-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, R1LwMpjMZiJL1V5awl3c51cbeYN1+JIk5rJoFm706z5OP8NLPRztN0syx98YNrnE Cf3+o3ciZuL3+zo1IHb1dQ== 0001034549-00-000004.txt : 20000214 0001034549-00-000004.hdr.sgml : 20000214 ACCESSION NUMBER: 0001034549-00-000004 CONFORMED SUBMISSION TYPE: 13F-HR/A PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 19990930 FILED AS OF DATE: 20000211 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PARADIGM ASSET MANAGEMENT CO LLC/NY CENTRAL INDEX KEY: 0001034549 STANDARD INDUSTRIAL CLASSIFICATION: [] IRS NUMBER: 133521976 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR/A SEC ACT: SEC FILE NUMBER: 028-06194 FILM NUMBER: 533436 BUSINESS ADDRESS: STREET 1: 650 5TH AVENUE STREET 2: 14TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10019 BUSINESS PHONE: 2127716100 MAIL ADDRESS: STREET 1: 650 5TH AVENUE STREET 2: 14TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10019 13F-HR/A 1 LETTER UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: September 30, 1999 Institutional Investment Manager Filing this Report: Name: Paradigm Asset Management Company, LLC Address: 650 5th Avenue, 14th Floor New York, NY 10019 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: James E. Francis Title: CEO & President Phone: 212-771-6100 Signature, Place, and Date of Signing: James E. Francis, New York, NY, November 12, 1999 Report Type (Check only one.): [ X] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. List of Other Managers Reporting for this Manager: I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934. FORM 13F SUMMARY PAGE REPORT SUMMARY: NUMBER OF OTHER INCLUDED MANAGERS: FORM 13F INFORMATION TABLE ENTRY TOTAL: 860 FORM 13F INFORMATION TABLE VALUE TOTAL: $2,476,543,547 [TYPE] EX-1 PARADIGM ASSET MANAGEMENT COMPANY, LLC Form 13F Information Table Period Ending: September 30, 1999 Investment Discretion: Sole TITLE OF --- VOTING AUTORITY --- NAME OF ISSUER CLASS CUSIP VALUE SHARES SH SOLE SHARE NONE - ----------- -------------- ------- ------- -- ------- -------------- Ak Stl Hldg Corp. COM 154710 78475 4300 SH 4300 0 0 AMR Corp COM 176510 436000 8000 SH 8000 0 0 Amer Tel & Teleg. COM 195710 27248335 626398 SH 408698 0 217700 Liberty Media Group COM 195720 29850 800 SH 800 0 0 Abacus Direct Corp. COM 255310 1803750 14800 SH 14800 0 0 Abbott Labs COM 282410 1559219 42500 SH 42500 0 0 Abercombie & Fitch COM 289620 1488531 43700 SH 43700 0 0 ACMAT Corp COM 461620 54750 7300 SH 7300 0 0 Adelphia Comm. CL A COM 684810 423450 7200 SH 7200 0 0 Advo System Inc. COM 758510 13956 700 SH 700 0 0 Advent Software COM 797410 1089375 17500 SH 17500 0 0 Aetna Life & Cas COM 811710 8658150 175800 SH 175800 0 0 Affil. Cmptr Svc A COM 819010 1474687 36300 SH 36300 0 0 Air Express Intl COM 910410 966487 42600 SH 42600 0 0 Air Prod & Chem. COM 915810 207675 7100 SH 7100 0 0 Airborne Freight COM 926610 248537 11800 SH 11800 0 0 Alaska Airgroup COM 1165910 337706 8300 SH 8300 0 0 Albertsons Inc. COM 1310410 6983137 176509 SH 103609 0 72900 Alcoa Inc. COM 1381710 10240312 165000 SH 100300 0 64700 Allied Signal Inc. COM 1951210 12335137 205800 SH 133600 0 72200 Allstate Corp. COM 2000210 15695663 629400 SH 385200 0 244200 Alltel Corp. COM 2003910 1323754 18810 SH 6500 0 12310 Alpha Inds. Inc. COM 2075310 28203 500 SH 500 0 0 Altera Co COM 2144110 763400 17600 SH 17600 0 0 Alza Corp. COM 2261510 21406 500 SH 500 0 0 Amazon Com COM 2313510 671475 8400 SH 8400 0 0 Ambac Inc. COM 2313910 511650 10800 SH 3800 0 7000 Amerada Hess Corp. COM 2355110 5267500 86000 SH 51700 0 34300 Ameren Corp. COM 2360810 366781 9700 SH 6000 0 3700 American Annuity Gp COM 2384010 198950 9200 SH 0 0 9200 Amer. Elec. Pwr COM 2553710 8794012 257700 SH 159900 0 97800 Amer Express Co. COM 2581610 2848500 21100 SH 21100 0 0 American General COM 2635110 17248275 272700 SH 166700 0 106000 Amer Home Products COM 2660910 11586800 279200 SH 196700 0 82500 American Intl Group COM 2687410 16528992 190125 SH 134225 0 55900 Amer. Italian Pasta COM 2707010 603987 21100 SH 21100 0 0 American Natl Ins. COM 2859110 1393600 20800 SH 13400 0 7400 American Tower Corp COM 2991220 251200 12800 SH 12800 0 0 Amerus Life Hldgs COM 3073210 127125 6000 SH 6000 0 0 Ames Dept. Stores COM 3078950 627937 19700 SH 19700 0 0 Ameritech Corp. COM 3095410 25925700 388400 SH 247400 0 141000 Ametek Aerospace COM 3110010 251619 12700 SH 0 0 12700 Amgen Inc. COM 3116210 969850 11900 SH 11900 0 0 Analogic Corp. COM 3265720 419781 13300 SH 0 0 13300 Anheuser Busch Co. COM 3522910 24998300 356800 SH 230800 0 126000 A O N Corp COM 3738910 9111162 308200 SH 194150 0 114050 Apache Corp. COM 3741110 1766369 40900 SH 40900 0 0 Apollo Group COM 3760410 283075 13400 SH 13400 0 0 Apple Computer Inc. COM 3783310 246919 3900 SH 3900 0 0 Applebees intl COM 3789910 80850 2400 SH 2400 0 0 Applied Matls Inc. 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COM 12640810 220350 5200 SH 0 0 5200 CVS Corp COM 12665010 1489656 36500 SH 36500 0 0 Camden Property Tru COM 13313110 1279250 47600 SH 47600 0 0 Campbell Soup Co COM 13442910 359950 9200 SH 9200 0 0 Capital RE Corp COM 14043210 68000 6800 SH 6800 0 0 Caraustar Inds COM 14090910 362100 14200 SH 5600 0 8600 Carnival Corp. COM 14365810 817800 18800 SH 18800 0 0 Carolina Pwr & Ligh COM 14414110 8224687 232500 SH 138100 0 94400 Carpenter Tech. COM 14428510 935900 38200 SH 38200 0 0 Castle & Cooke Inc COM 14843310 199875 13000 SH 13000 0 0 Catalina Mktg COM 14886710 3146544 37100 SH 37100 0 0 Caterpillar Tractor COM 14912310 11121456 202900 SH 119800 0 83100 Centex Corp. COM 15231210 339969 11500 SH 6700 0 4800 Central & S W Corp. COM 15235710 6523400 308800 SH 195800 0 113000 Central Garden COM 15352710 477325 62600 SH 62600 0 0 Champion Enterprise COM 15849610 396000 44000 SH 44000 0 0 Champion Intl. Corp COM 15852510 5245387 102100 SH 68600 0 33500 Charles River Assoc COM 15985210 398612 14300 SH 14300 0 0 Chemed Corp COM 16359610 193600 6400 SH 6400 0 0 Chesapeake Corp. COM 16515910 220825 7300 SH 2500 0 4800 Chevron Corp. COM 16675110 17989625 202700 SH 131300 0 71400 Chic By His Inc COM 16711310 31037 19100 SH 19100 0 0 Chubb Corp. COM 17123210 10369293 208953 SH 141253 0 67700 Cidco Inc. COM 17176810 31350 2400 SH 2400 0 0 Cinergy Corp. COM 17247410 770100 27200 SH 8500 0 18700 Citation Corp Ala COM 17289510 156400 9200 SH 9200 0 0 Citigroup Inc. (New COM 17296710 30726301 698325 SH 477075 0 221250 Allegheny Energy COM 17361106 433500 13600 SH 2300 0 11300 Citrix Sys Inc. COM 17737610 414981 6700 SH 6700 0 0 Claire's Stores COM 17958410 140781 8500 SH 8500 0 0 Clear Channel Com. COM 18450210 1573537 19700 SH 19700 0 0 Cleveland Cliffs COM 18589610 227212 7300 SH 7300 0 0 Coastal Corp. COM 19044110 4883844 119300 SH 77600 0 41700 Coca Cola Company COM 19121610 3088000 64000 SH 64000 0 0 Cognizant Tech. COM 19244610 667287 21100 SH 21100 0 0 Coherent Inc COM 19247910 564506 25300 SH 25300 0 0 Colgate Palmolive COM 19416210 1958100 42800 SH 42800 0 0 Colonial Ppty TR COM 19587210 1313425 49100 SH 49100 0 0 Columbia Gas Sys. COM 19764810 94137 1700 SH 1700 0 0 Columbia HCA Health COM 19767710 11750587 554600 SH 346600 0 208000 Comcast Corp. Spl. COM 20030020 1399612 35100 SH 35100 0 0 Comerica Inc. COM 20034010 25312 500 SH 0 0 500 Comm. Federal Cp COM 20164710 863500 44000 SH 44000 0 0 Commercial Metal Co COM 20172310 606625 21100 SH 8000 0 13100 Commonwlth Tele COM 20334910 92400 2100 SH 2100 0 0 Commscope Inc. COM 20337210 1001000 30800 SH 13900 0 16900 Compaq Computer COM 20449310 1445700 63200 SH 63200 0 0 Cmptr Assoc Intl COM 20491210 757950 12400 SH 12400 0 0 Compuware Corp. COM 20563810 435244 16700 SH 16700 0 0 Comverse Technology COM 20586240 867675 9200 SH 2400 0 6800 Concord Comm. COM 20618610 842700 21200 SH 21200 0 0 Concord EFS COM 20619710 1139531 55250 SH 55250 0 0 Conexant Systems COM 20714210 21797 300 SH 300 0 0 Consolidated Edison COM 20911510 6868250 165500 SH 102000 0 63500 Consolidated Nat Ga COM 20961510 6162650 98800 SH 64600 0 34200 Cooper Cameron Corp COM 21664010 385050 10200 SH 10200 0 0 Copper Mtn. Network COM 21751010 350500 4000 SH 4000 0 0 Cor Therapeutics COM 21775310 241300 12700 SH 12700 0 0 Cordant Tech. COM 21841210 517437 17000 SH 9500 0 7500 Corning Inc COM 21935010 939306 13700 SH 7100 0 6600 Cort Business Svcs COM 22049310 296000 12800 SH 12800 0 0 Cost Plus Calif COM 22148510 994250 20500 SH 20500 0 0 Crane Co. COM 22439910 336562 15000 SH 0 0 15000 Credence Sys. Corp. COM 22530210 367975 8200 SH 8200 0 0 Crown Castle Intl C COM 22822710 14975 800 SH 800 0 0 Cullen Frost Banker COM 22989910 42500 1700 SH 1700 0 0 Cumulus Media Inc. COM 23108210 19612 600 SH 600 0 0 Cutter & Buck Inc COM 23221710 964875 62000 SH 62000 0 0 Cytec Inds. Inc. COM 23282010 32900 1400 SH 1400 0 0 DII Group COM 23294910 200569 5700 SH 5700 0 0 DPL Inc. COM 23329310 4572806 259450 SH 161050 0 98400 DST Sys Inc Del COM 23332610 307125 5400 SH 0 0 5400 DTE Energy Co. COM 23333110 498337 13700 SH 10000 0 3700 Dain Rauscher Corp. COM 23385610 274400 5600 SH 5600 0 0 Dallas Semiconducto COM 23520410 1207687 22600 SH 8300 0 14300 Dana Corp. COM 23581110 861300 23200 SH 8500 0 14700 Darden Restaurants COM 23719410 1285256 65700 SH 16100 0 49600 Dayton Hudson COM 23975310 618644 10300 SH 10300 0 0 Dean Foods Co. COM 24236110 187319 4300 SH 4300 0 0 Deere & Co. COM 24419910 16740081 432700 SH 250300 0 182400 Dell Computer COM 24702510 2918512 69800 SH 69800 0 0 Delphi Automotive S COM 24712610 3194388 198872 SH 122665 0 76207 Delphi Finl. Group COM 24713110 552582 18305 SH 11849 0 6456 Delta Air Lines COM 24736110 5529000 114000 SH 67100 0 46900 Deluxe Corp COM 24801910 51000 1500 SH 1500 0 0 Dendrite Intl Inc. COM 24823910 727650 15400 SH 15400 0 0 Dentsply Internatio COM 24903010 63700 2800 SH 2800 0 0 Dexter Corp COM 25216510 604462 16200 SH 9300 0 6900 Discount Auto Parts COM 25464210 436987 27100 SH 27100 0 0 Disney Walt Prodtns COM 25468710 6710600 258100 SH 193100 0 65000 Dollar Thrifty Auto COM 25674310 171706 8300 SH 8300 0 0 Dominion Res COM 25747010 658825 14600 SH 0 0 14600 Donnelley RR & Sons COM 25786710 155925 5400 SH 0 0 5400 Dorsey Trailers Inc COM 25844010 52400 26200 SH 26200 0 0 Dover Corp. COM 26000310 347437 8500 SH 8500 0 0 Dow Chem Co. 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