MCKEE C S & CO INC
13F-HR, 1999-07-27
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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:			C.S. Mckee & Co., Inc.
Address:			One Gateway Center
			Pittsburgh, PA  15222

13F File Name:

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:	Susan A. Darragh
Title:	Treasurer and COO
Phone:	412-566-1234
Signature, Place and Date of signing:

Susan A. Darragh	Pittsburgh, Pennsylvania	June 29, 1999

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.
<PAGE>

FORM 13F SUMMARY PAGE

Report Summary:

Number of other Included Managers:		0

Form 13F Information Table Entry Total:189

Form 13F Information Table Value Total:	$1,261,569,985

List of Other Included Managers:

No.	13F File Number		Name

<PAGE>



<TABLE>		<C>			<C>
					FORM 13F INFORMATION TABLE

							INVSTMT	OTHER	VOTING AUTHORITY
ISSUER		CLASS	SECID	VALUE	SHARES	SH/PRN	PUT/CALL	DSCRETN	MGRS	SOLE	SHARED	NONE
ABBOTT LABS		COMMON	2824100	156588	3345	SH		SOLE		3345	0	0
ADVANCED INFO SERV	THB10(A	6008138	1210658	167200	SH		SOLE		167200	0	0
AETNA REAL ESTATE	UNIT L	8171100	10600	10600	SH		SOLE		10600	0	0
AIRBORNE FGHT CORP	COMMON	9266107	744000	24000	SH		SOLE		24000	0	0
AKZO NOBEL NV	NLG5	5458314	3523375	95150	SH		SOLE		95150	0	0
ALCAN ALUMINIUM LTD	COMMON	13716105	3617886	93124	SH		SOLE		93124	0	0
ALCATEL		EUR10	4216825	2784133	24215	SH		SOLE		24215	0	0
ALCOA INC		COMMON	13817101	21767594	528500	SH		SOLE		496000	25500	0
ALLIED ZURICH	ORD 25P	287579	2709360	201000	SH		SOLE		201000	0	0
ALPHARMA INC	CLASS A	20813101	2527700	64400	SH		SOLE		64400	0	0
AMADA CO LTD	JPY50	6022105	1196909	225000	SH		SOLE		225000	0	0
AMERICAN EXPRESS CO	COMMON	25816109	115984	985	SH		SOLE		985	0	0
AMERICAN HOME PRODS	COMMON	26609107	28912275	443100	SH		SOLE		415900	21350	0
AMERN STORES CO NEW	COMMON	30096101	10337250	313250	SH		SOLE		293900	15150	0
AMGEN INC		COMMON	31162100	266555	3560	SH		SOLE		3560	0	0
ANHEUSER BUSCH COS	COMMON	35229103	159862	2100	SH		SOLE		2100	0	0
ASIA PULP & PAPER	SPONSOR	04516V100	3050175	364200	SH		SOLE		364200	0	0
AUTOMATIC DATA PROC	COMMON	53015103	22059495	533160	SH		SOLE		500410	25750	0
AVIALL INC		COMMON	05366B102	2112650	136300	SH		SOLE		136300	0	0
AVID TECHNOLOGY INC	COMMON	05367P100	149962	8600	SH		SOLE		8600	0	0
BANK ONE CORPORATION	COMMON	06423A103	27283469	495500	SH		SOLE		465200	23750	0
BANKAMERICA CORP	COMMON	06605F102	18750938	265500	SH		SOLE		249250	12800	0
BAYER A G		SP ADR	72730302	299750	8000	SH		SOLE		8000	0	0
BAYER AG		ORD NPV	5069211	3185463	85650	SH		SOLE		85650	0	0
BECTON DICKINSON	COMMON	75887109	28817513	752170	SH		SOLE		705470	36700	0
BELL ATLANTIC CORP	COMMON	77853109	24683572	477554	SH		SOLE		448270	22962	0
BEST FOODS		COMMON	08658U101	167790	3570	SH		SOLE		3570	0	0
BIOGEN INC		COMMON	90597105	36442825	318800	SH		SOLE		299050	15500	0
BJS WHOLESALE CLUB	COMMON	05548J106	1536650	58400	SH		SOLE		58400	0	0
BOWNE & CO INC	COMMON	103043105	1222512	104600	SH		SOLE		104600	0	0
BRISTOL MYERS SQUIBB	COMMON	110122108	230850	3600	SH		SOLE		3600	0	0
BRIT AMER TOBACCO	ORD 25P	287580	3240288	389000	SH		SOLE		389000	0	0
BRITISH STEEL	ORD 50P	141147	1354292	656700	SH		SOLE		656700	0	0
BROWN&SHARPE MFG CO	CLASS A	115223109	1268575	263600	SH		SOLE		263600	0	0
CARLTON COMMUNCTNS	ORD 5P	341925	2989932	302887	SH		SOLE		302887	0	0
CATHAY PACIFIC AIR	HKD0.20	6179755	2166098	1886100	SH		SOLE		1886100	0	0
CDN IMPL BK COMMERCE	COMMON	136069101	3561234	92260	SH		SOLE		92260	0	0
CHEVRON CORPORATION	COMMON	166751107	11863212	133670	SH		SOLE		125370	6500	0
CIGNA CORP		COMMON	125509109	11126109	132750	SH		SOLE		124750	6350	0
CILCORP INC		COMMON	171794100	1879956	31300	SH		SOLE		31300	0	0
CIT GROUP INC	CLASS A	125577106	15531862	508200	SH		SOLE		476500	24700	0
CLAIRE S STORES INC	COMMON	179584107	2753425	91400	SH		SOLE		91400	0	0
CMAC INVT CORP	COMMON	125662106	1427400	36600	SH		SOLE		36600	0	0
COFLEXIP		FF10	4181741	1790110	25510	SH		SOLE		25510	0	0
COMMERZBANK A G	SP ADR	202597308	206353	6900	SH		SOLE		6900	0	0
COMMERZBANK AG	ORD NPV	4325538	3023285	101281	SH		SOLE		101281	0	0
COMPAQ COMPUTER CORP	COMMON	204493100	137841	4350	SH		SOLE		4350	0	0
COMPUTER ASSOC INTL	COMMON	204912109	22548830	634062	SH		SOLE		595187	30500	0
CREDIT SAISON CO	JPY50	6591809	1945664	88625	SH		SOLE		88625	0	0
CULLEN FROST BANKERS	COMMON	229899109	1203231	25100	SH		SOLE		25100	0	0
DAIMLERCHRYSLER AG	ORD NPV	5529027	2131852	24500	SH		SOLE		24500	0	0
DAYTON HUDSON CORP	COMMON	239753106	194545	2920	SH		SOLE		2920	0	0
DELPHI FINL GRP	CLASS A	247131105	1264486	37328	SH		SOLE		37328	0	0
DEN NORSKE BANK	NOK10	4263304	2488500	679610	SH		SOLE		679610	0	0
DIAGEO		ORD 28	237400	2960753	263517	SH		SOLE		263517	0	0
DIAMOND OFFSHORE DRL	COMMON	25271C102	1012000	32000	SH		SOLE		32000	0	0
DOLLAR THRIFTY AUTO	COMMON	256743105	3363750	195000	SH		SOLE		195000	0	0
ELAN PLC		ADR (1	284131208	3368925	48300	SH		SOLE		48300	0	0
EXXON CORP		COMMON	302290101	15202691	215450	SH		SOLE		202400	10250	0
FAIR ISAAC & CO INC	COMMON	303250104	1226769	33100	SH		SOLE		33100	0	0
FANNIE MAE		COMMON	313586109	130190	1880	SH		SOLE		1880	0	0
FDX CORP		COMMON	31304N107	130200	1400	SH		SOLE		1400	0	0
FERRO CORP		COMMON	315405100	950400	38400	SH		SOLE		38400	0	0
FIRST AMERN CORP TEN	COMMON	318900107	1080438	29300	SH		SOLE		29300	0	0
FIRST AMERN FINL	COMMON	318522307	859409	54350	SH		SOLE		54350	0	0
FIRST CONSULTING GRP	COMMON	31986R103	879287	79037	SH		SOLE		79037	0	0
FIRST UNION CORP	COMMON	337358105	20119219	376500	SH		SOLE		353550	18000	0
FORD MOTOR CO	COMMON	345370100	20968706	369900	SH		SOLE		347200	17800	0
FORT JAMES CORP	COMMON	347471104	15837412	499800	SH		SOLE		469150	24000	0
FOUNDATION HLTH SYS	CLASS A	350404109	180619	14820	SH		SOLE		14820	0	0
FPL GROUP INC	COMMON	302571104	9060488	170150	SH		SOLE		159650	8250	0
FRIEDMAN BLLNGS RMSY	CLASS A	358433100	650694	97300	SH		SOLE		97300	0	0
GALLAGHER ARTHR J&CO	COMMON	363576109	1476600	32100	SH		SOLE		32100	0	0
GAP INC		COMMON	364760108	42239435	627512	SH		SOLE		588888	30225	0
GENERAL ELEC CO	COMMON	369604103	36432684	329335	SH		SOLE		309285	15650	0
GENERAL MILLS INC	COMMON	370334104	27247838	360600	SH		SOLE		338400	17400	0
GENERAL MTRS CORP	COMMON	370442105	27070050	311150	SH		SOLE		292100	14950	0
GOLDEN WEST FINL	COMMON	381317106	12300400	128800	SH		SOLE		121100	6000	0
GPU INC		COMMON	36225X100	9354244	250700	SH		SOLE		235500	12050	0
GRUPO INDL DURANGO	ADR (2	4.00E+113	2758225	355900	SH		SOLE		355900	0	0
GUANGSHEN RY LTD	SP ADR	40065W107	1405125	249800	SH		SOLE		249800	0	0
GYMBOREE CORP	COMMON	403777105	678356	75900	SH		SOLE		75900	0	0
HALLIBURTON		COMMON	406216101	22314600	579600	SH		SOLE		544050	27850	0
HEINZ H J CO	COMMON	423074103	24075975	508200	SH		SOLE		477000	24500	0
HEWLETT PACKARD CO	COMMON	428236103	23405484	345150	SH		SOLE		324200	16350	0
HITACHI		JPY50	6429104	3850712	520000	SH		SOLE		520000	0	0
HONG KONG ELECTRIC	HKD1	6435327	726236	240000	SH		SOLE		240000	0	0
HONGKONG ELEC HLDGS	SP ADR	438580300	557153	183800	SH		SOLE		183800	0	0
HORACE MANN EDUCATRS	COMMON	440327104	1184881	51100	SH		SOLE		51100	0	0
HOUSEHOLD INTL INC	COMMON	441815107	11784938	258300	SH		SOLE		242600	12300	0
HSBC HLDGS		HKD10(H	6436502	2514804	80200	SH		SOLE		80200	0	0
HUANENG PWR INTL INC	SP ADR	443304100	1565156	157500	SH		SOLE		157500	0	0
IBM		COMMON	459200101	28413175	160300	SH		SOLE		150650	7500	0
INES CORPORATION	JPY50	6463016	1956387	149000	SH		SOLE		149000	0	0
INTEL CORP		COMMON	458140100	19123421	160870	SH		SOLE		151070	7700	0
IONICS CIRCUIT INC	PHP1	6459101	647030	2949700	SH		SOLE		2949700	0	0
ITO-YOKADO CO	JPY50	6467944	2444988	38000	SH		SOLE		38000	0	0
ITT INDS INC(IND)	COMMON	450911102	21992638	621700	SH		SOLE		583000	30350	0
JOHNSON & JOHNSON	COMMON	478160104	30757760	328960	SH		SOLE		308760	15850	0
KAO CORP		JPY50	6483809	1744363	79000	SH		SOLE		79000	0	0
KIMBERLY CLARK CORP	COMMON	494368103	143812	3000	SH		SOLE		3000	0	0
KLM		NLG5	4480255	2518897	89739	SH		SOLE		89739	0	0
KROGER CO		COMMON	501044101	1197500	20000	SH		SOLE		20000	0	0
LANDAMERICA FINL G	COMMON	514936103	623500	21500	SH		SOLE		21500	0	0
LANDS END INC	COMMON	515086106	2164063	62500	SH		SOLE		62500	0	0
LA-Z-BOY INC	COMMON	505336107	1811644	96300	SH		SOLE		96300	0	0
LEGG MASON INC	COMMON	524901105	971884	28850	SH		SOLE		28850	0	0
LEHMAN BROS HLDGS	COMMON	524908100	11788675	197300	SH		SOLE		185300	9400	0
LG ELECTRONICS INC	KRW5000	6375779	3102658	233556	SH		SOLE		233556	0	0
LOEWS CORP		COMMON	540424108	11875822	159140	SH		SOLE		149090	7750	0
MAF BANCORP INC	COMMON	55261R108	1244888	55950	SH		SOLE		55950	0	0
MERCK & CO INC	COMMON	589331107	201915	2520	SH		SOLE		2520	0	0
MERRILL LYNCH & CO	COMMON	590188108	185850	2100	SH		SOLE		2100	0	0
MILACRON INC	COMMON	598709103	1639575	104100	SH		SOLE		104100	0	0
MITSUI & CO		JPY50	6597302	399046	59000	SH		SOLE		59000	0	0
MITSUI & CO LTD	SP ADR	606827202	515288	3900	SH		SOLE		3900	0	0
MITSUI MARINE & FIRE	ADR(10	606839207	320654	6330	SH		SOLE		6330	0	0
MITSUI MARINE&FIRE	JPY50	6870122	1925187	380000	SH		SOLE		380000	0	0
MODIS PROF SVS	COMMON	607830106	1504375	166000	SH		SOLE		166000	0	0
MONTEDISON SPA	ITL1000	5046924	3052874	2945654	SH		SOLE		2945654	0	0
MORTON'S RESTAURANT	COMMON	619429103	1672450	107900	SH		SOLE		107900	0	0
MYLAN LABS INC	COMMON	628530107	21212617	773125	SH		SOLE		725075	37700	0
NESTLE SA		CHF10(R	4616696	4723452	2600	SH		SOLE		2600	0	0
NETWORKS ASSOC	COMMON	640938106	1003481	32700	SH		SOLE		32700	0	0
NEW JERSEY RES CORP	COMMON	646025106	761038	21400	SH		SOLE		21400	0	0
NINTENDO CO		JPY50	6639550	1717284	19900	SH		SOLE		19900	0	0
NOKIA (AB) OY	SER'K'	5444584	7238602	45000	SH		SOLE		45000	0	0
OCWEN FINL CORP	COMMON	675746101	1187925	134800	SH		SOLE		134800	0	0
ORACLE CORP		COMMON	68389X105	27062069	1026050	SH		SOLE		963600	48725	0
OWENS & MINOR INC	COMMON	690732102	1673662	165300	SH		SOLE		165300	0	0
PEOPLES HERITAGE FIN	COMMON	711147108	1371600	76200	SH		SOLE		76200	0	0
PERCEPTRON INC	COMMON	71361F100	89945	24600	SH		SOLE		24600	0	0
PERSONNEL GRP AMER	COMMON	715338109	1012719	140900	SH		SOLE		140900	0	0
PG&E CORP		COMMON	69331C108	145994	4700	SH		SOLE		4700	0	0
PHILIP MORRIS CO INC	COMMON	718154107	23343739	663410	SH		SOLE		619860	34050	0
PHILIPPINE LNG DIS	PHP5	6685661	3119222	118500	SH		SOLE		118500	0	0
PHILIPS ELEC(KON)	NLG10	4685209	3541642	43480	SH		SOLE		43480	0	0
PIONEER HI BRED INTL	COMMON	723686101	12754875	339000	SH		SOLE		318000	16500	0
PMI GROUP INC	COMMON	69344M101	1437625	31000	SH		SOLE		31000	0	0
PNC BANK CORP	COMMON	693475105	20860941	375450	SH		SOLE		352500	18000	0
POHANG IRON & STEEL	SP ADR	730450103	2148575	120200	SH		SOLE		120200	0	0
POHANG IRON&STEEL	KRW5000	6693233	761483	13700	SH		SOLE		13700	0	0
PPG INDUSTRIES INC	COMMON	693506107	133250	2600	SH		SOLE		2600	0	0
PROCTER & GAMBLE CO	COMMON	742718109	211055	2155	SH		SOLE		2155	0	0
PROFESSIONAL STAFF	SP ADR	74315R105	1755988	238100	SH		SOLE		238100	0	0
PROJECT SOFTWARE DEV	COMMON	74339P101	1494500	61000	SH		SOLE		61000	0	0
RAYTHEON COMPANY	CLASS A	755111309	23065350	399400	SH		SOLE		374600	19450	0
REPSOL SA (RG)	ESP500	4733227	2873740	55805	SH		SOLE		55805	0	0
REYNOLDS & REYNOLDS	CLASS A	761695105	1176100	61900	SH		SOLE		61900	0	0
RIO TINTO		ORD 10P	718875	1641124	118280	SH		SOLE		118280	0	0
RIO TINTO PLC	ADS (4	767204100	500500	9100	SH		SOLE		9100	0	0
RTI INTL METALS INC	COMMON	74973W107	645000	64500	SH		SOLE		64500	0	0
RUDDICK CORP	COMMON	781258108	2507700	128600	SH		SOLE		128600	0	0
S & T BANCORP INC	COMMON	783859101	569925	29800	SH		SOLE		29800	0	0
SAFEWAY INC		COMMON	786514208	90053	1755	SH		SOLE		1755	0	0
SANWA BANK		JPY50	6776747	1670944	154000	SH		SOLE		154000	0	0
SANWA BANK		ADR (10	803030204	65100	600	SH		SOLE		600	0	0
SBC COMMUNICATIONS	COMMON	78387G103	21701960	459909	SH		SOLE		431335	22475	0
SEAGATE TECHNOLOGY	COMMON	811804103	24576784	831350	SH		SOLE		780100	40150	0
SEAGRAM COMPANY LTD	COMMON	811850106	1994407	39830	SH		SOLE		39830	0	0
SEQUENT COMPUTER SYS	COMMON	817338106	1679281	185300	SH		SOLE		185300	0	0
SIERRA HEALTH SVCS	COMMON	826322109	947700	72900	SH		SOLE		72900	0	0
SIMPSON MANUFACTURIN	COMMON	829073105	197225	4900	SH		SOLE		4900	0	0
SOUTHDOWN INC	COMMON	841297104	821419	15300	SH		SOLE		15300	0	0
SPRINT CORP(FON GRP)	COMMON	852061100	21702306	221170	SH		SOLE		207920	10550	0
STERLING SOFTWARE	COMMON	859547101	1083000	45600	SH		SOLE		45600	0	0
STONE ENERGY CORP	COMMON	861642106	2067200	64600	SH		SOLE		64600	0	0
STRUCTURAL DYNAMICS	COMMON	863555108	1995844	104700	SH		SOLE		104700	0	0
SUN MICROSYSTEM INC	COMMON	866810104	21847168	174690	SH		SOLE		164040	8350	0
SVENSKA HANDELSBNK	SEK10 S	4868635	1888397	54200	SH		SOLE		54200	0	0
SYMANTEC CORP	COMMON	871503108	1685281	99500	SH		SOLE		99500	0	0
TASTY BAKING CO	COMMON	876553306	1241550	111600	SH		SOLE		111600	0	0
TELEFONOS DE MEXICO	SP ADR	879403780	2791800	42300	SH		SOLE		42300	0	0
TEVA PHARMACEUTICAL	ADR (1	881624209	4236169	89300	SH		SOLE		89300	0	0
TOLL BROTHERS INC	COMMON	889478103	1228875	67800	SH		SOLE		67800	0	0
TOMMY HILFIGER CORP	ORD	G8915Z102	13613144	197650	SH		SOLE		187150	7850	0
TOTAL FINA		EUR10	4905413	3237181	26280	SH		SOLE		26280	0	0
TOYOTA MOTOR CORP	JPY50	6900643	1824622	63000	SH		SOLE		63000	0	0
TRAVELERS PROPERTY	CLASS A	893939108	23945350	669800	SH		SOLE		629400	31850	0
TYCO INTL LTD	COMMON	902124106	199465	2780	SH		SOLE		2780	0	0
UNIDANMARK		'A'DKK1	4914185	2365520	34650	SH		SOLE		34650	0	0
UNITED TECHNOLOGIES	COMMON	913017109	139501	1030	SH		SOLE		1030	0	0
USX MARATHON GROUP	COMMON	902905827	14950375	543650	SH		SOLE		510000	26350	0
WASHINGTON MUT INC	COMMON	939322103	16783275	410600	SH		SOLE		385400	19900	0
WESTCOAST ENERGY INC	COMMON	95751D102	873879	31591	SH		SOLE		31591	0	0
WESTPAC BANK CORP	AUD1	6076146	4745762	412675	SH		SOLE		412675	0	0
WILLAMETTE INDS INC	COMMON	969133107	11066412	293150	SH		SOLE		275150	14100	0
WILMINGTON TRUST CRP	COMMON	971807102	1193912	20900	SH		SOLE		20900	0	0
XEROX CORP		COMMON	984121103	21409780	401120	SH		SOLE		376820	19000	0
YPF SOCIEDAD ANONIMA	SP ADR	984245100	2970031	94100	SH		SOLE		94100	0	0

</TABLE>


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