SCHNEIDER CAPITAL MANAGEMENT LP
13F-HR, 2000-11-13
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                               Form 13F COVER PAGE


Report for the Calendar Year or Quarter Ended:  9/30/00

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                    10/30/00
---------------------------        ----------------             --------
[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.)

[ ]  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      4761    121300 SH           Sole                     27400             93900
Ace Ltd Ord                     COM     G0070K103     40055   1020500 SH           Sole                    392100            628400
Aetna, Inc.                     COM     008117103     36806    633900 SH           Sole                    230300            403600
Airgas, Inc.                    COM     009363102      2416    354600 SH           Sole                    354600
Albany Int'l. Corp. Cl. A       COM     012348108      3777    314783 SH           Sole                     94802            219981
Alexander & Baldwin             COM     014482103      8180    314600 SH           Sole                     64600            250000
American Financial Group        COM     025932104      8927    385000 SH           Sole                    204000            181000
American Re Part. Lp            COM     029169109      4614    509100 SH           Sole                     80900            428200
American Retirement Corp        COM     028913101      1011    201800 SH           Sole                    201800
Americredit Corp.               COM     03060r101     13251    459900 SH           Sole                    194800            265100
Angelica Corp                   COM     034663104       569     58700 SH           Sole                     58700
Archer Daniels Midland          COM     039483102     16111   1868000 SH           Sole                    653905           1214095
Arrow Electronics, Inc.         COM     042735100      3015     88500 SH           Sole                     23600             64900
Asia Pulp & Paper-Sp Adr        COM     04516V100      1205    688600 SH           Sole                     36100            652500
Associates First Capital - RVO  COM     046008207         7    241200 SH           Sole                    141200            100000
Astoria Financial Corp          COM     046265104       328      8500 SH           Sole                      8500
At&t Corp.                      COM     001957109       294     10000 SH           Sole                     10000
Avista Corp                     COM     05379B107      1906     84700 SH           Sole                     84700
BE Aerospace, Inc.              COM     073302101      1245     77200 SH           Sole                     10000             67200
Baker J., Inc.                  COM     057232100      5237   1163800 SH           Sole                    409100            754700
Bank Plus Corp.                 COM     064446107      4907   1246117 SH           Sole                    518200            727917
Bankunited Financial Corp A     COM     06652B103       158     21400 SH           Sole                     21400
Barry RG                        COM     068798107      2510    836600 SH           Sole                    361500            475100
Bay View Capital Corp           COM     07262L101      8517    792300 SH           Sole                    489700            302600
Billing Concepts Corp           COM     090063108       127     39800 SH           Sole                     39800
Birmingham Steel Corp           COM     091250100      2233    830700 SH           Sole                    273500            557200
Boardwalk Equities              COM     096613104      5034    630800 SH           Sole                    548000             82800
Boeing Co.                      COM     097023105       806     12800 SH           Sole                     12800
Brush Wellman Inc.              COM     117421107      4803    222100 SH           Sole                     96700            125400

<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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------    ----
Budget Group, Inc.              COM     119003101      2286    590000 SH           Sole                    330000            260000
Burlington Industries, Inc.     COM     121693105       320    256400 SH           Sole                    256400
CMS Energy Corp                 COM     125896100     10656    395600 SH           Sole                    153100            242500
CNA Financial Corp              COM     126117100      3152     82400 SH           Sole                      7400             75000
CNH Global N.V.                 COM     N20935107     17905   1790500 SH           Sole                    881700            908800
CSX Corporation                 COM     126408103     13131    602000 SH           Sole                    236200            365800
Cal Dive International Inc.     COM     127914109       286      5000 SH           Sole                      5000
Canadian Hotel Inc Prop-Tr Uni  COM     135928109      8653   1369125 SH           Sole                   1114809            254316
Catellus Dev. Corp.             COM     149111106      8144    465400 SH           Sole                    133000            332400
Champion Enterprises Inc.       COM     158496109      2604    612800 SH           Sole                    255700            357100
Chiquita Brands Int'l.          COM     170032106      1435    459200 SH           Sole                     41500            417700
Cincinnati Financial Corp.      COM     172062101      2879     81100 SH           Sole                     10000             71100
Circuit City Stores-Circuit     COM     172737108       580     25200 SH           Sole                     12500             12700
Clayton Homes                   COM     184190106     11625   1162500 SH           Sole                    712500            450000
Commonwealth Industries, Inc.   COM     203004106      1936    348100 SH           Sole                     37600            310500
Compuware Corp                  COM     205638109       628     75000 SH           Sole                     17300             57700
Corn Products Intl Inc          COM     219023108     15543    683200 SH           Sole                    402700            280500
Coventry Health Care, Inc.      COM     222862104      6380    421800 SH           Sole                    136900            284900
Cracker Barrel Ctry St Com      COM     224100107       316     22000 SH           Sole                     22000
Cybercash                       COM     232462101        65     20000 SH           Sole                     20000
DTE Energy Company              COM     233331107     11639    304300 SH           Sole                    114800            189500
Danielson Holding Corp.         COM     236274106      1699    411800 SH           Sole                                      411800
Dean Foods Co.                  COM     242361103      3258     98000 SH           Sole                     43700             54300
Diamond Offshore Drilling       COM     25271C102      1230     30000 SH           Sole                     10000             20000
Dime Bancorp Inc New Com        COM     25429Q102      1057     49000 SH           Sole                     33700             15300
E.W. Blanch Holdings Inc.       COM     093210102      3227    155500 SH           Sole                    155500
Eastman Chemical Company        COM     277432100      2032     55000 SH           Sole                     35000             20000
Exide Corp.                     COM     302051107      8819    973100 SH           Sole                    519100            454000
FPIC Insurance Group Inc.       COM     302563101      4032    288000 SH           Sole                    288000


                                                                 -2-
<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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------    ----
Fairfax Financial Hldgs LTD     COM     303901102      2316     18500 SH           Sole                     15300              3200
First American Corporation      COM     318522307       403     19300 SH           Sole                     19300
FirstFed Financial Corp         COM     337907109      2369    103000 SH           Sole                    103000
Fluor Corp                      COM     343861100     12300    410000 SH           Sole                    136700            273300
Flushing Financial Corp         COM     343873105       238     15000 SH           Sole                     15000
Foundation Health Systems-A     COM     350404109     13353    803200 SH           Sole                    338200            465000
Fremont General Corp.           COM     357288109      1280    372500 SH           Sole                    162600            209900
Friede Goldman Halter Inc.      COM     358430106      1886    267100 SH           Sole                    267100
Fritz Companies Inc.            COM     358846103      1421    118400 SH           Sole                    118400
Frontier Insurance Group Inc    COM     359081106        30     47300 SH           Sole                     47300
Gaylord Container A             COM     368145108      4425   2622400 SH           Sole                    462400           2160000
General Semiconductor, Inc.     COM     370787103     11120    912400 SH           Sole                    391100            521300
Glamis Gold Ltd.                COM     376775102       645    429700 SH           Sole                    429700
Glatfelter (p.H.) Co.           COM     377316104      2771    228500 SH           Sole                    223500              5000
Global Telesystems Group        COM     37936U104       456    100000 SH           Sole                     39700             60300
Golden St Bancorp Inc Com       COM     381197102     22363    946600 SH           Sole                    387300            559300
Great Atlantic & Pacific        COM     390064103      5871    530700 SH           Sole                    305600            225100
HCC Insurance Holdings Inc.     COM     404132102     16573    815900 SH           Sole                    371100            444800
HMT technology Corp             COM     403917107        52     15000 SH           Sole                     15000
Healthsouth Corp                COM     421924101       809     99600 SH           Sole                     22800             76800
Homestake Mining                COM     437614100      3016    581400 SH           Sole                     63900            517500
Horace Mann Educator            COM     440327104       621     37900 SH           Sole                     37900
Hudson's Bay Co                 COM     444204101      3775    368700 SH           Sole                    284300             84400
Humana, Inc.                    COM     444859102     21997   2046200 SH           Sole                    988600           1057600
ICO Global Communications       COM     G4705T109       120    257000 SH           Sole                     38500            218500
IMC Global, Inc.                COM     449669100     19663   1356100 SH           Sole                    678700            677400
IPC Holdings                    COM     G4933P101       518     28000 SH           Sole                     28000
Ikon Office Solutions, Inc.     COM     451713101       917    233000 SH           Sole                    122400            110600
Imperial Sugar Co               COM     453096109        52     45900 SH           Sole                     45900

                                                                 3
<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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------    ----
Ingram Micro Inc.               COM     457153104      8662    630000 SH           Sole                    225000            405000
International Multifoods Corp.  COM     460043102      8326    479200 SH           Sole                    207100            272100
Intertan, Inc.                  COM     461120107      5498    380821 SH           Sole                    107321            273500
J.C. Penney Company Inc.        COM     708160106      1878    159000 SH           Sole                     30800            128200
Kirby Corp.                     COM     497266106      3809    194100 SH           Sole                     88000            106100
Legacy Hotels Reit 144a         COM     524919305      1623    282200 SH           Sole                                      282200
Legacy Hotels Reit Common       COM     524919107       333     57900 SH           Sole                     57900
Litton Industries               COM     538021106      2145     48000 SH           Sole                     10300             37700
Local Financial                 COM     539553107      1024    107800 SH           Sole                     25600             82200
Loews Corp                      COM     540424108     10864    130300 SH           Sole                     70300             60000
Longview Fibre Co.              COM     543213102      9326    777200 SH           Sole                    246300            530900
Loral Space & Communications    COM     G56462107     12342   2015100 SH           Sole                    838300           1176800
MSC Software Corp               COM     553531104      1108    104500 SH           Sole                    104500
MYND Corp                       COM     628551103      4439    328800 SH           Sole                    128800            200000
Mercer Int'l., Inc.-Sbi         COM     588056101     10543   1394100 SH           Sole                    572700            821400
Mercury General Corp            COM     589400100      1101     38900 SH           Sole                     38900
Metromedia International Group  COM     591695101      7456   1993558 SH           Sole                   1185528            808030
Metso Corp. ADR                 COM     592671101      5115    505200 SH           Sole                    282000            223200
Miix Group                      COM     59862V104       601     72300 SH           Sole                     72300
NS Group, Inc.                  COM     628916108      3088    155500 SH           Sole                     95100             60400
Navigators Group Inc            COM     638904102       372     35000 SH           Sole                     35000
Newhall Land & Farm Lp          COM     651426108      8945    380300 SH           Sole                    161900            218400
Newpark Resources, Inc.         COM     651718504      3185    344300 SH           Sole                     47000            297300
Niagara Mohawk Power            COM     653520106     15090    958100 SH           Sole                    380100            578000
Nordic American Tanker Shipping COM     G65773106       908     42007 SH           Sole                                       42007
Oakwood Homes                   COM     674098108      1490    993400 SH           Sole                    765100            228300
Ohio Casualty Corp.             COM     677240103       159     25000 SH           Sole                     25000
Orbital Sciences Corp           COM     685564106     12975   1549300 SH           Sole                    793800            755500
Overseas Shipholding            COM     690368105      3061    111800 SH           Sole                    111800

                                                                 4
<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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------    ----
PG&E Corp                       COM     69331C108      7522    311000 SH           Sole                    145700            165300
PXRE Group Ltd                  COM     G73018106      2786    176900 SH           Sole                    176900
Parker Drilling Co              COM     701081101       490     70000 SH           Sole                     70000
Partnere LTD                    COM     G6852T105       953     20100 SH           Sole                     10000             10100
Patterson Energy, Inc.          COM     703414102       206      6000 SH           Sole                      6000
Pilgrims Pride Corp - Cl A      COM     721467207      1745    332300 SH           Sole                    332300
Polyone Corp  W/I               COM     73179P106      1004    137300 SH           Sole                    137300
Potlatch Corp                   COM     737628107      3479    110000 SH           Sole                     58900             51100
Professionals Group Inc         COM     742954100      1726     77350 SH           Sole                     77350
Progressive Corp.               COM     743315103      4503     55000 SH           Sole                     15200             39800
Quorum Health Group Inc.        COM     749084109      2045    157300 SH           Sole                    157300
R & B Falcon Corporation        COM     74912E101     13759    493600 SH           Sole                    124600            369000
Rayonier, Inc.                  COM     754907103      5667    157700 SH           Sole                     57700            100000
Raytheon                        COM     755111309      3832    140000 SH           Sole                     40500             99500
Renaissance Re Holdings Ltd.    COM     G7496G103     20038    313400 SH           Sole                    158900            154500
Republic Security Financial Co  COM     760758102       555    112500 SH           Sole                    112500
Republic Service Inc            COM     760759100      1575    120000 SH           Sole                                      120000
Riggs National Corp Wash DC     COM     766570105      1347    110000 SH           Sole                    110000
Scottish Annuity & Life Holdin  COM     G7885T104       139     15000 SH           Sole                     15000
Sea Containers Cl. A            COM     811371707      6970    299000 SH           Sole                    176100            122900
Sensormatic Electrs.            COM     817265101     13501    900100 SH           Sole                    483100            417000
Sierra Health Services          COM     826322109      1306    278700 SH           Sole                    278700
Sierra Pacific Resources        COM     826428104      1350     75000 SH           Sole                     75000
Smedvig ASA ADR B               COM     83169H204      3473    204300 SH           Sole                    204300
Smithfield Foods, Inc           COM     832248108     11198    426600 SH           Sole                    181600            245000
Sovereign Bancorp               COM     845905108      8297    897000 SH           Sole                    302800            594200
Star Gas Partner L.P. Sr. Subo  COM     85512c204      1880    208938 SH           Sole                     47621            161317
State Auto Financial Corp       COM     855707105       131     10000 SH           Sole                     10000
Stewart & Stevenson Services    COM     860342104      1943    111400 SH           Sole                    111400

                                                                 5
<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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------    ----
Suiza Foods Corp                COM     865077101      9215    181800 SH           Sole                     94200             87600
Sunrise Assisted Living         COM     86768K106      1668     76900 SH           Sole                     76900
Swift Transportation Co. Inc.   COM     870756103       392     30000 SH           Sole                     30000
Tate & Lyle Plc-Spons Adr       COM     876570607     15679   1125700 SH           Sole                    471500            654200
Technip                         COM     4874160        4392     31200 SH           Sole                     31200
Tenet Healthcare Corporation    COM     88033G100     19552    537500 SH           Sole                    182600            354900
Tesoro Petroleum                COM     881609101      4662    469100 SH           Sole                    269100            200000
The Finish Line                 COM     317923100      1136    155300 SH           Sole                    155300
Tidewater Inc                   COM     886423102      6033    132600 SH           Sole                     78600             54000
Titan International Inc         COM     88830M102      1222    212500 SH           Sole                    212500
Toys R Us, Inc.                 COM     892335100      1479     91000 SH           Sole                     10000             81000
Trico Marine Services Inc.      COM     896106101      1067     67200 SH           Sole                     67200
Tupperware Corporation          COM     899896104     15082    837900 SH           Sole                    425400            412500
Tyson Foods, Inc. Class A       COM     902494103     15221   1522100 SH           Sole                    759800            762300
UCAR Int'l., Inc.               COM     90262K109      3984    314000 SH           Sole                     72300            241700
Ugly Duckling Corp              COM     903512101        58     10000 SH           Sole                     10000
Ultratech Stepper Inc           COM     904034105     12606    784800 SH           Sole                    405600            379200
Union Acceptance Corp Cl A      COM     904832102       117     19900 SH           Sole                     19900
Unisource Energy Corp. Hldg. C  COM     909205106      7978    487200 SH           Sole                    210600            276600
United Wisconsin Services, Inc  COM     913238101       655    131000 SH           Sole                    131000
Unova Inc                       COM     91529B106      2518    639500 SH           Sole                    329500            310000
Unumprovident Corporation       COM     91529Y106      1580     58000 SH           Sole                     12900             45100
Valero Energy Corp.             COM     91913Y100      2871     81600 SH           Sole                     28200             53400
Visteon Corp                    COM     92839U107      3054    201900 SH           Sole                    137200             64700
Vlasic Foods International      COM     928559103       289    272400 SH           Sole                    272400
Wabash National Corp.           COM     929566107       639     70000 SH           Sole                     70000
Washington Federal Inc.         COM     938824109     11416    501800 SH           Sole                    240200            261600
Washington Mutual Inc.          COM     939322103      4917    123500 SH           Sole                     39000             84500
Wellman Inc                     COM     949702104      9403    651300 SH           Sole                    384900            266400

                                                                 6
<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
 --------------                --------    -----   --------  -------  ---   ----   -------     --------   ----     ------    ----
Werner Enterprises              COM     950755108       294     25000 SH           Sole                      9800             15200
Westcorp.                       COM     957907108     14271    951414 SH           Sole                    317846            633568
Willbros Group Inc.             COM     969199108       844    129800 SH           Sole                    129800
Wisconsin Central Transport     COM     976592105       826     78200 SH           Sole                     78200
York International Corp New     COM     986670107     13826    555800 SH           Sole                    235800            320000
Zenith National Insurance Cp.   COM     989390109       833     38100 SH           Sole                     38100
American Re Partners Pfd. Unit  PRD     029169208      1257    179607 SH           Sole                                      179607
Loral Space&Comm CNV PFD 6.0%   CP      543885602      2502    130000 SH           Sole                     61200             68800
REPORT SUMMARY                   182 DATA RECORDS    942111           0      OT
</TABLE>

                                                                 7
<PAGE>
                              Form 13F SUMMARY PAGE


Report Summary:

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

Form 13F Information Table Entry Total:       182
                                           ---------

Form 13F Information Table Value Total:    $ 942,111
                                           ---------
                                          (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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