SPARE KAPLAN BISCHEL & ASSOCIATES LLC/
13F-HR, 2001-01-17
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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:	December 31, 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:	   Spare, Kaplan, Bischel & Associates, LLC
Address:   44 Montgomery Street
	   Suite 3500
	   San Francisco, CA  94104

13F File Number:	28-4530

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:	Shelley Mann
Title:	Director of Trading
Phone:	415-989-7852

Signature, Place, and Date of Signing:

Shelley Mann  	San Francisco,	California	January 18, 2001


Report Type (check only one):

[X]   13F HOLDINGS REPORT
[ ]   13F NOTICE
[ ]   13F COMBINATION 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:		109
Form 13F Information Table Value Total:		$334,581,323


List of Other Included Managers:			None

<PAGE>

<TABLE>
<S>                                              <C>         <C>    <C>         <S>         <C>      <C>   <C>

NAME OF ISSUER                   TITLE OF CLASS   CUSIP   VALUE(K) SH/P AMT S/P   MANAGERS  SOLE   SHARED  NONE
ALBERTSONS INC                   COMMON         13104104  9700458   366055  SH     SOLE    342055   0     24000
ALLERGAN INC                     COMMON         18490102   493741     5100  SH     SOLE       200   0      4900
ALLTEL CORP                      COMMON         20039103   736757    11800  SH     SOLE      6600   0      5200
ALZA CORP DEL                    COMMON         22615108   595000    14000  SH     SOLE      5200   0      8800
AMERICAN GENERAL CORP            COMMON         26351106  5333768    65445  SH     SOLE     58100   0      7345
AMERICAN GREETINGS CORP          CL A           26375105  1694885   179600  SH     SOLE    174000   0      5600
AMERICAN HOME PRODS CORP         COMMON         26609107  8208118   129160  SH     SOLE    124490   0      4670
ARROW ELECTRS INC                COMMON         42735100   752838    26300  SH     SOLE     17800   0      8500
AVERY DENNISON CORP              COMMON         53611109   268888     4900  SH     SOLE         0   0      4900
BANK ONE CORP                    COMMON        06423A103 12574791   343339  SH     SOLE    316882   0     26457
BECTON DICKINSON & CO            COMMON         75887109   648526    18730  SH     SOLE     16730   0      2000
BERGEN BRUNSWIG CORP             CL A           83739102   693117    43785  SH     SOLE     38285   0      5500
BLOCK H & R INC                  COMMON         93671105   285488     6900  SH     SOLE         0   0      6900
BOEING CO                        COMMON         97023105   283800     4300  SH     SOLE         0   0      4300
BP AMOCO P L C                   SPONSORED ADR  55622104  9575287   200006  SH     SOLE    180194   0     19812
CALLAWAY GOLF CO                 COMMON        131193104   758038    40700  SH     SOLE     36600   0      4100
CENTURYTEL INC                   COMMON        156700106   411125    11500  SH     SOLE     10000   0      1500
CHEVRON CORPORATION              COMMON        166751107  5939552    70343  SH     SOLE     61793   0      8550
CHIRON CORP                      COMMON        170040109   315238     7084  SH     SOLE       600   0      6484
CHUBB CORP                       COMMON        171232101   489590     5660  SH     SOLE      3860   0      1800
CLAIRES STORES INC               COMMON        179584107   406094    22640  SH     SOLE     19140   0      3500
CLAYTON HOMES INC                COMMON        184190106  1415650   123100  SH     SOLE    113700   0      9400
COMPAQ COMPUTER CORP             COMMON        204493100  1974710   131210  SH     SOLE    121310   0      9900
CONSTELLATION ENERGY CORP        COMMON        210371100  4590060   101861  SH     SOLE     80954   0     20907
COOPER INDS INC                  COMMON        216669101  2071759    45100  SH     SOLE     37600   0      7500
DANA CORP                        COMMON        235811106   201812    13180  SH     SOLE       380   0     12800
DIEBOLD INC                      COMMON        253651103  6508459   195010  SH     SOLE    178100   0     16910
DOMINION RES INC VA NEW          COMMON        25746U109  3452309    51527  SH     SOLE     45039   0      6488
DONNELLEY R R & SONS CO          COMMON        257867101  8073675   299025  SH     SOLE    277875   0     21150
DOW CHEM CO                      COMMON        260543103  7187070   196234  SH     SOLE    165167   0     31067
DUKE ENERGY CORP                 COMMON        264399106  4226695    49580  SH     SOLE     41940   0      7640
EARTHLINK INC                    COMMON        270321102   206336    41013  SH     SOLE     34852   0      6161
EASTMAN CHEM CO                  COMMON        277432100  7217438   148050  SH     SOLE    127300   0     20750
EL PASO ENERGY CORP DEL          COMMON        283905107   701925     9800  SH     SOLE      5300   0      4500
EMERSON ELEC CO                  COMMON        291011104  2290277    29060  SH     SOLE     27560   0      1500
EXXON MOBIL CORP                 COMMON        30231G102   876065    10077  SH     SOLE      4397   0      5680
FEDERAL HOME LN MTG CORP         COMMON        313400301   516563     7500  SH     SOLE      7500   0         0
FEDERAL NATL MTG ASSN            COMMON        313586109  7398040    85280  SH     SOLE     81400   0      3880
FEDEX CORP                       COMMON        31428X106   239760     6000  SH     SOLE         0   0      6000
FIRST DATA CORP                  COMMON        319963104   231823     4400  SH     SOLE      3800   0       600
FORD MTR CO DEL                  COM PAR $0.01 345370860  2752667   117450  SH     SOLE     95318   0     22132
GENERAL DYNAMICS CORP            COMMON        369550108  3493620    44790  SH     SOLE     43730   0      1060
GENERAL MLS INC                  COMMON        370334104  4515467   101330  SH     SOLE     90030   0     11300
GOLDEN WEST FINL CORP DEL        COMMON        381317106   600750     8900  SH     SOLE       300   0      8600
GOODRICH B F CO                  COMMON        382388106  7025468   193140  SH     SOLE    166640   0     26500
HASBRO INC                       COMMON        418056107   265094    24950  SH     SOLE     20250   0      4700
HCC INS HLDGS INC                COMMON        404132102   918552    34100  SH     SOLE     26400   0      7700
HEINZ H J CO                     COMMON        423074103  1438053    30315  SH     SOLE     26415   0      3900
INTERNATIONAL BUSINESS MACHS     COMMON        459200101   306000     3600  SH     SOLE      3600   0         0
INTERNATIONAL GAME TECHNOLOGY    COMMON        459902102   345600     7200  SH     SOLE       500   0      6700
INTUIT                           COMMON        461202103   278031     7050  SH     SOLE       150   0      6900
KIMBERLY CLARK CORP              COMMON        494368103   650348     9200  SH     SOLE      5700   0      3500
LIMITED INC                      COMMON        532716107   363421    21300  SH     SOLE     21300   0         0
LIZ CLAIBORNE INC                COMMON        539320101   753204    18095  SH     SOLE     15295   0      2800
LUBRIZOL CORP                    COMMON        549271104   293627    11403  SH     SOLE      2403   0      9000
MANPOWER INC                     COMMON        56418H100  1079770    28415  SH     SOLE     14815   0     13600
MARSH & MCLENNAN COS INC         COMMON        571748102  2463435    21055  SH     SOLE     14610   0      6445
MATTEL INC                       COMMON        577081102  7078560   490205  SH     SOLE    462965   0     27240
MAY DEPT STORES CO               COMMON        577778103  9643238   294450  SH     SOLE    275290   0     19160
MELLON FINL CORP                 COMMON        58551A108  6876343   139800  SH     SOLE    126690   0     13110
MERCURY GENL CORP NEW            COMMON        589400100 14324091   326475  SH     SOLE    305425   0     21050
MINNESOTA MNG & MFG CO           COMMON        604059105  3500646    29051  SH     SOLE     24281   0      4770
MOODYS CORP                      COMMON        615369105  5197662   202346  SH     SOLE    183911   0     18435
MORGAN J P & CO INC              COMMON        616880100  3036263    18346  SH     SOLE     13091   0      5255
NATIONAL CITY CORP               COMMON        635405103   333500    11600  SH     SOLE       800   0     10800
NCR CORP NEW                     COMMON        6.29E+112   816949    16630  SH     SOLE     12130   0      4500
NICOR INC                        COMMON        654086107  2999769    69460  SH     SOLE     59060   0     10400
NOVELL INC                       COMMON        670006105   273476    52400  SH     SOLE     41300   0     11100
NRG ENERGY INC                   COMMON        629377102   250308     9000  SH     SOLE      7200   0      1800
NUCOR CORP                       COMMON        670346105   301621     7600  SH     SOLE      6500   0      1100
OLIN CORP                        COM PAR $1    680665205   234525    10600  SH     SOLE       100   0     10500
PACIFIC CENTY FINL CORP          COMMON        694058108  1061220    60000  SH     SOLE     60000   0         0
PARAMETRIC TECHNOLOGY CORP       COMMON        699173100   407141    30300  SH     SOLE     30300   0         0
PHARMACIA CORP                   COMMON        71713U102  1673242    27430  SH     SOLE     20328   0      7102
PHELPS DODGE CORP                COMMON        717265102  1858540    33300  SH     SOLE     30500   0      2800
PHILIP MORRIS COS INC            COMMON        718154107  7231224   164346  SH     SOLE    140640   0     23706
PHILLIPS PETE CO                 COMMON        718507106  6528112   114780  SH     SOLE    102160   0     12620
PNC FINL SVCS GROUP INC          COMMON        693475105  6088183    83329  SH     SOLE     68779   0     14550
PPG INDS INC                     COMMON        693506107  2584210    55800  SH     SOLE     55000   0       800
PROGRESS ENERGY INC              COMMON        743263105   211602     4302  SH     SOLE      2000   0      2302
QWEST COMMUNICATIONS INTL INC    COMMON        749121109  4494288   109952  SH     SOLE     99850   0     10102
ROGERS CORP                      COMMON        775133101   730904    17800  SH     SOLE      6000   0     11800
SAFECO CORP                      COMMON        786429100  3655700   111200  SH     SOLE    100400   0     10800
SARA LEE CORP                    COMMON        803111103  5802772   236250  SH     SOLE    225150   0     11100
SBC COMMUNICATIONS INC           COMMON        78387G103  6409836   134237  SH     SOLE    121036   0     13201
SHERWIN WILLIAMS CO              COMMON        824348106  8734400   331955  SH     SOLE    311025   0     20930
SOUTHERN CO                      COMMON        842587107  3465980   104240  SH     SOLE     93290   0     10950
STANLEY WKS                      COMMON        854616109   224546     7200  SH     SOLE         0   0      7200
STORA ENSO CORP                  SPON ADR REP R86210M106   164875    14032  SH     SOLE      1677   0     12355
TEMPLE INLAND INC                COMMON        879868107  5094375    95000  SH     SOLE     88570   0      6430
TEXACO INC                       COMMON        881694103   737672    11874  SH     SOLE      2174   0      9700
TRICON GLOBAL RESTAURANTS        COMMON        895953107   448800    13600  SH     SOLE     11900   0      1700
TRW INC                          COMMON        872649108  2316669    59785  SH     SOLE     53985   0      5800
TXU CORP                         COMMON        873168108  3203758    72300  SH     SOLE     64200   0      8100
TYCO INTL LTD NEW                COMMON        902124106   421245     7590  SH     SOLE      1712   0      5878
UNION CARBIDE CORP               COMMON        905581104   306728     5700  SH     SOLE      5700   0         0
US BANCORP DEL                   COMMON        902973106  8816663   302075  SH     SOLE    286045   0     16030
UST INC                          COMMON        902911106   319907    11400  SH     SOLE       500   0     10900
USX-U S STL                      COMMON        90337T101  5262840   292380  SH     SOLE    269930   0     22450
V F CORP                         COMMON        918204108  9372751   258630  SH     SOLE    242910   0     15720
VERIZON COMMUNICATIONS           COMMON        92343V104 11314606   225728  SH     SOLE    210961   0     14767
WASHINGTON MUT INC               COMMON        939322103  5464962   102992  SH     SOLE     95260   0      7732
WASTE MGMT INC DEL               COMMON        94106L109   912198    32872  SH     SOLE     30572   0      2300
WESTVACO CORP                    COMMON        961548104   278298     9535  SH     SOLE      9535   0         0
WEYERHAEUSER CO                  COMMON        962166104  6932907   136609  SH     SOLE    124610   0     11999
WHIRLPOOL CORP                   COMMON        963320106  5050053   105900  SH     SOLE     92280   0     13620
WILLIAMS COS INC DEL             COMMON        969457100  3783831    94745  SH     SOLE     90655   0      4090
XCEL ENERGY INC                  COMMON        98389B100   262720     9040  SH     SOLE      1065   0      7975
XEROX CORP                       COMMON        984121103   997982   215780  SH     SOLE    190740   0     25040


</TABLE>



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