TYPE 13F
SROS NASD
CIK 1055971
CCC d8qwr$xa
PERIOD 6/30/00
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
"Washington, D.C. 20549"
FORM 13F
FORM 13F COVER PAGE
"Report for the Quarter Ended: June 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" 14-Aug-00
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 130
Form 13 F Information Table Vale Total: "$109,926 "
List of Other Included Mangers: None
13F Accounts as of
06/30/00
30-Jun-00
Value
Shares
Sh/
Invs
tmnt
Voting Authority
Security
Title
of
Class
Cusip
(x$1000
)
Prn/Amt
Prn
Disc
reti
on
Sole
Shared
None
AAR CORP
COM
36110
390
32,500
SH
Sole
32,500
ABBOTT LABS
COM
282410
1,417
31,800
SH
Sole
31,800
ABM INDS INC
COM
95710
485
21,100
SH
Sole
21,100
ADOLPH COORS CL B
COM
21701610
672
11,100
SH
Sole
11,100
AK STEEL CORP.
COM
154710
211
26,385
SH
Sole
26,385
ALBERTSONS INC
COM
1310410
1,505
45,250
SH
Sole
45,250
ALCOA INC.
COM
1381710
1,488
51,304
SH
Sole
51,304
ALEXANDRIA REAL EST
COM
1527110
669
19,500
SH
Sole
19,500
ALLSTATE CORP
COM
2000210
1,348
60,600
SH
Sole
60,600
AMERICAN GENL CORP
COM
2635110
1,153
18,900
SH
Sole
18,900
AMERICAN STATES WTR
COM
2989910
663
22,300
SH
Sole
22,300
AMERICAN WEST AIR
COM
2365720
502
29,300
SH
Sole
29,300
AMERICAN WTR WKS
COM
3041110
1,208
48,300
SH
Sole
48,300
AMR CORP
COM
176510
912
34,500
SH
Sole
34,500
ANHEUSER BUSCH COS
COM
3522910
1,285
17,200
SH
Sole
17,200
ANIXTER INTL
COM
3529010
766
28,900
SH
Sole
28,900
ARTISAN INTL INST FUND
COM
04314H20
3,189
105,727
SH
Sole
105,727
AT&T CORP COM
COM
195710
882
27,900
SH
Sole
27,900
AVNET INC.
COM
5380710
1,226
20,700
SH
Sole
20,700
BAKER HUGHES INC
COM
5722410
1,315
41,100
SH
Sole
41,100
BANCWEST CORP
COM
5979010
217
13,200
SH
Sole
13,200
BANK OF AMERICA CORP
COM
6050510
804
18,700
SH
Sole
18,700
BANK UNITED CORP
COM
6541210
595
16,900
SH
Sole
16,900
BANKNORTH GROUP INC
COM
06646R10
403
26,300
SH
Sole
26,300
BAXTER INTL INC
COM
7181310
1,533
21,800
SH
Sole
21,800
BAY VIEW CAPITAL CORP
COM
07262L10
318
32,400
SH
Sole
32,400
BF GOODRICH INC.
COM
38238810
988
29,000
SH
Sole
29,000
BINDLEY WESTN INDS
COM
9032410
847
32,020
SH
Sole
32,020
BLUE RHINO
COM
9581110
1,684
208,890
SH
Sole
208,890
BORG-WARNER AUTO
COM
9972410
441
12,543
SH
Sole
12,543
BOWNE & CO INC COM
COM
10304310
431
42,800
SH
Sole
42,800
BP AMOCO PLC
COM
5562210
1,550
27,398
SH
Sole
27,398
CASCADE CORP COM
COM
14719510
523
43,800
SH
Sole
43,800
CERES GROUP INC.
COM
15677210
540
90,909
SH
Sole
90,909
CHARTER ONE FIN INC
COM
16090310
349
15,179
SH
Sole
15,179
CHASE MANHATTAN
COM
16161A10
1,334
28,950
SH
Sole
28,950
CHESAPEAKE CORP
COM
16515910
468
15,800
SH
Sole
15,800
CHITTENDEN CORP
COM
17022810
525
21,494
SH
Sole
21,494
CI4NET.COM INC.
COM
17178320
698
20,000
SH
Sole
20,000
COLONIAL BANCGROUP
COM
19549330
226
25,100
SH
Sole
25,100
COLONIAL PROPS TR
COM
19587210
545
19,900
SH
Sole
19,900
COMDISCO INC.
COM
20033610
729
32,650
SH
Sole
32,650
COMMERCE GROUP INC
COM
20064110
575
19,500
SH
Sole
19,500
COMSAT CORP SER 1
COM
20564D10
490
20,854
SH
Sole
20,854
CTS CORP
COM
12650110
554
12,300
SH
Sole
12,300
DAIN RAUSCHER CORP.
COM
23385610
825
12,500
SH
Sole
12,500
DEAN FOODS
COM
24236110
459
14,500
SH
Sole
14,500
DEXTER CORP COM
COM
25216510
720
15,000
SH
Sole
15,000
DIAL CORP.
COM
25247D10
304
29,300
SH
Sole
29,300
DOW CHEM CO
COM
26054310
634
21,000
SH
Sole
21,000
DUKE POWER CO COM
COM
26439910
1,159
20,550
SH
Sole
20,550
EASTMAN CHEMICAL CORP
COM
27743210
1,132
23,700
SH
Sole
23,700
ELECTROGLAS INC
COM
28532410
731
34,000
SH
Sole
34,000
EMERG MRKTS INC FDII
COM
29092010
220
19,000
SH
Sole
19,000
EMERSON ELEC CO
COM
29101110
1,425
23,600
SH
Sole
23,600
EQUITY RES PROPS
COM
29476L10
1,205
26,200
SH
Sole
26,200
EXTENDED STAY AMERICA
COM
30224P10
231
25,000
SH
Sole
25,000
FEDERAL MOGUL CORP
COM
31354910
299
31,300
SH
Sole
31,300
FIRST COMMONWEALTH
COM
31982910
466
51,400
SH
Sole
51,400
FLEETBOSTON FIN. CORP
COM
33903010
1,309
38,500
SH
Sole
38,500
FLORIDA ROCK
INDUSTRIES
COM
34114010
239
6,700
SH
Sole
6,700
FORD MOTOR CO.
COM
34537086
968
22,500
SH
Sole
22,500
FREQUENCY ELECTRONICS
COM
35801010
229
8,000
SH
Sole
8,000
GENERAL DYNAMICS
COM
36955010
998
19,100
SH
Sole
19,100
GOODYEAR TIRE/RUBBER
CO
COM
38255010
950
47,500
SH
Sole
47,500
GORMAN RUPP CO
COM
38308210
495
31,450
SH
Sole
31,450
GRANITE CONST INC
COM
38732810
456
18,600
SH
Sole
18,600
GREAT LAKES REIT
COM
39075210
663
39,000
SH
Sole
39,000
GTE CORP
COM
36232010
1,184
19,018
SH
Sole
19,018
HA-LO INDS INC.
COM
40442910
223
39,600
SH
Sole
39,600
HARBOR FED SVGS BANK
COM
41190110
512
49,065
SH
Sole
49,065
HARLEYSVILLE GRP
COM
41282410
446
26,629
SH
Sole
26,629
HEINZ CO
COM
42307410
1,277
29,194
SH
Sole
29,194
HILLENBRAND INDS INC
COM
COM
43157310
1,193
38,100
SH
Sole
38,100
HOLLINGER INTL
COM
43556910
585
42,900
SH
Sole
42,900
HUTCHINSON TECH
COM
44840710
482
33,800
SH
Sole
33,800
IBEAM BROADCASTING
CORP
COM
45073P10
1,875
104,167
SH
Sole
104,167
IMATION CORP
COM
45245A10
602
20,500
SH
Sole
20,500
INTERSTATE BAKERIES
COM
46072H10
486
34,700
SH
Sole
34,700
INTL MULTIFOODS
COM
46004310
405
23,400
SH
Sole
23,400
J P MORGAN & CO INC
COM
61688010
980
8,900
SH
Sole
8,900
JACKPOT ENTERPRISES
COM
46639210
360
28,500
SH
Sole
28,500
KAMAN CORP
COM
48354810
400
37,400
SH
Sole
37,400
KERR MCGEE CO
COM
49238610
1,588
26,950
SH
Sole
26,950
LEGG MASON INC
COM
52490110
953
19,066
SH
Sole
19,066
LUFKIN INDUSTRIES
COM
54976410
433
27,300
SH
Sole
27,300
MANUFACTRD HM CMNT
COM
56468210
534
22,300
SH
Sole
22,300
MELLON FINANCIAL CORP
COM
58551A10
1,319
36,200
SH
Sole
36,200
MORGAN STANLEY-
D.WITTER
COM
61744644
1,308
15,708
SH
Sole
15,708
NEW ENG BUS SVC
COM
64387210
241
14,800
SH
Sole
14,800
NORFOLK SOUTHERN CORP
COM
65584410
1,176
79,050
SH
Sole
79,050
NORTHROP GRUMMAN CORP
COM
66680710
1,007
15,200
SH
Sole
15,200
OCCIDENTAL PETE CORP.
COM
67459910
1,373
65,200
SH
Sole
65,200
OLD REP INTL
COM
68022310
1,683
102,000
SH
Sole
102,000
PHARMACIA CORP
COM
71713U10
1,273
24,633
SH
Sole
24,633
PHELPS DODGE CORP.
COM
71726510
896
24,100
SH
Sole
24,100
PNC BK CORP
COM
69347510
1,191
25,400
SH
Sole
25,400
QUEST DIAGNOSTICS INC
COM
74834L10
594
8,300
SH
Sole
8,300
RAINBOW TECH
COM
75086210
2,071
42,600
SH
Sole
42,600
RALSTON PURINA CO
COM
75127730
847
42,500
SH
Sole
42,500
RAYMOND JAMES FIN INC
COM
75473010
599
26,600
SH
Sole
26,600
RAYONIER, INC.
COM
75490710
423
11,800
SH
Sole
11,800
REYNOLDS & REYNOLDS
COM
76169510
944
51,700
SH
Sole
51,700
RGS ENERGY GROUP INC.
COM
74956K10
269
12,100
SH
Sole
12,100
ROADWAY EXPRESS INC
COM
76974210
736
31,400
SH
Sole
31,400
RUSS BERRIE & CO COM
COM
78223310
449
23,300
SH
Sole
23,300
S&P DEP RCPT TRADES
COM
78462F10
1,667
11,475
SH
Sole
11,475
SABRE GROUP HOLDINGS
INC
COM
78590510
338
11,850
SH
Sole
11,850
SARA LEE CORP
COM
80311110
1,418
73,400
SH
Sole
73,400
SBC COMMUNICATIONS
COM
78387G10
2,699
62,395
SH
Sole
62,395
SCI SYSTEMS INC.
COM
78389010
1,231
31,400
SH
Sole
31,400
SEAGATE TECHNOLOGY
COM
81180410
1,249
22,700
SH
Sole
22,700
SEARS ROEBUCK & CO
COM
81238710
1,269
38,900
SH
Sole
38,900
SERVICE CORP INTL
COM
81756510
393
123,200
SH
Sole
123,200
SILICON VALLEY BANC
COM
82706410
853
20,000
SH
Sole
20,000
STRIDE RITE CORP
COM
86331410
415
67,800
SH
Sole
67,800
SUNGUARD DATA SYS INC
COM
86736310
973
31,400
SH
Sole
31,400
SUNRISE ASSISTED LIV
INC
COM
86768K10
409
22,100
SH
Sole
22,100
SYNCOR INTL
COM
87157J10
1,361
18,900
SH
Sole
18,900
TECUMSEH -CL A NON-
VTG
COM
451
11,800
SH
Sole
11,800
TRUE NORTH COMMUN
COM
89784410
1,126
25,600
SH
Sole
25,600
UIL HOLDINGS CORP.
COM
90274810
556
12,700
SH
Sole
12,700
URBAN SHOPPING CENTERS
COM
91706010
515
15,300
SH
Sole
15,300
US WEST COMMUNICATIONS
COM
91273H10
1,587
18,504
SH
Sole
18,504
VALERO ENERGY
COM
91913Y10
768
24,200
SH
Sole
24,200
WASHINGTON FEDERAL
COM
93882410
441
24,169
SH
Sole
24,169
WESTVACO CORP.
COM
96154810
980
39,500
SH
Sole
39,500
WHITNEY HOLDING
COM
96661210
516
15,100
SH
Sole
15,100
WORLD FUEL SERVICES
COM
98147510
612
70,900
SH
Sole
70,900
WORLDPORT
COM
98155J10
420
172,258
SH
Sole
172,258
109,926
4,358,9
84
11,800
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