CRABBE HUSON GROUP INC /MA
13F-HR, 2000-11-09
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                UNITED STATES SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Amendment Number 1 to
Report for the Calendar Year or 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:          Crabbe Huson Group, Inc.
Address:       121 SW Morrison, Suite 1400
               Portland, OR 97204


13F File Number:  028-03481

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:  Thomas F. Biesiadecki

Title:  Compliance Officer

Phone:  503-417-3538

Signature, Place, and Date of Signing:

         /s/Thomas F. Biesiadecki          Portland, Oregon         11/9/00
         ---------------------------   --------------------------  ----------
                 [Signature]                 [City, State]           [Date]

Report Type (Check only one.):

[XX]     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).)



<PAGE>
                              FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:           1
                                  ---------------------------
Form 13F Information Table Entry Total:      168
                                       ----------------------
Form 13F Information Table Value Total:  $   1,160,125
                                         --------------------
                                             (thousands)


List of Other Included Managers:


Provide  a  numbered  list  of  the  name(s)  and  13F  file  number(s)  of  all
institutional  investment  managers  with respect to which this report is filed,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

         No.               13F File Number         Name

         1                 28-33                   Liberty Mutual Insurance Co.



<PAGE>
<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE

REPORTING MANAGER
Crabbe Huson Group, Inc.  9/30/2000

                                     Item 2  Item 3     Item 4   Item 5     Item 6(B)     Item 7              Item 8
                                     ------  ---------  -------- ---------- ----------  ----------  ----------------------------
                                      Class   CUSIP       FMV       SHRS     Shared        Other        (A)      (B)      (C)
                                                         ($000)              Defined     Managers       Sole    Shared    None

                                     ------  ---------  -------- ---------- ----------  ----------  ---------- ------- ---------
<S>                                  <C>      <C>        <C>     <C>        <C>         <C>         <C>        <C>     <C>
A T & T                              Common   001957109  17,074     581,245    581,245           1     416,547           164,698
ACE LTD                              Common   G0070K103  17,007     433,300    433,300           1     308,000           125,300
ADVANCED MICRO DEVICES               Common   007903107   6,039     255,600    255,600           1     182,400            73,200
ALASKA AIRGROUP INC                  Common   011659109   9,317     388,200    388,200           1     339,200            49,000
ALBERTSONS                           Common   013104104   6,149     292,800    292,800           1     187,800           105,000
ALCOA INC.                           Common   013817101  13,704     541,400    541,400           1     385,900           155,500
AMB PROPERTY CORP                    Common   00163T109     167       6,800      6,800           1       6,800
AMERICAN LAND LEASE                  Common   027118108     370      32,196     32,196           1      32,196
ANADARKO PETROLEUM CORP              Common   032511107  14,653     220,482    220,482           1     157,848            62,634
ANCHOR GAMING                        Common   033037102   8,489     106,700    106,700           1      93,200            13,500
APTARGROUP INC                       Common   038336103   5,472     228,600    228,600           1     202,200            26,400
ARCH CAPITAL GROUP LTD               Common   03937L105  10,872     690,287    690,287           1     626,887            63,400
ARCHSTONE COMMUNITIES TRUST          Common   039581103     194       7,900      7,900           1       7,900
ARIBA INC                            Common   04033V104   6,160      43,000     43,000           1      30,800            12,200
AT HOME CORP - SER A                 Common   045919107   7,297     516,600    516,600           1     388,500           128,100
AUSPEX SYSTEMS INC.                  Common   052116100  23,474   1,896,878  1,896,878           1   1,703,878           193,000
BAKER HUGHES                         Common   057224107  13,254     357,000    357,000           1     255,000           102,000
BANC ONE CORP                        Common   06423A103   7,080     183,300    183,300           1     130,800            52,500
BARR LABORATORIES IN                 Common   068306109   9,804     147,850    147,850           1     129,100            18,750
BARRETT RESOURCES CORP               Common   068480201   7,203     190,500    190,500           1     166,500            24,000
BECTON DICKINSON & CO                Common   075887109   6,440     243,600    243,600           1     173,800            69,800
BIOGEN INC                           Common   090597105   6,545     107,300    107,300           1      77,300            30,000
BOSTON PROPERTIES INC.               Common   101121101     404       9,400      9,400           1       9,400
BRE PROPERTIES CL A                  Common   05564e106     163       5,100      5,100           1       5,100
BRITISH AIRWAYS-SPONS ADR            Common   110419306  12,368     289,300    289,300           1     207,300            82,000
BUDGET GROUP INC-CL A                Common   119003101   5,755   1,485,200  1,485,200           1   1,304,400           180,800
BURLINGTON RESOURCES                 Common   122014103  10,171     276,300    276,300           1     198,500            77,800
CAMDEN PROPERTY TRUST                Common   133131102     131       4,217      4,217           1       4,217
CARNIVAL CORP                        Common   143658102   7,287     295,900    295,900           1     191,000           104,900
CENDANT CORP                         Common   151313103     376      34,600     34,600           1      34,600
CENTURY ALUMINUM                     Common   156431108  13,964   1,117,090  1,117,090           1     993,988           123,102
CENTURYTEL INC                       Common   156700106   9,734     357,200    357,200           1     254,700           102,500
CHECKPOINT SYSTEMS INC               Common   162825103  10,136   1,340,235  1,340,235           1   1,187,335           152,900
CHUBB CORP                           Common   171232101  13,507     170,700    170,700           1     122,500            48,200
CLAIRE'S STORES INC                  Common   179584107   6,397     355,400    355,400           1     310,300            45,100
COMCAST CORP-SPECIAL CL A            Common   200300200  15,650     382,300    382,300           1     272,200           110,100
COMPAQ COMPUTER                      Common   204493100   7,678     278,400    278,400           1     199,400            79,000
CONVERGYS CORP                       Common   212485106   8,576     220,600    220,600           1     157,900            62,700
CORRECTIONAL PROPERTIES TRUST        Common   22025E104     255      26,800     26,800           1      26,800
COSTAR GROUP INC                     Common   22160N109     218       5,900      5,900           1       5,900
COUNTRYWIDE CR INDS                  Common   222372104   4,421     117,100    117,100           1      83,700            33,400
COVANCE INC                          Common   222816100   6,254     763,800    763,800           1     668,600            95,200
COVENTRY HEALTHCARE CORP.            Common   222862104  17,479   1,155,604  1,155,604           1   1,019,704           135,900
DAIMLERCHRYSLER AG                   Common   D1668R123  14,307     322,300    322,300           1     230,900            91,400
DALEEN TECHNOLOGIES INC              Common   23437N104   8,822     595,600    595,600           1     526,100            69,500
DARDEN RESTAURANTS INC               Common   237194105  15,736     756,100    756,100           1     539,000           217,100
DELPHI AUTOMOTIVE SYSTEMS            Common   247126105   5,483     362,500    362,500           1     260,400           102,100
DEVON ENERGY CORP                    Common   25179M103  17,525     291,348    291,348           1     257,330            34,018
DUKE ENERGY CORP.                    Common   264399106  15,161     176,800    176,800           1     125,700            51,100
DUN & BRADSTREET CORP                Common   26483B106   6,743     195,800    195,800           1     141,600            54,200
E.SPIRE COMMUNICATIONS INC           Common   269153102   3,698   1,259,000  1,259,000           1   1,105,200           153,800
EASTMAN KODAK CO                     Common   277461109  10,439     255,400    255,400           1     183,100            72,300
ELCOR CORP                           Common   284443108   9,060     624,800    624,800           1     554,400            70,400
EQUITY OFFICE PROPERTIES TRUST       Common   294741103     497      16,000     16,000           1      16,000

<PAGE>
FORM 13F INFORMATION TABLE

REPORTING MANAGER
Crabbe Huson Group, Inc.  9/30/2000

                                     Item 2  Item 3     Item 4   Item 5     Item 6(B)     Item 7              Item 8
                                     ------  ---------  -------- ---------- ----------  ----------  ----------------------------
                                      Class   CUSIP       FMV       SHRS     Shared        Other        (A)      (B)      (C)
                                                         ($000)              Defined     Managers       Sole    Shared    None

                                     ------  ---------  -------- ---------- ----------  ----------  ---------- ------- ---------
EQUITY RESIDENTIAL PROPERTYS         Common   29476L107     504      10,500     10,500           1      10,500
FANNIE MAE                           Common   313586109  11,719     163,900    163,900           1     116,900            47,000
FEDERATED DEPT STORES                Common   31410H101   5,515     211,100    211,100           1     151,700            59,400
FEDEX CORP                           Common   31428X106   3,596      81,100     81,100           1      53,100            28,000
FIDELITY NATIONAL FINL INC.          Common   316326107  12,568     507,800    507,800           1     443,600            64,200
FIRST UNION CORP                     Common   337358105   8,974     278,800    278,800           1     199,700            79,100
FLANDERS CORP                        Common   338494107     308     135,000    135,000           1     119,900            15,100
FORD MOTOR COMPANY                   Common   345370860   6,414     253,400    253,400           1     184,800            68,600
FOREST OIL CORP.                     Common   346091606  17,780   1,098,385  1,098,385           1     972,385           126,000
FRANCHISE FINANCE CORP OF AMER       Common   351807102     396      17,600     17,600           1      17,600
FRITZ COMPANIES INC                  Common   358846103   4,439     369,900    369,900           1     323,400            46,500
FRONTIER AIRLINES                    Common   359065109   9,408     484,000    484,000           1     422,200            61,800
GLIMCHER REALTY TRUST                Common   379302102     282      18,850     18,850           1      18,850
GOLF TRUST OF AMER                   Common   38168B103     252      18,700     18,700           1      18,700
GOODRICH (B.F.) CO                   Common   382388106   9,264     236,400    236,400           1     169,300            67,100
GRAINGER, W.W.                       Common   384802104   3,323     126,300    126,300           1      81,400            44,900
GREY WOLF INC                        Common   397888108  31,050   5,400,074  5,400,074           1   4,776,574           623,500
HEALTH MGNT ASSOCIATES INC CL        Common   421933102  12,662     608,400    608,400           1     433,100           175,300
HEALTHCARE REALTY TRUST INC          Common   421946104     334      15,800     15,800           1      15,800
HEALTHSOUTH CORP                     Common   421924101   9,822   1,208,800  1,208,800           1     864,600           344,200
HERTZ CORP CL A                      Common   428040109  11,119     350,200    350,200           1     226,300           123,900
HIGHWOODS PPTYS INC COM              Common   431284108     118       5,000      5,000           1       5,000
HMT TECHNOLOGY CORP                  Common   403917107   9,391   2,707,428  2,707,428           1   2,406,928           300,500
HOLLYWOOD ENTERTAINMENT CORP         Common   436141105   6,021     809,500    809,500           1     708,300           101,200
HORMEL FOODS CORP                    Common   440452100   1,966     117,800    117,800           1     117,800
HOST MARROITT CORP                   Common   44107P104     164      14,600     14,600           1      14,600
HUNT(JB) TRANS. SVCS                 Common   445658107   5,494     430,920    430,920           1     384,220            46,700
IBP INC                              Common   449223106  12,167     664,400    664,400           1     446,900           217,500
IDEXX LABORATORIES INC               Common   45168D104   6,172     230,719    230,719           1     202,619            28,100
INPUT/OUTPUT INC.                    Common   457652105  13,283   1,380,068  1,380,068           1   1,204,468           175,600
INSIGHT COMMUNICATIONS               Common   45768V108   4,975     313,400    313,400           1     273,500            39,900
INTERGRAPH CORP                      Common   458683109   9,263   1,288,700  1,288,700           1   1,144,500           144,200
ITT EDUCATIONAL SERVICES             Common   45068B109  10,221     376,800    376,800           1     328,600            48,200
JDN REALTY CORP                      Common   465917102     165      14,600     14,600           1      14,600
KENNEDY-WILSON INC                   Common   489399204     464      84,300     84,300           1      84,300
KILROY REALTY CORP                   Common   49427F108     155       5,800      5,800           1       5,800
LAFARGE CORP                         Common   505862102     131       6,000      6,000           1       6,000
LEXMARK INTERNATIONAL INC            Common   529771107   4,849     129,300    129,300           1      92,100            37,200
LIBERTY PROPERTY TRUST               Common   531172104     182       6,600      6,600           1       6,600
LIZ CLAIBORNE INC.                   Common   539320101   5,767     149,800    149,800           1     107,000            42,800
LONGVIEW FIBRE CO                    Common   543213102  11,275     939,579    939,579           1     845,179            94,400
LUCENT TECHNOLOGIES INC              Common   549463107   9,126     298,600    298,600           1     191,300           107,300
MAIL-WELL INC COM                    Common   560321200   5,341   1,203,700  1,203,700           1   1,063,700           140,000
MANUFACTURED HOME COMMUNITIES        Common   564682102     218       8,700      8,700           1       8,700
MCDERMOTT INTL INC                   Common   580037109   8,098     736,200    736,200           1     523,700           212,500
MEDICALOGIC/MEDSCAPE INC.            Common   584642102   4,682   1,314,200  1,314,200           1   1,161,300           152,900
MENTOR CORPORATION                   Common   587188103     866      55,000     55,000           1      48,600             6,400
MENTOR GRAPHICS CORP                 Common   587200106  10,269     435,837    435,837           1     384,237            51,600
MGIC INVESTMENT CORP                 Common   552848103   8,998     147,200    147,200           1     105,300            41,900
MICROSOFT CORP                       Common   594918104  11,339     188,000    188,000           1     134,400            53,600
MID ATLANTIC MEDICAL SVC             Common   59523C107  17,434   1,152,657  1,152,657           1   1,013,757           138,900
MIPS TECHNOLOGY INC CL B             Common   604567206   3,258      84,612     84,612           1      60,533            24,079
MOTOROLA INC                         Common   620076109  10,023     354,800    354,800           1     264,400            90,400
NEW PLAN EXCEL REALTY TRUST          Common   648053106      94       6,900      6,900           1     -92,000            98,900

<PAGE>
FORM 13F INFORMATION TABLE

REPORTING MANAGER
Crabbe Huson Group, Inc.  9/30/2000
                                     Item 2  Item 3     Item 4   Item 5     Item 6(B)     Item 7              Item 8
                                     ------  ---------  -------- ---------- ----------  ----------  ----------------------------
                                      Class   CUSIP       FMV       SHRS     Shared        Other        (A)      (B)      (C)
                                                         ($000)              Defined     Managers       Sole    Shared    None
                                     ------  ---------  -------- ---------- ----------  ----------  ---------- ------- ---------
NEWELL RUBBERMAID INC                Common   651229106   7,695     337,300    337,300           1     337,300
NUEVO ENERGY CO                      Common   670509108   9,848     535,933    535,933           1     477,033            58,900
OAKLEY INC                           Common   673662102  17,962   1,022,770  1,022,770           1     904,170           118,600
OCCIDENTAL PETROLEUM                 Common   674599105   6,648     304,800    304,800           1     219,300            85,500
OMNICARE INC                         Common   681904108   9,746     604,400    604,400           1     533,800            70,600
PACKAGING CORP OF AMERICA            Common   695156109   5,188     469,000    469,000           1     410,400            58,600
PEOPLESOFT INC                       Common   712713106   6,191     221,600    221,600           1     158,200            63,400
PHELPS DODGE CORP                    Common   717265102      58       1,400      1,400           1       1,400
PHILIPS INTERNATIONAL REALTY         Common   718333107     207      12,000     12,000           1      12,000
PHILLIP MORRIS COMPANIES INC         Common   718154107  11,631     395,100    395,100           1     282,000           113,100
PHILLIPS VAN HEUSEN                  Common   718592108  15,689   1,521,389  1,521,389           1   1,349,989           171,400
PICTURETEL CORP.                     Common   720035302  13,387   1,903,872  1,903,872           1   1,682,072           221,800
POLAROID CORP                        Common   731095105   8,327     619,700    619,700           1     547,600            72,100
PROGENICS PHARMACEUTICALS            Common   743187106   5,663     206,400    206,400           1     183,000            23,400
PROLOGIS TRUST                       Common   743410102     290      12,200     12,200           1      12,200
PSINET INC                           Common   74437C101   3,590     373,000    373,000           1     266,300           106,700
PUBLIC STORAGE INC.                  Common   74460D109     378      15,800     15,800           1      15,800
RAYOVAC CORP                         Common   755081106   8,061     470,700    470,700           1     411,900            58,800
REGENCY REALTY CORP                  Common   758939102     234      10,200     10,200           1      10,200
REGIS CORP                           Common   758932107   6,336     422,400    422,400           1     369,500            52,900
ROYAL CARIBBEAN CRUISES              Common   V7780T103   1,673      65,000     65,000           1      65,000
SARA LEE CORP                        Common   803111103   8,954     440,800    440,800           1     298,900           141,900
SCHLUMBERGER LTD                     Common   806857108  11,013     133,800    133,800           1      95,900            37,900
SENSORMATIC ELECTRONICS              Common   817265101  12,093     806,185    806,185           1     714,885            91,300
SICOR INC                            Common   825846108   4,226     412,300    412,300           1     364,400            47,900
SILICON GRAPHICS INC                 Common   827056102   5,087   1,233,300  1,233,300           1     881,300           352,000
SILVERLEAF RESORTS INC.              Common   828395103     132      39,100     39,100           1      39,100
SIMON PROPERTY GROUP INC             Common   828806109     331      14,140     14,140           1      14,140
SITEL CORP                           Common   82980k107   4,038   1,374,500  1,374,500           1   1,214,400           160,100
SMARTDISK CORP                       Common   83169q105   1,475     102,600    102,600           1      89,500            13,100
SMURFIT-STONE CONTAINER CORP         Common   832727101      61       5,100      5,100           1       5,100
SPANISH BROADCASTING CL A            Common   846425882   7,403     630,000    630,000           1     553,200            76,800
STANCORP FINANCIAL GROUP             Common   852891100  12,706     297,228    297,228           1     263,428            33,800
STORAGE USA                          Common   861907103     104       3,400      3,400           1       3,400
SUNGLASS HUT INTL                    Common   86736f106   3,347     512,400    512,400           1     447,200            65,200
TAUBMAN CENTERS INC.                 Common   876664103     377      32,600     32,600           1      32,600
TENET HEALTHCARE CORP                Common   88033G100  10,974     301,700    301,700           1     215,700            86,000
TEREX CORP                           Common   880779103   5,177     396,300    396,300           1     346,200            50,100
TRAMMELL CROW CO                     Common   89288R106     222      14,800     14,800           1      14,800
TRIZEC HAHN CORPORATION              Common   896938107     345      20,500     20,500           1      20,500
TYCO INTERNATIONAL LTD               Common   902124106   9,623     185,500    185,500           1     132,500            53,000
UNITED DOMINION REALTY TRUST         Common   910197102     190      17,500     17,500           1      17,500
UNITEDHEALTH GROUP INC               Common   91324P102   6,755      68,400     68,400           1      49,000            19,400
UNOCAL CORP.                         Common   915289102   6,432     181,500    181,500           1     129,400            52,100
US BANCORP                           Common   902973106  13,539     595,100    595,100           1     424,100           171,000
USG CORP                             Common   903293405   9,020     359,900    359,900           1     319,000            40,900
USX-MARATHON GROUP                   Common   902905827  10,712     377,500    377,500           1     270,700           106,800
VERIZON COMMUNICATIONS               Common   92343v104      63       1,300      1,300           1       1,300
VIATEL INC                           Common   925529208   4,045     394,600    394,600           1     349,300            45,300
VORNADO REALTY TRUST                 Common   929042109     271       7,300      7,300           1       7,300
VYSIS INC                            Common   928961101   1,420     218,414    218,414           1     218,414
WABASH NATIONAL CORP                 Common   929566107   8,212     899,901    899,901           1     801,401            98,500
WASHINGTON MUTUAL INC                Common   939322103     151       3,800      3,800           1       3,800
WASTE MANAGEMENT INC                 Common   94106L109   5,969     342,300    342,300           1     251,800            90,500
WEBLINK WIRELESS                     Common   94769A101   5,591     727,300    727,300           1     642,700            84,600
WEBMD CORP                           Common   94769M105  11,656     764,300    764,300           1     547,400           216,900
WELLMAN INC                          Common   949702104  10,163     703,900    703,900           1     622,000            81,900
WESTERN GAS RES                      Common   958259103   5,765     230,018    230,018           1     200,418            29,600
WORLDCOM INC                         Common   98157D106   7,017     231,000    231,000           1     166,600            64,400
YELLOW CORPORATION                   Common   985509108   9,807     648,400    648,400           1     582,800            65,600

NUMBER OF ISSUES:          168                        1,160,125
</TABLE>


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