STEINBERG GLOBAL ASSET MANAGEMENT LTD
13F-HR, 2000-04-27
Previous: CALAMOS ADVISORS TRUST/IL, 497J, 2000-04-27
Next: STATE STREET RESEARCH INSTITUTIONAL FUNDS, 24F-2NT, 2000-04-27



UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, DC 20549

FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 3/31/00

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:  Steinberg Global Asset Management, Ltd.
Address:  50 Rowes Wharf, Suite 420
	  Boston, MA 02110

Form 13F File Number:  28-7494

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:	Richard D. Steinberg
Title:	President
Phone:	(561) 750-0800

Signature, Place, and date of Signing:

Richard D. Steinberg 		Boca Raton, FL		1/31/00

Report Type (Check only one):

[X]	13F Holdings Report
[   ]	13F Notice
[   ]	13F Combination Report

List of other Managers Reporting for this Manager:

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

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: 	 0
Form 13F Information Table Entry Total:	170
Form 13F Information Table Value Total:	165,682 (Thousands)
List of Other Included Managers:



<TABLE>
<C><C>

Column 1                   Column Column 3     Column 4          ColumnColumn 6Column 7     Column 8

                           Title of              Value   Shrs or Sh/PutInvestme Other       Voting Authority
Name of Issuer              Class        CUSIP  (x$1000) Prn Amt PrnCalDiscretiManagerSole  SharedNone
A T & T                      COM        1957109   2109      37445Sh      sole            300      37145
AFLAC Inc.                   COM        1055102   351        7700Sh      sole                      7700
Alcoa Inc.                   COM       13817101   848       12073Sh      sole                     12073
Allstate Corp.               COM       20002101   560       23504Sh      sole            400      23104
AmCent: 20th Ultra           COM     025083882    543       11064Sh      sole                     11064
America Online               COM     02364J104    1138      16879Sh      sole                     16879
American Express Co          COM       25816109   1164       7813Sh      sole                     7813.1
American General Cap LLC Se  PFD     02637F301    282       12000Sh      sole                     12000
American Home Prod.          COM       26609107   852       15850Sh      sole                     15850
American Int'l Group         COM       26874107   544        4966Sh      sole                     4965.7
Amex Diamonds                COM      252787106   -547      -5000Sh      sole                     -5000
Amsouth Bancorp              COM     032165102    172       11491Sh      sole                     11491
Applied Materials            COM     038222105    245        2600Sh      sole                      2600
Arcadia Financial Ltd.       COM     039101100     60       12000Sh      sole                     12000
Archer Daniels Midland       COM       39483102   224       21716Sh      sole            771      20945
Automatic Data Processing    COM       53015103   579       11993Sh      sole                     11993
Baker Hughes Inc.            COM       57224107   398       13150Sh      sole            600      12550
Bank of America Corporation  COM     060505104    310        5914Sh      sole                      5914
Bank Of New York             COM       64057102   617       14848Sh      sole                     14848
Bell Atlantic Corp           COM       77853109   785       12850Sh      sole                     12850
Bell South Corp.             COM       79860102   1038      22154Sh      sole                     22154
Berkshire Hathaway Cl A      COM       84670108   972          17Sh      sole                        17
Berkshire Hathaway Cl B      COM       84670207   865         475Sh      sole                       475
Biomet Inc.                  COM       90131100   399       10956Sh      sole                     10956
Black & Decker               COM       91797100   431       11475Sh      sole                     11475
Boeing                       COM       97023105   621       16430Sh      sole                     16430
BP Amoco                     COM       55622104   707       13282Sh      sole                     13282
Brandywine Fund                      10532D107    360        7104Sh      sole                     7103.7
Bristol Myers Squibb         COM      110122108   1618      27897Sh      sole                     27897
Bristol Retail Solutions     COM      110202108    13       20000Sh      sole                     20000
Burlington Northern Santa F  COM     12189T104    215        9450Sh      sole                      9450
Caterpillar Inc.             COM      149123101   948       24040Sh      sole                     24040
Cendant Corp                 COM      151313103   199       10650Sh      sole            800       9850
Century Business Services    COM      156490104   225       77465Sh      sole                     77465
Chase Manhattan              COM     16161A108    418        4793Sh      sole                      4793
Chevron Corp                 COM      166751107   205        2214Sh      sole                      2214
Cisco Systems                COM     17275R102    5202      67286Sh      sole                     67286
Citigroup Inc.               COM      172967101   1226      20478Sh      sole            150      20328
Coca Cola                    COM      191216100   997       21251Sh      sole            150      21101
Colonial Intmkt Inc. Tr      COM      195762109    82       10190Sh      sole                     10190
Compaq Computer              COM      204493100   387       14459Sh      sole            250      14209
Daimler Chrysler             COM    D16668R123    348        5314Sh      sole                      5314
Dana Corp.                   COM      235811106   476       16900Sh      sole                     16900
Deere & Co                   COM     2441999105   317        8345Sh      sole                      8345
Dell Computer Corp           COM      247025109   1700      31517Sh      sole            200      31317
Dell Computer Corp           COM      247025109   -216      -4000Sh      sole                     -4000
Delphi Automotive Systems C  COM      247126105   578       36150Sh      sole                     36150
Disney (Walt) Corp.          COM      254687106   1756      42560Sh      sole            500      42060
Dover Downs Corp.            COM      260086103   134       10500Sh      sole                     10500
Dreyfus Short Inter. Mun. Bd.         261918106   985       76920Sh      sole                     76920
Dynegy Class A               COM     26816Q101    762       12150Sh      sole                     12150
Eastern Enterprises          COM     27637F100    407        6800Sh      sole                      6800
EMC Corp                     COM      268648102   600        4763Sh      sole                      4763
Equity Inv Fund Ser B                 294711346    23       28335Sh      sole                     28335
Exxon Mobil Corp             COM     30231G102    3634      46588Sh      sole            900      45688
Federal Home Loan Mortgage   COM      313400301   300        6800Sh      sole                      6800
Fedex Corp.                  COM     31304N107    927       23880Sh      sole                     23880
Fidelity Fund                         316153105   654       14879Sh      sole                     14879
First Australia Prime Fund   COM      318653102    59       13028Sh      sole                     13028
First Sentinel Bancorp       COM     33640T103    125       16249Sh      sole                     16249
First Third Bancorp          COM      316773100   903       14337Sh      sole                     14337
First Union                  COM      337358105   1496      40174Sh      sole                     40174
Firstar Corp                 COM     33763V109    240       10446Sh      sole                     10446
Fleet Boston Corp.           COM      338915101   582       15938Sh      sole                     15938
Florida Progress             COM      341109106   257        5601Sh      sole                      5601
FPL Group                    COM      302571104   516       11200Sh      sole            500      10700
Franco Nevada Mining Corp    COM      351860101   128       12110Sh      sole                     12110
Franklin TF Tr Hi Yield               354723702   619       58568Sh      sole                     58568
Fulton Financial Corp.       COM      360271100   1238      58779Sh      sole                     58779
General Electric             COM      369604103   7911      50831Sh      sole            250      50581
General Electric             COM      369604103   -31        -200Sh      sole                      -200
General Motors               COM      370442105   1165      14065Sh      sole                     14065
General Motors Cl H          COM      370442832   1236       9930Sh      sole                      9930
Gillette Co                  COM      375766102   1911      50701Sh      sole                     50701
Globalstar Telecommunicatio  COM     G3930H104    1294      93275Sh      sole            300      92975
GTE Corp                     COM      362320103   527        7427Sh      sole                     7427.5
Halliburton Co.              COM      406216101   308        7500Sh      sole                      7500
Hannaford Brothers           COM      410550107   996       13500Sh      sole                     13500
Hertz                        COM      428040109   1217      35725Sh      sole            200      35525
Hewlett Packard              COM      411902109   3179      23980Sh      sole                     23980
Home Depot                   COM      437076102   2465      38215Sh      sole                     38215
Homefed Corp                 COM      437390109    12       18078Sh      sole                     18078
Honeywell Inc.               COM      438506107   3894      73900Sh      sole                     73900
IBM                          COM      459200101   4723      39939Sh      sole                     39939
Innovative Clinical Solutio  COM     45767E107     27      116000Sh      sole                     116000
Intel Corp.                  COM      458140100   7174      54377Sh      sole                     54377
IPC Holdings Ltd.            COM     G4933P101    132       11000Sh      sole                     11000
Isis Pharmaceuticals         COM      464330109   269       19100Sh      sole                     19100
J.P. Morgan                  COM      616880100   416        3154Sh      sole                      3154
Janus Fund                            471023101   507       10412Sh      sole                     10412
Janus Worldwide Fund                  471023309   244        2850Sh      sole                     2850.2
Johnson & Johnson            COM      478160104   1860      26477Sh      sole            150      26327
LM Ericsson                  COM      294821400   2756      29378Sh      sole                     29378
Lehman Bros Hldgs Cap Tr II  PFD     52518G209    286       12600Sh      sole                     12600
Lilly, Eli & Co              COM      532457108   448        7156Sh      sole                      7156
Loch Harris Inc              COM      539578203    15       15000Sh      sole                     15000
Loral Space & Communication  COM     G56462107    858       84250Sh      sole            600      83650
Lucent Technologies Inc.     COM      549463107   4572      73737Sh      sole            600      73137
Luxtec Corp                  COM      550687305    38       15250Sh      sole                     15250
Markel Corp.                 COM      570535104   400        2750Sh      sole                      2750
Marsh & McLennan             COM      571748102   622        5640Sh      sole                      5640
McDonalds                    COM      580135101   1159      31022Sh      sole                     31022
MCI Capital I 8%             PFD     55267Y206    349       15500Sh      sole                     15500
MCI Worldcom Inc.            COM     55268B106    1962      43310Sh      sole                     43310
Media One Group              COM     58440J104    215        2651Sh      sole                      2651
Merck & Co Inc.              COM      589331107   3231      52014Sh      sole                     52014
Merck & Co Inc.              COM      589331107    -6        -100Sh      sole                      -100
Merrill Lynch Sr Floating Rate Fun   59019R105     10       10000Sh      sole                     10000
MFS Charter Income Sh                 552727109    89       10801Sh      sole                     10801
Microsoft Corp               COM      594918104   3264      30721Sh      sole                     30721
Microsoft Corp               COM      594918104   -11        -100Sh      sole                      -100
Monsanto                     COM      611662107   500        9710Sh      sole                      9710
Motorola                     COM      620076109   836        5726Sh      sole                     5725.8
MSDW High Income Adv TrII Shs        61745P304     45       11931Sh      sole                     11931
Namibian Minerals Corp.      COM      629913104    53       10900Sh      sole                     10900
National City Corp           COM      635405103   232       11260Sh      sole                     11260
Neuromedical Systems Inc.    COM     64124H109     1        15200Sh      sole                     15200
Nokia Corp                   COM      654902204   4649      20941Sh      sole                     20941
Nortel Networks Corporation  COM      656569100   239        1896Sh      sole                      1896
Nuveen Mun. Advantage Fd.            67062H106    178       14221Sh      sole                     14221
Oracle Systems Corp.         COM     68389X105    777        9959Sh      sole                      9959
Paychex Inc.                 COM      704326107   629       12000Sh      sole                     12000
Peco Energy Company          COM      693304107   278        7526Sh      sole                     7526.5
Pepsico                      COM      713448108   998       28609Sh      sole                     28609
Pfizer Inc.                  COM      717081103   1338      36607Sh      sole                     36607
Photoelectron Corp           COM      719320103    75       21500Sh      sole                     21500
PICO Holdings Inc.           COM      693366205   296       26602Sh      sole            240      26362
Powertel Inc.                COM     73936C109    208        3000Sh      sole                      3000
Prison Realty Trust          COM     74264N105     51       16500Sh      sole                     16500
Proctor & Gamble             COM      742718109   630       11103Sh      sole                     11103
Qualcomm Inc.                COM      747525103   406        2720Sh      sole                      2720
Raytheon Cl A                COM      755111309   953       50666Sh      sole                     50666
Royal Bank of Scotland Pfd   PFD      780097887   241       11700Sh      sole                     11700
Royal Dutch                  COM      780257804   1426      24662Sh      sole                     24662
SBC Communications           COM     78387G103    1308      31040Sh      sole                     31040
Schering Plough Corp         COM      806605101  11241     301759Sh      sole                     301759
Schering Plough Corp         COM      806605101   -224      -6000Sh      sole                     -6000
Schwab S&P 500 Select                 808509855   368       15906Sh      sole                     15906
Scudder Growth & Income Fund          460965106   562       20949Sh      sole                     20949
Sears Roebuck Accep Corp 6.  PFD      812404309   239       11800Sh      sole                     11800
Sepracor Inc.                COM      817315104   1161      15950Sh      sole                     15950
Service Master Ltd P-ship    COM     81760N109    129       11444Sh      sole                     11444
St. Joe Corp.                COM      790148100   1219      42136Sh      sole            700      41436
State Street Boston          COM      857477103   291        3000Sh      sole                      3000
Strong Short Term Bond Fund          86335M106    155       16628Sh      sole                     16628
Strong Short Term Muni Bond Fund     86335R105    134       13888Sh      sole                     13888
Sun Microsystems             COM      866810104   575        6133Sh      sole                      6133
Telefonica S.A.              COM      879382208   473        6364Sh      sole                      6364
Temple Inland                COM      879868107   391        7850Sh      sole                      7850
Templeton Small Companies            88022L102    313       41921Sh      sole                     41921
Texaco Inc.                  COM      881694103   1690      31433Sh      sole                     31433
Texas Instruments            COM      882508104   6224      38900Sh      sole                     38900
Texas Pacific Land Trust     COM      882610108   684       17653Sh      sole            400      17253
Textron Inc.                 COM      883203101   461        7575Sh      sole                      7575
Thermo Electron              COM      883556102   619       30382Sh      sole                     30382
Time Warner Inc              COM      887315109   289        2888Sh      sole                      2888
Times Mirror Co              COM      887364107   451        4854Sh      sole                      4854
Tyco International           COM      902124106   1033      20601Sh      sole                     20601
U.S. West Communications In  COM     91273H101    232        3194Sh      sole                      3194
United Technologies          COM      913017109   1343      21261Sh      sole                     21261
Unocal Corp                  COM      915289102   922       30978Sh      sole            600      30378
Urocor Inc                   COM     91727P105     78       16000Sh      sole                     16000
Viacom Inc. Cl B             COM      925524308   812       15390Sh      sole                     15390
Vodafone Group PLC           COM     92857T107    705       12680Sh      sole                     12680
V-One Corporation            COM      918278102   385       71193Sh      sole           1000      70193
Walmart Stores               COM      931142103   1635      28943Sh      sole                     28943
Warner-Lambert Co            COM      934488107   1306      13365Sh      sole                     13365
Washington REIT              COM      939653101   298       19875Sh      sole                     19875
Werner Enterprises           COM      950755108   388       22808Sh      sole                     22808
Williams Companies           COM      969457100   1228      27945Sh      sole                     27945
Xerox Corp                   COM      984121103   1922      73921Sh      sole            200      73721
                                                165,682
</TABLE>



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission