SCHNEIDER CAPITAL MANAGEMENT LP
13F-HR, 2000-05-12
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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:  3/31/00

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:            Vice President
Phone:            (610) 687-8080

Signature, Place, and Date of Signing:

/s/Gary P. Soura                 Wayne, PA                     5/12/00
- -------------------------        --------------------          -------
[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.)


<PAGE>

[ ]  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    2512    77900    SH          Sole                     7800               70100
Ace Ltd Ord                       COM   G0070K103   23927  1046000    SH          Sole                   293800              752200
Aetna, Inc.                       COM   008117103   23377   421200    SH          Sole                   116000              305200
Air Products & Chemicals Inc.     COM   009158106    1959    68900    SH          Sole                    18900               50000
Airgas, Inc.                      COM   009363102    1902   228800    SH          Sole                   228800
Albany Int'l. Corp. Cl. A         COM   012348108    4695   316943    SH          Sole                    96362              220581
Alexander & Baldwin               COM   014482103    6033   292500    SH          Sole                    32500              260000
Amerco                            COM   023586100     415    22600    SH          Sole                    22600
American Re Part. Lp              COM   029169109    4174   506000    SH          Sole                    77800              428200
American Retirement Corp          COM   028913101     300    35000    SH          Sole                    35000
American Water Works              COM   030411102     831    35000    SH          Sole                                        35000
Americredit Corp.                 COM   03060r101    8168   500700    SH          Sole                   232500              268200
Arcadia Financial Ltd.            COM   039101100    1332   266400    SH          Sole                   166400              100000
Arch Chemical Inc                 COM   03937R102    3008   150400    SH          Sole                    50400              100000
Archer Daniels Midland            COM   039483102    3942   382300    SH          Sole                   158800              223500
Arrow Electronics, Inc.           COM   042735100   15651   444000    SH          Sole                   102800              341200
Asia Pulp & Paper-Sp Adr          COM   04516V100    7891  1070000    SH          Sole                                      1070000
Associates First                  COM   046008108     641    30000    SH          Sole                                        30000
Avado Brands Inc.                 COM   05336P108    1133   402800    SH          Sole                    80300              322500
BE Aerospace, Inc.                COM   073302101     689   117200    SH          Sole                                       117200
Baker J., Inc.                    COM   057232100    6490   927100    SH          Sole                   182400              744700
Bank Plus Corp.                   COM   064446107    1566   963917    SH          Sole                   236000              727917
Barry RG                          COM   068798107    2095   620800    SH          Sole                   147300              473500
Bay View Capital Corp             COM   07262L101    2868   382400    SH          Sole                   159800              222600
Billing Concepts Corp             COM   090063108     107    15200    SH          Sole                    15200
Birmingham Steel Corp             COM   091250100    3874   755900    SH          Sole                   198700              557200
Boardwalk Equities                COM   096613104    4834   509400    SH          Sole                   129400              380000
Brush Wellman Inc.                COM   117421107    3511   199200    SH          Sole                    61200              138000
Budget Group, Inc.                COM   119003101    1782   361000    SH          Sole                   101000              260000
CMS Energy Corp                   COM   125896100    3368   185800    SH          Sole                    93800               92000
CNH Global N.V.                   COM   N20935107   13669  1384200    SH          Sole                   515400              868800
Canadian Hotel Inc Prop-Tr Uni    COM   135928109    8019  1352225    SH          Sole                   244809             1107416



<PAGE>

                                                                                                             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

Catellus Dev. Corp.               COM   149111106    5757   414900    SH          Sole                    82500              332400
Cavalier Homes Inc.               COM   149507105     101    35000    SH          Sole                    35000
Champion Enterprises Inc.         COM   158496109    2562   445600    SH          Sole                    88500              357100
Chicago Bridge & Iron Co.         COM   N19808109     209    12500    SH          Sole                    12500
Chiquita Brands Int'l.            COM   170032106    2746   578200    SH          Sole                    68800              509400
Citizens Utilities Co. Class B    COM   177342201    2521   153935    SH          Sole                    11800              142135
Clayton Homes                     COM   184190106    7201   711200    SH          Sole                   261200              450000
Commonwealth Industries, Inc.     COM   203004106    3709   409300    SH          Sole                    78900              330400
Corn Products Intl Inc            COM   219023108    9478   393900    SH          Sole                   192600              201300
Coventry Health Care, Inc.        COM   222862104    4858   571500    SH          Sole                   224500              347000
DTE Energy Company                COM   233331107    6421   220000    SH          Sole                    50500              169500
Danielson Holding Corp.           COM   236274106    2689   421800    SH          Sole                                       421800
Delta Financial Corp              COM   247918105     146    73000    SH          Sole                    73000
EEX Corporation                   COM   26842V207     906   268439    SH          Sole                                       268439
Eastman Chemical Company          COM   277432100    2498    54900    SH          Sole                                        54900
Edison International              COM   281020107    1855   112000    SH          Sole                    72000               40000
El Paso Electric                  COM   283677854     276    26600    SH          Sole                                        26600
Emeritus Corp.                    COM   291005106     108    24700    SH          Sole                    24700
Exide Corp.                       COM   302051107    8571   725600    SH          Sole                   271600              454000
FPIC Insurance Group Inc.         COM   302563101     913    52200    SH          Sole                    52200
Finova Group Inc.                 COM   317928109     168    10000    SH          Sole                    10000
Fluor Corp                        COM   343861100    3525   113700    SH          Sole                    31700               82000
Foundation Health Systems-A       COM   350404109    6418   802300    SH          Sole                   322300              480000
Fremont General Corp.             COM   357288109    3833   601300    SH          Sole                   321300              280000
Fritz Companies Inc.              COM   358846103     520    51400    SH          Sole                    51400
Frontier Insurance Group Inc      COM   359081106      89    88900    SH          Sole                    88900
Gaylord Container A               COM   368145108   15742  2469400    SH          Sole                   309400             2160000
General Semiconductor, Inc.       COM   370787103   11961   693400    SH          Sole                   152100              541300
Genesis Health Ventures, Inc.     COM   371912106      93   135200    SH          Sole                                       135200
Glamis Gold Ltd.                  COM   376775102     199   106000    SH          Sole                   106000
Glatfelter (p.H.) Co.             COM   377316104     537    50500    SH          Sole                    50500
Global Telesystems Group          COM   37936U104     843    41100    SH          Sole                    10000               31100
Golden St Bancorp Inc Com         COM   381197102    4420   295900    SH          Sole                   113800              182100
Great Atlantic & Pacific          COM   390064103    3919   201000    SH          Sole                   115900               85100


<PAGE>

                                                                                                             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

Greenpoint Finl Corp Com          COM   395384100     294    15000    SH          Sole                    15000
Grey Wolf                         COM   397888108   10189  2587700    SH          Sole                  1267300             1320400
Gulf Canada Res. Ltd. Ord         COM   40218L305    3907  1059600    SH          Sole                    78700              980900
HCC Insurance Holdings Inc.       COM   404132102    7722   582800    SH          Sole                   196900              385900
Hawaii Land & Farming Co Inc      COM   41975n104      23    90500    SH          Sole                    90500
Homestake Mining                  COM   437614100    5408   901400    SH          Sole                   231400              670000
Hudson's Bay Co                   COM   444204101    5059   461200    SH          Sole                   181600              279600
Humana, Inc.                      COM   444859102    8780  1200700    SH          Sole                   377700              823000
ICO Global Communications         COM   G4705T109     205   257000    SH          Sole                    38500              218500
IMC Global, Inc.                  COM   449669100   11464   780500    SH          Sole                   262100              518400
Ikon Office Solutions, Inc.       COM   451713101    2219   358700    SH          Sole                   143700              215000
Imperial Sugar Co                 COM   453096109     192   109600    SH          Sole                   109600
International Multifoods Corp.    COM   460043102    5222   390400    SH          Sole                   123300              267100
Intertan, Inc.                    COM   461120107    5003   363821    SH          Sole                    81821              282000
Intl Paper Co Com                 COM   460146103    1154    27000    SH          Sole                    27000
Kirby Corp.                       COM   497266106    3604   182500    SH          Sole                    76400              106100
Legacy Hotels Reit 144a           COM   524919305    1948   339900    SH          Sole                                       339900
Legacy Hotels Reit Common         COM   524919107      74    13000    SH          Sole                    13000
Local Financial                   COM   539553107     789    92200    SH          Sole                                        92200
Loews Corp                        COM   540424108    4815    96300    SH          Sole                    36300               60000
Longview Fibre Co.                COM   543213102   11142   755400    SH          Sole                   171300              584100
Loral Space & Communications      COM   G56462107    2693   266000    SH          Sole                     6500              259500
M.A. Hanna Company                COM   410522106    2428   214600    SH          Sole                   214600
Magnetek, Inc.                    COM   559424106    2229   247700    SH          Sole                    12600              235100
Mercer Int'l., Inc.-Sbi           COM   588056101   11061  1382600    SH          Sole                   292500             1090100
Metal Management Inc              COM   591097100      44    20000    SH          Sole                    20000
Metromedia International Group    COM   591695101    5504   978458    SH          Sole                   421128              557330
Metso Corp. ADR                   COM   592671101    2877   213100    SH          Sole                   126200               86900
Micron Technology, Inc.           COM   595112103    3830    30400    SH          Sole                     5800               24600
NS Group, Inc.                    COM   628916108    4662   285800    SH          Sole                   221800               64000
Nabors Industries, Inc.           COM   629568106    8651   222900    SH          Sole                    50800              172100
National Data Corp                COM   635621105     616    23700    SH          Sole                    23700
National Steel Corp - Cl B        COM   637844309     147    20000    SH          Sole                    20000
Newhall Land & Farm Lp            COM   651426108    9314   329700    SH          Sole                    34000              295700



<PAGE>

                                                                                                             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

Newpark Resources, Inc.           COM   651718504    6889   861100    SH          Sole                   270700              590400
Niagara Mohawk Power              COM   653520106    8444   625500    SH          Sole                   180500              445000
Nordic American Tanker Shippin    COM   G65773106    2042   161707    SH          Sole                     1700              160007
Oakwood Homes                     COM   674098108    1873   491400    SH          Sole                   263100              228300
Olin Corp.                        COM   680665205     781    44000    SH          Sole                    20000               24000
Orbital Sciences Corp             COM   685564106   10258   683900    SH          Sole                   280700              403200
Overseas Shipholding              COM   690368105    1255    54700    SH          Sole                    54700
PG&E Corp                         COM   69331C108    7245   345000    SH          Sole                    95000              250000
PXRE Group Ltd                    COM   G73018106    1374    80800    SH          Sole                    80800
Pilgrims Pride Corp - Cl A        COM   721467207    1076   220700    SH          Sole                   220700
Policy Mgmt Sys Corp Com          COM   731108106    3965   330400    SH          Sole                   130400              200000
Potlatch Corp                     COM   737628107    1763    41000    SH          Sole                    41000
Prison Realty Trust-Reit          COM   74264N105     707   230800    SH          Sole                   113300              117500
Professionals Group Inc           COM   742954100     658    34050    SH          Sole                    34050
Quest Diagnostics, Inc.           COM   74834L100    2524    63500    SH          Sole                                        63500
R & B Falcon Corporation          COM   74912E101     709    36000    SH          Sole                     6000               30000
Rayonier, Inc.                    COM   754907103    7444   152700    SH          Sole                    52700              100000
Read-Rite Corp.                   COM   755246105      70    15000    SH          Sole                    15000
Renaissancere Holdings Ltd.       COM   G7496G103    8817   215700    SH          Sole                    88200              127500
Sante Fe Snyder Corp              COM   90329K105    1662   174900    SH          Sole                                       174900
Sea Containers Cl. A              COM   811371707    3892   175900    SH          Sole                    53000              122900
Sensormatic Electrs.              COM   817265101   12145   541300    SH          Sole                   142300              399000
Smedvig ASA ADR B                 COM   83169H204    1484   116400    SH          Sole                   116400
Smithfield Foods, Inc             COM   832248108    7498   374900    SH          Sole                   129900              245000
Smurfit-Stone Container Corp      COM   832727101    3166   186900    SH          Sole                    93400               93500
Sovereign Bancorp                 COM   845905108    4897   647500    SH          Sole                   192500              455000
St. Paul Companies                COM   792860108    1433    42000    SH          Sole                     2000               40000
Star Gas Partner L.P. Sr. Subo    COM   85512c204     923   205138    SH          Sole                    43821              161317
Suiza Foods Corp                  COM   865077101    5897   146500    SH          Sole                    58900               87600
Sunrise Assisted Living           COM   86768K106     445    33600    SH          Sole                    33600
Tate & Lyle Plc-Spons Adr         COM   876570607    9372   666800    SH          Sole                   213500              453300
Technip                           COM   4874160      1309    10700    SH          Sole                    10700
Tenet Healthcare Corporation      COM   88033G100    5315   228600    SH          Sole                    77200              151400
Tesoro Petroleum                  COM   881609101    3903   339400    SH          Sole                   139400              200000


<PAGE>

                                                                                                             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

The Finish Line                   COM   317923100     146    15000    SH          Sole                    15000
Titan Exploration Inc             COM   888289105    5312  1062500    SH          Sole                    54300             1008200
Titan International Inc           COM   88830M102     666    92700    SH          Sole                    92700
Toys R Us, Inc.                   COM   892335100    1037    70000    SH          Sole                                        70000
Triad Hospitals Inc               COM   89579K109    3978   237500    SH          Sole                    63000              174500
Trigon Healthcare, Inc.           COM   89618L100   10503   293800    SH          Sole                    62400              231400
Tupperware Corporation            COM   899896104   11723   741400    SH          Sole                   348900              392500
Tyson Foods, Inc. Class A         COM   902494103    6209   558100    SH          Sole                   195100              363000
U.S. Steel Group                  COM   90337T101    2375    95000    SH          Sole                    30000               65000
UCAR Int'l., Inc.                 COM   90262K109    5150   390500    SH          Sole                   116500              274000
Ultramar Diamond Shamrock         COM   904000106    1594    62800    SH          Sole                     2600               60200
Ultratech Stepper Inc             COM   904034105    6079   426600    SH          Sole                   162400              264200
Union Acceptance Corp Cl A        COM   904832102     211    49700    SH          Sole                    49700
Union Pacific Resources           COM   907834105    9299   641300    SH          Sole                   176300              465000
Unisource Energy Corp. Hldg. C    COM   909205106    6227   424000    SH          Sole                   147400              276600
United Wisconsin Services, Inc    COM   913238101     458    82400    SH          Sole                    82400
Unova Inc                         COM   91529B106    6373   472100    SH          Sole                   162100              310000
Valero Energy Corp.               COM   91913Y100   18133   590900    SH          Sole                   105600              485300
Venator Group Inc.                COM   922944103     175    19600    SH          Sole                     5000               14600
Vlasic Foods International        COM   928559103     263   110700    SH          Sole                   110700
Wellman Inc                       COM   949702104    4133   208600    SH          Sole                   116900               91700
Westcorp.                         COM   957907108    9577   684100    SH          Sole                   156100              528000
Western Gas Resources Inc         COM   958259103     365    23000    SH          Sole                    23000
Western Resources, Inc.           COM   959425109     791    50000    SH          Sole                                        50000
Willbros Group Inc.               COM   969199108      71    10000    SH          Sole                    10000
Wisconsin Central Transport       COM   976592105     490    40000    SH          Sole                    40000
York International Corp New       COM   986670107   11145   476800    SH          Sole                   176800              300000
American Re Partners Pfd. Unit    PRD   029169208    1291   179607    SH          Sole                                       179607
Loral Space&Comm CNV PFD 6.0%      CP   543885602    4599   130000    SH          Sole                    61200               68800
</TABLE>



<PAGE>

                              Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:          None
                                         ----------------

Form 13F Information Table Entry Total:              163
                                            ------------

Form 13F Information Table Value Total:     $    683,432
                                            ------------
                                             (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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