OLSTEIN & ASSOICATES L P /NY
13F-HR, 2000-08-14
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                                    FORM 13F


               UNITED STATES SECURITIES AND EXCHANGE COMMISSION

                              Washington, DC 20549

                               Form 13F COVER PAGE

         Report for the Calendar Year or Quarter Ended:  June 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:    Olstein & Associates, L.P.
Address: 4 Manhattanville Road
         Purchase, NY  10577

Form 13F File Number:

 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:
Reporting Manager:

Name:  Michael Luper
Title: Vice President
Phone: (914) 701-7584

Signature, Place, and Date of Signing:

      /s/ Michael Luper
      Purchase, NY
      08/14/2000


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


Form 13F Summary Page

Report Summary:


Number of Other Included Managers:
                    None.


Form 13F Information Table Entry Total:
                    101

Form 13F Information Table Entry Total:
                 $  388,041   (thousands)

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

      None.

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                    FORM 13F INFORMATION TABLE AS OF 6/30/00

 (ITEM 1)         (ITEM 2)(ITEM 3) (ITEM 4) (ITEM 5)(ITEM 6) (ITEM 7) (ITEM  8)
<S>               <C>     <C>      <C>      <C>    <C>        <C>     <C>


                                                                        VOTING
                                                    INVESTMENT OTHER  AUTHORITY
                                                    DISCRETION MANAGER (SHARES)
                    TITLE                    SHARES    SOLE             SOLE**
NAME OF ISSUER      CLASS   CUSIP    VALUE   OR PRN*
                                   (X $1000)


AK STEEL
 HOLDING CORP      COMMON 001547108  5,160   645000      X              645000
AT&T CORP
 WIRELESS GROUP    COMMON 001957406    390    14000      X               14000
AMERICAN
 GREETINGS CO.
 CL-A              COMMON 026375105  7,391   389000      X              389000
AMERICAN HOME
 PRODUCTS CORP     COMMON 026609107  8,689   147900      X              147900
AMERICAN POWER
 CONVERSION CO     COMMON 029066107  5,881   144100      X              144100
AMERICAN
 SUPERCONDUCTOR
 CORP              COMMON 030111108  3,812    79000      X               79000
AMERICAN WOODMARK
 CORP              COMMON 030506109  4,791   233700      X              233700
AMPCO-PITTSBURGH
 CORP              COMMON 032037103  1,329   119500      X              119500
ARKANSAS BEST
 CORP DEL          COMMON 040790107  3,810   383400      X              383400
ARTESYN
 TECHNOLOGIES INC  COMMON 043127109  3,190   114700      X              114700
BOISE CASCADE
 CORP              COMMON 097383103 10,932   422500      X              422500
BRADY CORPORATION  COMMON 104674106  2,428    74700      X               74700
BROOKLINE BANCORP
 INC.              COMMON 113739106    944    82500      X               82500
CIGNA CORP CI      COMMON 125509109  4,675    50000      X               50000
CTS CORP           COMMON 126501105  4,635   103000      X              103000
CABLEVISION
 SYSTEMS CL A      COMMON 12686C109  5,091    75000      X               75000
CALLAWAY GOLF
 COMPANY           COMMON 131193104  2,610   160000      X              160000
CASCADE CORP       COMMON 147195101    451    37800      X               37800
CITIGROUP INC      COMMON 172967101  4,338    72000      X               72000
CLARCOR INC        COMMON 179895107  1,073    54000      X               54000
COACHMEN
 INDUSTRIES INC    COMMON 189873102     86     7500      X                7500
COMPUTER NETWORK
 TECH CORP         COMMON 204925101  4,278   246200      X              246200
COMPX
 INTERNATIONAL
 INC               COMMON 20563P101  2,830   139300      X              139300
CONMED CORP        COMMON 207410101  2,562    99000      X               99000
CONSECO INC        COMMON 208464107(2,099) (215300)      X            (215300)
COSTCO WHOLESALE
 CORPORATION NEW   COMMON 22160K105  3,135    95000      X               95000
DELPHI AUTOMOTIVE
 SYSTEMS CORP      COMMON 247126105  5,141   353000      X              353000
DIEBOLD INC        COMMON 253651103  4,914   176300      X              176300
DREW INDUSTRIES
 INC.              COMMON 26168L205    490    62200      X               62200
DUN & BRADSTREET
 CORP DEL          COMMON 26483B106  4,365   152500      X              152500
ENSCO
 INTERNATIONAL
 INC.              COMMON 26874Q100  1,433    40000      X               40000
EMERSON ELECTRIC
 CO                COMMON 291011104  4,468    74000      X               74000
ETHAN ALLEN
 INTERIORS INC     COMMON 297602104  8,508   354500      X              354500
FLEETWOOD
 ENTERPRISES INC   COMMON 339099103  3,061   214800      X              214800
FLORIDA EAST
 COAST INDS.       COMMON 340632108  1,888    47200      X               47200
FORTUNE BRANDS
 INC.              COMMON 349631101  6,711   291000      X              291000
FURNITURE BRANDS
 INT'L INC.        COMMON 360921100  4,878   322500      X              322500
GEMSTAR
 INTERNATIONAL
 GROUP LTD         COMMON G3788V106  4,240    69000      X               69000
GENERAL MAGIC
 INCORPORATED      COMMON 370253106 14,328  1750000      X             1750000
GENERAL MOTORS
 CORP.             COMMON 370442105  4,420    76117      X               76117
GENERAL MOTORS
 CLASS H           COMMON 370442832  2,633    30000      X               30000
HARMAN
 INTERNATIONAL
 INDUSTRIES INC    COMMON 413086109  7,930   130000      X              130000
HERLEY INDUSTRIES
 INC DEL           COMMON 427398102  1,961   103900      X              103900
HUMANA INC         COMMON 444859102  4,063   833400      X              833400
INTEL CORP DEL     COMMON 458140100  1,604    12000      X               12000
INTERSTATE
 BAKERIES CORP.    COMMON 46072H108  1,722   123000      X              123000
JOHN NUVEEN CO.
 - CLASS A         COMMON 478035108  3,691    88000      X               88000
KAYDON CORP        COMMON 486587108  6,504   309700      X              309700
KELLY SERVICES
 INC. CL-A         COMMON 488152208  2,886   124800      X              124800
LA Z BOY INC       COMMON 505336107    840    60000      X               60000
LANDAMERICA
 FINANCIAL GROUP
 INC               COMMON 514936103  7,668   334300      X              334300
MBIA INC           COMMON 55262C100  2,217    46000      X               46000
MANITOWOC INC      COMMON 563571108  2,006    75000      X               75000
MATTEL INC         COMMON 577081102  7,913   600000      X              600000
MAYTAG CORP        COMMON 578592107  1,291    35000      X               35000
MEDIAONE GROUP     COMMON 58440J104    862    13000      X               13000
METHODE
 ELECTRONICS CL A  COMMON 591520200  1,777    46000      X               46000
METRO GOLDWYN
 MAYER INC.        COMMON 591610100  1,385    53000      X               53000
MOTOROLA INC       COMMON 620076109  4,330   149000      X              149000
NATIONAL
 SEMICONDUCTOR
 CORP              COMMON 637640103  5,108    90000      X               90000
NETRO CORP         COMMON 64114R109  3,443    60000      X               60000
NEW YORK TIMES
 CL-A              COMMON 650111107    672    17000      X               17000
OUTBACK
 STEAKHOUSE INC.   COMMON 689899102    649    22200      X               22200
OXFORD HEALTH
 PLANS             COMMON 691471106    333    14000      X               14000
PNC FINANCIA
 SERVICES GROUP
 INC               COMMON 693475105  4,711   100500      X              100500
PAINE WEBBER GRP
 INC               COMMON 695629105  6,825   150000      X              150000
PARK PLACE
 ENTERTAINMENT
 CORP              COMMON 700690100  3,876   318000      X              318000
PENNEY JC INC      COMMON 708160106  9,034   490000      X              490000
PSINET INC         COMMON 74437C101  2,085    83000      X               83000
READERS DIGEST
 ASSN INC. - CL-B  COMMON 755267200  4,658   127400      X              127400
ROSS STORES INC.   COMMON 778296103  2,559   150000      X              150000
ROWAN COS. INC.    COMMON 779382100  4,192   138000      X              138000
SANTA FE INTL CORP COMMON G7805C108  4,259   121900      X              121900
SATCON TECHNOLOGY
 CORP              COMMON 803893106  1,626    63600      X               63600
SHAW INDUSTRIES
 INC.              COMMON 820286102  7,580   606400      X              606400
SIMPSON
 MANUFACTURING
 CO INC            COMMON 829073105  4,499    94100      X               94100
SKYLINE CORP.      COMMON 830830105  2,281   106100      X              106100
STANLEY
 FURNITURE CO.     COMMON 854305208  3,674   167000      X              167000
STRIDE RITE CORP   COMMON 863314100  5,552   906500      X              906500
SYMBOL
 TECHNOLOGIES INC  COMMON 871508107  1,998    37000      X               37000
TV GUIDE INC.      COMMON 87307Q109  4,453   130000      X              130000
TECUMSEH
 PRODUCTS CO.
 CL-B              COMMON 878895101  1,252    30400      X               30400
TELLABS INC        COMMON 879664100  6,502    95000      X               95000
TESORO PETROLEUM
 CORPORATION       COMMON 881609101  5,148   508400      X              508400
TEXAS PACIFIC
 LAND TRUST        COMMON 882610108  1,422    32500      X               32500
THOR INDUSTRIES
 INC.              COMMON 885160101  2,327   110800      X              110800
TIDEWATER INC.     COMMON 886423102  1,228    34100      X               34100
TOOTSIE ROLL INDS. COMMON 890516107  1,439    41110      X               41110
TRINITY
 INDUSTRIES INC    COMMON 896522109  2,091   113000      X              113000
USA NETWORKS INC.  COMMON 902984103  4,985   230500      X              230500
UTI ENERGY CORP.   COMMON 903387108  4,004    99800      X               99800
VALUEVISION INTRL
 INC. CL-A         COMMON 92047K107  4,296   179000      X              179000
VEECO INSTRUMENTS
 INC. DEL          COMMON 922417100 10,182   139000      X              139000
VIACOM - CL B      COMMON 925524308  2,811    41230      X               41230
WENDYS
 INTERNATIONAL
 INC               COMMON 950590109  2,797   157000      X              157000
WETS SEAL INC.
 - CL-A            COMMON 961840105  5,329   406000      X              406000
WHIRLPOOL CORP     COMMON 963320106  4,429    95000      X               95000
WHOLE FOODS
 MARKET INC.       COMMON 966837106(1,239)  (30000)      X             (30000)
WINNEBAGO
 INDUSTRIES        COMMON 974637100  3,665   280600      X              280600
WORLDCOM INC
 GA NEW            COMMON 98157D106 13,350   291000      X              291000
ZEBRA TECH
 XORP CL A         COMMON 989207105  3,416    77100      X               77100

                         TOTAL     388,041


*  All of the securities listed within this column are stated in SHRS.
** All securities listed within this column have SOLE voting authority.

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