CHUBB CORP
13F-HR, 2000-05-12
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:       March 31, 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:

/s/ Henry B. Schram              Warren, New Jersey             May 12, 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:   None
<PAGE>   2
                              FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                3
                                                  -
Form 13F Information Table Entry Total:         168
                                                ---

Form 13F Information Table Value Total:    $338,818
                                           --------
                                         (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.

      No.         Form 13F File Number       Name

      01          28 - 6866                  Chubb Asset Managers, Inc.

      02          28 - 2490                  Federal Insurance Company

      03          28 - 2804                  Pacific Indemnity Company

<PAGE>   3
NAME OF REPORTING MANAGER  THE CHUBB CORPORATION  PERIOD ENDING  MARCH 31, 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>
ACE LIMITED                     COM    G0070K-10-3         1,457     63,700             X                       63,700
AMDOC'S LTD (DOX)               COM    G02602-10-3           651      8,800             X               1        8,800
TRANSOCEAN SEDCO FOREX INC      COM    G90078-10-9         1,026     20,000             X               1       20,000
TRANSOCEAN SEDCO FOREX INC      COM    G90078-10-9         1,133     22,080             X               2       22,080
TRANSOCEAN SEDCO FOREX INC      COM    G90078-10-9           770     15,000             X               3       15,000
ADC TELECOMMUNICATIONS          COM    000886-10-1         5,388    100,000             X               1      100,000
ADC TELECOMMUNICATIONS          COM    000886-10-1         2,802     52,000             X               2       52,000
AT & T CORP                     COM    001957-10-9         1,689     30,000             X               1       30,000
AT & T CORP                     COM    001957-10-9         3,379     60,000             X               2       60,000
ACCREDO HEALTH INC.             COM    00437V-10-4         1,656     50,000             X                       50,000
ADVANCED DIGITAL INFORMATION    COM    007525-10-8         1,884     55,000             X                       55,000
AKAMAI TECHNOLOGIES             COM    00971T-10-1         1,930     12,000             X               1       12,000
AKAMAI TECHNOLOGIES             COM    00971T-10-1         1,608     10,000             X               2       10,000
ALLSCRIPTS, INC                 COM    019886-10-0           703     11,700             X                       11,700
AMERICAN ONLINE INC.            COM    02364J-10-4         2,023     30,000             X               1       30,000
AMERICAN ONLINE INC.            COM    02364J-10-4         3,372     50,000             X               2       50,000
ANTEC CORP                      COM    03664P-10-5         1,120     25,000             X               1       25,000
ANTEC CORP                      COM    03664P-10-5         3,137     70,000             X               2       70,000
ANSWERTHINK CONSULTING GROUP    COM    036916-10-4         1,222     50,000             X                       50,000
ANSWERTHINK CONSULTING GROUP    COM    036916-10-4         1,833     75,000             X               2       75,000
APPLIED SCIENCE & TECHNOLOGY    COM    038236-10-5         1,174     38,800             X                       38,800
APROPOS TECHNOLOGY              COM    038334-10-8           485     13,100             X                       13,100
ASYST TECHNOLOGIES              COM    04648X-10-7         1,609     27,500             X                       27,500
B.J. WHOLESALE                  COM    05548J-10-6           959     25,000             X               1       25,000
BMC SOFTWARE INC                COM    055921-10-0         1,728     35,000             X               1       35,000
BMC SOFTWARE INC                COM    055921-10-0         2,963     60,000             X               2       60,000
BMC SOFTWARE INC                COM    055921-10-0           988     20,000             X               3       20,000
BANK OF AMERICA                 COM    060505-10-4         1,049     20,000             X               1       20,000
BAXTER INTERNATIONAL INC        COM    071813-10-9         1,254     20,000             X               1       20,000
BOTTOMLINE TECHNOLOGIES         COM    101388-10-6         1,275     35,000             X                       35,000
BRIO TECH                       COM    109704-10-6         1,442     38,200             X                       38,200
BRISTOL MYERS SQUIBB            COM    110122-10-8         2,320     40,000             X               2       40,000
BRISTOL MYERS SQUIBB            COM    110122-10-8           870     15,000             X               3       15,000
BROWN, TOM INC                  COM    115660-20-1           685     37,300             X                       37,300
BURLINGTON RESOURCES            COM    122014-10-3         2,287     61,800             X               1       61,800
BURLINGTON RESOURCES            COM    122014-10-3         2,190     59,200             X               2       59,200
BURLINGTON RESOURCES            COM    122014-10-3           925     25,000             X               3       25,000
BURR BROWN                      COM    122574-10-6           602     11,083             X                       11,083
CANADIAN IMPERIAL               COM    13606-91-01           423     15,000             X                       15,000
CATERPILLAR INC -UK             COM    149123-10-1           671      8,800             X               2        8,800
CHASE MANHATTAN CORP            COM    16161A-10-8         3,052     35,000             X               1       35,000
CHASE MANHATTAN CORP            COM    16161A-10-8         3,052     35,000             X               2       35,000
CIRCUIT CITY STORES             COM    172737-10-8         3,044     50,000             X               1       50,000
CIRCUIT CITY STORES             COM    172737-10-8         5,174     85,000             X               2       85,000
CISCO SYSTEMS INC.              COM    17275R-10-2         3,866     50,000             X               1       50,000
</TABLE>




<PAGE>   4
NAME OF REPORTING MANAGER  THE CHUBB CORPORATION   PERIOD ENDING  MARCH 31, 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>
CISCO SYSTEMS INC.              COM    17275R-10-2         3,402     44,000            X               2        44,000
CISCO SYSTEMS INC.              COM    17275R-10-2           309      4,000            X               3         4,000
CITADEL COMM.                   COM    172853-20-2         1,152     27,300            X                        27,300
CITIGROUP INC.                  COM    172967-10-1         2,156     36,000            X               1        36,000
CITIGROUP INC.                  COM    172967-10-1         4,191     70,000            X               2        70,000
COCA COLA CO                    COM    191216-10-0         2,347     50,000            X               2        50,000
COMPLETE BUSINESS SOLUTIONS     COM    20452F-10-7         2,797    125,000            X               1       125,000
COMPLETE BUSINESS SOLUTIONS     COM    20452F-10-7         2,797    125,000            X               2       125,000
COMPUTER ASSOCIATES             COM    204912-10-9         3,551     60,000            X               2        60,000
COMPUWARE CORP                  COM    205638-10-9         1,896     90,000            X               1        90,000
COMPUWARE CORP                  COM    205638-10-9         1,685     80,000            X               2        80,000
COMPUWARE CORP                  COM    205638-10-9         1,264     60,000            X               3        60,000
COOPER CAMERON                  COM    216640-10-2           923     13,800            X               1        13,800
COSTCO WHOLESALE CORP           COM    22160K-10-5         3,995     76,000            X               2        76,000
CROWN CASTLE                    COM    228227-10-4         3,598     95,000            X                        95,000
CROWN CASTLE                    COM    228227-10-4         2,462     65,000            X               1        65,000
CYBEX COMPUTER PRODUCTS         COM    232522-10-2         2,060     54,750            X                        54,750
CYTYC CORP                      COM    232946-10-3         2,441     50,600            X                        50,600
DIAL CORP                       COM    25247D-10-1         2,063    150,000            X               1       150,000
DIAL CORP                       COM    25247D-10-1         2,063    150,000            X               2       150,000
DOUBLECLICK                     COM    258609-30-4         2,809     30,000            X               2        30,000
EMC CORP                        COM    268648-10-2         3,528     28,000            X               2        28,000
EBENX                           COM    278668-10-8           254      8,600            X                         8,600
ELECTRONIC DATA SYSTEM          COM    285661-10-4         2,568     40,000            X               1        40,000
ELECTRONIC DATA SYSTEM          COM    285661-10-4         2,888     45,000            X               2        45,000
ELECTRONIC DATA SYSTEM          COM    285661-10-4           642     10,000            X               3        10,000
EVERGREEN RESOURCES             COM    299900-30-8           638     26,400            X                        26,400
FYI INC                         COM    302712-10-4           317     11,700            X                        11,700
GENERAL ELECTRIC CO             COM    369604-10-3         3,424     22,000            X               1        22,000
GENERAL ELECTRIC CO             COM    369604-10-3         2,334     15,000            X               2        15,000
GENERAL ELECTRIC CO             COM    369604-10-3         2,334     15,000            X               3        15,000
GENERAL MOTORS CLASS H          COM    370442-83-2         1,868     15,000            X               1        15,000
GENZYME MOLECULAR ONCOLOGY      COM    372917-50-0           383     25,300            X                        25,300
GLOBAL INDUSTRIES LTD           COM    379336-10-0         1,688    115,400            X                       115,400
GRIC COMMUNICATIONS             COM    398081-10-9           634     18,800            X                        18,800
HALLIBURTON                     COM    406216-10-1         2,574     62,600            X               1        62,600
HALLIBURTON                     COM    406216-10-1         3,084     75,000            X               2        75,000
HEARME                          COM    421903-10-5         1,566     62,000            X                        62,000
HEWLETT PACKARD                 COM    428236-10-3         3,056     23,000            X               1        23,000
HYSEC INC                       COM    449163-30-2           526     11,800            X                        11,800
INTEL CORP                      COM    458140-10-0         3,035     23,000            X               1        23,000
INTEL CORP                      COM    458140-10-0         3,958     30,000            X               2        30,000
INTERNATIONAL BUSINESS MACHI    COM    459200-10-1         2,596     22,000            X               1        22,000
INTERNATIONAL BUSINESS MACHI    COM    459200-10-1         3,540     30,000            X               2        30,000
INTRANET SOLUTIONS              COM    460939-30-9         1,670     36,300            X                        36,300
</TABLE>

<PAGE>   5
NAME OF REPORTING MANAGER  THE CHUBB CORPORATION   PERIOD ENDING  MARCH 31, 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>
JABIL CIRCUIT INC.              COM    466313-10-3         1,297     30,000           X                   1     30,000
JABIL CIRCUIT INC.              COM    466313-10-3         4,325    100,000           X                   2    100,000
KEANE INC                       COM    486665-10-2           606     24,000           X                   1     24,000
KONINKLIJKE PHILIPS ELECTRON    COM    500472-20-4         3,351     19,564           X                   1     19,564
LSI LOGIC CORP                  COM    502161-10-2         3,268     45,000           X                   2     45,000
LEARNING TREE INTERNATIONAL     COM    522015-10-6         1,257     35,400           X                         35,400
LEXMARK INTL GROUP INC          COM    529771-10-7         4,230     40,000           X                   1     40,000
LEXMARK INTL GROUP INC          COM    529771-10-7         3,701     35,000           X                   2     35,000
LUCENT                          COM    549463-10-7         3,001     49,000           X                   1     49,000
LUCENT                          COM    549463-10-7         3,185     52,000           X                   2     52,000
MCI WORLDCOM                    COM    55268B-10-6         1,155     25,500           X                   1     25,500
MCI WORLDCOM                    COM    55268B-10-6         2,243     49,500           X                   2     49,500
MTI TECHNOLOGY CORP             COM    553903-10-5           957     36,300           X                         36,300
MARCHFIRST INC                  COM    566244-10-9         2,315     64,875           X                   1     64,875
MARCHFIRST INC                  COM    566244-10-9         2,161     60,550           X                   2     60,550
MAVERICK TUBE CORPORATION       COM    577914-10-4         1,398     43,100           X                         43,100
MCK COMMUNICATIONS              COM    581243-10-2           986     20,600           X                         20,600
MERCK & CO INC                  COM    589331-10-7         2,485     40,000           X                   2     40,000
MERRILL LYNCH & CO              COM    590188-10-8         1,690     16,100           X                   1     16,100
MICROSOFT CORP                  COM    594918-10-4         3,294     31,000           X                   1     31,000
MICROSOFT CORP                  COM    594918-10-4         4,463     42,000           X                   2     42,000
MOTOROLA                        COM    620076-10-9         3,066     21,000           X                   1     21,000
MOTOROLA                        COM    620076-10-9         4,672     32,000           X                   2     32,000
NATIONAL SEMICONDUCTOR          COM    637640-10-3         4,125     67,900           X                   2     67,900
NATURAL MICRO SYSTEMS           COM    638882-10-0         1,509     17,600           X                         17,600
NET CREATIONS                   COM    64110N-10-2           603     14,200           X                         14,200
NETSOLVE INC                    COM    64115J-10-6           471     14,600           X                         14,600
NEWPORT NEWS SHIPBUILDING       COM    652228-10-7           352     11,645           X                   2     11,645
NOKIA OXJ                       COM    654902-20-4         3,774     17,000           X                   1     17,000
NOKIA OXJ                       COM    654902-20-4           444      2,000           X                   2      2,000
NOKIA OXJ                       COM    654902-20-4         2,886     13,000           X                   3     13,000
OCTEL CORP                      COM    675727-10-1           126     12,900           X                   2     12,900
1-800 CONTACTS, INC             COM    681977-10-4           561     16,200           X                         16,200
ORACLE SYSTEMSP                 COM    68389X-10-5         5,464     70,000           X                   1     70,000
ORACLE SYSTEMSP                 COM    68389X-10-5         3,903     50,000           X                   2     50,000
ORAPHARMA INC                   COM    68554E-10-6           451     24,400           X                         24,400
PRI AUTOMATION                  COM    69357H-10-6         1,840     30,100           X                         30,100
PARAMETRIC TECHNOLOGY CORP      COM    699173-10-0         1,053     50,000           X                   1     50,000
PARAMETRIC TECHNOLOGY CORP      COM    699173-10-0         2,106    100,000           X                   2    100,000
PFIZER,INC. COMMON              COM    717081-10-3         2,925     80,000           X                   2     80,000
PHOTRONICS                      COM    719405-10-2           501     14,200           X                         14,200
PHOTRONICS                      COM    719405-10-2         1,413     40,000           X                   2     40,000
PINNACLE HOLDINGS INC.          COM    72346N-10-1         2,005     37,300           X                         37,300
POWER INTEGRATIONS, INC.        COM    739276-10-3           242      9,700           X                          9,700
PRIME ENERGY                    COM    741901-20-1           510     18,900           X                         18,900
PRIORITY HEALTHCARE INC.        COM    74264T-10-2         2,060     41,000           X                         41,000
</TABLE>


<PAGE>   6
NAME OF REPORTING MANAGER  THE CHUBB CORPORATION   PERIOD ENDING  MARCH 31, 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>
PROCTER & GAMBLE CO.            COM    742718-10-9           848     15,000           X                1        15,000
PROCTER & GAMBLE CO.            COM    742718-10-9         1,605     28,400           X                2        28,400
PROCTER & GAMBLE CO.            COM    742718-10-9           283      5,000           X                3         5,000
QRS CORP.                       COM    74726X-10-5         1,347     17,900           X                         17,900
QUANTA SERVICES INC.            COM    74762E-10-2         1,632     26,900           X                         26,900
RADISYS CORP                    COM    750459-10-9         1,705     28,350           X                         28,350
RESOURCE PHOENIX                COM    76122L-10-6           464     35,700           X                         35,700
ROYAL DUTCH PETRO NY            COM    780257-80-4         1,734     30,000           X                1        30,000
ROYAL DUTCH PETRO NY            COM    780257-80-4         1,734     30,000           X                2        30,000
ROYAL DUTCH PETRO NY            COM    780257-80-4         1,734     30,000           X                3        30,000
SBC COMM.                       COM    78387G-10-3         1,685     40,000           X                2        40,000
SBC COMM.                       COM    78387G-10-3           843     20,000           X                3        20,000
SANCHEZ COMPUTER ASSOCIATES     COM    799702-10-5         1,855     52,800           X                         52,800
SANMINA CORP                    COM    800907-10-7         4,053     60,000           X                1        60,000
SANMINA CORP                    COM    800907-10-7         5,135     76,000           X                2        76,000
SCHLUMBERGER, LTD               COM    806857-10-8         3,825     50,000           X                2        50,000
SCIENTIFIC LEARNING             COM    808760-10-2           620     24,200           X                         24,200
SERENA                          COM    817492-10-1         1,637     51,350           X                         51,350
SILICON STORAGE TECH            COM    827057-10-0         1,315     17,800           X                         17,800
STUDENT ADVANTAGE               COM    86386Q-10-5           584     58,400           X                         58,400
SUN MICROSYSTEMS                COM    866810-10-4         3,748     40,000           X                1        40,000
SYCAMORE NETWORKS (SCMR)        COM    871206-10-8           323      2,500           X                1         2,500
SYCAMORE NETWORKS (SCMR)        COM    871206-10-8           323      2,500           X                2         2,500
TANDY CORP.                     COM    875382-10-3         1,015     20,000           X                1        20,000
THREE-FIVE SYSTEMS, INC.        COM    88554L-10-8         2,464     41,067           X                         41,067
UNITED TECHNOLOGIES  CORP.      COM    913017-10-9         2,148     34,000           X                1        34,000
VODAFONE GROUP PLC              COM    92857T-10-7         3,056     55,000           X                1        55,000
VODAFONE GROUP PLC              COM    92857T-10-7         3,612     65,000           X                2        65,000
WAL-MART                        COM    931142-10-3         2,373     42,000           X                1        42,000
WAL-MART                        COM    931142-10-3         1,865     33,000           X                2        33,000
WAL-MART                        COM    931142-10-3         1,695     30,000           X                3        30,000
WASHINGTON MUTUAL INC.          COM    939322-10-3         1,192     45,000           X                1        45,000
                                                         -------
                                       TOTAL             338,818
                                                         =======
</TABLE>




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