13F-HR 1 scm13f9-01.txt 9-01 13F Form 13F COVER PAGE Report for the Calendar Year or Quarter Ended: September 30, 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 September 30, 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 30-Sep-01 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 -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- ANC Rental Corp COM 001813104 172 330,500 SH Sole 330,500 AON Corp COM 037389103 14,461 344,300 SH Sole 167,000 177,300 ASM Pacific Technology COM KYG0535Q1 868 748,000 SH Sole 748,000 Ace Ltd COM G0070K103 47,455 1,643,750 SH Sole 794,250 849,500 Advanced Digital Info Corp COM 007525108 103 10,000 SH Sole 10,000 Advanced Semiconductor E- ADR COM 00756m404 326 141,925 SH Sole 57,035 84,890 Aetna Inc COM 00817Y108 70,133 2,427,600 SH Sole 1,202,800 1,224,800 Airgas Inc COM 009363102 11,207 844,500 SH Sole 527,300 317,200 Albany Intl Corp Cl A COM 012348108 3,037 202,983 SH Sole 35,402 167,581 Alcan Inc COM 013716105 48,018 1,600,600 SH Sole 790,400 810,200 Alexander & Baldwin Inc COM 014482103 10,937 467,200 SH Sole 227,200 240,000 Allegiance telecom Inc COM 01747T102 3,307 1,098,800 SH Sole 705,800 393,000 Alliance Pharmaceutical Cp COM 018773101 9 10,000 SH Sole 10,000 Alliance Semiconductor Corp COM 01877h100 5,377 748,900 SH Sole 373,500 375,400 Allstate Corp. COM 020002101 4,650 124,500 SH Sole 124,500 Amer Real Estate Part LP COM 029169109 5,208 585,200 SH Sole 259,500 325,700 American Financial Group COM 025932104 26,518 1,194,500 SH Sole 705,000 489,500 American Retirement Corp COM 028913101 1,685 468,000 SH Sole 468,000 Americredit Corp COM 03060R101 421 13,300 SH Sole 6,000 7,300 Amkor Technolog Inc COM 031652100 10,008 951,300 SH Sole 399,300 552,000 Amr Corp Com COM 001765106 1,531 80,000 SH Sole 80,000 Angelica Corp COM 034663104 1,590 167,400 SH Sole 167,400 Archer-Daniels- Midland Co COM 039483102 37,436 2,973,495 SH Sole 1,506,545 1,466,950 ArvinMeritor Inc COM 043353101 7,429 519,900 SH Sole 310,700 209,200 Atchison Casting Corp COM 046613105 589 195,800 SH Sole 195,800 Atwood Oceanics Inc COM 050095108 10,213 392,800 SH Sole 220,700 172,100 Avista Corp COM 05379B107 4,299 316,100 SH Sole 166,900 149,200 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 -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- BE Semiconductor Inds-NY Shs COM 073320103 2,276 363,500 SH Sole 363,500 Bancfirst Ohio Corp COM 059450106 352 16,100 SH Sole 16,100 Bank Plus Corp COM 064446107 4,624 675,017 SH Sole 434,400 240,617 BankAtlantic Bancorp COM 065908501 994 98,400 SH Sole 98,400 Barry (R.G.) Corp COM 068798107 3,248 803,900 SH Sole 583,100 220,800 Birmingham Steel Corp COM 091250100 1,046 1,045,600 SH Sole 522,000 523,600 Boardwalk Equities Inc COM 096613104 4,983 635,600 SH Sole 635,600 Boardwalk Equities Inc (US) COM 096613104 1,837 235,500 SH Sole 30,000 205,500 Boeing Co COM 097023105 1,340 40,000 SH Sole 40,000 Brightpoint Inc COM 109473108 994 320,700 SH Sole 320,700 Brush Engineered Materials Inc COM 117421107 4,938 359,100 SH Sole 229,600 129,500 Bunge Ltd COM g16962105 1,756 103,300 SH Sole 103,300 CNA Financial Corp COM 126117100 4,800 177,500 SH Sole 177,500 CNH Global N.V. COM N20935107 8,185 1,418,500 SH Sole 628,100 790,400 CSX Corp COM 126408103 30,451 966,700 SH Sole 464,700 502,000 Camco Financial Corp COM 132618109 406 33,000 SH Sole 33,000 Canadian Hotel Income Prop REI COM 135928109 3,919 793,225 SH Sole 793,225 Casual Male Corp COM 148710106 28 345,800 SH Sole 345,800 Celanese AG COM D1497A101 1,736 112,000 SH Sole 79,800 32,200 Century Aluminum Co COM 156431108 2,908 363,000 SH Sole 363,000 Champion Enterprises Inc COM 158496109 6,192 890,900 SH Sole 890,900 Chippac Inc COM 169657103 46 20,000 SH Sole 20,000 Circuit City Stores Inc-CC Grp COM 172737108 3,180 265,000 SH Sole 125,900 139,100 Clayton Homes Inc COM 184190106 23,295 1,909,400 SH Sole 1,075,500 833,900 Cleveland-Cliffs Inc COM 185896107 1,488 103,300 SH Sole 103,300 Coachmen Industries Inc COM 189873102 180 20,000 SH Sole 20,000 Cobalt Corp COM 19074W100 1,240 243,200 SH Sole 243,200 Commercial Metals Co COM 201723103 2,113 76,000 SH Sole 76,000 Commonwealth Industries Inc COM 203004106 700 165,100 SH Sole 17,500 147,600 Corn Products Intl Inc COM 219023108 33,419 1,163,200 SH Sole 695,900 467,300 Covenant Transport Inc Cl A COM 22284P105 2,871 305,400 SH Sole 305,400 DTE Energy Co COM 233331107 13,212 306,900 SH Sole 159,100 147,800 Danielson Holding Corp COM 236274106 1,623 435,200 SH Sole 435,200 Delta Air Lines Inc COM 247361108 3,949 150,000 SH Sole 39,400 110,600 Diamond Offshore Drilling Inc COM 25271C102 3,904 154,800 SH Sole 92,400 62,400 Exide Corp COM 302051107 3,718 988,700 SH Sole 561,100 427,600 FPIC Insurance Grp Inc COM 302563101 6,214 526,600 SH Sole 526,600 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 -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- Fairfax Financial Hldgs LTD COM 303901102 17,366 135,600 SH Sole 135,600 Finish Line Inc Cl A COM 317923100 2,222 204,800 SH Sole 204,800 Flushing Financial Corp COM 343873105 570 35,400 SH Sole 35,400 Gainsco Inc COM 363127101 398 284,400 SH Sole 284,400 Gaylord Container Corp Cl A COM 368145108 1,764 1,356,800 SH Sole 425,400 931,400 Georgia Gulf Corp COM 373200203 7,966 495,700 SH Sole 304,100 191,600 Glatfelter (P.H.) Co COM 377316104 6,158 402,200 SH Sole 369,800 32,400 Golden St Bancorp Inc COM 381197102 19,185 631,100 SH Sole 209,400 421,700 Great Atlantic & Pacific Tea C COM 390064103 2,219 155,100 SH Sole 61,800 93,300 HCC Insurance Hldgs Inc COM 404132102 28,996 1,102,500 SH Sole 618,900 483,600 Hawthorne Finl Corp COM 420542102 941 49,000 SH Sole 49,000 Humana Inc COM 444859102 13,658 1,132,500 SH Sole 430,400 702,100 Hynix Semiconductor, Inc 144A COM 449130202 1,032 295,000 SH Sole 295,000 IMC Global Inc COM 449669100 19,601 2,177,900 SH Sole 1,191,600 986,300 Ingram Micro Inc Cl A COM 457153104 7,233 560,700 SH Sole 249,500 311,200 Interface Inc Cl A COM 458665106 1,326 308,400 SH Sole 308,400 International Multifoods Corp COM 460043102 10,421 545,600 SH Sole 309,400 236,200 Intertan Inc COM 461120107 733 93,421 SH Sole 44,321 49,100 J.C. Penney Co COM 708160106 32,668 1,491,700 SH Sole 745,300 746,400 Kirby Corp COM 497266106 5,850 260,000 SH Sole 151,400 108,600 Kulicke & Soffa Inds COM 501242101 13,192 1,210,300 SH Sole 686,000 524,300 Large Scale Biology Corp COM 517053104 37 10,000 SH Sole 10,000 Lesco Inc COM 526872106 1,176 120,600 SH Sole 120,600 Loews Corp COM 540424108 16,429 355,000 SH Sole 179,600 175,400 Longview Fibre Co COM 543213102 425 42,100 SH Sole 6,700 35,400 Loral Space & Comm Ltd COM G56462107 595 458,000 SH Sole 237,500 220,500 Louisiana-Pacific Corp COM 546347105 2,342 360,300 SH Sole 304,500 55,800 MCI Worldcom Inc COM 98157D106 6,986 464,500 SH Sole 464,500 MIIX Grp COM 59862V104 3,193 292,915 SH Sole 292,915 MSC Software Corp COM 553531104 2,388 148,300 SH Sole 148,300 Medowbrook Insurance Grp Inc COM 58319P108 235 107,000 SH Sole 107,000 Mercer Intl Inc-Sbi COM 588056101 2,701 357,700 SH Sole 168,800 188,900 Metals USA Inc COM 591324108 413 284,800 SH Sole 284,800 Metromedia Intl Grp COM 591695101 3,325 2,770,458 SH Sole 1,752,828 1,017,630 Micron Technology Inc COM 595112103 16,164 858,400 SH Sole 494,500 363,900 Millennium Chemicals Inc COM 599903101 944 90,000 SH Sole 39,900 50,100 Mississippi Chemical Corp COM 605288208 829 301,300 SH Sole 301,300 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 -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- Moore Corp Ltd COM 615785102 2,457 317,500 SH Sole 317,500 Mutual Risk Mgmt Ltd COM 628351108 2,838 373,400 SH Sole 221,100 152,300 Nabors Industries, Inc. COM 629568106 1,793 85,500 SH Sole 37,600 47,900 Navigators Grp Inc COM 638904102 596 34,000 SH Sole 34,000 Navistar Intl Corp New Com COM 63934E108 282 10,000 SH Sole 10,000 Newhall Land & Farming LP Co COM 651426108 11,731 413,800 SH Sole 203,500 210,300 Niagara Mohawk Power Hldgs Inc COM 653520106 13,588 800,700 SH Sole 222,000 578,700 NuCor Corp COM 670346105 9,663 243,400 SH Sole 126,600 116,800 Odyssey Re Holdings Corp COM 67612w108 4,815 349,200 SH Sole 251,200 98,000 Office Depot Inc COM 676220106 12,842 944,300 SH Sole 517,000 427,300 Olin Corp COM 680665205 3,280 223,100 SH Sole 140,000 83,100 Orbital Sciences Corp COM 685564106 4,808 2,642,000 SH Sole 1,766,500 875,500 PG&E Corp COM 69331C108 26,481 1,742,200 SH Sole 911,700 830,500 PXRE Grp Ltd COM G73018106 3,118 265,400 SH Sole 265,400 Paccar Inc COM 693718108 20,678 421,400 SH Sole 221,200 200,200 Pacificare Health Systems Inc COM 695112102 4,653 369,600 SH Sole 369,600 PartnerRe Ltd COM G6852T105 30,248 642,200 SH Sole 272,300 369,900 Peoples Bancorp Inc COM 709789101 319 15,750 SH Sole 15,750 Petsmart Inc COM 716768106 677 96,200 SH Sole 96,200 Pilgrims Pride Corp Cl A COM 721467207 4,780 492,800 SH Sole 492,800 PolyOne Corp COM 73179P106 10,463 1,341,400 SH Sole 822,400 519,000 Renaissance Re Hldgs Ltd COM G7496G103 15,275 171,800 SH Sole 83,500 88,300 Ryder System Inc COM 783549108 11,890 594,800 SH Sole 335,800 259,000 Scottish Annuity & Life Hldgs COM G7885T104 1,839 121,400 SH Sole 121,400 Sea Containers Cl A COM 811371707 3,339 368,900 SH Sole 229,500 139,400 Sierra Pacific Resources COM 826428104 6,771 448,400 SH Sole 300,300 148,100 Smedvig ASA ADR Cl B COM 83169H204 2,066 330,600 SH Sole 330,600 Starwood Hotels & Resorts Worl COM 85590A203 7,044 320,200 SH Sole 160,600 159,600 Stolt-Nielsen S.A.ADR COM 861565109 10,175 794,900 SH Sole 423,100 371,800 Suiza Foods Corp COM 865077101 821 13,000 SH Sole 7,400 5,600 Sunrise Assisted Living Inc COM 86768K106 16,356 633,200 SH Sole 422,800 210,400 Swift Transportation Co Inc COM 870756103 14,935 843,800 SH Sole 453,200 390,600 Talk.com Inc. COM 874264104 40 90,000 SH Sole 90,000 Tate & Lyle Plc ADR COM 876570607 34,044 2,250,100 SH Sole 1,216,400 1,033,700 Technip COM 4874160 1,959 16,400 SH Sole 16,400 Teradyne COM 880770102 1,560 80,000 SH Sole 80,000 Terra Industries Inc COM 880915103 97 32,600 SH Sole 32,600 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 -------------- -------- ----- -------- ------- --- ---- ------- -------- ---- ------ ---- Texas Industries Inc COM 882491103 1,081 35,000 SH Sole 35,000 Thistle Group Hldgs Co COM 88431E103 976 107,300 SH Sole 107,300 Tidewater Inc COM 886423102 13,115 491,400 SH Sole 226,900 264,500 Toys R Us Inc COM 892335100 12,945 751,300 SH Sole 387,000 364,300 Transocean Sedco Forex Inc COM G90078109 6,422 243,250 SH Sole 115,550 127,700 Trenwick Group LTD COM G9032C109 1,218 150,000 SH Sole 150,000 Triarc Companies COM 895927101 806 34,900 SH Sole 34,900 Trico Marine Services Inc. COM 896106101 445 75,100 SH Sole 75,100 Tupperware Corp COM 899896104 17,388 872,000 SH Sole 485,000 387,000 U.S. Xpress Enterprises Inc Cl COM 90338N103 564 103,500 SH Sole 103,500 UCAR Intl Inc COM 90262K109 3,750 421,300 SH Sole 238,200 183,100 USG Corp COM 903293405 804 215,600 SH Sole 96,400 119,200 USX-U.S. Steel Grp COM 90337T101 10,998 786,700 SH Sole 423,000 363,700 Ultra Petroleum Corp COM 903914109 40 10,000 SH Sole 10,000 Ultratech Stepper Inc COM 904034105 6,202 518,100 SH Sole 291,100 227,000 Union Acceptance Corp Cl A COM 904832102 926 154,300 SH Sole 154,300 Uniroyal Technology Corp COM 909163107 86 27,500 SH Sole 27,500 UnitedGlobal Inc Cl-A COM 913247508 589 253,800 SH Sole 253,800 Unova Inc COM 91529B106 1,133 254,600 SH Sole 93,400 161,200 VIA Net.Works Inc COM 925912107 493 547,400 SH Sole 547,400 Vail Banks Inc COM 918779109 545 50,000 SH Sole 50,000 Visteon Corp COM 92839U107 31,403 2,463,000 SH Sole 1,408,000 1,055,000 Wabash National Corp COM 929566107 5,027 728,500 SH Sole 728,500 Washington Federal Inc COM 938824109 35,227 1,406,250 SH Sole 826,590 579,660 Washington Mutual Inc COM 939322103 4,954 128,750 SH Sole 128,750 Wellman Inc COM 949702104 13,495 1,168,400 SH Sole 659,000 509,400 Werner Enterprises Inc COM 950755108 8,261 494,100 SH Sole 315,900 178,200 Westcorp Inc COM 957907108 19,034 1,109,846 SH Sole 589,545 520,301 Willbros Grp Inc COM 969199108 3,584 265,100 SH Sole 265,100 WorldCom Inc-MCI Grp COM 98157D304 6,916 454,100 SH Sole 166,400 287,700 York Intl Corp COM 986670107 12,845 448,500 SH Sole 250,300 198,200 Zenith Natl Insurance Corp COM 989390109 706 28,700 SH Sole 28,700 Amer Real Estate Part LP Pfd U PRD 029169208 1,348 188,587 SH Sole 188,587 New ICO Global Comm Ltd WTS $ 44930E110 4 18,569 SH Sole 2,782 15,787
Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: None --------- Form 13F Information Table Entry Total: 172 DATA RECORDS --------- Form 13F Information Table Value Total: $1,288,484 --------- (thousands) 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. List of Other Included Managers: None