FIRST PACIFIC ADVISORS INC
13F-HR, 2000-11-14
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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, 2000

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:       Principal and Chief Operating Officer
Phone:       (310) 996-5458

Signature, Place, and Date of Signing:

J. Richard Atwood                       Los Angeles, CA               11/10/00
------------------------------          --------------------          --------
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:              349

Form 13F Information Table Value Total:       $2,114,638

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>
AIRNET SYSTEMS, INC.             COMMON   009417106      365         80100 SH       DEFINED  4                        80100
AMERISOURCE HEALTH CORP. CL A    COMMON   03071P102    12742        271100 SH       DEFINED  4                       271100
AMERISOURCE HEALTH CORP. CL A    COMMON   03071P102    11327        241000 SH       DEFINED  4                                241000
AMERISOURCE HEALTH CORP. CL A    COMMON   03071P102     8042        171100 SH       OTHER    4                       171100
ANGELICA CORP.                   COMMON   034663104     4885        504300 SH       SOLE     1                                504300
ANGELICA CORP.                   COMMON   034663104     6818        703800 SH       DEFINED  4                       703800
ANGELICA CORP.                   COMMON   034663104     2616        270000 SH       DEFINED  4                                270000
ANGELICA CORP.                   COMMON   034663104      927         95700 SH       OTHER    4                        95700
ARROW ELECTRONICS INC.           COMMON   042735100    58417       1715000 SH       SOLE     1                               1715000
ARROW ELECTRONICS INC.           COMMON   042735100     1129         33150 SH       DEFINED  5                        33150
ARROW ELECTRONICS INC.           COMMON   042735100      307          9000 SH       DEFINED  5                                  9000
ARROW ELECTRONICS INC.           COMMON   042735100    34097       1001000 SH       DEFINED  4                      1001000
ARROW ELECTRONICS INC.           COMMON   042735100    21378        627600 SH       DEFINED  4                                627600
ARROW ELECTRONICS INC.           COMMON   042735100    15022        441000 SH       OTHER    4                       441000
AVNET, INC.                      COMMON   053807103    42846       1510000 SH       SOLE     1                               1510000
AVNET, INC.                      COMMON   053807103    24363        858614 SH       DEFINED  4                       858614
AVNET, INC.                      COMMON   053807103    17337        611000 SH       DEFINED  4                                611000
AVNET, INC.                      COMMON   053807103    12275        432600 SH       OTHER    4                       432600
BACOU USA INC.                   COMMON   056439102    14107        543900 SH       SOLE     1                                543900
BACOU USA INC.                   COMMON   056439102      270         10400 SH       DEFINED  1                        10400
BELDEN INC.                      COMMON   077459105    25369       1073800 SH       SOLE     1                               1073800
BELDEN INC.                      COMMON   077459105     2079         88000 SH       DEFINED  4                        88000
BELDEN INC.                      COMMON   077459105     7473        316300 SH       DEFINED  4                                316300
BELDEN INC.                      COMMON   077459105     3693        156300 SH       OTHER    4                       156300
BELL SPORTS CORP CV              CONVERT  077903AA0      381           385 PRN      SOLE     1                                   385
BLACK BOX CORPORATION            COMMON   091826107    14864        318800 SH       SOLE     1                                318800
BLACK BOX CORPORATION            COMMON   091826107      326          7000 SH       DEFINED  1                         7000
BROWN & BROWN INC.               COMMON   115236101    13256        416700 SH       SOLE     1                                416700
CEC ENTERTAINMENT INC            COMMON   125137109      640         20000 SH       SOLE     1                                 20000
CEC ENTERTAINMENT INC            COMMON   125137109      160          5000 SH       DEFINED  1                         5000
CKE RESTAURANTS, INC.            COMMON   12561E105      176         57400 SH       DEFINED  5                        57400
CKE RESTAURANTS, INC.            COMMON   12561E105       55         18000 SH       DEFINED  5                                 18000
CKE RESTAURANTS, INC.            COMMON   12561E105     4069       1328500 SH       DEFINED  4                      1328500
CKE RESTAURANTS, INC.            COMMON   12561E105     5021       1639500 SH       DEFINED  4                               1639500
CKE RESTAURANTS, INC.            COMMON   12561E105     3718       1214100 SH       OTHER    4                      1214100
CKE RESTAURANTS, INC. CV         CONVERT  12561EAB1     8550         19000 PRN      SOLE     1                                 19000
CKE RESTAURANTS, INC. CV         CONVERT  12561EAB1     1159          2576 PRN      DEFINED  5                         2576
CKE RESTAURANTS, INC. CV         CONVERT  12561EAB1      241           535 PRN      DEFINED  5                                   535
CKE RESTAURANTS, INC. CV         CONVERT  12561EAB1     2840          6310 PRN      DEFINED  4                         6310
CKE RESTAURANTS, INC. CV         CONVERT  12561EAB1      675          1500 PRN      OTHER    4                         1500
CPI CORP.                        COMMON   125902106     7013        330000 SH       SOLE     1                                330000
CPI CORP.                        COMMON   125902106    10553        496600 SH       DEFINED  4                       496600
CPI CORP.                        COMMON   125902106     5950        280000 SH       DEFINED  4                                280000
CPI CORP.                        COMMON   125902106     6522        306900 SH       OTHER    4                       306900
CALLAWAY GOLF COMPANY            COMMON   131193104      308         20000 SH       DEFINED  4                        20000
CAPITAL AUTOMOTIVE REIT          COMMON   139733109      870         66900 SH       DEFINED  5                        66900
CAPITAL AUTOMOTIVE REIT          COMMON   139733109       16          1200 SH       DEFINED  5                                  1200
CARNIVAL CORPORATION             COMMON   143658102    15676        636600 SH       SOLE     1                                636600
CENTER TRUST, INC. "A" CV        CONVERT  151845AA2     6443          6608 PRN      SOLE     1                                  6608
CENTER TRUST, INC. "A" CV        CONVERT  151845AA2       73            75 PRN      DEFINED  5                                    75
CENTEX CORPORATION               COMMON   152312104    17254        537100 SH       SOLE     1                                537100
CENTEX CORPORATION               COMMON   152312104    17322        539200 SH       DEFINED  4                       539200
CENTEX CORPORATION               COMMON   152312104    12953        403200 SH       DEFINED  4                                403200
CENTEX CORPORATION               COMMON   152312104     9316        290000 SH       OTHER    4                       290000
CENTRAL GARDEN & PET CO. CV      CONVERT  153527AC0     1588          2500 PRN      SOLE     1                                  2500
CHAMPION ENTERPRISES, INC.       COMMON   158496109     8090       1903600 SH       SOLE     1                               1903600
CHAMPION ENTERPRISES, INC.       COMMON   158496109     9030       2124800 SH       DEFINED  4                      2124800
CHAMPION ENTERPRISES, INC.       COMMON   158496109     6043       1421800 SH       DEFINED  4                               1421800
CHAMPION ENTERPRISES, INC.       COMMON   158496109     4494       1057500 SH       OTHER    4                      1057500
CHANNELL COMMERCIAL CORP.        COMMON   159186105     4140        313900 SH       SOLE     1                                313900
CHANNELL COMMERCIAL CORP.        COMMON   159186105      450         34100 SH       DEFINED  4                        34100
CHARMING SHOPPES, INC.           COMMON   161133103    14859       2847200 SH       DEFINED  4                      2847200
CHARMING SHOPPES, INC.           COMMON   161133103    12374       2371000 SH       DEFINED  4                               2371000
CHARMING SHOPPES, INC.           COMMON   161133103     8780       1682300 SH       OTHER    4                      1682300
CHARMING SHOPPES INC. CV         CONVERT  161133AA1     8640          9600 PRN      SOLE     1                                  9600
CHARMING SHOPPES INC. CV         CONVERT  161133AA1     1481          1645 PRN      DEFINED  5                         1645
CHARMING SHOPPES INC. CV         CONVERT  161133AA1      441           490 PRN      DEFINED  5                                   490
CHARMING SHOPPES INC. CV         CONVERT  161133AA1     4397          4885 PRN      DEFINED  4                         4885
CHARMING SHOPPES INC. CV         CONVERT  161133AA1     5940          6600 PRN      DEFINED  4                                  6600
CHARMING SHOPPES INC. CV         CONVERT  161133AA1     1800          2000 PRN      OTHER    4                         2000
CHECKPOINT SYSTEMS, INC. CV      CONVERT  162825AB9     2560          4000 PRN      SOLE     1                                  4000
CIRCUIT CITY STORES INC.         COMMON   172737108    13110        570000 SH       SOLE     1                                570000
CIRCUIT CITY STORES INC.         COMMON   172737108      391         17000 SH       DEFINED  1                        17000
CLAYTON HOMES, INC.              COMMON   184190106    15066       1506600 SH       SOLE     1                               1506600
CLAYTON HOMES, INC.              COMMON   184190106      441         44100 SH       DEFINED  1                        44100
CLAYTON HOMES, INC.              COMMON   184190106      561         56100 SH       DEFINED  4                        56100
CLAYTON HOMES, INC.              COMMON   184190106     6156        615600 SH       DEFINED  4                                615600
CLAYTON HOMES, INC.              COMMON   184190106     4279        427900 SH       OTHER    4                       427900
COACHMEN INDS INC.               COMMON   189873102     8773        840500 SH       SOLE     1                                840500
COACHMEN INDS INC.               COMMON   189873102      881         84400 SH       DEFINED  5                        84400
COACHMEN INDS INC.               COMMON   189873102      204         19500 SH       DEFINED  5                                 19500
COACHMEN INDS INC.               COMMON   189873102     9743        933500 SH       DEFINED  4                       933500
COACHMEN INDS INC.               COMMON   189873102     4765        456500 SH       DEFINED  4                                456500
COACHMEN INDS INC.               COMMON   189873102     2103        201500 SH       OTHER    4                       201500
COLE NATIONAL CORPORATION        COMMON   193290103      647         99500 SH       DEFINED  4                        99500
CONSECO, INC.                    COMMON   208464107    13731       1800800 SH       SOLE     1                               1800800
CONSECO, INC.                    COMMON   208464107      547         71700 SH       DEFINED  5                        71700
CONSECO, INC.                    COMMON   208464107       80         10539 SH       DEFINED  5                                 10539
CONSECO, INC.                    COMMON   208464107    16167       2120300 SH       DEFINED  4                      2120300
CONSECO, INC.                    COMMON   208464107    11687       1532700 SH       DEFINED  4                               1532700
CONSECO, INC.                    COMMON   208464107     8332       1092700 SH       OTHER    4                      1092700
CONSOLIDATED STORES CORPORATION  COMMON   210149100    21723       1609100 SH       SOLE     1                               1609100
CONSOLIDATED STORES CORPORATION  COMMON   210149100     1960        145200 SH       DEFINED  5                       145200
CONSOLIDATED STORES CORPORATION  COMMON   210149100      467         34600 SH       DEFINED  5                                 34600
CONSOLIDATED STORES CORPORATION  COMMON   210149100    24432       1809800 SH       DEFINED  4                      1809800
CONSOLIDATED STORES CORPORATION  COMMON   210149100    15649       1159200 SH       DEFINED  4                               1159200
CONSOLIDATED STORES CORPORATION  COMMON   210149100    12907        956100 SH       OTHER    4                       956100
COUNTRYWIDE CREDIT INDUSTRIES    COMMON   222372104    24322        644300 SH       SOLE     1                                644300
COUNTRYWIDE CREDIT INDUSTRIES    COMMON   222372104    19354        512700 SH       DEFINED  4                       512700
COUNTRYWIDE CREDIT INDUSTRIES    COMMON   222372104    17376        460300 SH       DEFINED  4                                460300
COUNTRYWIDE CREDIT INDUSTRIES    COMMON   222372104    12231        324000 SH       OTHER    4                       324000
CRAIG CORP.                      COMMON   224174102       69         22100 SH       DEFINED  4                        22100
CRAIG HOLDING CORPORATION        COMMON   224174201      807        269000 SH       SOLE     1                                269000
CRAIG HOLDING CORPORATION        COMMON   224174201     1339        446400 SH       DEFINED  4                       446400
CRAIG HOLDING CORPORATION        COMMON   224174201      378        126000 SH       DEFINED  4                                126000
CRAIG HOLDING CORPORATION        COMMON   224174201      153         51000 SH       OTHER    4                        51000
CRANE CO.                        COMMON   224399105    14846        649000 SH       SOLE     1                                649000
CRANE CO.                        COMMON   224399105      275         12000 SH       DEFINED  1                        12000
CROWN AMERICAN REALTY (REIT)     COMMON   228186102      109         18000 SH       DEFINED  5                        18000
CROWN AMERICAN REALTY (REIT)     COMMON   228186102      262         43250 SH       DEFINED  5                                 43250
CROWN AMERICAN REALTY 11.00% PFD COMMON   228186201     5883        152800 SH       SOLE     1                                152800
CROWN AMERICAN REALTY 11.00% PFD COMMON   228186201     1559         40500 SH       DEFINED  5                        40500
CROWN AMERICAN REALTY 11.00% PFD COMMON   228186201       39          1000 SH       DEFINED  5                                  1000
CROWN AMERICAN REALTY 11.00% PFD COMMON   228186201      354          9200 SH       DEFINED  4                         9200
DRS TECHNOLOGIES, INC            COMMON   23330X100     6966        428700 SH       SOLE     1                                428700
DRS TECHNOLOGIES, INC            COMMON   23330X100     6632        408100 SH       DEFINED  4                       408100
DRS TECHNOLOGIES, INC            COMMON   23330X100     7967        490300 SH       OTHER    4                       490300
DRS TECHNOLOGIES, INC. CV        CONVERT  23330XAB6     7000          4000 PRN      SOLE     1                                  4000
DRS TECHNOLOGIES, INC. CV        CONVERT  23330XAB6      875           500 PRN      DEFINED  4                          500
DENISON INTERNATIONAL PLC-ADR    COMMON   248335101    11058        819100 SH       SOLE     1                                819100
DENISON INTERNATIONAL PLC-ADR    COMMON   248335101      338         25000 SH       DEFINED  1                        25000
DENTSPLY INTERNATIONAL, INC.     COMMON   249030107    13975        400000 SH       SOLE     1                                400000
DENTSPLY INTERNATIONAL, INC.     COMMON   249030107      280          8000 SH       DEFINED  1                         8000
DONALDSON CO INC                 COMMON   257651109    12166        553000 SH       SOLE     1                                553000
DONALDSON CO INC                 COMMON   257651109      440         20000 SH       DEFINED  1                        20000
ELCOR CORPORATION                COMMON   284443108     4237        292200 SH       DEFINED  4                       292200
ELCOR CORPORATION                COMMON   284443108     4256        293500 SH       DEFINED  4                                293500
ELCOR CORPORATION                COMMON   284443108     3013        207800 SH       OTHER    4                       207800
EXABYTE CORP                     COMMON   300615101    13237       1176600 SH       SOLE     1                               1176600
EXABYTE CORP                     COMMON   300615101    15878       1411400 SH       DEFINED  4                      1411400
EXABYTE CORP                     COMMON   300615101     7200        640000 SH       DEFINED  4                                640000
EXABYTE CORP                     COMMON   300615101     3443        306000 SH       OTHER    4                       306000
FEDDERS CORPORATION              COMMON   313135105      465        120000 SH       DEFINED  4                       120000
FEDDERS CORPORATION              COMMON   313135105      484        124800 SH       DEFINED  4                                124800
FEDDERS CORPORATION CLASS A      COMMON   313135303      784        236800 SH       DEFINED  4                       236800
FEDDERS CORPORATION CLASS A      COMMON   313135303      331        100000 SH       DEFINED  4                                100000
FIDELITY NATIONAL FINANCIAL, INC COMMON   316326107      737         30000 SH       DEFINED  4                        30000
THE FINISH LINE, INC.- CLASS A   COMMON   317923100       51          7000 SH       DEFINED  5                                  7000
THE FINISH LINE, INC.- CLASS A   COMMON   317923100      660         90300 SH       DEFINED  4                        90300
FLEETWOOD ENTERPRISES, INC.      COMMON   339099103    12273        904900 SH       SOLE     1                                904900
FLEETWOOD ENTERPRISES, INC.      COMMON   339099103    14394       1061300 SH       DEFINED  4                      1061300
FLEETWOOD ENTERPRISES, INC.      COMMON   339099103    11403        840800 SH       DEFINED  4                                840800
FLEETWOOD ENTERPRISES, INC.      COMMON   339099103     7983        588600 SH       OTHER    4                       588600
FLEXSTEEL INDUSTRIES INC         COMMON   339382103     1648        134500 SH       SOLE     1                                134500
FLEXSTEEL INDUSTRIES INC         COMMON   339382103      701         57200 SH       DEFINED  4                        57200
FLEXSTEEL INDUSTRIES INC         COMMON   339382103      429         35000 SH       DEFINED  4                                 35000
FLEXSTEEL INDUSTRIES INC         COMMON   339382103     2150        175500 SH       OTHER    4                       175500
FLORIDA ROCK INDS INC            COMMON   341140101     5403        137000 SH       DEFINED  4                       137000
FLORIDA ROCK INDS INC            COMMON   341140101     9997        253500 SH       DEFINED  4                                253500
FLORIDA ROCK INDS INC            COMMON   341140101     4042        102500 SH       OTHER    4                       102500
FRITZ COMPANIES, INC.            COMMON   358846103     2052        171000 SH       DEFINED  5                       171000
FRITZ COMPANIES, INC.            COMMON   358846103      512         42700 SH       DEFINED  5                                 42700
FRITZ COMPANIES, INC.            COMMON   358846103     1032         86000 SH       DEFINED  4                        86000
GALILEO INTERNATIONAL, INC.      COMMON   363547100      439         28300 SH       DEFINED  5                        28300
GALILEO INTERNATIONAL, INC.      COMMON   363547100      112          7200 SH       DEFINED  5                                  7200
GOOD GUYS INC                    COMMON   382091106     3089        441300 SH       SOLE     1                                441300
GOOD GUYS INC                    COMMON   382091106     6024        860500 SH       DEFINED  4                       860500
GOOD GUYS INC                    COMMON   382091106     2800        400000 SH       DEFINED  4                                400000
GOOD GUYS INC                    COMMON   382091106      586         83700 SH       OTHER    4                        83700
GRACO, INC.                      COMMON   384109104    21954        675500 SH       SOLE     1                                675500
GRACO, INC.                      COMMON   384109104      429         13200 SH       DEFINED  1                        13200
GYMBOREE CORPORATION             COMMON   403777105     5866       1078800 SH       SOLE     1                               1078800
GYMBOREE CORPORATION             COMMON   403777105      368         67700 SH       DEFINED  5                                 67700
GYMBOREE CORPORATION             COMMON   403777105     5563       1023100 SH       DEFINED  4                      1023100
GYMBOREE CORPORATION             COMMON   403777105     3229        593800 SH       OTHER    4                       593800
HOMEBASE, INC.                   COMMON   43738E108     4483       2049400 SH       SOLE     1                               2049400
HOMEBASE, INC.                   COMMON   43738E108       25         11300 SH       DEFINED  5                                 11300
HOMEBASE, INC.                   COMMON   43738E108     3970       1814800 SH       DEFINED  4                      1814800
HOMEBASE, INC.                   COMMON   43738E108     2021        923700 SH       DEFINED  4                                923700
HOMEBASE, INC.                   COMMON   43738E108      888        406100 SH       OTHER    4                       406100
HOMEBASE, INC. CV RULE 144A      CONVERT  43738EAA6      627          1140 PRN      DEFINED  5                         1140
HOMEBASE, INC. CV                CONVERT  43738EAB4     5199          9452 PRN      SOLE     1                                  9452
HOMEBASE, INC. CV                CONVERT  43738EAB4       55           100 PRN      DEFINED  5                                   100
HON INDUSTRIES INC.              COMMON   438092108    17902        727000 SH       SOLE     1                                727000
HON INDUSTRIES INC.              COMMON   438092108      369         15000 SH       DEFINED  1                        15000
HORACE MANN EDUCATORS CORP.      COMMON   440327104    11939        729100 SH       SOLE     1                                729100
HORACE MANN EDUCATORS CORP.      COMMON   440327104    12604        769700 SH       DEFINED  4                       769700
HORACE MANN EDUCATORS CORP.      COMMON   440327104     9175        560300 SH       DEFINED  4                                560300
HORACE MANN EDUCATORS CORP.      COMMON   440327104     8811        538100 SH       OTHER    4                       538100
HUTCHINSON TECHNOLOGY INC.       COMMON   448407106    13149        624300 SH       SOLE     1                                624300
HUTCHINSON TECHNOLOGY INC.       COMMON   448407106    15898        754800 SH       DEFINED  4                       754800
HUTCHINSON TECHNOLOGY INC.       COMMON   448407106     9008        427700 SH       DEFINED  4                                427700
HUTCHINSON TECHNOLOGY INC.       COMMON   448407106     6961        330500 SH       OTHER    4                       330500
HUTCHINSON TECHNOLOGY CV         CONVERT  448407AC0      450           500 PRN      SOLE     1                                   500
HUTCHINSON TECHNOLOGY CV         CONVERT  448407AC0     1040          1155 PRN      DEFINED  5                         1155
HUTCHINSON TECHNOLOGY CV         CONVERT  448407AC0      266           295 PRN      DEFINED  5                                   295
IHOP CORP.                       COMMON   449623107      977         51100 SH       DEFINED  5                        51100
IHOP CORP.                       COMMON   449623107      296         15500 SH       DEFINED  5                                 15500
IDEX CORP.                       COMMON   45167R104    16447        588700 SH       SOLE     1                                588700
IDEX CORP.                       COMMON   45167R104      335         12000 SH       DEFINED  1                        12000
INT'L ALUMINUM CORP.             COMMON   458884103     2816        168100 SH       SOLE     1                                168100
INT'L ALUMINUM CORP.             COMMON   458884103     3543        211500 SH       DEFINED  4                       211500
INT'L ALUMINUM CORP.             COMMON   458884103      534         31900 SH       OTHER    4                        31900
JLK DIRECT DISTRIBUTION, INC.    COMMON   46621C105     5871        680700 SH       SOLE     1                                680700
JLK DIRECT DISTRIBUTION, INC.    COMMON   46621C105      108         12500 SH       DEFINED  5                                 12500
JO-ANN STORES, INC.- CLASS A     COMMON   47758P109     3558        490700 SH       DEFINED  4                       490700
JO-ANN STORES, INC.- CLASS A     COMMON   47758P109     1813        250000 SH       DEFINED  4                                250000
JO-ANN STORES, INC.- CLASS A     COMMON   47758P109     1124        155000 SH       OTHER    4                       155000
JO-ANN STORES, INC. - CLASS B    COMMON   47758P208     4818        748500 SH       DEFINED  4                       748500
JO-ANN STORES, INC. - CLASS B    COMMON   47758P208     1738        270000 SH       DEFINED  4                                270000
JO-ANN STORES, INC. - CLASS B    COMMON   47758P208      684        106300 SH       OTHER    4                       106300
KAYDON CORP                      COMMON   486587108    12139        527800 SH       SOLE     1                                527800
KAYDON CORP                      COMMON   486587108      179          7800 SH       DEFINED  1                         7800
KEMET CORPORATION                COMMON   488360108    14365        520000 SH       SOLE     1                                520000
KEMET CORPORATION                COMMON   488360108     5768        208800 SH       DEFINED  4                       208800
KEMET CORPORATION                COMMON   488360108     4840        175200 SH       DEFINED  4                                175200
KEMET CORPORATION                COMMON   488360108     3536        128000 SH       OTHER    4                       128000
KFORCE.COM INC                   COMMON   493732101     1645        470000 SH       SOLE     1                                470000
KULICKE & SOFFA INDUSTRIES, INC  COMMON   501242101      399         30000 SH       DEFINED  4                        30000
LA-Z-BOY INCORPORATED            COMMON   505336107     1194         82000 SH       DEFINED  4                        82000
LA-Z-BOY INCORPORATED            COMMON   505336107     2039        140000 SH       DEFINED  4                                140000
LANCASTER COLONY CORP.           COMMON   513847103    11886        483900 SH       SOLE     1                                483900
LANCASTER COLONY CORP.           COMMON   513847103      346         14100 SH       DEFINED  1                        14100
LANDAUER INC                     COMMON   51476K103    12498        663000 SH       SOLE     1                                663000
LANDAUER INC                     COMMON   51476K103      415         22000 SH       DEFINED  1                        22000
LINCARE HOLDINGS INC.            COMMON   532791100     7961        277500 SH       SOLE     1                                277500
LINCARE HOLDINGS INC.            COMMON   532791100      668         23300 SH       DEFINED  5                        23300
LINCARE HOLDINGS INC.            COMMON   532791100      161          5600 SH       DEFINED  5                                  5600
LINCARE HOLDINGS INC.            COMMON   532791100      230          8000 SH       DEFINED  1                         8000
LONE STAR STEAKHOUSE & SALOON    COMMON   542307103     1844        250000 SH       DEFINED  4                       250000
MANITOWOC COMPANY, INC.          COMMON   563571108    13035        660000 SH       SOLE     1                                660000
MANITOWOC COMPANY, INC.          COMMON   563571108      435         22000 SH       DEFINED  1                        22000
MANPOWER INC.                    COMMON   56418H100    17035        533400 SH       SOLE     1                                533400
MANPOWER INC.                    COMMON   56418H100      351         11000 SH       DEFINED  1                        11000
MANPOWER INC.                    COMMON   56418H100     7617        238500 SH       DEFINED  4                       238500
MANPOWER INC.                    COMMON   56418H100     5142        161000 SH       DEFINED  4                                161000
MANPOWER INC.                    COMMON   56418H100     3833        120000 SH       OTHER    4                       120000
MARTIN MARIETTA MATERIALS, INC.  COMMON   573284106    10217        266900 SH       SOLE     1                                266900
MARTIN MARIETTA MATERIALS, INC.  COMMON   573284106      383         10000 SH       DEFINED  1                        10000
MASCOTECH, INC. CV               CONVERT  574670AB1     2055          3000 PRN      SOLE     1                                  3000
THE MCCLATCHY COMPANY            COMMON   579489105     3180         90375 SH       DEFINED  4                        90375
THE MCCLATCHY COMPANY            COMMON   579489105     6003        170600 SH       DEFINED  4                                170600
METHODE ELECTRONICS, INC., CL A  COMMON   591520200    12851        290000 SH       SOLE     1                                290000
MICHAELS STORES, INC.            COMMON   594087108    40000       1000000 SH       SOLE     1                               1000000
MICHAELS STORES, INC.            COMMON   594087108     1332         33300 SH       DEFINED  5                        33300
MICHAELS STORES, INC.            COMMON   594087108      300          7500 SH       DEFINED  5                                  7500
MICHAELS STORES, INC.            COMMON   594087108    36804        920100 SH       DEFINED  4                       920100
MICHAELS STORES, INC.            COMMON   594087108    22680        567000 SH       DEFINED  4                                567000
MICHAELS STORES, INC.            COMMON   594087108    14400        360000 SH       OTHER    4                       360000
MIDAS INC.                       COMMON   595626102      858         61250 SH       DEFINED  5                        61250
MIDAS INC.                       COMMON   595626102      210         15000 SH       DEFINED  5                                 15000
MIDAS INC.                       COMMON   595626102      189         13500 SH       DEFINED  4                        13500
NCH CORP                         COMMON   628850109      706         20000 SH       DEFINED  4                        20000
NCH CORP                         COMMON   628850109     1151         32600 SH       DEFINED  4                                 32600
NCR CORPORATION                  COMMON   62886E108      889         23600 SH       DEFINED  5                        23600
NCR CORPORATION                  COMMON   62886E108      222          5900 SH       DEFINED  5                                  5900
NATIONAL COMMERCE BANCORPORATION COMMON   635449101    13657        685000 SH       SOLE     1                                685000
NATIONAL COMMERCE BANCORPORATION COMMON   635449101      399         20000 SH       DEFINED  1                        20000
NATIONAL R.V. HOLDINGS, INC.     COMMON   637277104      936         93000 SH       DEFINED  5                        93000
NATIONAL R.V. HOLDINGS, INC.     COMMON   637277104      109         10825 SH       DEFINED  5                                 10825
NATIONAL R.V. HOLDINGS, INC.     COMMON   637277104      322         32000 SH       DEFINED  4                        32000
NEW PLAN EXCEL REALTY TR         COMMON   648053205     4697        225000 SH       SOLE     1                                225000
OM GROUP INC                     COMMON   670872100    20342        466300 SH       SOLE     1                                466300
OM GROUP INC                     COMMON   670872100      371          8500 SH       DEFINED  1                         8500
OCULAR SCIENCES, INC.            COMMON   675744106    10620        885000 SH       SOLE     1                                885000
OCULAR SCIENCES, INC.            COMMON   675744106      317         26400 SH       DEFINED  1                        26400
OFFICE DEPOT, INC.               COMMON   676220106     8309       1063500 SH       SOLE     1                               1063500
OFFICE DEPOT, INC.               COMMON   676220106      258         33000 SH       DEFINED  1                        33000
OFFICE DEPOT, INC. CV            CONVERT  676220AB2     1435          2000 PRN      SOLE     1                                  2000
OFFSHORE LOGISTIC CV             CONVERT  676255AF9    12903         13000 PRN      SOLE     1                                 13000
OFFSHORE LOGISTIC CV             CONVERT  676255AF9       25            25 PRN      DEFINED  5                                    25
OREGON STEEL MLS INC.            COMMON   686079104     1882       1003700 SH       SOLE     1                               1003700
OREGON STEEL MLS INC.            COMMON   686079104     2176       1160500 SH       DEFINED  4                      1160500
OREGON STEEL MLS INC.            COMMON   686079104     1250        666700 SH       DEFINED  4                                666700
OREGON STEEL MLS INC.            COMMON   686079104      824        439200 SH       OTHER    4                       439200
O'REILLY AUTOMOTIVE, INC.        COMMON   686091109    20443       1397800 SH       SOLE     1                               1397800
O'REILLY AUTOMOTIVE, INC.        COMMON   686091109      573         39200 SH       DEFINED  1                        39200
PAYLESS SHOESOURCE, INC.         COMMON   704379106      778         13900 SH       DEFINED  5                        13900
PAYLESS SHOESOURCE, INC.         COMMON   704379106      196          3500 SH       DEFINED  5                                  3500
PERSONNEL GROUP OF AMERICA CV    CONVERT  715338AE9      105           250 PRN      DEFINED  4                          250
PERSONNEL GROUP OF AMERICA CV    CONVERT  715338AE9     1428          3400 PRN      DEFINED  4                                  3400
PERSONNEL GROUP OF AMERICA CV    CONVERT  715338AE9     1176          2800 PRN      OTHER    4                         2800
PITTSTON BRINK'S GROUP           COMMON   725701106     1369         88300 SH       DEFINED  5                        88300
PITTSTON BRINK'S GROUP           COMMON   725701106      316         20400 SH       DEFINED  5                                 20400
PLAINS RESOURCES, INC.           COMMON   726540503     1412         74800 SH       DEFINED  5                        74800
PLAINS RESOURCES, INC.           COMMON   726540503      340         18000 SH       DEFINED  5                                 18000
PRIME RETAIL INC. 8.5% SER. B CV COMMON   741570303      230         64500 SH       DEFINED  5                        64500
PRIME RETAIL INC. 8.5% SER. B CV COMMON   741570303       29          8000 SH       DEFINED  5                                  8000
PROLOGIS TRUST 9.4% SERIES A     COMMON   743410201     1950         80000 SH       SOLE     1                                 80000
QUANTUM HEALTH SUB DEBS CV       CONVERT  74763LAA3     1000          1000 PRN      SOLE     1                                  1000
QUANTUM HEALTH SUB DEBS CV       CONVERT  74763LAA3      185           185 PRN      DEFINED  4                          185
RAWLINGS SPORTING GOODS CO.      COMMON   754459105     1099        189100 SH       SOLE     1                                189100
RAWLINGS SPORTING GOODS CO.      COMMON   754459105     2607        448500 SH       DEFINED  4                       448500
RAWLINGS SPORTING GOODS CO.      COMMON   754459105     1279        220000 SH       DEFINED  4                                220000
RAWLINGS SPORTING GOODS CO.      COMMON   754459105      209         35900 SH       OTHER    4                        35900
RECOTON CORP.                    COMMON   756268108     9968        630400 SH       SOLE     1                                630400
RECOTON CORP.                    COMMON   756268108      576         36400 SH       DEFINED  5                        36400
RECOTON CORP.                    COMMON   756268108      364         23000 SH       DEFINED  5                                 23000
RECOTON CORP.                    COMMON   756268108    11994        758500 SH       DEFINED  4                       758500
RECOTON CORP.                    COMMON   756268108     5534        350000 SH       DEFINED  4                                350000
RECOTON CORP.                    COMMON   756268108     2366        149600 SH       OTHER    4                       149600
REEBOK INTERNATIONAL LTD.        COMMON   758110100     9564        508400 SH       SOLE     1                                508400
REEBOK INTERNATIONAL LTD.        COMMON   758110100      540         28700 SH       DEFINED  5                        28700
REEBOK INTERNATIONAL LTD.        COMMON   758110100      169          9000 SH       DEFINED  5                                  9000
REEBOK INTERNATIONAL LTD.        COMMON   758110100    21418       1138500 SH       DEFINED  4                      1138500
REEBOK INTERNATIONAL LTD.        COMMON   758110100    15074        801300 SH       DEFINED  4                                801300
REEBOK INTERNATIONAL LTD.        COMMON   758110100     9500        505000 SH       OTHER    4                       505000
REMEDYTEMP, INC.                 COMMON   759549108      611         51100 SH       DEFINED  5                        51100
REMEDYTEMP, INC.                 COMMON   759549108      136         11400 SH       DEFINED  5                                 11400
REMEDYTEMP, INC.                 COMMON   759549108      514         43000 SH       DEFINED  4                        43000
REPTRON ELECTRONICS, INC. CV     CONVERT  76026WAA7     4931          6755 PRN      SOLE     1                                  6755
ROCKFORD CORPORATION             COMMON   77316P101      445         75000 SH       DEFINED  4                        75000
ROSS STORES INC.                 COMMON   778296103    25307       1760500 SH       SOLE     1                               1760500
ROSS STORES INC.                 COMMON   778296103      738         51350 SH       DEFINED  5                        51350
ROSS STORES INC.                 COMMON   778296103      181         12600 SH       DEFINED  5                                 12600
ROSS STORES INC.                 COMMON   778296103    25655       1784700 SH       DEFINED  4                      1784700
ROSS STORES INC.                 COMMON   778296103    16380       1139500 SH       DEFINED  4                               1139500
ROSS STORES INC.                 COMMON   778296103    11136        774700 SH       OTHER    4                       774700
ROUGE INDUSTRIES, INC. - CLASS A COMMON   779088103     2116        752300 SH       SOLE     1                                752300
ROUGE INDUSTRIES, INC. - CLASS A COMMON   779088103     3613       1284700 SH       DEFINED  4                      1284700
ROUGE INDUSTRIES, INC. - CLASS A COMMON   779088103     1567        557000 SH       DEFINED  4                                557000
ROUGE INDUSTRIES, INC. - CLASS A COMMON   779088103     1059        376600 SH       OTHER    4                       376600
SKYLINE CORP                     COMMON   830830105      437         20500 SH       DEFINED  5                        20500
SKYLINE CORP                     COMMON   830830105       94          4400 SH       DEFINED  5                                  4400
SOLA INTERNATIONAL INC.          COMMON   834092108      572         88800 SH       DEFINED  4                        88800
STANCORP FINANCIAL GROUP, INC.   COMMON   852891100      201          4700 SH       DEFINED  5                                  4700
STORAGE TECHNOLOGY CORP.         COMMON   862111200    25649       1891200 SH       SOLE     1                               1891200
STORAGE TECHNOLOGY CORP.         COMMON   862111200      766         56450 SH       DEFINED  5                        56450
STORAGE TECHNOLOGY CORP.         COMMON   862111200      271         20000 SH       DEFINED  5                                 20000
STORAGE TECHNOLOGY CORP.         COMMON   862111200    18258       1346200 SH       DEFINED  4                      1346200
STORAGE TECHNOLOGY CORP.         COMMON   862111200    11359        837500 SH       DEFINED  4                                837500
STORAGE TECHNOLOGY CORP.         COMMON   862111200     8015        591000 SH       OTHER    4                       591000
STRAYER EDUCATION, INC.          COMMON   863236105     7179        328200 SH       SOLE     1                                328200
THQ INC.                         COMMON   872443403      349         15000 SH       DEFINED  4                        15000
THOR INDS. INC.                  COMMON   885160101    12834        555000 SH       SOLE     1                                555000
THOR INDS. INC.                  COMMON   885160101    16546        715500 SH       DEFINED  4                       715500
THOR INDS. INC.                  COMMON   885160101     7631        330000 SH       DEFINED  4                                330000
THOR INDS. INC.                  COMMON   885160101     3249        140500 SH       OTHER    4                       140500
TRINITY INDUSTRIES, INC.         COMMON   896522109     2737        117100 SH       DEFINED  4                       117100
TRINITY INDUSTRIES, INC.         COMMON   896522109     7707        329700 SH       DEFINED  4                                329700
TRINITY INDUSTRIES, INC.         COMMON   896522109     4584        196100 SH       OTHER    4                       196100
VENTAS INC.                      COMMON   92276F100     1157        231300 SH       DEFINED  5                       231300
VENTAS INC.                      COMMON   92276F100      155         31000 SH       DEFINED  5                                 31000
WFS FINANCIAL, INC.              COMMON   92923B106    11135        657400 SH       DEFINED  4                       657400
WFS FINANCIAL, INC.              COMMON   92923B106     4366        257800 SH       OTHER    4                       257800
WESTCORP, INC.                   COMMON   957907108     4878        325220 SH       SOLE     1                                325220
WESTCORP, INC.                   COMMON   957907108     3147        209818 SH       DEFINED  4                       209818
WESTCORP, INC.                   COMMON   957907108      844         56280 SH       OTHER    4                        56280
WORLD ACCESS INC. CV             CONVERT  98141AAC5     5404          7505 PRN      SOLE     1                                  7505
ZEBRA TECHNOLOGIES CORP. CLASS A COMMON   989207105    16620        345800 SH       SOLE     1                                345800
ZEBRA TECHNOLOGIES CORP. CLASS A COMMON   989207105      481         10000 SH       DEFINED  1                        10000
CELANESE AG                      COMMON   D1497A101     4281        250000 SH       SOLE     1                                250000
CELANESE AG                      COMMON   D1497A101     1387         81000 SH       DEFINED  5                        81000
CELANESE AG                      COMMON   D1497A101      336         19600 SH       DEFINED  5                                 19600
CELANESE AG                      COMMON   D1497A101    15916        929400 SH       DEFINED  4                       929400
CELANESE AG                      COMMON   D1497A101    12143        709100 SH       DEFINED  4                                709100
CELANESE AG                      COMMON   D1497A101     8633        504100 SH       OTHER    4                       504100
CENTER TRUST, INC. "B" CV        CONVERT  VV3054598     9552          9950 PRN      SOLE     1                                  9950
CENTER TRUST, INC. "B" CV        CONVERT  VV3054598     2760          2875 PRN      DEFINED  5                         2875
</TABLE>


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