HUSIC CAPITAL MANAGEMENT
13F-HR, 2000-11-07
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<PAGE>

                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F

                               FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended:          September 30, 2000
                                                     ---------------------------

Check here if Amendment [  ]; Amendment Number:________
   This Amendment (Check only one):      [     ]  is a restatement.
                                         [     ]  adds new holdings entries.
Investment Manager Filing this Report:

Name:                  Husic Capital Management
                     ---------------------------------------------------
Address:               555 California Street, Suite 2900
                     ---------------------------------------------------
                       San Francisco, CA 94104
                     ---------------------------------------------------

                     ---------------------------------------------------

Form 13F File Number:  28- 4257
                       ---------

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:                  John Sanders
                     ---------------------------------------------------
Title:                 Compliance Director
                     ---------------------------------------------------
Phone:                 415/398-0800
                     ---------------------------------------------------

Signature, Place, and Date of Signing:

         /s/                         San Francisco, CA          November 7, 2000
     ----------------------        --------------------         ---------------
         [Signature]                  [City, State]                 [Date]

Report Type (Check only one):

[ X ]    13F HOLDINGS REPORT. (Check here if all holdings of this reporting
         manager are reported in this report)

[   ]    13F NOTICE. (Check here if no holdings reported are in this report,
         and all holdings are reported by other reporting manager(s))

[   ]    13F COMBINATION REPORT. (Check here if a portion of the holdings for
         this reporting manager are reported by other reporting manager(s))

<PAGE>

                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                             0
                                           -------------------------

Form 13F Information Table Entry Total:                      184
                                           -------------------------

Form 13F Information Table Value Total:    $           3,193,363
                                            ------------------------
                                                   (thousands)

List of other Included Managers:

Provide a number list of the names(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filled,
other than the manager filing this report.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries]

NONE

<PAGE>

                            Husic Capital Management
                                    FORM 13F
                               SEPTEMBER 30, 2000
<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
              COLUMN 1           COLUMN 2      COLUMN 3   COLUMN 4          COLUMN 5    COLUMN 6 COLUMN 7          COLUMN 8
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                               VOTING AUTHORITY
                                                                                                          --------------------------
                                                                        Share/  Sh/ Put/ Invstmt  Other
Name of Issuer                 Title of Class    CUSIP   Value (X$1000) PrnAmt  Prn Call Dscretn Managers    Sole     Shared    None
--------------                 -------------- ---------- -------------- ------- --- ---- ------- --------    ----     ------    ----
<S>                            <C>            <C>        <C>            <C>     <C> <C>  <C>     <C>      <C>         <C>     <C>
3DO CO                             COM         88553W105        342       51100 SH         Sole             51100
ACTIVE POWER INC                   COM         00504W100        236        3800 SH         Sole              3800
ADOBE SYS INC                      COM         00724F101        838        5400 SH         Sole              3900               1500
ALLICANCE SEMICONDUCTOR C          COM         01877H100        422       21230 SH         Sole              2730              18500
AMKOR TECHNOLOGY INC.              COM          31652100       4836      185100 SH         Sole            133500              51600
ANADARKO PETE CORP                 COM          32511107       9361      140856 SH         Sole            133156               7700
ANAREN MICROWAVE INC               COM          32744104       1017        7500 SH         Sole              7500
APACHE CORP                        COM          37411105      27259      461040 SH         Sole            392240              68800
APPLIED MICRO CIRCUITS             COM         03822w109      72551      350383 SH         Sole            225383             125000
AT&T - LIBERTY MEDIA COMM GRP      COM           1957208      57584     3199102 SH         Sole           2788550             410552
AVANEX CORP                        COM         05348W109      16866      156620 SH         Sole            135470              21150
AVICI SYSEMS INC                   COM         05367L109       5907       62100 SH         Sole             46850              15250
AWARE INC MASS COM                 COM         05453N100      20667      536800 SH         Sole            536800
AXA FINANCIAL INC                  COM           2451102        387        7600 SH         Sole              7600
BINDLEY WESTN INDS INC CO          COM          90324104      24569      767781 SH         Sole            767781
BJ SVCS CO COM                     COM          55482103      24811      405900 SH         Sole            405900
BLOCKBUSTER INC.                   COM          93679108      17390     1973300 SH         Sole           1973300
BLUE MARTINI                       COM          95698106       1355       40000 SH         Sole             40000
BOEING CO                          COM          97023105        421        6678 SH         Sole              5178               1500
BROADBASE SOFTWARE INC.            COM         11130r100       9730      717410 SH         Sole            435110             282300
BROADCOM CORP                      COM         111320107      78747      323065 SH         Sole            249415              73650
CABLETRON SYSTEMS INC              COM         126920107      72780     2477600 SH         Sole           2324300             153300
CABLEVISION SYS CORP CL A          COM          1268C109       3137       47300 SH         Sole             44000               3300
CABOT OIL & GAS CORP CL A          COM         127097103       3537      173600 SH         Sole            173600
CACHEFLOW INC.                     COM         126946102        551        3850 SH         Sole              3850
CALIFORNIA PIZZA KITCHEN           COM         13054D109       4103      146520 SH         Sole            146520
CALPINE CORP                       COM         131347106       9477       90800 SH         Sole             90800
CAPSTONE TURBINE CORPORATION       COM         14067D102        880       12707 SH         Sole              1507              11200
CHEESECAKE FACTORY INC COM         COM         163072101       1368       31629 SH         Sole             31629
CIENA CORP COM                     COM         171779101       8158       66430 SH         Sole             66430
CIRRUS LOGIC CORP COM              COM         172755100      40484     1004260 SH         Sole            949960              54300
CITIGROUP INC                      COM         172967101      44951      831466 SH         Sole            774799              56667
CNET NETWORKS                      COM         12613r104       1615       66300 SH         Sole             14000              52300
COMMERCE ONE, INC                  COM         200693109      33183      422717 SH         Sole            323317              99400
COMPUCREDIT CORP COM               COM         20478N100       2019       36000 SH         Sole             36000
COOPER CAMERON CORP COM (NEW S     COM         216640102       5947       80700 SH         Sole             78900               1800
COPPER MTN NETWORKS INC.           COM         217510106        863       23023 SH         Sole             10023              13000
CORNING INC COM                    COM         219350105       9305       31329 SH         Sole             18929              12400
CORVIS CORP                        COM         221009103       1285        2150 SH         Sole               500              20550
COVAD COMMUNICATIONS               COM         222814204       3143      235000 SH         Sole            124000             111000
CREDENCE SYS CORP                  COM         225302108        351       11700 SH         Sole              4400               7300
CREE INC.                          COM         225447101      27083      232970 SH         Sole            193370              39600
CROWN MEDIA HLDGS INC              COM         228411104       9827      692671 SH         Sole            692671
CULLEN FROST BANKERS COM           COM         229899109       5957      183300 SH         Sole            183300
CYPRESS SEMICONDUCTOR CO           COM         232806109      43670     1050715 SH         Sole            781300             269415
DIGITAL IS INC DEL                 COM         25385N101      13725      732000 SH         Sole            732000
DOCENT INC COM                     COM         25608L106        916       50000 SH         Sole             50000
DUKE ENERGY CORP                   COM         264399106        129        1500 SH         Sole              1500
DURA PHARMACEUTICALS COM           COM         26632S109       7293      206150 SH         Sole             11050             195100

<PAGE>

DYNEGY INC NEW                     COM         26816Q101        121        2116 SH         Sole              2116
EL PASO ENERGY CORP DEL COMMO      COM         283905107         92        1494 SH         Sole              1494
EMC CORP                           COM         268648102      49134      495680 SH         Sole            446880              48800
EMULEX CORP                        COM         292475209       2560       20900 SH         Sole              3800              17100
ENRON GROUP                        COM         293561106      87312      996429 SH         Sole            872019             124410
ENSCO INTERNATIONAL                COM         26874Q100      30015      784700 SH         Sole            532800             251900
ENTRAVISION COMMUNICATION          COM         29382R107      15575      896400 SH         Sole            896400
EOG RESOURCES INC.                 COM         26875P101      35151      904206 SH         Sole            702606             201600
EXTREME NETWORKING                 COM         30226D106       4855       42400 SH         Sole              7750              34650
FAIRCHILD SEMICONDUCTOR CL A       COM         303726103      26883      955850 SH         Sole            881700              74150
FINISAR INC                        COM         31787A101      17867      369340 SH         Sole            369340
FLEXTRONICS INTL. LTD.             COM         Y2573F102      50941      620283 SH         Sole            521333              98950
GEMSTAR-TV GUIDE INTERNATIONAL     COM         36866W106      79361      910229 SH         Sole            726229             184000
GENERAL MOTORS CLASS H             COM         370442832       3263       87759 SH         Sole             87759
GLOBAL CROSSING                    COM         G3921A100      16865      544040 SH         Sole            294470             249570
GLOBAL INDUSTRIES LTD              COM         379336100       1903      152200 SH         Sole            152200
GLOBAL MARINE INC                  COM         379352404      32851     1064000 SH         Sole           1064000
GLOBESPAN SEMICONDUCTOR            COM         379571102      40333      330600 SH         Sole            277900              52700
GOLDEN STATE BANKCORP INC          COM         381197102      13577      574700 SH         Sole            574700
GRANT PRIDECO INC                  COM         38821G101      27988     1275823 SH         Sole           1269523               6300
GT GROUP TELECOM                   COM         362359408        731       55400 SH         Sole             55400
HEALTH MGMY ASSOC INC NE CL A      COM         421933102       2955      142000 SH         Sole             14200
HILTON HOTELS CORP                 COM         432848109        627       54200 SH         Sole             41000              13200
HOUSEHOLD INTL INC.                COM         441815107      80441     1420594 SH         Sole           1222919             197675
HYDRIL CO COM                      COM         448774109        435       19100 SH         Sole             19100
INFINEON TECHNOLOGIES AG  DEPOS    COM         45662N103       1373       28900 SH         Sole             10200              18700
INFOSPACE                          COM         45678T102       1966       65000 SH         Sole             65000
INRANGE TECHNOLOGIES C CL B        COM         45769v206        530       10000 SH         Sole             10000
INTEGRATED CIRCUIT SYS             COM         45811K208      16909      914000 SH         Sole            837400              76600
INTEGRATED DEVICE TECH             COM         458118106     123789     1367838 SH         Sole           1149388             218450
INTEGRATED SILICOM SOLUT           COM         45812P107       5875      414100 SH         Sole            414100
INTEGRATED TELECOM EXPRESS, IN     COM         45817U101      14471      697410 SH         Sole            697410
INTEL CORP                         COM         458140100      17332      417020 SH         Sole            347520              69500
INTERWOVEN INC.                    COM         46114T102       7163       63350 SH         Sole             35700              27650
INVESTORS FINANCIAL SERVICES       COM         461915100       2058       32600 SH         Sole             29200               3400
JDS UNIPHASE CORP                  COM         46612j101       5599       59131 SH         Sole             50481               8650
JUNIPER  NETWORKS                  COM         48203R104      18644       85158 SH         Sole             85158
KRISPY KREME DOUGHNUTS I COM       COM         501014104       3610       43105 SH         Sole             28355              14750
LAM RESEARCH                       COM         512807108       8059      384900 SH         Sole            384900
LEAP WIRELESS INTL INC             COM        5521863100      23161      370200 SH         Sole            370200
LEHMAN BROS HLDGS                  COM         524908100       3097       20960 SH         Sole             20960
LOCKHEED MARTIN CORP               COM         539830109       3607      109440 SH         Sole             66140              43300
LSI LOGIC CORP                     COM         502161102       3040      103930 SH         Sole             24220              79710
MANUGISTICS GROUP INC COM          COM         565011103      12639      128800 SH         Sole            128800
MARINE DRILLING                    COM         568240204      26275      919900 SH         Sole            919900
MCDATA CORP                        COM         580031102       1229       10000 SH         Sole             10000
MCDERMOTT INTL INC COM             COM         580037109       8818      801600 SH         Sole            801600
MCKESSON CORP NEW COM              COM         58155Q103       9621      314811 SH         Sole            155411             159400
MELLON FINANCIAL CORP. (NEW NA     COM         58551A108       1952       42100 SH         Sole             28000              14100

<PAGE>

MERRILL LYNCH & CO INC             COM         590188108         72        1088 SH         Sole              1088
METRIS COS INC COM                 COM         591610100       5882     1489152 SH         Sole            148900
METRO-GOLDWYN MAYER                COM         552953101      35740      793948 SH         Sole            114767             341481
MGM MIRAGE                         COM         552953101      30319      793948 SH         Sole            617148             176800
MICREL INC                         COM         594793101       7404      110500 SH         Sole             82500              28000
MICRON TECHNOLOGY INC              COM         595112103      24014      522050 SH         Sole            450660              71390
MICROTUNE INC.                     COM         59514P109       2346       43800 SH         Sole             43800
MIDCOM PRIVATE PLACEMENT           COM         59563X102          9      245000 SH         Sole            245000
MORGAN STANLEY GROUP INC           COM         617446448      71348      780297 SH         Sole            678397             101900
NABORS INDUSTRIES INC.             COM         629568106     122175     2331579 SH         Sole           2113879             217700
NBC INTERNET INC.                  COM         62873D105       3626      552600 SH         Sole            513900              38700
NETSILICON INC.                    COM         64115X105       9102      434700 SH         Sole            434700
NEWPORT CORP                       COM         651824104      41875      262927 SH         Sole            242027              20900
NOKIA CORP PFD SPONSORED ADR       COM         654902204      24109      605576 SH         Sole            589976              15600
NORTEL NETWORKS CORP               COM        6556568102      14760      247800 SH         Sole            247800
NVIDIA CORP                        COM         67066G104        397        4850 SH         Sole              4850
OCEAN ENERGY INC TEX COM           COM         67481E106       2223      144000 SH         Sole            144000
OCEANEERING INTL INC COM           COM         675232102       3776      227100 SH         Sole            227100
ONI SYSTEMS CORP                   COM         68273F103       1485       17200 SH         Sole                                17200
OPNET TECHNOLOGIES INC             COM         683757108        913        2500 SH         Sole             25000
ORACLE CORP                        COM         68389X105      25565      324634 SH         Sole            317434               7200
PALM INC                           COM         696642107      25685      485200 SH         Sole            424200              61000
PARK PL ENTMT CORP                 COM         700690100       3810      251900 SH         Sole            231300              20600
PATTERSON ENERGY INC.              COM         703414102      13795      401300 SH         Sole            401300
PECO II, INC                       COM         705221109       6802      145300 SH         Sole            145300
PEGASUS COMMUNICATIONS C CL A      COM         705904100      17562      363500 SH         Sole            363500
PEMSTAR INC.                       COM         706552106       1969      100000 SH         Sole            100000
PEOPLESOFT INC                     COM         712713106      68181     2440481 SH         Sole           2179131             261350
PIONEER NATURAL RESOURCES CO       COM         723787107       6880      484900 SH         Sole            484900
PLX TECHNOLOGY INC                 COM         693417107      17799      662300 SH         Sole            662300
PMC-SIERRA INC.                    COM         69344F106       8545       39700 SH         Sole             23400              16300
POWER-ONE INC COM                  COM         739308104      38398      634512 SH         Sole            470862             163650
PRIDE INTL INC COM                 COM         741932107      14172      534800 SH         Sole            534800
PRIORITY HEALTHCARE CORP           COM         74264t102      35283      462726 SH         Sole            461976                750
RITA MEDICAL SYSTEMS               COM         76774E103       1116      100000 SH         Sole            100000
ROWAN COS INC COM                  COM         779382100      26677      919900 SH         Sole            919900
RYANAIR HOLDINGS INC               COM         783513104       5422      140831 SH         Sole            140831
SAFEWAY INC COM NEW                COM         786514208      17668      378428 SH         Sole            352828              25600
SANDISK CORP                       COM         80004C101       5911       88548 SH         Sole             47798              40750
SANMINA CORP COM                   COM         800907107      49480      582487 SH         Sole            441587              86900
SAWTEK INC COM                     COM         805468105        293        7600 SH         Sole              6000               1600
SCHLUMBERGER LTD                   COM         806857108         30         366 SH         Sole               366
SCI SYS INC                        COM         783890106        902       22000 SH         Sole             22000
SCIENTIFIC ATLANTA INC COM         COM         808655104       1231       19344 SH         Sole             14244               5100
SDL INC COM                        COM         784076101      49199      159060 SH         Sole            114260              44800
SIEBEL SYS INC                     COM         826170102      80810      725970 SH         Sole            617470             108500
SILICON STORAGE TECHNOLO COMMO     COM         827057100       4331      159314 SH         Sole            159314
SMARTDISK CORP.                    COM         83169Q105        288       20000 SH         Sole             20000
SMITH INTL INC COM                 COM         832110100       8833      108300 SH         Sole            108300

<PAGE>

SOUTHERN ENERG INC DEL COM         COM         842816100        784       25000 SH         Sole             25000
SPEECHWORKS INTL INC               COM         84764M101       1407       22700 SH         Sole             22700
STRATOS LIGHTWAVE INC COM          COM         863100103      21459      665400 SH         Sole            654000              11400
SUN MICROSYSTEMS                   COM         866810104      36794      315150 SH         Sole            310950               4200
SYCAMORE NETWORKS INC.             COM         871206108      24052      222700 SH         Sole            202200              20500
SYNTROLEUM CORP                    COM         871630109      11465      562700 SH         Sole            562700
TAKE TWO INTERACTIVE SOFTWARE,     COM         874054109       5693      453200 SH         Sole            453200
TALARIAN CORPORATION               COM         874090103        514       26800 SH         Sole             23100               3700
TENET HEALTHCARE CORP COM          COM         88033G100       3813      104820 SH         Sole            104820
TERAYON COMMUNICATIONS SYS         COM         880775101        831       24500 SH         Sole             11200              13300
TERRA NETWORKS S.A.                COM         88100W103        217        5900 SH         Sole              5900
TIDEWATER INC                      COM         886423102       4545       99900 SH         Sole              4400              95500
TIME WARNER INC                    COM         887315109       9906      126600 SH         Sole            126100                500
TMP WORLDWIDE                      COM         872941109      34225      425160 SH         Sole            221760             203400
TRIQUINT SEMICONDUCTOR             COM         89674K103      23520      645490 SH         Sole            581290              64200
TTM TECHNOLOGIES, INC              COM         87305R109        470       20000 SH         Sole                                20000
TURNSTONE SYSTEMS INC.             COM         900423104       2410       51964 SH         Sole             51964
TUT SYSTEMS COM                    COM         901103101      17780      206000 SH         Sole            206000
UNIVERSAL COMPRESSION              COM         913431102        309       10000 SH         Sole             10000
USA NETWORKS INC                   COM         902984103       1855       84540 SH         Sole              3340              81200
UTI ENERGY CORP.                   COM         903387108       6832      153100 SH         Sole            153100
VALERO ENERGY CORP                 COM         91913y100      20885      593529 SH         Sole            593529
VARIAN INC COM                     COM         922206107      19425      451100 SH         Sole            451100
VARIAN SEMICONDUCTOR EQU           COM         922207105      25562      682800 SH         Sole            607400              75400
VERITAS SOFTWARE CO COM            COM         923436109      13405       94400 SH         Sole             94400
VERTICALNET INC COM                COM         92532L107       5645      160700 SH         Sole            160700
VIACOM INC CL B                    COM         925524308     170299     2911102 SH         Sole           2520362             390740
VIASYSTEMS GROUP INC               COM         92553H100      21680     1275300 SH         Sole           1275300
VIRATA CORP                        COM         927646109      31158      471200 SH         Sole            424700              46500
VITESSE SEMICONDUCTOR              COM         928497106      11571      130100 SH         Sole             95200              34900
VITRIA TECHNOLOGY INC              COM         92849Q104       2378       51000 SH         Sole              8200              42800
VOICESTREAM WIRELESS COMM          COM         928615103        209        1800 SH         Sole                                 1800
WASHINGTON MUT INC                 COM         939322103      22512      565440 SH         Sole            530140              35300
WEATHERFORD INTL. INC.             COM         947074100       7799      181369 SH         Sole            180469                900
WESTERN RESOURCES INC.             COM         959425109       8354      386300 SH         Sole            386300
WESTERN WIRELESS CORP              COM         95988E204        246        6912 SH         Sole              6912
ZORAN CORP COM                     COM         98975F101      11461      235100 SH         Sole            235100
</TABLE>

REPORT SUMARY                    184 DATA RECORDS


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