UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the calendar quarter ended March 31, 1999
Amendment [ ]; Amendment Number:
This Amendment [ ] is a restatement
[ ] adds new holdings entries
Institutional Investment Manager Filing this report:
Name: Dalton, Greiner, Hartman, Maher & Co.
Address: 1100 Fifth Avenue South, Suite 301
Naples, FL 34102
13F File Number: 28-2757
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, and tables, are considered integral parts of this
form.
Person signing this report on behalf of investment manager:
Name: Michael W. Keeler
Title: Vice President-Finance
Phone: 941-261-3555
Michael W. Keeler Naples, FL April 9, 1999
Signature Place Date
Report Type: 13F Holdings Report
I am signing this report as required by the Securities Exchange Act of 1934.
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FORM 13F SUMMARY PAGE
Report Summary:
Number of other included managers: 0
Form 13F Information Table entry total: 183
Form 13F Information Table value total: $765,998
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FORM 13F INFORMATION TABLE
03/31/99
Mkt Value Invest Discretion Voting Authority
Issuer Class Cusip (000's) Quantity Sole Shared Sole None
ACE CASH EXPRESS INC Common #004403101 2,238 175,500 Sole 175,500 0
AMERICAN BK NT HOLOGRA Common #024377103 1,006 435,000 Sole 435,000 0
AMBAC FINANCIAL GROUP, INC Common #023139108 5,638 104,400 Sole 104,200 200
A D C TELECOMMUNICATN Common #000886101 901 18,900 Sole 16,000 2,900
ADVANCED DIGITAL INFO Common #007525108 3,538 213,600 Sole 213,600 0
ADAPTEC INC Common #00651F108 1,006 44,100 Sole 37,900 6,200
AMERICAN GENERAL CORP Common #026351106 5,118 72,600 Sole 72,400 200
ALLERGAN INC Common #018490102 11,969 136,200 Sole 68,700 67,500
ARNOLD INDS INC Common #042595108 6,091 409,500 Sole 37,100 372,400
ALDILA INC Common #014384101 1,382 737,200 Sole 737,200 0
ALTERA CORP Common #021441100 964 16,200 Sole 13,700 2,500
AMERICAN WOODMARK CORP Common #030506109 4,317 136,500 Sole 136,500 0
AMERICAN MED SECURITY GROUP Common #02744P101 3,986 284,700 Sole 268,300 16,400
ANAREN MICROWAVE INC Common #032744104 1,979 81,600 Sole 81,600 0
APPLIED SIGNAL TECH Common #038237103 2,453 392,400 Sole 392,400 0
ARROW INTL INC Common #042764100 584 27,100 Sole 15,100 12,000
ASSOCIATED BANC CORP Common #045487105 4,340 135,900 Sole 2,400 133,500
ARCHSTONE COMMUNITIES Common #039581103 1,026 51,000 Sole 49,400 1,600
AFTERMARKET TECH CORP Common #008318107 3,724 546,700 Sole 520,700 26,000
AVISTA CORP Common #05379B107 3,512 216,100 Sole 23,600 192,500
BRANDYWINE REALTY TRUST Common #105368203 1,263 77,700 Sole 75,100 2,600
BEDFORD PPTY INVS INC Common #076446301 4,269 291,900 Sole 276,600 15,300
BANGOR HYDRO ELEC CO Common #060077104 3,187 251,200 Sole 251,200 0
BANTA CORP Common #066821109 5,459 287,300 Sole 164,250 123,050
BOSTON ACOUSTICS INC Common #100534106 536 33,000 Sole 33,000 0
BOYKIN LODGING CO Common #103430104 4,198 349,800 Sole 330,700 19,100
BRADY CORP Common #104674106 3,149 150,400 Sole 14,100 136,300
BERKSHIRE RLTY INC Common #084710102 1,952 174,500 Sole 148,500 26,000
BRADLEY REAL ESTATE Common #104580105 1,455 81,404 Sole 78,604 2,800
BORG-WARNER AUTOMOTIVE Common #099724106 7,894 165,100 Sole 88,900 76,200
COMPUTER ASSOC INTL Common #204912109 5,125 144,100 Sole 141,400 2,700
CB RICHARD ELLIS SERVICES INC Common #12489L108 4,493 272,300 Sole 21,500 250,800
C&D TECHNOLOGIES INC Common #124661109 2,848 114,500 Sole 102,700 11,800
CLARCOR INC Common #179895107 5,747 336,800 Sole 22,100 314,700
CLAIRE'S STORES INC Common #179584107 8,766 291,000 Sole 18,900 272,100
CHASE MANHATTAN CORP Common #16161A108 5,843 71,800 Sole 71,600 200
COMCAST CORP Common #200300200 6,434 102,227 Sole 102,096 131
COLONIAL BANCGROUP INC Common #195493309 4,363 363,600 Sole 32,800 330,800
COACHMEN INDS INC Common #189873102 5,439 265,300 Sole 19,800 245,500
COHU INC Common #192576106 4,345 186,900 Sole 11,800 175,100
CHROMCRAFT REVINGTON Common #171117104 4,022 272,700 Sole 261,900 10,800
COMMUNICATIONS SYS INC Common #203900105 2,482 261,300 Sole 261,300 0
DII GROUP INC Common #232949107 8,725 298,300 Sole 59,800 238,500
DUPONT PHOTOMASKS INC Common #26613X101 650 16,400 Sole 13,900 2,500
DALLAS SEMICONDUCTOR Common #235204104 6,555 169,700 Sole 16,000 153,700
DAYTON SUPERIOR CORP Common #240028100 4,564 262,700 Sole 262,700 0
DREW INDS INC Common #26168L205 5,012 440,600 Sole 440,600 0
EDELBROCK CORP Common #279434104 3,504 233,600 Sole 220,500 13,100
EMS TECHNOLOGIES Common #26873N108 3,132 221,700 Sole 213,200 8,500
PHYSICIANS SPECIALTY CORP Common #718934102 2,899 429,500 Sole 429,500 0
ESSEX PPTY TR INC Common #297178105 1,332 51,000 Sole 49,300 1,700
ENSCO INTERNATIONAL INC Common #26874Q100 11,590 870,600 Sole 446,800 423,800
ETEC SYSTEMS, INC Common #26922C103 5,243 178,100 Sole 42,200 135,900
FORD MTR CO DEL Common #345370100 7,335 129,400 Sole 129,100 300
FORT JAMES CORP Common #347471104 7,510 237,000 Sole 236,450 550
FIBERMARK INC Common #315646109 3,713 314,350 Sole 294,650 19,700
FOUR MEDIA COMPANY Common #350872107 2,444 407,400 Sole 407,400 0
FIRST WASH RLTY TR INC Common #337489504 922 43,000 Sole 41,700 1,300
GABLES RESIDENTIAL TR Common #362418105 3,795 173,000 Sole 3,100 169,900
GIANT INDS INC Common #374508109 2,040 238,200 Sole 219,500 18,700
GROVE PPTY TR Common #399613108 1,191 101,400 Sole 97,900 3,500
HARMAN INTL INDS INC Common #413086109 5,479 149,100 Sole 16,400 132,700
HEALTHCARE SVCS GP INC Common #421906108 2,872 302,300 Sole 302,300 0
HADCO CORP Common #404681108 1,244 39,500 Sole 29,900 9,600
HARTFORD FINANCIAL SERVICES GROUP Common #416515104 6,090 107,200 Sole 107,000 200
HOLLINGER INTL INC Common #435569108 4,046 298,300 Sole 35,600 262,700
HEALTHCARE RLTY TR Common #421946104 1,501 79,013 Sole 76,513 2,500
HARMON INDS INC NEW Common #413136102 2,510 125,100 Sole 117,700 7,400
HUSSMANN INTL INC Common #448110106 5,945 404,750 Sole 30,150 374,600
HUTCHINSON TECHNOLOGY Common #448407106 4,164 167,400 Sole 40,900 126,500
HEARTLAND EXPRESS INC Common #422347104 562 37,000 Sole 22,700 14,300
HUMANA INC Common #444859102 13,595 788,100 Sole 498,100 290,000
HUNT CORP Common #445591100 1,818 184,100 Sole 173,800 10,300
HAVERTY FURNITURE INC Common #419596101 4,116 162,200 Sole 154,500 7,700
HAWK CORP Common #420089104 4,378 547,300 Sole 518,700 28,600
INTERNATIONAL BUS MACH Common #459200101 6,097 34,400 Sole 33,900 500
INACOM CORP Common #45323G109 4,964 640,500 Sole 304,600 335,900
IDEX CORP Common #45167R104 5,167 219,300 Sole 16,500 202,800
INTEGRATED MEASUREMENT Common #457923100 3,320 457,900 Sole 457,900 0
ISB FINL CORP LA Common #450091103 4,227 233,200 Sole 224,400 8,800
ITLA CAP CORP Common #450565106 5,065 349,300 Sole 339,200 10,100
JEVIC TRANSPORTATION INC. Common #47719P107 4,291 666,500 Sole 660,000 6,500
JONES INTERCABLE INC A Common #480206200 7,296 185,000 Sole 14,600 170,100
KOGER EQUITY INC Common #500228101 1,978 147,200 Sole 126,700 20,500
MERIDIAN DIAGNOSTICS Common #589602101 1,846 295,300 Sole 295,300 0
KLA-TENCOR CORP Common #482480100 845 17,400 Sole 14,600 2,800
KIMBERLY CLARK CORP Common #494368103 6,520 136,000 Sole 135,700 300
LANCASTER COLONY CORP Common #513847103 12,281 461,250 Sole 275,850 185,400
LYDALL INC DEL Common #550819106 2,054 247,100 Sole 247,100 0
LANDRYS SEAFOOD RESTRN Common #51508L103 5,449 850,500 Sole 823,700 26,800
LNR PPTY CORP Common #501940100 5,577 282,400 Sole 57,300 225,100
LOCAL FINL CORP Common #539553107 3,362 361,000 Sole 340,200 20,800
LIBERTY PPTY TR Common #531172104 1,193 57,478 Sole 55,778 1,700
ALIGN-RITE INTL INC Common #016251100 584 50,500 Sole 50,500 0
MATRIA HEALTHCARE INC Common #576817100 3,645 1,356,200 Sole 1,356,200 0
MATTHEWS INTL CORP Common #577128101 3,723 136,000 Sole 130,500 5,500
MAXWELL SHOE INC Common #577766108 2,966 343,900 Sole 343,900 0
MERISTAR HOSPITALITY CORP Common #58984Y103 1,317 72,400 Sole 69,900 2,500
MALLINCKRODT INC NEW Common #561232109 3,491 131,100 Sole 15,000 116,100
MALLON RES CORP Common #561240201 2,517 335,600 Sole 335,600 0
MERCANTILE BANKSHARES Common #587405101 11,913 321,975 Sole 165,050 156,925
MIDCOAST ENERGY RES Common #59563W104 4,685 302,236 Sole 285,500 16,738
MICROSEMI CORP Common #595137100 1,933 242,600 Sole 242,600 0
NATIONAL DENTEX CORP Common #63563H109 3,254 224,400 Sole 224,400 0
NAVIGATORS GROUP INC Common #638904102 2,988 213,400 Sole 213,400 0
NCI BUILDING SYS INC Common #628852105 3,751 159,600 Sole 151,100 8,500
NOBLE DRILLING CORP Common #655042109 804 46,300 Sole 26,700 19,600
MARKWEST HYDROCARBON Common #570762104 1,485 198,000 Sole 185,800 12,200
NORSTAN INC Common #656535101 3,518 380,300 Sole 365,900 14,400
NORTHERN TELECOM LTD Common #665815106 933 15,020 Sole 12,580 2,440
NATIONAL R V HLDGS Common #637277104 2,696 121,850 Sole 121,850 0
NEW PLAN EXCEL RLTY TR Common #648053106 6,048 315,200 Sole 312,720 2,480
ORCAD INC Common #685568107 3,942 470,700 Sole 470,700 0
ONEIDA LTD Common #682505102 4,150 244,100 Sole 235,000 9,100
OPTEK TECHNOLOGY INC Common #683815104 4,684 318,900 Sole 305,100 13,800
MAHASKA INVESTMENT CO Common #559809108 3,264 207,233 Sole 193,400 13,833
OMEGA WORLDWIDE INC Common #68210B108 1,654 441,000 Sole 441,000 0
PACIFIC GULF PPTYS INC Common #694396102 1,217 67,600 Sole 65,300 2,300
PACIFIC CREST CAP INC Common #694166109 2,457 178,700 Sole 178,700 0
PENNSYLVANIA RL EST TR Common #709102107 3,311 177,200 Sole 175,700 1,500
PEOPLES HERITAGE FINL Common #711147108 660 36,675 Sole 21,150 15,525
PHYSICIAN RELIANCE NETWORK, INC Common #71940G108 4,509 530,500 Sole 47,200 483,300
PLANTRONICS INC NEW Common #727493108 857 13,700 Sole 7,500 6,200
PRIME MED SVCS INC NEW Common #74156D108 3,732 506,000 Sole 506,000 0
PNC BK CORP Common #693475105 3,050 54,900 Sole 54,800 100
PAN PACIFIC RETAIL Common #69806L104 5,462 307,700 Sole 102,000 205,700
PENTAIR INC Common #709631105 11,306 335,000 Sole 198,100 136,900
PINNACLE WEST CAP CORP Common #723484101 10,913 300,000 Sole 161,200 138,800
PRENTISS PROPERTIES Common #740706106 9,345 498,400 Sole 318,800 179,600
PUBLIC STORAGE INC. Common #74460D109 4,925 197,000 Sole 56,300 140,700
PERICOM SEMICONDUCTOR Common #713831105 2,366 280,400 Sole 280,400 0
PAYLESS SHOESOURCE INC Common #704379106 6,426 138,200 Sole 11,800 126,400
PLASMA THERM CORP Common #727900102 1,434 637,400 Sole 637,400 0
PROVIDENT COS INC Common #743862104 5,959 172,400 Sole 172,000 400
QUORUM HEALTH GRP INC Common #749084109 4,832 483,150 Sole 0 483,150
QUANTUM CORP Common #747906105 518 28,800 Sole 24,400 4,400
RELIANCE GP HOLDINGS Common #759464100 4,430 576,200 Sole 41,900 534,300
REYNOLDS & REYNOLDS CO Common #761695105 12,584 662,300 Sole 349,400 312,900
RF MONOLITHICS INC Common #74955F106 842 136,100 Sole 136,100 0
R H DONNELLEY CORP Common #74955W307 7,765 503,000 Sole 43,700 459,300
RAINBOW TECHNOLOGIES Common #750862104 3,446 344,600 Sole 344,600 0
RESPONSE ONCOLOGY INC Common #761232305 2,603 867,800 Sole 867,800 0
SBARRO INC Common #805844107 10,820 406,400 Sole 32,000 374,400
SBS TECHNOLOGIES INC Common #78387P103 3,188 177,100 Sole 177,100 0
SEACOAST FINANCIAL Common #81170Q106 3,866 391,500 Sole 391,500 0
SCI SYS INC Common #783890106 12,881 434,800 Sole 280,600 154,200
SCANSOURCE INC Common #806037107 4,724 264,300 Sole 264,300 0
SYSTEMS & COMPTR TECH Common #871873105 3,889 388,900 Sole 63,100 325,800
SPECIALTY EQUIP CO INC Common #847497203 7,909 286,300 Sole 276,300 10,000
SEAGATE TECHNOLOGY Common #811804103 710 24,000 Sole 20,400 3,600
SMARTFLEX SYS INC Common #83169K108 1,551 420,700 Sole 396,100 24,600
SIMMONS 1ST NATL CORP Common #828730200 4,866 152,950 Sole 146,350 6,600
SCHULMAN A INC Common #808194104 578 42,400 Sole 24,100 18,300
STATEN IS BANCORP INC Common #857550107 4,498 261,700 Sole 26,800 234,900
SMITH INTL INC Common #832110100 10,588 264,700 Sole 140,100 124,600
SKYLINE CORP Common #830830105 674 24,300 Sole 15,300 9,000
SIMPSON MFG CO INC Common #829073105 7,366 183,000 Sole 15,300 167,700
SCRIPPS E W CO CL A Common #811054204 4,217 95,300 Sole 95,000 300
STERIGENICS INTL INC Common #85915R105 3,040 311,800 Sole 311,800 0
STAFF LEASING INC Common #852381102 6,650 464,600 Sole 437,000 27,600
STEINER LEISURE LTD Common #P8744Y102 4,189 136,225 Sole 127,050 9,175
STERLING FINL CORP WA Common #859319105 3,357 216,600 Sole 216,600 0
SUPERVALU INC Common #868536103 10,797 523,500 Sole 254,700 268,800
TASTY BAKING CO Common #876553306 3,130 281,350 Sole 267,925 13,425
TRIGON HEALTHCARE INC Common #89618L100 4,384 128,000 Sole 10,300 117,700
TENET HEALTHCARE CORP Common #88033G100 6,730 355,400 Sole 354,500 900
THQ INC Common #872443403 6,373 312,800 Sole 291,100 21,700
TECHNITROL INC Common #878555101 3,524 152,800 Sole 143,400 9,400
TNP ENTERPRISES INC Common #872594106 753 26,200 Sole 16,300 9,900
TRINET CORP RLTY TR Common #896287109 855 33,700 Sole 32,500 1,200
TRINITY INDS INC Common #896522109 5,857 199,400 Sole 199,000 400
STEPHAN CO Common #858603103 2,405 274,800 Sole 274,800 0
TUSCARORA INC Common #900902107 5,128 436,400 Sole 422,650 13,750
UNIONBANCAL CORP Common #908906100 7,572 222,300 Sole 221,700 600
URBAN SHOPPING CTRS Common #917060105 823 28,700 Sole 27,700 1,000
VLSI TECHNOLOGY INC Common #918270109 6,712 346,400 Sole 46,600 299,800
VARLEN CORP Common #922248109 2,432 110,560 Sole 103,348 7,212
WOODHEAD INDS INC Common #979438108 1,976 204,000 Sole 204,000 0
WAUSAU-MOSINEE PAPER CORP Common #943315101 11,360 811,400 Sole 506,500 304,900
WEST PHARMACEUTICAL SERVICES INC. Common #955306105 908 28,500 Sole 17,300 11,200
EXCEL LEGACY CORP Common #300665106 42 12,100 Sole 9,700 2,400
DENTSPLY INTL INC NEW Common #249030107 5,782 248,700 Sole 23,200 225,500
YOUNG INNOVATIONS, INC Common #987520103 2,954 251,400 Sole 251,400 0
Total ( 183 items ) 765998 47247298 34294414 12952884
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