UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 13F
Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: ____09/30/2000_____________
Check here if Amendment [ ]; Amendment Number: ____
This Amendment (Check only one.): [ ] is a restatement.
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: ___Munich Re Capital Management Corporation________
Address: ___540 Madison Avenue _______________________
_____6th Floor___________________________________
_____New York NY 10022_______________________
Form 13F File Number: 28-05819____________
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: __Osbely A. Tala_______________________________________
Title: ____Vice President_____________________________________
Phone: ___(212) 583-4841______________________________________
Signature, Place, and Date of Signing:
_Osbely A. Tala________ __New York NY________________ __11/09/2000______
[Signature] [City, State] [Date]
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT. (Check here if all holdings of this
reporting manager are reported in this report.)
[ ] 13F NOTICE. (Check here if no holdings reported are in this
report, and all holdings are reported by other reporting
manager(s).)
[ ] 13F COMBINATION REPORT. (Check here if a portion of the
holdings for this reporting manager are reported in this
report and a portion are reported by other reporting
manager(s).)
List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]
Form 13F File Number Name
28-05819____________ Munich Re Capital Management
[Repeat as necessary.]
Form 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: ______________
Form 13F Information Table Entry Total: _____159_________
Form 13F Information Table Value Total: $___358,791___________
(thousands)
List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file
number(s) of all institutional investment managers with respect
to which this report is filed, other than the manager filing this
report.
[If there are no entries in this list, state "NONE" and omit the
column headings and list entries.]
No. Form 13F File Number Name
____ 28-05819 Munich Re Capital Mangement
[Repeat as necessary.]
<PAGE>
<TABLE>
<CAPTION>
NAME OF ISSUER TITLE OF CLASS CUSIP VALUESHRS ORSH/PUT/ INVESTMENT OTHER VOTING AUHORITY
NUMBER (x$1000)PRN AMTPRNCALL DISCRETION MANAGERS SOLE SHARED NONE
<S> <C> <C> <C> <C> <C><C> <C> <C> <C> <C> <C>
ADC TELECOMMUNICATIONS Common Stock 00088610 584 21700 SH SOLE X
AES Corporation Common Stock 00130H10 3083 45000 SH SOLE X
AT&T Corp. Common Stock 00195710 3113 105963 SH SOLE X
Abbott Laboratories Common Stock 00282410 2492 52400 SH SOLE X
Agilent Technologies Inc. Common Stock 00846U10 552 11289 SH SOLE X
Alcoa Inc Common Stock 01381710 1625 64200 SH SOLE X
Allstate Corp Common Stock 02000210 3708 106700 SH SOLE X
Alltel Corp Common Stock 02003910 491 9400 SH SOLE X
America Online Inc. Common Stock 02364J10 2370 44100 SH SOLE X
American Express Company Common Stock 02581610 2424 39900 SH SOLE X
American General Corp Common Stock 02635110 1638 21000 SH SOLE X
American Home Products Corp Common Stock 02660910 2149 38000 SH SOLE X
American International Group Common Stock 02687410 6373 66600 SH SOLE X
Amgen Inc Common Stock 03116210 2074 29700 SH SOLE X
Anheuser-Busch Co Inc Common Stock 03522910 2826 66800 SH SOLE X
Applied Materials Inc Common Stock 03822210 1495 25200 SH SOLE X
Associates First Capital - A Common Stock 04600810 1205 31700 SH SOLE X
Automatic Data Processing Common Stock 05301510 2093 31300 SH SOLE X
Avaya Inc. Common Stock 05349910 174 7592 SH SOLE X
BP Amaco PLC Common Stock 05562210 1095 20664 SH SOLE X
BAKER HUGHES, INC. Common Stock 05722410 375 10100 SH SOLE X
Bank of America Corp Common Stock 06050510 2598 49600 SH SOLE X
Baxter International Inc. Common Stock 07181310 1445 18100 SH SOLE X
BEA Systems Inc Common Stock 07332510 1028 13200 SH SOLE X
Bellsouth Corporation Common Stock 07986010 2198 54600 SH SOLE X
Boeing Co Common Stock 09702310 1745 27700 SH SOLE X
Bristol-Myers Squibb Co Common Stock 11012210 3290 57600 SH SOLE X
BROADCOM CORP Common Stock 11132010 2998 12300 SH SOLE X
BROADVISION INC Common Stock 11141210 450 17500 SH SOLE X
Burlington Northern Santa Fe Common Stock 12189T10 1622 75200 SH SOLE X
Caterpillar Inc Common Stock 14912310 351 10400 SH SOLE X
CENDANT CORP Common Stock 15131310 1061 97600 SH SOLE X
Chase Manhattan Corp Common Stock 16161A10 1656 35850 SH SOLE X
Chevron Corp Common Stock 16675110 17 200 SH SOLE X
Cisco Systems Inc Common Stock 17275R10 9293 168200 SH SOLE X
Citigroup Inc Common Stock 17296710 3856 71333 SH SOLE X
Clear Channel Communications Common Stock 18450210 588 10400 SH SOLE X
CLOROX CORP Common Stock 18905410 1226 31000 SH SOLE X
Coca-Cola Company Common Stock 19121610 1626 29500 SH SOLE X
Colgate-Palmolive Co Common Stock 19416210 1501 31800 SH SOLE X
Comcast Corp - Special Cl A Common Stock 20030020 1940 47400 SH SOLE X
Comerica Inc. Common Stock 20034010 783 13400 SH SOLE X
Compaq Computer Corp Common Stock 20449310 1222 44300 SH SOLE X
Computer Associates Int'l Inc Common Stock 20491210 796 31600 SH SOLE X
Conoco Inc - CL B Common Stock 20825140 2063 76600 SH SOLE X
Corning Inc Common Stock 21935010 3326 11200 SH SOLE X
Dell Computer Corp Common Stock 24702510 2712 88000 SH SOLE X
The Walt Disney Co Common Stock 25468710 1090 28500 SH SOLE X
Dow Chemical Common Stock 26054310 1983 79500 SH SOLE X
Du Pont (E.I.) De Nemours Common Stock 26353410 1256 30300 SH SOLE X
Duke Energy Corporation Common Stock 26439910 2530 29500 SH SOLE X
EMC Corp/Mass Common Stock 26864810 5848 59000 SH SOLE X
Edwards LifeSciences Corp Common Stock 28176E10 118 5420 SH SOLE X
Electronic Data Systems Corp Common Stock 28566110 1544 37200 SH SOLE X
Emerson Electric Co Common Stock 29101110 1829 27300 SH SOLE X
Enron Corporation Common Stock 29356110 2454 28000 SH SOLE X
Exxon Mobil Corporation Common Stock 30231G10 10321 115800 SH SOLE X
Freddie Mac Common Stock 31340030 1876 34700 SH SOLE X
Fannie Mae Common Stock 31358610 2131 29800 SH SOLE X
First Union Corporation Common Stock 33735810 2163 67200 SH SOLE X
Fleet Boston Financial Corp Common Stock 33903010 1934 49600 SH SOLE X
Ford Motor Company Common Stock 34537086 1381 54566 SH SOLE X
Forest Laboratories Common Stock 34583810 2099 18300 SH SOLE X
Gannett Co Common Stock 36473010 1950 36800 SH SOLE X
Gap Inc Common Stock 36476010 908 45100 SH SOLE X
Gateway Inc Common Stock 36762610 1281 27400 SH SOLE X
General Electric Company Common Stock 36960410 13407 232400 SH SOLE X
General Motors Corporation Common Stock 37044210 1268 19511 SH SOLE X
General Motors-Class H Common Stock 37044283 102 2746 SH SOLE X
Gillette Company Common Stock 37576610 509 16500 SH SOLE X
Goldman Sachs Group Common Stock 38141G10 1003 8800 SH SOLE X
Guidant Corp Common Stock 40169810 2149 30400 SH SOLE X
Hewlett-Packard Co Common Stock 42823610 2871 29600 SH SOLE X
Home Depot Inc Common Stock 43707610 3545 66800 SH SOLE X
Honeywell Int'l Inc Common Stock 43851610 773 21700 SH SOLE X
Household Int'l Inc Common Stock 44181510 1427 25200 SH SOLE X
Intel Corporation Common Stock 45814010 7930 190800 SH SOLE X
Int'l Business Machines Corp Common Stock 45920010 5884 52300 SH SOLE X
Int'l Paper Co Common Stock 46014610 1038 36200 SH SOLE X
Johnson & Johnson Common Stock 47816010 3795 40400 SH SOLE X
KLA-TENCOR CORP Common Stock 48248010 766 18600 SH SOLE X
Kerr-McGee Corp Common Stock 49238610 742 11200 SH SOLE X
Kroger Co Common Stock 50104410 1629 72200 SH SOLE X
Limited Inc Common Stock 53271610 1822 82600 SH SOLE X
Lucent Technologies Inc. Common Stock 54946310 2784 91100 SH SOLE X
MBNA Corp Common Stock 55262L10 1232 32000 SH SOLE X
Macromedia Inc. Common Stock 55610010 525 6500 SH SOLE X
McDonald's Corporation Common Stock 58013510 2155 71400 SH SOLE X
Mellon Financial Corp. Common Stock 58551A10 1030 22200 SH SOLE X
Merck & Co Inc Common Stock 58933110 5054 67900 SH SOLE X
Merrill Lynch & Co Common Stock 59018810 2548 38600 SH SOLE X
Microsoft Corp Common Stock 59491810 7672 127200 SH SOLE X
Micron Technology Inc Common Stock 59511210 1228 26700 SH SOLE X
Minnesota Mining & Mfg Co Common Stock 60405910 1914 21000 SH SOLE X
JP Morgan & Co Common Stock 61688010 1307 8000 SH SOLE X
Morgan Stanley Dean Witter & C Common Stock 61744644 3813 41700 SH SOLE X
Motorola Inc Common Stock 62007610 1746 61800 SH SOLE X
Network Appliance Inc Common Stock 64120L10 2955 23200 SH SOLE X
NEUBERGER BERMAN INC Common Stock 64123410 474 7700 SH SOLE X
Nextel Communications Inc - A Common Stock 65332V10 748 16000 SH SOLE X
Nortel Networks Corp Common Stock 65656810 4884 82000 SH SOLE X
NOVELLUS SYSTEMS INC Common Stock 67000810 829 17800 SH SOLE X
Oracle Corporation Common Stock 68389X10 6686 84900 SH SOLE X
PE BIOSYSTEMS Common Stock 69332S10 408 3500 SH SOLE X
PNC Bank Corp Common Stock 69347510 1170 18000 SH SOLE X
PALM INC Common Stock 69664210 2371 44793 SH SOLE X
Pepsico Inc Common Stock 71344810 3482 75700 SH SOLE X
Pfizer Inc Common Stock 71708110 9665 215075 SH SOLE X
Pharmacia Corp Common Stock 71713U10 3369 55975 SH SOLE X
Philip Morris Companies Inc Common Stock 71815410 1107 37600 SH SOLE X
Phillips Petroleum Co. Common Stock 71850710 703 11200 SH SOLE X
T. ROWE PRICE ASSOC Common Stock 74147710 563 12000 SH SOLE X
Procter & Gamble Co Common Stock 74271810 2171 32400 SH SOLE X
QUAKER OATS Common Stock 74740210 1630 20600 SH SOLE X
Qualcomm Inc Common Stock 74752510 1368 19200 SH SOLE X
Qwest Communication Intl Common Stock 74912110 1272 26458 SH SOLE X
R&B FALON CORP Common Stock 74912E10 722 25900 SH SOLE X
Rational Software Corp Common Stock 75409P20 999 14400 SH SOLE X
REAL NETWORKS INC Common Stock 75605L10 560 14100 SH SOLE X
SBC Communications Inc Common Stock 78387G10 4950 99000 SH SOLE X
S&P 500 Depositary Receipt Common Stock 78462F10 17723 123400 SH SOLE X
Safeway Inc Common Stock 78651420 1896 40600 SH SOLE X
Sara Lee Corp Common Stock 80311110 2259 111200 SH SOLE X
Schering-Plough Corporation Common Stock 80660510 1986 42700 SH SOLE X
Charles Schwab Corp Common Stock 80851310 650 18300 SH SOLE X
Solectron Corp Common Stock 83418210 1928 41800 SH SOLE X
Southern Co. Common Stock 84258710 1489 45900 SH SOLE X
Sprint Corporation Common Stock 85206110 835 28500 SH SOLE X
Sprint Corp (PCS Group) Common Stock 85206150 1094 31200 SH SOLE X
STATE STREET CORP Common Stock 85747710 780 6000 SH SOLE X
STILLWELL FINANCIAL Common Stock 86083110 700 16100 SH SOLE X
Sun Microsystems Inc. Common Stock 86681010 5254 45000 SH SOLE X
Suntrust Banks Inc Common Stock 86791410 1245 25000 SH SOLE X
Sysco Corp Common Stock 87182910 2112 45600 SH SOLE X
TJX Companies Inc Common Stock 87254010 1643 73000 SH SOLE X
Tellabs Inc Common Stock 87966410 1103 23100 SH SOLE X
Texaco Inc Common Stock 88169410 2363 45000 SH SOLE X
Texas Intruments Inc Common Stock 88250810 1085 23000 SH SOLE X
3Com Corp Common Stock 88553510 579 30200 SH SOLE X
Time Warner Inc. Common Stock 88731510 2997 38300 SH SOLE X
Tyco International Ltd. Common Stock 90212410 3434 66200 SH SOLE X
US Bancorp Common Stock 90297310 528 23200 SH SOLE X
United Technologies Corp Common Stock 91301710 3511 50700 SH SOLE X
Verizon Communications Common Stock 92343V10 3890 80304 SH SOLE X
Viacom Inc-CL B Common Stock 92552430 2086 35663 SH SOLE X
VIGNETTE CORP Common Stock 92673410 472 15800 SH SOLE X
Visteon Corporation-W Common Stock 92839U10 69 4595 SH SOLE X
Wal-Mart Stores Inc Common Stock 93114210 6218 129200 SH SOLE X
Walgreen Co Common Stock 93142210 1100 29000 SH SOLE X
Washington Mutual Inc. Common Stock 93932210 1887 47400 SH SOLE X
WATERS CORP Common Stock 94184810 445 5000 SH SOLE X
Wells Fargo & Company Common Stock 94974610 2375 51700 SH SOLE X
Weyerhaeuser Co Common Stock 96216610 436 10800 SH SOLE X
Williams Cos Inc Common Stock 96945710 1745 41300 SH SOLE X
Worldcom Inc Common Stock 98157D10 2503 82400 SH SOLE X
Xilinx Inc Common Stock 98391910 1173 13700 SH SOLE X
Yahoo! Inc Common Stock 98433210 1383 15200 SH SOLE X
Global Crossing Ltd Common Stock G3921A10 570 18400 SH SOLE X
Transocean Sedco Forex Inc Common Stock G9007810 468 7976 SH SOLE X
</TABLE>