DREMAN VALUE MANAGEMENT L L C
13F-HR, 2000-05-05
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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, 2000

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                5/5/00
[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>
                                                      Dreman Value Management, LLC
                                                                FORM 13F
                                                             March 31, 2000


                                 Title                                                             Voting Authority
                                  of                      Market                 Investment
             Name of Issuer      Class      CUSIP    Value (x$1,000)   Quantity  Discretion     Sole       Share      None
             --------------      -----      -----    ---------------   --------  ----------     ----       -----      ----
<S>                           <C>         <C>              <C>           <C>     <C>            <C>      <C>        <C>
Action Performance Cos Com      Common     004933107              797     59,900    Sole           5,800    54,100
Aegon NV                        Common     007924103            3,270     40,621    Sole          26,226               14,395
Allstate                        Common     020002101            6,777    284,599    Sole         213,154               71,445
American Express                Common     025816109           23,786    159,705    Sole         104,380               55,325
American International Group    Common     026874107           60,896    556,132    Sole         369,554              186,578
American Power Conversion Corp  Common     026066107              669     15,600    Sole          15,600
Asyst Technologies Inc          Common     04648X107              345      5,900    Sole             600     5,300
Atlantic Richfield CO           Common     048825103           90,470  1,064,348    Sole         162,250              902,098
Automatic Data Processing       Common     053015103              232      4,800    Sole           4,800
BP Amoco PLC - SPONS ADR        Common     055622104              379      7,114    Sole             498                6,616
BancWest Corporation            Common     059790105            6,232    315,540    Sole         179,210              136,330
Bank One Corporation            Common     06423A103          256,424  7,432,584    Sole       1,330,153            6,102,431
Bank of America Corp            Common     060505104          146,687  2,797,360    Sole         972,301            1,825,059
Bear Stearns Cos Inc.           Common     073902108            4,267     93,533    Sole          60,807               32,726
Becton Dickinson & Co           Common     075887109              232      8,800    Sole           8,800
Borders Group Inc.              Common     099709107          163,779  9,528,955    Sole       1,994,070            7,534,885
Bowater                         Common     102183100              227      4,250    Sole           4,250
Burlington Resources Inc        Common     122014103              431     11,647    Sole          11,647
CTB International Corp.         Common     125960104              369     53,635    Sole           5,200    48,435
CTG Resources Inc               Common     125957100              543     14,600    Sole           1,400    13,200
Ch Energy Group Inc.            Common     12541m102              404     13,300    Sole           1,300    12,000
Champion Intl Corp              Common     158525105              351      6,600    Sole           6,600
Chase Manhattan                 Common     16161A108           26,796    307,338    Sole         198,582              108,756
Chubb Corp                      Common     171232101            5,915     87,550    Sole          58,070               29,480
Cigna Corp                      Common     125509109            3,790     50,035    Sole          19,770               30,265
Citigroup, Inc                  Common     172967101           65,935  1,101,209    Sole         735,209              366,000
Coca-Cola Co                    Common     191216100              235      5,000    Sole           5,000
Colonial Bancgroup Inc          Common     195493309            3,102    288,595    Sole         180,030              108,565
Columbia Energy Group           Common     197648108          160,223  2,704,189    Sole         696,405            2,007,784
Columbia/Hca -Vtg               Common     197677107              304     12,000    Sole          11,100                  900
Conoco Inc - Cl A               Common     208251306          195,454  7,937,227    Sole         465,104            7,472,123
Conoco Inc - Cl B               Common     208251405           35,144  1,371,459    Sole         577,989              793,470
Corus Bankshares Inc.           Common     220873103            2,709    114,663    Sole          58,600    10,693     45,370
Datascope Corp.                 Common     238113104              419     13,200    Sole           1,300    11,900
Delta & Pine Land Co.           Common     247357106              508     25,700    Sole           2,500    23,200
</TABLE>


<PAGE>
<TABLE>
<CAPTION>

                                                      Dreman Value Management, LLC
                                                                FORM 13F
                                                             March 31, 2000

                                 Title                                                             Voting Authority
                                  of                      Market                 Investment
             Name of Issuer      Class      CUSIP    Value (x$1,000)   Quantity  Discretion     Sole       Share      None
             --------------      -----      -----    ---------------   --------  ----------     ----       -----      ----
<S>                           <C>         <C>              <C>           <C>     <C>            <C>      <C>        <C>
Deluxe Corp.                    Common     248019101              567     21,400    Sole           2,100    19,300
Diamond Offshore Drilling       Common     25271c102           55,428  1,387,880    Sole         318,310            1,069,570
Du Pont (E I) De Nemours        Common     263534109              212      4,000    Sole           4,000
Duke Energy Corp                Common     264399106              322      6,141    Sole           6,141
El Paso Energy Corp             Common     283905107              654     16,200    Sole          16,200
Ensco International, Inc        Common     26874q100           40,138  1,111,075    Sole         159,095              951,980
Exxon Mobil Corp                Common     30231G102           11,766    150,963    Sole          93,863               57,100
Fed Home Loan Mtg Co            Common     313400301          220,742  4,995,586    Sole       1,267,620            3,727,966
Federal Natl Mortgage Assn      Common     313586109          237,019  4,190,393    Sole       1,113,610            3,076,783
Federated Dept Stores           Common     31410H101              529     12,524    Sole          10,900                1,624
First Union Corp (N C)          Common     337358105          108,135  2,902,942    Sole         876,906            2,026,036
Fleet Boston Corp               Common     339030108          103,260  2,829,033    Sole         457,919            2,371,114
Fleetwood Enterprises           Common     339099103              395     26,800    Sole           2,600    24,200
Ford Motor Co                   Common     345370100           19,504    424,585    Sole         279,555              145,030
Franklin Resources              Common     354613101            3,712    111,025    Sole          72,000               39,025
Fruit of the Loom Inc-Cl A (old)Common     G3682L105            4,740  3,991,580    Sole         492,855            3,498,725
GTE Corp                        Common     362320103              893     12,580    Sole          12,580
General Electric Co             Common     369604103              374      2,400    Sole                                2,400
Genrad Inc                      Common     372447102              420     33,910    Sole           3,300    30,610
Glaxo Wellcome Plc  -Sp Adr     Common     37733W105              327      5,700    Sole                                5,700
Global Marine Inc               Common     379352404           21,776    858,175    Sole          54,645              803,530
Golden West Financial Corp      Common     381317106            2,275     72,945    Sole          47,530               25,415
Goldman Sachs                   Common     38141G104            5,573     52,950    Sole          34,700               18,250
Halliburton International Inc   Common     406216101              329      8,000    Sole           8,000
Helix Technology Corp.          Common     423319102              372      6,200    Sole             600     5,600
Household International Inc     Common     441815107            5,511    147,710    Sole         100,360               47,350
Humana Inc                      Common     444859102          123,295 16,860,918    Sole       1,988,813           14,872,105
ITLA Capital Corporation        Common     450565106              529     41,500    Sole           4,000    37,500
Imperial Tobacco Group Plc      Common     453142101           11,999    735,600    Sole                              735,600
Intel Corp                      Common     458140100            1,253      9,500    Sole           9,500
Jefferson-Pilot Corp            Common     475070108            2,627     39,467    Sole          24,777               14,690
Johnson & Johnson               Common     478160104              407      5,800    Sole           5,800
Keycorp                         Common     493267108           57,872  3,045,910    Sole         349,390            2,696,520
Koninklijke Philips
 Electronics N.V. ADR           Common     500472204              331      1,932    Sole                                1,932
Laboratory Corp. of America
 Holdings                       Common     50540r102              447    105,200    Sole          10,300    94,900
LandAmerica Financial Group Inc Common     514936103              506     26,100    Sole           2,500    23,600
</TABLE>


<PAGE>
<TABLE>
<CAPTION>


                                                      Dreman Value Management, LLC
                                                                FORM 13F
                                                             March 31, 2000

                                 Title                                                             Voting Authority
                                  of                      Market                 Investment
             Name of Issuer      Class      CUSIP    Value (x$1,000)   Quantity  Discretion     Sole       Share      None
             --------------      -----      -----    ---------------   --------  ----------     ----       -----      ----
<S>                           <C>         <C>              <C>           <C>     <C>            <C>      <C>        <C>
Lehman Brothers Holdings Inc    Common     524908100            6,696     69,032    Sole          51,990               17,042
Lilly (Eli) & Co                Common     532457108            1,015     16,200    Sole           8,200                8,000
Lincoln National Corp           Common     534187109            1,921     57,339    Sole          21,964               35,375
Liz Claiborne Inc               Common     539320101              279      6,100    Sole           5,000                1,100
MBIA Inc                        Common     55262C100              448      8,600    Sole           8,600
MFC Bancorp Ltd.                Common     55271X103              461     63,650    Sole           6,200    57,450
Marsh & Mclennan Cos            Common     571748102           13,180    119,479    Sole          85,234               34,245
May Department Stores Inc       Common     577778103              467     16,387    Sole          10,725                5,662
McKesson HBOC Inc               Common     58155Q103          184,171  8,770,050    Sole         970,560            7,799,490
Mellon Financial Corp           Common     58551A108            7,859    264,181    Sole         175,586               88,595
Merck & Co                      Common     589331107              839     13,500    Sole          13,500
Merrill Lynch & Co              Common     590188108           16,743    159,460    Sole          95,620               63,840
Microsoft                       Common     594918104            1,913     18,000    Sole          18,000
Minnesota Mining & Mfg Co       Common     604059105              390      4,400    Sole           4,400
Morg Stan Dean Wttr Dscvr & Co  Common     617446448            6,812     82,200    Sole          82,200
Morgan (J P) & Co               Common     616880100           10,726     81,408    Sole          53,703               27,705
Mueller Industries Inc          Common     624756102              577     19,000    Sole           1,900    17,100
Nabisco Group Hldg Corp         Common     62952P102          114,014  9,451,935    Sole         983,795            8,468,140
Nabors Industries Inc           Common     629568106           27,312    703,700    Sole                              703,700
National Bank of Canada         Common     633067103            6,371    435,250    Sole         188,300              246,950
Nestle S A Sponsored ADR        Common     641069406           20,520    228,980    Sole         141,320               87,660
Noble Drilling Corp             Common     655042109           40,119    969,635    Sole         283,995              685,640
North Fork Bancorporation       Common     659424105            3,690    206,456    Sole         128,375    21,871     56,210
Northeast Utilities             Common     664397106              740     34,400    Sole           3,400    31,000
Nu Horizons Electronic Corp.    Common     669908105              518     23,400    Sole           2,300    21,100
Ohio Casualty Corp              Common     677240103           26,665  1,491,740    Sole         897,430              594,310
PNC Financial Services Group    Common     693475105           79,549  1,765,306    Sole         508,683            1,256,623
Park Place Entertainment        Common     700690100              602     52,100    Sole           5,100    47,000
Peoples Heritage Fin'l Group    Common     711147108            2,109    140,595    Sole          83,780               56,815
Pepsico Inc                     Common     713448108              319      9,150    Sole           9,150
Pharmacia & Upjohn              Common     716941109              449      7,540    Sole           7,540
Philip Morris Cos Inc           Common     718154107          241,411 11,427,747    Sole       1,193,932           10,233,815
Popular Inc                     Common     733174106            4,734    213,360    Sole         137,520               75,840
Precision Castparts Corp        Common     740189105              593     16,250    Sole           1,600    14,650
Prison Realty Trust Inc         Common     74264n105           39,016 12,739,860    Sole       3,997,410    82,050  8,660,400
Procter & Gamble Co             Common     742718109            8,407    148,800    Sole         100,800               48,000
</TABLE>


<PAGE>

<TABLE>
<CAPTION>

                                                      Dreman Value Management, LLC
                                                                FORM 13F
                                                             March 31, 2000

                                 Title                                                             Voting Authority
                                  of                      Market                 Investment
             Name of Issuer      Class      CUSIP    Value (x$1,000)   Quantity  Discretion     Sole       Share      None
             --------------      -----      -----    ---------------   --------  ----------     ----       -----      ----
<S>                           <C>         <C>              <C>           <C>     <C>            <C>      <C>        <C>
Provident Financial Group       Common     743866105            3,037     89,165    Sole          57,190               31,975
R & G Financial Corp CL B       Common     749136107              309     34,364    Sole           3,300    31,064
RTI International Metals, Inc.  Common     74973W107              544     61,750    Sole           6,000    55,750
Rehabcare Group Inc             Common     759148109              727     29,450    Sole           2,900    26,550
Reynolds RJ Tob Hldgs Inc       Common     76182k105           62,728  3,689,903    Sole         441,464            3,248,439
Rite Aid Corp.                  Common     767754104           33,292  5,918,660    Sole       1,096,020            4,822,640
Royal Dutch Pet  -NY Reg        Common     780257804              503      8,700    Sole           6,700                2,000
SLM Holding Corp Com            Common     78442a109            5,121    153,725    Sole         115,380               38,345
ST Paul Cos                     Common     792860108           34,829  1,020,622    Sole         210,972              809,650
Safeco Corp                     Common     786429100           17,089    643,365    Sole         291,620              351,745
Santa Fe Intl Corp              Common     G7805C108           18,491    499,750    Sole           1,000     9,150    489,600
Schering-Plough                 Common     806605101              282      7,600    Sole           7,600
Sea Containers Ltd.             Common     811371707              478     21,600    Sole           2,100    19,500
Stolt Comex Seaway              Common     L8873e103              480     34,250    Sole           3,300    30,950
Summit Bancorp                  Common     866005101            3,884    147,960    Sole          99,590               48,370
Suntrust Banks Inc              Common     867914103            9,272    160,550    Sole          81,960               78,590
Target Corp                     Common     87612E106           18,803    251,550    Sole         168,350               83,200
Tenet Healthcare Corp           Common     88033G100          199,037  8,560,712    Sole       1,188,667            7,372,045
Texaco Inc                      Common     881694103          145,443  2,705,915    Sole         375,910            2,330,005
Texas Instruments Inc           Common     882508104              448      2,800    Sole           1,600                1,200
Theragenics Corp.               Common     883375107              579     43,300    Sole           4,200    39,100
Tidewater Inc                   Common     886423102           12,105    380,515    Sole          97,615              282,900
Torchmark Corp                  Common     891027104            1,827     79,010    Sole          49,330               29,680
Toys R Us Inc                   Common     892335100           75,206  5,077,226    Sole         398,725            4,678,501
Trans World Entertainment       Common     89336Q100              462     46,200    Sole           4,500    41,700
TransOcean Sedco Forex Inc      Common     G90078109          100,425  1,957,120    Sole         210,690            1,746,430
U S Bancorp                     Common     902973106            1,950     89,121    Sole          85,821                3,300
US Tobacco Inc.                 Common     902911106          115,398  7,385,485    Sole         874,820            6,510,665
Unilever N V  NY Shares         Common     904784709            8,222    170,837    Sole         129,296               41,541
Universal Corp/Va               Common     913456109           42,454  2,818,495    Sole         370,415            2,448,080
WMS Industries Inc.             Common     929297109              442     44,800    Sole           4,400    40,400
Wachovia Corp                   Common     929771103            1,102     16,318    Sole                               16,318
Wal-Mart Stores                 Common     931142103            1,832     32,430    Sole          10,030               22,400
Washington Mutual Inc           Common     939322103           27,617  1,042,166    Sole         679,721              362,445
Waste Management Inc            Common     94106L109           49,113  3,588,181    Sole         454,891            3,133,290
Weatherford Intl Corp           Common     947074100              304      5,200    Sole           5,200
</TABLE>


<PAGE>

<TABLE>
<CAPTION>

                                                      Dreman Value Management, LLC
                                                                FORM 13F
                                                             March 31, 2000

                                 Title                                                             Voting Authority
                                  of                      Market                 Investment
             Name of Issuer      Class      CUSIP    Value (x$1,000)   Quantity  Discretion     Sole       Share      None
             --------------      -----      -----    ---------------   --------  ----------     ----       -----      ----
<S>                           <C>         <C>              <C>           <C>     <C>            <C>      <C>        <C>
Webb (Del E) Corp               Common     947423109              474     32,000    Sole           3,100    28,900
Webster Finl Corp Waterbury     Common     947890109              301     13,100    Sole           1,300    11,800
Wells Fargo & Co (NEW)          Common     949746101           46,002  1,128,889    Sole         678,700              450,189
                                                                       ---------
           Total Common Stocks                                         4,224,590

MUTUAL FUNDS
- ------------
Amer Century Quant Eq Gld / Benham Equity  081866105               82     18,624    Sole          18,624
Heitman Sec Tr                             423079201              765     95,448    Sole          95,448
Kemper Dreman Contrarian Fund              48840B108              882     55,571    Sole                               55,571
Kemper Dreman High Return Fund             48840B504              752     29,108    Sole                               29,108
Pvt Banking Aggr. Gr. Str. Alloc. Fund     997443106              453     20,534    Sole          20,534
Smith Barney Muni BD Fund                  831805304            1,840    144,003    Sole                              144,003
Vanguard/Windsor Fund                      922018106              271     17,942    Sole                               17,942
Wilmington Trust Mutual Fund               92934R462              222      5,688    Sole           5,688
                                                                  ---
          Total Mutual Funds                                    5,268

UNSUPERVISED ASSETS
- -------------------
Time Warner Inc                 Common     887315109           23,826    238,256    Sole                              238,256
                                                               ------
        Total Unsupervised Assets                              23,826


GRAND TOTAL                                                 4,253,684
                                                     =================

</TABLE>


<PAGE>
                              Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:           NONE

Form 13F Information Table Entry Total:      155

Form 13F Information Table Value Total:     $4,253,684
                                           (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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