DREMAN VALUE MANAGEMENT L L C
13F-HR, 1999-05-11
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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:  March 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:           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                 May 7, 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).)

List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]

       Form 13F File Number                 Name
       28-______________                    ____________________________________
       [Repeat as necessary.]

<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>    

COMMON STOCK

AT&T Corp                      COM   001957109         247        3100   SH        SOLE                3,100
Allstate                       COM   020002101      14,262      384799   SH        SOLE              240,394                 148,405
Amcol International Corp       COM   02341W103         318       31800   SH        SOLE                           31,800
American Express               COM   025816109      22,335      189685   SH        SOLE              110,440                  81,345
American Home Products Corp    COM   026609107      20,727      317660   SH        SOLE              280,160                  37,500
American International Group   COM   026874107      88,696      735302   SH        SOLE              315,882                 424,320
Associates First Cap           COM   046008108      17,832      396269   SH        SOLE               87,408                 309,061
Asyst Technologies Inc         COM   04648X107         177       12900   SH        SOLE                           12,900
Atlantic Richfield CO          COM   048825103     297,884     4073623   SH        SOLE              337,255               3,736,368
BP Amoco PLC - SPONS ADR       COM   055622104     168,101     1664366   SH        SOLE              149,326               1,515,040
BancWest Corporation           COM   059790105       6,673      157000   SH        SOLE               83,400                  75,200
Bancorp South                  COM   059692103         171       10700   SH        SOLE                           10,700
Bank One Corporation           COM   06423A103     342,323     6216985   SH        SOLE              893,087               5,332,058
Bank Rhode Island              COM   064576101         275       26550   SH        SOLE               12,850                  13,700
Bank of America Corp           COM   060505104     300,226     4250986   SH        SOLE            1,055,918               3,203,822
Bank of New York Co Inc        COM   064057102      23,491      653650   SH        SOLE                                      653,650
BankBoston Corp                COM   06605R106      43,324     1000255   SH        SOLE              161,115                 839,940
Bankers Trust Corp             COM   066365107      80,600      913310   SH        SOLE               94,160                 819,650
Baxter International Inc       COM   071813109         244        3700   SH        SOLE                2,800                     900
Bear Stearns Cos Inc.          COM   073902108       3,281       73420   SH        SOLE               41,950                  31,470
Becton Dickinson & Co          COM   075887109         337        8800   SH        SOLE                8,800
Blount Intl Inc  -Cl A         COM   095177101         445       15400   SH        SOLE                           15,400
Borders Group Inc.             COM   099709107     118,472     8424645   SH        SOLE              744,220               7,680,425
Bristol Myers Squibb           COM   110122108         473        7370   SH        SOLE                4,070                   3,300
CCB Financial Corp             COM   124875105         422        7800   SH        SOLE                7,800                   1,200
CTB International Corp.        COM   125960104         308       48335   SH        SOLE                           48,335
Carmike Cinemas Inc - CL A     COM   143436103         289       16000   SH        SOLE                           16,000
Chase Manhattan                COM   16161A108      29,402      361318   SH        SOLE              221,582                 142,636

<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
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
Chubb Corp                     COM   171232101       4,700       80250   SH        SOLE               49,150                  32,200
Cigna Corp                     COM   125509109       4,601       54900   SH        SOLE               19,100                  36,800
Cisco Systems Inc.             COM   17275R102         291        2660   SH        SOLE                2,660
Citigroup, Inc                 COM   172967101     178,388     2792765   SH        SOLE              626,828               2,174,787
Coca-Cola Co                   COM   191216100         444        7230   SH        SOLE                7,230
Colonial Bancgroup Inc         COM   195493309       3,122      260130   SH        SOLE              147,910                 114,560
Columbia Energy Group          COM   197648108     134,914     2582084   SH        SOLE              599,330               1,982,754
Columbia/Hca -Vtg              COM   197677107      45,060     2379400   SH        SOLE                  300               2,379,100
Conoco Inc                     COM   208251306     242,485     9872160   SH        SOLE              826,428               9,045,732
Corus Bankshares Inc.          COM   220873103       3,477      108243   SH        SOLE               47,650       8,693      53,400
Datascope Corp.                COM   238113104         302       11200   SH        SOLE                           11,200
Dayton Hudson Corp             COM   239753106      40,659      610260   SH        SOLE              256,580                 353,680
Diamond Offshore Drilling      COM   25271c102      47,607     1505370   SH        SOLE              283,000               1,222,370
Du Pont (E I) De Nemours       COM   263534109         398        6854   SH        SOLE                6,854
Ensco International, Inc       COM   26874q100      33,585     2522825   SH        SOLE              143,375               2,379,450
Exxon Corp                     COM   302290101       9,399      133200   SH        SOLE               76,600                  56,600
Fed Home Loan Mtg Co           COM   313400301     274,869     4795976   SH        SOLE            1,164,515               3,639,561
Federal Natl Mortgage Assn     COM   313586109     311,279     4495003   SH        SOLE              942,570               3,559,433
Finish Line Inc- CLA           COM   317923100         309       24000   SH        SOLE                           24,000
First Citizens BCSHS           COM   31946m103         227        2800   SH        SOLE                                        2,800
First Union Corp (N C)         COM   337358105     144,983     2713137   SH        SOLE              671,696               2,047,299
Fleet Financial Group Inc      COM   338915101     146,631     3897171   SH        SOLE              300,456               3,602,115
Fleetwood Enterprises          COM   339099103         278        9700   SH        SOLE                            9,700
Ford Motor Co                  COM   345370100      22,184      391332   SH        SOLE              242,550                 148,782
Franklin Resources             COM   354613101       2,872      102100   SH        SOLE               60,800                  42,400
Fruit of the Loom Inc  -Cl A   COM   G3682L105      46,634     4338040   SH        SOLE              245,310               4,092,730
GTE Corp                       COM   362320103         443        7330   SH        SOLE                4,880                   2,450
General Electric Co            COM   369604103         548        4950   SH        SOLE                2,550                   2,400
Genrad Inc                     COM   372447102         386       26850   SH        SOLE                           26,850
Giant Industries Inc           COM   374508109         103       12000   SH        SOLE                           12,000
Glaxo Wellcome Plc  -Sp Adr    COM   37733W105         469        7000   SH        SOLE                  200                   6,800

<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
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
Global Marine Inc              COM   379352404      22,012     1873325   SH        SOLE               36,175               1,837,150
Golden West Financial Corp     COM   381317106       2,025       21200   SH        SOLE               12,300                   9,200
Hanson Plc  -ADR               COM   411352404      41,374      940320   SH        SOLE              128,294                 812,026
Helix Technology Corp.         COM   423319102         237       15400   SH        SOLE                           15,400
Household International Inc    COM   441815107       5,867      128600   SH        SOLE               79,100                  51,300
Humana Inc                     COM   444859102     167,811     9728150   SH        SOLE              837,005               8,891,145
ITLA Capital Corporation       COM   450565106         260       17900   SH        SOLE                           17,900
Imperial Credit Inds Inc       COM   452729106         319       43630   SH        SOLE                           43,630
Imperial Tobacco Group Plc     COM   453142101      20,321     1003500   SH        SOLE                                    1,003,500
Intel Corp                     COM   458140100       1,230       10350   SH        SOLE               10,350
Intermet Corp                  COM   45881K104         227       17000   SH        SOLE                           17,000
Jefferson-Pilot Corp           COM   475070108       2,536       37437   SH        SOLE               19,937                  17,950
Johnson & Johnson              COM   478160104       1,080       11550   SH        SOLE               10,550                   1,000
Jones Pharma Inc               COM   480236108         344        9900   SH        SOLE                            9,900
Keycorp                        COM   493267108     133,934     4418455   SH        SOLE              299,750               4,124,505
Koninklijke Philips 
  Electronics N.V. ADR         COM   500472105      60,379      732417   SH        SOLE                8,500                 723,917
Lehman Brothers Holdings Inc   COM   524908100      11,060      185107   SH        SOLE               44,930                 141,277
Lilly (Eli) & Co               COM   532457108       1,833       21600   SH        SOLE               13,600                   8,000
Lincoln National Corp          COM   534187109       2,946       29792   SH        SOLE                9,792                  20,600
Liz Claiborne Inc              COM   539320101       6,854      210075   SH        SOLE               96,885                 113,190
MCI Worldcom Inc               COM   55268B106         286        3230   SH        SOLE                3,230
MFC Bancorp Ltd.               COM   55271X103         320       47400   SH        SOLE                           47,400
Marsh & Mclennan Cos           COM   571748102       7,285       98109   SH        SOLE               63,859                  35,450
May Department Stores Inc      COM   577778103      19,160      489723   SH        SOLE              291,408                 198,315
Mellon Bank Corp               COM   585509102       8,506      120863   SH        SOLE               74,163                  48,000
Merck & Co                     COM   589331107       1,218       15200   SH        SOLE               15,200
Merrill Lynch & Co             COM   590188108      16,884      190780   SH        SOLE              116,680                  75,700
Microsoft                      COM   594918104       3,375       37652   SH        SOLE               37,652
Minnesota Mining & Mfg Co      COM   604059105         330        4670   SH        SOLE                4,400                     270
Mobil Corp                     COM   607059102         211        2400   SH        SOLE                2,400
Morg Stan Dean Wttr Dscvr & Co COM   617446448         350        3500   SH        SOLE                3,500                     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
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
Morgan (J P) & Co              COM   616880100      29,978      242983   SH        SOLE               45,433                 198,150
Mueller Industries Inc         COM   624756102         309       13800   SH        SOLE                           13,800
National Bancorp Alaska Com    COM   632587101         304       10800   SH        SOLE                           10,800
National Bank of Canada        COM   633067103      23,308     1599100   SH        SOLE              176,800               1,422,300
Nationwide Finl Svcs  -CL A    COM   638612101         311        7400   SH        SOLE                7,400
Nestle S A Sponsored ADR       COM   641069406      20,304      223525   SH        SOLE              132,865                  90,660
Noble Drilling Corp            COM   655042109      37,701     2169825   SH        SOLE              213,585               1,956,240
North Fork Bancorporation      COM   659424105       3,623      171516   SH        SOLE              103,600      17,221      52,658
Northeast Utilities            COM   664397106         380       27400   SH        SOLE                           27,400
Ohio Casualty Corp             COM   677240103      20,399      523050   SH        SOLE              284,470                 240,980
PNC Bank Corp                  COM   693475105     212,845     3830733   SH        SOLE              503,279               3,332,154
Park Place Entertainment       COM   700690100         321       42500   SH        SOLE                           42,500
Peoples Heritage Fin'l Group   COM   711147108       2,354      130750   SH        SOLE               70,150                  62,100
Pepsico Inc                    COM   713448108         353        9000   SH        SOLE                9,000
Pfizer                         COM   717081103         219        1575   SH        SOLE                1,575
Pharmacia & Upjohn             COM   716941109         479        7685   SH        SOLE                7,685
Philip Morris Cos Inc          COM   718154107     456,826    12982616   SH        SOLE              949,925              12,032,691
Popular Inc                    COM   733174106       6,076      196800   SH        SOLE              117,200                  81,800
Prison Realty Corp             COM   74264n105       4,604      264000   SH        SOLE              139,600      27,800      99,300
Procter & Gamble Co            COM   742718109         202        2060   SH        SOLE                2,060
Provident Financial Group      COM   743866105       3,156       82250   SH        SOLE               48,070                  35,200
Quaker Oats Co                 COM   747402105       9,738      156435   SH        SOLE              104,005                  52,430
R & G Financial Corp CL B      COM   749136107         213       11014   SH        SOLE                           11,014
RJR Nabisco                    COM   74960K876     266,417    10656665   SH        SOLE              740,905               9,915,760
RTI International Metals, Inc. COM   74973W107         346       34600   SH        SOLE                           34,600
Raymond James Financial Corp   COM   754730109         450       22805   SH        SOLE                1,450                  21,355
Raytheon Co                    COM   755111408         240        4100   SH        SOLE                2,000                   2,100
Rehabcare Group Inc            COM   759148109         301       20000   SH        SOLE                           20,000
Republic N Y Corp              COM   760719104      99,411     2155244   SH        SOLE              112,450               2,045,294
SLM Holding Corp Com           COM   78442a109       5,943      142350   SH        SOLE               80,250                  63,500
ST Paul Cos                    COM   792860108      31,120     1001847   SH        SOLE              172,147                 832,300

<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
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
Safeco Corp                    COM   786429100      12,665      313200   SH        SOLE               80,200                 234,200
Santa Fe Intl Corp             COM   G7805C108         201       10750   SH        SOLE                           10,750
Schering-Plough                COM   806605101         420        7600   SH        SOLE                7,600
Sea Containers Ltd.            COM   811371707         598       20700   SH        SOLE                           20,700
Stolt Comex Seaway             COM   L8873e103         432       45000   SH        SOLE                           45,000
Summit Bancorp                 COM   866005101       4,405      112950   SH        SOLE               63,050                  51,400
Sun Hydraulics Inc             COM   866942105         172       24200   SH        SOLE                           24,200
Suntrust Banks Inc             COM   867914103      38,082      611766   SH        SOLE               74,494                 539,628
Tech-Sym Corp                  COM   878308105         208       10000   SH        SOLE                           10,000
Tenet Healthcare Corp          COM   88033G100     164,091     8664870   SH        SOLE              848,325               7,816,545
Texaco Inc                     COM   881694103     167,585     2953040   SH        SOLE              257,735               2,695,305
Tidewater Inc                  COM   886423102      28,969     1119585   SH        SOLE               89,845               1,029,740
Torchmark Corp                 COM   891027104       2,260       71450   SH        SOLE               39,650                  32,600
Toys R Us Inc                  COM   892335100     114,921     6108750   SH        SOLE              203,390               5,905,360
Trans World Entertainment      COM   89336Q100         275       25000   SH        SOLE                           25,000
TransOcean Offshore Inc        COM   893817106      64,834     2250195   SH        SOLE              179,065               2,071,130
Transamerica Corp              COM   893485102       4,004       56400   SH        SOLE               31,600                  25,600
U S Bancorp                    COM   902973106       2,327       68330   SH        SOLE               68,330                   1,800
US Tobacco Inc.                COM   902911106     218,373     8358770   SH        SOLE              779,365               7,579,405
UST Corp                       COM   902900109         262       12000   SH        SOLE               12,000                   2,000
Unilever N V  -NY Shares       COM   904784501      30,281      455775   SH        SOLE              339,165                 116,610
Universal Corp/Va              COM   913456109      70,668     2764525   SH        SOLE              190,975               2,573,550
Wachovia Corp                  COM   929771103       1,892       23301   SH        SOLE                                       23,301
Wal-Mart Stores                COM   931142103       2,309       25050   SH        SOLE                9,200                  15,850
Washington Mutual Inc          COM   939322103      42,326     1035501   SH        SOLE              670,030                 367,929
Webb (Del E) Corp              COM   947423109         312       14400   SH        SOLE                           14,400
Webster Finl Corp Waterbury    COM   947890109         274        9500   SH        SOLE                            9,500
Wells Fargo & Co (NEW)         COM   949746101      36,092     1029369   SH        SOLE              563,005                 472,164
Xerox Corp                     COM   984121103      62,161     1192544   SH        SOLE              325,300                 867,244
Yankee Energy System Inc       COM   984779108         247       10700   SH        SOLE                           10,700

MUTUAL FUNDS
Amer Century Quant Eq Gld / 
   Benham Equity                     081866105          96   18624.347   SH        SOLE               18,624


<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
      --------------          -----    -----     --------   -------     ---   ---- -------- --------  ----     ------        ----
Heitman Sec Tr                       423079201         778   95447.87    SH        SOLE               95,448
Kemper Dreman Contrarian Fund        48840B108       1,038   49176.26    SH        SOLE                                       49,176
Kemper Dreman High Return Fund       48840B504         860   25976.31    SH        SOLE                                       25,976
Pvt Banking Aggr. Gr. Str. 
   Alloc. Fund                       997443106         362   20533.88    SH        SOLE               20,534
Smith Barney Muni BD Fund            831805304       1,870   136625.2    SH        SOLE                                      136,625
Value Line Leveraged Gwth In         920447109         202   3769.368    SH        SOLE                                        3,769
Vanguard/Windsor Fund                922018106         288   17941.53    SH        SOLE                                       17,942



UNSUPERVISED ASSETS
Time Warner Inc                      887315109       8,047     113644    SH        SOLE                                      113,644




GRAND TOTAL                                      6,146,971
                                                 =========
</TABLE>



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