TAL GLOBAL ASSET MANAGEMENT INC
13F-HR, 2000-02-11
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                                  UNITED STATES
                         SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549


                                    FORM 13F


       INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
  TO SECTION 13(f) OF THE SECURITIES EXCHANGE ACT OF 1934 AND RULES THEREUNDER

       Report for the Calendar Year or Quarter Ended December 31st, 1999.


                (Please read instructions before preparing form.)


If amended report check here: |_|

                        TAL Global Asset Management Inc.
- --------------------------------------------------------------------------------
                    Name of Institutional Investment Manager

    1000 de la Gauchetiere Street West, Suite 3100, Montreal, Quebec, H3B 4W5
- --------------------------------------------------------------------------------
Business Address    (Street)            (City)          (State)        (Zip)

               Assunta Di Lorenzo, (514) 875-7045 extension 3430,
             Vice President, Legal Affairs and Corporate Secretary
- --------------------------------------------------------------------------------
   Name, Phone No., and Title of Person Duly Authorized to Submit This Report

                                    ATTENTION

- --------------------------------------------------------------------------------
           Intentional misstatements or omissions of facts constitute
                          Federal Criminal Violations.
                    See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).
- --------------------------------------------------------------------------------

     The  institutional   investment   manager  submitting  this  Form  and  its
attachments  and the  person  by whom it is  signed  represent  hereby  that all
information  contained therein is true,  correct and complete.  It is understood
that all required items,  statements and schedules are considered integral parts
of this  Form and that  the  submission  of any  amendment  represents  that all
unamended items,  statements and schedules remain true,  correct and complete as
previously submitted.

     Pursuant  to the  requirements  of  Securities  Exchange  Act of 1934,  the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of Montreal, Province of Quebec, Canada on the 3rd day
of November, 1997.

                                        TAL Global Asset Management Inc.
                                 -----------------------------------------------
                                   (Name of Institutional Investment Manager)

                                               /s/ Assunta DiLorenzo
                                 -----------------------------------------------
                                    Manager Signature of Person Duly Authorized
                                                to Submit This Report


Name and 13F file numbers of ALL Institutional  Investment Managers with respect
to which this schedule is filled (other than the one filing this report):  (List
in  alphabetical  order.) 13F File  Numbers  will be  assigned to  Institutional
Investment Managers after they file their first report.

Name:                 13F File No.:         Name:                  13F File No.:
- ------------------    --------------------  ---------------------  -------------
1.                                          6.
- ------------------    --------------------  ---------------------  -------------
2.                                          7.
- ------------------    --------------------  ---------------------  -------------
3.                                          8.
- ------------------    --------------------  ---------------------  -------------
4.                                          9.
- ------------------    --------------------  ---------------------  -------------
5.                                          10.
- ------------------    --------------------  ---------------------  -------------
                                                                    Page 1 of 11

                                                                 SEC 1474 (3/91)
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<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------

                                                          FORM 13F
DATE: 991231                                                                                                            PAGE:   2


                                         ITEM 4                                   ITEM 6                       ITEM 8
                                          FAIR             ITEM 5                INVESTMENT               VOTING AUTHORITY
       ITEM 1        ITEM 2   ITEM 3     MARKET     SH/PRN                      DISCRETION  ITEM 7            (SHARES)
       ISSUER        CLASS    SECID      VALUE      AMOUNT    SH/PRN    PUT/CALL   TYPE      MGRS    (A)SOLE  (B)SHARED (C)NONE
- -------------------- ------- --------- ----------- --------- --------- --------- --------- -------- --------- --------- ---------
<S>                  <C>     <C>         <C>        <C>           <C>   <C>        <C>      <C>      <C>             <C> <C>
ABER RESOURCES LTD   COMMON  002916104    2811058.   450800.      SH               SOLE               409650.        0.    41150.


ABITIBI CONS INC     COMMON  003924107   49644982.  4239799.      SH               SOLE              3945089.        0.   293260.
ABITIBI CONS INC     COMMON  003924107   49644982.  4239799.      SH               NONE                 1450.        0.        0.


AGNICO EAGLE MNS LTD COMMON  008474108    3368271.   458625.      SH               SOLE               272425.        0.   186200.


AGRIUM INC           COMMON  008916108    3133874.   403850.      SH               SOLE               197150.        0.   206700.


AIR CANADA           CLASS A 008911307    8390740.  1199045.      SH               SOLE              1054606.        0.   143178.
AIR CANADA           CLASS A 008911307    8390740.  1199045.      SH               NONE                 1261.        0.        0.


ALBERTA ENERGY CO    COMMON  012873105  111823332.  3586547.      SH               SOLE              3235949.        0.   338073.
ALBERTA ENERGY CO    COMMON  012873105  111823332.  3586547.      SH               NONE                12525.        0.        0.


ALCAN ALUMINIUM LTD  COMMON  013716105  138772176.  3371871.      SH               SOLE              2948311.        0.   404435.
ALCAN ALUMINIUM LTD  COMMON  013716105  138772176.  3371871.      SH               NONE                19125.        0.        0.


ALGOMA STEEL INC     COMMON  01566M105      61614.    41750.      SH               SOLE                12250.        0.    29500.


ALLIANCE ATLANTIS    CLASS B 01853E204     147371.    17725.      SH               SOLE                 4825.        0.    12900.


ALLIANCE FORST PROD  COMMON  01859J108   35453498.  3001175.      SH               SOLE              2820950.        0.   177975.
ALLIANCE FORST PROD  COMMON  01859J108   35453498.  3001175.      SH               NONE                 2250.        0.        0.


ARCHITEL SYS CORP    COMMON  039917109   13337876.   987208.      SH               SOLE               958909.        0.    28299.


AT PLASTICS INC      COMMON  001947100      47649.    20050.      SH               SOLE                 6075.        0.    13975.


ATI TECHNOLOGIES INC COMMON  001941103   21702711.  1639975.      SH               SOLE              1367425.        0.   270700.
ATI TECHNOLOGIES INC COMMON  001941103   21702711.  1639975.      SH               NONE                 1850.        0.        0.

                                     -------------
                     PAGE  TOTAL        388695150.
</TABLE>

                                                                    Page 2 of 11

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<PAGE>

<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
                                                          FORM 13F
DATE: 991231                                                                                                            PAGE:   3


                                         ITEM 4                                   ITEM 6                       ITEM 8
                                          FAIR             ITEM 5                INVESTMENT               VOTING AUTHORITY
       ITEM 1        ITEM 2   ITEM 3     MARKET     SH/PRN                      DISCRETION  ITEM 7            (SHARES)
       ISSUER        CLASS    SECID      VALUE      AMOUNT    SH/PRN    PUT/CALL   TYPE      MGRS    (A)SOLE  (B)SHARED (C)NONE
- -------------------- ------- --------- ----------- --------- --------- --------- --------- -------- --------- --------- ---------
<S>                  <C>     <C>         <C>        <C>           <C>   <C>        <C>      <C>      <C>             <C> <C>
BALLARD POWER SYS    COMMON  05858H104    2340873.    82910.      SH               SOLE                23535.        0.    59375.


BANK OF MONTREAL     COMMON  063671101  139860612.  4094540.      SH               SOLE              3442715.        0.   626905.
BANK OF MONTREAL     COMMON  063671101  139860612.  4094540.      SH               NONE                24920.        0.        0.


BARRICK GOLD CORP    COMMON  067901108  123793893.  6938742.      SH               SOLE              6227162.        0.   694990.
BARRICK GOLD CORP    COMMON  067901108  123793893.  6938742.      SH               NONE                16590.        0.        0.


BATTLE MOUNTN CDA    EXCHANG 071900104     185572.    86121.      SH               SOLE                23115.        0.    63006.


BCE INC              COMMON  05534B109  761737246.  8382885.      SH               SOLE              7247085.        0.  1096910.
BCE INC              COMMON  05534B109  761737246.  8382885.      SH               NONE                38890.        0.        0.


BELL CANADA INTL     COMMON  077914109   22302042.   978375.      SH               SOLE               878750.        0.    98425.
BELL CANADA INTL     COMMON  077914109   22302042.   978375.      SH               NONE                 1200.        0.        0.


BEMA GOLD CORP       COMMON  08135F107      76060.   121975.      SH               SOLE                37475.        0.    84500.


BID.COM INT'L INC    COMMON  088788104     207268.    48250.      SH               SOLE                13650.        0.    34600.


BIOCHEM PHARMA INC   COMMON  09058T108   77098025.  3566525.      SH               SOLE              3372075.        0.   193725.
BIOCHEM PHARMA INC   COMMON  09058T108   77098025.  3566525.      SH               NONE                  725.        0.        0.


BIOMIRA INC          COMMON  09161R106     175941.    44550.      SH               SOLE                12550.        0.    32000.


BIOVAIL CORP INTL    COMMON  09067K106    2108761.    22545.      SH               SOLE                 6645.        0.    15900.


BOWATER CANADA       EXCHANG 101907103     177829.     3280.      SH               SOLE                  880.        0.     2400.


BROOKFIELD PPTYS     COMMON  112900105   15551712.  1481570.      SH               SOLE              1162380.        0.   274965.
BROOKFIELD PPTYS     COMMON  112900105   15551712.  1481570.      SH               NONE                44225.        0.        0.


CADILLAC FAIRVIEW    COMMON  126929207    2671522.   115790.      SH               SOLE                16590.        0.    99200.

                                     -------------
                     PAGE  TOTAL       1148287357.
</TABLE>

                                                                    Page 3 of 11

                                                                 SEC 1474 (3/91)

<PAGE>

<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
                                                          FORM 13F
DATE: 991231                                                                                                            PAGE:   4


                                         ITEM 4                                   ITEM 6                       ITEM 8
                                          FAIR             ITEM 5                INVESTMENT               VOTING AUTHORITY
       ITEM 1        ITEM 2   ITEM 3     MARKET     SH/PRN                      DISCRETION  ITEM 7            (SHARES)
       ISSUER        CLASS    SECID      VALUE      AMOUNT    SH/PRN    PUT/CALL   TYPE      MGRS    (A)SOLE  (B)SHARED (C)NONE
- -------------------- ------- --------- ----------- --------- --------- --------- --------- -------- --------- --------- ---------
<S>                  <C>     <C>         <C>        <C>           <C>   <C>        <C>      <C>      <C>             <C> <C>
CALL-NET ENTERPRISES CLASS B 130910201     194481.    57875.      SH               SOLE                13825.        0.    35425.
CALL-NET ENTERPRISES CLASS B 130910201     194481.    57875.      SH               NONE                 8625.        0.        0.


CAMBIOR INC          COMMON  13201L103      86315.    68450.      SH               SOLE                21350.        0.    47100.


CAMECO CORP          COMMON  13321L108   14195945.   933440.      SH               SOLE               810315.        0.   122025.
CAMECO CORP          COMMON  13321L108   14195945.   933440.      SH               NONE                 1100.        0.        0.


CANADIAN 88 ENERGY   COMMON  13566G509     152082.   109750.      SH               SOLE                33350.        0.    76400.


CANWEST GLBL COMMUN  NON-VTG 138906300      67587.     5912.      SH               SOLE                 1775.        0.     4137.


CDN IMPL BK COMMERCE COMMON  136069101   61827332.  2586533.      SH               SOLE              2081083.        0.   502275.
CDN IMPL BK COMMERCE COMMON  136069101   61827332.  2586533.      SH               NONE                 3175.        0.        0.


CDN MARCONI CO       COMMON  136357100     138355.    10650.      SH               SOLE                 3075.        0.     7575.


CDN NATL RAILWAY     COMMON  136375102  115939766.  4380520.      SH               SOLE              4018730.        0.   344365.
CDN NATL RAILWAY     COMMON  136375102  115939766.  4380520.      SH               NONE                17425.        0.        0.


CDN OCCIDENTAL PETE  COMMON  136420106   60201069.  3048709.      SH               SOLE              2807820.        0.   238339.
CDN OCCIDENTAL PETE  COMMON  136420106   60201069.  3048709.      SH               NONE                 2550.        0.        0.


CDN PACIFIC LTD      COMMON  135923100   36627447.  1702557.      SH               SOLE              1364832.        0.   316750.
CDN PACIFIC LTD      COMMON  135923100   36627447.  1702557.      SH               NONE                20975.        0.        0.


CELESTICA INC        SUB VTG 15101Q108   30037581.   536550.      SH               SOLE               401600.        0.   134950.


CGI GROUP INC        CLASS A 39945C109   52150791.  1218935.      SH               SOLE              1085535.        0.   133400.


CHIEFTAIN INTL INC   COMMON  16867C101     269651.    15630.      SH               SOLE                 4155.        0.    11475.


CINRAM INTL INC      COMMON  17252T105     501693.    61625.      SH               SOLE                20475.        0.    41150.

                                     -------------
                     PAGE  TOTAL        372390094.
</TABLE>

                                                                    Page 4 of 11

                                                                 SEC 1474 (3/91)

<PAGE>

<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
                                                          FORM 13F
DATE: 991231                                                                                                            PAGE:   5


                                         ITEM 4                                   ITEM 6                       ITEM 8
                                          FAIR             ITEM 5                INVESTMENT               VOTING AUTHORITY
       ITEM 1        ITEM 2   ITEM 3     MARKET     SH/PRN                      DISCRETION  ITEM 7            (SHARES)
       ISSUER        CLASS    SECID      VALUE      AMOUNT    SH/PRN    PUT/CALL   TYPE      MGRS    (A)SOLE  (B)SHARED (C)NONE
- -------------------- ------- --------- ----------- --------- --------- --------- --------- -------- --------- --------- ---------
<S>                  <C>     <C>         <C>        <C>           <C>   <C>        <C>      <C>      <C>             <C> <C>
CLEARNET COMMUN      CLASS A 184902104    8405721.   244350.      SH               SOLE               219050.        0.    25300.


CLINICHEM DEVELOP    CLASS A 186906103    1644675.   175834.      SH               SOLE               175833.        0.        1.


COGNICASE INC        COMMON  192423101     233263.    16225.      SH               SOLE                 4525.        0.    11700.


COGNOS INCORPORATED  COMMON  19244C109   65162668.  1422995.      SH               SOLE              1195610.        0.   226660.
COGNOS INCORPORATED  COMMON  19244C109   65162668.  1422995.      SH               NONE                  725.        0.        0.


COMINCO LTD          COMMON  200435105    8250414.   392350.      SH               SOLE               283875.        0.   108475.


COTT CORP            COMMON  22163N106     315965.    59225.      SH               SOLE                16825.        0.    42400.


COUNSEL CORPORATION  COMMON  22226R102      44747.    21175.      SH               SOLE                 6475.        0.    14700.


CROSSKEYS SYSTEMS    COMMON  227911104    2980233.   322200.      SH               SOLE               281200.        0.    41000.


DESCARTES SYSTEMS    COMMON  249906108   16504698.   750275.      SH               SOLE               621225.        0.   129050.


DIA MET MINERALS     CLASS B 25243K307   10690068.   670825.      SH               SOLE               606575.        0.    55575.
DIA MET MINERALS     CLASS B 25243K307   10690068.   670825.      SH               NONE                 8675.        0.        0.


DOMTAR INC           COMMON  257561100   54379197.  4589795.      SH               SOLE              4220445.        0.   338050.
DOMTAR INC           COMMON  257561100   54379197.  4589795.      SH               NONE                31300.        0.        0.


DOREL INDUSTRIES INC CLASS B 25822C205   29514904.  1647925.      SH               SOLE              1569325.        0.    78600.


ECHO BAY MINES LTD   COMMON  278751102     171569.   141500.      SH               SOLE                38750.        0.   102750.


EDPERBRASCAN CORP    COMMON  280905803   25420336.  1920899.      SH               SOLE              1681449.        0.   237488.
EDPERBRASCAN CORP    COMMON  280905803   25420336.  1920899.      SH               NONE                 1962.        0.        0.


ENBRIDGE INC         COMMON  29250N105   10750588.   541582.      SH               SOLE               273418.        0.   268164.

                                     -------------
                     PAGE  TOTAL        234469047.
</TABLE>

                                                                    Page 5 of 11

                                                                 SEC 1474 (3/91)

<PAGE>

<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
                                                          FORM 13F
DATE: 991231                                                                                                            PAGE:   6


                                         ITEM 4                                   ITEM 6                       ITEM 8
                                          FAIR             ITEM 5                INVESTMENT               VOTING AUTHORITY
       ITEM 1        ITEM 2   ITEM 3     MARKET     SH/PRN                      DISCRETION  ITEM 7            (SHARES)
       ISSUER        CLASS    SECID      VALUE      AMOUNT    SH/PRN    PUT/CALL   TYPE      MGRS    (A)SOLE  (B)SHARED (C)NONE
- -------------------- ------- --------- ----------- --------- --------- --------- --------- -------- --------- --------- ---------
<S>                  <C>     <C>         <C>        <C>           <C>   <C>        <C>      <C>      <C>             <C> <C>
EXTENDICARE INC      SUBORDI 30224T871     188521.    62550.      SH               SOLE                18450.        0.    44100.


FAHNESTOCK VINER HLD CLASS A 302921101     179214.    11975.      SH               SOLE                 3375.        0.     8600.


FIRSTSERVICE CORP    SUBORD  33761N109     169246.    12275.      SH               SOLE                 3475.        0.     8800.


FLETCHER'S FINE FDS  COMMON  33935K205    5350811.   278300.      SH               SOLE               256300.        0.    22000.


FOUR SEASONS HOTELS  LIMITED 35100E104    1190871.    22380.      SH               SOLE                 6280.        0.    16100.


GILDAN ACTIVEWEAR    CLASS A 375916103     254625.    14000.      SH               SOLE                 3800.        0.    10200.


GLAMIS GOLD LTD      COMMON  376775102     494312.   274400.      SH               SOLE               226250.        0.    48150.


GOLDCORP INC         CLASS A 380956102    2765439.   472350.      SH               SOLE               324050.        0.   148300.


GSI LUMONICS         COMMON  36229U102    2519338.   284075.      SH               SOLE               258600.        0.    25475.


GULF CANADA RES      ORDINAR 40218L305    1188688.   361186.      SH               SOLE               111217.        0.   249969.


HOLLINGER INC        RETRACT 43556C606     107332.    11475.      SH               SOLE                 3575.        0.     7900.


HUMMINGBIRD COMMUN   COMMON  44544R101    4187851.   138950.      SH               SOLE               127200.        0.    11750.


IMAX CORP            COMMON  45245E109     525873.    19215.      SH               SOLE                 5515.        0.    13700.


IMPERIAL OIL LTD     COMMON  453038408    7918714.   368680.      SH               SOLE               163515.        0.   205165.


INCO LTD             COMMON  453258402  116040625.  4962404.      SH               SOLE              4509954.        0.   450225.
INCO LTD             COMMON  453258402  116040625.  4962404.      SH               NONE                 2225.        0.        0.


INTERTAPE POLYMER    COMMON  460919103     799011.    28265.      SH               SOLE                 7865.        0.    20400.

                                     -------------
                     PAGE  TOTAL        143880470.
</TABLE>

                                                                    Page 6 of 11

                                                                 SEC 1474 (3/91)

<PAGE>

<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
                                                          FORM 13F
DATE: 991231                                                                                                            PAGE:   7


                                         ITEM 4                                   ITEM 6                       ITEM 8
                                          FAIR             ITEM 5                INVESTMENT               VOTING AUTHORITY
       ITEM 1        ITEM 2   ITEM 3     MARKET     SH/PRN                      DISCRETION  ITEM 7            (SHARES)
       ISSUER        CLASS    SECID      VALUE      AMOUNT    SH/PRN    PUT/CALL   TYPE      MGRS    (A)SOLE  (B)SHARED (C)NONE
- -------------------- ------- --------- ----------- --------- --------- --------- --------- -------- --------- --------- ---------
<S>                  <C>     <C>         <C>        <C>           <C>   <C>        <C>      <C>      <C>             <C> <C>
INTRAWEST CORP       COMMON  460915200  100847883.  5822150.      SH               SOLE              5435125.        0.   384900.
INTRAWEST CORP       COMMON  460915200  100847883.  5822150.      SH               NONE                 2125.        0.        0.


IPSCO INC            COMMON  462622101   20154652.  1020674.      SH               SOLE               907062.        0.   112362.
IPSCO INC            COMMON  462622101   20154652.  1020674.      SH               NONE                 1250.        0.        0.


JANNOCK LTD          COMMON  470888801     425795.    36150.      SH               SOLE                11550.        0.    24600.


JDS UNIPHASE CDA     EXCHANG 46612F208    7388680.    45573.      SH               SOLE                13373.        0.    32200.


JETFORM CORP         COMMON  477155105    2406714.   472600.      SH               SOLE               472600.        0.        0.


KINROSS GOLD CORP    COMMON  496902107    1141641.   614825.      SH               SOLE               396725.        0.   218100.


LAIDLAW INC          COMMON  50730K503   56013849. 10707919.      SH               SOLE              9714644.        0.   946550.
LAIDLAW INC          COMMON  50730K503   56013849. 10707919.      SH               NONE                46725.        0.        0.


LINAMAR CORPORATION  COMMON  53278L107    5667481.   594900.      SH               SOLE               532200.        0.    62700.


LOEWEN GROUP INC     COMMON  54042L100      38767.    91725.      SH               SOLE                40125.        0.    51600.


MACKENZIE FINANCIAL  COMMON  554531103   20118190.  1608675.      SH               SOLE               999425.        0.   608275.
MACKENZIE FINANCIAL  COMMON  554531103   20118190.  1608675.      SH               NONE                  975.        0.        0.


MAGNA INTL INC       CLASS A 559222401  111147796.  2608449.      SH               SOLE              2425564.        0.   175335.
MAGNA INTL INC       CLASS A 559222401  111147796.  2608449.      SH               NONE                 7550.        0.        0.


MANULIFE FINCL CORP  COMMON  56501R106   59623745.  4664225.      SH               SOLE              4079125.        0.   566050.
MANULIFE FINCL CORP  COMMON  56501R106   59623745.  4664225.      SH               NONE                19050.        0.        0.


MAXX PETROLEUM       COMMON  57777D201    3089386.  1084893.      SH               SOLE              1077493.        0.     7400.


MDC CORPORATION      CLASS A 55267W309     158707.    18325.      SH               SOLE                 4825.        0.    13500.

                                     -------------
                     PAGE  TOTAL        388223286.

</TABLE>

                                                                    Page 7 of 11

                                                                 SEC 1474 (3/91)

<PAGE>
<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
                                                          FORM 13F
DATE: 991231                                                                                                            PAGE:   8


                                         ITEM 4                                   ITEM 6                       ITEM 8
                                          FAIR             ITEM 5                INVESTMENT               VOTING AUTHORITY
       ITEM 1        ITEM 2   ITEM 3     MARKET     SH/PRN                      DISCRETION  ITEM 7            (SHARES)
       ISSUER        CLASS    SECID      VALUE      AMOUNT    SH/PRN    PUT/CALL   TYPE      MGRS    (A)SOLE  (B)SHARED (C)NONE
- -------------------- ------- --------- ----------- --------- --------- --------- --------- -------- --------- --------- ---------
<S>                  <C>     <C>         <C>        <C>           <C>   <C>        <C>      <C>      <C>             <C> <C>
MDSI MOBILE DATA SOL COMMON  55268N100    5353048.   249000.      SH               SOLE                96000.        0.   153000.


MERIDIAN GOLD INC    COMMON  589975101    3890328.   572950.      SH               SOLE               360550.        0.   212400.


METALLICA RESOURCES  COMMON  59125J104      66764.   240900.      SH               SOLE               240900.        0.        0.


METHANEX CORP        COMMON  59151K108    6659101.  2433185.      SH               SOLE              2202660.        0.   131900.
METHANEX CORP        COMMON  59151K108    6659101.  2433185.      SH               NONE                98625.        0.        0.


MICROCELL TELECOMM   CLASS B 59501T304     728972.    22150.      SH               SOLE                 7750.        0.    14400.


MITEL CORP           COMMON  606711109   28371025.  2047395.      SH               SOLE              1846495.        0.   148725.
MITEL CORP           COMMON  606711109   28371025.  2047395.      SH               NONE                52175.        0.        0.


MOORE CORP LTD       COMMON  615785102    6148187.  1031823.      SH               SOLE               895548.        0.   115175.
MOORE CORP LTD       COMMON  615785102    6148187.  1031823.      SH               NONE                21100.        0.        0.


NEWBRIDGE NETWORKS   COMMON  650901101   17944109.   795660.      SH               SOLE               637885.        0.   156900.
NEWBRIDGE NETWORKS   COMMON  650901101   17944109.   795660.      SH               NONE                  875.        0.        0.


NORTEL NETWORKS      COMMON  656569100  698131094.  6908561.      SH               SOLE              5995376.        0.   874810.
NORTEL NETWORKS      COMMON  656569100  698131094.  6908561.      SH               NONE                38375.        0.        0.


NUMAC ENERGY INC     COMMON  67052A103     248476.    71725.      SH               SOLE                19625.        0.    52100.


OPEN TEXT CORP       COMMON  683715106     437555.    24150.      SH               SOLE                 6750.        0.    17400.


PAN AMERICAN SILVER  COMMON  697900108     163384.    30625.      SH               SOLE                 8525.        0.    22100.


PETRO-CANADA         COMMON/ 71644E102   71633914.  5055708.      SH               SOLE              4578108.        0.   433275.
PETRO-CANADA         COMMON/ 71644E102   71633914.  5055708.      SH               NONE                44325.        0.        0.


PETROMET RES LTD     COMMON  716731104    1496098.   508075.      SH               SOLE                32275.        0.   475800.

                                     -------------
                     PAGE  TOTAL        841272054.
</TABLE>

                                                                    Page 8 of 11

                                                                 SEC 1474 (3/91)

<PAGE>

<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
                                                          FORM 13F
DATE: 991231                                                                                                            PAGE:   9


                                         ITEM 4                                   ITEM 6                       ITEM 8
                                          FAIR             ITEM 5                INVESTMENT               VOTING AUTHORITY
       ITEM 1        ITEM 2   ITEM 3     MARKET     SH/PRN                      DISCRETION  ITEM 7            (SHARES)
       ISSUER        CLASS    SECID      VALUE      AMOUNT    SH/PRN    PUT/CALL   TYPE      MGRS    (A)SOLE  (B)SHARED (C)NONE
- -------------------- ------- --------- ----------- --------- --------- --------- --------- -------- --------- --------- ---------
<S>                  <C>     <C>         <C>        <C>           <C>   <C>        <C>      <C>      <C>             <C> <C>
PHILIP SERVICES      COMMON  71819M103      16054.   128725.      SH               SOLE                42625.        0.    86100.


PLACER DOME INC      COMMON  725906101   27623420.  2588865.      SH               SOLE              2157365.        0.   428850.
PLACER DOME INC      COMMON  725906101   27623420.  2588865.      SH               NONE                 2650.        0.        0.


POTASH CORP OF SASK  COMMON  73755L107   13124725.   274535.      SH               SOLE               215560.        0.    58700.
POTASH CORP OF SASK  COMMON  73755L107   13124725.   274535.      SH               NONE                  275.        0.        0.


PRECISION DRILLING   COMMON  74022D100    2994890.   116825.      SH               SOLE                18675.        0.    98150.


PREMDOR INC          COMMON  74046P105    8723412.   968500.      SH               SOLE               930825.        0.    37675.


QLT PHOTOTHERAPEUT   COMMON  746927102   15824499.   268700.      SH               SOLE               215700.        0.    53000.


QUEBECOR INC         CLASS A 748193109    4891166.   184560.      SH               SOLE               161385.        0.    23175.


QUEBECOR PRINTING    COMMON  747922102   77399553.  3463900.      SH               SOLE              3171350.        0.   291575.
QUEBECOR PRINTING    COMMON  747922102   77399553.  3463900.      SH               NONE                  975.        0.        0.


RANGER OIL LTD       COMMON  752805101   11582229.  3714807.      SH               SOLE              3299132.        0.   411150.
RANGER OIL LTD       COMMON  752805101   11582229.  3714807.      SH               NONE                 4525.        0.        0.


RESEARCH IN MOTION   COMMON  760975102    4136112.    89500.      SH               SOLE                34100.        0.    55400.


RIO ALGOM LTD        COMMON  766889109   40164690.  2696265.      SH               SOLE              2513240.        0.   181100.
RIO ALGOM LTD        COMMON  766889109   40164690.  2696265.      SH               NONE                 1925.        0.        0.


ROGERS CANTEL MOB    CLASS B 775102205     656620.    18000.      SH               SOLE                 5025.        0.    12975.


ROGERS COMMUNICATION CLASS B 775109200   24573452.  1004727.      SH               SOLE               766027.        0.   237975.
ROGERS COMMUNICATION CLASS B 775109200   24573452.  1004727.      SH               NONE                  725.        0.        0.


ROYAL BANK CDA       COMMON  780087102  161434000.  3669255.      SH               SOLE              2993590.        0.   671715.
ROYAL BANK CDA       COMMON  780087102  161434000.  3669255.      SH               NONE                 3950.        0.        0.

                                     -------------
                     PAGE  TOTAL        393144823.
</TABLE>

                                                                    Page 9 of 11

                                                                 SEC 1474 (3/91)

<PAGE>

<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
                                                          FORM 13F
DATE: 991231                                                                                                            PAGE:  10


                                         ITEM 4                                   ITEM 6                       ITEM 8
                                          FAIR             ITEM 5                INVESTMENT               VOTING AUTHORITY
       ITEM 1        ITEM 2   ITEM 3     MARKET     SH/PRN                      DISCRETION  ITEM 7            (SHARES)
       ISSUER        CLASS    SECID      VALUE      AMOUNT    SH/PRN    PUT/CALL   TYPE      MGRS    (A)SOLE  (B)SHARED (C)NONE
- -------------------- ------- --------- ----------- --------- --------- --------- --------- -------- --------- --------- ---------
<S>                  <C>     <C>         <C>        <C>           <C>   <C>        <C>      <C>      <C>             <C> <C>
ROYAL GROUP TECH     SUB VTG 779915107   67826089.  3183525.      SH               SOLE              2997000.        0.   185000.
ROYAL GROUP TECH     SUB VTG 779915107   67826089.  3183525.      SH               NONE                 1525.        0.        0.


SEAGRAM COMPANY LTD  COMMON  811850106  109413491.  2440757.      SH               SOLE              2054602.        0.   382250.
SEAGRAM COMPANY LTD  COMMON  811850106  109413491.  2440757.      SH               NONE                 3905.        0.        0.


SHAW COMMUNICATIONS  CLASS B 82028K200    2920968.    88475.      SH               SOLE                37575.        0.    50900.


SUNCOR ENERGY INC    COMMON  867229106   19988747.   477645.      SH               SOLE               365910.        0.   111210.
SUNCOR ENERGY INC    COMMON  867229106   19988747.   477645.      SH               NONE                  525.        0.        0.


TALISMAN ENERGY INC  COMMON  87425E103  114403729.  4474767.      SH               SOLE              4019672.        0.   452595.
TALISMAN ENERGY INC  COMMON  87425E103  114403729.  4474767.      SH               NONE                 2500.        0.        0.


TELEGLOBE INC        COMMON  87941V100    8302275.   364215.      SH               SOLE               258665.        0.    98575.
TELEGLOBE INC        COMMON  87941V100    8302275.   364215.      SH               NONE                 6975.        0.        0.


TELESYSTEM INTL      SUB VTG 879946101  111209972.  3022775.      SH               SOLE              2837375.        0.   185400.


TESCO CORPORATION    COMMON  88157K101     932239.   146250.      SH               SOLE                19050.        0.   127200.


TLC LASER EYE CNTRS  COMMON  87255E108   54269320.  4166325.      SH               SOLE              3964000.        0.   201275.
TLC LASER EYE CNTRS  COMMON  87255E108   54269320.  4166325.      SH               NONE                 1050.        0.        0.


TORONTO DOMINION BK  COMMON  891160509  358061733. 13336529.      SH               SOLE             11808149.        0.  1470715.
TORONTO DOMINION BK  COMMON  891160509  358061733. 13336529.      SH               NONE                57665.        0.        0.


TRANSCANADA PPLNS    COMMON  893526103   37842729.  4369473.      SH               SOLE              3551126.        0.   790982.
TRANSCANADA PPLNS    COMMON  893526103   37842729.  4369473.      SH               NONE                27365.        0.        0.


TRIZEC HAHN CORP     COMMON  896938107    4087956.   243305.      SH               SOLE                43615.        0.   199690.


TVX GOLD INC         COMMON  87308K101     135310.   172825.      SH               SOLE                50125.        0.   122700.

                                     -------------
                     PAGE  TOTAL        889394556.

</TABLE>

                                                                   Page 10 of 11

                                                                 SEC 1474 (3/91)

<PAGE>
<TABLE>
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
                                                          FORM 13F
DATE: 991231                                                                                                            PAGE:  11


                                         ITEM 4                                   ITEM 6                       ITEM 8
                                          FAIR             ITEM 5                INVESTMENT               VOTING AUTHORITY
       ITEM 1        ITEM 2   ITEM 3     MARKET     SH/PRN                      DISCRETION  ITEM 7            (SHARES)
       ISSUER        CLASS    SECID      VALUE      AMOUNT    SH/PRN    PUT/CALL   TYPE      MGRS    (A)SOLE  (B)SHARED (C)NONE
- -------------------- ------- --------- ----------- --------- --------- --------- --------- -------- --------- --------- ---------
<S>                  <C>     <C>         <C>        <C>           <C>   <C>        <C>      <C>      <C>             <C> <C>
UNITED DOMINION INDS COMMON  909914103   68378339.  3475016.      SH               SOLE              3273628.        0.   181497.
UNITED DOMINION INDS COMMON  909914103   68378339.  3475016.      SH               NONE                19891.        0.        0.


WESCAST INDUSTRIES   CLASS A 950813105     114754.     5300.      SH               SOLE                 1500.        0.     3800.


WESTCOAST ENERGY INC COMMON  95751D102   22136280.  1380099.      SH               SOLE              1154434.        0.   212916.
WESTCOAST ENERGY INC COMMON  95751D102   22136280.  1380099.      SH               NONE                12750.        0.        0.


WESTERN STAR TRUCK   COMMON  95960H100     135502.     8200.      SH               SOLE                 2400.        0.     5800.

                                     -------------
                     PAGE  TOTAL         90764875.

                                     -------------
                     GRAND TOTAL       4890521711.
</TABLE>

                                                                   Page 11 of 11

                                                                 SEC 1474 (3/91)



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