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 amended [ ]; Amended Number:
This Amendment (check only one.): [ ] is a restatement.
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: Dietche & Field Advisers, Inc.
Address: 437 Madison Avenue
28th Floor
New York, NY 10022
Strategic Investment Management:
13F File Number: 28-2437
The Institutional Investment Manager filing this report and the person by
whom it is signed hereby represent that the person singing 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: Jacqueline M. Kealy
Title: Assistant Treasurer
Phone: (212) 207-2703
Signature Place Date
Jacqueline Kealy 437 Madison Avenue, NY 10022 5/14/99
Report Type (check only one.):
[X ] 13F Holdings Report.
[ ] 13F Notice.
[ ] 13F Combination Report.
List of other managers reporting for this manager:
Strategic Investment Management.
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: 1
Form 13F information table entry total: 118
Form 13F information table value total: $718,387
List of other included managers:
No. 13F File number Name
1. 28-2437 Strategic Investment Management.
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Voting Authority
--------------------------
Title Value Shares/ Sh/Put/ Invstmt Other
Name of Issuer of class CUSIP (x$1000)Prn Amt Prn Call Dscretn Managers Sole Shared None
- ------------------------------------------ ------------------------------ -----------------------------
AT&T Corp Liberty Media COM 001957208 20662 392851SH Sole 303087 89764
3912 74375SH Defined 01 74375
Aetna Inc. COM 008117103 7664 92337SH Sole 73500 18837
1262 15200SH Defined 01 15200
Airborne Freight COM 009266107 19204 619500SH Sole 405200 214300
2418 78000SH Defined 01 78000
Albertsons Inc. COM 013104104 2689 49400SH Sole 38100 11300
506 9300SH Defined 01 9300
Alcoa COM 013817101 8349 202700SH Sole 156600 46100
1573 38200SH Defined 01 38200
American Express COM 025816109 20041 170200SH Sole 131800 38400
3744 31800SH Defined 01 31800
American Stores Co. COM 030096101 10048 304500SH Sole 235700 68800
1884 57100SH Defined 01 57100
Atlas Air Inc COM 049164106 1958 67950SH Sole 3750 64200
Authentic Fitness COM 052661105 4150 268800SH Sole 7900 260900
Avis Rent a Car COM 053790101 1121 40500SH Sole 2300 38200
Bausch & Lomb COM 071707103 12294 189131SH Sole 146440 42691
2262 34800SH Defined 01 34800
Bergen Brunswig COM 083739102 5470 273514SH Sole 215700 57814
964 48200SH Defined 01 48200
CNF Transportation Inc. COM 12612W104 8084 213800SH Sole 165000 48800
1535 40600SH Defined 01 40600
Cablevision COM 12686C109 22260 300300SH Sole 231000 69300
4292 57900SH Defined 01 57900
Cendant Corp. COM 151313103 19003 1192350SH Sole 921515 270835
3584 224850SH Defined 01 224850
Centocor Inc. COM 152342101 6690 181129SH Sole 141100 40029
1260 34100SH Defined 01 34100
Chancellor Media COM 158915108 22606 479700SH Sole 360100 119600
4680 99300SH Defined 01 99300
Citadel Communications CorpCOM 172853202 3185 95800SH Sole 5300 90500
Citigroup Inc. COM 172967101 6835 107000SH Sole 82600 24400
1297 20300SH Defined 01 20300
Comdisco COM 200336105 7886 441200SH Sole 253600 187600
1081 60500SH Defined 01 60500
Commscope Inc. COM 203372107 4242 202600SH Sole 10800 191800
Del Monte Foods Co. COM 24522P103 4791 363300SH Sole 20700 342600
Delphi Automotive Systems CCOM 247126105 9067 510800SH Sole 395300 115500
1699 95700SH Defined 01 95700
Doral Financial Corp COM 25811P100 2473 134600SH Sole 4000 130600
Duane Reade Inc. COM 263578106 2096 75200SH Sole 4000 71200
Equitable Companies COM 29444G107 13042 186320SH Sole 144960 41360
2380 34000SH Defined 01 34000
FDX Corp COM 31304N107 15047 161800SH Sole 132800 29000
2232 24000SH Defined 01 24000
Foundation Health Systems ICOM 350404109 14731 1208700SH Sole 703100 505600
1879 154200SH Defined 01 154200
Fresh Del Monte Produce COM G36738105 3128 168500SH Sole 9500 159000
Gemstar International GroupCOM G3788V106 17624 234200SH Sole 182900 51300
3206 42600SH Defined 01 42600
General Motors Corp. CL H COM 370442832 10247 203158SH Sole 157100 46058
1927 38200SH Defined 01 38200
Global Crossing Ltd COM G3921A100 5407 116900SH Sole 90200 26700
1022 22100SH Defined 01 22100
Great Atlantic & Pac COM 390064103 2313 77100SH Sole 4200 72900
Heico Corp cl A COM 422806208 2704 126500SH Sole 7100 119400
Household Int'l. COM 441815107 15615 342245SH Sole 266900 75345
2820 61800SH Defined 01 61800
Idexx Laboratories Inc. COM 45168d104 8632 360624SH Sole 278000 82624
1633 68200SH Defined 01 68200
Infinity Broadcasting COM 45662S102 12159 472200SH Sole 359900 112300
2402 93300SH Defined 01 93300
Ivex Packaging Corp. COM 465855104 3156 207800SH Sole 10900 196900
Keystone Automotive IndustrCOM 49338N109 3008 185100SH Sole 10000 175100
Kirby Corporation COM 497266106 922 48700SH Sole 1600 47100
Lowes Companies Inc. COM 548661107 17037 281600SH Sole 217300 64300
3231 53400SH Defined 01 53400
MCI WorldCom Inc. COM 55268B106 16843 190182SH Sole 147200 42982
3206 36200SH Defined 01 36200
Martin Marietta Mtrls. COM 573284106 11470 201010SH Sole 157500 43510
2043 35800SH Defined 01 35800
Medtronic, Inc. COM 585055106 7094 98700SH Sole 76200 22500
1337 18600SH Defined 01 18600
Mettler Toledo InternationaCOM 592688105 3336 134800SH Sole 7600 127200
Mobile Mini Inc. COM 60740F105 4419 343200SH Sole 19700 323500
Montana Power Co. COM 612085100 13741 186800SH Sole 144500 42300
2663 36200SH Defined 01 36200
Motorola Inc. COM 620076109 9427 128700SH Sole 99700 29000
1758 24000SH Defined 01 24000
Mylan Labs COM 628530107 10296 375265SH Sole 292300 82965
1868 68100SH Defined 01 68100
NCR Corporation COM 62886E108 5550 111000SH Sole 85700 25300
1050 21000SH Defined 01 21000
NPC Intl. Inc. COM 629360306 3816 244200SH Sole 13100 231100
Newport News Shipbuilding ICOM 652228107 3172 100100SH Sole 5300 94800
PETsMART Inc. COM 716768106 5729 713341SH Sole 411300 302041
789 98200SH Defined 01 98200
Pacific Gateway Exchange InCOM 694327107 4105 123700SH Sole 9500 114200
Premier Parks Inc. COM 740540208 4314 115800SH Sole 6200 109600
QuadraMed Corp. COM 74730W101 6602 865900SH Sole 521100 344800
944 123800SH Defined 01 123800
Reinsurance Group of AmericCOM 759351208 4649 137250SH Sole 7800 129450
Ryanair Holdings PLC COM 783513104 3170 77800SH Sole 4700 73100
SBC Communications Inc. COM 78387G103 4488 95100SH Sole 71900 23200
920 19500SH Defined 01 19500
Scotts Company COM 810186106 2179 58300SH Sole 3800 54500
Time Warner Inc. COM 887315109 13830 195300SH Sole 149100 46200
2719 38400SH Defined 01 38400
Tyco Int.'l Ltd. COM 902124106 16490 229830SH Sole 178000 51830
3085 43000SH Defined 01 43000
UAL Corp. COM 902549500 17681 227046SH Sole 151020 76026
4859 62400SH Defined 01 62400
Unitrode Corp. COM 913283107 2234 159600SH Sole 9200 150400
Universal Health Services COM 913903100 2543 58800SH Sole 3100 55700
Univision Communications COM 914906102 12510 250199SH Sole 155100 95099
1855 37100SH Defined 01 37100
Viacom Inc. Cl B COM 925524308 17647 210235SH Sole 162200 48035
3618 43100SH Defined 01 43100
Warnaco Group Cl A COM 934390105 8614 348906SH Sole 269180 79726
1607 65100SH Defined 01 65100
Waste Management Inc. COM 94106l109 5761 129830SH Sole 101062 28768
1088 24515SH Defined 01 24515
Webb (Del) Corp. COM 947423109 11039 509011SH Sole 273700 235311
1104 50900SH Defined 01 50900
Whitman Corp. COM 96647k102 8705 506486SH Sole 383600 122886
1745 101500SH Defined 01 101500
Zdnet Group COM 989511209 349 9700SH Sole 600 9100
REPORT SUMMARY 118 Data Records 718387 1 othe managers on whobehalf reportfiled
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