HGK ASSET MANAGEMENT INC
13F-HR, 1999-05-06
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                      UNITED STATES
              SECURITIES AND EXCHANGE COMMISSION
                 WASHINGTON, D.C.20549

         FORM 13F

   FORM 13F COVER PAGE

Report for the 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:     HGK Asset Management, Inc.
Address:  Suite 2601 Newport Tower
                525 Washington Boulevard
                Jersey City
                New Jersey NJ07310

13F File Number :  28 - 1321

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing this 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, tables, are considered integral parts of this form.

Person signing this report on Behalf of Reporting Manager:

Name:      Jeffrey T. Harris
Title:     Managing Director
Phone:     201-659-3700

Signature, Place, and Date of Signing:

               Jeffrey T. Harris   Jersey City, New Jersey    May 05, 1999

Report Type (Check only one) :

[X] 13F HOLDING REPORT.

[  ] 13F NOTICE.

[  ] 13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:   None


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT 0F 1934.
<PAGE>
  Form 13F SUMMARY PAGE

Report Summary:


Number of Other Included Managers:             0

Form 13F Information Table Entry Total:       122

Form 13F Information Table Value Total:     $669592



List of Other Included Managers:              NONE

<PAGE>
<TABLE>
                          <C>                                   <C>
                                                         FORM 13F INFORMATION TABLE
NAME OF ISSUER            TITLE OF CLASS      CUSIP       VALUE SHRS OR  SH/ PUT/     INVSTMT  OTHER     VOTING AUTHORITY
                                                         (X1000)PRN AMT PRN CALL      DSCRETN  MANAGERS  SOLE     SHARED NONE

ABBOTT LABORATORIES       Common Stock      002824100     14531 310400 SH               SOLE      NONE   310400
AIR EXPRESS INTL CP       Common Stock      009104100      424  28000 SH                SOLE      NONE   28000
ALCAN ALUMINIUM           Common Stock      013716105     1247  48300 SH                SOLE      NONE   48300
ALCOA                     Common Stock      013817101     4281  103946 SH               SOLE      NONE   103946
ALLIED SIGNAL             Common Stock      019512102     5022  102100 SH               SOLE      NONE   102100
AMERICA WEST HOLDIN       Common Stock      023657208     1512  79300 SH                SOLE      NONE   79300
AMERICAN GENERAL          Common Stock      026351106      359  5087 SH                 SOLE      NONE   5087
AMR CORP                  Common Stock      001765106     6875  117400 SH               SOLE      NONE   117400
ANALOG DEVICES            Common Stock      032654105     1169  39300 SH                SOLE      NONE   39300
ANHEUSER BUSCH            Common Stock      035229103      381  5000 SH                 SOLE      NONE   5000
ARCHER DANIELS            Common Stock      039483102     1109  75486 SH                SOLE      NONE   75486
ATLANTIC RICHFIELD        Common Stock      048825103      462  6323 SH                 SOLE      NONE   6323
AVNET                     Common Stock      053807103     13326 362600 SH               SOLE      NONE   362600
BAKER HUGHES INC          Common Stock      057224107     14682 603900 SH               SOLE      NONE   603900
BANK OF BOSTON            Common Stock      06605R106     2555  59000 SH                SOLE      NONE   59000
BANKAMERICA CORP          Common Stock      06605F102     11904 168559 SH               SOLE      NONE   168559
BECTON DICKINSON &        Common Stock      075887109     2439  63671 SH                SOLE      NONE   63671
BERGEN BRUNSWIG           Common Stock      083739102     13032 651600 SH               SOLE      NONE   651600
BF GOODRICH               Common Stock      382388106      933  27200 SH                SOLE      NONE   27200
BIOVAIL CORP              Common Stock      09067K106     2406  62500 SH                SOLE      NONE   62500
BOEING COMPANY            Common Stock      097023105      700  20600 SH                SOLE      NONE   20600
BRUNSWICK CORP            Common Stock      117043109     10536 552690 SH               SOLE      NONE   552690
BURLINGTON NORTHERN       Common Stock      12189T104     2624  79814 SH                SOLE      NONE   79814
CADENCE DESIGN            Common Stock      127387108     1475  57300 SH                SOLE      NONE   57300
CANANDAIGUA BRANDS        Common Stock      137219200     2577  51150 SH                SOLE      NONE   51150
CASE                      Common Stock      14743R103     1256  49500 SH                SOLE      NONE   49500
CATERPILLAR               Common Stock      149123101      781  17000 SH                SOLE      NONE   17000
CHAMPION INTERNATIO       Common Stock      158525105     1560  38000 SH                SOLE      NONE   38000
CHASE MANHATTAN           Common Stock      16161A108     17907 220060 SH               SOLE      NONE   220060
CHEVRON CORP              Common Stock      166751107     14946 168400 SH               SOLE      NONE   168400
CITIGROUP INC             Common Stock      172967101     1578  24700 SH                SOLE      NONE   24700
COMPAQ COMPUTER COR       Common Stock      204493100     11549 364450 SH               SOLE      NONE   364450
COMPUTER ASSOCIATES       Common Stock      204912109      962  27053 SH                SOLE      NONE   27053
CONAGRA INC               Common Stock      205887102      246  9613 SH                 SOLE      NONE   9613
CONSECO INC               Common Stock      208464107     1112  36000 SH                SOLE      NONE   36000
CONSOLIDATED NATURA       Common Stock      209615103     12688 260600 SH               SOLE      NONE   260600
CREATIVE TECH             Common Stock      Y1775U107     1315  115000 SH               SOLE      NONE   115000
DANA CORP                 Common Stock      235811106     15199 399962 SH               SOLE      NONE   399962
DEERE                     Common Stock      244199105     11194 289800 SH               SOLE      NONE   289800
DIEBOLD INC               Common Stock      253651103      408  17000 SH                SOLE      NONE   17000
DIME BANCORP              Common Stock      25429Q102     2442  105300 SH               SOLE      NONE   105300
DOVER                     Common Stock      260003108     9149  278300 SH               SOLE      NONE   278300
DOW CHEMICAL COMPAN       Common Stock      260543103     11080 118900 SH               SOLE      NONE   118900
DU PONT(E.I.)DE NEM       Common Stock      263534109     11464 197440 SH               SOLE      NONE   197440
ELECTR ARTS               Common Stock      285512109     1862  39200 SH                SOLE      NONE   39200
ELECTRONIC DATA SYS       Common Stock      285661104     10200 209495 SH               SOLE      NONE   209495
FINOVA GROUP INC          Common Stock      317928109     2653  51150 SH                SOLE      NONE   51150
FOX ENTERTAINMENT I       Common Stock      35138T107      523  19280 SH                SOLE      NONE   19280
G-TECH CORP               Common Stock      400518106     1884  77300 SH                SOLE      NONE   77300
GANNETT                   Common Stock      364730101      353  5606 SH                 SOLE      NONE   5606
GENERAL MOTORS            Common Stock      370442105     12122 139331 SH               SOLE      NONE   139331
GERBER SCIENTIFIC         Common Stock      373730100     3746  185550 SH               SOLE      NONE   185550
GOLDEN WEST               Common Stock      381317106     17854 186950 SH               SOLE      NONE   186950
GRANITE CONST INC         Common Stock      387328107      308  13190 SH                SOLE      NONE   13190
GREENPOINT FNCL COR       Common Stock      395384100      636  18300 SH                SOLE      NONE   18300
GTE CORP                  Common Stock      362320103     14432 238540 SH               SOLE      NONE   238540
HARCOURT GENERAL          Common Stock      41163G101      908  20500 SH                SOLE      NONE   20500
HARSCO CORP               Common Stock      415864107     1277  50700 SH                SOLE      NONE   50700
HARTFORD LIFE INC         Common Stock      416592103     1108  20150 SH                SOLE      NONE   20150
HASBRO INC                Common Stock      418056107     15949 551150 SH               SOLE      NONE   551150
HAWAIIAN ELECTRIC         Common Stock      419870100      498  14200 SH                SOLE      NONE   14200
HEALTHSOUTH               Common Stock      421924101     1875  180700 SH               SOLE      NONE   180700
HEINZ (H.J.)              Common Stock      423074103     11440 241482 SH               SOLE      NONE   241482
HEWLETT-PACKARD CO        Common Stock      428236103     8972  132300 SH               SOLE      NONE   132300
INGERSOLL-RAND            Common Stock      456866102     10332 208200 SH               SOLE      NONE   208200
INTEL CORP                Common Stock      458140100     11709 98500 SH                SOLE      NONE   98500
JONES PHARMA INC          Common Stock      480236108      810  23300 SH                SOLE      NONE   23300
KEYSPAN                   Common Stock      49337K106     12199 485550 SH               SOLE      NONE   485550
LEAR CORPORATION          Common Stock      521865105     1289  30200 SH                SOLE      NONE   30200
LEGGETT & PLATT INC       Common Stock      524660107     1928  96400 SH                SOLE      NONE   96400
LENNAR CORP               Common Stock      526057104     2155  96300 SH                SOLE      NONE   96300
LITTON INDUSTRIES         Common Stock      538021106     6259  107800 SH               SOLE      NONE   107800
MARTIN MARIETTA MTR       Common Stock      573284106     12006 210400 SH               SOLE      NONE   210400
MAY DEPARTMENT STOR       Common Stock      577778103      683  17450 SH                SOLE      NONE   17450
McDONALD'S CORP           Common Stock      580135101     11179 246708 SH               SOLE      NONE   246708
MEAD CORP                 Common Stock      582834107     10560 343400 SH               SOLE      NONE   343400
MERCK & CO                Common Stock      589331107     10529 131412 SH               SOLE      NONE   131412
MORGAN (J.P.)             Common Stock      616880100     17417 141173 SH               SOLE      NONE   141173
NATIONAL CITY CORP        Common Stock      635405103      376  5666 SH                 SOLE      NONE   5666
NEIMAN MARCUS             Common Stock      640204103     1500  66300 SH                SOLE      NONE   66300
NEWELL RUBBERMAID I       Common Stock      651192106     17561 369700 SH               SOLE      NONE   369700
NORFOLK SOUTHERN          Common Stock      655844108     5272  199900 SH               SOLE      NONE   199900
OGDEN CORP                Common Stock      676346109     7624  316840 SH               SOLE      NONE   316840
OWENS ILLINOIS            Common Stock      690768403     1708  68300 SH                SOLE      NONE   68300
PAGENET                   Common Stock      695542100     1766  376800 SH               SOLE      NONE   376800
PARKER HANNIFIN           Common Stock      701094104     14248 416000 SH               SOLE      NONE   416000
PEPSICO                   Common Stock      713448108      468  11950 SH                SOLE      NONE   11950
PHILIP MORRIS             Common Stock      718154107     5635  160150 SH               SOLE      NONE   160150
PNC BANK CORP             Common Stock      693475105     10585 190500 SH               SOLE      NONE   190500
QUANTUM CORP              Common Stock      747906105      630  35000 SH                SOLE      NONE   35000
QUESTAR CORP              Common Stock      748356102     2107  124400 SH               SOLE      NONE   124400
R&B FALCON CORP           Common Stock      74912E101      604  70000 SH                SOLE      NONE   70000
REYNOLDS & REYNOLDS       Common Stock      761695105     1254  66000 SH                SOLE      NONE   66000
RICHFOOD HOLDINGS         Common Stock      763408101     2659  123300 SH               SOLE      NONE   123300
SAKS HOLDING   (FOR       Common Stock      79377W108     2449  94200 SH                SOLE      NONE   94200
SHERWIN WILLIAMS          Common Stock      824348106     1049  37300 SH                SOLE      NONE   37300
SMART MODULAR TECH        Common Stock      831690102      702  47000 SH                SOLE      NONE   47000
SOUTHDOWN INC             Common Stock      841297104      376  7000 SH                 SOLE      NONE   7000
SOUTHTRUST                Common Stock      844730101     2649  71000 SH                SOLE      NONE   71000
SOVEREIGN BANCORP         Common Stock      845905108     2372  193600 SH               SOLE      NONE   193600
STERLING SOFTWARE I       Common Stock      859547101     2596  109300 SH               SOLE      NONE   109300
SUMMIT BANCORP            Common Stock      866005101      692  17750 SH                SOLE      NONE   17750
SUPERVALU INC             Common Stock      868536103     15046 729500 SH               SOLE      NONE   729500
TENET HEALTHCARE          Common Stock      88033G100     10325 545225 SH               SOLE      NONE   545225
TEXACO INC                Common Stock      881694103     13898 244900 SH               SOLE      NONE   244900
TEXAS UTILITIES           Common Stock      882848104     14003 333400 SH               SOLE      NONE   333400
TEXTRON                   Common Stock      883203101     3915  50600 SH                SOLE      NONE   50600
TOMMY HILFIGER            Common Stock      G8915Z102     2349  34100 SH                SOLE      NONE   34100
TORCHMARK                 Common Stock      891027104     14067 444800 SH               SOLE      NONE   444800
TRANSOCEAN                Common Stock      893817106      692  24000 SH                SOLE      NONE   24000
UAL CORP                  Common Stock      902549500     1674  21500 SH                SOLE      NONE   21500
ULTRAMAR DS               Common Stock      904000106      941  43500 SH                SOLE      NONE   43500
UNION CAMP CORP           Common Stock      905530101     8941  133200 SH               SOLE      NONE   133200
UNITED TECHNOLOGIES       Common Stock      913017109      608  4492 SH                 SOLE      NONE   4492
UNOCAL                    Common Stock      915289102      516  14000 SH                SOLE      NONE   14000
US AIR GROUP INC          Common Stock      911905107      342  7000 SH                 SOLE      NONE   7000
USX MARATHON              Common Stock      902905827     12254 445600 SH               SOLE      NONE   445600
VARCO INT'L               Common Stock      922126107     1224  110000 SH               SOLE      NONE   110000
VERITAS                   Common Stock      92343P107      371  26000 SH                SOLE      NONE   26000
WATSON PHARM              Common Stock      942683103     2433  55150 SH                SOLE      NONE   55150
WILLAMETTE IND INC        Common Stock      969133107      378  10000 SH                SOLE      NONE   10000
WILLIAMS COS              Common Stock      969457100     17684 447700 SH               SOLE      NONE   447700
</TABLE>



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