CHUBB CORP
13F-HR, 2000-11-13
FIRE, MARINE & CASUALTY INSURANCE
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<PAGE>   1
                                  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:         The Chubb Corporation
Address:      15 Mountain View Road
              P. O. Box 1615
              Warren, NJ  07061-1615

Form 13F File Number:  28-327

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:    Henry B. Schram
Title:   Senior Vice President and Chief Accounting Officer
Phone:   908-903-2301

Signature, Place, and Date of Signing:

<TABLE>
<S>                              <C>                           <C>
/s/   Henry B. Schram            Warren, New Jersey            November 13, 2000
---------------------            ------------------            -----------------
       [Signature]                 [City, State]                    [Date]
</TABLE>

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:   None
<PAGE>   2
                              FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                      3
                                                        -
Form 13F Information Table Entry Total:               151
                                                      ---
Form 13F Information Table Value Total:         $ 309,318
                                                ---------
                                              (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.

<TABLE>
<CAPTION>
      No.         Form 13F File Number               Name
      ---         --------------------               ----
<S>               <C>                                <C>
      01          28 - 6866                          Chubb Asset Managers, Inc.

      02          28 - 2490                          Federal Insurance Company

      03          28 - 2804                          Pacific Indemnity Company
</TABLE>
<PAGE>   3
          NAME OF REPORTING MANAGER             THE CHUBB CORPORATION
                        PERIOD ENDING SEPTEMBER 30, 2000

PAGE 1      FORM 13F      FILE NUMBER:      28 - 327

<TABLE>
<CAPTION>
                                                                                   INVESTMENT DISCRETION           VOTING AUTHORITY
                                                                                                                       (SHARES)
                                                     FAIR MARKET
                                                        VALUE                                 SHARED
NAME OF ISSUER                CLASS     CUSIP           (000)      SHARES    SOLE   SHARED    OTHERS  MANAGER    SOLE   SHARED  NONE
--------------                -----     -----        -----------   ------    ----   ------    ------  -------    ----   ------  ----
<S>                           <C>       <C>          <C>          <C>        <C>    <C>       <C>     <C>      <C>      <C>     <C>
TRANSOCEAN SEDCO FOREX INC    COM       G90078-10-9      1,173     20,000             X                  1      20,000
TRANSOCEAN SEDCO FOREX INC    COM       G90078-10-9      1,294     22,080             X                  2      22,080
TRANSOCEAN SEDCO FOREX INC    COM       G90078-10-9        879     15,000             X                  3      15,000
ADC TELECOMMUNICATIONS        COM       000886-10-1      1,667     62,000             X                  1      62,000
AES CORPORATION               COM       00130H-10-5      2,055     30,000             X                  1      30,000
AES CORPORATION               COM       00130H-10-5      3,425     50,000             X                  2      50,000
ACCREDO HEALTH INC.           COM       00437V-10-4      2,204     45,100             X                         45,100
ADVANCED PARADIGM INC.        COM       007491-10-3        548     13,000             X                         13,000
ADVANTAGE LEARNING SYSTEMS    COM       00757K-10-0      1,409     40,200             X                         40,200
AMERICA ONLINE INC.           COM       02364J-10-4      1,613     30,000             X                  1      30,000
AMERICAN HOME PRODUCTS CORP.  COM       026609-10-7      3,394     60,000             X                  2      60,000
ANHEUSER-BUSCH INC            COM       035229-10-3      3,385     80,000             X                  1      80,000
ANHEUSER-BUSCH INC            COM       035229-10-3      3,385     80,000             X                  3      80,000
APPLIED MATERIALS             COM       038222-10-5      1,779     30,000             X                  1      30,000
APPLIED MATERIALS             COM       038222-10-5      2,076     35,000             X                  3      35,000
AVOCENT CORPORATION           COM       053893-10-3      2,550     46,250             X                         46,250
AWARE INC.                    COM       05453N-10-0      1,143     29,700             X                         29,700
BANK OF AMERICA               COM       060505-10-4      1,048     20,000             X                  1      20,000
BAXTER INTERNATIONAL INC      COM       071813-10-9      3,193     40,000             X                  1      40,000
BAXTER INTERNATIONAL INC      COM       071813-10-9      4,789     60,000             X                  2      60,000
BROWN, TOM INC                COM       115660-20-1        720     29,400             X                         29,400
CVS CORP                      COM       126650-10-0        301      6,500             X                  2       6,500
CALIFORNIA PIZZA              COM       13054D-10-9        750     26,800             X                         26,800
CATERPILLAR INC -UK           COM       149123-10-1        451      8,800             X                  2       8,800
CHASE MANHATTAN CORP          COM       16161A-10-8      1,732     37,500             X                  1      37,500
CHASE MANHATTAN CORP          COM       16161A-10-8      2,309     50,000             X                  2      50,000
CHASE MANHATTAN CORP          COM       16161A-10-8        693     15,000             X                  3      15,000
CHEVRON CORPORATION           COM       166751-10-7      2,634     30,900             X                  1      30,900
CHEVRON CORPORATION           COM       166751-10-7      3,410     40,000             X                  2      40,000
CISCO SYSTEMS INC.            COM       17275R-10-2      2,763     50,000             X                  1      50,000
CISCO SYSTEMS INC.            COM       17275R-10-2      2,431     44,000             X                  2      44,000
CISCO SYSTEMS INC.            COM       17275R-10-2      1,326     24,000             X                  3      24,000
CITIGROUP INC.                COM       172967-10-1      2,235     41,333             X                  1      41,333
CITIGROUP INC.                COM       172967-10-1      3,965     73,333             X                  2      73,333
COBALT NETWORKS               COM       19074R-10-1      7,772    134,294             X                        134,294
COLGATE PALMOLIVE             COM       194162-10-3      2,832     60,000             X                         60,000
COLGATE PALMOLIVE             COM       194162-10-3        472     10,000             X                  2      10,000
COMVERSE TECHNOLOGY           COM       205862-40-2      1,080     10,000             X                  1      10,000
COMVERSE TECHNOLOGY           COM       205862-40-2      2,376     22,000             X                  2      22,000
COOPER CAMERON                COM       216640-10-2      1,017     13,800             X                  1      13,800
COPPER MOUNTAIN               COM       217510-10-6      1,538     41,000             X                  1      41,000
COPPER MOUNTAIN               COM       217510-10-6      1,500     40,000             X                  2      40,000
COSTCO WHOLESALE CORP         COM       22160K-10-5      2,795     80,000             X                  1      80,000
COSTCO WHOLESALE CORP         COM       22160K-10-5      2,655     76,000             X                  2      76,000
COSTCO WHOLESALE CORP         COM       22160K-10-5        873     25,000             X                  3      25,000
</TABLE>
<PAGE>   4
         NAME OF REPORTING MANAGER               THE CHUBB CORPORATION
                        PERIOD ENDING SEPTEMBER 30, 2000

PAGE 2      FORM 13F      FILE NUMBER:      28 - 327

<TABLE>
<CAPTION>
                                                                                   INVESTMENT DISCRETION           VOTING AUTHORITY
                                                                                                                       (SHARES)
                                                     FAIR MARKET
                                                        VALUE                                 SHARED
NAME OF ISSUER                CLASS     CUSIP           (000)      SHARES    SOLE   SHARED    OTHERS  MANAGER    SOLE   SHARED  NONE
--------------                -----     -----        -----------   ------    ----   ------    ------  -------    ----   ------  ----
<S>                           <C>       <C>          <C>          <C>        <C>    <C>       <C>     <C>      <C>      <C>     <C>
CROWN CASTLE                  COM       228227-10-4      2,951     95,000             X                         95,000
CROWN CASTLE                  COM       228227-10-4      2,019     65,000             X                  1      65,000
DIANON SYSTEMS, INC.          COM       252826-10-2        921     23,100             X                         23,100
EMC CORP                      COM       268648-10-2      3,469     35,000             X                  1      35,000
EMC CORP                      COM       268648-10-2      5,452     55,000             X                  3      55,000
EDISON SCHOOLS INC.           COM       281033-10-0      1,419     44,700             X                         44,700
ERICSSON                      COM       294821-40-0      1,481    100,000             X                  2     100,000
EVERGREEN RESOURCES           COM       299900-30-8      1,393     40,100             X                         40,100
EXODUS COMMUNICATIONS INC.    COM       302088-10-9      1,728     35,000             X                  1      35,000
EXODUS COMMUNICATIONS INC.    COM       302088-10-9      2,469     50,000             X                  2      50,000
EXTREME NETWORKS              COM       30226D-10-6        115      1,000             X                  1       1,000
EXTREME NETWORKS              COM       30226D-10-6      2,977     26,000             X                  2      26,000
FLEET BOSTON FINANCIAL        COM       339030-10-8      2,730     70,000             X                  2      70,000
GENERAL ELECTRIC              COM       369604-10-3      3,519     61,000             X                  1      61,000
GENERAL ELECTRIC              COM       369604-10-3      2,596     45,000             X                  2      45,000
GENERAL ELECTRIC              COM       369604-10-3      1,731     30,000             x                  3      30,000
GUIDANT CORP                  COM       401698-10-5      3,817     54,000             X                  2      54,000
HALLIBURTON                   COM       406216-10-1      3,064     62,600             X                  1      62,600
HALLIBURTON                   COM       406216-10-1      3,670     75,000             X                  2      75,000
HELIX TECHNOLOGY              COM       423319-10-2      1,383     46,300             X                         46,300
HOME DEPOT INC                COM       437076-10-2      3,025     57,000             X                  1      57,000
HOME DEPOT INC                COM       437076-10-2      2,759     52,000             X                  2      52,000
HOME DEPOT INC                COM       437076-10-2        531     10,000             X                  3      10,000
HORIZON OFFSHORE, INC         COM       44043J-10-5        615     34,900             X                         34,900
INKTOMI CORP                  COM       457277-10-1      2,280     20,000             X                  2      20,000
INTEL CORP                    COM       458140-10-0      1,912     46,000             X                  1      46,000
INTEL CORP                    COM       458140-10-0      2,494     60,000             X                  2      60,000
INTERCEPT GROUP INC.          COM       45845L-10-7        755     32,400             X                         32,400
INTRANET SOLUTIONS            COM       460939-30-9      2,280     45,600             X                         45,600
I2 TECHNOLOGIES               COM       465754-10-9      3,741     20,000             X                  1      20,000
JDS UNIPHASE CORP             COM       46612J-10-1      1,894     20,000             X                  1      20,000
JDS UNIPHASE CORP             COM       46612J-10-1      1,894     20,000             X                  2      20,000
JABIL CIRCUIT INC.            COM       466313-10-3      1,703     30,000             X                  1      30,000
JABIL CIRCUIT INC.            COM       466313-10-3      3,490     61,500             X                  2      61,500
KLA-TENCOR CORPORATION        COM       482480-10-0      2,471     60,000             X                  2      60,000
KONINKLIJKE PHILIPS ELECTRON  COM       500472-30-3      3,517     78,255             X                  1      78,255
LEARNING TREE INTERNATIONAL   COM       522015-10-6      1,457     30,600             X                         30,600
LIFE POINT HOSPITALS          COM       53219L-10-9      2,432     68,500             X                         68,500
LUCENT                        COM       549463-10-7      1,498     49,000             X                  1      49,000
MAVERICK TUBE CORPORATION     COM       577914-10-4      1,546     57,400             X                         57,400
MELLON FIN CORP               COM       58551A-10-8      2,782     60,000             X                  2      60,000
MICROSEMI CORP                COM       595137-10-0        923     24,200             X                         24,200
NATURAL MICROSYSTEMS CORP     COM       638882-10-0      1,178     21,900             X                         21,900
NETEGRITY INC                 COM       64110P-10-7      2,660     38,000             X                         38,000
NETWORK APPLIANCE             COM       64120L-10-4      2,879     22,600             X                  2      22,600
</TABLE>
<PAGE>   5
           NAME OF REPORTING MANAGER           THE CHUBB CORPORATION
                        PERIOD ENDING SEPTEMBER 30, 2000

PAGE 3      FORM 13F      FILE NUMBER:      28 - 327

<TABLE>
<CAPTION>
                                                                                   INVESTMENT DISCRETION           VOTING AUTHORITY
                                                                                                                       (SHARES)
                                                     FAIR MARKET
                                                        VALUE                                 SHARED
NAME OF ISSUER                CLASS     CUSIP           (000)      SHARES    SOLE   SHARED    OTHERS  MANAGER    SOLE   SHARED  NONE
--------------                -----     -----        -----------   ------    ----   ------    ------  -------    ----   ------  ----
<S>                           <C>       <C>          <C>          <C>        <C>    <C>       <C>     <C>      <C>      <C>     <C>
NETWORK ENGINES               COM       64121A-10-7      1,105     27,000             X                         27,000
NEWPORT NEWS SHIPBUILDING     COM       652228-10-7        505     11,645             X                  2      11,645
NOKIA OXJ                     COM       654902-20-4      2,110     53,000             X                  1      53,000
NORTEL NETWORKS CORP          COM       656568-10-2      2,978     50,000             X                  1      50,000
NORTEL NETWORKS CORP          COM       656568-10-2      3,574     60,000             X                  2      60,000
OCTEL CORP                    COM       675727-10-1        121     12,900             X                  2      12,900
1-800 CONTACTS, INC           COM       681977-10-4      1,378     28,700             X                         28,700
ORACLE CORP                   COM       68389X-10-5      2,363     30,000             X                  1      30,000
ORACLE CORP                   COM       68389X-10-5      2,363     30,000             X                  2      30,000
ORACLE CORP                   COM       68389X-10-5      1,575     20,000             X                  3      20,000
02WIRELESS SOLUTIONS, INC.    COM       689803-10-4        678     35,100             X                         35,100
PACKETEER INC.                COM       695210-10-4      1,282     33,800             X                         33,800
PFIZER,INC. COMMON            COM       717081-10-3      3,595     80,000             X                  2      80,000
PFIZER,INC. COMMON            COM       717081-10-3        899     20,000             X                  3      20,000
PHARMACIA CORP                COM       71713U-10-2      3,611     60,000             X                  2      60,000
PHOTRONICS                    COM       719405-10-2      1,272     58,300             X                         58,300
PINNACLE HOLDINGS INC.        COM       72346N-10-1        668     25,100             X                         25,100
PRIMA ENERGY                  COM       741901-20-1      1,166     21,900             X                         21,900
PRIORITY HEALTHCARE INC.      COM       74264T-10-2      2,036     26,700             X                         26,700
PROVINCE HEALTHCARE           COM       743977-10-0      2,504     62,700             X                         62,700
QUANTA SERVICES INC.          COM       74762E-10-2      1,225     44,550             X                         44,550
RADISYS CORP                  COM       750459-10-9      1,484     29,350             X                         29,350
REHABCARE                     COM       759148-10-9      1,449     34,100             X                         34,100
ROYAL DUTCH PETRO NY          COM       780257-80-4      1,798     30,000             X                  1      30,000
ROYAL DUTCH PETRO NY          COM       780257-80-4      1,798     30,000             X                  2      30,000
ROYAL DUTCH PETRO NY          COM       780257-80-4      1,798     30,000             X                  3      30,000
SBC COMMUNICATIONS INC.       COM       78387G-10-3      2,750     55,000             X                  2      55,000
SBC COMMUNICATIONS INC.       COM       78387G-10-3      1,000     20,000             X                  3      20,000
SANCHEZ COMPUTER ASSOCIATES   COM       799702-10-5        406     26,200             X                         26,200
SANMINA CORP                  COM       800907-10-7      2,902     31,000             X                  1      31,000
SCHERING PLOUGH CORP          COM       806605-10-1      4,301     92,500             X                  2      92,500
SCIENT CORP                   COM       80864H-10-9        628     30,000             X                  1      30,000
SCIENT CORP                   COM       80864H-10-9      1,047     50,000             X                  2      50,000
SECURE COMPUTING              COM       813705-10-0      1,533     58,800             X                         58,800
SERENA                        COM       817492-10-1      1,688     36,650             X                         36,650
SOLECTRON CORP                COM       834182-10-7      3,690     80,000             X                  1      80,000
SOLECTRON CORP                COM       834182-10-7      4,613    100,000             X                  2     100,000
STUDENT ADVANTAGE             COM       86386Q-10-5        476     64,600             X                         64,600
SUN MICROSYSTEMS              COM       866810-10-4      3,503     30,000             X                  1      30,000
SUN MICROSYSTEMS              COM       866810-10-4      4,086     35,000             X                  3      35,000
SYCAMORE NETWORKS (SCMR)      COM       871206-10-8      1,026      9,500             X                  1       9,500
SYCAMORE NETWORKS (SCMR)      COM       871206-10-8      2,484     23,000             X                  2      23,000
THREE-FIVE SYSTEMS, INC.      COM       88554L-10-8      1,688     57,700             X                         57,700
UNITED TECHNOLOGIES CORP.     COM       913017-10-9      2,355     34,000             X                  1      34,000
VERITAS SOFTWARE CORP         COM       923436-10-9      4,118     29,000             X                  1      29,000
</TABLE>
<PAGE>   6
            NAME OF REPORTING MANAGER          THE CHUBB CORPORATION
                        PERIOD ENDING SEPTEMBER 30, 2000

PAGE 4      FORM 13F      FILE NUMBER:      28 - 327

<TABLE>
<CAPTION>
                                                                                   INVESTMENT DISCRETION           VOTING AUTHORITY
                                                                                                                       (SHARES)
                                                     FAIR MARKET
                                                        VALUE                                 SHARED
NAME OF ISSUER                CLASS     CUSIP           (000)      SHARES    SOLE   SHARED    OTHERS  MANAGER    SOLE   SHARED  NONE
--------------                -----     -----        -----------   ------    ----   ------    ------  -------    ----   ------  ----
<S>                           <C>       <C>          <C>          <C>        <C>    <C>       <C>     <C>      <C>      <C>     <C>
VERITAS SOFTWARE CORP         COM       923436-10-9      3,550     25,000             X                  2      25,000
VERITAS SOFTWARE CORP         COM       923436-10-9        710      5,000             X                  3       5,000
VIGNETTE                      COM       926734-10-4        637     21,313             X                         21,313
VODAFONE GROUP PLC            COM       92857W-10-0      2,035     55,000             X                  1      55,000
VODAFONE GROUP PLC            COM       92857W-10-0      2,405     65,000             X                  2      65,000
VODAFONE GROUP PLC            COM       92857W-10-0        370     10,000             X                  3      10,000
WAL-MART                      COM       931142-10-3      2,021     42,000             X                  1      42,000
WAL-MART                      COM       931142-10-3      1,453     30,200             X                  2      30,200
WAL-MART                      COM       931142-10-3        481     10,000             X                  3      10,000
WASHINGTON MUTUAL INC.        COM       939322-10-3      1,791     45,000             X                  1      45,000
WASTE CONNECTIONS             COM       941053-10-0      1,684     65,700             X                         65,700
WEBTRENDS CORP.               COM       94844D-10-4      1,502     40,200             X                         40,200
WELLS FARGO & COMPANY         COM       949746-10-1      2,297     50,000             X                  1      50,000
WORLDCOM INC                  COM       98157D-10-6      1,382     45,500             X                  1      45,500
WORLDCOM INC                  COM       98157D-10-6      1,504     49,500             X                  2      49,500
WORLDCOM INC                  COM       98157D-10-6        608     20,000             X                  3      20,000
                                                       -------
                                                       309,318
                                                       =======
</TABLE>


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