CLOVER CAPITAL MANAGEMENT INC /NY/
13F-HR, 2000-08-02
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended June 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:       Clover Capital Management, Inc.
Address:    11 Tobey Village Office Park
            Pittsford, NY  14534

Form 13F File Number:  28-02809

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:   Geoffrey Rosenberger
Title:  Managing Director
Phone:  (716) 385-6090

Signature, Place, and Date of Signing:

/s/  Geoffrey Rosenberger                Pittsford, NY             July 31, 2000
-------------------------

Report Type (Check only one):

[X]   13F HOLDINGS REPORT

[ ]   13F NOTICE

[ ]   13F COMBINATION

List of Other Managers reporting for this Manager:  NONE

<PAGE>


                             Form 13F SUMMARY PAGE

Report Summary:


Number of other Included Managers:               0

Form 13F Information Table Entry Total:        203

Form 13F Information Table Value Total:   $593,403

List of Other Included Managers:              NONE



<PAGE>

<TABLE>
<CAPTION>
                           FORM 13F INFORMATION TABLE
                         Clover Capital Management, Inc.
------------------------------------------------------------------------------------------------------------------------------------
         COLUMN 1                 COLUMN 2            COLUMN 3 COLUMN 4         COLUMN 5       COLUMN 6  COLUMN 7      COLUMN 8
                                                                                                                   VOTING AUTHORITY
------------------------------------------------------------------------------------------------------------------------------------
     NAME OF ISSUER            TITLE OF CLASS          CUSIP    VALUE    SHRS OR  SH/PRN PUT/ INVESTMENT  OTHER
                                                               (x$1000)  PRN AMT         CALL DISCRETION MANAGERS  SOLE  SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                                 <C>              <C>        <C>     <C>         <C>  <C>     <C>     <C>     <C>     <C>    <C>
HELEN OF TROY CORP LTD              COM              G4388N106    534     95500     SH           SOLE              95500
LORAL SPACE & COMMUNICATIONS        COM              G56462107    486     70000     SH           SOLE              70000
RSL COMMUNICATIONS LTD              CL A             G7702U102    618     54000     SH           SOLE              54000
SANTA FE INTL CORP                  ORD              G7805C108   2012     57600     SH           SOLE              57600
TRANSOCEAN SEDCO FOREX INC          ORD              G90078109   3679     68853     SH           SOLE              68853
AGCO CORP                           COM              001084102    245     20000     SH           SOLE              20000
ADAC LABS                           COM NEW          005313200   1034     43100     SH           SOLE              43100
AGRIUM INC                          COM              008916108   7648    886675     SH           SOLE             886675
AMERICAN MGMT SYS INC               COM              027352103  13852    421945     SH           SOLE             421945
AMERICAN MED SEC GROUP INC          COM              02744P101    172     25000     SH           SOLE              25000
AMERIPATH INC                       COM              03071D109    311     35000     SH           SOLE              35000
ANALYSTS INTL CORP                  COM              032681108   1929    207100     SH           SOLE             207100
ANDOVER BANCORP INC DEL             COM              034258103    369     12800     SH           SOLE              12800
ARVIN INDS INC                      COM              043339100    341     19650     SH           SOLE              19650
ASHWORTH INC                        COM              04516H101    537    120100     SH           SOLE             120100
ASTORIA FINL CORP                   COM              046265104    234      9100     SH           SOLE               9100
AVTEAM INC                          CL A             054527205     29     17000     SH           SOLE              17000
AXENT TECHNOLOGIES INC              COM              05459C108    707     28500     SH           SOLE              28500
BANKNORTH GROUP INC NEW             COM              06646R107   4007    261650     SH           SOLE             261650
BARRINGER TECHNOLOGIES INC          COM NEW          068509603    103     15000     SH           SOLE              15000
BECTON DICKINSON & CO               COM              075887109  10510    366357     SH           SOLE             366357
BELL & HOWELL CO NEW                COM              077852101    667     27500     SH           SOLE              27500
BILLING CONCEPTS CORP               COM              090063108     75     17000     SH           SOLE              17000
BRIGHTPOINT INC                     COM              109473108    212     24500     SH           SOLE              24500
BRUSH ENGINEERED MATLS INC          COM              117421107    250     16000     SH           SOLE              16000
BURLINGTON RES INC                  COM              122014103   1574     41150     SH           SOLE              41150
CBRL GROUP INC                      COM              12489V106   1277     86975     SH           SOLE              86975
CTG RES INC                         COM              125957100   5251    143125     SH           SOLE             143125
CPAC INC                            COM              126145101    158     21000     SH           SOLE              21000
CABOT OIL & GAS CORP                CL A             127097103    265     12500     SH           SOLE              12500
CACHE INC                           COM NEW          127150308     88     23800     SH           SOLE              23800
CALGON CARBON CORP                  COM              129603106    728     93900     SH           SOLE              93900
CALPINE CORP                        COM              131347106    526      8000     SH           SOLE               8000
CAREDATA COM INC                    COM              14166W100    110     65000     SH           SOLE              65000
CENTRAL GARDEN & PET CO             COM              153527106    387     43100     SH           SOLE              43100
CERIDIAN CORP                       COM              15677T106   8195    340550     SH           SOLE             340550
CHATEAU CMNTYS INC                  COM              161726104   8917    315638     SH           SOLE             315638
CHECKPOINT SYS INC                  COM              162825103    565     75300     SH           SOLE              75300
CHIRON CORP                         COM              170040109    380      8000     SH           SOLE               8000
CHRONIMED INC                       COM              171164106    107     14500     SH           SOLE              14500
CIBER INC                           COM              17163B102   7988    602860     SH           SOLE             602860
CITIZENS COMMUNICATIONS CO          COM              17453B101  24948   1446256     SH           SOLE            1446256
CLAYTON HOMES INC                   COM              184190106    304     38037     SH           SOLE              38037
COBRA ELECTRS CORP                  COM              191042100    236     35000     SH           SOLE              35000
COMDIAL CORP                        COM NEW          200332302    100     22500     SH           SOLE              22500
COMPUTER HORIZONS CORP              COM              205908106   9016    670950     SH           SOLE             670950
CONVERGYS CORP                      COM              212485106  19843    382515     SH           SOLE             382515
CORSAIR COMMUNICATIONS INC          COM              220406102    403     14000     SH           SOLE              14000
CROWN AMERN RLTY TR                 SH BEN INT       228186102     57     10525     SH           SOLE              10525
CYTEC INDS INC                      COM              232820100  10552    427400     SH           SOLE             427400
DT INDUSTRIES INC                   COM              23333J108    141     15000     SH           SOLE              15000
DAN RIV INC GA                      CL A             235774106    214     45000     SH           SOLE              45000
DEPARTMENT 56 INC                   COM              249509100   3029    275385     SH           SOLE             275385
DEVON ENERGY CORP NEW               COM              25179M103   1219     21700     SH           SOLE              21700
DIAL CORP NEW                       COM              25247D101    830     80000     SH           SOLE              80000
DOT HILLS SYS CORP                  COM              25848T109    330     30000     SH           SOLE              30000
DUCKWALL-ALCO STORES INC NEW        COM              264142100     91     11000     SH           SOLE              11000
DURA PHARMACEUTICALS INC            COM              26632S109   1680    116900     SH           SOLE             116900
DYNEGY INC NEW                      CL A             26816Q101  19992    292658     SH           SOLE             292658
EASTERN ENTERPRISES                 COM              27637F100   7217    114553     SH           SOLE             114553
ECLIPSE SURGICAL TECHNOLOGIES       COM              278849104     53     12000     SH           SOLE              12000
ELDER BEERMAN STORES CORP NEW       COM              284470101    105     25500     SH           SOLE              25500
ENCAD INC                           COM              292503109     56     19000     SH           SOLE              19000
ENERGIZER HLDGS INC                 COM              29266R108   5635    308781     SH           SOLE             308781
ENTERTAINMENT PPTYS TR              COM SH BEN INT   29380T105    663     48000     SH           SOLE              48000
EPICOR SOFTWARE CORP                COM              29426L108    190     75800     SH           SOLE              75800
EQUIFAX INC                         COM              294429105   7561    288040     SH           SOLE             288040
EQUITY RESIDENTIAL PPTYS TR         SH BEN INT       29476L107   1712     37225     SH           SOLE              37225
EXAR CORP                           COM              300645108    218      2500     SH           SOLE               2500
EXIDE CORP                          COM              302051107    550     68700     SH           SOLE              68700
FPIC INS GROUP INC                  COM              302563101    306     19500     SH           SOLE              19500
FIRST INDUSTRIAL REALTY TRUST       COM              32054K103    517     17515     SH           SOLE              17515
FIRST SENTINEL BANCORP INC          COM              33640T103    615     74800     SH           SOLE              74800
FLAGSTAR BANCORP INC                COM              337930101    126     15500     SH           SOLE              15500
GALILEO INTERNATIONAL INC           COM              363547100   1044     50000     SH           SOLE              50000
GAYLORD CONTAINER CORP              CL A             368145108    215     80000     SH           SOLE              80000
GENCORP INC                         COM              368682100   3513    439077     SH           SOLE             439077
GENERAL ELEC CO                     COM              369604103    354      6675     SH           SOLE               6675
GENESEE CORP                        CL B             371601204    186     10000     SH           SOLE              10000
GEON CO                             COM              37246W105   5548    299870     SH           SOLE             299870
GOODRICH B F CO                     COM              382388106  10602    311250     SH           SOLE             311250
GREAT ATLANTIC & PAC TEA INC        COM              390064103  10363    623310     SH           SOLE             623310
GREY WOLF INC                       COM              397888108    450     90000     SH           SOLE              90000
GUILFORD MLS INC                    COM              401794102    168     39500     SH           SOLE              39500
HS RES INC                          COM              404297103    225      7500     SH           SOLE               7500
HARDINGE INC                        COM              412324303    165     15770     SH           SOLE              15770
HARMAN INTL INDS INC                COM              413086109   8483    139065     SH           SOLE             139065
HEALTHSOUTH CORP                    COM              421924101   8991   1250785     SH           SOLE            1250785
HEALTHCARE RECOVERIES INC           COM              42220K101    125     35000     SH           SOLE              35000
HELLER FINANCIAL INC                CL A             423328103    424     20700     SH           SOLE              20700
HESKA CORP                          COM              42805E108    247    116300     SH           SOLE             116300
HOLOGIC INC                         COM              436440101    135     20000     SH           SOLE              20000
HOME PPTYS N Y INC                  COM              437306103   1250     41675     SH           SOLE              41675
HUNT CORP                           COM              445591100    104     10000     SH           SOLE              10000
ICT GROUP INC                       COM              44929Y101    337     35200     SH           SOLE              35200
IEC ELECTRS CORP NEW                COM              44949L105     23     15000     SH           SOLE              15000
IMC GLOBAL INC                      COM              449669100   6716    516628     SH           SOLE             516628
INFORMIX CORP                       COM              456779107  10775   1448600     SH           SOLE            1448600
INTEL CORP                          COM              458140100    268      2002     SH           SOLE               2002
INTELLIGROUP INC                    COM              45816A106    629     52400     SH           SOLE              52400
INTER PARFUMS INC                   COM              458334109    249     29250     SH           SOLE              29250
INTERNATIONAL BUSINESS MACHS        COM              459200101    571      5210     SH           SOLE               5210
J JILL GROUP INC                    COM              466189107    130     20000     SH           SOLE              20000
JONES APPAREL GROUP INC             COM              480074103   4472    190318     SH           SOLE             190318
K2 INC                              COM              482732104   1128    135700     SH           SOLE             135700
KEY ENERGY SVCS INC                 COM              492914106   1290    134000     SH           SOLE             134000
KROGER CO                           COM              501044101  12663    573929     SH           SOLE             573929
LASERSCOPE                          COM              518081104     38     25000     SH           SOLE              25000
LENNOX INTL INC                     COM              526107107    293     22110     SH           SOLE              22110
LINCOLN ELEC HLDGS INC              COM              533900106   3384    237500     SH           SOLE             237500
LITTON INDS INC                     COM              538021106   6649    158310     SH           SOLE             158310
M & F WORLDWIDE CORP                COM              552541104    107     19000     SH           SOLE              19000
MCN ENERGY GROUP INC                COM              55267J100   9234    431985     SH           SOLE             431985
MGIC INVT CORP WIS                  COM              552848103   9525    209330     SH           SOLE             209330
MAGNETEK INC                        COM              559424106    372     46500     SH           SOLE              46500
MANUFACTURED HOME CMNTYS INC        COM              564682102   8126    339445     SH           SOLE             339445
MAPICS INC                          COM              564910107   4723    821450     SH           SOLE             821450
MATRIA HEALTHCARE INC               COM              576817100    161     35000     SH           SOLE              35000
MEDITRUST CORP                      DEB CONV 7.5% 01 58501TAC2   3203   3661000     SH           SOLE            3661000
MEDITRUST CORP                      PAIRED CTF NEW   58501T306   2955    788034     SH           SOLE             788034
MESA AIR GROUP INC                  COM              590479101    171     31000     SH           SOLE              31000
MODIS PROFESSIONAL SVCS INC         COM              607830106     92     12000     SH           SOLE              12000
MONRO MUFFLER BRAKE INC             COM              610236101    147     16000     SH           SOLE              16000
NATIONAL DATA CORP                  COM              635621105    437     19000     SH           SOLE              19000
NATIONAL FUEL GAS CO N J            COM              636180101   1032     21175     SH           SOLE              21175
NATIONAL STL CORP                   CL B             637844309    272     65000     SH           SOLE              65000
NATURES SUNSHINE PRODUCTS INC       COM              639027101    210     30000     SH           SOLE              30000
NEIMAN MARCUS GROUP INC             CL A             640204202   1035     35000     SH           SOLE              35000
NETWORKS ASSOCS INC                 COM              640938106  12449    611015     SH           SOLE             611015
NORTHWEST NAT GAS CO                COM              667655104   7961    355780     SH           SOLE             355780
NOVA CORP GA                        COM              669784100  13114    469385     SH           SOLE             469385
NUTRACEUTICAL INTL CORP             COM              67060Y101     64     20000     SH           SOLE              20000
OAKLEY INC                          COM              673662102    161     14000     SH           SOLE              14000
OHIO CAS CORP                       COM              677240103    138     13000     SH           SOLE              13000
OMNICARE INC                        COM              681904108   1871    206450     SH           SOLE             206450
OMNOVA SOLUTIONS INC                COM              682129101   7781   1245000     SH           SOLE            1245000
ORACLE CORP                         COM              68389X105    496      5898     SH           SOLE               5898
PMI GROUP INC                       COM              69344M101  20025    421588     SH           SOLE             421588
PACKAGING CORP AMER                 COM              695156109    641     63300     SH           SOLE              63300
PARKER DRILLING CO                  COM              701081101    377     61000     SH           SOLE              61000
PEDIATRIX MED GROUP                 COM              705324101    151     13000     SH           SOLE              13000
PEOPLESOFT INC                      COM              712713106    933     55700     SH           SOLE              55700
PEREGRINE SYSTMES INC               COM              71366Q101    518     14925     SH           SOLE              14925
PERFORMANCE TECHNOLOGIES INC        COM              71376K102    122     14400     SH           SOLE              14400
PERSONNEL GROUP AMER INC            COM              715338109     29     10000     SH           SOLE              10000
PFIZER INC                          COM              717081103    396      8252     SH           SOLE               8252
PIONEER NAT RES CO                  COM              723787107  17198   1348825     SH           SOLE            1348825
PRIMESOURCE CORP                    COM              741593107     61     12000     SH           SOLE              12000
PROMEDCO MGMT CO                    COM              74342L105     49     45000     SH           SOLE              45000
QAD INC                             COM              74727D108    206     54800     SH           SOLE              54800
QUADRAMED CORP                      COM              74730W101    111     44200     SH           SOLE              44200
R & B FALCON CORP                   COM              74912E101   9652    409625     SH           SOLE             409625
RAINBOW TECHNOLOGIES INC            COM              750862104    316      6500     SH           SOLE               6500
RAYMOND JAMES FINANCIAL INC         COM              754730109    648     28800     SH           SOLE              28800
RAYTEL MED CORP                     COM              755107109     49     28000     SH           SOLE              28000
REEBOK INTL LTD                     COM              758110100    457     28700     SH           SOLE              28700
REYNOLDS & REYNOLDS CO              CL A             761695105   9591    525537     SH           SOLE             525537
RIDDELL SPORTS INC                  COM              765670104     89     21500     SH           SOLE              21500
RIGHT MGMT CONSULTANTS INC          COM              766573109    179     17000     SH           SOLE              17000
ROCK-TENN CO                        CL A             772739207    103     12000     SH           SOLE              12000
RUSSELL CORP                        COM              782352108   2496    124800     SH           SOLE             124800
SANTA FE SNYDER CORP                COM              80218K105  25782   2266575     SH           SOLE            2266575
SAP AKTIENGESELLSCHAFT              SPONSORED ADR    803054204    277      5900     SH           SOLE               5900
SCHEIN HENRY INC                    COM              806407102    914     53000     SH           SOLE              53000
SCIOS INC                           COM              808905103    101     18000     SH           SOLE              18000
SEITEL INC                          COM NEW          816074306    787     96800     SH           SOLE              96800
SEVEN SEAS PETE INC                 COM              817917107    101     85000     SH           SOLE              85000
SHERWIN WILLIAMS CO                 COM              824348106  10060    474785     SH           SOLE             474785
SIERRA PAC RES NEW                  COM              826428104   7237    576031     SH           SOLE             576031
SPEEDFAM-IPEC INC                   COM              847705100    766     42100     SH           SOLE              42100
STANDARD MANAGEMENT CORP            COM              853612109     36     10000     SH           SOLE              10000
SUBURBAN LODGES AMER INC            COM              864444104    114     20000     SH           SOLE              20000
SUNGARD DATA SYS INC                COM              867363103    465     15000     SH           SOLE              15000
SUNOCO INC                          COM              86764P109  11005    373820     SH           SOLE             373820
SYNTEL INC                          COM              87162H103   1290    129000     SH           SOLE             129000
TBC CORP                            COM              872180104    148     32000     SH           SOLE              32000
TII INDS INC                        COM NEW          872479209     46     21500     SH           SOLE              21500
TANDYCRAFTS INC                     COM              875386104    295    104700     SH           SOLE             104700
TEGAL CORP                          COM              879008100    615     92900     SH           SOLE              92900
TETRA TECHNOLOGIES INC DEL          COM              88162F105    213     15000     SH           SOLE              15000
THERMO ELECTRON CORP                COM              883556102  13110   622425`     SH           SOLE             622425
THERMEDICS INC                      COM              883901100    172     17300     SH           SOLE              17300
3DFX INTERACTIVE INC                COM              88553X103    218     28000     SH           SOLE              28000
TRAMMELL CROW CO                    COM              89288R106    334     31100     SH           SOLE              31100
TRANSPRO INC                        COM              893885103     99     19500     SH           SOLE              19500
TREX MED CORP                       COM              89531R101     68     34000     SH           SOLE              34000
TWINLAB CORP                        COM              901774109    588     92200     SH           SOLE              92200
USEC INC                            COM              90333E108    155     33500     SH           SOLE              33500
UNION PAC RES GROUP INC             COM              907834105  11066    503003     SH           SOLE             503003
U S WEST INC NEW                    COM              91273H101   7878     91877     SH           SOLE              91877
UNIVERSAL CORP VA                   COM              913456109   7111    336618     SH           SOLE             336618
VANS INC                            COM              921930103   1243     85000     SH           SOLE              85000
VERSANT CORP                        COM              925284101    122     25000     SH           SOLE              25000
VETERINARY CTRS AMER INC            COM              925514101    364     26500     SH           SOLE              26500
WASHINGTON FED INC                  COM              938824109    575     31500     SH           SOLE              31500
WASHINGTON MUT INC                  COM              939322103    641     22200     SH           SOLE              22200
WELLS FARGO & CO NEW                COM              949746101   8360    215732     SH           SOLE             215732
WEST MARINE INC                     COM              954235107    103     15000     SH           SOLE              15000
WOLVERINE TUBE INC                  COM              978093102    612     36000     SH           SOLE              36000
YELLOW CORP                         COM              985509108  11401    772980     SH           SOLE             772980
YORK GROUP INC                      COM              986632107    120     30000     SH           SOLE              30000
YORK INTL CORP NEW                  COM              986670107  10660    422194     SH           SOLE             422194
ZONAGEN INC                         COM              98975L108    124     38100     SH           SOLE              38100
COLUMN TOTALS                       203                        593403
</TABLE>




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