ROFFMAN MILLER ASSOCIATES INC /PA/
13F-HR, 1999-05-12
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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

Check here if Amendment [   ]; Amendment Number: _________
  This Amendment  (Check only one.):  [   ] is a restatement
                                      [   ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:           Roffman Miller Associates Inc.
Address:        Eleven Penn Center
                1835 Market Street, Suite 500
                Philadelphia, PA 19103

13F File Number:   28-7498

The institutional investment manager filing this report and the 
person by whom it is signed hereby represent that the person 
signing 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:      Paulette Greenwell
Title:     Associate
Phone:     215-981-1030
Signature, Place, and Date of Signing:

       Paulette Greenwell,   Philadelphia, PA   May 4, 1999

Report Type  ( Check Only One.):
[  x  ]3F HOLDINGS REPORT
[     ]13F NOTICE
[     ]13F COMBINATION REPORT



I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES AND 
EXCHANGE ACT OF 1934.
<PAGE>



FORM 13F SUMMARY PAGE

Report summary:

Number of Other Included Managers:    0

Form 13F Information Table Entry Total:  70

Form 13F Information Table Entry Total:  $96,239
                                        (thousands)	
<PAGE>


<TABLE>
            

Form 13F Imformation Table

C1                       C2       C3              C4       C5         C6       C7       C8
                         Title of                Value    Shares sh/prn   Ivmnt    Other    Voting Authority
Name of Issuer           Class    Cusip         (x$1000)  Prn Amt put/cl  Disc     Mgrs     Sole Shared None
<S>                      <C>      <C>             <C>     <C>              <C>     <C>      <C>              
FDX CORP                 COM      31304N 10 7     5,047   54,268sh        sole     none                  X
AFLAC INC                COM      001055 10 2     4,869   89,437sh        sole     none                  X
INTERNATIONA BUSINESS    COM      459200 10 1     4,516   25,481sh        sole     none                  X
VIACOM INC               CL B     925524 30 8     4,244   50,565sh        sole     none                  X
GENERAL ELEC CO          COM      369604 10 3     3,787   34,231sh        sole     none                  X
DETLA AIR LINES INC DEL  COM      247361 10 8     3,756   54,042sh        sole     none                  X
GENERAL MTRS CORP        COM      370442 10 5     3,010   34,645sh        sole     none                  X
MERCK & CO INC           COM      589331 10 7     2,852   35,599sh        sole     none                  X
PEPSICO INC              COM      713448 10 8     2,825   72,094sh        sole     none                  X
HSB GOUP INC             COM      40428N 10 9     2,733   73,608sh        sole     none                  X
PITNEY BOWES             COM      724479 10 0     2,519   39,507sh        sole     none                  X
BOEING CO                COM      097023 10 5     2,302   67,697sh        sole     none                  X
GENERAL GROWTH PPTYS     COM      370021 10 7     2,245   69,200sh        sole     none                  X
CISCO SYS INC            COM      17275R 10 2     2,161   19,727sh        sole     none                  X
BLACK & DECKER CORP      COM      091797 10 0     2,083   37,566sh        sole     none                  X
JOHNSON & JOHNSON        COM      478160 10 4     2,054   21,971sh        sole     none                  X
SARA LEE CORP            COM      803111 10 3     1,985   80,187sh        sole     none                  X
ABBOT LABS               COM      002824 10 0     1,861   39,757sh        sole     none                  X
COMPAQ COMPUTER CORP     COM      204493 10 0     1,726   54,483sh        sole     none                  X
AMCAST INDL CORP         COM      023395 10 6     1,645  102,020sh        sole     none                  X
EG & G INC               COM      268457 10 8     1,642   62,260sh        sole     none                  X
RPM INC OHIO             COM      749685 10 3     1,553  116,634sh        sole     none                  X
EXXON CORP               COM      302290 10 1     1,489   21,107sh        sole     none                  X
BP AMOCO PLC        SPONSORED ADR 055622 10 4     1,435   14,209sh        sole     none                  X
CMS ENERGY CORP          COM CL G 125896 20 9     1,366   65,460sh        sole     none                  X
HERSHEY FOODS CORP       COM      427866 10 8     1,329   23,710sh        sole     none                  X
BELLSOUTH CORP           COM      079860 10 2     1,322   33,008sh        sole     none                  X
PHILP MORRIS COS INC     COM      718154 10 7     1,292   36,720sh        sole     none                  X
BELL ATLANTIC CORP       COM      077853 10 9     1,268   24,532sh        sole     none                  X
TEXTRON INC              COM      883203 10 1     1,267   16,375sh        sole     none                  X
WARNER LAMBERT CO        COM      934488 10 7     1,256   18,960sh        sole     none                  X
GOODRICH B F CO          COM      382388 10 6     1,160   33,810sh        sole     none                  X
PROCTOR & GAMBLE CO      COM      742718 10 9     1,102   11,315sh        sole     none                  X
BESTFOODS                COM      08658U 10 1     1,041   22,140sh        sole     none                  X
MOTOROLA INC             COM      620076 10 9     1,038   14,171sh        sole     none                  X
UNIVERSAL FST PPRODS     COM      913543 10 4       955   46,576sh        sole     none                  X
BELDEN INC               COM      077459 10 5       938   54,956sh        sole     none                  X
E TOWN                   COM      269242 10 3       928   23,015sh        sole     none                  X
MEDTRONIC INC            COM      585055 10 6       906   12,610sh        sole     none                  X
GILLETTE CO              COM      375766 10 2       856   14,410sh        sole     none                  X
ARTESIAN RESOURCES       CL A     043113 20 8       788   31,348sh        sole     none                  X
NISOURCE INC             COM      65473P 10 5       775   28,695sh        sole     none                  X
XEROX CORP               COM      984121 10 3       737   14,145sh        sole     none                  X
ROYAL DUTCH PETE         NY REG   780257 80 4       714   13,740sh        sole     none                  X
TYSON FOODS INC          CL A     902494 10 3       650   31,430sh        sole     none                  X
PFIZER INC               COM      110122 10 8       644    4,640sh        sole     none                  X
BRISTOL MYERS SQUIBB     COM      087509 10 5       616    9,579sh        sole     none                  X
BETHLEHEM STL CORP       COM      981443 10 4       615   74,575sh        sole     none                  X
UNIVERSAL FOODS CORP     COM      913538 10 4       577   27,955sh        sole     none                  X
NEWELL CO                COM      651229 10 6       562   11,832sh        sole     none                  X
SAFEWAY INC              COM NEW  786514 20 8       557   10,855sh        sole     none                  X
WORLD COLOR PRESS INC    COM      717081 10 3       545   25,670sh        sole     none                  X
DREW INDS INC            COM NEW  26168L 20 5       538   47,265sh        sole     none                  X
AMR CORP                 COM      001765 10 6       515    8,800sh        sole     none                  X
AMERICA ONLINE           COM      02364J 10 4       509    3,460sh        sole     none                  X
VALLEY NATL BANCORP      COM      919794 10 7       467   18,535sh        sole     none                  X
O M GROUP INC.           COM      670872 10 0       410   12,430sh        sole     none                  X
LUCENT TECHNOLOGIES INC  COM      549463 10 7       395    3,662sh        sole     none                  X
GENUINE PARTS CO         COM      372460 10 5       357   12,385sh        sole     none                  X
SUNOCO INC               COM      86764P 10 9       312    8,650sh        sole     none                  X
AT&T CORP                COM      001957 10 9       310    3,888sh        sole     none                  X
OTTER TAIL PWR CO        COM      689648 10 3       303    7,610sh        sole     none                  X
HOME DEPOT INC           COM      437076 10 2       286    4,587sh        sole     none                  X
INTEL CORPORATION        COM      458140 10 0       279    2,346sh        sole     none                  X
MOBIL CORP               COM      607059 10 2       276    3,134sh        sole     none                  X
HELMERICH & PAYNE INC    COM      423452 10 1       261   11,500sh        sole     none                  X
MICROSOFT                COM      594918 10 4       244    2,720sh        sole     none                  X
SBC COMMUNICATIONS INC   COM      78387G 10 3       213    4,520sh        sole     none                  X
BARRICK GOLD CORP        COM      067901 10 8       211   12,350sh        sole     none                  X
UAL CORP                 COM PAR  902549 50 0       210    2,700sh        sole     none                  X



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