LUNN PARTNERS LLC
13F-HR, 2000-11-15
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TYPE		13F
SROS		NASD
CIK		1055971
CCC		d8qwr$xa
PERIOD	9/30/00


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
"Washington, D.C.  20549"

FORM 13F

FORM 13F COVER PAGE

"Report for the Quarter Ended: September 30, 2000"

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:			"Lunn Partners, LLC"
Address:			1 North Franklin Street
			Suite 750
			"Chicago, Illinois  60606"

13F File Number:	28-6756

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:		Michael A. Crowe
Title:		Managing Director
Phone:		312-629-1984

"Signature, Place, and Date of Signing:"

Michael A. Crowe	"Chicago, Illinois"		7-Nov-2000

Report Type (Check only one.)

[  X   ] 	13F HOLDINGS REPORT

[      ] 	13F NOTICE

[      ] 	13F COMBINATION REPORT


List of other Managers Reporting for this Manager: None


I AM SIGNING THIS REPORT AS REQUIRED BY THE
SECURITIES AND EXCHANGE COMMISSION ACT OF 1934.


Form 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:		0

Form 13 F Information Table Entry Total		125

Form 13 F Information Table Vale Total:		"$116,734"


List of Other Included Mangers:			None


13F Accounts as of
09/30/00
13F Accounts as of 09/30/00









September 30, 2000










Title

Value
Shares
Sh/
Invstmnt
Voting
Authori
ty


Security
of Class
Cusip
(x$1000)
Prn/Amt
Prn
Discretion
Sole
Shared
None
AAR CORP COM
COM
000361105
372
32,500
SH
Sole
32,500


ABBOTT LABS
COM
002824100
1,512
31,800
SH
Sole
31,800


ABM INDS INC COM
COM
000957100
574
21,100
SH
Sole
21,100


ADOLPH COORS CL B
COM
217016104
701
11,100
SH
Sole
11,100


AK STEEL CORP.
COM
001547108
247
26,385
SH
Sole
26,385


ALCOA INC.
COM
013817101
1,299
51,304
SH
Sole
51,304


ALEXANDRIA REAL EST
COM
015271109
669
19,500
SH
Sole
19,500


ALLSTATE CORP
COM
020002101
1,967
56,600
SH
Sole
56,600


AMERICAN GENL CORP
COM
026351106
1,474
18,900
SH
Sole
18,900


AMERICAN STATES WTR
COM
029899101
675
22,300
SH
Sole
22,300


AMERICAN WEST AIR
COM
023657208
357
29,300
SH
Sole
29,300


AMR CORP
COM
001765106
1,128
34,500
SH
Sole
34,500


ANHEUSER BUSCH COS INC COM
COM
035229103
1,456
34,400
SH
Sole
34,400


ANIXTER INTL
COM
035290105
842
28,900
SH
Sole
28,900


AT&T CORP COM
COM
001957109
974
33,163
SH
Sole
33,163


AVNET INC.
COM
053807103
1,175
41,400
SH
Sole
41,400


BAKER HUGHES INC
COM
057224107
1,526
41,100
SH
Sole
41,100


BANCWEST CORP
COM
059790105
257
13,200
SH
Sole
13,200


BANK OF AMERICA CORP
COM
060505104
979
18,700
SH
Sole
18,700


BANK UNITED CORPORATION
COM
065412108
831
16,400
SH
Sole
16,400


BANKNORTH GROUP INC
COM
06646R107
470
26,300
SH
Sole
26,300


BAXTER INTL INC
COM
071813109
1,740
21,800
SH
Sole
21,800


BAY VIEW CAPITAL CORP
COM
07262L101
348
32,400
SH
Sole
32,400


BF GOODRICH INC.
COM
382388106
1,136
29,000
SH
Sole
29,000


BINDLEY WESTN INDS
COM
090324104
993
31,020
SH
Sole
31,020


BLUE RHINO
COM
095811105
809
208,890
SH
Sole
208,890


BORG-WARNER AUTOMOTIVE COM
COM
099724106
415
12,543
SH
Sole
12,543


BOWNE & CO INC COM
COM
103043105
417
42,800
SH
Sole
42,800


BP AMOCO PLC
COM
055622104
1,452
27,398
SH
Sole
27,398


CASCADE CORP COM
COM
147195101
682
43,800
SH
Sole
43,800


CENTURYTEL INC
COM
156700106
1,420
52,100
SH
Sole
52,100


CERES GROUP INC.
COM
156772105
3,373
465,242
SH
Sole
465,242


CHARTER ONE FIN INC
COM
160903100
388
15,938
SH
Sole
15,938


CHASE MANHATTAN
COM
16161A108
1,365
29,550
SH
Sole
29,550


CHESAPEAKE CORP
COM
165159104
304
15,800
SH
Sole
15,800


CHITTENDEN CORP
COM
170228100
552
21,494
SH
Sole
21,494


COLONIAL BANCGROUP
COM
195493309
260
25,100
SH
Sole
25,100


COLONIAL PROPS TR
COM
195872106
511
19,900
SH
Sole
19,900


COMDISCO INC.
COM
200336105
622
32,650
SH
Sole
32,650


COMMERCE GROUP INC
COM
200641108
564
19,500
SH
Sole
19,500


CTS CORP
COM
126501105
689
13,600
SH
Sole
13,600


CUMMINS ENGINE CO INC
COM
231021106
455
15,200
SH
Sole
15,200


DAIN RAUSCHER CORP.
COM
233856103
1,163
12,500
SH
Sole
12,500


DEAN FOODS
COM
242361103
482
14,500
SH
Sole
14,500


DEXTER CORP COM
COM
252165105
870
14,500
SH
Sole
14,500


DIAL CORP.
COM
25247D101
341
29,300
SH
Sole
29,300


DOW CHEM CO
COM
260543103
773
31,000
SH
Sole
31,000


DUKE POWER CO COM
COM
264399106
1,762
20,550
SH
Sole
20,550


EASTMAN CHEMICAL CORP
COM
277432100
875
23,700
SH
Sole
23,700


ELECTROGLAS INC
COM
285324109
580
34,000
SH
Sole
34,000


EMERG MRKTS INC FDII
COM
290920107
230
19,000
SH
Sole
19,000


EMERSON ELEC CO
COM
291011104
1,581
23,600
SH
Sole
23,600


EQUITY RES PROPS
COM
29476L107
1,258
26,200
SH
Sole
26,200


EXTENDED STAY AMERICA
COM
30224P101
331
25,000
SH
Sole
25,000


FIRST COMMONWEALTH
COM
319829107
498
51,400
SH
Sole
51,400


FLEETBOSTON FINANCIAL CORP
COM
339030108
1,502
38,500
SH
Sole
38,500


FLORIDA ROCK INDUSTRIES
COM
341140101
264
6,700
SH
Sole
6,700


GENERAL DYNAMICS
COM
369550108
1,200
19,100
SH
Sole
19,100


GOODYEAR TIRE & RUBBER CO
COM
382550101
855
47,500
SH
Sole
47,500


GORMAN RUPP CO
COM
383082104
517
31,450
SH
Sole
31,450


GRANITE CONST INC
COM
387328107
451
18,600
SH
Sole
18,600


GREAT LAKES REIT
COM
390752103
652
37,500
SH
Sole
37,500


HARBOR FED SVGS BANK
COM
411901101
592
49,065
SH
Sole
49,065


HARLEYSVILLE GRP
COM
412824104
506
26,629
SH
Sole
26,629


HEINZ CO
COM
423074103
1,082
29,194
SH
Sole
29,194


HOLLINGER INTL
COM
435569108
719
42,900
SH
Sole
42,900


HUTCHINSON TECH
COM
448407106
712
33,800
SH
Sole
33,800


IBEAM BROADCASTING CORP
COM
45073P101
710
104,167
SH
Sole
104,167


IMATION CORP
COM
45245A107
382
20,500
SH
Sole
20,500


INTERSTATE BAKERIES
COM
46072H108
507
34,700
SH
Sole
34,700


INTL MULTIFOODS
COM
460043102
407
23,400
SH
Sole
23,400


J P MORGAN & CO INC
COM
616880100
1,454
8,900
SH
Sole
8,900


JACKPOT ENTERPRISES
COM
466392107
269
28,500
SH
Sole
28,500


KAMAN CORP
COM
483548103
472
37,400
SH
Sole
37,400


KELLOGG CO COM
COM
487836108
1,446
59,800
SH
Sole
59,800


KERR MCGEE CO
COM
492386107
1,812
27,350
SH
Sole
27,350


LEGG MASON INC
COM
524901105
1,075
18,500
SH
Sole
18,500


LUFKIN INDUSTRIES
COM
549764108
556
27,300
SH
Sole
27,300


MANUFACTRD HM CMNT
COM
564682102
558
22,300
SH
Sole
22,300


MATERIAL SCIENCES CORP
COM
576674105
215
18,900
SH
Sole
18,900


MELLON FINANCIAL CORPORATION
COM
58551A108
1,679
36,200
SH
Sole
36,200


MERCK & CO INC
COM
589331107
1,310
17,600
SH
Sole
17,600


MORGAN STANLEY-DEAN WITTER
COM
617446448
1,436
15,708
SH
Sole
15,708


NEW ENG BUS SVC
COM
643872104
268
14,800
SH
Sole
14,800


NORFOLK SOUTHERN CORP
COM
655844108
1,156
79,050
SH
Sole
79,050


NORTHROP GRUMMAN CORP
COM
666807102
1,381
15,200
SH
Sole
15,200


OCCIDENTAL PETE CORP.
COM
674599105
1,422
65,200
SH
Sole
65,200


OLD REP INTL
COM
680223104
1,607
66,800
SH
Sole
66,800


PHARMACIA CORP
COM
71713U102
1,483
24,633
SH
Sole
24,633


PHELPS DODGE CORP.
COM
717265102
1,006
24,100
SH
Sole
24,100


PNC BK CORP
COM
693475105
1,651
25,400
SH
Sole
25,400


QUEST DIAGNOSTICS INC
COM
74834L100
941
8,200
SH
Sole
8,200


RAINBOW TECH
COM
750862104
1,489
42,100
SH
Sole
42,100


RALSTON PURINA CO
COM
751277302
1,007
42,500
SH
Sole
42,500


RAYMOND JAMES FIN INC
COM
754730109
876
26,600
SH
Sole
26,600


RAYONIER, INC.
COM
754907103
424
11,800
SH
Sole
11,800


REYNOLDS & REYNOLDS
COM
761695105
1,028
51,700
SH
Sole
51,700


RGS ENERGY GROUP INC.
COM
74956K104
341
12,100
SH
Sole
12,100


ROADWAY EXPRESS INC
COM
769742107
563
31,400
SH
Sole
31,400


RUSS BERRIE & CO COM
COM
782233100
460
23,300
SH
Sole
23,300


S&P DEP RCPT TRADES
COM
78462F103
2,536
17,655
SH
Sole
17,655


SARA LEE CORP
COM
803111103
1,491
73,400
SH
Sole
73,400


SBC COMMUNICATIONS
COM
78387G103
3,120
62,395
SH
Sole
62,395


SCI SYSTEMS INC.
COM
783890106
1,287
31,400
SH
Sole
31,400


SEAGATE TECHNOLOGY
COM
811804103
1,566
22,700
SH
Sole
22,700


SEARS ROEBUCK & CO
COM
812387108
1,261
38,900
SH
Sole
38,900


SERVICE CORP INTL
COM
817565104
300
123,200
SH
Sole
123,200


SILICON VALLEY BANCSHARES
COM
827064106
1,165
20,000
SH
Sole
20,000


STANDARD PACIFIC CORP.
COM
85375C101
338
18,800
SH
Sole
18,800


STRIDE RITE CORP
COM
863314100
343
67,800
SH
Sole
67,800


SUNGUARD DATA SYS INC
COM
867363103
1,344
31,400
SH
Sole
31,400


SUNRISE ASSISTED LIVING INC
COM
86768K106
479
22,100
SH
Sole
22,100


SYNCOR INTL
COM
87157J106
1,355
36,800
SH
Sole
36,800


TECUMSEH PROD CO-CL A  NON-VTG
COM
878895200
494
11,800
SH
Sole


11,800
TRUE NORTH COMMUN
COM
897844106
915
25,600
SH
Sole
25,600


TRW INC
COM
872649108
1,101
27,100
SH
Sole
27,100


TXU CORP
COM
873168108
1,581
39,900
SH
Sole
39,900


UIL HOLDINGS CORP.
COM
902748102
628
12,200
SH
Sole
12,200


URBAN SHOPPING CENTERS INC
COM
917060105
727
15,300
SH
Sole
15,300


VALERO ENERGY
COM
91913Y100
852
24,200
SH
Sole
24,200


VERIZON COMMUNICATIONS
COM
92343V104
1,136
23,445
SH
Sole
23,445


WASHINGTON FEDERAL
COM
938824109
536
23,577
SH
Sole
23,577


WEYERHAEUSER CO
COM
962166104
1,365
33,800
SH
Sole
33,800


WHITNEY HOLDING
COM
966612103
548
15,100
SH
Sole
15,100


WORLD FUEL SERVICES
COM
981475106
576
70,900
SH
Sole
70,900


WORLDPORT
COM
98155J105
521
72,500
SH
Sole
72,500















116,734










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