NLI INTERNATIONAL INC
13F-HR, 1999-05-25
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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 or Quarter Ended:     March 31, 1999

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:                 NLI International Inc.
Address:              1251 Avenue of the Americas, Suite 5210
                      New York, NY  10020-1198


Form 13F File Number: 28-3430

The institutional investment manger 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:                 Takeshi Furuichi
Title:                President
Phone:                (212) 403-3400

Signature, Place, and Date of Signing:

/s/ Takeshi Furuichi               New York, NY                May 25, 1999
    [Signature]                    [City, State]                 [Date]

Report Type (Check only one.):

[X]   13F HOLDINGS 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 a portion of the holdings 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:          0

Form 13F Information Table Entry Total:     137

Form 13F Information Table Value Total:     224,533
                                            (thousands)

List of Other Included Managers:            None

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

     None

<PAGE>

                                       FORM 13F INFORMATION TABLE
                              NAME OF REPORTING MANAGER: NLI INTERNATIONAL INC.
<TABLE>
<CAPTION>

<S>                     <C>           <C>        <C>      <C>                 <C>                   <C>        <C>
  Column 1              Column 2      Column 3   Column 4         Column 5            Column 6      Column 7      Column 8

                                                                                                                    Voting
  Name of               Title of       CUSIP      Value       Amount and Type       Investment        Other       Authority
  Issuer                 Class         Number    ($1,000)       of Security         Discretion      Managers      (Shares)

                                                           Shares or
                                                           Principal SH/ PUT/        Shared- Shared-
                                                            Amount   PRN CALL   Sole Defined Other                Sole  Shared None

AES CORP                COM            00130H105    2,358   63,300   SH         63,300                           63,300
ABBOTT LABS             COM              2824100    1,479   31,600   SH         31,600                           31,600
ALTERNATIVE LIVING      COM            02145K107    1,000   50,000   SH         50,000                           50,000
  SVCS INC
AMERICA ONLINE INC DEL  COM            02364J104    1,911   13,000   SH         13,000                           13,000
AMERICAN BANKERS        COM             24456105    1,820   35,000   SH         35,000                           35,000
  INS GROUP INC
AMERICAN EXPRESS CO     COM             25816109    1,849   15,700   SH         15,700                           15,700
AMERICAN INTL GROUP INC COM             26874107    2,606   21,600   SH         21,600                           21,600
AMERICAN PWR CONVERSION COM             29066107      859   31,800   SH         31,800                           31,800
 CORP
AMGEN INC               COM             31162100    2,980   39,800   SH         39,800                           39,800
ANALOG DEVICES INC      COM             32654105    1,517   51,000   SH         51,000                           51,000
ANHEUSER BUSCH COS INC  COM             35229103    2,436   32,000   SH         32,000                           32,000
AUTOMATIC DATA          COM             53015103    2,143   51,800   SH         51,800                           51,800
  PROCESSING INC
AVIATION SALES CO       COM             53672101    1,535   34,500   SH         34,500                           34,500
AVISTA CORP             COM            05379B107      853   52,500   SH         52,500                           52,500
BJS WHOLESALE CLUB INC  COM            05548J106    2,158   82,000   SH         82,000                           82,000
BP AMOCO P L C          SPONSORED ADR   55622104    1,162   11,500   SH         11,500                           11,500
BARR LABS INC           COM             68306109    1,363   44,700   SH         44,700                           44,700
BESTFOODS               COM            08658U101    1,842   39,200   SH         39,200                           39,200
BIOGEN INC              COM             90597105    2,286   20,000   SH         20,000                           20,000
BRISTOL MYERS           COM            110122108    1,283   20,000   SH         20,000                           20,000
  SQUIBB CO
BURLINGTON RES INC      COM            122014103    1,162   29,100   SH         29,100                           29,100
CIT GROUP INC           CL A           125577106    1,528   50,000   SH         50,000                           50,000
CMP GROUP INC           COM            125887109      965   52,500   SH         52,500                           52,500
CMS ENERGY CORP         COM            125896100      886   22,000   SH         22,000                           22,000
CNET INC                COM            125945105      553    6,000   SH          6,000                            6,000
CSK AUTO CORP           COM            125965103    1,198   40,000   SH         40,000                           40,000
CATALINA MARKETING      COM            148867104    2,533   29,500   SH         29,500                           29,500
  CORP
CELESTICA INC           SUB VTG SHS    15101Q108      811   25,000   SH         25,000                           25,000
CENTURY TEL             COM            156686107    2,108   30,000   SH         30,000                           30,000
  ENTERPRISES INC
CHARTER ONE FINL INC    COM            160903100    1,227   42,500   SH         42,500                           42,500
CHASE MANHATTAN         COM            16161A108    1,766   21,700   SH         21,700                           21,700
  CORP NEW
CINCINNATI BELL INC     COM            171870108    1,571   70,000   SH         70,000                           70,000
CISCO SYS INC           COM            17275R102    2,471   22,550   SH         22,550                           22,550
CITIGROUP INC           COM            172967101    1,996   31,250   SH         31,250                           31,250
CLEAR CHANNEL           COM            184502102    3,843   57,300   SH         57,300                           57,300
  COMMUNICATIONS
CONCORD EFS INC         COM            206197105    1,240   45,000   SH         45,000                           45,000
CORNING INC             COM            219350105    1,788   29,800   SH         29,800                           29,800
DIAL CORP NEW           COM            25247D101    1,891   55,000   SH         55,000                           55,000
DU PONT E I DE          COM            263534109      854   14,700   SH         14,700                           14,700
  NEMOURS & CO
DUKE ENERGY CORP        COM            264399106    1,853   33,800   SH         33,800                           33,800
E M C CORP MASS         COM            268648102    2,938   23,000   SH         23,000                           23,000
J D EDWARDS & CO        COM            281667105      287   24,000   SH         24,000                           24,000
ELAN PLC                ADR            284131208    2,232   32,000   SH         32,000                           32,000
FDX CORP                COM            31304N107    1,600   17,200   SH         17,200                           17,200


<PAGE>


FIRST TENN NATL CORP    COM            337162101    1,099   30,000   SH         30,000                           30,000
FIRSTAR CORP NEW WIS    COM            33763V109    1,513   16,900   SH         16,900                           16,900
FIRSTMERIT CORP         COM            337915102      953   37,000   SH         37,000                           37,000
FLEET FINL GROUP INC    COM            338915101    1,309   34,800   SH         34,800                           34,800
   NEW
FLOWERS INDS INC        COM            343496105    1,921   78,000   SH         78,000                           78,000
FORD MTR CO DEL         COM            345370100    1,281   22,600   SH         22,600                           22,600
GTE CORP                COM            362320103    1,924   31,800   SH         31,800                           31,800
GALILEO INTERNATIONAL   COM            363547100    1,742   36,000   SH         36,000                           36,000
  INC
GAP INC DEL             COM            364760108    1,262   18,750   SH         18,750                           18,750
GENERAL ELEC CO         COM            369604103    2,854   25,800   SH         25,800                           25,800
GENERAL MTRS CORP       CL H NEW       370442832    1,362   27,000   SH         27,000                           27,000
HARLEY DAVIDSON INC     COM            412822108    2,180   38,000   SH         38,000                           38,000
HILLENBRAND INDS INC    COM            431573104    1,247   27,000   SH         27,000                           27,000
HOME DEPOT INC          COM            437076102    2,123   34,100   SH         34,100                           34,100
HONEYWELL INC           COM            438506107    1,190   15,700   SH         15,700                           15,700
HOUSEHOLD INTL INC      COM            441815107    1,807   39,600   SH         39,600                           39,600
ILLINOIS TOOL WKS INC   COM            452308109    2,240   36,200   SH         36,200                           36,200
INTEL CORP              COM            458140100    2,080   17,500   SH         17,500                           17,500
INTERNATIONAL BUSINESS  COM            459200101    1,773   10,000   SH         10,000                           10,000
   MACHS
JOHNSON & JOHNSON       COM            478160104    1,169   12,500   SH         12,500                           12,500
KAYDON CORP             COM            486587108    1,476   51,000   SH         51,000                           51,000
KIMBERLY CLARK CORP     COM            494368103    2,277   47,500   SH         47,500                           47,500
KOHLS CORP              COM            500255104    1,205   17,000   SH         17,000                           17,000
LAUDER ESTEE COS INC    CL A           518439104    2,221   23,500   SH         23,500                           23,500
LEAR CORP               COM            521865105    3,569   83,600   SH         83,600                           83,600
LEGATO SYS INC          COM            524651106    1,229   23,800   SH         23,800                           23,800
LEGG MASON INC          COM            524901105    1,095   32,500   SH         32,500                           32,500
LEXMARK INTL GROUP INC  CL A           529771107    1,902   17,000   SH         17,000                           17,000
LILLY ELI & CO          COM            532457108    1,468   17,300   SH         17,300                           17,300
MCI WORLDCOM INC        COM            55268B106    2,303   26,000   SH         26,000                           26,000
MARSH & MCLENNAN COS    COM            571748102    1,337   18,000   SH         18,000                           18,000
   INC
MATTEL INC              COM            577081102      873   35,000   SH         35,000                           35,000
MAXIM INTEGRATED        COM            57772K101    1,613   29,800   SH         29,800                           29,800
   PRODS INC
MCDONALDS CORP          COM            580135101    2,456   54,200   SH         54,200                           54,200
MEDTRONIC INC           COM            585055106    1,517   21,100   SH         21,100                           21,100
MELLON BK CORP          COM            585509102    1,605   22,800   SH         22,800                           22,800
MERCANTILE BANKSHARES   COM            587405101      999   27,000   SH         27,000                           27,000
  CORP
MICROSOFT CORP          COM            594918104    2,707   30,200   SH         30,200                           30,200
MINERALS TECHNOLOGIES   COM            603158106    1,680   35,000   SH         35,000                           35,000
   INC
MOBIL CORP              COM            607059102    1,056   12,000   SH         12,000                           12,000
MODIS PROFESSIONAL      COM            607830106      770   85,000   SH         85,000                           85,000
  SVCS INC
MOLEX INC               CL A           608554200    1,255   48,500   SH         48,500                           48,500
MONSANTO CO             COM            611662107      758   16,500   SH         16,500                           16,500
MORGAN STANLEY DEAN     COM NEW        617446448    2,209   22,100   SH         22,100                           22,100
   WITTER&CO


<PAGE>



MOTIVEPOWER INDS INC    COM            61980K101    1,407   56,000   SH         56,000                           56,000
NEW CENTURY ENERGIES    COM            64352U103      681   20,000   SH         20,000                           20,000
   INC
NORTH FORK              COM            659424105      951   45,000   SH         45,000                           45,000
  BANCORPORATION NY
OAK INDS INC            COM NEW        671400505    1,397   44,000   SH         44,000                           44,000
OFFICE DEPOT INC        COM            676220106      936   25,000   SH         25,000                           25,000
OMNICARE INC            COM            681904108      886   46,500   SH         46,500                           46,500

OMNICOM GROUP INC       COM            681919106    2,166   27,100   SH         27,100                           27,100
ORACLE CORP             COM            68389X105      711   26,950   SH         26,950                           26,950
O REILLY AUTOMOTIVE     COM            686091109    2,014   45,000   SH         45,000                           45,000
  INC
PACIFICORP              COM            695114108      871   50,500   SH         50,500                           50,500
PENTAIR INC             COM            709631105    2,035   60,300   SH         60,300                           60,300
PEPSICO INC             COM            713448108    2,002   51,100   SH         51,100                           51,100
PERKIN ELMER CORP       COM            714041100    3,164   32,600   SH         32,600                           32,600
PETROLEUM GEO-SVCS A/S  SPONSORED ADR  716597109    2,225  145,900   SH        145,900                          145,900
PFIZER INC              COM            717081103    2,317   16,700   SH         16,700                           16,700
PINNACLE WEST CAP CORP  COM            723484101      782   21,500   SH         21,500                           21,500
PREMARK INTL INC        COM            740459102    1,482   45,000   SH         45,000                           45,000
PROGRESSIVE CORP OHIO   COM            743315103    1,435   10,000   SH         10,000                           10,000
QUALCOMM INC            COM            747525103    2,488   20,000   SH         20,000                           20,000
R & B FALCON CORP       COM            7.49E+105      992  115,000   SH        115,000                          115,000
QWEST COMMUNICATIONS    COM            749121109    4,318   59,900   SH         59,900                           59,900
  INTL INC
ROYAL DUTCH PETE CO     NY REG GLD1.25 780257804    1,134   21,800   SH         21,800                           21,800
SLI INC                 COM            78442T108      630   30,000   SH         30,000                           30,000
SCHEIN HENRY INC        COM            806407102    1,086   43,000   SH         43,000                           43,000
SCHERING PLOUGH CORP    COM            806605101    2,094   37,900   SH         37,900                           37,900
SKY FINL GROUP INC      COM            83080P103    1,001   37,000   SH         37,000                           37,000
SOLECTRON CORP          COM            834182107    1,457   30,000   SH         30,000                           30,000
SOVEREIGN BANCORP INC   COM            845905108      858   70,000   SH         30,000                           30,000
SPRINT CORP             PCS COM SER 1  852061506    2,916   65,800   SH         65,800                           65,800
STAPLES INC             COM            855030102    1,479   45,000   SH         45,000                           45,000
STEEL DYNAMICS INC      COM            858119100    1,855  112,000   SH        112,000                          112,000
STEWART ENTERPRISES     CL A           860370105    1,430   89,000   SH         89,000                           89,000
  INC
SUN MICROSYSTEMS INC    COM            866810104    3,164   25,300   SH         25,300                           25,300
SUNGARD DATA SYS INC    COM            867363103    1,500   37,500   SH         37,500                           37,500
SYBRON INTL CORP        COM            87114F106    1,400   56,000   SH         56,000                           56,000
SYLVAN LEARNING         COM            871399101    1,697   62,000   SH         62,000                           62,000
  SYS INC
TCF FINL CORP           COM            872275102    1,121   43,000   SH         43,000                           43,000
TMP WORLDWIDE INC       COM            872941109      907   14,000   SH         14,000                           14,000
TANDY CORP              COM            875382103    1,468   23,000   SH         23,000                           23,000
TELEFLEX INC            COM            879369106    1,485   43,600   SH         43,600                           43,600
TIME WARNER INC         COM            887315109    2,393   33,800   SH         33,800                           33,800
TOTAL RENAL CARE        COM            89151A107      660   60,000   SH         60,000                           60,000
  HLDGS INC
TYCO INTL LTD NEW       COM            902124106    1,492   20,800   SH         20,800                           20,800
U S FOODSERVICE         COM            90331R101    1,395   30,000   SH         30,000                           30,000


<PAGE>



VERITAS SOFTWARE CO     COM            923436109    1,575   19,500   SH         19,500                           19,500
VIAD CORP               COM            92552R109    1,669   60,000   SH         60,000                           60,000
WAL MART STORES INC     COM            931142103    2,351   25,500   SH         25,500                           25,500
WATSON PHARMACEUTICALS  COM            942683103    1,253   28,400   SH         28,400                           28,400
   INC
WISCONSIN CENT TRANSN   COM            976592105      464   35,000   SH         35,000                           35,000
  CORP
GRAND TOTAL                                       224,533

</TABLE>



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