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: Petersen, Flynn & Dinsmore, Inc.
Address: One Market Plaza, 1208 Steuart Tower
San Francisco, CA 94105
Form 13F File Number: 28-05773
The institutional investment manager filing this report and the person by
whom it is signed hereby represent 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: Bradford W. Dinsmore
Title: President
Phone: 415-777-0344
Signature, Place and Date of Signing:
Bradford W. Dinsmore San Francisco, CA November 1, 2000
[Signature] [City, State] [Date]
Report Type (Check only one.):
XXX 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: 159
Form 13F Information Table Value Total: $121,950
List of Other Included Managers:
NONE
<Page
<TABLE>
NAME OF ISSUER TITLE OF CUSIP VALUE SHARES INV. OTHER VOTING AUTH
CLASS X1000 DISC MGR SOLE SHR NONE
<C> <C>
A T & T Corp COMMON 001957109 150 5094 SOLE SOLE
Ace Ltd COMMON G0070K103 2033 51800 SOLE SOLE
ADC Telecommunications COMMON 000886101 2391 88934 SOLE SOLE
Adept Technology COMMON 006854103 184 3500 SOLE SOLE
Agilent Technologies Inc. COMMON 00846U101 387 7906 SOLE SOLE
AGL Resources COMMON 001204106 76 3802 SOLE SOLE
Alltel Corp COMMON 020039103 113 2160 SOLE SOLE
Alza Corp CL A CLASS A 022615108 6527 75460 SOLE SOLE
American Express Co COMMON 025816109 21 350 SOLE SOLE
American Home Products Co COMMON 026609107 754 13334 SOLE SOLE
American International Gr COMMON 026874107 655 6850 SOLE SOLE
Amgen COMMON 031162100 2378 34050 SOLE SOLE
Anadarko Petroleum Corp. COMMON 032511107 13 200 SOLE SOLE
Arrow Electronics Inc. COMMON 042735100 4828 141750 SOLE SOLE
Ash Grove Cement Co. COMMON 043693100 10 100 SOLE SOLE
Aspect Telecommunication COMMON 045237104 7 354 SOLE SOLE
Associates First Capital COMMON 046008108 30 786 SOLE SOLE
Asyst Technology Corp. COMMON 04648X107 279 13800 SOLE SOLE
Automatic Data Processing COMMON 053015103 107 1600 SOLE SOLE
AXA ADS COMMON 054536107 32 500 SOLE SOLE
AXA Financial Inc. COMMON 002451102 87 1700 SOLE SOLE
Baker Hughes Inc. COMMON 057224107 134 3606 SOLE SOLE
BankAmerica Corp COMMON 06605F102 10 200 SOLE SOLE
Bellwether Exploration COMMON 07989520 347 45100 SOLE SOLE
Biogen N V COMMON 090597105 1478 24225 SOLE SOLE
Boston Scientific COMMON 101137107 13 800 SOLE SOLE
British Petroleum Amoco COMMON 055622104 414 7804 SOLE SOLE
C&D Technologies Inc COMMON 124661109 108 1900 SOLE SOLE
Capital One Financial COMMON 14040H105 497 7100 SOLE SOLE
Carriage Services Inc. COMMON 143905107 0 100 SOLE SOLE
Catellus Dev Corp COMMON 149111106 427 24408 SOLE SOLE
Centex Corp. COMMON 152312104 665 20700 SOLE SOLE
Chase Manhattan Corp. COMMON 16161A108 69 1500 SOLE SOLE
Chevron Corp COMMON 166751107 618 7252 SOLE SOLE
Cisco Systems COMMON 17275R102 318 5752 SOLE SOLE
Citigroup COMMON 172967101 823 15227 SOLE SOLE
Coca-Cola Company COMMON 191216100 120 2171 SOLE SOLE
Comarco Inc. COMMON 200080109 49 1400 SOLE SOLE
Corning Inc. COMMON 219350105 5799 19526 SOLE SOLE
CP & L Energy, Inc. COMMON 12614C106 38 900 SOLE SOLE
Dana Corporation COMMON 235811106 2142 99620 SOLE SOLE
Denbury Resources Inc New COMMON 247916208 125 17800 SOLE SOLE
Disney COMMON 254687106 122 3201 SOLE SOLE
Dover Corp. COMMON 260003108 282 6000 SOLE SOLE
Dow Chemical COMMON 260543103 45 1800 SOLE SOLE
Duke Energy Corp COMMON 264399106 129 1500 SOLE SOLE
DuPont E I COMMON 263534109 255 6163 SOLE SOLE
Dura Pharmaceuticals COMMON 26632S109 6368 180000 SOLE SOLE
Edison Intl COMMON 281020107 87 4512 SOLE SOLE
El Paso Energy Corp. COMMON 283905107 296 4800 SOLE SOLE
Eli Lilly & Co COMMON 532457108 151 1856 SOLE SOLE
EMC Corp. COMMON 268648102 31 312 SOLE SOLE
Emerson Electric Company COMMON 291011104 429 6400 SOLE SOLE
ENCAD Inc. COMMON 292503109 68 30000 SOLE SOLE
Ensco International Inc. COMMON 26874Q100 23 600 SOLE SOLE
Equity Residential Prop T COMMON 29476L107 128 2661 SOLE SOLE
Essex Property Trust COMMON 297178105 1451 26200 SOLE SOLE
Exxon Mobil COMMON 30231G102 911 10220 SOLE SOLE
Federal National Mortgage COMMON 313586109 46 650 SOLE SOLE
Fidelity National Finl In COMMON 316326107 371 15000 SOLE SOLE
First Indl Realty Trust COMMON 32054K103 4199 136548 SOLE SOLE
Florida Progress Corp COMMON 341109106 12 228 SOLE SOLE
Ford Motor Co. COMMON 345370860 133 5265 SOLE SOLE
Forest Oil Corporation COMMON 346091605 4942 305275 SOLE SOLE
General Electric Company COMMON 369604103 2510 43506 SOLE SOLE
Gilead Sciences COMMON 375558103 1365 12446 SOLE SOLE
Gillette Co. COMMON 375766102 25 800 SOLE SOLE
Global Crossing Limited COMMON G3921A100 631 20360 SOLE SOLE
Grant Prideco, Inc. COMMON 38821G101 752 34280 SOLE SOLE
Guidant Corp. COMMON 401698105 221 3128 SOLE SOLE
H. J. Heinz Co COMMON 423074103 106 2852 SOLE SOLE
Halliburton Company COMMON 406216101 1947 39780 SOLE SOLE
Hewlett-Packard Company COMMON 428236103 2779 28654 SOLE SOLE
Highlands Insurance Group COMMON 431032101 1 70 SOLE SOLE
Home Depot Inc COMMON 437076102 16 300 SOLE SOLE
Honeywell Inc. COMMON 438516106 1719 48250 SOLE SOLE
IMPAC Mtg Hldgs Inc. COMMON 45254P102 1 400 SOLE SOLE
Imperial Oil Ltd New COMMON 453038408 298 11444 SOLE SOLE
Innkeepers USA Trust COMMON 4576J0104 15 1500 SOLE SOLE
Int'l Business Machines COMMON 459200101 476 4232 SOLE SOLE
Int'l. Flavors & Fragrances COMMON 459506101 27 1500 SOLE SOLE
Intel Corp. COMMON 458140100 769 18506 SOLE SOLE
IPC Holdings Ltd. COMMON G4933P101 3708 200450 SOLE SOLE
Japan Index Series COMMON 464286848 497 37500 SOLE SOLE
Jardine F China Rgn Fd COMMON 471110106 95 12100 SOLE SOLE
JDS Uniphase Corp COMMON 46612J101 752 7940 SOLE SOLE
Johnson & Johnson COMMON 478160104 483 5137 SOLE SOLE
Kennametal COMMON 489170100 670 26000 SOLE SOLE
Kerr-McGee Corp COMMON 492386107 33 500 SOLE SOLE
Kimberly-Clark Corp. COMMON 494368103 45 800 SOLE SOLE
Longview Fibre Co. COMMON 543213102 60 5000 SOLE SOLE
Lucent COMMON 549463107 53 1740 SOLE SOLE
Marsh & McLennan Cos. Inc COMMON 571748102 93 700 SOLE SOLE
May Department Stores COMMON 577778103 554 27000 SOLE SOLE
McDonalds Corp COMMON 580135101 121 4000 SOLE SOLE
Merck & Company COMMON 589331107 120 1610 SOLE SOLE
Microsoft Corp COMMON 594918104 401 6650 SOLE SOLE
Molex Inc. CL A CLASS A 608554200 5789 139711 SOLE SOLE
Morgan J P & Co Inc COMMON 616880100 343 2100 SOLE SOLE
Motorola Inc. COMMON 620076109 494 17500 SOLE SOLE
MS Emerging Mkts Fund COMMON 61744G107 63 5000 SOLE SOLE
MSDW Asia-Pacific Fund COMMON 61744U106 1013 107300 SOLE SOLE
Nabors Energy COMMON 629568106 20 381 SOLE SOLE
NCR Corp. COMMON 6.29E+112 0 12 SOLE SOLE
Newell Rubbermaid Co. COMMON 651229106 2296 100650 SOLE SOLE
Novell Inc. COMMON 670006105 7 700 SOLE SOLE
NTL Inc. COMMON 629407107 29 625 SOLE SOLE
Oracle COMMON 68389X105 8 100 SOLE SOLE
Paine Webber Group Inc. COMMON 695629105 78 1150 SOLE SOLE
PepsiCo Inc. COMMON 713448108 520 11313 SOLE SOLE
Pfizer Inc COMMON 717081103 386 8600 SOLE SOLE
PG & E Corp. COMMON 69331C108 58 2400 SOLE SOLE
Phillips Petroleum COMMON 718507106 94 1500 SOLE SOLE
Precision Castparts Corp COMMON 740189105 2594 67600 SOLE SOLE
Procter and Gamble COMMON 742718109 174 2600 SOLE SOLE
QUALCOMM Incorp. COMMON 747525103 36 500 SOLE SOLE
Qwest Communications Intl. Inc. COMMON 749121109 143 2983 SOLE SOLE
Radica Games COMMON G7342H107 59 22600 SOLE SOLE
Reliance Steel & Aluminum COMMON 759509102 2744 130301 SOLE SOLE
Royal Dutch Pete COMMON 780257804 36 600 SOLE SOLE
Santa Fe International Co COMMON G7805C108 3045 67575 SOLE SOLE
SBC Communications Inc. COMMON 78387G103 696 13912 SOLE SOLE
Schering Plough Inc. COMMON 806605101 498 10700 SOLE SOLE
Schlumberger Limited COMMON 806857108 329 3993 SOLE SOLE
Sempra Energy COMMON 816851109 31 1503 SOLE SOLE
Service Corp Int'l. COMMON 817539109 0 100 SOLE SOLE
Service Master Co. COMMON 81760N109 2576 260886 SOLE SOLE
Sierra Pacific Resources COMMON 826428104 3285 182500 SOLE SOLE
Smith Int'l. Inc. COMMON 832110100 220 2694 SOLE SOLE
Southwest Airls Co COMMON 844741108 5 217 SOLE SOLE
Spieker Properties Inc. COMMON 848497103 2661 46223 SOLE SOLE
Sun Microsystems COMMON 866810104 212 1820 SOLE SOLE
SunGard Data Systems Inc. COMMON 867363103 3370 78715 SOLE SOLE
TCW Convertible Securities COMMON 872340104 21 1728 SOLE SOLE
Templeton Dragon Fund COMMON 88018T101 1054 126800 SOLE SOLE
Templeton Emerg Mkts. COMMON 880190103 430 46800 SOLE SOLE
Texas Instruments Inc. COMMON 882508104 25 520 SOLE SOLE
Thermo Electron COMMON 883556102 37 1414 SOLE SOLE
Transocean Offshore Inc. COMMON G90076103 34 577 SOLE SOLE
Tricon Global Restaurant COMMON 895953107 111 3620 SOLE SOLE
TXU Corp. COMMON 882848104 4183 105575 SOLE SOLE
Tyco International COMMON 902124106 10 200 SOLE SOLE
United Rentals Inc. COMMON 911363109 118 4907 SOLE SOLE
Unocal Corp. COMMON 915289102 911 25704 SOLE SOLE
Urban Shopping Centers COMMON 917060105 67 1400 SOLE SOLE
Varian Inc. COMMON 922206107 17 400 SOLE SOLE
Varian Medical Systems COMMON 922204102 18 400 SOLE SOLE
Varian Semicon Equipment COMMON 922207105 11 300 SOLE SOLE
Vencor Inc. COMMON 92260R102 0 935 SOLE SOLE
Verizon Communications COMMON 92343V104 259 5350 SOLE SOLE
Visteon Corporation COMMON 9239u107 6 392 SOLE SOLE
Vodafone Group Public Co. COMMON 92857T107 6 170 SOLE SOLE
Washington Gas Light Co COMMON 938837101 108 4000 SOLE SOLE
Weatherford International COMMON 947074100 1501 34905 SOLE SOLE
Westwood One Inc. COMMON 961815107 54 2500 SOLE SOLE
Weyerhaeuser Co COMMON 962166104 56 1377 SOLE SOLE
Williams Cos. Inc. COMMON 969457100 42 1000 SOLE SOLE
Xcel Energy Inc. COMMON 98389B100 68 2470 SOLE SOLE
XL Capital Limited COMMON G98255105 1812 24657 SOLE SOLE
</TABLE>
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