UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
FORM 13 F
FORM 13-F COVER PAGE
REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED: 06/30/99
CHECK HERE IS AMENDMENT ( ): AMENDMENT NUMBER:
THIS AMENDMENT (CHECK ONLY ONE): ( ) IS A RESTATEMENT
( ) ADDS NEW HOLDINGS ENTRIES
INSTITUTIONAL INVESTMENT MANAGER FILING THIS REPORT:
NAME: DELAWARE MANAGEMENT BUSINESS TRUST
ADDRESS: 2005 MMARKET STREET
ONE COMMERCE SQUARE
PHILADELPHIA, PA 19103
FORM 13F FILE NUMBER 28-53
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: LISA O BRINKLEY
TITLE: VICE PRESIDENT/COMPLIANCE
PHONE: 215 255 2369
SIGNATURE, PLACE AND DATE OF SIGNING
/s/LISA O. BRINKLEY, PHILADELPHIA PA DATE: 08/06/99
REPORT TYPE: (CHECK ONLY ONE)
(x) 13F HOLDING REPORT. (CHECK HERE IF ALL HOLDINGS OF THIS REPORTING
MANAGER ARE REPORTED IN THIS REPORT)
( ) 13F NOTICE: (CHECK HERE IF NO HOLDINGS REPORTED ARE IN THIS
REPORT, AND ALL HOLDINGS ARE REPORTED BY OTHER REPORTING
MANAGER(S).)
( ) 13F COMBINATION REPORT. (CHECK HERE IF NO PORTION OF THE HOLDINGD FOR
THIS REPORTING MANAGER ARE REPORTED IN THIS REPORT AND A PORTION
ARE REPORTED BY OTHER REPORTING MANAGER(S).)
(PAGE)
FORM 13F SUMMARY PAGE
REPORT SUMMARY:
NUMBER OF OTHER INCLUDED MANAGERS: 2
FORM 13F INFORMATION TABLE ENTRY TOTAL: 866
FORM 13F INFORMATION TABLE VALUE TOTAL: 26,031,623
LIST OF OTHER INCLUDED MANAGERS:
NO. 13F FILE NUMBER NAME
01 28-53 DELAWARE MANAGEMENT BUSINESS TRUST
02 028-05920 DELAWARE CAPITAL MANAGEMENT
03 28-71097 LYNCH & MAYER INC.
<PAGE>
<TABLE> <C> <C>
FORM 13F INFORMATION TABLE
NAME OF ISSUER TITLE OF CLASS CUSIP VALUE SHARES/ SH/ PUT/ INVSTMT OTHER VOTING AUTHORITY
(X$1000) PRN AMT PRN CALL DSCRETN MANAGERS SOLE SHARED NONE
_______________________________________________________________________________________________________________________________
D 3COM COM 885535104 39 1500 SH SOLE 01 1500 0 0
D A T & T COM 001957109 321805 6045016 SH OTHER 01,02,03 5377793 5400 661823
D A. O. SMITH COM 831865209 5813 210450 SH SOLE 01 210450 0 0
D A.F.P. PROVIDA S.A. - ADR ADR 00709P108 1643 74700 SH SOLE 01 74700 0 0
D ABBOTT LABS COM 002824100 1883 41418 SH OTHER 01,03 40618 0 800
D ABERCROMBIE & FITCH CLASS A COM 002896207 7065 147200 SH DEFINED 03 29400 0 117800
D ACE LTD COM G0070K103 2692 95300 SH DEFINED 03 0 0 95300
D ACTIVISION CONVBD 004930AC7 2026 2170000 PRN DEFINED 03 0 0 2170000
D ACXIOM COM 005125109 14664 587300 SH SOLE 01 587300 0 0
D ADAPTEC COM 00651F108 123 3500 SH SOLE 01 3500 0 0
D ADELPHIA COMM CONV PREF CONVPF 006848402 1567 7800 SH DEFINED 03 0 0 7800
D ADELPHIA COMMUNICATIONS CL A COM 006848105 7017 110300 SH DEFINED 03 0 0 110300
D AES COM 00130H105 23587 405800 SH DEFINED 03 0 0 405800
D AETNA COM 008117103 24281 271500 SH OTHER 01,03 200 0 271300
D AFLAC COM 001055102 25196 526300 SH SOLE 01 526300 0 0
D AGRIBRANDS INTL COM 00849R105 4 107 SH SOLE 01 107 0 0
D AIR PRODUCTS AND CHEMICALS COM 009158106 12 300 SH SOLE 01 300 0 0
D ALASKA AIR GROUP COM 011659109 329 7900 SH SOLE 01 7900 0 0
D ALBERTSON'S COM 013104104 20690 401278 SH SOLE 01 373478 400 27400
D ALCAN ALUMINIUM COM 013716105 223034 6983500 SH OTHER 01,02 6834000 7400 142100
D ALCATEL ALSTHOM SPONS ADR 1/5S COM 013904305 6709 236457 SH DEFINED 02 170248 0 66209
D ALCOA COM 013817101 389957 6672329 SH OTHER 01,02 6425365 7700 239264
D ALEXANDER & BALDWIN COM 014482103 5775 260300 SH SOLE 01 260300 0 0
D ALEXANDRIA REAL EST EQUITIES REIT 015271109 5255 168170 SH SOLE 01 162270 0 5900
D ALLEGHENY ENERGY COM 017361106 9 300 SH SOLE 01 300 0 0
D ALLIED-SIGNAL COM 019512102 63 1000 SH SOLE 01 1000 0 0
D ALLSTATE COM 020002101 1343 37470 SH OTHER 01,03 36570 0 900
D ALLTEL COM 020039103 321782 4500461 SH OTHER 01,02 3950850 3600 546011
D ALPHARMA 144A CONVBD 020813AA9 1652 1335000 PRN DEFINED 03 0 0 1335000
D ALPHARMA 3% CONVERTIBLE CONVPF 020813AC5 1253 1000000 PRN DEFINED 03 0 0 1000000
D ALTERA COM 021441100 26887 730800 SH OTHER 01,03 486200 0 244600
D ALZA COM 022615108 26185 514700 SH DEFINED 03 0 0 514700
D AMAZON.COM INCORPORATED COM 023135106 2642 21125 SH OTHER 01,03 300 0 20825
D AMB PROPERTY REIT 00163T109 5948 253170 SH SOLE 01 247770 0 5400
D AMBAC FINANCIAL GROUP COM 023139108 66503 1164193 SH OTHER 01,02,03 1092064 0 72129
D AMCOR LTD ADR NEW COM 02341R302 4103 182337 SH DEFINED 02 129480 0 52857
D AMEREN COM 023608102 95 2500 SH SOLE 01 2500 0 0
D AMERICA ONLINE COM 02364J104 5108 46300 SH OTHER 01,03 31100 0 15200
D AMERICAN BANKERS INSUR GROUP COM 024456105 2640 48500 SH DEFINED 03 0 0 48500
D AMERICAN EAGLE OUTFITTERS COM 02553E106 31986 702546 SH OTHER 01,02 701458 0 1088
D AMERICAN ELECTRIC POWER COM 025537101 1878 50000 SH SOLE 01 50000 0 0
D AMERICAN EXPRESS COM 025816109 4059 31200 SH OTHER 01,03 11800 0 19400
D AMERICAN FINANCIAL GROUP COM 025932104 57 1700 SH SOLE 01 1700 0 0
D AMERICAN GENERAL COM 026351106 502887 6914214 SH OTHER 01,02 6335066 6500 572648
D AMERICAN GENERAL PFD CONVPF 02637G200 233 2500 SH SOLE 01 2500 0 0
D AMERICAN HEALTH PROPERTIES REIT 026494104 1006 50000 SH SOLE 01 50000 0 0
D AMERICAN HOME PRODUCTS COM 026609107 103045 1803421 SH OTHER 01,02,03 966439 0 836982
D AMERICAN INTERNATIONAL GROUP COM 026874107 30210 258053 SH OTHER 01,03 245455 0 12598
D AMERICAN POWER CONVERSION COM 029066107 855 42590 SH SOLE 01 42590 0 0
D AMERICAN TOWER - CL A COM 029912201 33894 1412300 SH OTHER 01,03 1261900 0 150400
D AMERIPATH COM 03071D109 24 2900 SH SOLE 01 2900 0 0
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D AMGEN COM 031162100 2340 38460 SH SOLE 01 38460 0 0
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D AMR COM 001765106 849 12450 SH SOLE 01 12450 0 0
D AMSOUTH BANCORP COM 032165102 1569 67684 SH SOLE 01 67684 0 0
D ANADARKO PETROLEUM CORPORATION COM 032511107 33248 903200 SH OTHER 01,03 193800 0 709400
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D ANNUITY AND LIFE RE COM G03910109 1565 69700 SH SOLE 01 69700 0 0
D ANTEC COM 03664P105 3520 109800 SH DEFINED 03 0 0 109800
D ANTEC CONVBD 03664PAB1 713 490000 PRN DEFINED 03 0 0 490000
D ANTEC 144A CONVBD 03664PAA3 2803 1925000 PRN DEFINED 03 0 0 1925000
D AON COM 037389103 333429 8429509 SH OTHER 01,02 7153779 7650 1268080
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D APOLLO GROUP - CL A COM 037604105 3256 122600 SH DEFINED 03 0 0 122600
D APPLE COMPUTER COM 037833100 1581 34100 SH SOLE 01 34100 0 0
D APPLIED MATERIALS COM 038222105 12974 175700 SH SOLE 01 175700 0 0
D APPLIED MICRO CIRCUITS CORP COM 03822W109 64680 778876 SH OTHER 01,02 777379 0 1497
D ARDEN REALTY GROUP REIT 039793104 3078 125000 SH SOLE 01 125000 0 0
D ARMSTRONG WORLD INDUSTRIES COM 042476101 13505 233600 SH SOLE 01 0 0 233600
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D ASHLAND INCORPORATED COM 044204105 88 2200 SH SOLE 01 2200 0 0
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D AVIS RENT A CAR COM 053790101 8807 302400 SH SOLE 01 302400 0 0
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D AVX COM 002444107 31 1300 SH SOLE 01 1300 0 0
D B F GOODRICH COM 382388106 117 2755 SH SOLE 01 2755 0 0
D BAKER HUGHES COM 057224107 27911 833200 SH SOLE 01 800700 800 31700
D BALLY TOTAL FITNESS HOLDINGS COM 05873K108 3175 111900 SH SOLE 01 111900 0 0
D BANCO BHIF- ADR ADR 05946H108 26 1800 SH SOLE 01 1800 0 0
D BANK OF AMERICA COM 060505104 633641 8911507 SH OTHER 01,02,03 8600448 9300 301759
D BANK OF BOSTON COM 06605R106 50214 982188 SH OTHER 01,02 246442 0 735746
D BANK ONE COM 06423A103 434278 7511259 SH OTHER 01,02 6718417 7100 785742
D BARCLAYS PLC ADR COM 06738E204 321 2686 SH DEFINED 02 2686 0 0
D BARRICK GOLD COM 067901108 7 400 SH SOLE 01 400 0 0
D BASS PUB LTD CO SPONSORED ADR COM 069904209 5718 382802 SH DEFINED 02 272878 0 109924
D BAUSCH & LOMB COM 071707103 39688 518800 SH SOLE 01 4300 0 514500
D BAXTER INTERNATIONAL COM 071813109 416489 7151831 SH OTHER 01,02,03 5653186 5900 1492745
D BAYER A G SPONSORED ADR COM 072730302 5126 123184 SH DEFINED 02 88305 0 34879
D BAYERISCHE HYPO-UND VEREINSBAN COM 072735103 3497 54966 SH DEFINED 02 40236 0 14730
D BB&T CORPORATION COM 054937107 785 21400 SH SOLE 01 21400 0 0
D BCE COM 05534B109 42162 855000 SH SOLE 01 49800 0 805200
D BECTON DICKINSON COM 075887109 450 15000 SH DEFINED 03 0 0 15000
D BED BATH & BEYOND COM 075896100 31303 814400 SH SOLE 01 814400 0 0
D BELL ATLANTIC CORP COM 077853109 25669 392654 SH OTHER 01,02 329823 0 62831
D BELLSOUTH COM 079860102 40953 874790 SH SOLE 01 132010 0 742780
D BEMIS COM 081437105 2305 58000 SH SOLE 01 58000 0 0
D BERGEN BRUNSWIG CL A COM 083739102 747 43361 SH SOLE 01 43361 0 0
D BESTFOODS COM 08658U101 416989 8714916 SH OTHER 01,02 8434646 8000 272270
D BETHLEHEM STEEL COM 087509105 2966 385900 SH SOLE 01 385900 0 0
D BG PLC ADR FINAL INSTL COM 055434104 6926 226160 SH DEFINED 02 162124 0 64036
D BINDVIEW DEVELOPMENT COM 090327107 14729 621000 SH SOLE 01 621000 0 0
D BIOGEN COM 090597105 51 800 SH SOLE 01 800 0 0
D BIOMET COM 090613100 19950 502700 SH SOLE 01 502700 0 0
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D BJ'S WHOLESALER CLUB COM 05548J106 12304 409300 SH SOLE 01 409300 0 0
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D BOSTON SCIENTIFIC COM 101137107 22285 507200 SH OTHER 01,03 79500 0 427700
D BP AMOCO PLC - ADR ADR 055622104 347893 3369132 SH OTHER 01,02 2908450 2800 457882
D BRIGHTPOINT INCORPORATED COM 109473108 3555 583500 SH SOLE 01 583500 0 0
D BRINKER INTERNATIONAL COM 109641100 1117 41100 SH SOLE 01 41100 0 0
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D BROOKDALE LIVING COMMUNITIES COM 112462106 15687 1052500 SH SOLE 01 1052500 0 0
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D BSCH BANCO SANTANDER COM 05964H105 3978 376658 SH DEFINED 02 267289 0 109369
D BURLINGTON RESOURCES COM 122014103 25 600 SH DEFINED 03 0 0 600
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D CARLISLE COMPANIES COM 142339100 9 200 SH SOLE 01 200 0 0
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D WHIRLPOOL CORP COM 963320106 14 200 SH SOLE 01 200 0 0
D WHOLE FOODS MARKET 144A CONVBD 966837AA4 109 300000 PRN SOLE 01 300000 0 0
D WILLAMETTE INDUSTRIES COM 969133107 1883 40900 SH SOLE 01 40900 0 0
D WILLIAMS COM 969457100 44831 1053300 SH SOLE 01 118500 0 934800
D WINSTAR COMMUNICATIONS COM 975515107 460 9445 SH OTHER 01,03 956 0 8489
D WITCO COM 977385103 12 621 SH SOLE 01 400 0 221
D WOLVERINE WORLD WIDE COM 978097103 4992 356600 SH SOLE 01 356600 0 0
D WORLD COLOR PRESS COM 981443104 6737 245000 SH SOLE 01 245000 0 0
D WORLD COLR PRESS CONVBD 981443AA2 142 150000 PRN SOLE 01 150000 0 0
D WRIGLEY WM JR CO COM COM 982526105 321 3600 SH DEFINED 02 3600 0 0
D XEROX COM 984121103 345532 5850297 SH OTHER 01,02,03 4232150 4400 1613747
D XILINX COM 983919101 24819 433300 SH SOLE 01 433300 0 0
D XL CAPITAL LIMITED - CLASS A COM G98255105 6192 109600 SH SOLE 01 109600 0 0
D XOMED SURGICAL PRODUCTS COM 98412V107 5086 105000 SH SOLE 01 105000 0 0
D YAHOO COM 984332106 1635 9500 SH OTHER 01,03 400 0 9100
D YORK INTERNATIONAL COM 986670107 8 200 SH SOLE 01 200 0 0
D ZALE COM 988858106 24328 608200 SH OTHER 01,03 389600 0 218600
D ZANY BRAINY COM 98906Q101 4887 506200 SH SOLE 01 506200 0 0
S REPORT SUMMARY 866 DATA RECORDS 26031623 02 OTHER MANAGERS ON WHOSE BEHALF REPORT IS FILED
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