KEMPNER CAPITAL MANAGEMENT INC /TX
13F-HR, 2000-10-10
Previous: COOPERMAN LEON G, SC 13G, 2000-10-10
Next: RYDEX SERIES FUNDS, 497, 2000-10-10




<PAGE>

Kempner Capital Management, Inc.
FORM 13F
September 30, 2000

<TABLE>
<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      562        47350   SH                        Sole       47350
Alltel Corp.                       COM       020039103      350         6703   SH                        Sole        6703
American Greetings                 COM       026375105      809        46210   SH                        Sole       46210
Anadarko Petroleum Co.             COM       032511107     2119        31883   SH                        Sole       31883
Atmos Energy                       COM       049560105      329        15950   SH                        Sole       15950
Banknorth Group, Inc.              COM       711147108      347        19410   SH                        Sole       19410
Burlington Resources               COM       122014103      696        18900   SH                        Sole       18900
Capital Automotive REIT            COM       139733109      520        40000   SH                        Sole       40000
Commercial Federal                 COM       201647104      350        18300   SH                        Sole       18300
Dillards Inc. Cl. A                COM       254067101      408        38390   SH                        Sole       38390
Fannie Mae                         COM       313586109     2424        33900   SH                        Sole       33900
Ford Motor                         COM       345370100     1108        43768   SH                        Sole       43768
HON Industries, Inc.               COM       438092108      265        10750   SH                        Sole       10750
IBP Inc.                           COM       449223106      907        49520   SH                        Sole       49520
Kansas City Power & Light          COM       485134100      242         9050   SH                        Sole        9050
Lafarge Corp.                      COM       505862102      720        33100   SH                        Sole       33100
MDU Resources Group Inc.           COM       552690109      810        27225   SH                        Sole       27225
Meditrust Corp.                    COM       58501T306      101        34345   SH                        Sole       34345
Noble Affiliates Inc.              COM       654894104     1528        41160   SH                        Sole       41160
Ogden Corp.                        COM       676346109      900        66355   SH                        Sole       66355
ProLogis Trust                     COM       743410102      602        25350   SH                        Sole       25350
Rockwell International             COM       773903109      404        13350   SH                        Sole       13350
SCANA Corp.                        COM       80589M102      654        21193   SH                        Sole       21193
Sherwin-Williams Co.               COM       824348106      449        21000   SH                        Sole       21000
Southwest Gas Corp.                COM       844895102      783        37375   SH                        Sole       37375
USFreightways Corp                 COM       916906100      338        14900   SH                        Sole       14900
Ventas Inc.                        COM       92276F100      357        71420   SH                        Sole       71420
Verizon Communications Inc.        COM       92343V104      392         8100   SH                        Sole        8100
Washington Federal, Inc.           COM       938824109      410        18040   SH                        Sole       18040
XCel Energy Inc.                   COM       98389b100     1258        45760   SH                        Sole       45760
Agrium Inc.                                  008916108      967        94380   SH                        Sole       94380
Canadian Natl. Railway Co.                   136375102      658        22460   SH                        Sole       22460
DSM NV                                       23332H202     1586       219517   SH                        Sole      219517
Enterprise Oil plc                           293779302     1738        73550   SH                        Sole       73550
Norsk Hydro ADR                              656531605     1660        39235   SH                        Sole       39235
PartnerRe Ltd.                               G6852T105      658        13870   SH                        Sole       13870
Pechiney S.A. ADR                            705151207      838        41650   SH                        Sole       41650
RenaissanceRe Holdings Ltd.                  G7496G103      915        14310   SH                        Sole       14310
Scottish Power                               81013T705      558        18575   SH                        Sole       18575
XL Capital Ltd.                              G98255105      801        10900   SH                        Sole       10900
TXU Corp Inc Prides 9.25% Conv               882848203      798        17100   SH                        Sole       17100
--------                                                   ----        -----
REPORT SUMMARY                         41 DATA RECORDS    32320            0


</TABLE>


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