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
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Check here if Amendment [ ]; Amendment Number:
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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
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[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).)
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FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 1
---------------------------
Form 13F Information Table Entry Total: 164
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Form 13F Information Table Value Total: $ 1,138,914
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(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.
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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
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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
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