UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Quarter Ended: March 31, 1999
Institutional Investment Manager Filing this Report:
Name:Fuller & Thaler Asset Management, Inc.
Address:411 Borel
Suite 402
San Mateo, CA 94402
13F File Number:
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 considerd
integral parts of this form.
Person Singing this Report on Behalf of Reporting Manager:
Name:Qiao Wen
Title:Quantitative Analyst
Phone:650-572-8334
Signature, Place, and Date of Signing:
Qiao WenSan Mateo, California, May 7, 1999
Report Type(Eheck only one.):
[x]13F Holdings Report
[ ]13F Notice
[ ]13F Combination Report
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:None
Form 13F Information Table Entry Total:99
Form 13F Information Table Value Total:$476,889,000
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<TABLE> <C> <C>
NAME OF ISSUER TITTLE CUSIP VALUE SH/PRN SH/PINVSTMT OTHER VOTING AUTHORITY
OF CLASS (*$1000) AMT DSCRETN MANAGER SOLE NONE
ABAXIS INC COM NPV 002567105 18 9,300 SH SOLE 9,300
ALLERGAN INC COM USD.01 01849010213,454 153,100 SH DEFINED 120,900 32,200
ARGOSY GAMING CORP COM USD.01 040228108 20 3,700 SH SOLE 3,700
ACCLAIM ENMNT INC COM USD.02 004325205 5,253 587,700 SH DEFINED 373,300 214,400
ALDILA INC COM USD.01 014384101 1,634 871,700 SH DEFINED 573,800 297,900
AMERICAN MANAGEMENT SYSTEMSCOM USD.01 027352103 9,033 264,700 SH DEFINED 210,300 54,400
ANNTAYLOR STORES CORP COM USD.001 036115103 9,774 221,200 SH DEFINED 174,300 46,900
SMITH (A O) CORP COM USD1 831865209 3,012 158,550 SH DEFINED 104,450 54,100
ASARCO INC COM NPV 043413103 2,303 166,700 SH DEFINED 112,200 54,500
AVADO BRANDS INC COM USD.01 05336P108 1,920 323,300 SH DEFINED 232,500 90,800
BEST BUY CO INC COM USD.1 08651610124,034 462,200 SH DEFINED 361,500 100,700
BE AEROSPACE INC COM USD.01 073302101 845 57,300 SH DEFINED 41,100 16,200
BEVERLY ENTERPRISES COM USD.1 087851309 1,109 216,300 SH DEFINED 159,900 56,400
BELL & HOWELL COMPANY COM USD.01 077852101 6,314 215,400 SH DEFINED 168,800 46,600
BALL CORP COM NPV 058498106 7,796 166,100 SH DEFINED 130,300 35,800
BELCO OIL & GAS CORP COM USD.01 077410108 21 3,500 SH SOLE 3,500
BURLINGTON INDS INC CL A COM USD 121693105 2,117 319,600 SH DEFINED 220,300 99,300
CARRIER ACCESS CORP COM USD.001 14446010211,404 147,500 SH DEFINED 120,400 27,100
CONCURRENT COMPUTER CP COM USD.01 206710204 5,5761 ,393,90 SH DEFINED 896,800 497,100
CORPORATE EXPRESS INC COM USD.0002 219888104 1,345 259,200 SH DEFINED 144,000 115,200
COMPUTER NETWORK TECH CORP COM USD.01 20492510114,209 881,200 SH DEFINED 548,100 333,100
CNET INC COM USD.0001 125945105 7,140 77,500 SH DEFINED 62,200 15,300
CONEXANT SYSTEMS INC COM NPV 207142100 8,431 304,500 SH DEFINED 247,100 57,400
COMPUWARE CORP COM USD.01 205638109 6,530 273,500 SH DEFINED 221,800 51,700
CIRRUS LOGIC INC COM NPV 172755100 2,751 431,500 SH DEFINED 271,800 159,700
CHESAPEAKE CORP COM USD1 165159104 3,404 125,500 SH DEFINED 83,000 42,500
CENTEX CORP COM USD.25 152312104 4,646 139,200 SH DEFINED 108,600 30,600
DELPHI FINANCIAL GRP -CL ACL A COM USD.0247131105 3,719 109,800 SH DEFINED 88,700 21,100
DIGI INTERNATIONAL INC COM USD.01 253798102 1,510 223,700 SH DEFINED 104,000 119,700
DARDEN RESTAURANTS INC COM NPV 237194105 8,074 391,470 SH DEFINED 260,700 130,770
ENGELHARD CORP COM USD1 292845104 3,335 196,900 SH DEFINED 125,500 71,400
EEX CORP COM NPV 26842V207 1,350 276,864 SH DEFINED 165,032 111,832
CALLAWAY GOLF CO COM USD.01 131193104 3,311 325,000 SH DEFINED 215,800 109,200
ENESCO GROUP INC COM USD.25 VTG292973104 2,464 136,400 SH DEFINED 92,100 44,300
FURON CO COM USD.2 361106107 19 1,500 SH SOLE 1,500
FLEETWOOD ENTERPRISES COM USD1 339099103 5,350 186,900 SH DEFINED 148,200 38,700
NAVIGANT INTERNATIONAL INC COM USD.001 63935R108 16 3,000 SH SOLE 3,000
FOAMEX INTERNATIONAL INC COM USD.01 344123104 2,640 469,300 SH DEFINED 300,200 169,100
FOSSIL INC COM USD.01 349882100 8,860 297,200 SH DEFINED 235,300 61,900
FOOTSTAR INC COM USD.01 344912100 4,394 137,300 SH DEFINED 94,300 43,000
GADZOOKS INC COM USD.01 362553109 3,141 422,300 SH DEFINED 268,700 153,600
GENERAL INSTRUMENT CORP COM USD1 370120107 8,951 295,300 SH DEFINED 235,900 59,400
GALILEO INTERNATIONAL INC COM USD.01 363547100 6,279 129,800 SH DEFINED 105,200 24,600
GLOBAL DIRECTMAIL CORP COM USD.01 379321102 5,447 325,200 SH DEFINED 258,600 66,600
HCIA INC COM USD.01 403908106 1,904 423,100 SH DEFINED 296,500 126,600
IDEC PHARMACEUTICALS CORP COM NPV 44937010511,811 229,900 SH DEFINED 186,400 43,500
INTEGRATED DEVICE TECH INC COM NPV 458118106 2,840 525,400 SH DEFINED 400,600 124,800
IN FOCUS SYSTEMS INC COM NPV 452919103 31 3,500 SH SOLE 3,500
INTERVOICE INC COM NPV 461142101 5,873 533,900 SH DEFINED 325,300 208,600
BAKER (J) INC COM USD.5 057232100 16 4,200 SH SOLE 4,200
HUNT (JB) TRANSPRT SVCS INCCOM USD.01 445658107 5,924 282,100 SH DEFINED 215,500 66,600
LANDSTAR SYSTEM INC COM USD.01 515098101 338 10,200 SH DEFINED 5,600 4,600
LIMITED INC COM USD.5 532716107 5,345 134,900 SH DEFINED 89,000 45,900
LEXMARK INTL GRP INC -CL ACL A COM USD.052977110713,626 121,800 SH DEFINED 97,300 24,500
MEDPARTNERS INC COM USD.001 58503X107 2,554 537,700 SH DEFINED 367,800 169,900
MESA AIR GROUP INC COM NPV 590479101 2,762 441,900 SH DEFINED 307,700 134,200
METATEC CORP COM USD.1 591398102 6 1,300 SH SOLE 1,300
MONDAVI ROBERT CORP -CL A CL A COM NPV 609200100 6,049 169,200 SH DEFINED 133,400 35,800
MOSAIX INC COM USD.01 619454101 2,993 357,400 SH DEFINED 235,000 122,400
MOTIVEPOWER INDUSTRIES INC COM USD.01 61980K101 8,565 340,900 SH DEFINED 266,900 74,000
MICRO WAREHOUSE INC COM USD.01 59501B105 4,829 299,500 SH DEFINED 237,200 62,300
MIDWAY GAMES INC COM USD.01 598148104 2,402 276,500 SH DEFINED 184,100 92,400
MYLEX CORP COM USD.01 628546103 3,535 543,800 SH DEFINED 441,200 102,600
OPTICAL COATING LAB INC COM USD.01 68382910516,718 348,300 SH DEFINED 268,600 79,700
ORTHOLOGIC CORP COM USD.0005 68750J107 18 6,000 SH SOLE 6,000
PAUL HARRIS STORES COM NPV 703555201 330 44,700 SH SOLE 44,700
PIER 1 IMPORTS INC/DE COM USD1 720279108 2,599 319,900 SH DEFINED 202,900 117,000
PLAYERS INTERNATIONAL INC COM USD.005 727903106 3,564 570,300 SH DEFINED 467,900 102,400
CHILDRENS PLACE RETAIL STRSCOM USD.1 168905107 40 1,500 SH SOLE 1,500
PMI GROUP INC COM USD.01 69344M101 2,991 64,500 SH DEFINED 43,300 21,200
PROGRESS SOFTWARE CORP COM USD.01 74331210011,138 326,400 SH DEFINED 258,950 67,450
PRECISION RESPONSE CORP COM USD.01 740314109 1,296 398,800 SH DEFINED 271,500 127,300
PROJECT SOFTWARE & DEV INC COM USD.01 74339P101 4,361 178,000 SH DEFINED 140,200 37,800
PHOENIX INVESTMENT PARTNERSCOM USD.01 719085102 3,892 451,200 SH DEFINED 299,700 151,500
QLOGIC CORP COM USD.1 74727710117,432 259,700 SH DEFINED 214,400 45,300
RATIONAL SOFTWARE CORP COM USD.01 75409P202 6,918 258,000 SH DEFINED 173,800 84,200
RF MICRO DEVICES INC COM NPV 74994110022,314 233,200 SH DEFINED 185,500 47,700
ROSS STORES INC COM USD.01 778296103 4,193 95,700 SH DEFINED 66,600 29,100
REX STORES CORP COM USD.01 761624105 3,224 278,800 SH DEFINED 182,800 96,000
RAYONIER INC COM NPV 754907103 2,772 69,200 SH DEFINED 46,700 22,500
SUCCESSORIES INC COM USD.01 864591102 754 301,600 SH DEFINED 158,900 142,700
SEMTECH CORP COM USD.01 816850101 6,197 194,400 SH DEFINED 158,300 36,100
SUNDSTRAND CORP COM USD1 867323107 7,006 100,800 SH DEFINED 79,700 21,100
SODAK GAMING INC COM USD.001 833777105 9 1,000 SH SOLE 1,000
STANDARD PRODUCTS CO COM USD1 853836104 3,521 216,700 SH DEFINED 132,800 83,900
SUPERIOR INDUSTRIES INTL COM USD.5 868168105 2,885 124,100 SH DEFINED 82,500 41,600
SYBASE INC COM USD.001 871130100 5,157 649,700 SH DEFINED 525,500 124,200
TACO CABANA -CL A CL A COM USD.0873425102 28 3,200 SH SOLE 3,200
THREE-FIVE SYSTEMS INC COM USD.01 88554L108 1,972 228,600 SH DEFINED 153,200 75,400
TIG HOLDINGS INC COM NPV 872469101 2,013 123,400 SH DEFINED 88,800 34,600
TJX COMPANIES INC COM USD1 87254010912,291 361,500 SH DEFINED 286,100 75,400
TODD AO CORP -CL A CL A COM USD.2888896107 22 2,800 SH SOLE 2,800
TUPPERWARE CORP COM USD.01 899896104 2,615 145,300 SH DEFINED 92,400 52,900
TWEETER HOME ENTMT GROUP INCOM USD.01 901167106 39 1,200 SH SOLE 1,200
VF CORP COM NPV 918204108 2,945 62,000 SH DEFINED 35,500 26,500
WATKINS-JOHNSON COM NPV 942486101 20 900 SH SOLE 900
XIRCOM INC COM USD.001 983922105 4,620 183,900 SH DEFINED 150,600 33,300
ZALE CORP COM USD.01 988858106 8,256 241,500 SH DEFINED 191,000 50,500
QUIKSILVER INC COM USD.01 74838C106 8,382 198,400 SH DEFINED 158,200 40,200
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