SCHNEIDER CAPITAL MANAGEMENT LP
13F-HR, 2000-08-11
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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:  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]


<PAGE>

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:

<PAGE>
<TABLE>
<CAPTION>

                                                                                                             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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------    ----
<S>                             <C>     <C>          <C>     <C>      <C>   <C>    <C>         <C>        <C>       <C>      <C>
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

<PAGE>
<CAPTION>

                                                                                                             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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------   ----
<S>                             <C>     <C>          <C>     <C>      <C>   <C>    <C>         <C>        <C>       <C>     <C>
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-
<PAGE>
<CAPTION>

                                                                                                             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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------   ----
<S>                             <C>     <C>          <C>     <C>      <C>   <C>    <C>         <C>        <C>       <C>     <C>
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-
<PAGE>
<CAPTION>

                                                                                                             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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------   ----
<S>                             <C>     <C>          <C>     <C>      <C>   <C>    <C>         <C>        <C>       <C>     <C>
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-
<PAGE>
<CAPTION>

                                                                                                             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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------    ----
<S>                             <C>     <C>          <C>     <C>      <C>   <C>    <C>         <C>        <C>       <C>      <C>
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-
<PAGE>
<CAPTION>

                                                                                                             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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------    ----
<S>                             <C>     <C>          <C>     <C>      <C>   <C>    <C>         <C>        <C>       <C>      <C>
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
</TABLE>

                                                                -6-
<PAGE>
                              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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