FRASER MANAGEMENT ASSOCIATES INC
13F-HR/A, 2000-10-17
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                    UNITED STATES
          SECURITIES AND EXCHANGE COMMISSION
               Washington, D.C. 20549

                    Form 13F

               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 29, 2000

Check here if Amendment [ ]; Amendment Number: 1
This Amendment (Check only one.):  [x] is a restatement.
                               [ ] adds new holdings entries.


Institutional Investment Manager Filing this Report:

Name:     Fraser Management Associates
Address:  309 South Willard Street
          Burlington VT 05401


Form 13F File Number: 28-5216

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: James L. Fraser
Title: President
Phone: 802-658-0322

Signature, Place, and Date of Signing:

 James L. Fraser              Burlington, VT           October 17, 2000

[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).)

<PAGE>


                    Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: 0

Form 13F Information Table Entry Total:108

Form 13F Information Table Value Total: $147179
                                   (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.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

NONE

<PAGE>

<TABLE>                          <C>                                            <C>

NAME OF ISSUER                   TITLE OF                VALUE     SHARES/ SH   PUT/ INVSTMT  OTHER    VOTING AUTHORITY
                                 CLASS         CUSIP     (X$1000)  PRN AMT PRN  CALL DSCRETN  MNGRS    SOLE     SH
NONE

GENERAL ELECTRIC                 COM           369604103      16943  293069SH        SOLE                 293069
INTERMAGNETICS GENERAL           COM           458771102       8304  311895SH        SOLE                 311895
EXXON-MOBIL                      COM           302290101      11283  126639SH        SOLE                 126639
EVERCEL                          COM           299759100       4873  227328SH        SOLE                 227328
UTILICORP                        COM           918005109       4437  171357SH        SOLE                 171357
FLOW INTERNATIONAL               COM           343468104       4318  397100SH        SOLE                 397100
AMERON INTERNATIONAL             COM           030710107       3565   97010SH        SOLE                  97010
FORD MOTOR                       COM           345370860       3436  134730SH        SOLE                 134730
PNC FINANCIAL SERVICES GROUP     COM           693475105       3292   50650SH        SOLE                  50650
VERIZON COMMUNICATIONS           COM           077853109       3028   62510SH        SOLE                  62510
XCEL ENERGY                      COM           98389B100       2955  107404SH        SOLE                 107404
PALL                             COM           696429307       2835  142180SH        SOLE                 142180
ULTRALIFE BATTERIES              COM           903899102       2569  255300SH        SOLE                 255300
BANK OF AMERICA                  COM           060505104       2466   47075SH        SOLE                  47075
NCR                              COM           6288GE108       2403   63750SH        SOLE                  63750
PLUM CREEK TIMBER                COM           729237107       2297  102932SH        SOLE                 102932
GREEN MOUNTAIN COFFEE            COM           393122106       2257  119600SH        SOLE                 119600
HONEYWELL INTERNATIONAL          COM           438516106       1883   52850SH        SOLE                  52850
FEDEX                            COM           31428X106       1789   40350SH        SOLE                  40350
UNISYS                           COM           909214108       1704  151481SH        SOLE                 151481
GENERAL MILLS                    COM           370334104       1704   48000SH        SOLE                  48000
AT&T                             COM           001957109       1646   56050SH        SOLE                  56050
HEALTH CARE REIT                 COM           42217K106       1624   91494SH        SOLE                  91494
DOLE FOOD                        COM           256605106       1594  106284SH        SOLE                 106284
NORTHWEST PIPE                   COM           667746101       1552  137925SH        SOLE                 137925
EARTHGRAINS                      COM           270319106       1543   83700SH        SOLE                  83700
FREQUENCY ELECTRONICS            COM           358010106       1482   64600SH        SOLE                  64600
DELUXE                           COM           248019101       1448   71300SH        SOLE                  71300
SBC COMMUNICATIONS               COM           78387G103       1447   29007SH        SOLE                  29007
HEALTHSOUTH                      COM           421924101       1430  177353SH        SOLE                 177353
VISTEON                          COM           92839U107       1404   92825SH        SOLE                  92825
CORNING                          COM           219350105       1371    4600SH        SOLE                   4600
STRUCTURAL DYNAMICS RESEARCH     COM           863555108       1368   83547SH        SOLE                  83547
BLUEGREEN                        COM           703365106       1358  472306SH        SOLE                 472306
BLUEGREEN C.V. 8.25 DUE 5/12/12  BOND          703365AB2       1352 2002800PRN       SOLE                      0
FEDERAL HOME LOAN MORTGAGE       COM           313400301       1249   23100SH        SOLE                  23100
BP AMOCO ADR                     ADR           055622104       1226   23140SH        SOLE                  23140
LAYNE CHRISTENSEN                COM           521050104       1212  303100SH        SOLE                 303100
CHEMED                           COM           163596109       1201   37753SH        SOLE                  37753
WASTE CONNECTIONS                COM           941053100       1191   46480SH        SOLE                  46480
NOVELL                           COM           670006105       1181  118800SH        SOLE                 118800
CARPENTER TECHNOLOGY             COM           144285103       1179   40483SH        SOLE                  40483
HSB GROUP                        COM           40428N109       1170   29155SH        SOLE                  29155
WOLVERINE WORLD WIDE             COM           978097103       1092  117275SH        SOLE                 117275
DUPONT, E.I.                     COM           263534109       1065   26062SH        SOLE                  26062
KMART CV PFD T                   PFD           498778208        998   32050SH        SOLE                  32050
CMS ENERGY                       COM           125896100        990   36724SH        SOLE                  36724
NETWORK ASSOCIATES               COM           640938106        939   41500SH        SOLE                  41500
IMPERIAL OIL                     COM           453038408        920   35300SH        SOLE                  35300
HOST MARRIOTT                    COM           441078102        914   81200SH        SOLE                  81200
TEXACO                           COM           881694103        893   17000SH        SOLE                  17000
ORBITAL SCIENCES                 COM           685564106        886  105784SH        SOLE                 105784
EASTMAN KODAK                    COM           277461109        878   21474SH        SOLE                  21474
DEVON ENERGY                     COM           251791410        818   13603SH        SOLE                  13603
PFIZER                           COM           717081103        899   20012SH        SOLE                  20012
PROCTER & GAMBLE                 COM           742718109        791   11800SH        SOLE                  11800
BRISTOL MYERS SQUIBB             COM           110122108        736   12800SH        SOLE                  12800
IBM                              COM           459200101        709    6294SH        SOLE                   6294
ANDREA ELECTRONICS               COM           034393108        701   91600SH        SOLE                  91600
INCO LTD CV 7.75% DUE 3/15/16    BOND          453258AH8        695  755000PRN       SOLE                      0
FLUOR                            COM           343861100        686   22850SH        SOLE                  22850
REGIONS FINANCIAL                COM           758940100        679   29936SH        SOLE                  29936
REPSOL YPF ADS                   ADR           76026T205        677   36958SH        SOLE                  36958
XEROX                            COM           984121103        675   45000SH        SOLE                  45000
MCDERMOTT INTERNATIONAL          COM           580037109        670   60900SH        SOLE                  60900
NAVIGANT CONSULTING              COM           63935N107        640  186200SH        SOLE                 186200
CHEVRON                          COM           166751107        631    7400SH        SOLE                   7400
MORGAN STANLEY DEAN WITTER       COM           617446448        594    6500SH        SOLE                   6500
DOMINION RESOURCES               COM           25746U109        586   10084SH        SOLE                  10084
JOHNSON & JOHNSON                COM           478160104        571    6080SH        SOLE                   6080
TRANSCANADA PIPELINES            COM           893526103        461   49500SH        SOLE                  49500
DE BEERS CONS MNS ADR            ADR           240253302        446   16100SH        SOLE                  16100
MERCK                            COM           589331107        423    5686SH        SOLE                   5686
TIMKEN                           COM           887389104        390   28506SH        SOLE                  28506
KENT ELECT CV 4.5% DUE 9-1-04    BOND          490553AA2        389  449540PRN       SOLE                      0
PHILIP MORRIS                    COM           718154107        353   12000SH        SOLE                  12000
ADAPTEC                          COM           00651F108        351   17550SH        SOLE                  17550
IDX SYSTEMS                      COM           449491109        326   20225SH        SOLE                  20225
AMERICAN HOME PRODUCTS           COM           026609107        316    5600SH        SOLE                   5600
PHELPS DODGE                     COM           717265102        313    7487SH        SOLE                   7487
INCO                             COM           453258402        312   19350SH        SOLE                  19350
ROYAL DUTCH PETROLEUM ADR        ADR           780257705        300    5000SH        SOLE                   5000
NANOGEN                          COM           630075109        299   15450SH        SOLE                  15450
BIOPURE CORP                     COM           09065H105        291   16100SH        SOLE                  16100
ALLSTATE                         COM           020002101        278    8000SH        SOLE                   8000
AMGEN                            COM           031162100        265    3800SH        SOLE                   3800
CUMMINS ENGINE                   COM           231021106        240    8000SH        SOLE                   8000
EASTMAN CHEMICAL                 COM           277432100        227    6133SH        SOLE                   6133
AXENT TECHNOLOGIES               COM           05459C108        224   10400SH        SOLE                  10400
CAREMARK RX                      COM           141705103        158   14000SH        SOLE                  14000
WASHINGTON GROUP INTERNATION     COM           938862109        137   12000SH        SOLE                  12000
COMPUTER TASK GRP                COM           205477102        104   33200SH        SOLE                  33200
MASCOTECH CV 4,5% DUE 12-15-03   BOND          574670AB1         95  140000PRN       SOLE                      0
ABC-NACO                         COM           000752105         79   15000SH        SOLE                  15000
DECKERS OUTDOOR                  COM           243537107         58   10600SH        SOLE                  10600
ROTARY POWER INTL                COM           77866R101         56  105300SH        SOLE                 105300
VERMONT PURE HOLDINGS            COM            924234107        40   12000SH        SOLE                  12000
KAMAN CORP CV 6% DUE 3-15-12     BOND          483548AC7         37   43000PRN       SOLE                      0
SANTA CRUZ OPERATION             COM           801833104         36   12100SH        SOLE                  12100
APPLIX                           COM           038316105         32   10300SH        SOLE                  10300
THERMO INSTR C.V. 4% DUE 1-15-05 BOND          883559AE6         30   35000PRN       SOLE                      0
ERGOMEDICS                       COM                             30   29668SH        SOLE                  29668
READ-RITE C.V. 6.5% DUE 9-01-04  BOND          755246AA3         28   50000PRN       SOLE                      0
PARKER DRILLING CV 5.5% DUE 8-1-0BOND          701081AD3         21   25000PRN       SOLE                      0
PRISON REALTY                    COM           74264N105         16   12000SH        SOLE                  12000
AMERICAN GROUP                   COM           026388207          3   40000SH        SOLE                  40000
HYDRO FUSER IND                  COM           448873109          0   10000SH        SOLE                  10000
COMM BANK OF SO FLORIDA          COM                            120   12039SH        SOLE                  12039
</TABLE>


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