ACADIAN ASSET MANAGEMENT INC /MA/
13F-HR, 2000-11-28
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			UNITED STATES
		SECURITIES AND EXCHANGE COMMISSION
		"Washington, D.C. 20549"

			Form 13F

			Form 13F Cover Page

"Report for the 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:           Acadian Asset Management
Address:        Ten Post Office Square
		Boston, MA 02109

13F Filer Number:       28-5990

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"
"informaiton 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:           Jennie Gryczka
Title:          Chief Financial Officer
Phone:          617-946-3576
"Signature, Place, and Date of Signing:"
"Jennie Gryczka, Boston, Massachusetts October 16, 2000"

Report type:

[ x ]  13 F HOLDINGS REPORT

List of Other Managers Reporting for this Manager:

NONE.

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.

<PAGE>


		FORM 13F SUMMARY PAGE

Report Summary:
Number of Other Included Managers:  0
Form 13F Information Table Entry Total: 	155
Form 13F Information Table Value Total :   	117,313,000
                                                                                List of Other Included Managers:                0
<PAGE>


<TABLE>
<S>	<C>	<C>	<C>	<C>	<C>	<C>	<C>	<C>	<C>	<C>	<C>
NAME OF ISSUER	TITLE OF CLASS	CUSIP	VALUE (x$1000)	SHARES/PRN AMT	SH/PRN	PUT/CALL	INVSTMT DSCRETN	OTHER MANAGERS	SOLE	SHARED	NONE
3COM CORPORATION	COM	88553510	27	1400	SH	 	Sole	 	1400	0	0
ACTUANT CORP CL A	CL A	00508X10	481	122100	SH	 	Sole	 	122100	0	0
ADVANCED MICRO DEVICE	COMMON  00790310	156	6600	SH	 	Sole	 	6600	0	0
ADVANTA CORP		CL A	00794210	257	22800	SH	 	Sole	 	22800	0	0
ADVANTA CORPORACION	CL B	00794220	10	1200	SH	 	Sole	 	1200	0	0
AFLAC INSURANCE COMP	COM	00105510	282	4400	SH	 	Sole	 	4400	0	0
AG EDWARDS INC COMMON	COM	28176010	47	900	SH	 	Sole	 	900	0	0
ALBERTSONS INC.		COMMON 	01310410	683	32500	SH	 	Sole	 	32500	0	0
ALCOA INC ORD		ORD	01381710	187	7400	SH	 	Sole	 	7400	0	0
ALLIANCE SEMICONDUCTOR	COM	01877H10	827	41600	SH	 	Sole	 	41600	0	0
AMERADA HESS CORP.	COMMON 	02355110	341	5100	SH	 	Sole	 	5100	0	0
AMEREN CORP		COMMON	02360810	281	6700	SH	 	Sole	 	6700	0	0
AMERICA ONLINE INC DEL	COM	02364J10	989	18400	SH	 	Sole	 	18400	0	0
AMERICAN HOME PRODUCTS	COMMON 	02660910	255	4500	SH	 	Sole	 	4500	0	0
AMERICAN INTERNATIONAL 	COMMON 	02687410	402	4200	SH	 	Sole	 	4200	0	0
AMERICAN TEL & TELEG CO	COMMON S00195710	2221	75600	SH	 	Sole	 	75600	0	0
AMERICAN TELEPHONE & TELCOM	00195720	682	37900	SH	 	Sole	 	37900	0	0
AMR CORP		COMMON 	00176510	843	25800	SH	 	Sole	 	25800	0	0
ANHEUSER BUSCH COMPANIESCOMMON 	03522910	85	2000	SH	 	Sole	 	2000	0	0
APPLE COMPUTER	COM		03783310	116	4500	SH	 	Sole	 	4500	0	0
APPLIED MATLS INC	COM	03822210	510	8600	SH	 	Sole	 	8600	0	0
ARKANSAS BEST CORP DEL	COM	04079010	57	3700	SH	 	Sole	 	3700	0	0
ARROW ELECTRONICS INC	COM	04273510	548	16100	SH	 	Sole	 	16100	0	0
BANKAMERICA CORPORATION	COM NEW	06050510	356	6800	SH	 	Sole	 	6800	0	0
BEAR STEARNS COMPANIES 	COM	07390210	1481	23500	SH	 	Sole	 	23500	0	0
BELLSOUTH CORP	COMMON STOCK	07986010	2137	53100	SH	 	Sole	 	53100	0	0
BEST BUY INC		COM	08651610	95	1500	SH	 	Sole	 	1500	0	0
BOEING CO.	COMMON STOCK	09702310	284	4500	SH	 	Sole	 	4500	0	0
BURLINGTON NORTHERN 	COMMON	12189T10	272	12600	SH	 	Sole	 	12600	0	0
CATERPILLAR INC.	COMMON 	14912310	385	11400	SH	 	Sole	 	11400	0	0
CHASE MANHATTAN CORP	COMMON 	16161A10	522	11300	SH	 	Sole	 	11300	0	0
CHECKPOINT SOFTWARE TECHORD-US 	M2246510	296	1878	SH	 	Sole	 	1878	0	0
CHEVRON CORP.		COMMON 	16675110	1006	11800	SH	 	Sole	 	11800	0	0
CIGNA CORP.		COMMON 	12550910	449	4300	SH	 	Sole	 	4300	0	0
CISCO SYSTEMS INC	COM	17275R10	2149	38900	SH	 	Sole	 	38900	0	0
CITIGROUP INC		ORD	17296710	4885	90352	SH	 	Sole	 	90352	0	0
CNA FINANCIAL CORP.	COMMON 	12611710	115	3000	SH	 	Sole	 	3000	0	0
COMMONWEALTH EDISON COM	COMMON 	90491110	517	9200	SH	 	Sole	 	9200	0	0
CONAGRA INC.	COMMON STOCK	20588710	457	22800	SH	 	Sole	 	22800	0	0
CONSECO INC		COM	20846410	241	31600	SH	 	Sole	 	31600	0	0
CONTINENTAL AIRLS HOLDINCL B	21079530	813	17900	SH	 	Sole	 	17900	0	0
CORNING INC.	COMMON STOCK	21935010	89	300	SH	 	Sole	 	300	0	0
COX COMMUNICATIONS	CL A	22404410	2567	67100	SH	 	Sole	 	67100	0	0
CREDENCE SYSTEMS CORPOCOM	22530210	21	700	SH	 	Sole	 	700	0	0
CUMMINS ENGINE INC	COM	23102110	323	10800	SH	 	Sole	 	10800	0	0
DEERE & CO	COMMON STOCK	24419910	339	10200	SH	 	Sole	 	10200	0	0
DELTA AIR LINES	COMMON STOCK	24736110	2725	61400	SH	 	Sole	 	61400	0	0
DOMINION RESOURCES INCOCOMMON 	25746U10	151	2600	SH	 	Sole	 	2600	0	0
DONALDSON LUFKIN & JENRCOMMON	25766110	528	5900	SH	 	Sole	 	5900	0	0
DOVER CORP.	COMMON STOCK	26000310	225	4800	SH	 	Sole	 	4800	0	0
DOW CHEM CO	COMMON STOCK	26054310	257	10300	SH	 	Sole	 	10300	0	0
DOW JONES & CO. INC.	COMMON 	26056110	345	5700	SH	 	Sole	 	5700	0	0
DTE HOLDINGS INC	COMMON 	23333110	298	7800	SH	 	Sole	 	7800	0	0
DUKE POWER CO.	COMMON STOCK	26439910	223	2600	SH	 	Sole	 	2600	0	0
EASTMAN CHEMICAL	COM	27743210	303	8200	SH	 	Sole	 	8200	0	0
EL PASO NATURAL GAS CO	COM	28390510	370	6000	SH	 	Sole	 	6000	0	0
ENRON CORP.	COMMON STOCK	29356110	315	3600	SH	 	Sole	 	3600	0	0
ENTERGY CORPORACION	COM	29364G10	544	14600	SH	 	Sole	 	14600	0	0
EXXON MOBIL CORPORATION COMMON 	COMMON STOCK	30231G10	2406	26997	SH	 	Sole	 	26997	0	0
FEDERAL NATIONAL MORTGA COMMON 	31358610	1251	17500	SH	 	Sole	 	17500	0	0
FEDERATED DEPT STORES	COM	31410H10	280	10700	SH	 	Sole	 	10700	0	0
FEDEX CORPORATION	COM	31428X10	306	6900	SH	 	Sole	 	6900	0	0
FIRST DATA CORP		COM	31996310	477	12200	SH	 	Sole	 	12200	0	0
FLEETBOSTON FINL CORP 	COM	33903010	803	20600	SH	 	Sole	 	20600	0	0
FORD MOTOR COMPANY DEL COM P	34537086	1359	53700	SH	 	Sole	 	53700	0	0
FPL GROUP INC.	COMMON STOCK	30257110	171	2600	SH	 	Sole	 	2600	0	0
GANNETT COMPANY INC.	COMMON 	36473010	541	10200	SH	 	Sole	 	10200	0	0
GENERAL ELEC CO	COMMON STOCK	36960410	398	6900	SH	 	Sole	 	6900	0	0
GENERAL MTRS CORP	COMMON 	37044210	3432	52800	SH	 	Sole	 	52800	0	0
GEORGIA PACIFIC CORP.	COMMON 	37329810	296	12600	SH	 	Sole	 	12600	0	0
HCA HEALTHCARE CO	COM	40411910	1047	28200	SH	 	Sole	 	28200	0	0
HEALTHSOUTH REHABILITAT	COM	42192410	206	25300	SH	 	Sole	 	25300	0	0
HEWLETT PACKARD CO	COMMON 	42823610	2719	28028	SH	 	Sole	 	28028	0	0
IBP INC.		COM	44922310	1639	89500	SH	 	Sole	 	89500	0	0
INTEL CORP.		COMMON 	45814010	2078	50000	SH	 	Sole	 	50000	0	0
INTERNATIONAL BUSINESS MCOMMON 	45920010	349	3100	SH	 	Sole	 	3100	0	0
ITT HARTFORD GROUP INC	COMMON	41651510	263	3600	SH	 	Sole	 	3600	0	0
J.P. MORGAN & CO.	COMMON 	61688010	3643	22300	SH	 	Sole	 	22300	0	0
JOHNSON & JOHNSON	COMMON 	47816010	2226	23700	SH	 	Sole	 	23700	0	0
KEMET CORPORATION COM	COM	48836010	3782	136900	SH	 	Sole	 	136900	0	0
KIMBERLY CLARK CORP	COM	49436810	56	1000	SH	 	Sole	 	1000	0	0
KLA INDUSTRIES CORP COM	COM	48248010	45	1100	SH	 	Sole	 	1100	0	0
KNIGHT RIDDER INC	COM	49904010	183	3600	SH	 	Sole	 	3600	0	0
LEAR CORP		COM	52186510	202	9800	SH	 	Sole	 	9800	0	0
LEHMAN BROTHERS HOLDING	COM	52490810	1832	12400	SH	 	Sole	 	12400	0	0
LIMITED INC.		COMMON 	53271610	163	7400	SH	 	Sole	 	7400	0	0
LOEWS CORP COMMON	COM	54042410	3302	39600	SH	 	Sole	 	39600	0	0
LYONDELL PETROCHEMICAL CCOM	55207810	2188	185200	SH	 	Sole	 	185200	0	0
MARSH & MCLENNAN COMPANCOM	57174810	319	2400	SH	 	Sole	 	2400	0	0
MCGRAW HILL	COMMON STOCK	58064510	57	900	SH	 	Sole	 	900	0	0
MERCK & CO INC	COMMON STOCK	58933110	2010	27000	SH	 	Sole	 	27000	0	0
MERRILL LYNCH CO.	COMMON	59018810	2336	35400	SH	 	Sole	 	35400	0	0
MGM GRAND INC		COM	55295310	73	1900	SH	 	Sole	 	1900	0	0
MICRON TECHNOLOGY INC	COMMON 	59511210	391	8500	SH	 	Sole	 	8500	0	0
MICROSOFT CORP		COM	59491810	1484	24600	SH	 	Sole	 	24600	0	0
MORGAN STANLEY DEAN WITTCOM	61744644	914	10000	SH	 	Sole	 	10000	0	0
MOTOROLA INC.		COMMON 	62007610	924	32700	SH	 	Sole	 	32700	0	0
NATIONAL MEDICAL ENTERP	COM	88033G10	327	9000	SH	 	Sole	 	9000	0	0
NAVISTAR INTERNATIONAL	COM	63934E10	111	3700	SH	 	Sole	 	3700	0	0
NIKE INC.		CLASS B	65410610	212	5300	SH	 	Sole	 	5300	0	0
OCCIDENTAL PETROLEUM	COMMON 	67459910	1359	62300	SH	 	Sole	 	62300	0	0
OLD REP INTERNATIONAL COCOM	68022310	421	17500	SH	 	Sole	 	17500	0	0
PACIFICARE HEALTH SYSTEMCOM	69511210	237	6800	SH	 	Sole	 	6800	0	0
PE CORP COM PE BIO GROUPCOM	69332S10	186	1600	SH	 	Sole	 	1600	0	0
PEOPLESOFT INC		COM	71271310	282	10100	SH	 	Sole	 	10100	0	0
PFIZER INC.	COMMON STOCK	71708110	2633	58600	SH	 	Sole	 	58600	0	0
PHARMACIA CORP		COM	71713U10	132	2200	SH	 	Sole	 	2200	0	0
PHELPS DODGE		COMMON 	71726510	401	9600	SH	 	Sole	 	9600	0	0
PHILIP MORRIS COS INS	COMMON 	71815410	1457	49500	SH	 	Sole	 	49500	0	0
PHILLIPS PETE CO	COM	71850710	301	4800	SH	 	Sole	 	4800	0	0
PMI GROUP INC COMMON	COMMON	69344M10	291	4300	SH	 	Sole	 	4300	0	0
PORTAL SOFTWARE INC	COMMON	73612610	484	12100	SH	 	Sole	 	12100	0	0
PUBLIC SERVICE ENTERPRI	COMMON 	74457310	451	10100	SH	 	Sole	 	10100	0	0
QWEST COMMUNICATIONS INTORD	74912110	606	12600	SH	 	Sole	 	12600	0	0
RELIANT ENERGY INC	COM	75952J10	581	12500	SH	 	Sole	 	12500	0	0
ROWAN COMPANIES INC	COM	77938210	49	1700	SH	 	Sole	 	1700	0	0
SAFEWAY INC		COM NEW	78651420	191	4100	SH	 	Sole	 	4100	0	0
SANMINA CORPORATION	COM	80090710	272	2900	SH	 	Sole	 	2900	0	0
SCHLUMBERGER LTD	COM	80685710	82	1000	SH	 	Sole	 	1000	0	0
SEARS ROEBUCK & CO	COMMON 	81238710	3355	103500	SH	 	Sole	 	103500	0	0
SEMPRA ENERGY		COM	81685110	142	6800	SH	 	Sole	 	6800	0	0
SERVICE CORPORATION INTLCOM	81756510	36	14600	SH	 	Sole	 	14600	0	0
SILICON VALLEY BANCSHARESCOM	82706410	361	6200	SH	 	Sole	 	6200	0	0
SMITHFIELD FOODS INC COMCOM	83224810	142	5400	SH	 	Sole	 	5400	0	0
SOUTHWESTERN BELL CORPORCOMMON 	78387G10	1650	33000	SH	 	Sole	 	33000	0	0
SPRINT CORP		ORD	85206150	330	9400	SH	 	Sole	 	9400	0	0
STARWOOD LODGING TRUST	CTFS	85590A20	59	1900	SH	 	Sole	 	1900	0	0
STATE AUTO FINANCIAL CORPCOM	85570710	53	4000	SH	 	Sole	 	4000	0	0
STEWART ENTERPRISES INC	CL A	86037010	169	87300	SH	 	Sole	 	87300	0	0
SUPERVALU INC		COM	86853610	26	1700	SH	 	Sole	 	1700	0	0
SYSCO CORP		COM	87182910	213	4600	SH	 	Sole	 	4600	0	0
TARGET CORP COM 	COMMON 	87612E10	267	10400	SH	 	Sole	 	10400	0	0
TECH DATA CORP		COM	87823710	368	8600	SH	 	Sole	 	8600	0	0
TEXAS INSTRS INC	COMMON 	88250810	227	4800	SH	 	Sole	 	4800	0	0
THE WALT DISNEY CO.	COMMON 	25468710	2765	72300	SH	 	Sole	 	72300	0	0
TIMBERLAND CO		CL A	88710010	33	800	SH	 	Sole	 	800	0	0
TOLL BROTHERS INC	COM	88947810	196	5700	SH	 	Sole	 	5700	0	0
TOSCO CORP		COM NEW	89149030	312	10000	SH	 	Sole	 	10000	0	0
TOYS R US INC.		COMMON STOCK	89233510	432	26600	SH	 	Sole	 	26600	0	0
TYCO INTERNATIONAL LTD	COM	90212410	73	1400	SH	 	Sole	 	1400	0	0
UAL CORP		COM PAR $0.01	90254950	7039	167600	SH	 	Sole	 	167600	0	0
ULTRAMAR CORP		COM	90400010	145	5700	SH	 	Sole	 	5700	0	0
UNION CARBIDE CORP.	COMMON 	90558110	147	3900	SH	 	Sole	 	3900	0	0
UNIONBANCAL CORP	COM	90890610	7	300	SH	 	Sole	 	300	0	0
UNITEDHEALTH GROUP INC COM	91324P10	612	6200	SH	 	Sole	 	6200	0	0
USX CORP.		COMMON 	90290582	460	16200	SH	 	Sole	 	16200	0	0
USX-US STEEL GROUP	COMMON 	90337T10	200	13200	SH	 	Sole	 	13200	0	0
VISHAY INTERTECHNOLOGY ICOM	92829810	452	14700	SH	 	Sole	 	14700	0	0
WAL MART STORES INC	COMMON 	93114210	534	11100	SH	 	Sole	 	11100	0	0
WASHINGTON MUTUAL INC	COM	93932210	88	2200	SH	 	Sole	 	2200	0	0
WELLPOINT HEALTH NETWORKCL A	94973H10	1699	17700	SH	 	Sole	 	17700	0	0
WESTCORP INC		COM	95790710	111	7400	SH	 	Sole	 	7400	0	0
WHIRLPOOL CORP		COM	96332010	354	9100	SH	 	Sole	 	9100	0	0
WILLIAMS COS		COM	96945710	177	4200	SH	 	Sole	 	4200	0	0
WORLDCOM INC GA NEW COM	COM	98157D10	492	16200	SH	 	Sole	 	16200	0	0


</TABLE>


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