DALTON GREINER HARTMAN MAHER & CO INC
13F-HR, 2000-10-31
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					UNITED STATES
			SECURITIES AND EXCHANGE COMMISSION
				WASHINGTON, D.C. 20549

					FORM 13F

				FORM 13F COVER PAGE

Report for the calendar quarter ended September 30, 2000

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:	565 Fifth Avenue, Suite 2101
		New York, NY 10017

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		New York, NY	October 31, 2000
Signature 			Place			Date

Report Type: 13F Holdings Report

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: 193

Form 13F Information Table value total: 982,167

<PAGE>
<TABLE>
<C>					    <C>	    <C>	<C>		<C> 		<C>		 <C>	     <C>
 									FORM 13F INFORMATION TABLE
                                                             09/30/00

                                                                   Mkt Value       Invest Discretion           Voting   Authority
 Issuer                                 Class       Cusip            (000's)   Quantity  Sole   Shared           Sole       None
 AMBAC FINANCIAL GROUP, INC             Common      #023139108         9,068    123,800  Sole                 123,800          0
 ARCTIC CAT INC                         Common      #039670104        15,030  1,190,525  Sole               1,190,525          0
 AMERICAN GENERAL CORP                  Common      #026351106         6,950     89,100  Sole                  89,100          0
 ARNOLD INDS INC                        Common      #042595108        12,077    715,695  Sole                 715,695          0
 AMETEK INC                             Common      #031100100         6,146    290,115  Sole                 290,115          0
 AMERICAN FINL HLDGS INC                Common      #026075101         6,819    386,900  Sole                 386,900          0
 AMLI RESIDENTIAL PPTYS TRST            Common      #001735109         1,306     54,400  Sole                  54,400          0
 AMERICAN MGMT SYS INC                  Common      #027352103         5,024    292,300  Sole                 292,300          0
 AMERICAN MED SECURITY GROUP            Common      #02744P101         4,498    698,705  Sole                 698,705          0
 APPLIED SIGNAL TECH                    Common      #038237103         3,421    480,100  Sole                 480,100          0
 ARDEN RLTY GROUP INC                   Common      #039793104         1,700     63,400  Sole                  63,400          0
 ARCH CHEMICALS INC                     Common      #03937R102         6,596    361,450  Sole                 361,450          0
 ARROW INTL INC                         Common      #042764100         5,428    149,214  Sole                 149,214          0
 AFTERMARKET TECH CORP                  Common      #008318107         4,856    809,320  Sole                 809,320          0
 ARTESYN TECHNOLOGIES INC               Common      #043127109        11,402    391,510  Sole                 391,510          0
 BRANDYWINE REALTY TRUST                Common      #105368203         1,478     73,000  Sole                  73,000          0
 BECKMAN COULTER INC                    Common      #075811109        15,088    195,625  Sole                 195,625          0
 BEDFORD PPTY INVS INC                  Common      #076446301         6,560    322,935  Sole                 322,935          0
 FRANKLIN RESOURCES INC                 Common      #354613101         3,252     73,200  Sole                  73,200          0
 BANGOR HYDRO ELEC CO                   Common      #060077104         8,035    332,200  Sole                 332,200          0
 BANKNORTH GROUP INC NEW                Common      #06646R107         8,245    461,245  Sole                 461,245          0
 BMC SOFTWARE INC                       Common      #055921100         2,882    150,700  Sole                 150,700          0
 BANTA CORP                             Common      #066821109         6,743    276,655  Sole                 276,655          0
 BARNETT INC                            Common      #068062108         6,900    528,200  Sole                 528,200          0
 BUFFETS INC                            Common      #119882108         8,882    645,940  Sole                 645,940          0
 BOWATER INC                            Common      #102183100         4,885    105,200  Sole                 105,200          0
 BROOKFIELD PPTYS CORP                  Common      #112900105         1,522     94,000  Sole                  94,000          0
 BRADY CORP                             Common      #104674106         4,521    149,425  Sole                 149,425          0
 BORG WARNER INC                        Common      #099724106         7,352    221,955  Sole                 221,955          0
 COMPUTER ASSOC INTL                    Common      #204912109         4,065    161,400  Sole                 161,400          0
 CENTURA BANKS INC                      Common      #15640T100         5,441    142,020  Sole                 142,020          0
 CHASE CORP                             Common      #16150R104           269     28,700  Sole                  28,700          0
 CARNIVAL CORP                          Common      #143658102         4,016    163,100  Sole                 163,100          0
 CHARTER ONE FINANCIAL INC              Common      #160903100         7,435    305,030  Sole                 305,030          0
 CHIEFTAIN INTL INC                     Common      #16867C101         5,898    285,100  Sole                 285,100          0
 COMPX                                  Common      #20563P101         8,404    400,200  Sole                 400,200          0
 CLARCOR INC                            Common      #179895107         4,949    253,805  Sole                 253,805          0
 CLAIRE'S STORES INC                    Common      #179584107         1,543     85,700  Sole                  85,700          0
 MACK CA RLTY CORP                      Common      #554489104           409     14,500  Sole                  14,500          0
 CLEARNET COMMUNICATIONS                Common      #184902104         5,928    133,795  Sole                 133,795          0
 CHASE MANHATTAN CORP                   Common      #16161A108         7,593    164,400  Sole                 164,400          0
 COMCAST CORP                           Common      #200300200         4,660    113,844  Sole                 113,844          0
 COLONIAL BANCGROUP INC                 Common      #195493309         6,383    615,240  Sole                 615,240          0
 COACHMEN INDS INC                      Common      #189873102         7,335    702,680  Sole                 702,680          0
 CAMDEN PPTY TR                         Common      #133131102         2,474     79,805  Sole                  79,805          0
 COMMUNICATIONS SYS INC                 Common      #203900105           365     27,300  Sole                  27,300          0
 DUCOMMUN INC DEL                       Common      #264147109         1,246     88,600  Sole                  88,600          0
 DALLAS SEMICONDUCTOR                   Common      #235204104           667     20,300  Sole                  20,300          0
 DEVON ENERGY CORPORATION               Common      #25179M103           235      3,900  Sole                   3,900          0
 DREW INDS INC                          Common      #26168L205         1,786    285,700  Sole                 285,700          0
 EDELBROCK CORP                         Common      #279434104         3,453    312,100  Sole                 312,100          0
 ELECTRONICS FOR IMAGING INC            Common      #286082102         7,946    314,700  Sole                 314,700          0
 EMS TECHNOLOGIES                       Common      #26873N108         7,388    492,455  Sole                 492,455          0
 EOG RESOURCES INC                      Common      #26875P101         8,218    211,400  Sole                 211,400          0
 EQUITY RESIDENTIAL  PPTYS TR           Common      #29476L107           374      7,800  Sole                   7,800          0
 EQUITY RESID PPTYS TR PREF A STOCK     Common      #29476L206           321     13,300  Sole                  13,300          0
 ESTERLINE TECHNOLOGIES                 Common      #297425100        10,160    516,010  Sole                 516,010          0
 ENSCO INTERNATIONAL INC                Common      #26874Q100         7,359    192,400  Sole                 192,400          0
 EAST WEST BANCORP INC                  Common      #27579R104         6,197    316,800  Sole                 316,800          0
 FIRST CONSULTING GROUP INC             Common      #31986R103         2,128    382,500  Sole                 382,500          0
 FARM FAMILY HOLDINGS INC               Common      #307901108         5,085    160,800  Sole                 160,800          0
 FIBERMARK INC                          Common      #315646109         3,924    385,175  Sole                 385,175          0
 FANNIE MAE                             Common      #313586109         7,443    104,100  Sole                 104,100          0
 FIRST WASH RLTY TR INC                 Common      #337489504         5,661    223,100  Sole                 223,100          0
 FIRST SENTINEL BANCORP INC             Common      #33640T103         5,379    564,400  Sole                 564,400          0
 FIRST TENNESSEE NATL CORP              Common      #337162101         4,697    229,800  Sole                 229,800          0
 G & K SERVICES INC CL A                Common      #361268105         4,499    160,340  Sole                 160,340          0
 GREAT LAKES REIT INC                   Common      #390752103         4,151    238,900  Sole                 238,900          0
 GROVE PPTY TR                          Common      #399613108           403     24,400  Sole                  24,400          0
 HARMAN INTL INDS INC                   Common      #413086109         6,445    164,835  Sole                 164,835          0
 HARBOR FLORIDA BANCSHARES              Common      #411901101         5,859    485,700  Sole                 485,700          0
 HEALTHCARE SVCS GP INC                 Common      #421906108         1,591    322,200  Sole                 322,200          0
 HARTFORD FINANCIAL SERVICES GROUP      Common      #416515104         8,264    113,300  Sole                 113,300          0
 HOLLINGER INTL INC                     Common      #435569108         5,535    330,505  Sole                 330,505          0
 HON INDUSTRIES                         Common      #438092108           172      7,000  Sole                   7,000          0
 HEALTHCARE RLTY TR                     Common      #421946104         1,963     92,900  Sole                  92,900          0
 HEALTHSOUTH CORP                       Common      #421924101         9,900  1,218,400  Sole               1,218,400          0
 HERLEY INDUSTRIES INC                  Common      #427398102         3,721    164,000  Sole                 164,000          0
 HARSCO CORP                            Common      #415864107         7,418    336,245  Sole                 336,245          0
 HEARTLAND EXPRESS INC                  Common      #422347104         7,551    434,645  Sole                 434,645          0
 HUNT CORP                              Common      #445591100         2,251    315,925  Sole                 315,925          0
 HAWK CORP                              Common      #420089104         4,081    582,945  Sole                 582,945          0
 INTERSTATE BAKERIES CP                 Common      #46072H108         7,251    495,800  Sole                 495,800          0
 IBERIABANK CORP                        Common      #450828108         5,766    314,855  Sole                 314,855          0
 INTERNATIONAL BUS MACH                 Common      #459200101         6,581     58,500  Sole                  58,500          0
 INSIGHT COMMUNICATIONS                 Common      #45768V108           149      9,400  Sole                   9,400          0
 IDEX CORP                              Common      #45167R104         8,720    312,130  Sole                 312,130          0
 IGATE CAPITAL CORP                     Common      #45169U105         2,592    482,140  Sole                 482,140          0
 IMRGLOBAL CORP                         Common      #45321W106         8,398    722,355  Sole                 722,355          0
 INTEGRATED MEASUREMENT                 Common      #457923100         4,392    325,300  Sole                 325,300          0
 IPALCO ENTERPRISES INC                 Common      #462613100         4,398    192,235  Sole                 192,235          0
 ITLA CAP CORP                          Common      #450565106         7,033    474,800  Sole                 474,800          0
 KAYDON CORP                            Common      #486587108           205      8,900  Sole                   8,900          0
 KOGER EQUITY INC                       Common      #500228101         5,975    351,480  Sole                 351,480          0
 MERIDIAN DIAGNOSTICS                   Common      #589602101         3,167    402,100  Sole                 402,100          0
 KIMBERLY CLARK CORP                    Common      #494368103         5,648    101,200  Sole                 101,200          0
 LANCASTER COLONY CORP                  Common      #513847103         9,484    386,110  Sole                 386,110          0
 LYDALL INC DEL                         Common      #550819106         3,577    312,700  Sole                 312,700          0
 LANDMARK SYSTEM CORP                   Common      #51506S100         1,438    348,700  Sole                 348,700          0
 LOCAL FINL CORP                        Common      #539553107        14,602  1,537,135  Sole               1,537,135          0
 LNR PPTY CORP                          Common      #501940100         9,312    420,860  Sole                 420,860          0
 LANDRYS SEAFOOD RESTRN                 Common      #51508L103         8,775  1,288,265  Sole               1,288,265          0
 LIBERTY PPTY TR                        Common      #531172104         1,525     55,448  Sole                  55,448          0
 LIBERTY PROPERTY TRUST PDF A           Common      #531172203           729     32,400  Sole                  32,400          0
 LSI INDS INC                           Common      #50216C108        12,101    545,400  Sole                 545,400          0
 MATRIA HEALTHCARE INC                  Common      #576817100         3,418    976,500  Sole                 976,500          0
 MATTHEWS INTL CORP                     Common      #577128101         9,377    319,210  Sole                 319,210          0
 MAXWELL SHOE INC                       Common      #577766108         7,327    654,900  Sole                 654,900          0
 MBIA INC                               Common      #55262C100           228      3,200  Sole                   3,200          0
 MEDIACOM COMMUNICATIONS CORP           Common      #58446K105         7,169    444,570  Sole                 444,570          0
 MIIX GROUP                             Common      #59862V104         2,260    271,840  Sole                 271,840          0
 MERISTAR HOSPITALITY CORP              Common      #58984Y103           579     28,600  Sole                  28,600          0
 MALLINCKRODT INC NEW                   Common      #561232109         3,958     86,755  Sole                  86,755          0
 MCMORAN EXPLORATION CO                 Common      #582411104         5,339    460,195  Sole                 460,195          0
 MERCANTILE BANKSHARES                  Common      #587405101         1,611     44,375  Sole                  44,375          0
 MIDCOAST ENERGY RES                    Common      #59563W104         5,558    270,274  Sole                 270,274          0
 MASTEC INC                             Common      #576323109           197      6,300  Sole                   6,300          0
 MARKWEST HYDROCARBON                   Common      #570762104         2,261    186,500  Sole                 186,500          0
 MYERS INDS INC                         Common      #628464109         8,236    649,110  Sole                 649,110          0
 NATIONAL DENTEX CORP                   Common      #63563H109         3,976    230,500  Sole                 230,500          0
 NAVIGATORS GROUP INC                   Common      #638904102         2,417    227,500  Sole                 227,500          0
 NCI BUILDING SYS INC                   Common      #628852105        11,515    787,300  Sole                 787,300          0
 NATIONAL R V HLDGS                     Common      #637277104         3,485    346,350  Sole                 346,350          0
 NEXTEL COMMUNICATIONS                  Common      #65332V103           379      8,100  Sole                   8,100          0
 ORTHODONTIC CENTERS OF AMERICA         Common      #68750P103        12,166    365,205  Sole                 365,205          0
 ONEIDA LTD                             Common      #682505102         5,984    431,255  Sole                 431,255          0
 OMNICARE INC                           Common      #681904108         2,649    164,230  Sole                 164,230          0
 PACIFIC GULF PPTYS INC                 Common      #694396102           669     25,000  Sole                  25,000          0
 PACIFIC CREST CAP INC                  Common      #694166109         2,371    168,600  Sole                 168,600          0
 PRIDE INTERNATIONAL INC                Common      #741932107         5,108    192,790  Sole                 192,790          0
 PEROT SYSTEMS CORP                     Common      #714265105         5,490    510,680  Sole                 510,680          0
 PLANTRONICS INC NEW                    Common      #727493108         5,642    148,485  Sole                 148,485          0
 PRIME MED SVCS INC NEW                 Common      #74156D108         3,626    467,900  Sole                 467,900          0
 PAN PACIFIC RETAIL                     Common      #69806L104         5,678    283,820  Sole                 283,820          0
 PENTAIR INC                            Common      #709631105           110      4,100  Sole                   4,100          0
 PINNACLE WEST CAP CORP                 Common      #723484101         8,003    157,300  Sole                 157,300          0
 PRENTISS PROPERTIES                    Common      #740706106         3,048    116,670  Sole                 116,670          0
 POST PPTYS INC                         Common      #737464107         1,072     24,600  Sole                  24,600          0
 POST PPTYS INC PREF                    Common      #737464206             9        200  Sole                     200          0
 POST PROPERTIES 7 5/8 SER C CUM PFD    Common      #737464404           200      9,400  Sole                   9,400          0
 PUBLIC STORAGE INC.                    Common      #74460D109         7,471    312,100  Sole                 312,100          0
 PUBLIC STORAGE INC                     Common      #74460D729           598     25,800  Sole                  25,800          0
 PAYLESS SHOESOURCE INC                 Common      #704379106         5,528     98,715  Sole                  98,715          0
 ROYAL CARIBBEAN CRUISES LTD            Common      #V7780T103           129      5,000  Sole                   5,000          0
 REMEDYTEMP INC  -CL A                  Common      #759549108         1,293    108,200  Sole                 108,200          0
 RADIOLOGIX INC                         Common      #75040K109         4,917    811,100  Sole                 811,100          0
 R H DONNELLEY CORP                     Common      #74955W307         7,208    341,200  Sole                 341,200          0
 RESPONSE ONCOLOGY INC                  Common      #761232305           545    622,600  Sole                 622,600          0
 ROSS STORES INC                        Common      #778296103           147     10,200  Sole                  10,200          0
 REPUBLIC SERVICES INC                  Common      #760759100         4,090    311,600  Sole                 311,600          0
 SBS TECHNOLOGIES INC                   Common      #78387P103         8,351    359,200  Sole                 359,200          0
 SEACOAST FINANCIAL                     Common      #81170Q106         4,698    427,100  Sole                 427,100          0
 SCANSOURCE INC                         Common      #806037107         4,841     90,700  Sole                  90,700          0
 SYSTEMS & COMPTR TECH                  Common      #871873105         4,605    262,230  Sole                 262,230          0
 SECURITY CAP GRP INC -CLB              Common      #81413P204           682     36,000  Sole                  36,000          0
 SUNGARD DATA SYSTEMS INC               Common      #867363103         7,869    183,800  Sole                 183,800          0
 SPECIALTY EQUIP CO INC                 Common      #847497203        16,581    671,660  Sole                 671,660          0
 SUPERIOR ENERGY SERVICES INC           Common      #868157108         7,181    683,900  Sole                 683,900          0
 SMITHFIELD FOODS, INC                  Common      #832248108         5,395    205,530  Sole                 205,530          0
 ISTAR FINANCIAL INC                    Common      #45031U101         6,507    290,025  Sole                 290,025          0
 SIMMONS 1ST NATL CORP                  Common      #828730200         2,965    146,850  Sole                 146,850          0
 STATEN IS BANCORP INC                  Common      #857550107         4,921    246,050  Sole                 246,050          0
 SIPEX CORP                             Common      #829909100         7,302    173,600  Sole                 173,600          0
 SKYLINE CORP                           Common      #830830105         3,387    158,900  Sole                 158,900          0
 SARA LEE CORP                          Common      #803111103         6,807    335,100  Sole                 335,100          0
 SIERRA PACIFIC RESOURCES               Common      #826428104         7,002    388,975  Sole                 388,975          0
 SIMPSON MFG CO INC                     Common      #829073105         5,122    114,620  Sole                 114,620          0
 SCRIPPS E W CO CL A                    Common      #811054204         3,861     71,500  Sole                  71,500          0
 STEWART & STEVENSON SERVICES           Common      #860342104         6,978    400,200  Sole                 400,200          0
 STAFF LEASING INC                      Common      #852381102         1,895    500,840  Sole                 500,840          0
 STEINER LEISURE LTD                    Common      #P8744Y102        14,858    664,025  Sole                 664,025          0
 SUPERVALU INC                          Common      #868536103         3,615    240,000  Sole                 240,000          0
 TENET HEALTHCARE CORP                  Common      #88033G100         9,207    253,100  Sole                 253,100          0
 THQ INC                                Common      #872443403        18,802    808,675  Sole                 808,675          0
 HOUSTON EXPL CO                        Common      #442120101         7,120    281,970  Sole                 281,970          0
 TIER TECHNOLOGIES INC-CL B             Common      #88650Q100         5,616    764,700  Sole                 764,700          0
 TJX COMPANIES INC                      Common      #872540109         7,970    354,200  Sole                 354,200          0
 TECHNITROL INC                         Common      #878555101         2,077     20,555  Sole                  20,555          0
 STEPHAN CO                             Common      #858603103           947    244,300  Sole                 244,300          0
 TAKE TWO INTERACTIVE SOFTWARE          Common      #874054109         8,119    646,255  Sole                 646,255          0
 TUSCARORA INC                          Common      #900902107         7,140    519,250  Sole                 519,250          0
 UNIONBANCAL CORP                       Common      #908906100         3,546    152,100  Sole                 152,100          0
 UNITED DOMINION REALTY TRUST           Common      #910197102         4,918    452,260  Sole                 452,260          0
 VENTIV HEALTH INC                      Common      #922793104         1,596    126,400  Sole                 126,400          0
 WOODHEAD INDS INC                      Common      #979438108         8,475    408,600  Sole                 408,600          0
 WAUSAU-MOSINEE PAPER CORP              Common      #943315101         3,888    501,750  Sole                 501,750          0
 WABASH NATIONAL CORP                   Common      #929566107         4,647    509,300  Sole                 509,300          0
 WASHINGTON REIT                        Common      #939653101           740     36,900  Sole                  36,900          0
 WEST PHARMACEUTICAL SERVICES INC.      Common      #955306105         4,559    196,090  Sole                 196,090          0
 XL CAPITAL LTD                         Common      #G98255105           250      3,400  Sole                   3,400          0
 DENTSPLY INTL INC NEW                  Common      #249030107         6,872    196,685  Sole                 196,685          0
 YOUNG INNOVATIONS, INC                 Common      #987520103         3,797    243,000  Sole                 243,000          0
 YORK GROUP INC                         Common      #986632107         4,249    708,100  Sole                 708,100          0
Total   ( 193 items )                                                982,167 58,199,450                    58,199,450

</TABLE>


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