CRABBE HUSON GROUP INC /MA
13F-HR, 2000-08-09
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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:  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:          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          8/9/00
         ---------------------------   --------------------------  ----------
                 [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:      164
                                       ----------------------
Form 13F Information Table Value Total:  $   1,138,914
                                         --------------------
                                             (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.  6/30/2000

                                     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>
ACE LTD                              Common  G0070K103    16,304    582,300    582,300           1     415,100           167,200
ACTEL CORP                           Common  004934105    13,692    300,108    300,108           1     266,708            33,400
ADVANCED MICRO DEVICES               Common  007903107    10,243    132,600    132,600           1      96,300            36,300
ALASKA AIRGROUP INC                  Common  011659109     8,355    308,000    308,000           1     271,500            36,500
ALBERTSONS                           Common  013104104     8,412    253,000    253,000           1     183,800            69,200
ALCOA INC.                           Common  013817101    16,214    559,100    559,100           1     405,100           154,000
AMB PROPERTY CORP                    Common  00163T109       395     17,300     17,300           1      17,300
AMERICAN POWER CONVERSION            Common  029066107        22        550        550           1         550
ANCHOR GAMING                        Common  033037102     5,129    107,000    107,000           1      94,200            12,800
APTARGROUP INC                       Common  038336103     1,436     53,200     53,200           1      47,000             6,200
ARCH CAPITAL GROUP LTD               Common  03937L105    10,546    705,987    705,987           1     646,487            59,500
ARCHSTONE COMMUNITIES TRUST          Common  039581103       274     13,000     13,000           1      13,000
ARIBA INC                            Common  04033V104    14,060    143,400    143,400           1     104,500            38,900
ASSET INVESTORS CORPORATION          Common  04541W107       295     25,000     25,000           1      25,000
AT HOME CORP - SER A                 Common  045919107     6,126    295,250    295,250           1     204,350            90,900
AUSPEX SYSTEMS INC.                  Common  052116100     9,587  1,941,578  1,941,578           1   1,755,178           186,400
AVALONBAY COMMUNITIES INC            Common  053484101        92      2,200      2,200           1       2,200
BAKER HUGHES                         Common  057224107    14,632    457,250    457,250           1     331,150           126,100
BARR LABORATORIES IN                 Common  068306109     7,421    165,600    165,600           1     145,950            19,650
BARRETT RESOURCES CORP               Common  068480201     2,739     90,000     90,000           1      79,300            10,700
BECTON DICKINSON & CO                Common  075887109     8,816    307,300    307,300           1     223,700            83,600
BIOGEN INC                           Common  090597105     7,127    110,500    110,500           1      80,800            29,700
BOSTON PROPERTIES INC.               Common  101121101       406     10,500     10,500           1      10,500
BRE PROPERTIES CL A                  Common  05564e106        49      1,700      1,700           1       1,700
BRITISH AIRWAYS-SPONS ADR            Common  110419306     8,852    153,950    153,950           1     111,650            42,300
BUDGET GROUP INC-CL A                Common  119003101     3,389    821,500    821,500           1     724,200            97,300
BURLINGTON RESOURCES                 Common  122014103    10,809    282,600    282,600           1     205,500            77,100
CAMDEN PROPERTY TRUST                Common  133131102       274      9,317      9,317           1       9,317
CARNIVAL CORP                        Common  143658102     4,623    237,100    237,100           1     172,200            64,900
CCC INFORMATION SVS GRP              Common  12487Q109     1,854    174,500    174,500           1     151,800            22,700
CENDANT CORP COM                     Common  151313103       420     30,000     30,000           1      30,000
CENTURY ALUMINUM                     Common  156431108    12,252  1,126,590  1,126,590           1   1,010,988           115,602
CENTURYTEL INC                       Common  156700106     8,816    306,650    306,650           1     222,350            84,300
CHECKPOINT SYSTEMS INC               Common  162825103    10,081  1,344,135  1,344,135           1   1,200,335           143,800
CHOICE HOTELS INTL INC               Common  169905106       149     15,000     15,000           1      15,000
CHUBB CORP                           Common  171232101    10,886    177,000    177,000           1     129,300            47,700
COLUMBIA ENERGY GROUP                Common  197648108    11,635    177,300    177,300           1     128,800            48,500
COMCAST CORP-SPECIAL CL A            Common  200300200    16,141    398,550    398,550           1     289,450           109,100
COMMERCE ONE INC                     Common  200693109        18        400        400           1         400
COMMERCIAL ASSETS INC DEL            Common  201119104       278     55,600     55,600           1      55,600
COMPAQ COMPUTER                      Common  204493100    11,623    454,700    454,700           1     330,200           124,500
COMPUTER ASSOCIATES                  Common  204912109     9,285    181,400    181,400           1     131,500            49,900
CONVERGYS CORP                       Common  212485106    11,560    222,850    222,850           1     160,650            62,200
CORRECTIONAL PROPERTIES TRUST        Common  22025E104       326     31,000     31,000           1      31,000
COSTAR GROUP INC                     Common  22160N109        50      2,000      2,000           1       2,000
COUNTRYWIDE CR INDS                  Common  222372104     8,269    272,800    272,800           1     197,700            75,100
COVANCE INC                          Common  222816100     5,396    612,300    612,300           1     540,300            72,000
COVENTRY HEALTHCARE CORP.            Common  222862104    20,443  1,533,804  1,533,804           1   1,372,604           161,200
CROWN AMERICAN RE TRUST              Common  228186102       394     73,300     73,300           1      73,300
DAIMLERCHRYSLER AG                   Common  D1668R123     8,616    165,500    165,500           1     120,500            45,000
DALEEN TECHNOLOGIES INC              Common  23437N104     5,079    329,000    329,000           1     290,200            38,800
DARDEN RESTAURANTS INC               Common  237194105    12,807    788,150    788,150           1     573,150           215,000
DELPHI AUTOMOTIVE SYSTEMS            Common  247126105     5,483    376,500    376,500           1     275,400           101,100
DELUXE CORP                          Common  248019101    11,416    484,500    484,500           1     351,500           133,000
DUKE ENERGY CORP.                    Common  264399106    10,387    184,250    184,250           1     133,650            50,600
DUN & BRADSTREET CORP                Common  26483B106     5,761    201,250    201,250           1     147,550            53,700
E.SPIRE COMMUNICATIONS INC           Common  269153102     8,488  1,257,500  1,257,500           1   1,113,300           144,200
EASTMAN KODAK CO                     Common  277461109    15,634    262,750    262,750           1     191,150            71,600
EQUITY OFFICE PROPERTIES TRUST       Common  294741103       477     17,300     17,300           1      17,300
EQUITY RESIDENTIAL PROPERTYS         Common  29476L107        46      1,000      1,000           1       1,000
<PAGE>
FORM 13F INFORMATION TABLE

REPORTING MANAGER
Crabbe Huson Group, Inc.  6/30/2000

                                     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

                                     ------  ---------  -------- ---------- ----------  ----------  ---------- ------- ---------
FEDERATED DEPT STORES                Common  31410H101        15        450        450           1         450
FIDELITY NATIONAL FINL INC.          Common  316326107     9,330    509,500    509,500           1     449,800            59,700
FIRST UNION CORP                     Common  337358105     6,678    269,150    269,150           1     196,050            73,100
FLANDERS CORP                        Common  338494107     7,622  2,102,700  2,102,700           1   1,871,900           230,800
FLEMING COMPANIES INC                Common  339130106    12,490    956,161    956,161           1     852,261           103,900
FORD MOTOR COMPANY                   Common  345370100    11,909    276,950    276,950           1     209,050            67,900
FOREST OIL CORP.                     Common  346091606    18,108  1,136,185  1,136,185           1   1,013,785           122,400
FRANCHISE FINANCE CORP OF AMER       Common  351807102       405     17,600     17,600           1      17,600
FRITZ COMPANIES INC                  Common  358846103     6,131    594,500    594,500           1     524,400            70,100
FRONTIER AIRLINES                    Common  359065109     6,962    486,400    486,400           1     428,200            58,200
GLIMCHER REALTY TRUST                Common  379302102       247     17,150     17,150           1      17,150
GOLF TRUST OF AMER                   Common  38168B103       297     18,700     18,700           1      18,700
GOODRICH (B.F.) CO                   Common  382388106     8,311    244,000    244,000           1     177,500            66,500
GRAINGER, W.W.                       Common  384802104     5,061    164,250    164,250           1     119,750            44,500
GREY WOLF INC                        Common  397888108    28,225  5,644,974  5,644,974           1   5,055,174           589,800
HEALTH MGNT ASSOCIATES INC CL        Common  421933102    10,219    782,350    782,350           1     569,850           212,500
HEALTHCARE REALTY TRUST INC          Common  421946104        72      4,200      4,200           1       4,200
HEALTHEON/WEBMD CORP                 Common  422209106    10,497    708,650    708,650           1     516,550           192,100
HEALTHSOUTH CORP                     Common  421924101     8,906  1,239,100  1,239,100           1     898,200           340,900
HERTZ CORP CL A                      Common  428040109     8,702    310,100    310,100           1     225,700            84,400
HMT TECHNOLOGY CORP                  Common  403917107     4,140  2,703,428  2,703,428           1   2,425,728           277,700
HOLLYWOOD ENTERTAINMENT CORP         Common  436141105     6,298    799,700    799,700           1     705,800            93,900
HRPT PROPERTIES TRUST                Common  40426w101       184     30,000     30,000           1      30,000
IBP INC                              Common  449223106    12,027    779,050    779,050           1     563,650           215,400
IDEXX LABORATORIES INC               Common  45168D104     5,495    240,219    240,219           1     213,919            26,300
INPUT/OUTPUT INC.                    Common  457652105    11,628  1,378,168  1,378,168           1   1,215,668           162,500
INSIGHT COMMUNICATIONS               Common  45768v108     4,902    313,700    313,700           1     276,200            37,500
INTERGRAPH CORP                      Common  458683109     6,151    813,300    813,300           1     731,500            81,800
ISPAT INTERNATIONAL NV               Common  464899103    11,741  1,235,886  1,235,886           1   1,118,186           117,700
ITT EDUCATIONAL SERVICES             Common  45068B109     6,604    376,000    376,000           1     331,200            44,800
JB HUNT                              Common  445658107     6,680    432,720    432,720           1     388,820            43,900
JDN REALTY CORP                      Common  465917102       149     14,600     14,600           1      14,600
KENNEDY-WILSON INC                   Common  489399204       448     84,300     84,300           1      84,300
KILROY REALTY CORP                   Common  49427F108       150      5,800      5,800           1       5,800
LIZ CLAIBORNE INC.                   Common  539320101     5,473    155,250    155,250           1     112,850            42,400
LONGVIEW FIBRE CO                    Common  543213102    10,306    931,579    931,579           1     843,279            88,300
LUCENT TECHNOLOGIES INC              Common  549463107    16,211    273,600    273,600           1     198,100            75,500
MAIL-WELL INC COM                    Common  560321200    10,405  1,206,400  1,206,400           1   1,075,100           131,300
MANUFACTURED HOME COMMUNITIES        Common  564682102       395     16,500     16,500           1      16,500
MCDERMOTT INTL INC                   Common  580037109     6,716    762,100    762,100           1     551,600           210,500
MEDIAONE GROUP INC                   Common  58440J104    13,321    201,450    201,450           1     146,450            55,000
MEDICALOGIC/MEDSCAPE INC.            Common  584642102     6,555    708,600    708,600           1     629,900            78,700
MENTOR GRAPHICS CORP                 Common  587200106    13,903    699,537    699,537           1     625,437            74,100
MGIC INVESTMENT CORP                 Common  552848103     6,206    136,400    136,400           1      99,200            37,200
MICROSOFT CORP                       Common  594918104    15,412    192,650    192,650           1     139,550            53,100
MID ATLANTIC MEDICAL SVC             Common  59523C107    24,513  1,815,757  1,815,757           1   1,606,357           209,400
MIPS TECHNOLOGY INC CL B             Common  604567206     6,770    175,856    175,856           1     127,548            48,308
NUEVO ENERGY CO                      Common  670509108    10,155    538,033    538,033           1     483,333            54,700
OAKLEY INC                           Common  673662102    19,218  1,671,170  1,671,170           1   1,496,070           175,100
OMNICARE INC                         Common  681904108     5,239    578,100    578,100           1     511,800            66,300
P G & E CORP                         Common  69331C108         7        300        300           1         300
PEOPLESOFT INC                       Common  712713106     5,891    351,700    351,700           1     256,400            95,300
PHILIPS INTERNATIONAL REALTY         Common  718333107       209     12,000     12,000           1      12,000
PHILLIP MORRIS COMPANIES INC         Common  718154107    10,835    407,900    407,900           1     295,800           112,100
PHILLIPS VAN HEUSEN                  Common  718592108    14,548  1,531,389  1,531,389           1   1,370,589           160,800
PICTURETEL CORP.                     Common  720035302     5,129  1,953,872  1,953,872           1   1,740,372           213,500
PROLOGIS TRUST                       Common  743410102       352     16,500     16,500           1      16,500
PSINET INC                           Common  74437C101     5,332    212,200    212,200           1     153,000            59,200
PUBLIC STORAGE INC.                  Common  74460D109       949     40,500     40,500           1      40,500
QUANTUM CORP-HARD DISK DRIVE         Common  747906303        79      7,100      7,100           1       7,100
<PAGE>
FORM 13F INFORMATION TABLE

REPORTING MANAGER
Crabbe Huson Group, Inc.  6/30/2000

                                     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

                                     ------  ---------  -------- ---------- ----------  ----------  ---------- ------- ---------


RAYOVAC CORP                         Common  755081106    10,366    463,300    463,300           1     408,600            54,700
REGENCY REALTY CORP                  Common  758939102        81      3,400      3,400           1       3,400
REGIS CORP                           Common  758932107     5,268    421,400    421,400           1     371,800            49,600
SAFECO CORP                          Common  786429100        80      4,000      4,000           1       4,000
SANTE FE SNYDER CORP                 Common  80218K105    17,078  1,501,404  1,501,404           1   1,336,914           164,490
SARA LEE CORP                        Common  803111103     9,848    509,950    509,950           1     369,450           140,500
SCHLUMBERGER LTD                     Common  806857108    10,306    138,100    138,100           1     100,600            37,500
SENSORMATIC ELECTRONICS              Common  817265101    12,942    818,485    818,485           1     732,085            86,400
SILICON GRAPHICS INC                 Common  827056102     4,759  1,268,950  1,268,950           1     920,350           348,600
SILVERLEAF RESORTS INC.              Common  828395103       105     39,100     39,100           1      39,100
SIMON PROPERTY GROUP INC             Common  828806109       314     14,140     14,140           1      14,140
SITEL CORP                           Common  82980k107     6,755  1,368,100  1,368,100           1   1,217,900           150,200
SMARTDISK CORP                       Common  83169q105     2,824    102,700    102,700           1      90,400            12,300
SMITH INTERNATIONAL INC              Common  832110100     4,016     55,150     55,150           1      40,050            15,100
SPRINT CORP COM                      Common  852061100     6,089    119,400    119,400           1      86,600            32,800
STANCORP FINANCIAL GROUP             Common  852891100    16,259    506,128    506,128           1     448,328            57,800
SUNGLASS HUT INTL                    Common  86736f106     4,204    511,500    511,500           1     450,400            61,100
TAUBMAN CENTERS INC.                 Common  876664103       326     29,600     29,600           1      29,600
TENET HEALTHCARE CORP                Common  88033G100    12,172    450,800    450,800           1     328,700           122,100
TOM BROWN, INC                       Common  115660201     5,692    246,820    246,820           1     218,020            28,800
TRAMMELL CROW CO                     Common  89288R106       377     35,100     35,100           1      35,100
TRIZEC HAHN CORPORATION              Common  896938107       366     20,500     20,500           1      20,500
TYCO INTERNATIONAL LTD               Common  902124106     9,079    191,650    191,650           1     139,150            52,500
UCAR INTERNATIONAL INC               Common  90262K109     3,247    248,600    248,600           1     217,700            30,900
UNION PACIFIC RESOURCES              Common  907834105    13,388    608,550    608,550           1     434,050           174,500
UNITEDHEALTH GROUP INC               Common  91324P102    13,853    161,550    161,550           1     117,050            44,500
UNOVA INC                            Common  91529b106     1,757    240,300    240,300           1     211,400            28,900
US BANCORP                           Common  902973106    11,900    618,200    618,200           1     448,800           169,400
USG CORP                             Common  903293405     1,540     50,700     50,700           1      44,700             6,000
USX-MARATHON GROUP                   Common  902905827     9,717    387,700    387,700           1     281,900           105,800
VISTEON CORP                         Common  92839U107         2        125        125           1         125
VORNADO REALTY TRUST                 Common  929042109       302      8,700      8,700           1      18,700
VYSIS INC                            Common  928961101     2,977    267,614    267,614           1     267,614
WABASH NATIONAL CORP                 Common  929566107     9,195    770,301    770,301           1     694,101            76,200
WARNACO GROUP-CL A                   Common  934390105     6,336    817,500    817,500           1     720,100            97,400
WASHINGTON MUTUAL INC                Common  939322103       110      3,800      3,800           1       3,800
WASTE MANAGEMENT INC                 Common  94106L109     2,393    125,950    125,950           1      90,550            35,400
WATSON PHARMACEUTICALS INC           Common  942683103    11,881    221,050    221,050           1     160,350            60,700
WEBLINK WIRELESS                     Common  94769A101     6,719    507,100    507,100           1     451,100            56,000
WELLMAN INC                          Common  949702104     5,923    365,900    365,900           1     326,400            39,500
WELLPOINT HEALTH NETWORKS            Common  94973H108     9,392    129,650    129,650           1      94,150            35,500
WESTERN GAS RES                      Common  958259103     6,777    322,718    322,718           1     284,118            38,600
WORLDCOM INC                         Common  98157D106     7,115    155,100    155,100           1     112,700            42,400
YELLOW CORPORATION                   Common  985509108     9,782    663,200    663,200           1     601,600            61,600

NUMBER OF ISSUES                     164               1,138,914
</TABLE>


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