DELAWARE CAPITAL MANAGEMENT INC
13F-HR, 1999-05-18
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                                UNITED STATES 
                    SECURITEIS AND EXCHANGE COMMISSION
                        WASHINGTON, DC 20549

                                FORM 13-F

                           FORM 13-F COVER PAGE

REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED:  03/31/1999

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:     DELAWARE CAPITAL MANAGEMENT, INC.
ADDRESS:  2005 MARKET STREET
          ONE COMMERCE SQUARE
          PHILADELPHIA, PA 19103

FORM 13-F FILE NUMBER 28-5920

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, SCHEDUELS, LISTS, AND TABLES, ARE CONSIDERED INTEGRAL PARTS
OF THIS FORM.

PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:

NAME:   LISA O BRINKLEY
TITLE:  VICE PRESIDENT/COMPLIANCE
PHONE:  215 255 2369

SIGNATURE, PLACE AND DATE OF SIGNING:
/s/ LISA O. BRINKLEY, PHILADELPHIA, PA   DATE: 05/14/1999

REPORT TYPE:  (CHECK ONLY ONE)

(X)  13F HOLINGS REPORT.  (CHECK HERE IS ALL HOLDINGS OF THIS 
     REPORTING MANAGER ARE REPORTED IN THIS REPORT)

( )  13f NOTICE: (CHECK HERE IS 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 13-F SUMMARY PAGE

REPORT SUMMARY:

NUMBER OF OTHER INCLUDED MANAGERS:  0

FORM 13F INFORMATION TABLE ENTRY VALUE:  98

FORM 13F INFORMATION TABLE VALUE TOTAL: 250358

<PAGE>

<TABLE>                       <C>                       <C>


    NAME OF ISSUER          TITLE OF             CUSIP     VALUE   SHARES/    SH/     INVSTMT  OTHER     VOTING AUTHORITY
                            CLASS                          (X1000) PRN AMT    PRN     DSCRETN  MANAGERS  SOLE     SHARED   NONE

D A T & T                        COM              001957109 662      8300     SH      SOLE    01         130594   0        38797   
D ALCATEL ALSTHOM SPONS ADR 1/5S COM              013904305 5204     228129   SH      DEFINED 01         341678   260      114320  
D ALCOA                          COM              013817101 547      13300    SH      SOLE    01         507616   0        153022  
D AMCOR LTD ADR NEW              COM              02341R302 3490     177841   SH      DEFINED 01         131779   75       45987   
D AMERICAN GENERAL               COM              026351106 507      7200     SH      SOLE    01         167935   0        49821   
D AMERICAN HOME PRODUCTS         COM              026609107 391      6000     SH      SOLE    01         230119   0        71591   
D AMERITECH                      COM              030954101 507      8800     SH      SOLE    01         172119   0        50407   
D AON                            COM              037389103 426      6750     SH      SOLE    01         162675   0        49163   
D AVON PRODUCTS                  COM              054303102 291      6200     SH      SOLE    01         6200     0        0       
D BANCO CENTRAL S A ADR NEW      COM              059470401 3742     305467   SH      DEFINED 01         226074   160      79233   
D BANK ONE                       COM              06423A103 446      8100     SH      SOLE    01         156689   0        46674   
D BANKAMERICA                    COM              06605F102 551      7807     SH      SOLE    01         136394   0        39534   
D BANKBOSTON CORP.               COM              06605R106 9547     220414   SH      SOLE    01         168249   0        52165   
D BARCLAYS PLC ADR               COM              06738E204 302      2650     SH      SOLE    01         2650     0        0       
D BASS PUB LTD CO SPONSORED ADR  COM              069904209 5084     369716   SH      DEFINED 01         274891   190      94635   
D BAXTER INTERNATIONAL           COM              071813109 554      8400     SH      SOLE    01         198697   0        59308   
D BAYER A G SPONSORED ADR        COM              072730302 4447     119380   SH      DEFINED 01         88997    65       30318   
D BAYERISCHE HYPO-UND VEREINSBAN COM              072735103 3116     52374    SH      DEFINED 01         39848    35       12491   
D BELL ATLANTIC CORP COM         COM              077853109 14064    272093   SH      SOLE    01         207426   0        64667   
D BESTFOODS                      COM              08658U101 493      10500    SH      SOLE    01         205898   0        60403   
D BG PLC ADR FINAL INSTL         COM              055434104 6414     218825   SH      DEFINED 01         163079   120      55626   
D BLUE CIRCLE INDS PLC ADR SPONS COM              095342408 5168     898731   SH      DEFINED 01         672622   380      225729  
D BOOTS PLC ADR                  COM              099491201 4268     149763   SH      DEFINED 01         115045   90       34628   
D BP AMOCO PLC - ADR             ADR              055622104 475      4710     SH      SOLE    01         115657   0        33371   
D BRITISH AIRWAYS - ADR          ADR              110419306 391      5700     SH      SOLE    01         143348   25       42904   
D CABLE AND WIRELESS PLC-ADR     ADR              126830207 306      8300     SH      SOLE    01         358940   105      111925  
D CANON INC ADR                  COM              138006309 5284     221332   SH      DEFINED 01         163863   90       57379   
D CHASE MANHATTAN                COM              16161A108 374      4600     SH      SOLE    01         4600     0        0       
D CHEVRON                        COM              166751107 479      5400     SH      SOLE    01         91565    0        26719   
D CHUBB                          COM              171232101 327      5600     SH      SOLE    01         5600     0        0       
D COLGATE-PALMOLIVE              COM              194162103 331      3600     SH      SOLE    01         3600     0        0       
D CONTINENTAL AG SPONSORED ADR   COM              210771200 2193     88714    SH      DEFINED 01         67263    60       21391   
D CSR LTD SPONSORED ADR          COM              126396308 3933     469560   SH      DEFINED 01         350265   260      119035  
D DEERE AND CO                   COM              244199105 289      7500     SH      SOLE    01         272372   0        82925   
D DOMINION RES INC-VIRGINIA      COM              257470104 280      7600     SH      SOLE    01         7600     0        0       
D DU PONT (E.I.) DE NEMOURS      COM              263534109 418      7200     SH      SOLE    01         136928   0        40411   
D E M C CORP MASS COM            COM              268648102 254      1987     SH      SOLE    01         1559     0        428     
D EISAI CO LTD. - SPONSORED ADR  COM              282579309 5694     277737   SH      DEFINED 01         208772   145      68820   
D ELF AQUITAINE SPONSORED ADR    COM              286269105 5382     79959    SH      DEFINED 01         59786    35       20138   
D ELSEVIER N V SPONS ADR NEW     COM              290259100 4448     148282   SH      DEFINED 01         110357   85       37840   
D EMERSON ELECTRIC CO.           COM              291011104 423      8000     SH      SOLE    01         122991   0        36086   
D ENDESA S.A.                    COM              29258N107 4347     174757   SH      DEFINED 01         129588   95       45074   
D ENRON                          COM              293561106 385      6000     SH      SOLE    01         6000     0        0       
D FORD MOTOR                     COM              345370100 408      7200     SH      SOLE    01         10934    0        2168    
D FORTUNE BRANDS INC             COM              349631101 10570    274533   SH      SOLE    01         208740   0        65793   
D FOSTERS BREWING GROUP LTD SPON COM              350258307 7336     2579758  SH      DEFINED 01         1953262  1430     625066  
D GENERAL MOTORS                 COM              370442105 548      6300     SH      SOLE    01         105638   0        31647   
D GLAXO WELLCOME PLC - ADR       ADR              37733W105 348      5200     SH      SOLE    01         74871    50       21403   
D GTE                            COM              362320103 532      8800     SH      SOLE    01         8800     0        0       
D HEINZ H J                      COM              423074103 400      8450     SH      SOLE    01         244758   0        73412   
D HITACHI LTD ADR                COM              433578507 3623     49797    SH      DEFINED 01         37014    20       12763   
D HONGKONG ELEC HLDGS LTD SPONSO COM              438580300 2392     824774   SH      DEFINED 01         592289   365      232120  
D HUTCHISON WHAMPOA LTD ADR      COM              448415208 1972     50560    SH      DEFINED 01         37926    25       12609   
D IMPERIAL CHEMICAL - ADR        ADR              452704505 318      8900     SH      SOLE    01         177133   0        49875   
D ING GROEP N V SPONSORED ADR    COM              456837103 3462     63025    SH      DEFINED 01         47105    40       15880   
D JARDINE MATHESON HLDGS LTD SPO COM              471115303 2228     768319   SH      DEFINED 01         575986   300      192033  
D KIMBERLY - CLARK               COM              494368103 532      11100    SH      SOLE    01         260591   0        76361   
D LOCKHEED MARTIN                COM              539830109 377      10000    SH      SOLE    01         174427   0        50917   
D LVMH MOET HENNESSY LOUIS VUTAD COM              502441207 2969     60436    SH      DEFINED 01         45203    25       15208   
D MATSUSHITA ELEC INDL LTD ADR 1 COM              576879209 7724     39941    SH      DEFINED 01         29726    20       10195   
D MAY DEPARTMENT STORES          COM              577778103 381      9750     SH      SOLE    01         187965   0        56235   
D MELLON BANK                    COM              585509102 401      5700     SH      SOLE    01         168803   0        50739   
D MOBIL                          COM              607059102 448      5100     SH      SOLE    01         120324   0        36437   
D NATIONAL AUSTRALIA BK LTD ADR  COM              632525408 8339     92396    SH      DEFINED 01         69109    40       23247   
D NATIONAL CITY CORP COM         COM              635405103 9473     142712   SH      SOLE    01         108776   0        33936   
D PHARMACIA & UPJOHN             COM              716941109 673      10800    SH      SOLE    01         218633   0        64949   
D PHILIP MORRIS                  COM              718154107 281      8000     SH      SOLE    01         8000     0        0       
D PITNEY BOWES                   COM              724479100 675      10600    SH      SOLE    01         226094   0        67644   
D POWERGEN PLC SPONS ADR FINAL   COM              738905405 5512     121479   SH      DEFINED 01         90550    70       30859   
D PPG INDS INC                   COM              693506107 221      4308     SH      SOLE    01         1958     0        2350    
D RIO TINTO PLC SPONSORED ADR    COM              767204100 4712     85664    SH      DEFINED 01         63705    40       21919   
D ROYAL DUTCH PETROL-NY SHARES   NYSHRS           780257804 410      7900     SH      SOLE    01         88543    50       26917   
D RWE AG SPONSORED ADR           COM              74975E303 3468     79494    SH      DEFINED 01         59352    50       20092   
D SIEMENS A G ADR NEW            COM              826197402 5884     89148    SH      DEFINED 01         66600    40       22508   
D SIME DARBY BERHAD ADR          COM              828617209 313      434227   SH      SOLE    01         297405   0        136822  
D SOCIETE GENERALE FRANCE SPONSO COM              83364L109 4963     129760   SH      DEFINED 01         96885    65       32810   
D SOLVAY SA - SPONSORED ADR      COM              834437105 2176     35480    SH      DEFINED 01         26863    20       8597    
D SONY CORP AMERN SH NEW         COM              835699307 6294     68931    SH      DEFINED 01         50786    25       18120   
D ST PAUL COS INC COM            COM              792860108 9116     293471   SH      SOLE    01         223085   0        70386   
D SUMMIT BANCORP                 COM              866005101 261      6700     SH      SOLE    01         198892   0        58886   
D SUNGARD DATA SYS INC COM       COM              867363103 219      5483     SH      SOLE    01         4411     0        1072    
D TELECOM CORP NEW ZEALAND LTDSP COM              879278208 5426     139140   SH      DEFINED 01         104336   65       34739   
D TELEFONICA S. A.               COM              879382208 6486     50775    SH      DEFINED 01         38125    30       12620   
D TENNECO                        COM              88037E101 427      15300    SH      SOLE    01         225660   0        66414   
D TEXAS UTILITIES                COM              882848104 386      9200     SH      SOLE    01         169910   0        50394   
D THE MCGRAW-HILL COMPANIES      COM              580645109 719      13200    SH      SOLE    01         290783   0        86236   
D THOMAS & BETTS                 COM              884315102 232      6200     SH      SOLE    01         158228   0        46184   
D U S BANCORP                    COM              902973106 296      8700     SH      SOLE    01         8700     0        0       
D UNIGATE LTD ADR                COM              904750403 4668     666792   SH      DEFINED 01         503407   340      163045  
D UNILEVER N V NEW YORK SHS      COM              904784501 2043     30750    SH      DEFINED 01         22982    20       7748    
D UNION CAMP                     COM              905530101 449      6700     SH      SOLE    01         129034   0        38257   
D USX MARATHON GROUP COM NEW     COM              902905827 11065    402360   SH      SOLE    01         306579   0        95781   
D WELLS FARGO                    COM              949746101 399      11400    SH      SOLE    01         11400    0        0       
D WEYERHAEUSER                   COM              962166104 527      9500     SH      SOLE    01         9500     0        0       
D WHARF HOLDINGS LTD ORD FOR     FOREIGN COMMON S Y9551M108 20       12940    SH      SOLE    01         10940    0        2000    
D WILLIAMS                       COM              969457100 442      11200    SH      SOLE    01         318328   0        96378   
D XEROX                          COM              984121103 260      5000     SH      SOLE    01         5000     0        0       
D ZENECA GROUP PLC ADR           ADR              98934D106 320      6800     SH      SOLE    01         6800     0        0       
S REPORT SUMMARY             98     DATA RECORDS          250358

</TABLE>


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