UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: June 30, 1999
Check here if Amendment [ ]; Amedment Number:
This Amendment (Check only one.): [ ] is a restatment.
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: Crawford Investment Counsel, Inc.
Address: Suite 980
100 Galleria Parkway
Atlanta, Georgia 30339
13F File Number: 28-2354
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: Patricia C. Howard
Title: Operations/Client Services
Phone: 770-859-0045
Signature, Place, and Date of Signing:
Patricia C. Howard Atlanta, Georgia August 11, 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: 159
Form 13F Information Table Value Total: $831,840
List of Other Included Managers:
No. 13F File Number Name
<PAGE>
<TABLE>
Voting Authority
Value
Share
s/
Sh
/
Put/
Invstmt
Other
Name of Issuer
Title of
class
CUSIP
(x$10
00)
Prn
Amt
Pr
n
Call
Dscretn
Managers
Sole
Shared
None
<C>
<C>
ABBOTT LABS
COM
0028241
00
21574
47750
6
SH
Sole
ALLIANCE CAP MGMT LP
COM
0185481
07
3329
10303
6
SH
Sole
ALLTEL CORP
COM
0200391
03
11254
15741
5
SH
Sole
AMER BUSINESS PRODS
COM
0247631
04
455
29856
SH
Sole
AMER HOME PROD
COM
0266091
07
1243
21658
SH
Sole
AMEREN CORP
COM
0236081
02
464
12104
SH
Sole
AMERICAN EXPRESS
COM
0258161
09
1095
8418
SH
Sole
AMERICAN GENERAL
COM
0263511
06
11655
15462
6
SH
Sole
AMERICAN INTL GROUP
COM
0268741
07
3844
36238
SH
Sole
AMERITECH CORP
COM
0309541
01
7663
10425
6
SH
Sole
AMSOUTH BANCORP
COM
0321651
02
2418
10426
8
SH
Sole
AT&T CORP
COM
0019571
09
300
5377
SH
Sole
AT&T CORP - LIB GRP A
COM
0019572
08
221
6020
SH
Sole
ATLANTIC RICHFIELD
COM
0488251
03
589
7050
SH
Sole
AUTOMATIC DATA
PROCESS
COM
0530151
03
18595
42587
2
SH
Sole
BANK NEW YORK INC
COM
0640571
02
249
6800
SH
Sole
BANK OF AMERICA CORP
COM
0605051
04
15180
20989
7
SH
Sole
BANK ONE CORP
COM
06423A1
03
14034
23781
0
SH
Sole
BARD C R INC
COM
0673831
09
660
13800
SH
Sole
BARRICK GOLD CORP
COM
0679011
08
2664
13750
0
SH
Sole
BATTLE MTN GOLD CO
COM
0715931
07
545
22340
0
SH
Sole
BAXTER INTL
COM
0718131
09
224
3700
SH
Sole
BELL ATLANTIC
COM
0778531
09
7622
11659
7
SH
Sole
BELLSOUTH CORP
COM
0798601
02
1650
35220
SH
Sole
BESTFOODS
COM
08658U1
01
314
6338
SH
Sole
BP AMOCO PLC ADR
COM
0556221
04
491
4488
SH
Sole
BRISTOL-MYERS
COM
1101221
08
6156
87541
SH
Sole
BURLINGTON NRTHN
SANTA
COM
12189T1
04
832
26841
SH
Sole
CAPSTEAD MORTGAGE
COM
14067E1
00
72
13292
SH
Sole
CARDINAL HEALTH INC
COM
14149Y1
08
1603
25000
SH
Sole
CARLISLE COS INC
COM
1423391
00
25020
52325
2
SH
Sole
CAROLINA PWR & LT
COM
1441411
08
2356
56148
SH
Sole
CCB FINL CORP
COM
1248751
05
603
11400
SH
Sole
CEDAR FAIR LP
COM
1501851
06
15603
62922
8
SH
Sole
CENTURA BKS INC
COM
15640T1
00
598
10600
SH
Sole
CHARTER ONE FINL INC
COM
1609031
00
612
22000
SH
Sole
CHASE MANHATTAN
COM
16161A1
08
1952
22639
SH
Sole
CHEMED CORP
COM
1635961
09
1002
30141
SH
Sole
CHEVRON CORP
COM
1667511
07
4433
46600
SH
Sole
CHUBB CORP
COM
1712321
01
297
4278
SH
Sole
CINCINNATI FINL
COM
1720621
01
19571
52005
2
SH
Sole
CISCO SYS INC
COM
17275R1
02
520
8134
SH
Sole
CITIGROUP INC
COM
1729671
01
547
11526
SH
Sole
CITIZENS BANKSHARES
COM
173
15080
SH
Sole
CITIZENS BKG CORP
MICH
COM
1744201
09
505
16800
SH
Sole
CLOROX CO
COM
1890541
09
1111
10400
SH
Sole
COCA COLA CO
COM
1912161
00
11751
18957
6
SH
Sole
COLGATE PALMOLIVE
COM
1941621
03
16609
18209
9
SH
Sole
COMERICA INC
COM
2003401
07
1058
17800
SH
Sole
CONSOLIDATED EDISON
COM
2091151
04
268
5929
SH
Sole
COX RADIO INC CL A
COM
2240511
02
343
6316
SH
Sole
DUKE ENERGY CORP
COM
2643991
06
3211
58987
SH
Sole
ECHO BAY MINES LTD
COM
2787511
02
805
56000
0
SH
Sole
EMERSON ELEC CO
COM
2910111
04
4766
75760
SH
Sole
ENGELHARD CORP
COM
2928451
04
18654
82450
2
SH
Sole
EQUIFAX INC
COM
2944291
05
300
8480
SH
Sole
EQUITY RES PPTYS
COM
29476L1
07
5311
11786
3
SH
Sole
EXXON CORP
COM
3022901
01
16445
21258
1
SH
Sole
FAMILY DLR STORES INC
COM
3070001
09
33734
14138
38
SH
Sole
FANNIE MAE
COM
3135861
09
17852
26281
6
SH
Sole
FEDERAL REIT
COM
3137472
06
3507
15290
2
SH
Sole
FIFTH THIRD BANCORP
COM
3167731
00
10167
15365
7
SH
Sole
FIRST STERLING BANK
COM
3370941
06
650
52015
SH
Sole
FIRST UNION CORP
COM
3373581
05
7071
15005
2
SH
Sole
FIRSTAR CORP
COM
33763V1
09
3833
13691
0
SH
Sole
FLOWERS INDS INC
COM
3434961
05
1050
48400
SH
Sole
FREDDIE MAC
COM
3134003
01
320
5625
SH
Sole
GALLAHER GROUP PLC
COM
3635951
09
2027
82957
SH
Sole
GENERAL ELEC CO
COM
3696041
03
17825
15792
7
SH
Sole
GENUINE PARTS CO
COM
3724601
05
2648
75644
SH
Sole
GILLETTE CO
COM
3757661
02
323
7702
SH
Sole
GLAXO WELLCOME
COM
37733W1
05
1357
23962
SH
Sole
GTE CORP
COM
3623201
03
5973
79121
SH
Sole
HARLAND JOHN H CO
COM
4126931
03
3148
15788
0
SH
Sole
HASBRO INC
COM
4180561
07
844
30217
SH
Sole
HEINZ H J CO
COM
4230741
03
16550
33122
7
SH
Sole
HEWLETT PACKARD
COM
4282361
03
16140
15949
5
SH
Sole
HILLENBRAND IND
COM
4315731
04
623
14400
SH
Sole
HOME DEPOT INC
COM
4370761
02
3491
54354
SH
Sole
HUBBELL INC CL B
COM
4435102
01
1136
25034
SH
Sole
INDIANA ENERGY
COM
4547071
00
1270
59605
SH
Sole
INTEL CORP
COM
4581401
00
753
12058
SH
Sole
INTL BUSINESS
MACHINES
COM
4592001
01
1433
11101
SH
Sole
IRT PPTY CO
COM
4500581
02
3435
34786
5
SH
Sole
JEFFERSON PILOT
COM
4750701
08
2636
39773
SH
Sole
JOHNSON & JOHNSON
COM
4781601
04
13678
14019
0
SH
Sole
JOHNSON CTLS INC
COM
4783661
07
887
12800
SH
Sole
KIMBERLY CLARK
COM
4943681
03
19630
34384
8
SH
Sole
LG&E ENERGY CORP
COM
5019171
08
977
46518
SH
Sole
LILLY ELI & CO
COM
5324571
08
4222
59235
SH
Sole
LUCENT TECHNOLOGIES
INC
COM
5494631
07
806
11952
SH
Sole
MANUFACTURED HOME
CMNT
COM
5646821
02
17649
68278
3
SH
Sole
MARSH & MCLENNAN
COM
5717481
02
3258
43132
SH
Sole
MASCO CORP
COM
5745991
06
25712
88973
5
SH
Sole
MBNA CORP
COM
55262l1
00
258
8437
SH
Sole
MCDONALDS CORP
COM
5801351
01
443
10801
SH
Sole
MCI WORLDCOM INC
COM
55268B1
06
509
5911
SH
Sole
MERCK & CO INC
COM
5893311
07
22022
30119
1
SH
Sole
MICROSOFT CORP
COM
5949181
04
1121
12475
SH
Sole
MINNESOTA MNG & MFG
CO
COM
6040591
05
225
2584
SH
Sole
MOBIL CORP
COM
6070591
02
6254
63261
SH
Sole
MONSANTO CO
COM
6116621
07
236
5958
SH
Sole
MORGAN JP & CO
COM
6168801
00
408
2906
SH
Sole
MOTOROLA INC
COM
6200761
09
509
5374
SH
Sole
NATIONAL FUEL & GAS
COM
6361801
01
2301
47448
SH
Sole
NEWMONT MINING CORP
COM
6516391
06
912
45900
SH
Sole
NORFOLK SOUTHERN
COM
6558441
08
479
15906
SH
Sole
NORTHN STS PWR
COM
6657721
09
2191
90600
SH
Sole
NUCOR CORP
COM
6703461
05
875
18450
SH
Sole
OHIO CAS CORP
COM
6772401
03
1474
40806
SH
Sole
OMNICARE INC
COM
6819041
08
8567
68685
1
SH
Sole
PENNEY J C INC
COM
7081601
06
613
12623
SH
Sole
PENTAIR INC
COM
7096311
05
4738
10356
5
SH
Sole
PEPSICO INC
COM
7134481
08
371
9605
SH
Sole
PFIZER INC
COM
7170811
03
13611
14144
4
SH
Sole
PHILIP MORRIS COS
COM
7181541
07
13876
34716
9
SH
Sole
PIEDMONT NAT GAS INC
COM
7201861
05
968
31086
SH
Sole
PIMCO ADVISORS
HOLDINGS LP
COM
69338P1
02
15767
52897
6
SH
Sole
PITNEY BOWES INC
COM
7244791
00
5416
85732
SH
Sole
PROCTER & GAMBLE
COM
7427181
09
10209
11415
6
SH
Sole
PUBLIC SVC ENTERPRISE
COM
7445731
06
291
7128
SH
Sole
RELIASTAR FINANCIAL
CORP
COM
75952U1
03
648
14800
SH
Sole
RIVIANA FOODS INC
COM
7695361
03
263
14000
SH
Sole
ROLLINS INC
COM
7757111
04
897
56300
SH
Sole
ROYAL DUTCH PETE NY
RE
COM
7802578
04
641
10408
SH
Sole
RPM INC
COM
7496851
03
10875
76648
7
SH
Sole
S & T BANCORP INC
COM
7838591
01
606
24000
SH
Sole
SAFECO CORP
COM
7864291
00
13671
30983
9
SH
Sole
SARA LEE CORP
COM
8031111
03
14712
64977
4
SH
Sole
SBC COMMUNICATIONS
INC
COM
78387G1
03
23158
39939
3
SH
Sole
SCANA CORP
COM
8058981
03
1455
62247
SH
Sole
SCHERING PLOUGH
COM
8066051
01
2177
41480
SH
Sole
SELECTIVE INSURANCE
COM
8163001
07
351
18400
SH
Sole
SERVICEMASTER COMPANY
COM
81760N1
09
17153
91817
1
SH
Sole
SOUTHERN CO
COM
8425871
07
262
9876
SH
Sole
STATE ST BOSTON CORP
COM
8574771
03
905
10600
SH
Sole
SUNTRUST BANKS
COM
8679141
03
993
14317
SH
Sole
TECO ENERGY INC
COM
8723751
00
2191
96949
SH
Sole
TELE & DATA SYS
COM
8794331
00
3656
50000
SH
Sole
TELEFLEX INC
COM
8793691
06
6909
15905
0
SH
Sole
TRANSCEND SRVC
COM
8939291
09
14
10900
SH
Sole
TRUSTMARK CORP
COM
8984021
02
324
14172
SH
Sole
TYCO INTL LTD
COM
9021241
06
245
2581
SH
Sole
U S TRUST CORP
COM
91288L1
05
26137
28357
0
SH
Sole
UNILEVER N V NEW YORK
COM
9047845
01
233
3323
SH
Sole
UNITED BANKSHS INC
COM
9099071
07
372
14020
SH
Sole
UNITED DOMINION
RLTYTR
COM
9101971
02
4319
36760
1
SH
Sole
UNIVERSAL CORP
COM
9134561
09
1820
64007
SH
Sole
UST INC
COM
9029111
06
4149
14154
1
SH
Sole
UTILICORP UTD INC
COM
9180051
09
2139
87994
SH
Sole
V F CORP
COM
9182041
08
735
17200
SH
Sole
VALLEY NATL BANCORP
COM
9197941
07
486
16917
SH
Sole
WACHOVIA CORP
COM
9297711
03
1962
23036
SH
Sole
WAL MART STORES
COM
9311421
03
14352
29786
7
SH
Sole
WARNER LAMBERT
COM
9344881
07
3560
51500
SH
Sole
WASHINGTON FED INC
COM
9388241
09
3035
13526
0
SH
Sole
WASHINGTON REIT
COM
9396531
01
1984
11714
4
SH
Sole
WEINGARTEN REIT
COM
9487411
03
1290
30901
SH
Sole
WORTHINGTON INDS INC
COM
9818111
02
10481
63763
0
SH
Sole
REPORT SUMMARY
159 DATA RECORDS
83184
0
0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS
FILED
</TABLE>