CANNELL PETER B & CO INC
13F-HR, 2000-11-08
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<PAGE>


                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 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 (Check only one):       [  ] is a restatement.
                                  [  ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    Peter B. Cannell
         -----------------------------
Address: 645 Madison Avenue, 8th Floor
         -----------------------------
         New York, NY 10022
         -----------------------------

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

Form 13F File Number:   28-01221
                        ------------

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:  John D. Hogan
       -------------------------------
Title: Treasurer
       -------------------------------
Phone: 212-752-5255
       -------------------------------

Signature, Place, and Date of Signing:

  /s/     John D. Hogan                 New York, NY         October 7, 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).)


<PAGE>


                              FORM 13F SUMMARY PAGE


Report Summary:


Number of Other Included Managers:                 0
                                         ---------------------

Form 13F Information Table Entry Total:           166
                                         ---------------------

Form 13F Information Table Value Total:         526,734
                                         ---------------------
                                         (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.]


               NONE


<PAGE>

                                    FORM 13F

<TABLE>
<CAPTION>
                                 TITLE OF                        VALUE   SHARES/    SH/   PUT/  INVSTMT OTHER     VOTING AUTHORITY
NAME OF ISSUER                   CLASS             CUSIP       (x$1000)  PRN AMT    PRN   CALL  DSCRETN MANA    SOLE   SHARED   NONE
------------------               --------          -----       --------  -------    ---   ----  -------------   ---    ------   ----
<S>                              <C>               <C>          <C>      <C>        <C>  <C>    <C>            <C>    <C>      <C>
AAON INC                         COM PAR $0.004    000360206      3438    143250    SH               SOLE      143250
ABBOTT LABS                      COM               002824100      1598     33608    SH               SOLE       33608
AFLAC INC                        COM               001055102      3209     50087    SH               SOLE       50087
                                                                  1089     17000    SH              OTHER       17000
AG SVCS AMER INC                 COM               001250109      4762    270157    SH               SOLE      270157
AGILENT TECHNOLOGIES INC         COM               00846U101      2570     52520    SH               SOLE       52520
                                                                    43       877    SH              OTHER         877
ALLERGAN INC                     COM               018490102      4246     50280    SH               SOLE       50280
                                                                  1385     16400    SH              OTHER       16400
AMB PROPERTY CORP                COM               00163T109      9905    403275    SH               SOLE      403275
                                                                  2029     82600    SH              OTHER       82600
AMERICAN FINL HLDGS INC          COM               026075101      1026     58200    SH               SOLE       58200
AMERICAN INTL GROUP INC          COM               026874107      3966     41451    SH               SOLE       41451
                                                                   484      5062    SH              OTHER        5062
AMGEN INC                        COM               031162100       670      9600    SH               SOLE        9600
ANADARKO PETE CORP               COM               032511107     27051    407025    SH               SOLE      407025
                                                                  1263     19000    SH              OTHER       19000
ANALOG DEVICES INC               COM               032654105     29511    357436    SH               SOLE      357436
                                                                  2411     29200    SH              OTHER       29200
ASSOCIATES FIRST CAP CORP        CL A              046008108      3372     88746    SH               SOLE       88746
AT&T CORP                        COM LIB GRP A     001957208     16636    924245    SH               SOLE      924245
                                                                  1138     63200    SH              OTHER       63200
AUTOMATIC DATA PROCESSING INC    COM               053015103       207      3100    SH               SOLE        3100
                                                                  1077     16100    SH              OTHER       16100
BARRETT RES CORP                 COM PAR $0.01     068480201       340      9000    SH               SOLE        9000
                                                                   280      7400    SH              OTHER        7400
BEAR STEARNS COS INC             COM               073902108       243      3850    SH               SOLE        3850
BERKSHIRE HATHAWAY INC DEL       CL A              084670108       129         2    SH               SOLE           2
                                                                   322         5    SH              OTHER           5
BERKSHIRE HATHAWAY INC DEL       CL B              084670207      1097       530    SH               SOLE         530
                                                                    95        46    SH              OTHER          46
BLOCK DRUG INC                   CL A              093644102      9611    222853    SH               SOLE      222853
BP AMOCO P L C                   SPONSORED ADR     055622104       225      4240    SH               SOLE        4240
BRISTOL MYERS SQUIBB CO          COM               110122108       194      3400    SH               SOLE        3400
                                                                   308      5400    SH              OTHER        5400
BROADCOM CORP                    CL A              111320107      1082      4440    SH               SOLE        4440
                                                                   829      3400    SH              OTHER        3400
BROOKFIELD PPTYS CORP            COM               112900105      1668    103050    SH               SOLE      103050
BROWN TOM INC                    COM NEW           115660201       304     12400    SH               SOLE       12400
CASCADE CORP                     COM               147195101      2079    133600    SH               SOLE      133600
CASCADE NAT GAS CORP             COM               147339105      3590    205155    SH               SOLE      205155
CELGENE CORP                     COM               151020104     36259    609395    SH               SOLE      609395
                                                                  1047     17600    SH              OTHER       17600
CHUBB CORP                       COM               171232101       483      6100    SH               SOLE        6100
CINTAS CORP                      COM               172908105       719     16500    SH               SOLE       16500
                                                                  1196     27450    SH              OTHER       27450
CIRRUS LOGIC CORP                COM               172755100       290      7200    SH               SOLE        7200
CISCO SYS INC                    COM               17275R102       282      5100    SH               SOLE        5100
CLOROX CO DEL                    COM               189054109       483     12200    SH               SOLE       12200
COCA COLA CO                     COM               191216100       220      4000    SH               SOLE        4000
COLGATE PALMOLIVE CO             COM               194162103       903     19140    SH               SOLE       19140
COMMERCE GROUP INC MASS          COM               200641108      2209     76350    SH               SOLE       76350
CONCORD EFS INC                  COM               206197105      3380     95175    SH               SOLE       95175
</TABLE>

<PAGE>

                                    FORM 13F

<TABLE>
<CAPTION>
<S>                              <C>               <C>          <C>      <C>        <C>  <C>    <C>            <C>    <C>      <C>
CORRPRO COS INC                  COM               220317101        71     17750    SH               SOLE       17750
DAIRY MART CONVENIENCE STORES    COM               233860303      1332    266400    SH               SOLE      266400
DIME BANCORP INC NEW             COM               25429Q102      4130    191550    SH               SOLE      191550
DISNEY WALT CO                   COM DISNEY        254687106       431     11263    SH               SOLE       11263
DOMINION RES INC VA NEW          COM               25746U109      1246     21464    SH               SOLE       21464
DUCOMMUN INC DEL                 COM               264147109      4986    354550    SH               SOLE      354550
DUKE ENERGY CORP                 COM               264399106       292      3400    SH               SOLE        3400
DUN & BRADSTREET CORP DEL        COM               26483B106       950     27600    SH               SOLE       27600
EDISON INTL                      COM               281020107       604     31300    SH               SOLE       31300
ELECTRONIC DATA SYS NEW          COM               285661104      1081     26037    SH               SOLE       26037
EXXON MOBIL CORP                 COM               30231G102      2546     28563    SH               SOLE       28563
FIRST FED BANCSHARES INC DEL     COM               32021B103       651     51300    SH               SOLE       51300
FIRST YRS INC                    COM               337610109      2460    281100    SH               SOLE      281100
GENERAL ELEC CO                  COM               369604103      1262     21875    SH               SOLE       21875
GENERAL MTRS CORP                COM               370442105      1076     16550    SH               SOLE       16550
GREIF BROS CORP                  CL A              397624107       216      6500    SH               SOLE        6500
HARLEY DAVIDSON INC              COM               412822108       536     11200    SH               SOLE       11200
HEWLETT PACKARD CO               COM               428236103       422      4350    SH               SOLE        4350
                                                                   369      3800    SH              OTHER        3800
HUDSON CITY BANCORP              COM               443683107     20035   1178525    SH               SOLE     1178525
                                                                  1542     90700    SH              OTHER       90700
GENERAL MTRS CORP                CL H NEW          370442832     18698    502895    SH               SOLE      502895
IMS HEALTH INC                   COM               449934108      4097    197450    SH               SOLE      197450
INTERNATIONAL BUSINESS MACHS     COM               459200101       344      3060    SH               SOLE        3060
INVITROGEN CORP                  COM               46185R100       213      3000    SH               SOLE        3000
JOHNSON & JOHNSON                COM               478160104      1824     19422    SH               SOLE       19422
                                                                  2602     27700    SH              OTHER       27700
KOPIN CORP                       COM               500600101       392     21800    SH               SOLE       21800
LESCO INC OHIO                   COM               526872106      5552    364050    SH               SOLE      364050
M&T BK CORP                      COM               55261F104       357       700    SH               SOLE         700
MACDERMID INC                    COM               554273102       256     12200    SH               SOLE       12200
MERCK & CO INC                   COM               589331107       729      9800    SH               SOLE        9800
                                                                   134      1800    SH              OTHER        1800
MERCURY COMPUTER SYS             COM               589378108     32838   1180700    SH               SOLE     1180700
                                                                  1566     56300    SH              OTHER       56300
MILLIPORE CORP                   COM               601073109      1072     22125    SH               SOLE       22125
MOTOROLA INC                     COM               620076109      5831    206390    SH               SOLE      206390
MRV COMMUNICATIONS INC           COM               553477100       453     10000    SH               SOLE       10000
NEXTEL COMMUNICATIONS INC        CL A              65332V103      2345     50150    SH               SOLE       50150
NUI CORP                         COM               629430109      3361    111335    SH               SOLE      111335
OCCIDENTAL PETE CORP DEL         COM               674599105       530     24300    SH               SOLE       24300
OHIO CAS CORP                    COM               677240103       272     42800    SH               SOLE       42800
ORACLE CORP                      COM               68389X105       472      6000    SH               SOLE        6000
PACIFIC CENTY FINL CORP          COM               694058108        26      1500    SH               SOLE        1500
                                                                   411     24000    SH              OTHER       24000
PALL CORP                        COM               696429307      1836     92100    SH               SOLE       92100
PARK ELECTROCHEMICAL CORP        COM               700416209       513      9214    SH               SOLE        9214
PATRIOT BANK CORP PA             COM               70335P103       248     37740    SH               SOLE       37740
PE CORP                          COM PE BIO GRP    69332S102     14478    124275    SH               SOLE      124275
                                                                  3507     30100    SH              OTHER       30100
PEPSICO INC                      COM               713448108      2214     48130    SH               SOLE       48130
PFIZER INC                       COM               717081103       335      7450    SH               SOLE        7450
PLANTRONICS INC NEW              COM               727493108     11260    296310    SH               SOLE      296310
                                                                  1866     49100    SH              OTHER       49100
PLUM CREEK TIMBER CO INC         COM               729251108      1550     69450    SH               SOLE       69450
                                                                  1026     46000    SH              OTHER       46000
PMC CAP INC                      COM               693430100       483     51500    SH               SOLE       51500
PMC COML TR                      SH BEN INT        693434102      4595    442850    SH               SOLE      442850
                                                                   581     56000    SH              OTHER       56000
</TABLE>

<PAGE>

                                    FORM 13F

<TABLE>
<CAPTION>
<S>                              <C>               <C>          <C>      <C>        <C>  <C>    <C>            <C>    <C>      <C>
POCAHONTAS BANCORP INC           COM               730234101        45      6012    SH               SOLE        6012
                                                                   243     32122    SH              OTHER       32122
POGO PRODUCING CO                COM               730448107      2956    116500    SH               SOLE      116500
POPE RES DEL LTD PARTNERSHIP     DEPOSITRY RCPT    732857107      2404    114461    SH               SOLE      114461
                                                                   315     15000    SH              OTHER       15000
PORT FINL CORP                   COM               734119100      5149    290100    SH               SOLE      290100
PREMIER NATL BANCORP INC         COM               74053F107      3715    183466    SH               SOLE      183466
PRESSTEK INC                     COM               741113104       192     10000    SH               SOLE       10000
PROBUSINESS SERVICES INC         COM               742674104      7037    232625    SH               SOLE      232625
PROCTER & GAMBLE CO              COM               742718109       471      7037    SH               SOLE        7037
QUEENS CNTY BANCORP INC          COM               748242104       318     11000    SH               SOLE       11000
RICHMOND CNTY FINL CORP          COM               764556106     19893    822450    SH               SOLE      822450
                                                                  1272     52600    SH              OTHER       52600
SCOTTS CO                        CL A              810186106      2259     67425    SH               SOLE       67425
SIGMA ALDRICH CORP               COM               826552101       508     15400    SH               SOLE       15400
                                                                  1270     38500    SH              OTHER       38500
SIRIUS SATELLITE RADIO INC       COM               82966U103     14181    268205    SH               SOLE      268205
SMITHKLINE BEECHAM PLC           ADR REP ORD       832378301       371      5400    SH               SOLE        5400
                                                                   117      1700    SH              OTHER        1700
SOMNUS MED TECHNOLOGIES INC      COM               835397100       134     65000    SH               SOLE       65000
SOUTHWESTERN ENERGY CO           COM               845467109      1833    209500    SH               SOLE      209500
STANLEY WKS                      COM               854616109       507     21990    SH               SOLE       21990
STERICYCLE INC                   COM               858912108       563     23000    SH               SOLE       23000
SUMMIT BANCORP                   COM               866005101      1865     54050    SH               SOLE       54050
SUN MICROSYSTEMS INC             COM               866810104       420      3600    SH               SOLE        3600
SYNTHETECH INC                   COM               87162E100        93     35000    SH               SOLE       35000
TELEFLEX INC                     COM               879369106     17841    519025    SH               SOLE      519025
                                                                  2245     65300    SH              OTHER       65300
TELEFONICA S A                   SPONSORED ADR     879382208      1387     23338    SH               SOLE       23338
TEXACO INC                       COM               881694103       471      8980    SH               SOLE        8980
U S PHYSICAL THERAPY INC         COM               90337L108       151     10000    SH               SOLE       10000
UGI CORP NEW                     COM               902681105       664     27400    SH               SOLE       27400
UNILEVER N V                     N Y SHS NEW       904784709       721     14936    SH               SOLE       14936
USA ED INC                       COM               90390U102     19051    395350    SH               SOLE      395350
                                                                  1865     38700    SH              OTHER       38700
VALSPAR CORP                     COM               920355104       271     11800    SH               SOLE       11800
VENTANA MED SYS INC              COM               92276H106      7436    293046    SH               SOLE      293046
                                                                   431     17000    SH              OTHER       17000
VERIZON COMMUNICATIONS           COM               92343V104       225      4637    SH               SOLE        4637
VINTAGE PETE INC                 COM               927460105     19169    842580    SH               SOLE      842580
                                                                  1001     44000    SH              OTHER       44000
WAYNE SAVGS BANCSHARES INC       COM               946250107       167     11635    SH               SOLE       11635
WEINGARTEN RLTY INVS             SH BEN INT        948741103       387      9500    SH               SOLE        9500
WILEY JOHN & SONS INC            CL A              968223206       367     16000    SH               SOLE       16000
                                                                   849     37000    SH              OTHER       37000
WINSTAR COMMUNICATIONS INC       COM               975515107      1926    124250    SH               SOLE      124250
                                                                    19      1229    SH              OTHER        1229
NEXTLINK COMMUNICATIONS INC      CL A              65333H707      1071     30450    SH               SOLE       30450
SEALED AIR CORP NEW              PFD CV A $2       81211K209      1377     30600    SH              OTHER       30600
INVITROGEN CORP                  SB NT CV 5.5%07   46185RAB6      2774   2750000   PRN               SOLE     2750000
PARK ELECTROCHEMICAL CORP        SUBNT CV 5.5%06   700416AB6      1942   1411000   PRN               SOLE     1411000
                                                                  1789   1300000   PRN              OTHER     1300000
POGO PRODUCING CO                SUB NT CV 5.5%06  730448AE7      3742   4345000   PRN               SOLE     4345000
                                                                  1206   1400000   PRN              OTHER     1400000
                                                                526734
</TABLE>




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