FIRST PACIFIC ADVISORS INC
13F-HR, 1999-11-15
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                           UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                              Washington DC 20549

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 1999

Check here if Amendment [ ]; Amendment Number:

This Amendment: [ ] is a restatement.
                [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:        First Pacific Advisors, Inc.
Address:     11400 West Olympic Blvd.
             Suite 1200
             Los Angeles, CA  90064

Form 13F File Number: 28-04689

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:        J. Richard Atwood
Title:       Senior Vice President
Phone:       (310) 996-5458

Signature, Place, and Date of Signing:

J. Richard Atwood                       Los Angeles, CA  90064        11/12/99
- ------------------------------          --------------------          --------
Signature                               City, State                   Date

Report Type:

[X] 13F HOLDINGS REPORT
[ ] 13F NOTICE
[ ] 13F COMBINATION REPORT
<PAGE>

                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:         0

Form 13F Information Table Entry Total:              380

Form 13F Information Table Value Total:       $2,422,065

List of Other Included Managers:
NONE
<PAGE>
<TABLE>
<CAPTION>
                                                    FORM 13F INFORMATION TABLE

            COLUMN 1             COLUMN 2 COLUMN 3  COLUMN 4        COLUMN 5        COLUMN 6   COLUMN 7            COLUMN 8
- -------------------------------- -------- --------- -------- ---------------------- -------- ------------ --------------------------
                                  TITLE    CUSIP     VALUE     SHARES /    SH/ PUT/ INVSTMT     OTHER          VOTING AUTHORITY
         NAME OF ISSUER          OF CLASS  NUMBER   (x$1000) PRINCIPAL AMT PRN CALL DSCRETN    MANAGERS     SOLE    SHARED    NONE
- -------------------------------- -------- --------- -------- ------------- --- ---- -------- ------------ -------- -------- --------
<S>                              <C>      <C>       <C>      <C>           <C> <C>  <C>      <C>          <C>      <C>      <C>
AVX CORPORATION                  COMMON   002444107    21953        625000 SH       SOLE     9                                625000
AVX CORPORATION                  COMMON   002444107     8960        255100 SH       DEFINED  1                       255100
ADOBE SYSTEMS INCORPORATED       COMMON   00724F101    27308        240600 SH       SOLE     9                                240600
ADVANCED NEUROMODULATION SYSTEMS COMMON   00757T101      330         40000 SH       DEFINED  3                        40000
ADVANCED NEUROMODULATION SYSTEMS COMMON   00757T101      825        100000 SH       DEFINED  3                                100000
AIRBORNE FREIGHT CORPORATION     COMMON   009266107     2106        100000 SH       DEFINED  3                       100000
AIRNET SYSTEMS, INC.             COMMON   009417106      183         20000 SH       DEFINED  1                        20000
ALAMO GROUP, INC.                COMMON   011311107      270         29184 SH       DEFINED  3                        29184
AMERCO                           COMMON   023586100     4324        151400 SH       DEFINED  4                       151400
AMERCO                           COMMON   023586100     2856        100000 SH       DEFINED  2                                100000
AMERIPATH, INC.                  COMMON   03071D109      419         50000 SH       DEFINED  3                        50000
AMERIPATH, INC.                  COMMON   03071D109      544         65000 SH       DEFINED  3                                 65000
ANGELICA CORP.                   COMMON   034663104     5799        504300 SH       SOLE     9                                504300
ANGELICA CORP.                   COMMON   034663104     6073        528100 SH       DEFINED  1                       528100
ANGELICA CORP.                   COMMON   034663104     4830        420000 SH       DEFINED  1                                420000
APPLIED GRAPHICS TECHNOLOGIES    COMMON   037937109     7272        843180 SH       SOLE     9                                843180
APPLIED GRAPHICS TECHNOLOGIES    COMMON   037937109      104         12000 SH       DEFINED  1                        12000
ARROW ELECTRONICS INC.           COMMON   042735100    30629       1737800 SH       SOLE     9                               1737800
ARROW ELECTRONICS INC.           COMMON   042735100     3833        217500 SH       DEFINED  4                       217500
ARROW ELECTRONICS INC.           COMMON   042735100     2679        152000 SH       DEFINED  2                                152000
ARROW ELECTRONICS INC.           COMMON   042735100    18506       1050000 SH       DEFINED  1                      1050000
ARROW ELECTRONICS INC.           COMMON   042735100    21309       1209000 SH       DEFINED  1                               1209000
AVNET, INC.                      COMMON   053807103     3395         80829 SH       DEFINED  1                        80829
AVNET, INC.                      COMMON   053807103     4591        109299 SH       DEFINED  1                                109299
BACOU USA INC.                   COMMON   056439102     8320        498600 SH       SOLE     9                                498600
BELDEN INC.                      COMMON   077459105    22124       1079200 SH       SOLE     9                               1079200
BELDEN INC.                      COMMON   077459105     2782        135700 SH       DEFINED  1                       135700
BELDEN INC.                      COMMON   077459105     5945        290000 SH       DEFINED  1                                290000
BELL SPORTS CORP CV              CONVERT  077903AA0      327           385 PRN      SOLE     9                                   385
BELLWETHER EXPLORATION CO.       COMMON   079895207     1188        190000 SH       DEFINED  3                       190000
BLACK BOX CORPORATION            COMMON   091826107    23111        440200 SH       SOLE     9                                440200
BLACK BOX CORPORATION            COMMON   091826107      105          2000 SH       DEFINED  1                         2000
BROWN & BROWN INC.               COMMON   115236101     9633        289700 SH       SOLE     9                                289700
CKE RESTAURANTS, INC.            COMMON   12561E105     1053        145300 SH       DEFINED  4                       145300
CKE RESTAURANTS, INC.            COMMON   12561E105      957        132000 SH       DEFINED  2                                132000
CKE RESTAURANTS, INC.            COMMON   12561E105      341         47100 SH       DEFINED  1                        47100
CKE RESTAURANTS, INC. CV         CONVERT  12561EAB1     7680         12000 PRN      SOLE     9                                 12000
CKE RESTAURANTS, INC. CV         CONVERT  12561EAB1     3124          4881 PRN      DEFINED  4                         4881
CKE RESTAURANTS, INC. CV         CONVERT  12561EAB1     1574          2460 PRN      DEFINED  2                                  2460
CKE RESTAURANTS, INC. CV         CONVERT  12561EAB1      512           800 PRN      DEFINED  1                          800
CKE RESTAURANTS, INC. CV         CONVERT  12561EAB1     1280          2000 PRN      DEFINED  1                                  2000
CPI CORP.                        COMMON   125902106    10150        296900 SH       SOLE     9                                296900
CPI CORP.                        COMMON   125902106    13328        389850 SH       DEFINED  1                       389850
CPI CORP.                        COMMON   125902106    13128        384000 SH       DEFINED  1                                384000
CAPITAL AUTOMOTIVE REIT          COMMON   139733109     2434        196700 SH       DEFINED  4                       196700
CAPITAL AUTOMOTIVE REIT          COMMON   139733109       15          1200 SH       DEFINED  2                                  1200
CARNIVAL CORPORATION             COMMON   143658102    10292        236600 SH       SOLE     9                                236600
CENTER TRUST, INC. "A" CV        CONVERT  151845AA2     5627          5908 PRN      SOLE     9                                  5908
CENTER TRUST, INC. "A" CV        CONVERT  151845AA2     1448          1520 PRN      DEFINED  4                         1520
CENTER TRUST, INC. "A" CV        CONVERT  151845AA2      548           575 PRN      DEFINED  2                                   575
CENTRAL GARDEN & PET CO. CV      CONVERT  153527AC0     1778          2500 PRN      SOLE     9                                  2500
CHAMPION ENTERPRISES, INC.       COMMON   158496109     9858       1095300 SH       SOLE     9                               1095300
CHAMPION ENTERPRISES, INC.       COMMON   158496109     9953       1105900 SH       DEFINED  1                      1105900
CHAMPION ENTERPRISES, INC.       COMMON   158496109    10525       1169400 SH       DEFINED  1                               1169400
CHANNELL COMMERCIAL CORP.        COMMON   159186105     3178        313900 SH       SOLE     9                                313900
CHANNELL COMMERCIAL CORP.        COMMON   159186105      153         15100 SH       DEFINED  1                        15100
CHARMING SHOPPES, INC.           COMMON   161133103     3562        695000 SH       DEFINED  1                       695000
CHARMING SHOPPES INC. CV         CONVERT  161133AA1     6370          7000 PRN      SOLE     9                                  7000
CHARMING SHOPPES INC. CV         CONVERT  161133AA1     3153          3465 PRN      DEFINED  4                         3465
CHARMING SHOPPES INC. CV         CONVERT  161133AA1     1142          1255 PRN      DEFINED  2                                  1255
CHARMING SHOPPES INC. CV         CONVERT  161133AA1      910          1000 PRN      DEFINED  1                         1000
CHARMING SHOPPES INC. CV         CONVERT  161133AA1     6552          7200 PRN      DEFINED  1                                  7200
CHECKPOINT SYSTEMS, INC.         CONVERT  162825AB9     1460          2000 PRN      SOLE     9                                  2000
CIRCUIT CITY STORES INC.         COMMON   172737108    14715        348800 SH       SOLE     9                                348800
CLAYTON HOMES, INC.              COMMON   184190106     7397        851500 SH       SOLE     9                                851500
COACHMEN INDS INC.               COMMON   189873102    13028        840500 SH       SOLE     9                                840500
COACHMEN INDS INC.               COMMON   189873102     2403        155000 SH       DEFINED  4                       155000
COACHMEN INDS INC.               COMMON   189873102     1294         83500 SH       DEFINED  2                                 83500
COACHMEN INDS INC.               COMMON   189873102    12147        783700 SH       DEFINED  1                       783700
COACHMEN INDS INC.               COMMON   189873102    11571        746500 SH       DEFINED  1                                746500
COLE NATIONAL CORPORATION        COMMON   193290103      304         39500 SH       DEFINED  1                        39500
COLUMBIA HCA HEALTHCARE CORP.    COMMON   197677107      404         19048 SH       DEFINED  3                        19048
COMDISCO INC.                    COMMON   200336105    16738        866700 SH       SOLE     9                                866700
COMDISCO INC.                    COMMON   200336105    13511        699600 SH       DEFINED  1                       699600
COMDISCO INC.                    COMMON   200336105    17592        910900 SH       DEFINED  1                                910900
CONSECO, INC.                    COMMON   208464107    25004       1316000 SH       SOLE     9                               1316000
CONSECO, INC.                    COMMON   208464107     2964        156000 SH       DEFINED  4                       156000
CONSECO, INC.                    COMMON   208464107     1559         82039 SH       DEFINED  2                                 82039
CONSECO, INC.                    COMMON   208464107    23209       1221541 SH       DEFINED  1                      1221541
CONSECO, INC.                    COMMON   208464107    26798       1410400 SH       DEFINED  1                               1410400
CONSOLIDATED STORES CORPORATION  COMMON   210149100    32542       1475000 SH       SOLE     9                               1475000
CONSOLIDATED STORES CORPORATION  COMMON   210149100     7406        335700 SH       DEFINED  4                       335700
CONSOLIDATED STORES CORPORATION  COMMON   210149100     4768        216100 SH       DEFINED  2                                216100
CONSOLIDATED STORES CORPORATION  COMMON   210149100    30396       1377700 SH       DEFINED  1                      1377700
CONSOLIDATED STORES CORPORATION  COMMON   210149100    34065       1544000 SH       DEFINED  1                               1544000
COUNTRYWIDE CREDIT INDUSTRIES    COMMON   222372104     4067        126100 SH       SOLE     9                                126100
COUNTRYWIDE CREDIT INDUSTRIES    COMMON   222372104     4054        125700 SH       DEFINED  1                       125700
COUNTRYWIDE CREDIT INDUSTRIES    COMMON   222372104     6076        188400 SH       DEFINED  1                                188400
CRAIG CORP.                      COMMON   224174102      213         32200 SH       DEFINED  1                        32200
CRAIG CORP CL A PFD              COMMON   224174201     1749        269000 SH       SOLE     9                                269000
CRAIG CORP CL A PFD              COMMON   224174201     1743        268200 SH       DEFINED  1                       268200
CRAIG CORP CL A PFD              COMMON   224174201     2335        359200 SH       DEFINED  1                                359200
CRANE CO.                        COMMON   224399105    12094        539000 SH       SOLE     9                                539000
CROWN AMERICAN REALTY (REIT)     COMMON   228186102     3425        532000 SH       DEFINED  4                       532000
CROWN AMERICAN REALTY (REIT)     COMMON   228186102     1701        264250 SH       DEFINED  2                                264250
CROWN AMERICAN REALTY 11.00% PFD COMMON   228186201     4847        117500 SH       SOLE     9                                117500
CROWN AMERICAN REALTY 11.00% PFD COMMON   228186201     2867         69500 SH       DEFINED  4                        69500
CROWN AMERICAN REALTY 11.00% PFD COMMON   228186201      908         22000 SH       DEFINED  2                                 22000
CROWN AMERICAN REALTY 11.00% PFD COMMON   228186201      825         20000 SH       DEFINED  1                        20000
DBT ONLINE, INC.                 COMMON   233044106    11197        449000 SH       DEFINED  3                       449000
DBT ONLINE, INC.                 COMMON   233044106      998         40000 SH       DEFINED  3                                 40000
DRS TECHNOLOGIES, INC            COMMON   23330X100     4287        428700 SH       SOLE     9                                428700
DRS TECHNOLOGIES, INC            COMMON   23330X100     4073        407300 SH       DEFINED  1                       407300
DRS TECHNOLOGIES, INC            COMMON   23330X100     2471        247100 SH       DEFINED  1                                247100
DRS TECHNOLOGIES, INC. CV        CONVERT  23330XAB6     4480          4000 PRN      SOLE     9                                  4000
DRS TECHNOLOGIES, INC. CV        CONVERT  23330XAB6      560           500 PRN      DEFINED  1                                   500
DAL-TILE INTERNATIONAL INC.      COMMON   23426R108     1191        150000 SH       DEFINED  3                       150000
DAY RUNNER, INC.                 COMMON   239545106      669         79900 SH       DEFINED  4                        79900
DAY RUNNER, INC.                 COMMON   239545106      813         97100 SH       DEFINED  2                                 97100
DAY RUNNER, INC.                 COMMON   239545106      162         19400 SH       DEFINED  1                        19400
DE BEERS CONS. MINES -ADR        COMMON   240253302     2700        100000 SH       DEFINED  3                       100000
DENISON INTERNATIONAL PLC-ADR    COMMON   248335101     7690        661500 SH       SOLE     9                                661500
DENTSPLY INTERNATIONAL, INC.     COMMON   249030107    10090        443500 SH       SOLE     9                                443500
DONALDSON CO INC                 COMMON   257651109     8044        346900 SH       SOLE     9                                346900
DUCKWALL-ALCO STORES, INC.       COMMON   264142100      569         69000 SH       DEFINED  3                                 69000
EEX CORPORATION                  COMMON   26842V207     5875       2000000 SH       SOLE     9                               2000000
EEX CORPORATION                  COMMON   26842V207     3672       1250000 SH       DEFINED  3                      1250000
EEX CORPORATION                  COMMON   26842V207      382        130000 SH       DEFINED  3                                130000
ENSCO INTERNATIONAL, INC         COMMON   26874Q100    19208       1063400 SH       SOLE     9                               1063400
ENSCO INTERNATIONAL, INC         COMMON   26874Q100    16757        927700 SH       DEFINED  1                       927700
ENSCO INTERNATIONAL, INC         COMMON   26874Q100    18711       1035900 SH       DEFINED  1                               1035900
EXABYTE CORP                     COMMON   300615101     5111       1176600 SH       SOLE     9                               1176600
EXABYTE CORP                     COMMON   300615101     4472       1029600 SH       DEFINED  1                      1029600
EXABYTE CORP                     COMMON   300615101     4300        990000 SH       DEFINED  1                                990000
EXPEDITORS INT'L WASH., INC.     COMMON   302130109     4885        152200 SH       SOLE     9                                152200
FEDDERS CORPORATION              COMMON   313135105      720        120000 SH       DEFINED  1                       120000
FEDDERS CORPORATION              COMMON   313135105      749        124800 SH       DEFINED  1                                124800
FEDDERS CORPORATION CLASS A      COMMON   313135303     1169        236800 SH       DEFINED  1                       236800
FEDDERS CORPORATION CLASS A      COMMON   313135303      494        100000 SH       DEFINED  1                                100000
FEDERAL SIGNAL CORP              COMMON   313855108     3643        183300 SH       SOLE     9                                183300
THE FINISH LINE, INC.- CLASS A   COMMON   317923100      147         16800 SH       DEFINED  4                        16800
THE FINISH LINE, INC.- CLASS A   COMMON   317923100      734         83900 SH       DEFINED  2                                 83900
THE FINISH LINE, INC.- CLASS A   COMMON   317923100      309         35300 SH       DEFINED  1                        35300
FLEETWOOD ENTERPRISES, INC.      COMMON   339099103     1696         84000 SH       DEFINED  1                        84000
FLEETWOOD ENTERPRISES, INC.      COMMON   339099103     4381        217000 SH       DEFINED  1                                217000
FLEXSTEEL INDUSTRIES INC         COMMON   339382103     1816        134500 SH       SOLE     9                                134500
FLEXSTEEL INDUSTRIES INC         COMMON   339382103     1994        147700 SH       DEFINED  1                       147700
FLEXSTEEL INDUSTRIES INC         COMMON   339382103     1620        120000 SH       DEFINED  1                                120000
FLORIDA ROCK INDS INC            COMMON   341140101     5383        154900 SH       DEFINED  1                       154900
FLORIDA ROCK INDS INC            COMMON   341140101    10324        297100 SH       DEFINED  1                                297100
FOREMOST CORP AMERICA            COMMON   345469100     3026        126100 SH       SOLE     9                                126100
FOREMOST CORP AMERICA            COMMON   345469100     7008        292000 SH       DEFINED  4                       292000
FOREMOST CORP AMERICA            COMMON   345469100     3996        166500 SH       DEFINED  2                                166500
FOREMOST CORP AMERICA            COMMON   345469100     3036        126500 SH       DEFINED  1                       126500
FOREMOST CORP AMERICA            COMMON   345469100    10176        424000 SH       DEFINED  1                                424000
FRITZ COMPANIES, INC.            COMMON   358846103     5227        503800 SH       DEFINED  4                       503800
FRITZ COMPANIES, INC.            COMMON   358846103     2906        280100 SH       DEFINED  2                                280100
FRITZ COMPANIES, INC.            COMMON   358846103      374         36000 SH       DEFINED  1                        36000
GPA GROUP CV PREFERENCE SH 10%   COMMON   361931992      950          9124 SH       DEFINED  4                         9124
GALILEO INTERNATIONAL, INC.      COMMON   363547100    13013        323300 SH       SOLE     9                                323300
GOOD GUYS INC                    COMMON   382091106     2813        441300 SH       SOLE     9                                441300
GOOD GUYS INC                    COMMON   382091106     1041        163300 SH       DEFINED  4                       163300
GOOD GUYS INC                    COMMON   382091106      122         19200 SH       DEFINED  2                                 19200
GOOD GUYS INC                    COMMON   382091106     5446        854200 SH       DEFINED  1                       854200
GOOD GUYS INC                    COMMON   382091106     3666        575000 SH       DEFINED  1                                575000
GRACO, INC.                      COMMON   384109104    20257        617350 SH       SOLE     9                                617350
GYMBOREE CORPORATION             COMMON   403777105     9823       1428800 SH       SOLE     9                               1428800
GYMBOREE CORPORATION             COMMON   403777105      499         72600 SH       DEFINED  4                        72600
GYMBOREE CORPORATION             COMMON   403777105     1119        162700 SH       DEFINED  2                                162700
GYMBOREE CORPORATION             COMMON   403777105     5769        839100 SH       DEFINED  1                       839100
GYMBOREE CORPORATION             COMMON   403777105     2406        350000 SH       DEFINED  1                                350000
HEILIG-MEYERS COMPANY            COMMON   422893107     5340       1124200 SH       DEFINED  3                      1124200
HOMEBASE, INC.                   COMMON   43738E108     8070       2049400 SH       SOLE     9                               2049400
HOMEBASE, INC.                   COMMON   43738E108      504        128000 SH       DEFINED  4                       128000
HOMEBASE, INC.                   COMMON   43738E108      245         62300 SH       DEFINED  2                                 62300
HOMEBASE, INC.                   COMMON   43738E108     6254       1588200 SH       DEFINED  1                      1588200
HOMEBASE, INC.                   COMMON   43738E108     6061       1539400 SH       DEFINED  1                               1539400
HOMEBASE, INC. CV RULE 144A      CONVERT  43738EAA6     2529          3665 PRN      DEFINED  4                         3665
HOMEBASE, INC. CV RULE 144A      CONVERT  43738EAA6      138           200 PRN      DEFINED  1                          200
HOMEBASE, INC. CV                CONVERT  43738EAB4     5728          8302 PRN      SOLE     9                                  8302
HOMEBASE, INC. CV                CONVERT  43738EAB4      383           555 PRN      DEFINED  4                          555
HOMEBASE, INC. CV                CONVERT  43738EAB4      856          1240 PRN      DEFINED  2                                  1240
HOMEBASE, INC. CV                CONVERT  43738EAB4      276           400 PRN      DEFINED  1                          400
HOMESTAKE MINING COMPANY         COMMON   437614100    17456       1900000 SH       SOLE     9                               1900000
HOMESTAKE MINING COMPANY         COMMON   437614100     1838        200000 SH       DEFINED  3                       200000
HON INDUSTRIES INC.              COMMON   438092108    12805        665200 SH       SOLE     9                                665200
HORACE MANN EDUCATORS CORP.      COMMON   440327104     7744        300000 SH       SOLE     9                                300000
HORACE MANN EDUCATORS CORP.      COMMON   440327104     9158        354800 SH       DEFINED  1                       354800
HORACE MANN EDUCATORS CORP.      COMMON   440327104     9329        361400 SH       DEFINED  1                                361400
HUTCHINSON TECHNOLOGY INC.       COMMON   448407106    16856        624300 SH       SOLE     9                                624300
HUTCHINSON TECHNOLOGY INC.       COMMON   448407106    17034        630900 SH       DEFINED  1                       630900
HUTCHINSON TECHNOLOGY INC.       COMMON   448407106    18368        680300 SH       DEFINED  1                                680300
IHOP CORP.                       COMMON   449623107     3524        174000 SH       DEFINED  4                       174000
IHOP CORP.                       COMMON   449623107     1278         63100 SH       DEFINED  2                                 63100
IDEX CORP.                       COMMON   45167R104    16300        575700 SH       SOLE     9                                575700
INT'L ALUMINUM CORP.             COMMON   458884103     4633        168100 SH       SOLE     9                                168100
INT'L ALUMINUM CORP.             COMMON   458884103     5331        193400 SH       DEFINED  1                       193400
INT'L ALUMINUM CORP.             COMMON   458884103     1378         50000 SH       DEFINED  1                                 50000
INTERVOICE-BRITE, INC.           COMMON   461142101      135         12192 SH       DEFINED  3                        12192
INTERVOICE-BRITE, INC.           COMMON   461142101      140         12681 SH       DEFINED  3                                 12681
IVAX CORPORATION CV              CONVERT  465823AA0     1444          1500 PRN      SOLE     9                                  1500
JLK DIRECT DISTRIBUTION, INC.    COMMON   46621C105     6211        828100 SH       SOLE     9                                828100
JLK DIRECT DISTRIBUTION, INC.    COMMON   46621C105      128         17000 SH       DEFINED  4                        17000
JLK DIRECT DISTRIBUTION, INC.    COMMON   46621C105       94         12500 SH       DEFINED  2                                 12500
JLK DIRECT DISTRIBUTION, INC.    COMMON   46621C105      191         25500 SH       DEFINED  1                        25500
JO-ANN STORES, INC.- CLASS A     COMMON   47758P109     5538        445300 SH       DEFINED  1                       445300
JO-ANN STORES, INC.- CLASS A     COMMON   47758P109     5535        445000 SH       DEFINED  1                                445000
JO-ANN STORES, INC. - CLASS B    COMMON   47758P208     6404        624800 SH       DEFINED  1                       624800
JO-ANN STORES, INC. - CLASS B    COMMON   47758P208     4684        457000 SH       DEFINED  1                                457000
KAYDON CORP                      COMMON   486587108    11786        473800 SH       SOLE     9                                473800
KEITHLEY INSTRUMENTS, INC.       COMMON   487584104     2385        168100 SH       SOLE     9                                168100
KEITHLEY INSTRUMENTS, INC.       COMMON   487584104     3063        215900 SH       DEFINED  1                       215900
KEITHLEY INSTRUMENTS, INC.       COMMON   487584104     4114        290000 SH       DEFINED  1                                290000
KEMET CORPORATION                COMMON   488360108    70012       2190000 SH       SOLE     9                               2190000
KEMET CORPORATION                COMMON   488360108    33161       1037300 SH       DEFINED  1                      1037300
KEMET CORPORATION                COMMON   488360108    33698       1054100 SH       DEFINED  1                               1054100
KIMCO REALTY CORPORATION         COMMON   49446R109       29           800 SH       DEFINED  2                                   800
KIMCO REALTY 7.50% SERIES D      COMMON   49446R877        6           288 SH       DEFINED  2                                   288
KOGER EQUITY, INC.               COMMON   500228101     4800        300000 SH       SOLE     9                                300000
LA-Z-BOY INCORPORATED            COMMON   505336107     1563         82000 SH       DEFINED  1                        82000
LA-Z-BOY INCORPORATED            COMMON   505336107     2669        140000 SH       DEFINED  1                                140000
LANCASTER COLONY CORP.           COMMON   513847103    12925        403900 SH       SOLE     9                                403900
LANDAUER INC                     COMMON   51476K103     7696        306300 SH       SOLE     9                                306300
LONE STAR STEAKHOUSE & SALOON    COMMON   542307103      449         58368 SH       DEFINED  3                        58368
LONE STAR STEAKHOUSE & SALOON    COMMON   542307103      331         43000 SH       DEFINED  3                                 43000
LONE STAR STEAKHOUSE & SALOON    COMMON   542307103     1591        207000 SH       DEFINED  1                       207000
LUBY'S, INC.                     COMMON   549282101     1725        150000 SH       SOLE     9                                150000
LUBY'S, INC.                     COMMON   549282101     5750        500000 SH       DEFINED  3                       500000
MAGELLAN HEALTH SERVICES, INC.   COMMON   559079108    13163       1800000 SH       SOLE     9                               1800000
MAGELLAN HEALTH SERVICES, INC.   COMMON   559079108     3656        500000 SH       DEFINED  3                       500000
MANPOWER INC.                    COMMON   56418H100    15908        546200 SH       SOLE     9                                546200
MANPOWER INC.                    COMMON   56418H100     6189        212500 SH       DEFINED  1                       212500
MANPOWER INC.                    COMMON   56418H100     7514        258000 SH       DEFINED  1                                258000
MARSHALL INDUSTRIES              COMMON   572393106    31025        850000 SH       SOLE     9                                850000
MARSHALL INDUSTRIES              COMMON   572393106    23981        657000 SH       DEFINED  1                       657000
MARSHALL INDUSTRIES              COMMON   572393106    17728        485700 SH       DEFINED  1                                485700
MASCOTECH, INC. CV               CONVERT  574670AB1     1600          2000 PRN      SOLE     9                                  2000
THE MCCLATCHY COMPANY            COMMON   579489105     3714        103875 SH       DEFINED  1                       103875
THE MCCLATCHY COMPANY            COMMON   579489105     9558        267350 SH       DEFINED  1                                267350
MERRILL CORPORATION              COMMON   590175105     8408        421700 SH       DEFINED  1                       421700
MERRILL CORPORATION              COMMON   590175105    13159        660000 SH       DEFINED  1                                660000
METHODE ELECTRONICS, INC., CL A  COMMON   591520200    10953        580300 SH       SOLE     9                                580300
MICHAELS STORES, INC.            COMMON   594087108    37191       1260700 SH       SOLE     9                               1260700
MICHAELS STORES, INC.            COMMON   594087108     6171        209200 SH       DEFINED  4                       209200
MICHAELS STORES, INC.            COMMON   594087108     4171        141400 SH       DEFINED  2                                141400
MICHAELS STORES, INC.            COMMON   594087108    27414        929300 SH       DEFINED  1                       929300
MICHAELS STORES, INC.            COMMON   594087108    31123       1055000 SH       DEFINED  1                               1055000
MICHAELS STORES, INC. CV         CONVERT  594087AC2    16776         17250 PRN      SOLE     9                                 17250
MICHAELS STORES, INC. CV         CONVERT  594087AC2     4328          4450 PRN      DEFINED  4                         4450
MICHAELS STORES, INC. CV         CONVERT  594087AC2     1590          1635 PRN      DEFINED  2                                  1635
MICHAELS STORES, INC. CV         CONVERT  594087AC2     1070          1100 PRN      DEFINED  1                         1100
MIDAS INC.                       COMMON   595626102     5342        259000 SH       DEFINED  4                       259000
MIDAS INC.                       COMMON   595626102     2970        144000 SH       DEFINED  2                                144000
MORRISON KNUDSEN CORP.           COMMON   61844A109     8211        796232 SH       DEFINED  3                       796232
NCH CORP                         COMMON   628850109      904         20000 SH       DEFINED  1                        20000
NCH CORP                         COMMON   628850109     1473         32600 SH       DEFINED  1                                 32600
NCR CORPORATION                  COMMON   62886E108     2632         79600 SH       DEFINED  4                        79600
NCR CORPORATION                  COMMON   62886E108     1637         49500 SH       DEFINED  2                                 49500
NL INDUSTRIES, INC.              COMMON   629156407     1894        150000 SH       DEFINED  3                       150000
NATIONAL R.V. HOLDINGS, INC.     COMMON   637277104     2682        135800 SH       DEFINED  4                       135800
NATIONAL R.V. HOLDINGS, INC.     COMMON   637277104     1092         55275 SH       DEFINED  2                                 55275
NEUTRAL POSTURE ERGONOMICS, INC. COMMON   64125E105       53         30000 SH       DEFINED  3                        30000
NEW PLAN EXCEL REALTY TR         COMMON   648053205     4650        200000 SH       SOLE     9                                200000
NEWMONT MINING CORPORATION       COMMON   651639106    18113        700000 SH       SOLE     9                                700000
NEWMONT MINING CORPORATION       COMMON   651639106    10087        389832 SH       DEFINED  3                       389832
NEWMONT MINING CORPORATION       COMMON   651639106      957         37000 SH       DEFINED  3                                 37000
NOVACARE INC. CV SUB DEBENTURES  CONVERT  669930AA7     4732          5250 PRN      SOLE     9                                  5250
NOVACARE INC. CV SUB DEBENTURES  CONVERT  669930AA7      811           900 PRN      DEFINED  4                          900
OM GROUP INC                     COMMON   670872100    13777        359000 SH       SOLE     9                                359000
OAK TECHNOLOGY INC.              COMMON   671802106     4022        900000 SH       DEFINED  3                       900000
OAK TECHNOLOGY INC.              COMMON   671802106     1341        300000 SH       DEFINED  3                                300000
OAKLEY, INC.                     COMMON   673662102    11540       1865100 SH       SOLE     9                               1865100
OAKLEY, INC.                     COMMON   673662102     6913       1117280 SH       DEFINED  3                      1117280
OAKLEY, INC.                     COMMON   673662102      433         70000 SH       DEFINED  3                                 70000
OCULAR SCIENCES, INC.            COMMON   675744106    15500        800000 SH       SOLE     9                                800000
OFFICE DEPOT, INC.               COMMON   676220106     5658        538900 SH       SOLE     9                                538900
OFFSHORE LOGISTIC CV             CONVERT  676255AF9     6281          7500 PRN      SOLE     9                                  7500
OLSTEN CORPORATION               COMMON   681385100     2088        200000 SH       DEFINED  3                       200000
OREGON STEEL MLS INC.            COMMON   686079104    11077        990100 SH       SOLE     9                                990100
OREGON STEEL MLS INC.            COMMON   686079104    10457        934700 SH       DEFINED  1                       934700
OREGON STEEL MLS INC.            COMMON   686079104    10606        948000 SH       DEFINED  1                                948000
O'REILLY AUTOMOTIVE, INC.        COMMON   686091109    14087        295600 SH       SOLE     9                                295600
PBOC HOLDINGS, INC.              COMMON   69316G108      674         83000 SH       DEFINED  4                        83000
PBOC HOLDINGS, INC.              COMMON   69316G108      371         45600 SH       DEFINED  2                                 45600
PAGING NETWORK, INC.             COMMON   695542100      681        660000 SH       SOLE     9                                660000
PAGING NETWORK, INC.             COMMON   695542100      619        600000 SH       DEFINED  3                       600000
PAYLESS SHOESOURCE, INC.         COMMON   704379106     3131         62000 SH       DEFINED  4                        62000
PAYLESS SHOESOURCE, INC.         COMMON   704379106     2525         50000 SH       DEFINED  2                                 50000
PERSONNEL GROUP OF AMERICA CV    CONVERT  715338AE9      497           700 PRN      DEFINED  1                          700
PERSONNEL GROUP OF AMERICA CV    CONVERT  715338AE9     1704          2400 PRN      DEFINED  1                                  2400
PITTSTON BRINK'S GROUP           COMMON   725701106      844         36400 SH       DEFINED  4                        36400
PITTSTON BRINK'S GROUP           COMMON   725701106      378         16300 SH       DEFINED  2                                 16300
PLACER DOME, INC.                COMMON   725906101    16363       1100000 SH       SOLE     9                               1100000
PLACER DOME, INC.                COMMON   725906101     5950        400000 SH       DEFINED  3                       400000
PLAINS RESOURCES, INC.           COMMON   726540503     3202        178500 SH       DEFINED  4                       178500
PLAINS RESOURCES, INC.           COMMON   726540503     1001         55800 SH       DEFINED  2                                 55800
POLYMER GROUP, INC.              COMMON   731745105    39825       2700000 SH       SOLE     9                               2700000
POLYMER GROUP, INC.              COMMON   731745105     8351        566200 SH       DEFINED  3                       566200
POLYMER GROUP, INC.              COMMON   731745105      959         65000 SH       DEFINED  3                                 65000
PRICE ENTERPRISES, INC. PFD.     COMMON   741444301      188         12500 SH       DEFINED  4                        12500
PRICE ENTERPRISES, INC. PFD.     COMMON   741444301      357         23800 SH       DEFINED  2                                 23800
PRIME RETAIL, INC.               COMMON   741570105     3190        432600 SH       DEFINED  4                       432600
PRIME RETAIL, INC.               COMMON   741570105     1490        202000 SH       DEFINED  2                                202000
PRIME RETAIL INC. 8.5% SER. B CV COMMON   741570303      558         40000 SH       SOLE     9                                 40000
PRIME RETAIL INC. 8.5% SER. B CV COMMON   741570303     2666        191300 SH       DEFINED  4                       191300
PRIME RETAIL INC. 8.5% SER. B CV COMMON   741570303      810         58100 SH       DEFINED  2                                 58100
PRIME GROUP REALTY TRUST (REIT)  COMMON   74158J103      153         10200 SH       DEFINED  4                        10200
PRIME GROUP REALTY TRUST (REIT)  COMMON   74158J103      879         58600 SH       DEFINED  2                                 58600
PRISON REALTY TRUST, INC. (REIT) COMMON   74264N105     7740        720000 SH       SOLE     9                                720000
PRISON REALTY TRUST, INC. (REIT) COMMON   74264N105     8385        780000 SH       DEFINED  3                       780000
PUBLIC STORAGE INC.              COMMON   74460D109       63          2500 SH       DEFINED  2                                  2500
PUBLIC STORAGE INC CUM PFD SER C COMMON   74460D505       40          1800 SH       DEFINED  2                                  1800
QUANTUM HEALTH SUB DEBS CV       CONVERT  74763LAA3      915          1000 PRN      SOLE     9                                  1000
QUANTUM HEALTH SUB DEBS CV       CONVERT  74763LAA3      169           185 PRN      DEFINED  1                          185
RAWLINGS SPORTING GOODS CO.      COMMON   754459105     1761        189100 SH       SOLE     9                                189100
RAWLINGS SPORTING GOODS CO.      COMMON   754459105     3766        404400 SH       DEFINED  1                       404400
RAWLINGS SPORTING GOODS CO.      COMMON   754459105     2794        300000 SH       DEFINED  1                                300000
READ-RITE CORP. CV               CONVERT  755246AA3     4698         11055 PRN      SOLE     9                                 11055
READ-RITE CORP. CV               CONVERT  755246AA3      223           525 PRN      DEFINED  1                          525
READ-RITE CORP. CV               CONVERT  755246AA3      553          1300 PRN      DEFINED  1                                  1300
RECOTON CORP.                    COMMON   756268108     4255        630400 SH       SOLE     9                                630400
RECOTON CORP.                    COMMON   756268108      450         66600 SH       DEFINED  4                        66600
RECOTON CORP.                    COMMON   756268108      172         25500 SH       DEFINED  2                                 25500
RECOTON CORP.                    COMMON   756268108     4422        655100 SH       DEFINED  1                       655100
RECOTON CORP.                    COMMON   756268108     3547        525500 SH       DEFINED  1                                525500
REEBOK INTERNATIONAL LTD.        COMMON   758110100    12575       1176600 SH       SOLE     9                               1176600
REEBOK INTERNATIONAL LTD.        COMMON   758110100     1524        142600 SH       DEFINED  4                       142600
REEBOK INTERNATIONAL LTD.        COMMON   758110100     1015         95000 SH       DEFINED  2                                 95000
REEBOK INTERNATIONAL LTD.        COMMON   758110100     9121        853400 SH       DEFINED  1                       853400
REEBOK INTERNATIONAL LTD.        COMMON   758110100    11275       1055000 SH       DEFINED  1                               1055000
REMEDYTEMP, INC.                 COMMON   759549108      289         20100 SH       DEFINED  4                        20100
REMEDYTEMP, INC.                 COMMON   759549108      180         12500 SH       DEFINED  2                                 12500
REMEDYTEMP, INC.                 COMMON   759549108      137          9500 SH       DEFINED  1                         9500
REPTRON ELECTRONICS, INC. CV     CONVERT  76026WAA7     3107          6755 PRN      SOLE     9                                  6755
ROMAC INTERNATIONAL, INC.        COMMON   775835101     4141        500000 SH       SOLE     9                                500000
ROSS STORES INC.                 COMMON   778296103    34213       1700000 SH       SOLE     9                               1700000
ROSS STORES INC.                 COMMON   778296103    26994       1341300 SH       DEFINED  1                      1341300
ROSS STORES INC.                 COMMON   778296103    32381       1609000 SH       DEFINED  1                               1609000
ROUGE INDUSTRIES, INC. - CLASS A COMMON   779088103     3100        420300 SH       SOLE     9                                420300
ROUGE INDUSTRIES, INC. - CLASS A COMMON   779088103     3755        509200 SH       DEFINED  1                       509200
ROUGE INDUSTRIES, INC. - CLASS A COMMON   779088103     4241        575000 SH       DEFINED  1                                575000
SCHLUMBERGER LTD.                COMMON   806857108     5265         84500 SH       SOLE     9                                 84500
SCHWEITZER-MAUDUIT INT'L, INC.   COMMON   808541106     1348        104200 SH       DEFINED  4                       104200
SCHWEITZER-MAUDUIT INT'L, INC.   COMMON   808541106      458         35400 SH       DEFINED  2                                 35400
THE SCOTTS COMPANY CLASS A       COMMON   810186106      421         12160 SH       DEFINED  3                        12160
SEAGATE TECHNOLOGY               COMMON   811804103     2297         75000 SH       SOLE     9                                 75000
SEAGATE TECHNOLOGY               COMMON   811804103     2083         68000 SH       DEFINED  1                        68000
SEAGATE TECHNOLOGY               COMMON   811804103     3675        120000 SH       DEFINED  1                                120000
SOLA INTERNATIONAL INC.          COMMON   834092108      214         13800 SH       DEFINED  1                        13800
STANCORP FINANCIAL GROUP, INC.   COMMON   852891100      159          7100 SH       DEFINED  4                         7100
STANCORP FINANCIAL GROUP, INC.   COMMON   852891100     1101         49200 SH       DEFINED  2                                 49200
STORAGE TECHNOLOGY CORP.         COMMON   862111200    27918       1445600 SH       SOLE     9                               1445600
STORAGE TECHNOLOGY CORP.         COMMON   862111200     4944        256000 SH       DEFINED  4                       256000
STORAGE TECHNOLOGY CORP.         COMMON   862111200     2511        130000 SH       DEFINED  2                                130000
STORAGE TECHNOLOGY CORP.         COMMON   862111200    19741       1022200 SH       DEFINED  1                      1022200
STORAGE TECHNOLOGY CORP.         COMMON   862111200    22518       1166000 SH       DEFINED  1                               1166000
TECO ENERGY, INC.                COMMON   872375100     6338        300000 SH       DEFINED  3                       300000
TACO CABANA-CL A                 COMMON   873425102      388         40000 SH       DEFINED  3                        40000
TACO CABANA-CL A                 COMMON   873425102      678         70000 SH       DEFINED  3                                 70000
THOR INDS. INC.                  COMMON   885160101    14153        555000 SH       SOLE     9                                555000
THOR INDS. INC.                  COMMON   885160101    16323        640125 SH       DEFINED  1                       640125
THOR INDS. INC.                  COMMON   885160101    13515        530000 SH       DEFINED  1                                530000
TIME WARNER CAPITAL PFD TR SECS  COMMON   88731G204       22           900 SH       DEFINED  2                                   900
TITAN CORPORATION                COMMON   888266103     4169        290000 SH       DEFINED  3                       290000
TITAN CORPORATION                COMMON   888266103     2300        160000 SH       DEFINED  3                                160000
TRANSIT GROUP, INC.              COMMON   893691105     1859        443900 SH       DEFINED  3                       443900
TREEV, INC. SERIES A CV PFD      COMMON   894692201      450         66000 SH       SOLE     9                                 66000
TUPPERWARE CORPORATION           COMMON   899896104     1337         66000 SH       DEFINED  4                        66000
TUPPERWARE CORPORATION           COMMON   899896104      628         31000 SH       DEFINED  2                                 31000
US ONCOLOGY, INC.                COMMON   90338W103     9435       1041098 SH       DEFINED  3                      1041098
US ONCOLOGY, INC.                COMMON   90338W103      426         47000 SH       DEFINED  3                                 47000
UNIFI, INC.                      COMMON   904677101     1100        100000 SH       DEFINED  3                       100000
UNIFI, INC.                      COMMON   904677101        6           500 SH       DEFINED  1                          500
VALLEN CORP.                     COMMON   919260109      688         47424 SH       DEFINED  3                        47424
VALLEN CORP.                     COMMON   919260109      573         39500 SH       DEFINED  3                                 39500
VARIAN SEMICONDUCTOR EQUIP       COMMON   922207105      274         13000 SH       DEFINED  1                        13000
VENTAS INC.                      COMMON   92276F100     2830        595800 SH       DEFINED  4                       595800
VENTAS INC.                      COMMON   92276F100     1169        246200 SH       DEFINED  2                                246200
WFS FINANCIAL, INC.              COMMON   92923B106    13817        674000 SH       DEFINED  1                       674000
WASTE MANAGEMENT, INC.           COMMON   94106L109     6738        350000 SH       DEFINED  3                       350000
WESTCORP, INC.                   COMMON   957907108     3691        247100 SH       SOLE     9                                247100
WESTCORP, INC.                   COMMON   957907108     2371        158725 SH       DEFINED  1                       158725
WESTCORP, INC.                   COMMON   957907108     1299         86940 SH       DEFINED  1                                 86940
WORLD ACCESS INC. CV 144A        CONVERT  98141AAA9      990          1500 PRN      SOLE     9                                  1500
WORLD ACCESS INC. CV             CONVERT  98141AAC5     3963          6005 PRN      SOLE     9                                  6005
ZEBRA TECHNOLOGIES CORP. CLASS A COMMON   989207105    13641        300000 SH       SOLE     9                                300000
CENTER TRUST, INC. "B" CV        CONVERT  VV3054598     7909          8550 PRN      SOLE     9                                  8550
CENTER TRUST, INC. "B" CV        CONVERT  VV3054598     4607          4980 PRN      DEFINED  4                         4980
CENTER TRUST, INC. "B" CV        CONVERT  VV3054598     1018          1100 PRN      DEFINED  2                                  1100
CENTER TRUST, INC. "B" CV        CONVERT  VV3054598      601           650 PRN      DEFINED  1                          650
</TABLE>


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