (P.H.) Co COM 377316104 5434 426500 SH Sole 382400 44100 Golden St Bancorp Inc COM 381197102 26508 950800 SH Sole 357400 593400 Great Atlantic & Pacific Tea C COM 390064103 3817 417200 SH Sole 213500 203700 HCC Insurance Hldgs Inc COM 404132102 26926 1018000 SH Sole 565000 453000 Hasbro Inc COM 418056107 3074 238300 SH Sole 40300 198000 Health Net Inc COM 42222G108 7951 385800 SH Sole 177000 208800 Heartland Express Inc COM 422347104 2096 83000 SH Sole 54000 29000 Hudson City Bancorp Inc COM 443683107 5417 273400 SH Sole 88400 185000 Humana Inc COM 444859102 15205 1450900 SH Sole 611600 839300 IMC Global Inc COM 449669100 16967 1379400 SH Sole 657900 721500 Ingram Micro Inc Cl A COM 457153104 14442 1069800 SH Sole 430700 639100 Interface Inc Cl A COM 458665106 1182 172000 SH Sole 172000 International Multifoods Corp COM 460043102 11735 609600 SH Sole 337500 272100 Intertan Inc COM 461120107 2142 169321 SH Sole 30221 139100 J.C. Penney Co COM 708160106 10923 683100 SH Sole 239400 443700 Kirby Corp. COM 497266106 5300 265000 SH Sole 156400 108600 Kulicke & Soffa Industries COM 501242101 136 10000 SH Sole 10000 LTC Properties Inc COM 502175102 199 50000 SH Sole 50000 LTX Corp COM 502392103 841 45000 SH Sole 10000 35000 Lesco Inc COM 526872106 974 77900 SH Sole 77900 Litton Industries Inc COM 538021106 2522 31400 SH Sole 9900 21500 Local Financial Corp COM 539553107 878 69200 SH Sole 20000 49200 Loews Corp COM 540424108 14407 242500 SH Sole 122500 120000 Longview Fibre Co COM 543213102 2064 158800 SH Sole 40500 118300 Loral Space & Comm Ltd COM G56462107 4451 2032500 SH Sole 768500 1264000 Louisiana-Pacific Corp. COM 546347105 1515 157600 SH Sole 157600 MCI Worldcom, Inc. COM 98157D106 374 20000 SH Sole 20000 MIIX Grp COM 59862V104 1337 167115 SH Sole 167115 MSC Software Corp COM 553531104 3569 348200 SH Sole 348200 Medowbrook Insurance Grp Inc COM 58319P108 180 53000 SH Sole 53000 Memc Electronic Materials Inc COM 552715104 227 32700 SH Sole 32700 Mercer Intl Inc-Sbi COM 588056101 4075 574400 SH Sole 254100 320300 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 -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- Metals USA Inc COM 591324108 202 74700 SH Sole 74700 Metromedia Intl Grp COM 591695101 7925 2532058 SH Sole 1644328 887730 Metso Corp ADR COM 592671101 183 20000 SH Sole 13400 6600 Micron Technology Inc COM 595112103 1101 26500 SH Sole 26500 Millennium Chemicals Inc COM 599903101 3356 205000 SH Sole 112800 92200 Mississippi Chemical Corp COM 605288208 488 145100 SH Sole 145100 Moore Corp Ltd COM 615785102 948 240000 SH Sole 240000 Mutual Risk Mgmt Ltd COM 628351108 2246 309800 SH Sole 175500 134300 Navigators Grp Inc COM 638904102 417 31000 SH Sole 31000 Newhall Land & Farming LP Co COM 651426108 12074 473500 SH Sole 249600 223900 Niagara Mohawk Power Hldgs Inc COM 653520106 14372 850400 SH Sole 292400 558000 NuCor Corp COM 670346105 4604 114900 SH Sole 31500 83400 Office Depot Inc COM 676220106 7393 844900 SH Sole 369000 475900 Olin Corp COM 680665205 4384 215000 SH Sole 131900 83100 Orbital Sciences Corp COM 685564106 12152 2025300 SH Sole 1229800 795500 PG&E Corp COM 69331C108 14863 1254800 SH Sole 503700 751100 PXRE Grp Ltd COM G73018106 4890 298200 SH Sole 298200 Paccar Inc COM 693718108 1680 37500 SH Sole 17900 19600 Pacific Century Finl Corp COM 694058108 1645 86600 SH Sole 86600 Pacificare Health Systems Inc COM 695112102 7413 298000 SH Sole 178400 119600 Park-Ohio Hldgs Corp COM 700666100 92 20000 SH Sole 20000 PartnerRe Ltd COM G6852T105 5513 111900 SH Sole 32900 79000 Pennfed Financial Svcs Inc COM 708167101 525 25000 SH Sole 25000 Pilgrims Pride Corp Cl A COM 721467207 2957 428500 SH Sole 428500 PolyOne Corp COM 73179P106 11402 1253000 SH Sole 781300 471700 Primus Telecomm Grp Inc COM 741929103 82 24800 SH Sole 24800 Professionals Grp Inc COM 742954100 1129 47050 SH Sole 47050 Progressive Corp COM 743315103 23515 242300 SH Sole 91200 151100 Raytheon Co Cl A COM 755111309 12410 425000 SH Sole 168900 256100 Renaissance Re Hldgs Ltd COM G7496G103 19666 280900 SH Sole 158700 122200 Ryder System Inc COM 783549108 8603 478200 SH Sole 235000 243200 Scottish Annuity & Life Hldgs COM G7885T104 1272 88500 SH Sole 88500 Sea Containers Cl. A COM 811371707 7103 388800 SH Sole 246900 141900 Sensormatic Electronics Corp COM 817265101 16821 885300 SH Sole 474100 411200 Sierra Health Svcs Inc COM 826322109 1827 400700 SH Sole 400700 Sierra Pacific Resources COM 826428104 5343 361000 SH Sole 251900 109100 Smedvig ASA ADR Cl B COM 83169H204 3368 401000 SH Sole 401000 Star Gas Partners LP Sr Subord COM 85512c204 1027 60417 SH Sole 10800 49617 Staten Island Bancorp Inc. COM 857550107 797 32000 SH Sole 32000 Stewart & Stevenson Svcs COM 860342104 2603 119700 SH Sole 119700 Suiza Foods Corp COM 865077101 7252 150800 SH Sole 78800 72000 Sunrise Assisted Living Inc COM 86768K106 10501 533400 SH Sole 368000 165400 Tate & Lyle Plc ADR COM 876570607 23018 1729800 SH Sole 772500 957300 Technip COM 4874160 6806 48800 SH Sole 48800 Tenet Healthcare Corp COM 88033G100 11092 252100 SH Sole 86400 165700 Terra Industries Inc COM 880915103 155 32700 SH Sole 32700 Tesoro Petroleum Corp COM 881609101 4138 332400 SH Sole 184800 147600 Thistle Group Hldgs Co COM 88431E103 1158 118000 SH Sole 118000 Tidewater Inc COM 886423102 13601 300900 SH Sole 109400 191500 Titan Intl Inc COM 88830M102 568 160100 SH Sole 160100 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 -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- Toys R Us Inc COM 892335100 4162 165800 SH Sole 37200 128600 Transocean Sedco Forex Inc COM G90078109 12422 286550 SH Sole 116300 170250 Tupperware Corp COM 899896104 21164 887000 SH Sole 480400 406600 Tyson Foods Inc Cl A COM 902494103 16831 1249500 SH Sole 492600 756900 U.S. Xpress Enterprises Inc Cl COM 90338N103 245 40000 SH Sole 40000 UCAR Intl Inc COM 90262K109 3530 304300 SH Sole 75900 228400 US Bancorp COM 902973304 464 20000 SH Sole 20000 USG Corp COM 903293405 17645 1154800 SH Sole 603100 551700 USX-U.S. Steel Grp COM 90337T101 9559 650700 SH Sole 358500 292200 Ultratech Stepper Inc COM 904034105 4625 187800 SH Sole 82100 105700 UniSource Energy Corp COM 909205106 3912 186300 SH Sole 75500 110800 Union Acceptance Corp Cl A COM 904832102 328 62400 SH Sole 62400 Uniroyal Technology Corp COM 909163107 262 35000 SH Sole 35000 United Wisconsin Svcs Inc COM 913238101 965 150800 SH Sole 150800 Unova Inc COM 91529B106 1826 610600 SH Sole 300600 310000 UnumProvident Corp COM 91529Y106 865 29600 SH Sole 4200 25400 VIA Net.Works Inc COM 925912107 671 255500 SH Sole 255500 Visteon Corp COM 92839U107 15205 1011000 SH Sole 442700 568300 Wabash National Corp COM 929566107 4093 399300 SH Sole 399300 Washington Federal Inc COM 938824109 30149 1227450 SH Sole 704790 522660 Washington Mutual Inc COM 939322103 1642 30000 SH Sole 30000 Wellman Inc COM 949702104 17107 888700 SH Sole 546200 342500 Werner Enterprises Inc COM 950755108 1772 103500 SH Sole 48500 55000 Westcorp Inc COM 957907108 16972 975414 SH Sole 443846 531568 Willbros Grp Inc COM 969199108 2017 176200 SH Sole 176200 York Intl Corp COM 986670107 11706 422900 SH Sole 224300 198600 Zenith Natl Insurance Corp COM 989390109 1133 48000 SH Sole 48000 Amer Real Estate Part LP Pfd U PRD 029169208 1254 188587 SH Sole 188587 Loral Space&Comm Cnv Pfd 6.0% CP 543885602 1365 105000 SH Sole 49400 55600 New ICO Global Comm Ltd WTS $ 44930E110 18569 SH Sole 2782 15787 REPORT SUMMARY 180 DATA RECORDS 1174234
Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: None --------- Form 13F Information Table Entry Total: 180 --------- Form 13F Information Table Value Total: $ 1174234 --------- (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.
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