SNYDER HOLDINGS INC
13F-HR, 1999-11-29
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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:	9-30-99

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:	Snyder Capital Management LP
Address:	350 California St., Suite 1460
		San Francisco, CA  94104-1436

Form 13F File Number:	28-6636

The institutional investment manager filing this report and the person by
whom it is signed hereby represent 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:	Steven J. Block
Title:	Vice President
Phone:	415-392-3900

Signature, Place and Date of Signing:

Steven J. Block				San Francisco, CA			11-29-99
		[Signature]			[City, State]				[Date]

Report Type (Check only one.):

XXX	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 in this report and a portion are
	reported by other reporting manager(s).)

<PAGE>

					Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:			3

Form 13F Information Table Entry Total:		101

Form 13F Information Table Value Total:		1,736,237


List of Other Included Managers:

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

No.        Form 13F File Number    Name

1          28-5952                 MetLife New England Holdings, Inc.
2          28-3714                 Metropolitan Life Insurance Co.
3          28-6808                 Nvest Cos. L.P.

<Page

<TABLE>

NAME OF ISSUER			TITLE OF	CUSIP		VALUE	SHARES	INV.	OTHER		AUTH
					CLASS				X1000			DISC	MGR	SOLE	SHARED	NONE
		<C>					<C>

AT&T Corp - Liberty Media Grp    COM     001957208    7412  198642SH   Defined      100888   97754
Ascent Entertainment Group       COM     043628106   55201 4014590SH   Defined             3568390  446200
Ashanti Goldfields- Spons GDR    COM     043743202     394   50000SH   Defined                       50000
Associated Group Inc. - Cl.A     COM     045651106    1059   17500SH   Defined               17500
Associated Group Inc. - Cl.B     COM     045651205   16818  277700SH   Defined       26000  225900   25800
Bank for International Settlem   COM     991315102    1787     289SH   Defined         143     146
Barrick Gold Corp                COM     067901108     435   20000SH   Defined       20000
Borders Group                    COM     099709107   51174 3484200SH   Defined      147000 3003600  333600
Brandywine Realty Trust          COM     105368203    8422  518300SH   Defined              487300   31000
Briggs & Stratton                COM     109043109   34424  589700SH   Defined       12300  512000   65400
CEC Entertainment, Inc.          COM     125137109     326    9075SH   Defined                9075
CKE Restaurants Inc.             COM     12561E105   16613 2291441SH   Defined             2049100  242341
Cable & Wireless Comm. PLC - A   COM     12682P104     624   11974SH   Defined               11974
Cabot Corp.                      COM     127055101    4132  174000SH   Defined       66000  108000
Cambior Inc.                     COM     13201L103   22735 6495800SH   Defined             5780900  714900
Charming Shoppes                 COM     161133103   40925 7985400SH   Defined             7113500  871900
CoreComm Limited                 COM     G2422R109   72399 2198087SH   Defined       80525 1892537  225025
Crane Co                         COM     224399105    3007  134000SH   Defined       64300   69700
Crescent Realty Investors        COM     225756105    3659  203300SH   Defined      130200   73100
Delhaize America, Inc. - Cl.A    COM     246688105    2708  127798SH   Defined       59999   67799
Delhaize America, Inc. - Cl.B    COM     246688204    1109   48999SH   Defined       24999   24000
Diamond Fields Int'l. Ltd.       COM     252905203   11169 7290108SH   Defined             6938858  351250
Dress Barn Inc.                  COM     261570105   36737 2002700SH   Defined             1774500  228200
Dundee Bancorp.- Cl. A           COM     264901109   10435  931600SH   Defined              844800   86800
EarthGrains Co.                  COM     270319106   45485 2055800SH   Defined       50200 1791600  214000
Edperbrascan Corp-Cl A           COM     280905803    6353  445800SH   Defined      211500  234300
Elder-Beerman Stores Corp.       COM     284470101   20085 3150650SH   Defined             2789400  361250
First Industrial Realty          COM     32054K103   29992 1211800SH   Defined             1104200  107600
First Union Real Estate          COM     337400105   20744 4148900SH   Defined             3677240  471660
Flowers Industries Inc.          COM     343496105     267   19700SH   Defined               19700
Franchise Finance Corp.          COM     351807102   39632 1695500SH   Defined       55000 1436900  203600
Franco Nevada Mining Corp.       COM     351860101    3284  151910SH   Defined              151910
Freeport McMoran Copper & Gold   COM     35671D857   10212  656200SH   Defined      103200  522900   30100
Freeport McMoran Copper & Gold   COM     35671D105    8213  591900SH   Defined              540800   51100
GTECH Holdings Corp              COM     400518106   27251 1271200SH   Defined             1157000  114200
General Cable Corp               COM     369300108   34726 2893800SH   Defined             2578700  315100
Golden Star Resources            COM     38119T104    2804 4078000SH   Defined             2765000 1313000
Henry Schien, Inc.               COM     806407102    9939  697500SH   Defined              632300   65200
Homestake Mining                 COM     437614100     276   30000SH   Defined       30000
IIXC Communication Inc.          COM     450713102     394   10000SH   Defined               10000
Ivanhoe Mines Ltd.               COM     455913103    4608 4394908SH   Defined             4394908
Jones Intercable - Class A       COM     480206200   30086  556500SH   Defined       25000  475400   56100
Jones Intercable Inc Com         COM     480206101   11539  216700SH   Defined       26000  175200   15500
Kelly Services Inc. - CL. A      COM     488152208   50273 1668800SH   Defined       36700 1449600  182500
Kerr-McGee Corp                  COM     492386107    3751   68125SH   Defined       33320   34805
Kimco Realty Corporation         COM     49446R109    9969  278850SH   Defined       39000  220750   19100
Koor Industries Ltd.- ADR        COM     500507108    6363  364900SH   Defined       48400  269600   46900
Laidlaw Inc                      COM     50730K503    3517  521100SH   Defined      246950  274150
Leucadia National                COM     527288104   48268 2298460SH   Defined      126315 1969797  202348
Longs Drug Store                 COM     543162101   29236  978600SH   Defined       37000  826700  114900
Mack-Cali Realty Corp            COM     554489104     316   11800SH   Defined               11800
Maxicare Health Plans            COM     577904204   16486 3517000SH   Defined             3128800  388200
Metromedia Intl. Group           COM     591695101   21516 5215900SH   Defined      151700 4527400  536800
Mid-America Apartment Communit   COM     59522J103   20215  940250SH   Defined              797350  142900
Miramar Mining Corp              COM     60466E100    1062 1435800SH   Defined              750000  685800
Mission West Properties          COM     605203108    3274  388000SH   Defined              388000
NTL Inc.                         COM     629407107   56637  589391SH   Defined       23142  510291   55958
Nabors Industries Inc            COM     629568106   35570 1422800SH   Defined       56800 1229000  137000
Noble Drilling Cos.              COM     655042109     927   42397SH   Defined               33197    9200
Ocular Sciences, Inc.            COM     675744106   44249 2283800SH   Defined             2036400  247400
On Command Corp.                 COM     682160106    1900  100000SH   Defined              100000
Pan American Silver Corp         COM     697900108    4117  567800SH   Defined              567800
Pan American Silver Rule 144A    COM                  5437  750000SH   Defined              655000   95000
Payless ShoeSource, Inc.         COM     704379106    2575   51000SH   Defined       24100   26900
Perrigo Company                  COM     714290103   33409 4242400SH   Defined             3756200  486200
Pier One Imports                 COM     720279108   34828 5307200SH   Defined      154900 4650100  502200
Prentiss Properties Trust        COM     740706106    5063  228200SH   Defined              228200
Prison Realty Corp               COM     74264N105    7056  656400SH   Defined      333600  322800
Quest Diagnostics, Inc.          COM     74834L100    8182  314700SH   Defined              251900   62800
R.R. Donnelley & Sons            COM     257867101    3251  112600SH   Defined       51800   60800
RFS Hotel Investors, Inc.        COM     74955J108   17914 1557700SH   Defined             1362900  194800
Republic Services Inc. - Cl.A    COM     760759100    4782  439700SH   Defined      210500  229200
Respironics Inc                  COM     761230101   25963 3147000SH   Defined             2828100  318900
SBS Broadcasting SA              COM     L8137F102   35373  912856SH   Defined              824407   88449
Safety-Kleen Corp.               COM     78648R203   50138 4156485SH   Defined      177525 3571275  407685
Santa Fe Snyder Corp.            COM     80218K105   48466 5385150SH   Defined      308000 4565350  511800
Schulman, Inc.                   COM     808194104   16497  952900SH   Defined              839500  113400
Securicor PLC                    COM                  4703  479500SH   Defined      229000  250500
Tecumseh Products Co.- Cl. A     COM     878895200   21163  422200SH   Defined       21400  354700   46100
Telewest Comm PLC                COM     87956P105     541   14815SH   Defined               13166    1649
Textron, Inc.                    COM     883203101     887   11470SH   Defined                9970    1500
U.S. Industries                  COM     912080108   24203 1536700SH   Defined      117000 1288900  130800
UGI Corp.                        COM     902681105   62691 2696400SH   Defined             2408500  287900
USA Networks Inc.                COM     902984103   10847  279930SH   Defined       19630  239600   20700
Universal Health Services - B    COM     913903100    2745  106100SH   Defined       31500   74600
Unova Inc.                       COM     91529B106   29021 2169800SH   Defined       70700 1881700  217400
Valuevision International, Inc   COM     92047K107   35149 1351900SH   Defined             1213650  138250
Veritas DGC Inc.                 COM     92343P107   24704 1283300SH   Defined             1134500  148800
Vornado Inc.                     COM     929042109     552   17000SH   Defined               17000
Wallace Computer Services        COM     932270101   41091 2029200SH   Defined       48000 1759300  221900
Wyman-Gordon Co.                 COM     983085101   47085 2519600SH   Defined             2293000  226600
Freeport McMoran Copper - Seri   PFD     35671D865    1171   88000SH   Defined               88000
Greyhound Lines                  PFD CV  398048702    5569  167500SH   Defined              138900   28600
Greyhound Lines - Rule 144a      PFD CV  398048306   14906  448300SH   Defined              415100   33200
Inco Ltd.                        PFD CV  453258808    4627  110175SH   Defined       17817   84625    7733
MetroMedia Intl.                 PFD CV  591695200    8097  328800SH   Defined              315800   13000
Golden Star Convertible          CONV                  260  260000PRN  Defined              260000
NTL Inc.- 144A                   CONV    629407AK3   2717316031000PRN  Defined     111100013347000 1573000
Valhi, Inc. - LYON               CONV    918905AC4     359  567000PRN  Defined              567000
Golden Star Resources Units (1   WT                   1700 3400000SH   Defined             2505000  895000
Pan American Silver warrants (   WT      697900116     817  375000SH   Defined              327500   47500


</TABLE>


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