DOLLINS SYMONS MANAGEMENT INC
13F-HR, 1999-05-14
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						UNITED STATES
					SECURITIES AND EXCHANGE COMISSION
					   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:		Dollins Symons Management, Inc.
Address:	250 Mt. Lebanon Blvd, Suite 301
		Pittsburgh, PA 15234

13F File Number: 28-

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:		Colin Symons
Title:		Executive Vice President
Phone:		412-344-7690
Signature, Place, and Date of Signing:

Colin Symons	Pittsburgh, PA	May 14, 1999

Report Type (Check only one.):

[ X] 13F HOLDINGS REPORT.

[  ] 13F NOTICE.

[  ] 13F COMBINATION REPORT.

List of Other Mangagers Reporting for this Manager:

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>

				FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:	0

Form 13F Information Table Entry Total:	72

Form 13F Information Table Value Total: $110

List Of Other Included Managers:

<PAGE>

<TABLE>	<C>	<C>
					FORM 13F INFORMATION TABLE
			Value	Shares/	SH/	Investment	Other		Voting Authority	
Name of Issuer	Class	CUSIP	(x$1000)	PRN Amt	PRN	Discretion	Managers	Sole	Shared	None
APPLE COMPUTER	COM	037833100	4210	117155	SH	SOLE		85855	0	31300
AIRBORNE FREIGHT	COM	009266107	5643	182020	SH	SOLE		142195	0	39825
AMBAC FINANCIAL	COM	023139108	664	12300	SH	SOLE		12000	0	300
AGCO CORP	COM	001084102	94	14420	SH	SOLE		14420	0	0
ALASKA AIR	COM	011659109	934	19670	SH	SOLE		8880	0	10790
ALLIANT TECH	COM	018804104	1810	23300	SH	SOLE		18900	0	4400
AMERICAN WEST AIR	COM	023657208	710	37225	SH	SOLE		28625	0	8600
BURLINGTON COAT	COM	121579106	3077	261875	SH	SOLE		196135	0	65740
BUCKEYE TECH	COM	118255108	627	44780	SH	SOLE		38580	0	6200
BEAR STEARNS	COM	073902108	2271	50810	SH	SOLE		33600	0	17210
BURLINGTON INDS	COM	121693105	823	124250	SH	SOLE		124250	0	0
BORG WARNER	COM	099724106	2281	47710	SH	SOLE		38085	0	9625
CONTINENTAL AIR	COM	210795308	4643	122175	SH	SOLE		91335	0	30840
CELLSTAR	COM	150925105	1615	155705	SH	SOLE		136005	0	19700
COMAIR HLDGS	COM	199789108	884	37402	SH	SOLE		36802	0	600
COLTEC	COM	196879100	316	17400	SH	SOLE		9400	0	8000
CREATIVE TECH	COM	Y1775U107	2518	220170	SH	SOLE		175870	0	44300
CENTEX	COM	152312104	1389	41630	SH	SOLE		32430	0	9200
DELTA AIR	COM	247361108	4529	65160	SH	SOLE		50930	0	14230
DILLARDS	COM	254067101	214	8450	SH	SOLE		4100	0	4350
DELPHI FINL GRP	COM	247131105	350	10325	SH	SOLE		6986	0	3339
D R HORTON INC	COM	23331A109	767	45805	SH	SOLE		39555	0	6250
DONALDSON LUFKIN JEN	COM	257661108	246	3525	SH	SOLE		3025	0	500
ECI TELECOM	COM	268258100	1892	54065	SH	SOLE		42615	0	11450
FORD CO	COM	345370100	1174	20715	SH	SOLE		18115	0	2600
FIRST AMERICA FINL	COM	318522307	1616	102222	SH	SOLE		82222	0	20000
FURNITURE BRANDS	COM	360921100	1437	64960	SH	SOLE		43035	0	21925
FDX CORP	COM	31304N107	264	2840	SH	SOLE		2640	0	200
FOODMAKER INC	COM	344839204	337	13200	SH	SOLE		500	0	12700
FEDERAL MOGUL	COM	313549107	2284	53425	SH	SOLE		35250	0	18175
FOOTSTAR	COM	344912100	2548	79625	SH	SOLE		67225	0	12400
GULSTREAM AIR	COM	402734107	6573	151545	SH	SOLE		114620	0	36925
GENERAL MOTORS	COM	370442105	848	9745	SH	SOLE		8645	0	1100
IBP INC	COM	449223106	359	19300	SH	SOLE		19300	0	0
INGERSOLL RAND	COM	456866102	368	7425	SH	SOLE		7425	0	0
K MART	COM	482584109	1457	86675	SH	SOLE		77700	0	8975
KING WORLD	COM	495667107	2652	86770	SH	SOLE		56270	0	30500
LEHMAN BROS	COM	524908100	4635	77580	SH	SOLE		63655	0	13925
LITTON INDS	COM	538021106	993	17100	SH	SOLE		14180	0	2920
MOHAWK INDS	COM	608190104	2089	69620	SH	SOLE		37370	0	32250
MUELLER INDS	COM	624756102	715	31960	SH	SOLE		25960	0	6000
MASCOTECH	COM	574670105	394	25450	SH	SOLE		19850	0	5600
NAVISTAR	COM	63934E108	9843	244935	SH	SOLE		184935	0	60000
NACCO INDS	COM	629579103	2223	30020	SH	SOLE		22120	0	7900
NL INDS	COM	629156407	213	23673	SH	SOLE		13873	0	9800
NEWPORT NEWS	COM	652228107	934	29475	SH	SOLE		16175	0	13300
NPC INTL	COM	629360306	216	13800	SH	SOLE		10800	0	3000
NVR INC	COM	62944T105	2108	50050	SH	SOLE		50050	0	0
OUTBACK STEAKHSE	COM	689899102	632	19300	SH	SOLE		19000	0	300
PACCAR INC	COM	693718108	585	14200	SH	SOLE		7400	0	6800
PACIFICARE HEALTH B	COM	695112201	682	9995	SH	SOLE		9995	0	0
PMI GROUP	COM	69344M101	222	4790	SH	SOLE		1990	0	2800
EVEREST REINS	COM	299808105	374	11985	SH	SOLE		2485	0	9500
ROSS STORES	COM	778296103	1018	23230	SH	SOLE		20555	0	2675
RYAN HOMES	COM	783519101	741	61400	SH	SOLE		51600	0	9800
SHAW INDUSTRIES	COM	820286102	1147	62005	SH	SOLE		53030	0	8975
ANCHOR GAMING	COM	033037102	674	15405	SH	SOLE		10935	0	4470
SYNOPSYS	COM	871607107	250	4650	SH	SOLE		3750	0	900
SIMON PROPERTY	COM	828806109	244	8899	SH	SOLE		8899	0	0
STORAGE TECH	COM	862111200	695	24940	SH	SOLE		24940	0	0
SYMANTEC	COM	871503108	183	10780	SH	SOLE		8880	0	1900
LEARNING CO	COM	522008101	719	24800	SH	SOLE		17600	0	7200
TOLL BROS	COM	889478103	516	28455	SH	SOLE		22555	0	5900
TOMMY HILFIGER	COM	G8915Z102	2704	39255	SH	SOLE		34555	0	4700
TEXAS INDS	COM	882491103	1434	57795	SH	SOLE		39945	0	17850
UAL CORP	COM	902549500	220	2820	SH	SOLE		1995	0	825
US HOME CORP	COM	911920106	832	25500	SH	SOLE		25500	0	0
USG CORP	COM	903293405	4660	90700	SH	SOLE		66100	0	24600
VALASSIS COMM	COM	918866104	1595	30815	SH	SOLE		16540	0	14275
VERITAS DGC INC	COM	92343P107	400	28095	SH	SOLE		23545	0	4550
YELLOW CORP	COM	985509108	429	24675	SH	SOLE		8025	0	16650
ZALE CORP	COM	988858106	463	13550	SH	SOLE		13550	0	0
</TABLE>


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