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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 OF QUARTER ENDED: 03-31-99
INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:
NAME: Capital Technology, Inc.
ADDRESS: P.O. Box 472428
Charlotte, NC 28247-2428
13F FILE NUMBER: 28-2422
I represent that I am authorized to submit this form and that all information
in this form and the attachments to it is true, correct and complete and I
understand that all required items, statements and schedules are integral
parts of this form and that the submission of any amendment represents that
all unamended items, statements and schedules remain true, correct and
complete as previously submitted.
PERSON SIGNING THIS REPORT ON BEHALF OF REPORTING MANAGER:
Name: Katy Y. Slakman
Title: Vice President
Phone: 704-541-1437
Signature, Place, and Date of Signing:
Katy Y. Slakman Charlotte, North Carolina May 4, 1999
REPORT TYPE (Check only one.):
[X] 13F Holding 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.
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<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Adaptive Broadband Corp. COM 00650m104 7550 702320 SH SOLE 405120 297200
Alaska Air Group Inc. COM 011659109 8202 172670 SH SOLE 94170 78500
American Freightways Corp. COM 02629v108 4236 329000 SH SOLE 153600 175400
American Software Inc. COM 029683109 3061 979550 SH SOLE 575050 404500
Applied Microsystems Corp. COM 037935103 945 328700 SH SOLE 328700
Applied Signal Technology Inc. COM 038237103 2658 425200 SH SOLE 214800 210400
Aura Systems Inc. COM 051526101 2636 7028200 SH SOLE 3973200 3055000
Automobile Protection Corp. COM 052905106 4354 544300 SH SOLE 386600 157700
Barr Laboratories, Inc. COM 068306109 6591 216100 SH SOLE 125000 91100
Bay View Capital COM 07262L101 3407 180500 SH SOLE 102200 78300
CMC Industries, Inc. COM 125708107 1369 260800 SH SOLE 260800
CMI Corp COM 125761304 6071 971400 SH SOLE 560900 410500
Capital Re Corp COM 140432105 3705 214800 SH SOLE 123700 91100
Cellstar Corp. COM 150925105 6531 629500 SH SOLE 336600 292900
Centigram Communications Corp. COM 152317103 2850 288600 SH SOLE 288600
Chattem Inc. COM 162456107 7328 234500 SH SOLE 155200 79300
Chiquita Brands Intl COM 170032106 4413 433200 SH SOLE 245600 187600
Coldwater Creek Inc. COM 193068103 776 67500 SH SOLE 39000 28500
Commonwealth Industries Inc. COM 203004106 2379 264300 SH SOLE 121900 142400
Cooper Companies Inc. COM 216648402 5984 389200 SH SOLE 221400 167800
Cullen/Frost Bankers, Inc. COM 229899109 2680 55900 SH SOLE 18500 37400
DAW Technologies Inc COM 239220106 1502 1001400 SH SOLE 535000 466400
Dataware Technologies Inc. COM 237920103 1083 433100 SH SOLE 325100 108000
Dayton Superior Corp. COM 240028100 594 34200 SH SOLE 34200
Del Global Technologies Corp. COM 245073101 3995 463200 SH SOLE 258200 205000
Detroit Diesel COM 250837101 4136 183800 SH SOLE 76400 107400
Dixie Group Inc. COM 255519100 1131 158700 SH SOLE 121500 37200
Dollar Thrifty Automotive COM 256743105 6213 360200 SH SOLE 198800 161400
Donnkenny Inc COM 258006105 380 392500 SH SOLE 68000 324500
EZCorp Inc. Cl A COM 302301106 2417 351500 SH SOLE 351500
First Washington Bancorp Inc. COM 33748t104 4684 240980 SH SOLE 120690 120290
Government Technology Services COM 383750106 936 267500 SH SOLE 267500
Granite Construction Inc. COM 387328107 2805 120000 SH SOLE 85500 34500
Harrah's Entertainment COM 413619107 6592 345800 SH SOLE 186700 159100
IEC Electronics Corp COM 44949L105 1717 528420 SH SOLE 244620 283800
Insituform Technologies Cl A COM 457667103 8951 511500 SH SOLE 315000 196500
Interface Systems, Inc. COM 458667102 193 96300 SH SOLE 96300
Interphase Corp. COM 460593106 1414 226300 SH SOLE 215800 10500
Johnstown America Industries COM 479477101 6102 410200 SH SOLE 90000 320200
Kaneb Services Inc. COM 484170105 3119 767650 SH SOLE 663350 104300
Laboratory Corp. of America Ho COM 50540r102 4557 2603750 SH SOLE 1725750 878000
Logility, Inc. COM 54140y103 1343 364100 SH SOLE 152600 211500
Lone Star Steakhouse COM 542307103 3536 345000 SH SOLE 174700 170300
Manchester Equipment Co. COM 562154104 476 169400 SH SOLE 169400
Meadow Valley Corp. COM 583185103 748 187000 SH SOLE 82500 104500
MicroAge Inc. COM 594928103 736 136900 SH SOLE 58100 78800
Midway Games COM 598148104 3772 434200 SH SOLE 242400 191800
Mikohn Gaming Corp. COM 59862k108 376 125400 SH SOLE 125400
NBTY Inc. COM 628782104 5310 1089300 SH SOLE 647600 441700
NetManage Inc. COM 641144100 4031 1675200 SH SOLE 635200 1040000
O'Sullivan Inds COM 688609106 8017 580400 SH SOLE 333200 247200
OEC Medical Systems Inc. COM 670828102 5514 239725 SH SOLE 151325 88400
Oshkosh Truck Cl B COM 688239201 5710 175690 SH SOLE 49590 126100
</TABLE>
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<TABLE>
<CAPTION>
FORM 13F INFORMATION TABLE
VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
- ------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
PDK Labs Inc COM 693293508 501 111434 SH SOLE 111434
Paragon Trade Brands Inc COM 69912K107 147 58600 SH SOLE 29400 29200
Pillowtex Corp. COM 721501104 5349 377000 SH SOLE 206500 170500
Play-by-Play Toys & Novelties COM 72811k103 3131 500900 SH SOLE 190000 310900
Powerhouse Technologies, Inc. COM 739323103 4800 279300 SH SOLE 105900 173400
Printrak International Inc. COM 742574106 4397 606500 SH SOLE 528100 78400
Rexall Sundown Inc. COM 761648104 2698 140600 SH SOLE 14200 126400
Roberts Pharmaceutical Corp. COM 770491108 12599 607200 SH SOLE 318900 288300
Rock of Ages Corporation COM 772632105 112 10700 SH SOLE 10700
Sequent Computer Systems Inc COM 817338106 5335 588700 SH SOLE 282000 306700
Silicon Valley Bancshares COM 827064106 7201 348100 SH SOLE 205900 142200
Smartflex Systems Inc. COM 83169k108 834 226200 SH SOLE 223400 2800
Sovereign Bancorp COM 845905108 6420 524100 SH SOLE 308800 215300
Stein Mart Inc COM 858375108 5067 506700 SH SOLE 264900 241800
Systems and Computer Technolog COM 871873105 4839 483900 SH SOLE 279300 204600
Tripos Inc. COM 896928108 1104 126200 SH SOLE 126200
Turbodyne Technologies Inc. COM 899905103 1325 294400 SH SOLE 64400 230000
Uno Restaurant Corp. COM 914900105 3322 474600 SH SOLE 104100 370500
VTEL Corp. COM 918333105 3026 880400 SH SOLE 295500 584900
Wall Data Inc. COM 932045107 4860 338120 SH SOLE 171520 166600
Yellow Corp. COM 985509108 3769 216900 SH SOLE 101600 115300
Laboratory Corp of Am.Pfd Seri PFD CV 50540R201 6262 129110 SH SOLE 57193 71917
Boston Chicken Cv. Deb. CONV 100578ac7 2 32000 PRN SOLE 32000
REPORT SUMMARY 76 DATA RECORDS 276916 0 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
</TABLE>
REPORT SUMMARY:
FORM 13F INFORMATION TABLE ENTRY TOTAL:76
FORM 13F INFORMATION TABLE VALUE TOTAL:$276,916
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