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 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 8/10/99
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: 152
Form 13F information table value total: $986,813
List of other included managers:
No. 13F File number Name
1. 28-2437 Strategic Investment Management.
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Dietche & Field Advisers
FORM 13F
June 30, 1999
Voting Authority
Title of Value Shares/ Sh/Put Invstmt Other
Name of Issuer class CUSIP (x$1000) Prn Amt PrnCal Dscretn Mgrs Sole Shared None
- ------------------------------------------------------------------- ---------------------------
AT&T Corp Liberty Media Gr COM 001957208 14961 407094SH Sole 407094 407094 407094
14961 407094SH Defined 01 407094
AT&T Corp. COM 001957109 9315 166900SH Sole 166900 166900 166900
9315 166900SH Defined 01 166900
Ace Limited COM G0070K103 8890 314700SH Sole 314700 314700 314700
8890 314700SH Defined 01 314700
Aetna Inc. COM 008117103 11907 133137SH Sole 133137 133137 133137
11907 133137SH Defined 01 133137
Albertsons Inc. COM 013104104 4324 83853SH Sole 83853 83853 83853
4324 83853SH Defined 01 83853
Alcoa COM 013817101 6856 110800SH Sole 110800 110800 110800
6856 110800SH Defined 01 110800
American Express COM 025816109 7925 60900SH Sole 60900 60900 60900
7925 60900SH Defined 01 60900
Atlas Air Inc COM 049164106 2304 71450SH Sole 71450 71450 71450
2304 71450SH Defined 01 71450
Avis Rent a Car COM 053790101 3658 125600SH Sole 125600 125600 125600
3658 125600SH Defined 01 125600
Bausch & Lomb COM 071707103 8142 106431SH Sole 106431 106431 106431
8142 106431SH Defined 01 106431
Bergen Brunswig COM 083739102 4311 249914SH Sole 249914 249914 249914
4311 249914SH Defined 01 249914
Cablevision COM 12686C109 12873 183900SH Sole 183900 183900 183900
12873 183900SH Defined 01 183900
Cellstar Corp. COM 150925105 906 115000SH Sole 115000 115000 115000
906 115000SH Defined 01 115000
Cendant Corp. COM 151313103 17214 839685SH Sole 839685 839685 839685
17214 839685SH Defined 01 839685
Centocor Inc. COM 152342101 4412 94629SH Sole 94629 94629 94629
4412 94629SH Defined 01 94629
Chancellor Media COM 158915108 12960 235100SH Sole 235100 235100 235100
12960 235100SH Defined 01 235100
Citadel Communications Cor COM 172853202 3735 103200SH Sole 103200 103200 103200
3735 103200SH Defined 01 103200
Citigroup Inc. COM 172967101 7609 160200SH Sole 160200 160200 160200
7609 160200SH Defined 01 160200
Comdisco Inc. COM 200336105 10037 391700SH Sole 391700 391700 391700
10037 391700SH Defined 01 391700
Commscope Inc. COM 203372107 3229 105000SH Sole 105000 105000 105000
3229 105000SH Defined 01 105000
Cumulus Media Inc. COM 231082108 2540 116100SH Sole 116100 116100 116100
2540 116100SH Defined 01 116100
Del Monte Foods Co. COM 24522P103 3812 227600SH Sole 227600 227600 227600
3812 227600SH Defined 01 227600
Delphi Automotive Systems COM 247126105 6527 352800SH Sole 352800 352800 352800
6527 352800SH Defined 01 352800
EG&G COM 268457108 1425 40000SH Sole 40000 40000 40000
1425 40000SH Defined 01 40000
Electronic Data Systems COM 285661104 10719 189300SH Sole 189300 189300 189300
10719 189300SH Defined 01 189300
Enron Corp. COM 293561106 6646 81300SH Sole 81300 81300 81300
6646 81300SH Defined 01 81300
Equitable Companies COM 29444G107 8470 126420SH Sole 126420 126420 126420
8470 126420SH Defined 01 126420
Evergreen Resources Inc. COM 299900308 2519 100000SH Sole 100000 100000 100000
2519 100000SH Defined 01 100000
Foundation Health Systems COM 350404109 10540 702700SH Sole 702700 702700 702700
10540 702700SH Defined 01 702700
Fuller H.B. Co. COM 359694106 1388 20300SH Sole 20300 20300 20300
1388 20300SH Defined 01 20300
Gemstar International Group COM G3788V106 11686 179100SH Sole 179100 179100 179100
11686 179100SH Defined 01 179100
Great Atlantic & Pac COM 390064103 3858 114100SH Sole 114100 114100 114100
3858 114100SH Defined 01 114100
Heico Corp cl A COM 422806208 3196 131800SH Sole 131800 131800 131800
3196 131800SH Defined 01 131800
Household Int'l. COM 441815107 8255 174245SH Sole 174245 174245 174245
8255 174245SH Defined 01 174245
Idexx Laboratories Inc. COM 45168d104 8792 377124SH Sole 377124 377124 377124
8792 377124SH Defined 01 377124
Indymac Mortgage Holdings COM 456607100 3034 189600SH Sole 189600 189600 189600
3034 189600SH Defined 01 189600
Infinity Broadcasting COM 45662S102 11198 378800SH Sole 378800 378800 378800
11198 378800SH Defined 01 378800
Ivex Packaging Corp. COM 465855104 4050 184100SH Sole 184100 184100 184100
4050 184100SH Defined 01 184100
Jefferson Smurfit Group PL COM 47508W107 4123 175000SH Sole 175000 175000 175000
4123 175000SH Defined 01 175000
K Swiss Inc. COM 482686102 3301 71000SH Sole 71000 71000 71000
3301 71000SH Defined 01 71000
Keystone Automotive Indust COM 49338N109 509 29300SH Sole 29300 29300 29300
509 29300SH Defined 01 29300
Knight Trimark Group Inc. COM 499067106 12706 208300SH Sole 208300 208300 208300
12706 208300SH Defined 01 208300
Limited (The) Inc. COM 532716107 10863 239400SH Sole 239400 239400 239400
10863 239400SH Defined 01 239400
Lowes Companies Inc. COM 548661107 5759 101600SH Sole 101600 101600 101600
5759 101600SH Defined 01 101600
Martin Marietta Mtrls. COM 573284106 8296 140610SH Sole 140610 140610 140610
8296 140610SH Defined 01 140610
Media Metrix Inc. COM 58440x103 1555 29200SH Sole 29200 29200 29200
1555 29200SH Defined 01 29200
Metro Goldwyn Mayer Inc. COM 591610100 2391 131000SH Sole 131000 131000 131000
2391 131000SH Defined 01 131000
Mettler Toledo Internation COM 592688105 3723 146000SH Sole 146000 146000 146000
3723 146000SH Defined 01 146000
Mobile Mini Inc. COM 60740F105 622 31800SH Sole 31800 31800 31800
622 31800SH Defined 01 31800
Montana Power Co. COM 612085100 10723 152100SH Sole 152100 152100 152100
10723 152100SH Defined 01 152100
Mylan Labs COM 628530107 6757 254965SH Sole 254965 254965 254965
6757 254965SH Defined 01 254965
NCR Corporation COM 62886E108 10822 221700SH Sole 221700 221700 221700
10822 221700SH Defined 01 221700
NPC Intl. Inc. COM 629360306 3198 208000SH Sole 208000 208000 208000
3198 208000SH Defined 01 208000
Nova Corp Georgia COM 669784100 13592 543700SH Sole 543700 543700 543700
13592 543700SH Defined 01 543700
PETsMART Inc. COM 716768106 6704 654041SH Sole 654041 654041 654041
6704 654041SH Defined 01 654041
Pepsi Bottling Group Inc. COM 713409100 12906 558100SH Sole 558100 558100 558100
12906 558100SH Defined 01 558100
Premier Parks Inc. COM 740540208 13715 373200SH Sole 373200 373200 373200
13715 373200SH Defined 01 373200
Premiere Technologies Inc. COM 74058F102 2328 202400SH Sole 202400 202400 202400
2328 202400SH Defined 01 202400
QuadraMed Corp. COM 74730W101 2803 345000SH Sole 345000 345000 345000
2803 345000SH Defined 01 345000
Reinsurance Group of Ameri COM 759351208 1997 59600SH Sole 59600 59600 59600
1997 59600SH Defined 01 59600
Republic Services Inc. COM 760759100 8870 358400SH Sole 358400 358400 358400
8870 358400SH Defined 01 358400
Ryanair Holdings PLC COM 783513104 3159 59600SH Sole 59600 59600 59600
3159 59600SH Defined 01 59600
Scotts Company COM 810186106 2796 58700SH Sole 58700 58700 58700
2796 58700SH Defined 01 58700
Smurfit Stone Container Co COM 832727101 6576 319800SH Sole 319800 319800 319800
6576 319800SH Defined 01 319800
Softnet Systems Inc. COM 833964109 8410 301700SH Sole 301700 301700 301700
8410 301700SH Defined 01 301700
Software.com Inc. COM 83402P104 2898 125000SH Sole 125000 125000 125000
2898 125000SH Defined 01 125000
Taco Cabana Inc. Cl A COM 873425102 2125 208600SH Sole 208600 208600 208600
2125 208600SH Defined 01 208600
Time Warner Telecom Inc. COM 887319101 7401 255200SH Sole 255200 255200 255200
7401 255200SH Defined 01 255200
Tricon Global Rest. COM 895953107 1353 25000SH Sole 25000 25000 25000
1353 25000SH Defined 01 25000
Tyco Int.'l Ltd. COM 902124106 11543 121830SH Sole 121830 121830 121830
11543 121830SH Defined 01 121830
USA Networks Inc. COM 902984103 6159 153500SH Sole 153500 153500 153500
6159 153500SH Defined 01 153500
USWeb Corp. COM 917327108 7976 359500SH Sole 359500 359500 359500
7976 359500SH Defined 01 359500
Univision Communications COM 914906102 8885 136699SH Sole 136699 136699 136699
8885 136699SH Defined 01 136699
ViaSat Inc. COM 92552V100 317 20800SH Sole 20800 20800 20800
317 20800SH Defined 01 20800
Viacom Inc. Cl B COM 925524308 4715 107170SH Sole 107170 107170 107170
4715 107170SH Defined 01 107170
Wells Fargo and Co. COM 949746101 6605 154500SH Sole 154500 154500 154500
6605 154500SH Defined 01 154500
REPORT SUMMARY 152 DATA RECRDS 986813 1
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