UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the calendar quarter ended June 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 July 28, 2000
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: 189
Form 13F Information Table value total: 828,178
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FORM 13F INFORMATION TABLE
06/30/00
Mkt Value Invest Discretion Voting Authority
Issuer Class Cusip (000's) Quantity Sole Shared Sole None
AMBAC FINANCIAL GROUP, INC Common #023139108 7,520 137,200 Sole 137,200 0
ARCTIC CAT INC Common #039670104 12,335 1,038,845 Sole 1,038,845 0
AMERICAN GENERAL CORP Common #026351106 8,024 131,540 Sole 131,540 0
ARNOLD INDS INC Common #042595108 7,165 594,025 Sole 594,025 0
AMERICAN FINL HLDGS INC Common #026075101 5,994 377,600 Sole 377,600 0
AMLI RESIDENTIAL PPTYS TRST Common #001735109 1,685 71,500 Sole 71,500 0
AMERICAN MGMT SYS INC Common #027352103 8,141 248,000 Sole 248,000 0
AMERICAN MED SECURITY GROUP Common #02744P101 4,691 682,455 Sole 682,455 0
APPLIED SIGNAL TECH Common #038237103 5,423 469,000 Sole 469,000 0
ARDEN RLTY GROUP INC Common #039793104 2,025 86,175 Sole 86,175 0
ARCH CHEMICALS INC Common #03937R102 5,766 263,625 Sole 263,625 0
ARROW INTL INC Common #042764100 3,528 105,305 Sole 105,305 0
ASSOCIATED BANC CORP Common #045487105 103 4,730 Sole 4,730 0
AFTERMARKET TECH CORP Common #008318107 5,899 694,085 Sole 694,085 0
ARTESYN TECHNOLOGIES INC Common #043127109 9,719 349,460 Sole 349,460 0
BRANDYWINE REALTY TRUST Common #105368203 1,742 91,100 Sole 91,100 0
BECKMAN COULTER INC Common #075811109 11,530 197,525 Sole 186,700 0
BEDFORD PPTY INVS INC Common #076446301 4,673 251,785 Sole 251,785 0
BANGOR HYDRO ELEC CO Common #060077104 7,786 332,200 Sole 332,200 0
BERKLEY W R CORP Common #084423102 2,166 115,500 Sole 115,500 0
BANKNORTH GROUP INC NEW Common #06646R107 5,128 334,955 Sole 334,955 0
BMC SOFTWARE INC Common #055921100 5,538 151,800 Sole 151,800 0
BANTA CORP Common #066821109 3,777 199,500 Sole 199,500 0
BARNETT INC Common #068062108 5,317 518,700 Sole 518,700 0
BUFFETS INC Common #119882108 8,400 662,100 Sole 662,100 0
BOWATER INC Common #102183100 5,093 115,430 Sole 115,430 0
BROOKFIELD PPTYS CORP Common #112900105 1,496 112,400 Sole 112,400 0
BRADY CORP Common #104674106 3,484 107,215 Sole 107,215 0
BARR LABORATORIES INC Common #068306109 296 6,600 Sole 6,600 0
BORG WARNER INC Common #099724106 7,220 205,560 Sole 205,560 0
COMPUTER ASSOC INTL Common #204912109 8,548 167,000 Sole 167,000 0
CENTURA BANKS INC Common #15640T100 3,569 105,195 Sole 105,195 0
CIBER INC Common #17163B102 427 32,200 Sole 32,200 0
CHASE CORP Common #16150R104 889 84,545 Sole 84,545 0
CARNIVAL CORP Common #143658102 3,512 180,100 Sole 180,100 0
CHIEFTAIN INTL INC Common #16867C101 5,296 277,800 Sole 277,800 0
COMPX Common #20563P101 7,944 391,100 Sole 391,100 0
CLARCOR INC Common #179895107 3,671 184,740 Sole 184,740 0
MACK CA RLTY CORP Common #554489104 539 21,000 Sole 21,000 0
CLEARNET COMMUNICATIONS Common #184902104 3,431 123,595 Sole 123,595 0
COMCAST CORP Common #200300200 5,255 129,744 Sole 129,744 0
COLONIAL BANCGROUP INC Common #195493309 4,055 450,540 Sole 450,540 0
COACHMEN INDS INC Common #189873102 6,353 552,435 Sole 552,435 0
CAMDEN PPTY TR Common #133131102 2,414 82,215 Sole 82,215 0
COMMUNICATIONS SYS INC Common #203900105 3,646 239,100 Sole 239,100 0
DUCOMMUN INC DEL Common #264147109 1,058 88,600 Sole 88,600 0
DUPONT PHOTOMASKS INC Common #26613X101 877 12,800 Sole 12,800 0
DALLAS SEMICONDUCTOR Common #235204104 827 20,300 Sole 20,300 0
DEVON ENERGY CORPORATION Common #25179M103 219 3,900 Sole 3,900 0
DREW INDS INC Common #26168L205 2,192 278,400 Sole 278,400 0
EDELBROCK CORP Common #279434104 3,061 304,200 Sole 304,200 0
ELECTRONICS FOR IMAGING INC Common #286082102 5,442 215,000 Sole 215,000 0
EMS TECHNOLOGIES Common #26873N108 6,749 375,005 Sole 375,005 0
EOG RESOURCES INC Common #26875P101 7,826 233,600 Sole 233,600 0
EQUITY RESIDENTIAL PPTYS TR Common #29476L107 538 11,700 Sole 11,700 0
ESTERLINE TECHNOLOGIES Common #297425100 3,057 205,500 Sole 205,500 0
ENSCO INTERNATIONAL INC Common #26874Q100 8,799 245,700 Sole 245,700 0
EAST WEST BANCORP INC Common #27579R104 4,440 308,900 Sole 308,900 0
FIRST CONSULTING GROUP INC Common #31986R103 2,076 373,200 Sole 373,200 0
FARM FAMILY HOLDINGS INC Common #307901108 4,848 156,700 Sole 156,700 0
FISERV INC Common #337738108 636 14,700 Sole 14,700 0
FIBERMARK INC Common #315646109 4,777 386,045 Sole 386,045 0
FANNIE MAE Common #313586109 6,012 115,200 Sole 115,200 0
FIRST WASH RLTY TR INC Common #337489504 5,094 230,900 Sole 230,900 0
FIRST TENNESSEE NATL CORP Common #337162101 4,248 256,500 Sole 256,500 0
GREAT LAKES REIT INC Common #390752103 4,281 251,800 Sole 251,800 0
GROVE PPTY TR Common #399613108 752 46,300 Sole 46,300 0
HARMAN INTL INDS INC Common #413086109 5,964 97,770 Sole 97,770 0
HEALTHCARE SVCS GP INC Common #421906108 1,414 314,300 Sole 314,300 0
HARTFORD FINANCIAL SERVICES GROUP Common #416515104 9,062 162,000 Sole 162,000 0
HOLLINGER INTL INC Common #435569108 3,307 242,740 Sole 242,740 0
HEALTH MANAGEMENT ASSC Common #421933102 132 10,100 Sole 10,100 0
HON INDUSTRIES Common #438092108 165 7,000 Sole 7,000 0
HEALTHCARE RLTY TR Common #421946104 1,942 113,809 Sole 113,809 0
HEALTHSOUTH CORP Common #421924101 9,541 1,327,400 Sole 1,327,400 0
HARSCO CORP Common #415864107 7,986 313,175 Sole 313,175 0
HEARTLAND EXPRESS INC Common #422347104 6,075 364,115 Sole 364,115 0
HUNT CORP Common #445591100 3,190 307,525 Sole 307,525 0
HAWK CORP Common #420089104 4,238 560,435 Sole 560,435 0
INTERSTATE BAKERIES CP Common #46072H108 7,554 539,600 Sole 539,600 0
IBERIABANK CORP Common #450828108 3,763 244,795 Sole 244,795 0
INSIGHT COMMUNICATIONS Common #45768V108 147 9,400 Sole 9,400 0
IDEX CORP Common #45167R104 9,345 296,095 Sole 296,095 0
IGATE CAPITAL CORP Common #45169U105 1,332 96,915 Sole 96,915 0
IMRGLOBAL CORP Common #45321W106 6,860 525,185 Sole 525,185 0
INTEGRATED MEASUREMENT Common #457923100 5,057 321,100 Sole 321,100 0
IPALCO ENTERPRISES INC Common #462613100 3,717 184,675 Sole 184,675 0
ITLA CAP CORP Common #450565106 6,711 462,800 Sole 462,800 0
MARK IV INDS INC Common #570387100 2,736 131,075 Sole 131,075 0
KAYDON CORP Common #486587108 143 6,800 Sole 6,800 0
KOGER EQUITY INC Common #500228101 4,254 252,150 Sole 252,150 0
MERIDIAN DIAGNOSTICS Common #589602101 3,042 389,400 Sole 389,400 0
KIMBERLY CLARK CORP Common #494368103 6,483 113,000 Sole 113,000 0
TEKELEC AMX CALL AUG 45 Common #8791019HI 63 -10,000 Sole -10,000 0
TEKELEC AMX CALL AUG 50.0 Common #8791019HJ 15 -3,400 Sole -3,400 0
LANCASTER COLONY CORP Common #513847103 6,547 335,770 Sole 335,770 0
LYDALL INC DEL Common #550819106 3,239 304,800 Sole 304,800 0
LANDMARK SYSTEM CORP Common #51506S100 2,039 339,800 Sole 339,800 0
LOCAL FINL CORP Common #539553107 9,240 1,107,465 Sole 1,107,465 0
LNR PPTY CORP Common #501940100 2,645 135,485 Sole 135,485 0
LANDRYS SEAFOOD RESTRN Common #51508L103 8,307 977,310 Sole 977,310 0
LIBERTY PPTY TR Common #531172104 1,728 66,611 Sole 66,611 0
LATTICE SEMICONDUCTOR Common #518415104 435 6,300 Sole 6,300 0
LSI INDS INC Common #50216C108 6,219 409,500 Sole 409,500 0
MATRIA HEALTHCARE INC Common #576817100 4,375 952,400 Sole 952,400 0
MATTHEWS INTL CORP Common #577128101 7,953 274,240 Sole 274,240 0
MAXWELL SHOE INC Common #577766108 5,966 604,200 Sole 604,200 0
MBIA INC Common #55262C100 156 3,250 Sole 3,250 0
MEDIACOM COMMUNICATIONS CORP Common #58446K105 4,999 325,180 Sole 325,180 0
MIIX GROUP Common #59862V104 3,115 259,600 Sole 259,600 0
MERISTAR HOSPITALITY CORP Common #58984Y103 601 28,600 Sole 28,600 0
MALLINCKRODT INC NEW Common #561232109 5,159 118,780 Sole 118,780 0
MCMORAN EXPLORATION CO Common #582411104 5,485 332,435 Sole 332,485 0
MERCANTILE BANKSHARES Common #587405101 5,589 187,475 Sole 187,475 0
MIDCOAST ENERGY RES Common #59563W104 4,150 263,474 Sole 263,474 0
MARKWEST HYDROCARBON Common #570762104 1,524 180,600 Sole 180,600 0
MYERS INDS INC Common #628464109 6,055 563,300 Sole 563,300 0
NATIONAL DENTEX CORP Common #63563H109 3,792 224,700 Sole 224,700 0
NAVIGATORS GROUP INC Common #638904102 2,048 227,500 Sole 227,500 0
NCI BUILDING SYS INC Common #628852105 13,499 666,650 Sole 666,650 0
NATROL INC Common #638789107 569 175,000 Sole 175,000 0
NATIONAL R V HLDGS Common #637277104 3,543 337,450 Sole 337,450 0
NEW PLAN EXCEL RLTY TR Common #648053106 1,014 78,000 Sole 78,000 0
NEXTEL COMMUNICATIONS Common #65332V103 496 8,100 Sole 8,100 0
ORTHODONTIC CENTERS OF AMERICA Common #68750P103 6,394 282,610 Sole 282,610 0
ONEIDA LTD Common #682505102 6,555 369,315 Sole 369,315 0
PACIFIC GULF PPTYS INC Common #694396102 935 37,300 Sole 37,300 0
PACIFIC CREST CAP INC Common #694166109 2,156 164,300 Sole 164,300 0
PRIDE INTERNATIONAL INC Common #741932107 3,488 140,940 Sole 140,940 0
PEROT SYSTEMS CORP Common #714265105 2,826 256,940 Sole 256,940 0
PLANTRONICS INC NEW Common #727493108 5,768 49,945 Sole 49,945 0
PRIME MED SVCS INC NEW Common #74156D108 3,802 490,600 Sole 490,600 0
PAN PACIFIC RETAIL Common #69806L104 4,335 215,410 Sole 215,410 0
PENTAIR INC Common #709631105 6,550 184,500 Sole 184,500 0
PINNACLE WEST CAP CORP Common #723484101 8,652 255,400 Sole 255,400 0
PRENTISS PROPERTIES Common #740706106 2,050 85,400 Sole 85,400 0
POST PPTYS INC Common #737464107 2,965 67,390 Sole 67,390 0
PUBLIC STORAGE INC. Common #74460D109 8,370 357,100 Sole 357,100 0
PAYLESS SHOESOURCE INC Common #704379106 3,661 71,460 Sole 71,460 0
ROYAL CARIBBEAN CRUISES LTD Common #V7780T103 93 5,000 Sole 5,000 0
REMEDYTEMP INC -CL A Common #759549108 3,555 290,200 Sole 290,200 0
RADIOLOGIX INC Common #75040K109 2,818 790,900 Sole 790,900 0
R H DONNELLEY CORP Common #74955W307 4,826 249,095 Sole 249,095 0
RESPONSE ONCOLOGY INC Common #761232305 628 692,600 Sole 692,600 0
ROSS STORES INC Common #778296103 145 8,500 Sole 8,500 0
SBS TECHNOLOGIES INC Common #78387P103 6,597 178,600 Sole 178,600 0
SEACOAST FINANCIAL Common #81170Q106 3,971 418,000 Sole 418,000 0
SCANSOURCE INC Common #806037107 7,099 182,600 Sole 182,600 0
SYSTEMS & COMPTR TECH Common #871873105 3,874 193,745 Sole 193,745 0
SUNGARD DATA SYSTEMS INC Common #867363103 9,368 302,200 Sole 302,200 0
SPECIALTY EQUIP CO INC Common #847497203 14,047 517,855 Sole 517,855 0
SUPERIOR ENERGY SERVICES INC Common #868157108 6,918 666,800 Sole 666,800 0
SMITHFIELD FOODS, INC Common #832248108 4,243 151,220 Sole 151,220 0
ISTAR FINANCIAL INC Common #45031U101 4,772 227,938 Sole 227,938 0
SIMMONS 1ST NATL CORP Common #828730200 3,176 141,950 Sole 141,950 0
STATEN IS BANCORP INC Common #857550107 3,166 179,640 Sole 179,640 0
SIPEX CORP Common #829909100 6,141 221,800 Sole 221,800 0
SKYLINE CORP Common #830830105 3,328 154,800 Sole 154,800 0
SARA LEE CORP Common #803111103 6,987 361,800 Sole 361,800 0
SIERRA PACIFIC RESOURCES Common #826428104 3,680 292,975 Sole 292,975 0
SIMPSON MFG CO INC Common #829073105 4,051 84,740 Sole 84,740 0
SCRIPPS E W CO CL A Common #811054204 3,817 77,500 Sole 77,500 0
STEWART & STEVENSON SERVICES Common #860342104 5,873 389,900 Sole 389,900 0
STAFF LEASING INC Common #852381102 1,815 509,540 Sole 509,540 0
STEINER LEISURE LTD Common #P8744Y102 12,859 568,400 Sole 568,400 0
STERLING FINL CORP WA Common #859319105 2,248 195,500 Sole 195,500 0
SUPERVALU INC Common #868536103 5,124 268,800 Sole 268,800 0
TENET HEALTHCARE CORP Common #88033G100 9,952 368,600 Sole 368,600 0
THQ INC Common #872443403 6,734 552,550 Sole 552,550 0
HOUSTON EXPL CO Common #442120101 3,777 150,320 Sole 150,320 0
TIER TECHNOLOGIES INC-CL B Common #88650Q100 3,916 745,900 Sole 745,900 0
TJX COMPANIES INC Common #872540109 7,279 388,200 Sole 388,200 0
TEKELEC Common #879101103 646 13,400 Sole 13,400 0
TECHNITROL INC Common #878555101 4,017 41,465 Sole 41,465 0
STEPHAN CO Common #858603103 1,099 244,300 Sole 244,300 0
TAKE TWO INTERACTIVE SOFTWARE Common #874054109 6,220 513,000 Sole 513,000 0
TUSCARORA INC Common #900902107 7,916 506,650 Sole 506,650 0
UNIONBANCAL CORP Common #908906100 3,089 166,400 Sole 166,400 0
UNITED DOMINION REALTY TRUST Common #910197102 1,146 104,200 Sole 104,200 0
VENTIV HEALTH INC Common #922793104 890 80,000 Sole 80,000 0
WOODHEAD INDS INC Common #979438108 7,278 398,800 Sole 398,800 0
WAUSAU-MOSINEE PAPER CORP Common #943315101 5,625 656,985 Sole 656,985 0
WABASH NATIONAL CORP Common #929566107 5,925 496,300 Sole 496,300 0
WASHINGTON REIT Common #939653101 1,237 69,200 Sole 69,200 0
WEST PHARMACEUTICAL SERVICES INC. Common #955306105 2,359 109,070 Sole 109,070 0
XL CAPITAL LTD Common #G98255105 184 3,400 Sole 3,400 0
DENTSPLY INTL INC NEW Common #249030107 4,414 143,290 Sole 143,290 0
YOUNG INNOVATIONS, INC Common #987520103 4,208 235,400 Sole 235,400 0
YORK GROUP INC Common #986632107 2,762 690,500 Sole 690,500 0
Total ( 189 items ) 828,178 50,715,246 50,715,246
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