DREMAN VALUE MANAGEMENT L L C
13F-HR, 1999-10-13
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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:  September 30, 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:           Dreman Value Management, L.L.C.
Address:        10 Exchange Place, Suite 2150
                Jersey City, NJ 07302-3913


Form 13F File Number:  28-6700

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:             Nelson Woodard
Title:            Managing Director
Phone:            (201) 793-2000

Signature, Place, and Date of Signing:

/s/ Nelson Woodard         Jersey City, New Jersey              October 12, 1999
[Signature]                    [City, State]                         [Date]

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 manager(s).)

<PAGE>
<TABLE>
<CAPTION>
                                                                                                           VOTING AUTHORITY
                             TITLE OF             VALUE     SHARES /    SH /  PUT / INVST             ---------------------------
      NAME OF ISSUER          CLASS    CUSIP     (X$1000)   PRN AMT     PRN   CALL DISCRETN MANAGERS  SOLE     SHARED        NONE
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
<S>                            <C>   <C>         <C>        <C>         <C>   <C>  <C>      <C>      <C>        <C>        <C>
AT&T Corp                      COM   001957109         202       4,650  SH          SOLE                4,650
Action Performance Cos Com     COM   004933107         291      13,800  SH          SOLE                1,300    12,500
Aegon NV                       COM   007924103       3,418      39,512  SH          SOLE               22,507                 17,866
Alcoa Inc                      COM   013817101         238       3,840  SH          SOLE                3,840
Allstate                       COM   020002101      10,537     422,529  SH          SOLE              281,684                149,545
Amcol International Corp       COM   02341W103         642      43,500  SH          SOLE                4,300    39,200
American Express               COM   025816109      22,750     168,515  SH          SOLE              113,390                 59,025
American International Group   COM   026874107      80,899     930,545  SH          SOLE              412,025                532,445
American Power Conversion Corp COM   026066107         296      15,600  SH          SOLE               15,600
Asyst Technologies Inc         COM   04648X107         391      11,850  SH          SOLE                1,100    10,750
Atlantic Richfield CO          COM   048825103     166,972   1,884,023  SH          SOLE              164,825              1,719,198
Automatic Data Processing      COM   053015103         214       4,800  SH          SOLE                4,800
BP Amoco- PLC  SPONS ADR       COM   055622104         367       3,308  SH          SOLE                                       3,308
BancWest Corporation           COM   059790105       6,297     155,010  SH          SOLE               82,470                 75,340
Bank One Corporation           COM   06423A103     280,065   8,044,941  SH          SOLE            1,217,638              6,848,163
Bank of America Corp           COM   060505104     223,108   4,006,424  SH          SOLE            1,036,787              2,987,391
Bank of New York Co Inc        COM   064057102      22,004     658,050  SH          SOLE                                     658,050
BankBoston Corp                COM   06605R106      34,689     799,745  SH          SOLE               84,935                717,410
Bear Stearns Cos Inc.          COM   073902108       2,958      76,965  SH          SOLE               45,950                 32,215
Becton Dickinson & Co          COM   075887109         247       8,800  SH          SOLE                8,800
Borders Group Inc.             COM   099709107     151,789  10,334,595  SH          SOLE            1,917,160              8,417,435
Bowater                        COM   102183100         223       4,250  SH          SOLE                4,250
Bristol Myers Squibb           COM   110122108         450       6,670  SH          SOLE                4,070                  2,600
Burlington Resources Inc       COM   122014103         428      11,647  SH          SOLE               11,647
CTB International Corp.        COM   125960104         481      70,635  SH          SOLE                6,800    63,835
CTG Resources Inc              COM   125957100         513      14,500  SH          SOLE                1,400    13,100
Carematrix Corp.               COM   141706101         338      65,200  SH          SOLE                6,300    58,900
Carmike Cinemas Inc - CL A     COM   143436103         289      22,000  SH          SOLE                2,200    19,800

<PAGE>
                                                                                                           VOTING AUTHORITY
                             TITLE OF             VALUE     SHARES /    SH /  PUT / INVST             ---------------------------
      NAME OF ISSUER          CLASS    CUSIP     (X$1000)   PRN AMT     PRN   CALL DISCRETN MANAGERS  SOLE     SHARED        NONE
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
Celestial Seasonings           COM   151016102         297      15,430  SH          SOLE                1,500    13,930
Champion Intl Corp             COM   158525105         339       6,600  SH          SOLE                6,600
Chase Manhattan                COM   16161A108      22,439     297,696  SH          SOLE              184,012                120,384
Chubb Corp                     COM   171232101       4,079      82,190  SH          SOLE               52,610                 31,280
Cigna Corp                     COM   125509109       4,130      53,115  SH          SOLE               18,700                 35,415
Citigroup, Inc                 COM   172967101      46,412   1,054,819  SH          SOLE              673,269                405,775
Coca-Cola Co                   COM   191216100         241       5,000  SH          SOLE                5,000
Colonial Bancgroup Inc         COM   195493309       3,073     274,665  SH          SOLE              163,950                116,555
Columbia Energy Group          COM   197648108     149,715   2,703,654  SH          SOLE              691,120              2,012,534
Columbia/Hca- Vtg              COM   197677107      46,139   2,177,650  SH          SOLE               11,100              2,166,550
Conoco Inc - Cl A              COM   208251306     331,712  11,953,600  SH          SOLE              890,168             11,063,432
Conoco Inc - Cl B              COM   208251405         230       8,419  SH          SOLE                8,419
Consolidated Nat Gas           COM   209615103      27,002     432,900  SH          SOLE                                     432,900
Corus Bankshares Inc.          COM   220873103       2,945     114,913  SH          SOLE               54,250    10,693       51,770
Datascope Corp.                COM   238113104         537      15,300  SH          SOLE                1,500    13,800
Dayton Hudson Corp             COM   239753106      14,572     242,610  SH          SOLE              161,710                 80,900
Diamond Offshore Drilling      COM   25271c102      50,794   1,521,920  SH          SOLE              301,550              1,220,370
Du Pont (E I) De Nemours       COM   263534109         242       4,000  SH          SOLE                4,000
Duke Energy Corp               COM   264399106         252       4,575  SH          SOLE                4,575
El Paso Energy Corp            COM   283905107         588      14,600  SH          SOLE               14,600
Ensco International, Inc       COM   26874q100      45,749   2,532,825  SH          SOLE              153,245              2,379,580
Exxon Corp                     COM   302290101      10,784     141,900  SH          SOLE               85,300                 56,600
Fed Home Loan Mtg Co           COM   313400301     249,545   4,798,946  SH          SOLE            1,197,505              3,612,341
Federal Natl Mortgage Assn     COM   313586109     283,187   4,517,433  SH          SOLE              960,800              3,572,133
Federated Dept Stores          COM   31410H101         490      11,224  SH          SOLE               10,900                    324
First Union Corp (N C)         COM   337358105      95,506   2,680,864  SH          SOLE              714,578              1,979,144
Fleet Financial Group Inc      COM   338915101     108,981   2,975,601  SH          SOLE              307,806              2,678,795
Fleetwood Enterprises          COM   339099103         539      26,700  SH          SOLE                2,600    24,100
Ford Motor Co                  COM   345370100      21,187     421,632  SH          SOLE              270,350                151,282
Franklin Resources             COM   354613101       3,241     106,055  SH          SOLE               65,230                 43,125
Fruit of the Loom Inc - Cl A   COM   G3682L105      23,036   6,701,280  SH          SOLE              860,420              5,840,860

<PAGE>
                                                                                                           VOTING AUTHORITY
                             TITLE OF             VALUE     SHARES /    SH /  PUT / INVST             ---------------------------
      NAME OF ISSUER          CLASS    CUSIP     (X$1000)   PRN AMT     PRN   CALL DISCRETN MANAGERS  SOLE     SHARED        NONE
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
GTE Corp                       COM   362320103       1,021      13,280  SH          SOLE               12,580                    700
General Electric Co            COM   369604103         285       2,400  SH          SOLE                                       2,400
Genrad Inc                     COM   372447102         704      36,810  SH          SOLE                3,600    33,210
Glaxo Wellcome Plc - Sp Adr    COM   37733W105         364       7,000  SH          SOLE                  200                  6,800
Global Marine Inc              COM   379352404      30,874   1,878,295  SH          SOLE               47,865              1,830,430
Golden West Financial Corp     COM   381317106       2,316      23,555  SH          SOLE               14,600                  9,555
Goldman Sachs                  COM   38141G104       3,140      51,470  SH          SOLE               31,570                 21,000
Halliburton International Inc  COM   406216101         328       8,000  SH          SOLE                8,000
Helix Technology Corp.         COM   423319102         356      10,700  SH          SOLE                1,000     9,700
Household International Inc    COM   441815107       5,613     139,880  SH          SOLE               92,130                 50,750
Humana Inc                     COM   444859102     121,147  17,621,340  SH          SOLE            2,024,655             15,596,685
ITLA Capital Corporation       COM   450565106         361      24,500  SH          SOLE                2,400    22,100
Imperial Credit Inds Inc       COM   452729106         383      87,650  SH          SOLE                8,700    78,950
Imperial Tobacco Group Plc     COM   453142101      20,753     883,100  SH          SOLE                                     883,100
Intel Corp                     COM   458140100         892      12,000  SH          SOLE               12,000
Inter-Tel Inc                  COM   458372109         499      28,100  SH          SOLE                2,800    25,300
Intermet Corp                  COM   45881K104         102      12,000  SH          SOLE                1,200    10,800
Jefferson-Pilot Corp           COM   475070108       2,540      40,202  SH          SOLE               22,587                 18,465
Johnson & Johnson              COM   478160104         533       5,800  SH          SOLE                5,800
Keycorp                        COM   493267108     115,080   4,458,305  SH          SOLE              321,010              4,148,495
LandAmerica Financial Group
  Inc                          COM   514936103         446      22,600  SH          SOLE                2,050    20,550
Lehman Brothers Holdings Inc   COM   524908100       3,702      63,412  SH          SOLE               46,420                 18,692
Lilly (Eli) & Co               COM   532457108       1,040      16,200  SH          SOLE                8,200                  8,000
Lincoln National Corp          COM   534187109       2,184      58,139  SH          SOLE               19,114                 40,225
Liz Claiborne Inc              COM   539320101         378      12,200  SH          SOLE               10,600                  1,600
MBIA Inc                       COM   55262C100         401       8,600  SH          SOLE                8,600
MFC Bancorp Ltd.               COM   55271X103         589      63,650  SH          SOLE                6,200    57,450
Marsh & Mclennan Cos           COM   571748102       7,386     107,819  SH          SOLE               74,224                 36,095
May Department Stores Inc      COM   577778103         856      23,503  SH          SOLE               14,124                  9,379
McKesson HBOC Inc              COM   58155Q103     255,422   8,807,640  SH          SOLE              923,140              7,884,500
Mellon Bank Corp               COM   585509102       8,112     241,251  SH          SOLE              151,556                 95,295

<PAGE>
                                                                                                           VOTING AUTHORITY
                             TITLE OF             VALUE     SHARES /    SH /  PUT / INVST             ---------------------------
      NAME OF ISSUER          CLASS    CUSIP     (X$1000)   PRN AMT     PRN   CALL DISCRETN MANAGERS  SOLE     SHARED        NONE
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
Merck & Co                     COM   589331107         875      13,500  SH          SOLE               13,500
Merrill Lynch & Co             COM   590188108      10,787     160,100  SH          SOLE               89,660                 73,540
Microsoft                      COM   594918104       2,155      23,800  SH          SOLE               23,800
Minnesota Mining & Mfg Co      COM   604059105         423       4,400  SH          SOLE                4,400
Mobil Corp                     COM   607059102         242       2,400  SH          SOLE                2,400
Morg Stan Dean Wttr Dscvr & Co COM   617446448         276       3,100  SH          SOLE                3,100                    800
Morgan (J P) & Co              COM   616880100      28,150     246,388  SH          SOLE               48,933                199,155
Mueller Industries Inc         COM   624756102         564      19,000  SH          SOLE                1,900    17,100
Nabisco Group Hldg Corp        COM   62952P102     163,959  10,930,615  SH          SOLE              891,775             10,038,840
National Bancorp Alaska Com    COM   632587101         379      14,800  SH          SOLE                1,500    13,300
National Bank of Canada        COM   633067103      19,055   1,600,050  SH          SOLE              188,300              1,411,750
Nestle S A Sponsored ADR       COM   641069406      21,633     230,225  SH          SOLE              138,265                 91,960
Noble Drilling Corp            COM   655042109      48,890   2,234,955  SH          SOLE              275,415              1,959,540
North Fork Bancorporation      COM   659424105       3,801     194,906  SH          SOLE              116,025    21,871       61,073
Northeast Utilities            COM   664397106         527      28,700  SH          SOLE                2,800    25,900
Ohio Casualty Corp             COM   677240103      17,698   1,048,780  SH          SOLE              575,870                481,910
PNC Bank Corp                  COM   693475105     191,690   3,638,253  SH          SOLE              510,579              3,137,074
Park Place Entertainment       COM   700690100         793      63,400  SH          SOLE                6,100    57,300
Peoples Heritage Fin'l Group   COM   711147108       2,258     135,825  SH          SOLE               77,010                 61,515
Pepsico Inc                    COM   713448108         279       9,150  SH          SOLE                9,150
Pharmacia & Upjohn             COM   716941109         381       7,685  SH          SOLE                7,685
Philip Morris Cos Inc          COM   718154107     460,750  13,477,151  SH          SOLE            1,108,840             12,368,311
Popular Inc                    COM   733174106       5,655     203,800  SH          SOLE              126,060                 82,240
Precision Castparts Corp       COM   740189105         374      12,250  SH          SOLE                1,200    11,050
Prison Realty Trust Inc        COM   74264n105     118,466  11,020,060  SH          SOLE            3,168,910    71,150    7,846,700
Provident Financial Group      COM   743866105       3,057      83,605  SH          SOLE               49,480                 36,045
R & G Financial Corp CL B      COM   749136107         382      27,264  SH          SOLE                2,700    24,564
RTI International Metals, Inc. COM   74973W107         523      52,250  SH          SOLE                5,100    47,150
Rehabcare Group Inc            COM   759148109         661      37,250  SH          SOLE                3,700    33,550
Republic N Y Corp              COM   760719104     119,289   1,941,634  SH          SOLE               98,600              1,846,634
Reynolds RJ Tob Hldgs Inc      COM   76182k105     106,050   3,927,767  SH          SOLE              324,396              3,603,371

<PAGE>
                                                                                                           VOTING AUTHORITY
                             TITLE OF             VALUE     SHARES /    SH /  PUT / INVST             ---------------------------
      NAME OF ISSUER          CLASS    CUSIP     (X$1000)   PRN AMT     PRN   CALL DISCRETN MANAGERS  SOLE     SHARED        NONE
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
Rite Aid Corp.                 COM   767754104     120,842   8,748,740  SH          SOLE            1,029,720              7,719,020
Royal Dutch Pet  -NY Reg       COM   780257804         514       8,700  SH          SOLE                6,700                  2,000
SLM Holding Corp Com           COM   78442a109       6,267     145,735  SH          SOLE              107,040                 41,895
ST Paul Cos                    COM   792860108      18,777     682,812  SH          SOLE               58,362                626,350
Safeco Corp                    COM   786429100       8,863     316,535  SH          SOLE               88,990                230,545
Santa Fe Intl Corp             COM   G7805C108         219      10,150  SH          SOLE                1,000     9,150
Schering-Plough                COM   806605101         332       7,600  SH          SOLE                7,600
Sea Containers Ltd.            COM   811371707         792      28,300  SH          SOLE                2,700    25,600
Stolt Comex Seaway             COM   L8873e103         449      39,650  SH          SOLE                3,900    35,750
Summit Bancorp                 COM   866005101       3,651     112,560  SH          SOLE               64,690                 50,270
Suntrust Banks Inc             COM   867914103      10,869     165,312  SH          SOLE               77,760                 90,208
Tenet Healthcare Corp          COM   88033G100     173,163   9,859,840  SH          SOLE            1,136,695              8,723,145
Texaco Inc                     COM   881694103     194,458   3,080,520  SH          SOLE              325,415              2,755,105
Tidewater Inc                  COM   886423102      28,532   1,118,915  SH          SOLE               92,875              1,026,040
Torchmark Corp                 COM   891027104       1,983      76,620  SH          SOLE               45,640                 32,480
Toys R Us Inc                  COM   892335100      94,416   6,294,370  SH          SOLE              304,570              5,989,800
Trans World Entertainment      COM   89336Q100         457      36,000  SH          SOLE                2,900    33,100
TransOcean Offshore Inc        COM   G90076103      69,898   2,282,385  SH          SOLE              198,055              2,084,330
Tyco International Ltd         COM   902124106         275       2,660  SH          SOLE                2,660
U S Bancorp                    COM   902973106       2,252      74,590  SH          SOLE               74,590                  2,800
US Tobacco Inc.                COM   902911106     256,405   8,493,760  SH          SOLE              833,095              7,660,665
Unilever N V  NY Shares        COM   904784709      24,874     365,122  SH          SOLE              258,522                106,600
Universal Corp/Va              COM   913456109      79,552   3,045,055  SH          SOLE              302,275              2,742,780
Wachovia Corp                  COM   929771103       1,541      19,601  SH          SOLE                                      19,601
Wal-Mart Stores                COM   931142103       1,974      41,500  SH          SOLE               15,400                 26,100
Washington Mutual Inc          COM   939322103      29,728   1,016,349  SH          SOLE              649,108                372,499
Waste Management Inc           COM   94106L109      78,078   4,055,980  SH          SOLE              447,930              3,608,050
Webb (Del E) Corp              COM   947423109         433      19,700  SH          SOLE                1,900    17,800
Webster Finl Corp Waterbury    COM   947890109         332      13,000  SH          SOLE                1,300    11,700
Wells Fargo & Co (NEW)         COM   949746101      40,595   1,024,479  SH          SOLE              585,590                452,489

<PAGE>
                                                                                                           VOTING AUTHORITY
                             TITLE OF             VALUE     SHARES /    SH /  PUT / INVST             ---------------------------
      NAME OF ISSUER          CLASS    CUSIP     (X$1000)   PRN AMT     PRN   CALL DISCRETN MANAGERS  SOLE     SHARED        NONE
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
MUTUAL FUNDS

Amer Century Quant Eq Gld /
  Benham Equity                      081866105         121      18,624  SH          SOLE               18,624
Heitman Sec Tr                       423079201         789      95,448  SH          SOLE               95,448
Kemper Dreman Contrarian Fund        48840B108       1,006      49,323  SH          SOLE                                      49,323
Kemper Dreman High Return Fund       48840B504         814      26,246  SH          SOLE                                      26,246
Pvt Banking Aggr. Gr. Str.
  Alloc. Fund                        997443106         373      20,534  SH          SOLE               20,534
Smith Barney Muni BD Fund            831805304       1,802     140,135  SH          SOLE                                     140,135
Vanguard/Windsor Fund                922018106         292      17,942  SH          SOLE                                      17,942


UNSUPERVISED ASSETS

Time Warner Inc                      887315109      15,385     253,256  SH          SOLE                                     253,256


GRAND TOTAL                                      5,748,009
                                                 =========
</TABLE>

<PAGE>

                              Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:           NONE

Form 13F Information Table Entry Total:      158

Form 13F Information Table Value Total:     $5,748,009
                                           (thousands)



List of Other Included Managers: None

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.


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