SEC Info  
    Home      Search      My Interests      Help      Sign In      Please Sign In

Stevenson Capital Management Inc. – ‘13F-E’ for 6/30/98

As of:  Monday, 8/10/98   ·   For:  6/30/98   ·   Accession #:  950005-98-662   ·   File #:  28-03429   ·   Correction:  This Filing’s Metadata was Corrected ® and Changed as of 6/6/01 by the SEC on 4/5/04.

Previous ‘13F-E’:  ‘13F-E’ on 7/15/98 for 3/31/98   ·   Next:  ‘13F-E/A’ on 11/10/98 for 9/30/98   ·   Latest:  ‘13F-E/A’ on 2/12/99 for 12/31/98

Find Words in Filings emoji
 
  in    Show  and   Hints

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 8/10/98  Stevenson Capital Management      13F-E®      6/30/98    1:13K                                    Dr EDGAR & Consulting/FA

Quarterly Holdings Report by a Money Manager   —   Form 13F
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 13F-E       Quarterly Holdings Report by a Money Manager           6     30K 

13F-E1st Page of 6TOCTopPreviousNextBottomJust 1st
 

[Enlarge/Download Table]
13F-E2nd Page of 6TOC1stPreviousNextBottomJust 2nd
PAGE 1 SECURITIES AND EXCHANGE COMMISSION FORM 13F-E Report for the Calendar Year or Quarter Ended: 06/30/98 Institutional Investment Manager: STEVENSON CAPITAL MANAGEMENT 2420 SAND HILL ROAD, SUITE 101 MENLO PARK CA 94024 I represent that I am authorized to submit this form and that all information in this form and the attachments to it are true, correct and complete and I understand that all required items, statements and schedules are integral parts of this form and that the submission of any amendment represents that all unamended items, statements and schedules remain true, correct and complete as previously submitted. I am signing this report as required by the Secutities Exchange Act of 1934. Name, Title and Telephone Number of Person Submitting Report: WALTER F. STEVENSON PRESIDENT (650) 854-6210 Signature, Place and Date of Signing: /s/ WALTER F. STEVENSON MENLO PARK CA 06/30/98
13F-E3rd Page of 6TOC1stPreviousNextBottomJust 3rd
PAGE 2 VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY----- NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (x$1000) PRN AMT PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE 3M Company Com 604059105 33 400 SH Sole 400 A O N Corp. Com 37389103 16 225 SH Sole 225 AMB Property Corp. Com 00163T109 12 500 SH Sole 500 AT&T Corp. Com 001957109 811 14200 SH Sole 14200 Abbott Labs Com 002824100 164 4000 SH Sole 4000 Acxiom Corp. Com 005125109 107 4300 SH Sole 4300 Adobe Systems Com 00724F101 21 500 SH Sole 500 AirTouch Communications Com 00949T100 58 1000 SH Sole 1000 All American Semiconductor Com 016557100 6 3000 SH Sole 3000 American General Corp. Com 026351106 185 2600 SH Sole 2600 American International Group Com 026874107 3369 23075 SH Sole 23075 Ameritech Corp. Com 030954101 16 360 SH Sole 360 Amoco Corp. Com 031905102 17 400 SH Sole 400 Apple Computer, Inc. Com 037833100 29 1000 SH Sole 1000 Applied Materials Com 038222105 192 6500 SH Sole 6500 Archer-Daniels Midland Co. Com 039483102 378 19500 SH Sole 19500 Artecon, Inc. Com 043003102 155 62000 SH Sole 62000 Asia Tigers Fund, Inc. Com 04516T105 843 133500 SH Sole 133500 Assoc. First Cap. Com 046008108 745 9689 SH Sole 9689 BRE Properties Com 05564E106 430 16500 SH Sole 16500 Banc One Corp. Com 059438101 620 11110 SH Sole 11110 Bankamerica Corp. Com 066050105 675 7800 SH Sole 7800 Benson Petroleum, Ltd. Com 08261D106 23 2500 SH Sole 2500 Berkshire Hthwy, Class A Com 084670108 235 30 SH Sole 30 Boeing Co. Com 097023105 696 156200 SH Sole 156200 Bristol Myers Com 09247U107 639 5560 SH Sole 5560 British Petroleum Com 110889409 531 6016 SH Sole 6016 Burlington Resources Com 122014103 271 6300 SH Sole 6300 CIGNA Corp. Com 125509109 559 8100 SH Sole 8100 Caterpillar, Inc. Com 149123101 206 3900 SH Sole 3900 Cendant Corp. Com 151313103 21 1000 SH Sole 1000 Chalone Wine Group, Ltd. Com 157639105 1 100 SH Sole 100 Chase Manhattan Bank Com 16161A108 995 13176 SH Sole 13176 Chevron Corp. Com 166751107 1315 15700 SH Sole 15700 Chock Full O Nuts Corp. Com 170268106 793 117500 SH Sole 117500 Chrysler Com 171196108 1674 29700 SH Sole 29700 Cirrus Logic, Inc. Com 172755100 17 1500 SH Sole 1500 Cisco Systems, Inc. Com 17275R102 249 2700 SH Sole 2700 Citicorp Com 173034109 254 1700 SH Sole 1700 Clarify, Inc. Com 180492100 20 1500 SH Sole 1500 Clorox Co. Com 189054109 383 4000 SH Sole 4000 Comerica, Inc. Com 200340107 139 2097 SH Sole 2097 Compaq Computer Com 204493100 184 6500 SH Sole 6500 Computer Assoc. Intl., Inc. Com 204912109 117 2100 SH Sole 2100 Consolidated Edison Com 209115104 225 5000 SH Sole 5000 DSP Communications Com 23332K106 41 3000 SH Sole 3000 Darden Restaurants, Inc. Com 237194105 89 5600 SH Sole 5600 Dell Computer Corp. Com 247025109 149 1600 SH Sole 1600 Deltic Timber Corp. Com 247850100 38 1500 SH Sole 1500 Dominion Resources Com 257470104 734 18000 SH Sole 18000
13F-E4th Page of 6TOC1stPreviousNextBottomJust 4th
PAGE 3 VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY----- NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (x$1000) PRN AMT PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE Duke Energy Com 264399106 2352 39700 SH Sole 39700 Dun & Bradstreet Corp. Com 264830100 180 5000 SH Sole 5000 ENOVA Corp. Com 293552105 857 32200 SH Sole 32200 Eastman Kodak Com 277461109 58 800 SH Sole 800 Edison International Com 281020107 900 30440 SH Sole 30440 Elan PLC ADR Com 284131208 64 1000 SH Sole 1000 Emrgng. Mrkts. Infrstrc. Fund Com 290921105 49 5000 SH Sole 5000 Emerson Elec. Com 291011104 248 4100 SH Sole 4100 Ennis Business Forms, Inc. Com 293389102 58 5000 SH Sole 5000 Enron Corp. Com 293561106 106 1965 SH Sole 1965 European Warrant Fund, Inc. Com 298792102 138 5970 SH Sole 5970 Exxon Corp. Com 302290101 3162 44300 SH Sole 44300 Fairfield Communities, Inc. Com 304231301 46 2406 SH Sole 2406 Farmers & Merchants Bnk. Cntr. Com 308035104 35 190 SH Sole 190 Farmers & Merchants Bnk. of Lo Com 308243104 315 110 SH Sole 110 Fdrl. Ntl. Mortg. Assn. Com 313586109 4652 76580 SH Sole 76580 First Chicago NBD Com 31945A100 80 905 SH Sole 905 First Commerical Corp. Com 319825105 74 1061 SH Sole 1061 First Ntl. Bnk. of Ancorage Com 322387101 132 100 SH Sole 100 Ford Motor Co. Com 345370100 3599 61000 SH Sole 61000 Foundation Health Systems A Com 350404109 21 780 SH Sole 780 Freddie Mac Voting Shares Com 313400301 751 15200 SH Sole 15200 GTE Corp. Com 362320103 2698 48500 SH Sole 48500 General Electric Com 369604103 2608 28700 SH Sole 28700 General Mills, Inc. Com 370334104 293 4300 SH Sole 4300 General Motors Class H. Com 370442832 137 2900 SH Sole 2900 Glaxo Wellcome PLC ADR Com 37733W105 90 1500 SH Sole 1500 Global Small Cptl. Fund Inc. Com 37935V103 484 30000 SH Sole 30000 Golden West Financial Com 381317106 74 700 SH Sole 700 Halliburton Co. Com 406216101 298 6700 SH Sole 6700 Hewlett Packard Co. Com 428236103 2138 35700 SH Sole 35700 Hong Kong Telecommunications Com 438579203 1586 84000 SH Sole 84000 I K O S Systems New Com 451716203 4 1000 SH Sole 1000 ICG Communications, Inc. Com 449246107 63 1725 SH Sole 1725 Informix Corp. Com 456779107 167 21100 SH Sole 21100 Innkeepers USA Trust Com 4576J0104 139 11000 SH Sole 11000 International House of Pancake Com 449623107 372 9000 SH Sole 9000 Integrated Silicon Solutions Com 45812P107 11 1600 SH Sole 1600 Intel Corp. Com 458140100 4333 58450 SH Sole 58450 Intl. Business Machines Com 459200101 3449 30044 SH Sole 30044 Interstate Energy Corp. Com 460845100 1118 34400 SH Sole 34400 J P Morgan & Co. Com 616880100 328 2800 SH Sole 2800 Jackpot Enterprises, Inc. Com 466392107 163 13000 SH Sole 13000 John Hancock Bank & Thrift Opp Com 409735107 54 4500 SH Sole 4500 Johnson & Johnson Com 478160104 229 3100 SH Sole 3100 Kimberly Clark Com 494368103 124 2700 SH Sole 2700 LSI Logic Corp. Com 502161102 18 800 SH Sole 800 Latin America Eqty. Fund Inc. Com 51827T100 119 11500 SH Sole 11500 Lee Enterprises, Inc. Com 523768109 31 1000 SH Sole 1000 Lehman Bros. Holding Com 524908100 2878 37100 SH Sole 37100
13F-E5th Page of 6TOC1stPreviousNextBottomJust 5th
PAGE 4 VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY----- NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (x$1000) PRN AMT PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE Lilly Eli & Co. Com 532457108 27 400 SH Sole 400 Loews Corp. Com 540424108 157 1800 SH Sole 1800 London Pacific Group Com 542073101 1191 75000 SH Sole 75000 Lucent Technologies, Inc. Com 549463107 237 2854 SH Sole 2854 MED Design Corp. Com 583926100 30 20000 SH Sole 20000 Mariner Health Group Inc. Com 56845J109 58 3500 SH Sole 3500 McDonalds Corp. Com 580135101 297 4300 SH Sole 4300 Merck & Co. Com 589331107 147 1100 SH Sole 1100 Merrill Lynch & Co. Com 590188108 2537 27500 SH Sole 27500 Microsoft Corp. Com 594918104 54 500 SH Sole 500 Mobil Corp. Com 607059102 169 2200 SH Sole 2200 Motorola Com 620076109 63 1200 SH Sole 1200 NCI Building Systems Com 628852105 1201 20800 SH Sole 20800 NationsBank Com 638585109 379 4948 SH Sole 4948 New Century Energies, Inc. Com 64352U103 96 2102 SH Sole 2102 New Plan Rlty. Com 648059103 466 19000 SH Sole 19000 Northern States Power Com 665772109 1088 38000 SH Sole 38000 Novell Inc. Com 670006105 32 2500 SH Sole 2500 Occidental Petroleum Com 674990080 13 490 SH Sole 490 Oracle Systems Com 68389X105 25 1000 SH Sole 1000 Oxford Health Plans New Com 691471106 46 3000 SH Sole 3000 Pacific Gas & Electric Com 69331C108 172 5465 SH Sole 5465 Pacificorp Com 695114108 509 22500 SH Sole 22500 Pfizer, Inc. Com 717081103 391 3600 SH Sole 3600 Pharmaceutical Prod. Dev. Com 717124101 29 1297 SH Sole 1297 Philip Services Corp. Com 71819M103 12 12375 SH Sole 12375 Premier Laser Systems Com 740522107 4 1000 SH Sole 1000 Proctor & Gamble Com 742718109 73 800 SH Sole 800 RJR Nabisco Inc. Com 74960K876 48 2000 SH Sole 2000 Raychem Com 754603108 26 894 SH Sole 894 Raymond James Financial Com 754730109 54 1800 SH Sole 1800 Raytheon Co. Class A Com 755111309 58 1011 SH Sole 1011 Reuters Group PLC Com 76132M102 12 173 SH Sole 173 Royal Dutch Shell Com 780857804 553 10080 SH Sole 10080 Royce Global Trust, Inc. Com 78080N108 1953 355000 SH Sole 355000 Royce Value Trust Com 780910105 3039 184200 SH Sole 184200 S & P 500 Spiders Com 78462F103 5110 45100 SH Sole 45100 SLM Holding Corp. Com 78442A109 206 4200 SH Sole 4200 Salomon Brothers Fund Com 795477108 99 5500 SH Sole 5500 Schlumberger, Ltd. Com 806857108 642 9400 SH Sole 9400 Scientific Atlanta, Inc. Com 808655104 868 34200 SH Sole 34200 Shuffle Master Inc. Com 825549108 82 9000 SH Sole 9000 Silicon Graphics Inc. Com 827056102 18 1500 SH Sole 1500 Singer Co. Com 82930F109 13712 192500 SH Sole 192500 Southern Co. Com 842587107 775 28000 SH Sole 28000 St. Joe Corp. Com 790148100 140 5100 SH Sole 5100 Staten Island Bancorp Com 857550107 216 9500 SH Sole 9500 Steelcase Inc. Com 858155203 26 1000 SH Sole 1000 Sun Microsystems Com 866810104 43 1000 SH Sole 1000 Sunbeam Corp. Com 867071102 1587 152000 SH Sole 152000
13F-ELast Page of 6TOC1stPreviousNextBottomJust 6th
PAGE 5 VALUE SHARES/ SH/ PUT/ INVSTMT -----VOTING AUTHORITY----- NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (x$1000) PRN AMT PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE Sybase, Inc. Com 871130100 10 1500 SH Sole 1500 TECO Energy Com 872375100 1236 46100 SH Sole 46100 Templeton Dragon Fund Com 88018T101 85 10000 SH Sole 10000 Three Com Corp. Com 885535104 61 2000 SH Sole 2000 Time Warner Com 887315109 957 11200 SH Sole 11200 Travelers Group, Inc. Com 894190107 45 750 SH Sole 750 Tri Valley Corp. Com 895735108 4 5000 SH Sole 5000 U.S. Diagnostic Inc. Eff. Com 90328Q108 4 1000 SH Sole 1000 UST Inc. Com 917488108 189 7000 SH Sole 7000 Unisys Com 909214108 198 7000 SH Sole 7000 Utah Medical Inc. Com 917488108 725 100000 SH Sole 100000 WMX Technologies Com 94106K101 385 11000 SH Sole 11000 Wal-Mart Stores Inc. Com 931142103 152 2500 SH Sole 2500 Warner-Lambert Co. Com 934488107 2081 30000 SH Sole 30000 Medical Specialists Fund Com 45837N202 9 1000 SH Sole 1000 Pilgrim Amer Bank & Thrift Fun Com 998908727 91500 332500 SH Sole 332500 Smith Barney Small Cap Blend F Com 83181R107 14938 1049000 SH Sole 1049000 Vanguard 500 Fund Com 922908108 780 7410 SH Sole 7410 Windsor Fund Com 922018106 78 4203 SH Sole 4203 Blackrock Calif. Muni Fund Com 09247U107 157 10000 SH Sole 10000 Blackrock Strategic Term Trust Com 09247P108 88 10000 SH Sole 10000 Blackrock Term 1999 Com 09247T100 1214 127000 SH Sole 127000 Blackrock Term Trust 2001 Com 092477108 176 20000 SH Sole 20000 Franklin Term 2001 Com 35459D103 3042 308000 SH Sole 308000 Greenwich St. Calif. Muni Com 397009101 2110 162300 SH Sole 162300 Hyperion 1999 Term Trust Com 448913103 2108 295800 SH Sole 295800 Hyperion Term 2005 Com 448918102 5624 661700 SH Sole 661700 MFS Charter Income Trust Com 552727109 785 78000 SH Sole 78000 Pilgrim Amer Prime Rate Com 720906106 2640 264000 SH Sole 264000 Pimco Commercial Mortgage Com 693388100 2415 178900 SH Sole 178900 RCM Global Government Fund Com 74936A101 4378 421968 SH Sole 421968 TCW/DW Term 2003 Com 87234U108 2894 315000 SH Sole 315000 TCW/DW Term Trust 2000 Com 87234V106 1119 121000 SH Sole 121000 REPORT SUMMARY 183 DATA RECORDS 242320 0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
Top
Filing Submission 0000950005-98-000662   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

Copyright © 2024 Fran Finnegan & Company LLC – All Rights Reserved.
AboutPrivacyRedactionsHelp — Wed., Apr. 24, 9:49:33.1pm ET