KEMPNER CAPITAL MANAGEMENT INC /TX
13F-HR, 2000-07-11
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Kempner Capital Management, Inc.
FORM 13F
June 30, 2000

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<CAPTION>
                                                                                                          Voting Authority
                                   Title of              Value        Shares/  Sh/  Invstmt   Other
Name of Issuer                     Class     CUSIP       (x$1000)     Prn Amt  Prn  Dscretn   Managers   Sole     Shared     None
--------------                     -----     -----       --------     -------  ---  -------   --------   ----     ------     ----

<S>                                <C>       <C>           <C>         <C>     <C>    <C>     <C>        <C>      <C>        <C>
AGCO Corp.                         COM       001084102      580        47350 SH       Sole                47350
Alltel Corp.                       COM       020039103      415         6703 SH       Sole                 6703
American Greetings                 COM       026375105      878        46210 SH       Sole                46210
Atmos Energy                       COM       049560105      279        15950 SH       Sole                15950
Banknorth Group, Inc.              COM       711147108      297        19410 SH       Sole                19410
Capital Automotive REIT            COM       139733109      565        40000 SH       Sole                40000
Commercial Federal                 COM       201647104      285        18300 SH       Sole                18300
Dillards Inc. Cl. A                COM       254067101      470        38390 SH       Sole                38390
Fannie Mae                         COM       313586109     1769        33900 SH       Sole                33900
Ford Motor                         COM       345370100     1077        25040 SH       Sole                25040
Goodyear Tire & Rubber             COM       382550101      690        34520 SH       Sole                34520
HON Industries, Inc.               COM       438092108      253        10750 SH       Sole                10750
IBP Inc.                           COM       449223106      764        49520 SH       Sole                49520
Kansas City Power & Light          COM       485134100      204         9050 SH       Sole                 9050
Lafarge Corp.                      COM       505862102      695        33100 SH       Sole                33100
MDU Resources Group Inc.           COM       552690109      738        34125 SH       Sole                34125
Meditrust Corp.                    COM       58501T306      129        34345 SH       Sole                34345
New Century Energies, Inc.         COM       64352U103      636        21200 SH       Sole                21200
Noble Affiliates Inc.              COM       654894104     1533        41160 SH       Sole                41160
Northern States Power              COM       665772109      260        12900 SH       Sole                12900
Ogden Corp.                        COM       676346109      597        66355 SH       Sole                66355
ProLogis Trust                     COM       743410102      540        25350 SH       Sole                25350
SCANA Corp.                        COM       80589M102      511        21193 SH       Sole                21193
Southwest Gas Corp.                COM       844895102      654        37375 SH       Sole                37375
USFreightways Corp                 COM       916906100      366        14900 SH       Sole                14900
Union Pacific Resources Group      COM       907834105     1933        87880 SH       Sole                87880
Ventas Inc.                        COM       92276F100      228        71420 SH       Sole                71420
Washington Federal, Inc.           COM       938824109      329        18040 SH       Sole                18040
Agrium Inc.                                  008916108      814        94380 SH       Sole                94380
Canadian Natl. Railway Co.                   136375102      656        22460 SH       Sole                22460
DSM NV                                       23332H202     1750       217300 SH       Sole               217300
Enterprise Oil plc                           293779302     1820        73550 SH       Sole                73550
IPC Holdings                                 G4933P101      489        34900 SH       Sole                34900
Invensys plc                                 G49133104     1124       149920 SH       Sole               149920
Norsk Hydro ADR                              656531605     1650        39235 SH       Sole                39235
PartnerRe Ltd.                               G6852T105      660        18620 SH       Sole                18620
Pechiney S.A. ADR                            705151207      551        26550 SH       Sole                26550
Ranger Oil Ltd.                              752805101      378        68800 SH       Sole                68800
RenaissanceRe Holdings Ltd.                  G7496G103      863        19810 SH       Sole                19810
Scottish Power                               81013T705      621        18575 SH       Sole                18575
XL Capital Ltd.                              G98255105      834        15400 SH       Sole                15400
TXU Corp Inc Prides 9.25% Conv               882848203      665        17100 SH       Sole                17100
--------                                                   ----         -----
REPORT SUMMARY                    42 DATA RECORDS         30552            0


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