The Killen Group
FORM 13F
13fcapch
"June 30, 1999"
Voting Authority
--------------------------
Value Shares/ Sh/ Put/ Invstmt Other
Name of Issuer Title of class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers
Sole Shared None
- --------------------- ---------------- --------- -------- -------- --- ----
- ------- ------------ -------- -------- --------
AIRGAS INC COM COM 009363102 3796 309850 SH Sole 49200 260650
AK STL HLDG CORP COM COM 001547108 5728 254568 SH Sole 101116 153452
ANANGEL-AMERN SHIPHLDG SPONSOR COM 032721201 2291 431301 SH Sole 270711
160590
ASA LTD COM COM 002050102 280 16800 SH Sole 14000 2800
B&H OCEAN CARRIERS LTD COM COM 055090104 1135 478067 SH Sole 306405 171662
BERRY PETE CO CL A COM 085789105 2813 201822 SH Sole 46300 155522
BLAIR CORP COM COM 092828102 3748 139125 SH Sole 38100 101025
BROWN & SHARPE MFG CO CL A COM 115223109 319 58656 SH Sole 3832 54824
BSB BANCORP COM COM 055652101 5428 201054 SH Sole 60845 140209
BT SHIPPING LTD SPN ADR REP 5S COM 056007305 155 88488 SH Sole 51887 36601
CALLON PETE CO DEL COM COM 13123X102 2946 285711 SH Sole 101100 184611
CAMPBELL RES INC NEW COM COM 134422104 189 606392 SH Sole 606392
CARBIDE/GRAPHITE GROUP COM COM 140777103 1606 112200 SH Sole 13000 99200
CASCADE CORP COM COM 147195101 1101 78640 SH Sole 78640
CHICAGO TITLE CORP COM COM 168228104 3417 95758 SH Sole 19000 76758
CHIQUITA BRANDS COM 170032106 530 58833 SH Sole 58833
CLEVELAND CLIFFS INC COM COM 185896107 3670 113355 SH Sole 37450 75905
COCA COLA BOTTLNG CONS COM COM 191098102 336 6000 SH Sole 6000
COHO ENERGY INC COM COM 192481109 175 338700 SH Sole 170700 168000
COMMONWEALTH TELEPHONE ENTRP. COM 203349105 5753 142261 SH Sole 46826 95435
COURIER CORP COM COM 222660102 5346 232443 SH Sole 131515 100928
CULP INC COM COM 230215105 2264 215621 SH Sole 101915 113706
DATA I O CORP COM COM 237690102 566 441548 SH Sole 276855 164693
DIXIE GROUP INC COM 255519100 3776 445097 SH Sole 250551 194546
DREW INDS INC COM NEW COM 26168L205 3279 266350 SH Sole 91700 174650
DUCOMMUN INC DEL COM COM 264147109 3743 313576 SH Sole 95566 218010
DURA PRODUCTS INTERNATIONAL COM 265904102 65 311400 SH Sole 139500 171900
ENVIROGEN INC COM COM 294040100 26 20000 SH Sole 20000
ESTERLINE TECHNOLOGIES COM COM 297425100 4698 326819 SH Sole 128170 198649
FIRST AMERN FINL CORP COM COM 318522307 4015 224592 SH Sole 86113 138479
FIRST ESSEX BANCORP COM COM 320103104 1790 110158 SH Sole 25500 84658
FRONTIER OIL CORP COM COM 35914P105 4078 598609 SH Sole 356744 241865
GIANT INDS INC COM COM 374508109 1022 102810 SH Sole 48000 54810
GREIF BROS CORP CL A COM 397624107 4079 159980 SH Sole 55200 104780
GRIFFON CORP COM COM 398433102 86 11000 SH Sole 11000
HARDINGE INC COM COM 412324303 3543 201728 SH Sole 58750 142978
IMC GLOBAL INC COM COM 449669100 2286 131585 SH Sole 19000 112585
IMPALA PLATINUM HOLDING-ADR COM 452553209 7142 288551 SH Sole 148616 139935
INACOM CORP COM COM 45323G109 2201 174320 SH Sole 63750 110570
KAISER ALUMINUM CORP COM COM 483007100 2390 269323 SH Sole 149600 119723
KEVCO INC COM COM 492716105 1703 208050 SH Sole 80500 127550
KEYSTONE CONS INDS INC COM COM 493422109 1100 165968 SH Sole 84228 81740
LADD FURNITURE INC COM PAR 0.3 COM 505739201 5627 267930 SH Sole 86698 181232
LAWRENCE SV BK MA NEW COM COM 520341108 1548 165090 SH Sole 37500 127590
LINDBERG CORP COM COM 535171102 4538 403376 SH Sole 141955 261421
LOUIS DREYFUS NAT GAS COM COM 546011107 2650 122895 SH Sole 68286 54609
MAXXAM INC COM COM 577913106 4179 64783 SH Sole 14806 49977
MIDWAY AIRLS CORP COM COM 598126100 1489 145300 SH Sole 12000 133300
NATIONAL STD CO COM COM 637742107 2027 415859 SH Sole 267634 148225
NORD PAC LTD ORD NEW COM 65556D102 299 434671 SH Sole 310110 124561
PATRICK INDS INC COM COM 703343103 3295 210850 SH Sole 109800 101050
PLAINTREE SYS INC COM COM 72663E106 47 389900 SH Sole 196000 193900
PRINTRONIX INC COM COM 742578107 5486 391842 SH Sole 166252 225590
QUIDEL CORP COM COM 74838J101 2627 824134 SH Sole 363676 460458
RANGER OIL LTD COM COM 752805101 3668 742871 SH Sole 464075 278796
REHABCARE GROUP INC COM COM 759148109 643 34900 SH Sole 3000 31900
REPAP ENTERPRISES INC COM COM 76026M309 185 2850148 SH Sole 2850148
ROBBINS & MYERS INC COM COM 770196103 1597 71564 SH Sole 16508 55056
SCAN OPTICS INC COM COM 805894102 3855 881212 SH Sole 389417 491795
STOLT NIELSEN S A COM COM L88742108 5183 339883 SH Sole 112400 227483
SUNOCO INC COM COM 86764P109 4930 163318 SH Sole 54254 109064
SYNALLOY CP DEL COM COM 871565107 800 98520 SH Sole 65900 32620
TEREX CORP NEW COM COM 880779103 5530 181677 SH Sole 74744 106933
TODHUNTER INTL INC DEL COM COM 889050100 1695 202394 SH Sole 128141 74253
TRANS LUX CORP COM COM 893247106 1197 145123 SH Sole 72400 72723
WELLS GARDNER ELECTRS COM COM 949765101 1194 341250 SH Sole 134925 206325
WESTMORELAND COAL CO COM COM 960878106 2363 727201 SH Sole 597534 129667
WORLD FUEL SVCS CORP COM COM 981475106 2109 143000 SH Sole 14400 128600
BATTLE MTN GOLD CO PFD CONV 3. PFD CV 071593305 1061 31150 SH Sole
BETHLEHEM STL CORP PFD CONV 14 PFD CV 087509501 1610 44567 SH Sole
CALLON PETE CO DEL PFD A CV EX PFD CV 13123X201 2834 106935 SH Sole
CHIQUITA BRANDS INTL PFD A NON PFD CV 170032403 1266 36710 SH Sole
CHIQUITA BRANDS INTL PFD CV B PFD CV 170032502 349 8300 SH Sole
CYPRUS AMAX MINERALS PFD A CON PFD CV 232809202 2239 49470 SH Sole
FREEPORT-MCMORAN COP&G PFD A C PFD CV 35671D501 2020 107757 SH Sole
HECLA MNG B PFD CV 422704205 1536 52505 SH Sole
LSB INDS INC PFD C CV 3.25% PFD CV 502160500 580 35125 SH Sole
WESTERN GAS RES INC PFD CONV . PFD CV 958259301 998 30950 SH Sole
WESTMORELAND COAL CO PFD DP A PFD CV 960878304 237 12969 SH Sole
CASTLE CONV FD INC COM COM 148443104 1143 51500 SH Sole
DUFF&PHELPS UTIL CP BD COM COM 26432K108 834 57526 SH Sole
DUFF&PHELPS UTILS INCM COM COM 264324104 1456 137000 SH Sole
INDEPENDENCE SQ INCOME COM COM 453779100 755 46800 SH Sole
MONTGOMERY STR INC SEC COM COM 614115103 261 14750 SH Sole
BUILDERS TRANSPORT INC CONV 120084AA6 0 55000 PRN Sole
BUILDERS TRANSPORT INC CONV 120084AB4 0 539000 PRN Sole
COEUR D ALENE MINES CORP IDAHO CONV 192108AE8 120 193000 PRN Sole
CRAY RESH INC CONV 225224AA2 325 452000 PRN Sole
DIXIE GROUP INC CONV 255519AA8 3739 4674000 PRN Sole
DRUG EMPORIUM INC CONV 262175AA0 4252 5062000 PRN Sole
FIELDCREST CANNON INC CONV 316549AB0 193 243000 PRN Sole
GTE CORP. CONV 362320AV5 777 750000 PRN Sole
KOLLMORGEN CORP CONV 500440AA0 2265 2262000 PRN Sole
MASCOTECH INC CONV 574670AB1 28 35000 PRN Sole
OHM CORP. CV CONV 670839AA7 584 608000 PRN Sole
PECO ENERGY CAP TR III CONV 69331VAA4 936 1000000 PRN Sole
REPTRON ELECTRONICS INC CONV 76026WAA7 593 1500000 PRN Sole
ROBBINS & MYERS CONV 770196AA1 2021 2044000 PRN Sole
STANDARD COMMERCIAL CORP CONV 853258AA9 2394 3893000 PRN Sole
STONE CONTAINER CORP CONV 861589AE9 1729 1987000 PRN Sole
SWIFT ENERGY CO CONV 870738AB7 1559 2075000 PRN Sole
TRANS LUX CORP CONV 893247AD8 3071 3199000 PRN Sole
WORLDWAY CORP CONV 98155FAA1 706 871000 PRN Sole
REPORT SUMMARY 103 DATA RECORDS 217846 0 OTHER MANAGERS ON WHOSE BEHALF
REPORT IS FILED