KIRR MARBACH & CO /IN/
13F-HR, 1999-10-26
Previous: MINIS & CO INC /GA/, 13F-HR, 1999-10-26
Next: SMITH BARNEY INCOME FUNDS, N-30D, 1999-10-26





[NOTIFY-INTERNET]       [email protected]
FILER:

          COMPANY DATA
                  COMPANY CONFORMED NAME:              KIRR MARBACH & COMPANY
                  CENTRAL INDEX KEY:                   00764112
                  STANDARD INDUSTRIAL CLASSIFICATION:  []
                  IRS NUMBER:                          351936323
                  STATE OF INCORPORORATION:            IN
                  FISCAL YEAR END:                     1231

          FILING VALUES:
                  FORM TYPE:            13F-E
                  SEC ACT:              1934 Act
                  SEC FILE NUMBER:      28-1506

          BUSINESS ADDRESS:
                  STREET 1:             621 WASHINGTON ST
                  CITY:                 COLUMBUS
                  STATE:                IN
                  ZIP:                  47201
                  BUSINESS PHONE:       8123769444

          MAIL ADDRESS:
                  STREET 1:             P O BOX 1729
                  CITY:                 COLUMBUS
                  STATE:                IN
                  ZIP:                  47202
[DESCRIPTION]FORM 13F HOLDINGS REPORT
                            UNITED STATES
                 SECURITIES AND EXCHANGE COMMISSION
                       Washington, D.C. 20549

                              Form 13F

                         FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 09/30/1999

Institutional Investment Manager Filing this Report:

       Kirr Marbach & Company
       PO Box 1729
       Columbus, IN  47202

Form 13F File Number: 28-1506

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:

By(Signature and Title)  /s/ MICKEY KIM
Mickey Kim, Office Manager

Date:  09/30/1999

Report Type:  13F

Form 13F Summary Page

Report Summary:

Number of Other Included Managers: NONE

<TABLE>
<S>                                       <C>




<PAGE>     PAGE  1
                                                            SHARES/           INVSTMT  VOTING
NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP--     VALUE PRINCIPAL DSCRETN  SOLE

KANTON HOLDINGS                COMMON STOCK     G52153106      1235      6000 SOLE          X
DICKSON CONCEPTS INT'L         COMMON STOCK     Y20695105      1557      2000 SOLE          X
3D NET INC                     COMMON STOCK     885990218     60000    100000 SOLE          X
CLIMAX INT'L                   COMMON STOCK     G2203K109       648     40000 SOLE          X
GUOCO GROUP                    COMMON STOCK     G42098122   2294992    873900 SOLE          X
CHAMPION TECHNOLOGY HOLDINGS   COMMON STOCK     G2033C103      3411     50000 SOLE          X
BARRICK GOLD                   COMMON STOCK     067901108   7612500    350000 SOLE          X
AMERICAN CAPITAL STRATEGIES    COMMON STOCK     024937104    120250      6500 SOLE          X
ATLANTIC CONTAINER LINES-TENDE COMMON STOCK     W0968J103      3271       300 SOLE          X
ACCEPTANCE INS COMPANY         COMMON STOCK     004308102      6312       500 SOLE          X
ALTERA HEALTHCARE CORPORATION  COMMON STOCK     02146C104   2873725    323800 SOLE          X
ALLIED CAPITAL CORP            COMMON STOCK     01903Q108  10285350    458400 SOLE          X
ANNUITY & LIFE                 COMMON STOCK     G03910109   3417825    137400 SOLE          X
AUTONATION INC.                COMMON STOCK     05329W102   1666250    133300 SOLE          X
APACHE                         COMMON STOCK     037411105   7023928    162638 SOLE          X
APPLETON ASSOC. LP             COMMON STOCK     038990032    850639   1006555 SOLE          X
AIRGAS                         COMMON STOCK     009363102   4098975    352600 SOLE          X
ARVIN INDUSTRIES INC           COMMON STOCK     043339100      6187       200 SOLE          X
AUTHENTIC FITNESS CORP         COMMON STOCK     052661105     38637      2200 SOLE          X
AVTEAM INC                     COMMON STOCK     054527205      6875      1000 SOLE          X
ALLIED WASTE                   COMMON STOCK     019589308   4813496    411850 SOLE          X
AUTOZONE INC                   COMMON STOCK     053332102  10293325    366800 SOLE          X
AZURIX CORP                    COMMON STOCK     05501M104   4258203    247750 SOLE          X
BOEING CO.                     COMMON STOCK     097023105     25575       600 SOLE          X
BANKAMERICA CORP NEW           COMMON STOCK     060505104     33412       600 SOLE          X
BCAM INT'L UNIT (COMM & WRTS)  COMMON STOCK     055293104     69930    700000 SOLE          X
BELLE CORP                     COMMON STOCK     Y0775S104      1894     25000 SOLE          X
BEST PRODUCTS INC TRADE CLAIM  COMMON STOCK     UNQ# 350      23100     42000 SOLE          X
BICCGENERAL                    COMMON STOCK     369300108      1800       150 SOLE          X
BELL & HOWELL                  COMMON STOCK     077852101   4259418    116100 SOLE          X
BJ SERVICES                    COMMON STOCK     055482103   3169479     99630 SOLE          X
BANCO LATINOAMERICANO          COMMON STOCK     P16994132      2287       100 SOLE          X
BRISTOL MYERS SQUIBB CO        COMMON STOCK     110122108      4050        60 SOLE          X
BOYKIN LODGING                 COMMON STOCK     103430104      6625       500 SOLE          X
BRENTON BKS INC                COMMON STOCK     107211104     24447      1758 SOLE          X
BERKSHIRE REALTY INC           COMMON STOCK     084710102   1927680    160640 SOLE          X
BARR LABORATORIES              COMMON STOCK     068306109   1296987     40850 SOLE          X
BIOTRANSPLANT                  COMMON STOCK     09066Y107    630870     98960 SOLE          X
CITIGROUP INC.                 COMMON STOCK     172967101    144100      3275 SOLE          X
CATERPILLAR INC                COMMON STOCK     149123101      5481       100 SOLE          X
CAVALIER HOMES                 COMMON STOCK     149507105    125000     25000 SOLE          X
CADENCE DESIGN SYSTEMS INC     COMMON STOCK     127387108      2675       200 SOLE          X
CENTRAL PUERTO SA B            COMMON STOCK     P2354W118      1810      1000 SOLE          X
COMMERCIAL FEDERAL             COMMON STOCK     201647104   7488409    381575 SOLE          X
SEAFRESH INDUSTRY PUBLIC CO    COMMON STOCK     Y7545D119      2335      1100 SOLE          X
CINERGY CORP                   COMMON STOCK     172474108   2573606     90900 SOLE          X
CKE RESTAURANTS                COMMON STOCK     12561E105      1450       200 SOLE          X
CONSECO                        COMMON STOCK     208464107    285000     15000 SOLE          X
CALPINE CORPORATION            COMMON STOCK     131347106  18564890    218250 SOLE          X
COMPAC COMPUTER                COMMON STOCK     204493100      4575       200 SOLE          X
COMSTOCK RESOURCES INC         COMMON STOCK     205768203    412500    100000 SOLE          X
CENTURY COMMUNICATIONS CORP-TO COMMON STOCK     156503104   9794638    214677 SOLE          X
CGIP-GEN D'IND & DEPARTICIP-TO COMMON STOCK     F43365117   2724347     57953 SOLE          X



<PAGE>     PAGE  2
                                                            SHARES/           INVSTMT  VOTING
NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP--     VALUE PRINCIPAL DSCRETN  SOLE

CYDSA SA SERIES A              COMMON STOCK     P33988109     28602     23000 SOLE          X
CITIZENS UTILITIES             COMMON STOCK     177342201   9562456    845300 SOLE          X
DANIELSON HOLDING              COMMON STOCK     236274106    523200     87200 SOLE          X
DONNKENNY INC                  COMMON STOCK     258006105    460468    526250 SOLE          X
DENBURY RESOURCES              COMMON STOCK     247916208     40781      7500 SOLE          X
DUKE RLTY INVTS INC NEW        COMMON STOCK     264411505      4212       216 SOLE          X
DAL-TILE INT'L                 COMMON STOCK     23426R108   1714500    216000 SOLE          X
ENGELHARD CORP                 COMMON STOCK     292845104   5642717    309190 SOLE          X
GRUPO ELEKTRA SA               COMMON STOCK     40050A102      3850       800 SOLE          X
ELECTRAFINA                    COMMON STOCK     B3460114    2346633     19000 SOLE          X
ELECT & ELTEK                  COMMON STOCK     Y22705100      3880      1000 SOLE          X
EMCOR GROUP INC                COMMON STOCK     29084Q100   3965500    206000 SOLE          X
EMCOR GROUP WTS X              COMMON STOCK     29084Q118    192125     26500 SOLE          X
ENRON CORP                     COMMON STOCK     293561106     82125      2000 SOLE          X
KINDER MORGAN ENERGY PARTNERS  COMMON STOCK     494550106    259875      6000 SOLE          X
EOG RESOURCES                  COMMON STOCK     26875P101  10588450    498280 SOLE          X
EVANS & SUTHERLAND             COMMON STOCK     299096107      1237       100 SOLE          X
WEBS - JAPAN INDEX SERIES      COMMON STOCK     92923H889   3966960    284625 SOLE          X
EASYRIDERS INC.                COMMON STOCK     277848107      1359      1450 SOLE          X
FIRST DATA CORP                COMMON STOCK     319963104   5679618    129450 SOLE          X
FRANKLIN ELECTRIC              COMMON STOCK     353514102    264000      4000 SOLE          X
FMC CORP                       COMMON STOCK     302491303   2792468     57875 SOLE          X
FEDERAL NATL MTG ASSN          COMMON STOCK     313586109     75225      1200 SOLE          X
FOREMOST CORP OF AMERICA       COMMON STOCK     345469100   5142216    214259 SOLE          X
FLORIDA PUBLIC UTILITIES       COMMON STOCK     341135101     64312      3500 SOLE          X
FIRSTSTAR CORP NEW             COMMON STOCK     33763V109    115312      4500 SOLE          X
FOREST OIL                     COMMON STOCK     346091606    341250     20000 SOLE          X
GROUPE BRUXELLES LAMBERT       COMMON STOCK     B4747113    2897340     15150 SOLE          X
GEA AG -PRF                    COMMON STOCK     D2756K103   4439659    147880 SOLE          X
GIBSON GREETINGS               COMMON STOCK     374827103      9031      1700 SOLE          X
GREAT LAKES CHEMICAL           COMMON STOCK     390568103   3918534    102950 SOLE          X
GRUPO TRIBASA ADR              COMMON STOCK     40049F105       500      1000 SOLE          X
HARCOURT GENERAL               COMMON STOCK     41163G101   3704625     89000 SOLE          X
HANA MICROELECTRONICS          COMMON STOCK     Y29974113      3300      1000 SOLE          X
HCC INSURANCE HOLDINGS INC     COMMON STOCK     404132102   4880248    290275 SOLE          X
HELLER FINANCIAL INC           COMMON STOCK     423328103   2108700     93720 SOLE          X
HURRICANE HYDROCARBONS CL A    COMMON STOCK     44779E106       715      1500 SOLE          X
HOUSE OF INVESTMENT INC        COMMON STOCK     G46166107     12516    400000 SOLE          X
HIBERNIA                       COMMON STOCK     428656102   5305650    456400 SOLE          X
DOT HILL SYSTEM CORP           COMMON STOCK     25848T109      6625      1000 SOLE          X
HOLLY CORP                     COMMON STOCK     435758305    150000     10000 SOLE          X
HOME FED BANCORP               COMMON STOCK     436926109    108157      5060 SOLE          X
H&R BLOCK INC                  COMMON STOCK     093671105   6063657    139595 SOLE          X
HEARTLAND EXPRESS              COMMON STOCK     422347104   1966200    139200 SOLE          X
HURCO CO.                      COMMON STOCK     447324104     16875      5000 SOLE          X
INT'L HOME FOODS               COMMON STOCK     459655106   5733000    327600 SOLE          X
INT'L MULTIFOOD CORP           COMMON STOCK     460043102   2274700     98900 SOLE          X
IMMUNOMEDICS INC               COMMON STOCK     452907108     23314     17350 SOLE          X
INCYTE PHARMACEUTICALS         COMMON STOCK     45337C102      6937       300 SOLE          X
INVESTOR AB-B SHS              COMMON STOCK     W48102128   4584778    385500 SOLE          X
INTERNATIONAL PAPER            COMMON STOCK     460146103      4806       100 SOLE          X
IRWIN FINANCIAL CORPORATION    COMMON STOCK     464119106    641839     31992 SOLE          X
INTERIM SERVICES               COMMON STOCK     45868P100   4099071    250325 SOLE          X



<PAGE>     PAGE  3
                                                            SHARES/           INVSTMT  VOTING
NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP--     VALUE PRINCIPAL DSCRETN  SOLE

ISIS                           COMMON STOCK     F5312L109      1821        25 SOLE          X
J D WETHERSPOON                COMMON STOCK     G5085Y147   2320796    419300 SOLE          X
JONES APPAREL                  COMMON STOCK     480074103   4681937    162850 SOLE          X
JOSTENS INC                    COMMON STOCK     481088102   5420025    283400 SOLE          X
JP MORGAN                      COMMON STOCK     616880100      4570        40 SOLE          X
KESKO OYJ - B SHARES           COMMON STOCK     492530100   2407340    199400 SOLE          X
KIMBERLY-CLARK                 COMMON STOCK     494368103  11759860    222935 SOLE          X
KN ENERGY INC                  COMMON STOCK     482620101  13942662    621400 SOLE          X
KNIGHT RIDDER                  COMMON STOCK     499040103   5241500     95300 SOLE          X
KR PRECISION CO-PURCHASE OFFER COMMON STOCK     Y49892113       433      1000 SOLE          X
LANCASTER COLONY               COMMON STOCK     513847103   3668800    114650 SOLE          X
LADISH CO                      COMMON STOCK     505754200      6500      1000 SOLE          X
ELI LILLY & COMPANY            COMMON STOCK     532457108    154050      2400 SOLE          X
LINCOLN BANCORP                COMMON STOCK     532879103    237500     20000 SOLE          X
LIPPO SECURITIES               COMMON STOCK     Y7128R105      1440     80000 SOLE          X
QUINENCO S ADR                 COMMON STOCK     748718103      3037       300 SOLE          X
MADGE NETWORKS                 COMMON STOCK     N5424G106    104500     44000 SOLE          X
MAYR-MELNHOF KARTON AG         COMMON STOCK     A42818103   2471465     55580 SOLE          X
MCKESSON HBOC                  COMMON STOCK     58155Q103   7035400    242600 SOLE          X
MCDERMOTT INT'L                COMMON STOCK     580037109     10125       500 SOLE          X
MIDAS INC                      COMMON STOCK     595626102   4737046    229675 SOLE          X
MEDEVA ADR                     COMMON STOCK     58410H203     60812      7000 SOLE          X
MEDEVA PLC                     COMMON STOCK     G59556103   1456177    654800 SOLE          X
MIDAMERICAN ENERGY HOLDINGS    COMMON STOCK     59562V107   4427950    150100 SOLE          X
MAGNA INTL INC CL A            COMMON STOCK     559222401     52171      1050 SOLE          X
MIRGOR                         COMMON STOCK     P6823S129       700       100 SOLE          X
MULTIPOLAR CORP                COMMON STOCK     Y7132D100      5445    165000 SOLE          X
MINNESOTA MINING & MFG         COMMON STOCK     604059105      5763        60 SOLE          X
MARINE DRILLING                COMMON STOCK     568240204   4585625    290000 SOLE          X
NAVIGATORS GROUP INC           COMMON STOCK     638904102    622606     46550 SOLE          X
NATSTEEL ELECTRONICS           COMMON STOCK     Y62538106   2078519    555800 SOLE          X
NFO WORLDWIDE INC              COMMON STOCK     62910N108      4296       337 SOLE          X
NEDLLOYD                       COMMON STOCK     N5057Q108   2426990     87202 SOLE          X
NEWBRIDGE NETWORKS CORP        COMMON STOCK     650901101   4745981    182100 SOLE          X
NOBLE ROMANS INC.              COMMON STOCK     655107100      1024       512 SOLE          X
OGDEN CORP                     COMMON STOCK     676346109     33200      3200 SOLE          X
OLD REPUBLIC INTL CORP         COMMON STOCK     680223104     45463      3149 SOLE          X
PAGING NETWORK INC             COMMON STOCK     695542100       618       600 SOLE          X
PRECISION CASTPARTS            COMMON STOCK     740189105   3562400    116800 SOLE          X
PFIZER INC                     COMMON STOCK     717081103    129150      3600 SOLE          X
PAGE AMER GROUP INC COM PAR    COMMON STOCK     695465302       200      7172 SOLE          X
PENINSULAR & ORIENT STEAM-DIST COMMON STOCK     G71710142   2094556    138811 SOLE          X
PROCARD INC.                   COMMON STOCK     742990039    124800     31200 SOLE          X
PROCARD INC. SER A CONV PFD    COMMON STOCK     742990054    116168     29042 SOLE          X
PROCARD INC. SER B CONV PFD    COMMON STOCK     742990047    973816    243454 SOLE          X
PROCARD CL A WTS               COMMON STOCK     742990062    104198     29771 SOLE          X
PSC INC                        COMMON STOCK     69361E107    952000    119000 SOLE          X
PETSEC ENERGY                  COMMON STOCK     715796108       750       800 SOLE          X
PULITZER INC                   COMMON STOCK     745769109      2271        50 SOLE          X
PITTSTON BRINK'S GROUP         COMMON STOCK     725701106   6230481    268700 SOLE          X
REAL SILK INVESTORS            COMMON STOCK     756027108    333268       493 SOLE          X
ROBINSON DEPT STORE PUB CO LTD COMMON STOCK     Y7318V114      2084     22200 SOLE          X
AUTOMATIC COM EXCH SEC TR II   COMMON STOCK     05300A202   3160492    239800 SOLE          X



<PAGE>     PAGE  4
                                                            SHARES/           INVSTMT  VOTING
NAME OF ISSUER                 -TITLE OF CLASS- --CUSIP--     VALUE PRINCIPAL DSCRETN  SOLE

SECURICOR PLC                  COMMON STOCK     G7968M109   4972344    503500 SOLE          X
SANTA FE INT'L                 COMMON STOCK     G7805C108   5052093    234300 SOLE          X
SOUTHDOWN INC                  COMMON STOCK     841297104   5065112     94675 SOLE          X
SANTA FE SNYDER CORP.          COMMON STOCK     80218K105   7066260    785140 SOLE          X
SCHERING PLOUGH CORPORATION    COMMON STOCK     806605101    261750      6000 SOLE          X
SINOPHIL CORP                  COMMON STOCK     Y8040T104     19038   1900000 SOLE          X
SKYEPHARMA PLC SPONSORED ADR   COMMON STOCK     830808101      1972       232 SOLE          X
SOLUTIA INC                    COMMON STOCK     834376105   5310662    297100 SOLE          X
ST JUDE MEDICAL                COMMON STOCK     790849103  12228772    388215 SOLE          X
TRANSPORTADORA DEGAS           COMMON STOCK     893870204      1637       200 SOLE          X
TELECOM ITALIA SPA             COMMON STOCK     T9277N121   2549636    294800 SOLE          X
TELECOM ITALIA SPA RNC         COMMON STOCK     879990026   2736917    541700 SOLE          X
TOMKINS                        COMMON STOCK     G89158136   5901300   1409010 SOLE          X
THAI UNION FROZEN PRODUCTS     COMMON STOCK     Y8729T110      2413       700 SOLE          X
TV AZTECA                      COMMON STOCK     901145102      2500       500 SOLE          X
UNIVERSAL FOODS CORP           COMMON STOCK     913538104   4030118    175700 SOLE          X
UNISYS CORP                    COMMON STOCK     909214108    248864      5515 SOLE          X
MEDIAONE GROUP INC             COMMON STOCK     58440J104  13254879    194033 SOLE          X
US INDUSTRIES                  COMMON STOCK     912080108   4166268    264525 SOLE          X
SENSORY SCIENCE CORP           COMMON STOCK     81726X100   1051237    494700 SOLE          X
VOLKSWAGEN AG PFD              COMMON STOCK     D94523103    492923     15420 SOLE          X
VERSUS TECHNOLOGY              COMMON STOCK     925313108     42625    275000 SOLE          X
VITRO SA ADS                   COMMON STOCK     928502301      1237       300 SOLE          X
WARNACO GROUP                  COMMON STOCK     934390105   3334275    182700 SOLE          X
WESCO INT'L                    COMMON STOCK     95082P105   3234625    229000 SOLE          X
MCI WORLDCOM INC               COMMON STOCK     55268B106     14375       200 SOLE          X
WELLS FARGO CO.                COMMON STOCK     949746101    223366      5637 SOLE          X
WEATHERFORD INT'L              COMMON STOCK     947074100   2572800     80400 SOLE          X
WABASH NATIONAL                COMMON STOCK     929566107   8073710    397475 SOLE          X
WEST BANCORPORATION INC        COMMON STOCK     95123P106     12150       900 SOLE          X
WORLD TRUST FUND COMMON        COMMON STOCK     L98345108   3694742    196320 SOLE          X
YAHOO INC                      COMMON STOCK     984332106      5385        30 SOLE          X
PT ZEBRA NUSANTARA             COMMON STOCK     Y7148X108       718     19950 SOLE          X





</TABLE>


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission