CIBC WORLD MARKETS CORP
13F-HR, 1999-11-16
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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: __09/30/99_____

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: ____CIBC World Markets_______________________
Address: _One World Financial Center______________
         _New York, New York 10281_________________
         __________________________________________

13F File Number: 028-06918________

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:  ___Vince Saponar_________________________
Title: ___Executive Director____________________
Phone: ___212-667-6239__________________________

Signature, Place, and Date of Signing:

_VINCE SAPONAR_____    ___NEW YORK, NEW YORK___     __11/12/99__
 [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).)


List of Other Managers Reporting for this Manager: NONE

			FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: ______8_______

Form 13F Information Table Entry Total: _____3642_____

Form 13F Information Table Value Total: $___3,825,247___
                                         (thousands)


Information for which we are requesting confidential treatment has
been omitted and filed separately with the Commission.


List of Other Included Managers:


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

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

   No.    Form 13F File Number      Name

   1      801-52680                 Augusta Management LLC
   2      801-36731                 Oppenheimer Catalyst Mgmt LP
   3      028-80110708              Oppenheimer Capital
   4      801-53625                 Troon Management LLC
   5      801-36639                 Westmed Venture Management LP
   6      801-30871                 Oppenheimer Horizon Management LP
   7      801-55640                 CIBC Oppenheimer LLC
   8      028-04847                 KBW Asset Management Inc.


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PAGE:     1     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

LERNOUT & HAUSPIE SPEECH PRODS  COM    B5628B104      44,917      1,288     1,288                                             1,288
DAIMLERCHRYSLER AG              ORD    D1668R123     298,292      4,296     4,296                                             4,296
DAIMLERCHRYSLER AG              ORD    D1668R123     637,132      9,177             9,177             03                      9,177
ACE LTD                         ORD    G0070K103   1,201,736     70,950    70,950                                            70,950
ACE LTD                         ORD    G0070K103      92,400      5,456             5,456             03                      5,456
AMDOCS LTD                      ORD    G02602103      90,846      4,326     4,326                                             4,326
ANNUITY AND LIFE RE HLDGS       ORD    G03910109      99,500      4,000     4,000                                             4,000
BRILLIANCE CHINA AUTO HLDG LTD  COM    G1368B102       3,946        150       150                                               150
CORECOMM LTD                    ORD    G2422R109       6,126        186       186                                               186
DELPHI INTERNATIONAL LTD        ORD    G2706W105       4,404        734       734                                               734
FRUIT OF THE LOOM LTD           ORD CL G3682L105      18,883      5,700     5,700                                             5,700
GEMSTAR INTL GROUP LTD          ORD    G3788V106     516,716      6,614     6,614                                             6,614
GLOBAL CROSSING LTD             COM    G3921A100   3,063,897    115,621   115,621                                           115,621
GLOBAL CROSSING LTD             COM    G3921A100   2,650,000    100,000                               01
GLOBAL CROSSING LTD             COM    G3921A100       3,789        143               143             03                        143
GLOBALSTAR TELECOMMUNICTNS LTD  COM    G3930H104   2,065,377     89,799    89,799                                            89,799
GLOBALSTAR TELECOMMUNICTNS LTD  COM    G3930H104   4,597,217    199,879                               04
GLOBAL-TECH APPLIANCES INC      ORD    G39320109      13,047      2,500     2,500                                             2,500
IRIDIUM WORLD COMMUNICATIONS    CL A   G49398103       5,504      2,200     2,200                                             2,200
LASALLE RE HLDGS LTD            ORD    G5383Q101      63,824      4,600     4,600                                             4,600
LORAL SPACE & COMMUNICATIONS    COM    G56462107   5,182,999    301,556   301,556                                           301,556
LORAL SPACE & COMMUNICATIONS    COM    G56462107   5,431,099    315,982                               04
LORAL SPACE & COMMUNICATIONS    PFD CO G56462149     392,999      8,000     8,000                                             8,000
NORDIC AMERICAN TANKER SHIPPNG  COM    G65773106     258,000     21,500    21,500                                            21,500
PARTNERRE LTD                   COM    G6852T105      67,273      1,936     1,936                                             1,936
PARTNERRE LTD                   COM    G6852T105     121,619      3,500             3,500             03                      3,500
RENAISSANCE RE HLDGS LTD        COM    G7496G103     286,175      8,250     8,250                                             8,250
RSL COMMUNICATIONS LTD          CL A   G7702U102      62,050      3,400     3,400                                             3,400
SANTA FE INTL CORP              ORD    G7805C108   1,800,510     83,500    83,500                                            83,500
SCOTTISH ANNUITY & LIFE HLDGS   ORD    G7885T104      76,986      7,896     7,896                                             7,896
STIRLING COOKE BROWN HLDGS LTD  ORD    G84951105      31,205     22,695    22,695                                            22,695
TERRA NOVA BERMUDA HLDGS LTD    ORD CL G87615103     121,364      3,800     3,800                                             3,800
3D LABS INC LTD                 ORD    G8846W103      22,768      7,750     7,750                                             7,750
HILFIGER TOMMY CORP             ORD    G8915Z102      53,780      1,908     1,908                                             1,908
TRANSOCEAN OFFSHORE INC CAYMON  ORD    G90076103   2,407,824     78,629    78,629                                            78,629
TRANSOCEAN OFFSHORE INC CAYMON  ORD    G90076103     643,682     21,024            21,024             03                     21,024
TRITON ENERGY LTD               ORD    G90751101      22,500      1,600     1,600                                             1,600
TRITON ENERGY LTD               ORD    G90751101     189,844     13,500                               02
XL CAP LTD                      CL A   G98255105   3,048,412     67,742    67,742                                            67,742
XL CAP LTD                      CL A   G98255105     131,895      2,931             2,931             03                      2,931
STOLT COMEX SEAWAY SA           COM    L8873E103     178,744     15,800    15,800                                            15,800
AUDIOCODES LTD                  ORD    M15342104     592,319     15,743    15,743                                            15,743
BVR SYS LTD                     ORD    M20512105     138,868     15,013    15,013                                            15,013
BVR TECHNOLOGIES LTD            ORD    M20514101      84,250     11,521    11,521                                            11,521
CHECK POINT SOFTWARE TECH LTD   ORD    M22465104     140,250      1,661     1,661                                             1,661
CHECK POINT SOFTWARE TECH LTD   ORD    M22465104      33,775        400               400             03                        400
COMMTOUCH SOFTWARE LTD          ORD    M25596103      50,813      3,416     3,416                                             3,416
ELBIT VISION SYS LTD            ORD    M37576101          71         45        45                                                45
ELBIT SYS LTD                   ORD    M3760D101      27,000      2,000     2,000                                             2,000
ELSCINT LTD NEW                 ORD    M40168102         724         92        92                                                92
E SIM LTD                       ORD    M40990109      64,000      8,000     8,000                                             8,000
                                 PAGE TOTAL       37,324,041
PAGE:     2     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

FORSOFT LTD                     ORD NE M46544108      22,087      3,398     3,398                                             3,398
FUNDTECH LTD                    ORD    M47095100      22,313      1,000     1,000                                             1,000
GILAT COMMUNICATIONS LTD        ORD    M50876107      17,191      1,196     1,196                                             1,196
GILAT SATELLITE NETWORKS LTD    ORD    M51474100   3,552,118     66,240    66,240                                            66,240
INTERNET GOLD-GOLDEN LINES LTD  ORD    M56595107      23,447      2,800     2,800                                             2,800
ISG INTL SOFTWARE GROUP LTD     ORD    M5733B104       8,503      1,204     1,204                                             1,204
LANOPTICS LTD                   ORD    M6706C103       3,152        788       788                                               788
LOGAL EDUCATIONAL SOFTWARE SYS  ORD    M6777Q106       2,374      6,902     6,902                                             6,902
MAGAL SECURITY SYS LTD          ORD    M6786D104       1,223        373       373                                               373
M SYS FLASH DISK PIONEERS LTD   ORD    M7061C100     927,539     86,785    86,785                                            86,785
NEXUS TELECOMMUNICATN SYS LTD   ORD    M74919107      15,033      8,019     8,019                                             8,019
OPTIBASE LTD                    ORD    M7524R108      12,600      1,800     1,800                                             1,800
ORBOTECH LTD                    ORD    M75253100      40,590        656       656                                               656
ORCKIT COMMUNICATIONS LTD       COM    M7531S107   1,105,289     31,245    31,245                                            31,245
RADCOM LTD                      ORD    M81865103       6,836      1,585     1,585                                             1,585
SILICOM LTD                     ORD    M84116108         688        459       459                                               459
TECNOMATIX TECHNOLOGIES LTD     ORD    M8743P105      15,975        900       900                                               900
TOWER SEMICONDUCTOR LTD         ORD    M87915100       4,370        479       479                                               479
TTI TEAM TELECOM INTL LTD       ORD    M88258104     797,574     78,775    78,775                                            78,775
VOCALTEC COMMUNICATIONS LTD     ORD    M97601104      50,425      3,570     3,570                                             3,570
WIZTEC SOLUTIONS LTD            ORD    M98105105       2,227         90        90                                                90
ASM LITHOGRAPHY HLDG N V        N Y SH N07059111     116,681      1,740     1,740                                             1,740
CORE LABORATORIES N V           COM    N22717107      59,636      3,170     3,170                                             3,170
INDIGO N V                      ORD    N44495104       3,479      1,148     1,148                                             1,148
MADGE NETWORKS N V              ORD SH N5424G106       9,928      4,182     4,182                                             4,182
ORTHOFIX INTL N V               COM    N6748L102       9,755        716       716                                               716
SAPIENS INTL CORP N V           ORD    N7716A102      22,695      2,040     2,040                                             2,040
BANCO LATINOAMERICANO DE EXPO   CL E   P16994132   2,391,446    104,545   104,545                                           104,545
STEINER LEISURE LTD             ORD    P8744Y102      51,750      2,070     2,070                                             2,070
SUN INTL HOTELS LTD             ORD    P8797T133      47,391      1,985     1,985                                             1,985
FLEXTRONICS INTL LTD            ORD    Y2573F102     196,955      3,385     3,385                                             3,385
PACIFIC INTERNET LTD            ORD    Y66183107     339,200     10,600    10,600                                            10,600
ACTV INC                        COM    00088E104     148,091     10,625    10,625                                            10,625
A D C TELECOMMUNICATIONS        COM    000886101     702,935     16,762    16,762                                            16,762
A D C TELECOMMUNICATIONS        COM    000886101      18,871        450               450             03                        450
A D C TELECOMMUNICATIONS        COM    000886101     842,954     20,100                               07
ACM GOVT INCOME FD INC          COM    000912105      40,940      5,000     5,000                                             5,000
ACM GOVT SECS FD INC            COM    000914101       2,950        400       400                                               400
ACM GOVT SPECTRUM FD INC        COM    000917104      22,500      4,000     4,000                                             4,000
ABN AMRO HLDG NV                SPONSO 000937102   1,169,873     51,710            51,710             03                     51,710
ACM MUN SECS INCOME FD INC      COM    000942102      12,125      1,000     1,000                                             1,000
ACM MANAGED DLR INCOME FD       COM    000949107       2,941        287       287                                               287
ABM INDS INC                    COM    000957100     185,235      7,300     7,300                                             7,300
ABM INDS INC                    COM    000957100      89,443      3,525             3,525             03                      3,525
ACT MFG INC                     COM    000973107     424,183     16,925    16,925                                            16,925
AFLAC INC                       COM    001055102  12,350,378    294,937   294,937                                           294,937
AFLAC INC                       COM    001055102     851,818     20,343            20,343             03                     20,343
AGCO CORP                       COM    001084102     118,300      9,100     9,100                                             9,100
AGL RES INC                     COM    001204106      58,825      3,620     3,620                                             3,620
AES CORP                        COM    00130H105     307,685      5,215     5,215                                             5,215
AES CORP                        COM    00130H105     174,050      2,950             2,950             03                      2,950
AK STL HLDG CORP                COM    001547108      85,480      4,684     4,684                                             4,684
                                 PAGE TOTAL       27,711,177
PAGE:     3     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

AK STL HLDG CORP                COM    001547108      78,853      4,321             4,321             03                      4,321
AMFM INC                        COM    001693100     877,208     14,410    14,410                                            14,410
AMFM INC                        COM    001693100     826,200     13,600                               02
AMFM INC                        COM    001693100      16,434        270               270             03                        270
AMLI RESIDENTIAL PPTYS TR       SH BEN 001735109     126,000      6,000     6,000                                             6,000
AMR CORP                        COM    001765106   1,870,439     34,320    34,320                                            34,320
AMR CORP                        COM    001765106      64,082      1,176             1,176             03                      1,176
ARC INTL CORP                   COM    001905108       1,500      1,000     1,000                                             1,000
ATI TECHNOLOGIES INC            COM    001941103       2,200        200       200                                               200
AT&T CORP                       COM    001957109  16,555,038    380,579   380,579                                           380,579
AT&T CORP                       COM    001957109   1,817,598     41,785            41,785             03                     41,785
AT&T CORP                       COM    001957109  13,456,877    309,353                               04
AT&T CORP                       COM LI 001957208   5,147,003    138,641   138,641                                           138,641
AT&T CORP                       COM LI 001957208   3,361,963     90,562            90,562             03                     90,562
AT&T CORP                       COM LI 001957208  29,921,966    801,918                               04
AT&T CORP                       COM LI 001957307     788,004     19,824    19,824                                            19,824
ASA LTD                         COM    002050102       6,262        300       300                                               300
AVT CORP                        COM    002420107      61,250      2,000     2,000                                             2,000
AXA FINL INC                    COM    002451102   1,466,640     26,281    26,281                                            26,281
AXA FINL INC                    COM    002451102     628,131     11,255            11,255             03                     11,255
AAMES FINL CORP                 COM    00253A101       6,675      8,900     8,900                                             8,900
ABBOTT LABS                     COM    002824100   5,105,523    138,927   138,927                                           138,927
ABBOTT LABS                     COM    002824100   1,884,460     51,281            51,281             03                     51,281
ABERCROMBIE & FITCH CO          CL A   002896207     550,725     16,169    16,169                                            16,169
ABERCROMBIE & FITCH CO          CL A   002896207      12,262        360               360             03                        360
ABOUT COM INC                   COM    003736105     397,195      7,030     7,030                                             7,030
ABOUT COM INC                   COM    003736105     109,327      1,935             1,935             03                      1,935
ABITIBI-CONSOLIDATED INC        COM    003924107      12,666      1,050     1,050                                             1,050
ACADIA RLTY TR                  COM SH 004239109      15,752      3,000     3,000                                             3,000
ACCELR8 TECHNOLOGY CORP         COM NE 004304200       3,827      2,500     2,500                                             2,500
ACCLAIM ENTMT INC               COM PA 004325205      15,188      2,000     2,000                                             2,000
ACCRUE SOFTWARE INC             COM    00437W102     214,650      9,540     9,540                                             9,540
ACCRUE SOFTWARE INC             COM    00437W102      82,462      3,665             3,665             03                      3,665
ACCUMED INTL INC                COM NE 004383303         140        300       300                                               300
ACKERLEY GROUP INC              COM    004527107     320,138     26,000    26,000                                            26,000
ACNIELSEN CORP                  COM    004833109     328,976     14,500    14,500                                            14,500
ACTION PERFORMANCE COS INC      COM    004933107       6,318        300       300                                               300
ACTEL CORP                      COM    004934105      32,357      1,703     1,703                                             1,703
ACX TECHNOLOGIES INC            COM    005123104       1,254        132       132                                               132
ACXIOM CORP                     COM    005125109         530         27        27                                                27
ACXIOM CORP                     COM    005125109       8,352        425               425             03                        425
ADAMS EXPRESS CO                COM    006212104         772         27        27                                                27
ADAPTIVE BROADBAND CORP         SB NT  00650MAA2         297     25,000    25,000                                            25,000
ADAPTIVE BROADBAND CORP         COM    00650M104     174,635      5,213     5,213                                             5,213
ADAPTEC INC                     COM    00651F108     704,631     17,755    17,755                                            17,755
ADAPTEC INC                     COM    00651F108       7,540        190               190             03                        190
ADELPHIA COMMUNICATIONS CORP    CL A   006848105      11,762        200       200                                               200
ADOBE SYS INC                   COM    00724F101   1,427,549     12,578            12,578             03                     12,578
ADVANCED COMMUNICATION SYSTEMS  COM    00750X109      59,946      4,820     4,820                                             4,820
ADVANCED COMMUNICATIONS GROUP   COM    00751B106   1,052,584    131,573   131,573                                           131,573
ADVANCED MAGNETICS INC          COM    00753P103       6,250      2,000     2,000                                             2,000
ADVANCED MED INC                SB DB  00754CAA9          32      5,000     5,000                                             5,000
                                 PAGE TOTAL       89,871,576
PAGE:     4     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

ADVANCED TISSUE SCIENCES INC    COM    00755F103         923        300       300                                               300
ADVANTAGE LEARNING SYSTEMS      COM    00757K100     655,406     35,190    35,190                                            35,190
ADVANTICA RESTAURANT GROUP INC  COM    00758B109     126,704     41,803    41,803                                            41,803
ADVANTICA RESTAURANT GROUP INC  COM    00758B109      76,841     25,352            25,352             06                     25,352
ADVOCAT INC                     COM    007586100       4,500      4,500     4,500                                             4,500
AERIAL COMMUNICATIONS INC       COM    007655103     127,243      4,691     4,691                                             4,691
AEROFLEX INC                    COM    007768104     208,407     17,100    17,100                                            17,100
ADVANCED MICRO DEVICES INC      COM    007903107       2,148        125       125                                               125
AEGON N V                       ORD AM 007924103     382,326      4,420     4,420                                             4,420
ADVANTA CORP                    CL A   007942105     610,526     41,748    41,748                                            41,748
ADVANTA CORP                    CL A   007942105      77,513      5,300                               02
ADVANTA CORP                    CL B   007942204     585,784     49,854    49,854                                            49,854
ADVANCED ENERGY INDS            COM    007973100     108,309      3,508     3,508                                             3,508
AETNA INC                       COM    008117103   1,332,158     27,049    27,049                                            27,049
AETNA INC                       COM    008117103      58,353      1,185             1,185             03                      1,185
AFFILIATED COMPUTER SERVICES    CL A   008190100      12,187        300       300                                               300
AFFYMETRIX INC                  COM    00826T108     305,156      3,100     3,100                                             3,100
AGRIBRANDS INTL INC             COM    00849R105         992         20        20                                                20
AGRITOPE INC DEL                COM    00855D107          40         20        20                                                20
AIR EXPRESS INTL CORP           COM    009104100     865,871     38,167            38,167             03                     38,167
AIR METHODS CORP                COM PA 009128307         327        122       122                                               122
AIR PRODS & CHEMS INC           COM    009158106       6,103        210       210                                               210
AIR PRODS & CHEMS INC           COM    009158106     878,934     30,246            30,246             03                     30,246
AIRBORNE FGHT CORP              COM    009266107      99,519      4,725     4,725                                             4,725
AIRGAS INC                      COM    009363102     444,627     38,250    38,250                                            38,250
AIRONET WIRELESS COMM           COM    00943A107     219,534     10,454    10,454                                            10,454
AIRTRAN HLDGS INC               COM    00949P108      98,615     19,602    19,602                                            19,602
AKTIEBOLAGETT ELECTROLUX        SPONSO 010198208     269,283      7,110     7,110                                             7,110
AKTIEBOLAGETT ELECTROLUX        SPONSO 010198208     745,109     19,675            19,675             03                     19,675
ALASKA AIR GROUP INC            COM    011659109     452,070     11,111    11,111                                            11,111
ALBERTO CULVER CO               CL B C 013068101       6,937        300       300                                               300
ALBERTSONS INC                  COM    013104104   2,567,404     64,897    64,897                                            64,897
ALBERTSONS INC                  COM    013104104     625,640     15,815            15,815             03                     15,815
ALCAN ALUMINIUM LTD NEW         COM    013716105     131,250      4,200     4,200                                             4,200
ALCIDE CORP                     COM NE 013742507       2,500        200       200                                               200
ALCOA INC                       COM    013817101   1,894,122     30,520    30,520                                            30,520
ALCOA INC                       COM    013817101   1,282,899     20,672            20,672             03                     20,672
ALCATEL                         SPONSO 013904305     609,595     21,968    21,968                                            21,968
ALCATEL                         SPONSO 013904305  11,705,759    421,846           421,846             03                    421,846
ALEXANDER & BALDWIN INC         COM    014482103       7,162        300       300                                               300
ALEXANDRIA REAL ESTATE EQ INC   COM    015271109   1,036,173     35,200    35,200                                            35,200
ALEXANDRIA REAL ESTATE EQ INC   COM    015271109      71,385      2,425             2,425             03                      2,425
ALGOS PHARMACEUTICAL CORP       COM    015869100      12,750      1,500     1,500                                             1,500
ALIGN-RITE INTL INC             COM    016251100      13,168        700       700                                               700
ALKERMES INC                    COM    01642T108      14,406        500       500                                               500
ALKERMES INC                    COM    01642T108   3,169,430    110,000                               01
ALKERMES INC                    COM    01642T108     380,325     13,200                               02
ALKERMES INC                    PFD CV 01642T405       8,400        150       150                                               150
ALLEGHANY CORP DEL              COM    017175100      78,411        443       443                                               443
ALLEGHENY ENERGY INC            COM    017361106   1,364,766     42,900    42,900                                            42,900
ALLEGHENY TELEDYNE INC          COM    017415100      94,195      5,582     5,582                                             5,582
ALLEGIANCE TELECOM INC          COM    01747T102      35,942        683       683                                               683
                                 PAGE TOTAL       34,666,827
PAGE:     5     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

ALLEN TELECOM INC               COM    018091108     229,609     23,550    23,550                                            23,550
ALLERGAN INC                    COM    018490102     381,370      3,467     3,467                                             3,467
ALLERGAN INC                    COM    018490102     239,360      2,176             2,176             03                      2,176
ALLERGAN SPECIALTY THERAP       CL A   018494104         344         30        30                                                30
ALLIANCE BANCORP                COM    01852J105      31,027      1,581     1,581                                             1,581
ALLIANCE CAP MGMT L P           UNIT L 018548107   4,850,558    176,791   176,791                                           176,791
ALLIANCE CAP MGMT L P           UNIT L 018548107      87,241      3,180             3,180             03                      3,180
ALLIANCE PHARMACEUTICAL CORP    COM    018773101   2,257,283    445,840   445,840                                           445,840
ALLIANCE WORLD DLR GV FD II     COM    01879R106      18,637      2,100     2,100                                             2,100
ALLIANCE WORLD DLR GV FD INC    COM    018796102       2,962        300       300                                               300
ALLIANT CORP                    COM    018802108     261,233      9,435     9,435                                             9,435
ALLIED IRISH BKS P L C          SPON A 019228402      76,313      3,000     3,000                                             3,000
ALLIEDSIGNAL INC                COM    019512102   3,641,635     60,758    60,758                                            60,758
ALLIEDSIGNAL INC                COM    019512102       8,630        144               144             03                        144
ALLIED WASTE INDS INC           COM PA 019589308      43,244      3,700     3,700                                             3,700
ALLMERICA FINL CORP             COM    019754100       4,762        100       100                                               100
ALLOU HEALTH & BEAUTY CARE INC  CL A   019782101     166,625     31,000    31,000                                            31,000
ALLSCRIPTS INC                  COM    019886100     180,511     11,371    11,371                                            11,371
ALLSCRIPTS INC                  COM    019886100   2,460,625    155,000                               01
ALLSTATE CORP                   COM    020002101  16,467,272    660,363   660,363                                           660,363
ALLSTATE CORP                   COM    020002101   1,458,195     58,478            58,478             03                     58,478
ALLTEL CORP                     COM    020039103   1,283,660     18,241    18,241                                            18,241
ALLTEL CORP                     COM    020039103     327,215      4,650             4,650             03                      4,650
ALPHA INDS INC                  COM    020753109     346,386      6,141     6,141                                             6,141
ALPHARMA INC                    CL A   020813101     701,663     19,870    19,870                                            19,870
ALTERA CORP                     COM    021441100   2,087,453     48,129    48,129                                            48,129
ALTERA CORP                     COM    021441100     117,708      2,714             2,714             03                      2,714
ALTERA CORP                     COM    021441100     533,513     12,300                               07
ALTIVA FINL CORP                COM NE 021497300       4,711      1,047     1,047                                             1,047
ALZA CORP DEL                   SUB DB 022615AD0         300     25,000    25,000                                            25,000
ALZA CORP DEL                   COM    022615108     244,793      5,718     5,718                                             5,718
ALZA CORP DEL                   WT EXP 022615157           9        301       301                                               301
AMAZON COM INC                  COM    023135106   1,745,550     21,888    21,888                                            21,888
AMAZON COM INC                  COM    023135106   7,833,524     97,995                               04
AMAZON COM INC                  COM    023135106   2,458,253     30,752                               07
AMBAC FINL GROUP INC            COM    023139108      75,800      1,600     1,600                                             1,600
AMBAC FINL GROUP INC            COM    023139108      11,843        250               250             03                        250
AMCOR LTD                       ADR NE 02341R302   4,247,478    222,836           222,836             03                    222,836
AMERADA HESS CORP               COM    023551104     189,261      3,090     3,090                                             3,090
AMEREN CORP                     COM    023608102       3,781        100       100                                               100
AMERICA ONLINE INC DEL          COM    02364J104  33,250,256    319,714   319,714                                           319,714
AMERICA ONLINE INC DEL          COM    02364J104   4,195,672     40,343            40,343             03                     40,343
AMERICA ONLINE INC DEL          COM    02364J104   3,381,631     32,496                               07
AMERICA WEST HLDG CORP          CL B   023657208      26,314      1,520     1,520                                             1,520
AMERICAN ACCES TECHNOLOGIES     COM    02368F108      13,125      2,100     2,100                                             2,100
AMCORE FINL INC                 COM    023912108     175,313      8,500                               08
AMERICAN EAGLE OUTFITTERS NEW   COM    02553E106     186,481      3,850     3,850                                             3,850
AMERICAN ECOLOGY CORP           COM    025533100          14          7         7                                                 7
AMERICAN ELEC PWR INC           COM    025537101      85,312      2,500     2,500                                             2,500
AMERICAN EXPRESS CO             COM    025816109  13,248,133     98,409    98,409                                            98,409
AMERICAN EXPRESS CO             COM    025816109   3,528,045     26,208            26,208             03                     26,208
AMERICAN EXPRESS CO             COM    025816109   6,653,340     49,284                               04
                                 PAGE TOTAL      127,005,441
PAGE:     6     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

AMERICAN GENERAL CORP           COM    026351106     680,711     10,773    10,773                                            10,773
AMERICAN GENERAL CORP           COM    026351106     262,785      4,159             4,159             03                      4,159
AMERICAN GREETINGS CORP         CL A   026375105   1,493,500     58,000    58,000                                            58,000
AMERICAN GREETINGS CORP         CL A   026375105      32,954      1,280             1,280             03                      1,280
AMERICAN HEALTH PPTYS INC       COM    026494104     498,179     24,755    24,755                                            24,755
AMERICAN HEALTH PPTYS INC       COM    026494104      69,128      3,435             3,435             03                      3,435
AMERICAN HOME PRODS CORP        COM    026609107   5,377,384    129,576   129,576                                           129,576
AMERICAN HOME PRODS CORP        COM    026609107     449,719     10,837            10,837             03                     10,837
AMERICAN HOMESTAR CORP          COM    026651109      47,883     12,357    12,357                                            12,357
AMERICAN INTL GROUP INC         COM    026874107   6,406,879     73,696    73,696                                            73,696
AMERICAN INTL GROUP INC         COM    026874107   8,645,505     99,451            99,451             03                     99,451
AMERICAN MGMT SYS INC           COM    027352103      13,416        523               523             03                        523
AMERICAN MOBILE SATELLITE CORP  COM    02755R103     131,250      7,500                               02
AMERICAN MUN INCOME PORTFOLIO   COM    027649102      24,500      2,000     2,000                                             2,000
AMERICAN NATL INS CO            COM    028591105     827,182     12,346    12,346                                            12,346
AMERICAN NATL INS CO            COM    028591105      45,225        675               675             03                        675
AMERICAN PWR CONVERSION CORP    COM    029066107      96,520      5,080     5,080                                             5,080
AMERICAN PWR CONVERSION CORP    COM    029066107      17,860        940               940             03                        940
AMERICAN PRECISION IND DEL      COM    029069101       4,868        475       475                                               475
AMERICAN REAL ESTATE PARTNR LP  DEPOSI 029169109       4,039        465       465                                               465
AMERICAN RESIDENTIAL INVS       COM    02926T103      46,062      5,500     5,500                                             5,500
AMERICAN STD COS INC DEL        COM    029712106         959         25        25                                                25
AMERICAN TOWER CORP             CL A   029912201       9,781        500       500                                               500
AMERICAN XTAL TECHNOLOGY INC    COM    030514103     229,995     10,760    10,760                                            10,760
AMERICREDIT CORP                COM    03060R101     241,876     16,193    16,193                                            16,193
AMERICREDIT CORP                COM    03060R101   1,330,200     89,050            89,050             03                     89,050
AMERIGON INC                    WT A E 03070L110          27     27,900    27,900                                            27,900
AMERISOURCE HEALTH CORP         CL A   03071P102      18,949        800       800                                               800
AMERISOURCE HEALTH CORP         CL A   03071P102      10,658        450               450             03                        450
AMERITRADE HLDG CORP            CL A   03072H109      36,750      2,000     2,000                                             2,000
AMERITRADE HLDG CORP            CL A   03072H109     918,750     50,000                               01
AMES DEPT STORES INC            COM NE 030789507     127,500      4,000     4,000                                             4,000
AMERITECH CORP NEW              COM    030954101     414,068      6,163     6,163                                             6,163
AMERITECH CORP NEW              COM    030954101   1,165,422     17,347            17,347             03                     17,347
AMERIGAS PARTNERS L P           UNIT L 030975106     280,299     15,100    15,100                                            15,100
AMF BOWLING INC                 COM    03113V109   1,242,223    301,145                               04
AMGEN INC                       COM    031162100  12,725,414    156,141   156,141                                           156,141
AMGEN INC                       COM    031162100   5,318,663     65,261            65,261             03                     65,261
AMKOR TECHNOLOGY INC            COM    031652100      80,625      5,000                               02
AMPCO-PITTSBURGH CORP           COM    032037103       8,100        600       600                                               600
AMPEX CORP DEL                  CL A   032092108       8,814      3,000     3,000                                             3,000
AMSOUTH BANCORPORATION          COM    032165102     442,006     18,859    18,859                                            18,859
AMSOUTH BANCORPORATION          COM    032165102       7,193        307               307             03                        307
AMTRAN INC                      COM    03234G106         712         38        38                                                38
AMYLIN PHARMACEUTICALS INC      COM    032346108      24,529      5,164     5,164                                             5,164
ANADARKO PETE CORP              COM    032511107     357,585     11,700    11,700                                            11,700
ANALOG DEVICES INC              COM    032654105   2,032,191     39,655    39,655                                            39,655
ANALOG DEVICES INC              COM    032654105      87,885      1,715             1,715             03                      1,715
ANALOG DEVICES INC              COM    032654105   1,050,625     20,500                               07
ANAREN MICROWAVE INC            COM    032744104      55,370      1,960     1,960                                             1,960
ANCHOR GAMING                   COM    033037102     764,812     12,854    12,854                                            12,854
ANDREW CORP                     COM    034425108   1,259,643     72,498    72,498                                            72,498
                                 PAGE TOTAL       56,310,511
PAGE:     7     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

ANDREW CORP                     COM    034425108     203,288     11,700                               02
ANDRX CORP                      COM    034551101   1,575,865     26,925    26,925                                            26,925
ANGLO AMERN PLC                 ADR    03485P102   2,267,938     40,591            40,591             03                     40,591
ANHEUSER BUSCH COS INC          COM    035229103  13,129,315    187,403   187,403                                           187,403
ANHEUSER BUSCH COS INC          COM    035229103   1,512,571     21,592            21,592             03                     21,592
ANICOM INC                      COM    035250109     206,885     38,940    38,940                                            38,940
ANIXTER INTL INC                COM    035290105          46          2         2                                                 2
ANNTAYLOR STORES CORP           COM    036115103      18,597        455       455                                               455
ANTEC CORP                      COM    03664P105     603,176     11,354    11,354                                            11,354
ANTEC CORP                      COM    03664P105       2,125         40                40             03                         40
ANTEC CORP                      COM    03664P105   1,568,463     29,524                               07
AON CORP                        COM    037389103      44,344      1,500     1,500                                             1,500
AON CORP                        COM    037389103     128,527      4,348             4,348             03                      4,348
APACHE CORP                     COM    037411105   1,368,527     31,690    31,690                                            31,690
APACHE CORP                     COM    037411105     388,688      9,000                               02
APCO ARGENTINA INC CAYMAN IS    ORD    037489101      10,969        670       670                                               670
APOLLO GROUP INC                CL A   037604105       3,168        150       150                                               150
APOLLO GROUP INC                CL A   037604105       4,160        197               197             03                        197
APPLE COMPUTER INC              COM    037833100     190,630      3,011     3,011                                             3,011
APPLE COMPUTER INC              COM    037833100       1,266         20                20             03                         20
APRIA HEALTHCARE GROUP INC      COM    037933108      58,625      3,500     3,500                                             3,500
APPLIED DIGITAL ACCESS INC      COM    038181103       2,594        500       500                                               500
APPLIED MAGNETICS CP DEL        COM    038213104         874      1,000     1,000                                             1,000
APPLIED MICRO CIRCUITS CORP     COM    03822W109       7,980        140               140             03                        140
APPLIED MICRO CIRCUITS CORP     COM    03822W109     467,400      8,200                               07
APPLIED MATLS INC               COM    038222105   4,253,856     54,626    54,626                                            54,626
APPLIED MATLS INC               COM    038222105     970,713     12,467            12,467             03                     12,467
APPLIED MATLS INC               COM    038222105   1,980,578     25,494                               07
APPLIED PWR INC                 CL A   038225108     320,607     10,555    10,555                                            10,555
APPLIED PWR INC                 CL A   038225108      11,086        365               365             03                        365
APPLIED SCIENCE & TECHNOLOGY    COM    038236105         948         46        46                                                46
APPLIED SIGNAL TECHNOLOGY INC   COM    038237103     146,250     15,000    15,000                                            15,000
APPLIEDTHEORY CORP              COM    03828R104      64,691      5,448     5,448                                             5,448
APPLIEDTHEORY CORP              COM    03828R104       3,562        300               300             03                        300
APPLIX INC                      COM    038316105      11,688      1,000     1,000                                             1,000
APPONLINE COM INC               COM    03832H100       1,344        500       500                                               500
APTARGROUP INC                  COM    038336103       1,337         50                50             03                         50
AQUARION CO                     COM    03838W101     344,740      9,610     9,610                                             9,610
ARADIGM CORP                    COM    038505103      17,675      1,937     1,937                                             1,937
ARCH CHEMICALS INC              COM    03937R102       4,046        250       250                                               250
ARCHER DANIELS MIDLAND CO       COM    039483102     361,295     29,644    29,644                                            29,644
ARCHER DANIELS MIDLAND CO       COM    039483102     777,368     63,790            63,790             03                     63,790
ARCHSTONE CMNTYS TR             SH BEN 039581103      72,945      3,777     3,777                                             3,777
ARDEN RLTY GROUP INC            COM    039793104     824,302     37,900    37,900                                            37,900
ARDEN RLTY GROUP INC            COM    039793104      69,817      3,210             3,210             03                      3,210
ARGENTARIA CAJA POSTAL Y BANCO  SPONSO 04011W108     499,701     11,325    11,325                                            11,325
ARGENTARIA CAJA POSTAL Y BANCO  SPONSO 04011W108   4,877,029    110,535           110,535             03                    110,535
ARGONAUT GROUP INC              COM    040157109       2,964        118       118                                               118
ARIAD PHARMACEUTICALS INC       COM    04033A100      53,248     74,080    74,080                                            74,080
ARIAD PHARMACEUTICALS INC       WT EXP 04033A118         252      4,000     4,000                                             4,000
ARIEL CORP                      COM    04033M104       4,125      1,000     1,000                                             1,000
ARISTA INVESTORS CORP           COM    040408106         594        500       500                                               500
                                 PAGE TOTAL       39,453,874
PAGE:     8     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

ARKANSAS BEST CORP DEL          PFD A  040790206     126,000      3,000     3,000                                             3,000
ARMCO INC                       COM    042170100      73,535     10,505    10,505                                            10,505
ARMCO INC                       COM    042170100     210,000     30,000                               02
ARMOR HOLDINGS INC              COM    042260109       5,437        500       500                                               500
ARMSTRONG WORLD INDS INC        COM    042476101     340,652      7,581     7,581                                             7,581
ARMSTRONG WORLD INDS INC        COM    042476101     291,848      6,495             6,495             03                      6,495
ARONEX PHARMACEUTICALS INC      COM NE 042666206       5,812      1,500     1,500                                             1,500
ARQULE INC                      COM    04269E107         618        100       100                                               100
ARROW ELECTRS INC               COM    042735100     112,570      6,387     6,387                                             6,387
ARROW ELECTRS INC               COM    042735100       7,930        450               450             03                        450
ASARCO INC                      COM    043413103       8,070        301       301                                               301
ASCENT ENTMT GROUP INC          COM    043628106     138,833     10,097    10,097                                            10,097
ASHLAND INC                     COM    044204105      24,376        725       725                                               725
ASIA PAC FD INC                 COM    044901106      49,005      5,445     5,445                                             5,445
ASHWORTH INC                    COM    04516H101       4,750      1,000     1,000                                             1,000
ASIA TIGERS FD INC              COM    04516T105     119,907     14,425    14,425                                            14,425
ASIA PULP & PAPER LTD           SPONSO 04516V100   1,278,398    217,600   217,600                                           217,600
ASIA PULP & PAPER LTD           WT EXP 04516V209      21,262     26,160    26,160                                            26,160
ASPECT DEV INC                  COM    045234101   1,278,885     50,523    50,523                                            50,523
ASPECT TELECOMMUNICATIONS CORP  COM    045237104     110,124      6,490     6,490                                             6,490
ASSOCIATED GROUP INC            CL A   045651106   2,628,422     43,445    43,445                                            43,445
ASSOCIATED GROUP INC            CL B   045651205   1,138,583     18,800    18,800                                            18,800
ASSOCIATED GROUP INC            CL B   045651205   4,542,225     75,000                               01
ASSOCIATED GROUP INC            CL B   045651205     581,400      9,600                               02
AT HOME CORP                    COM SE 045919107   1,321,337     31,888    31,888                                            31,888
AT HOME CORP                    COM SE 045919107   3,440,597     83,030                               04
AT HOME CORP                    COM SE 045919107     956,886     23,092                               07
ASYMETRIX LEARNING SYS INC      COM    045927100     556,078     62,000    62,000                                            62,000
ASSOCIATES FIRST CAP CORP       CL A   046008108     308,880      8,580     8,580                                             8,580
ASSOCIATES FIRST CAP CORP       CL A   046008108   1,481,544     41,154            41,154             03                     41,154
ASTRAZENECA PLC                 SPONSO 046353108     503,906     11,927    11,927                                            11,927
ASTRAZENECA PLC                 SPONSO 046353108   1,402,286     33,192            33,192             03                     33,192
ASTROPOWER INC                  COM    04644A101         600         50        50                                                50
ATLANTIC RLTY TR                SH BEN 048798102      12,692      1,612     1,612                                             1,612
ATLANTIC RICHFIELD CO           COM    048825103   4,953,104     55,890    55,890                                            55,890
ATLANTIC RICHFIELD CO           COM    048825103   1,090,864     12,310            12,310             03                     12,310
ATLANTIC RICHFIELD CO           PREF C 048825400       7,650         18        18                                                18
ATLAS AIR INC                   COM    049164106       1,968         90        90                                                90
ATMEL CORP                      COM    049513104     336,435      9,950     9,950                                             9,950
ATMEL CORP                      COM    049513104     503,814     14,900                               07
ATPLAN INC                      COM    04962Q100       3,318        300       300                                               300
AUSPEX SYS INC                  COM    052116100       8,875      1,000     1,000                                             1,000
AUSTRALIA&NEW ZEALAND BKG GRP   SPONSO 052528304      67,070      1,980     1,980                                             1,980
AUTOMATIC DATA PROCESSING INC   COM    053015103     348,070      7,800     7,800                                             7,800
AUTOMATIC DATA PROCESSING INC   COM    053015103   4,117,298     92,268            92,268             03                     92,268
AUTOMATIC DATA PROCESSING INC   COM    053015103   1,651,125     37,000                               07
AUTONATION INC                  COM    05329W102      75,378      6,000     6,000                                             6,000
AUTONATION INC                  COM    05329W102      77,518      6,171             6,171             03                      6,171
AUTOTOTE CORP                   CL A   053323101      14,959      5,700     5,700                                             5,700
AUTOWEB COM INC                 COM    053331104         223         25        25                                                25
AVANT IMMUNOTHERAPEUTICS INC    COM    053491106      13,175      6,200     6,200                                             6,200
AVATAR HLDGS INC                SUB NT 053494AD2       1,585    175,000   175,000                                           175,000
                                 PAGE TOTAL       37,657,220
PAGE:     9     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

AVATAR HLDGS INC                COM    053494100   1,137,302     59,858    59,858                                            59,858
AVERY DENNISON CORP             COM    053611109     108,182      2,051     2,051                                             2,051
AVERY DENNISON CORP             COM    053611109   1,175,040     22,278            22,278             03                     22,278
AVID TECHNOLOGY INC             COM    05367P100     196,875     15,000    15,000                                            15,000
AVISTA CORP                     COM    05379B107       7,024        400       400                                               400
AVIS RENT A CAR INC             COM    053790101      25,049      1,200     1,200                                             1,200
AVIS RENT A CAR INC             COM    053790101     217,101     10,400                               02
AVNET INC                       COM    053807103     208,740      4,970     4,970                                             4,970
AVNET INC                       COM    053807103      85,680      2,040             2,040             03                      2,040
AVON PRODS INC                  COM    054303102   1,579,326     63,650    63,650                                            63,650
AVON PRODS INC                  COM    054303102      10,170        410               410             03                        410
AWARE INC MASS                  COM    05453N100     761,658     26,550    26,550                                            26,550
AXA                             SPONSO 054536107     347,771      5,450     5,450                                             5,450
AXA                             SPONSO 054536107   1,170,871     18,350            18,350             03                     18,350
AXCESS INC                      COM    054546106          42         15        15                                                15
AXSYS TECHNOLOGIES INC          COM    054615109       4,417        431       431                                               431
BB&T CORP                       COM    054937107      37,555      1,160     1,160                                             1,160
BCE INC                         COM    05534B109     213,389      4,284     4,284                                             4,284
BG PLC                          ADR FI 055434104     206,546      7,216             7,216             03                      7,216
BOK FINL CORP                   COM NE 05561Q201      12,363        634       634                                               634
BNC MTG INC                     COM    05561Y105      24,083      3,503     3,503                                             3,503
BOC GROUP PLC                   SPONSO 055617609      73,671      1,770     1,770                                             1,770
BOC GROUP PLC                   SPONSO 055617609   5,544,329    133,205           133,205             03                    133,205
BP AMOCO P L C                  SPONSO 055622104   5,661,536     51,092    51,092                                            51,092
BP AMOCO P L C                  SPONSO 055622104   1,348,617     12,171            12,171             03                     12,171
BP PRUDHOE BAY RTY TR           UNIT B 055630107      32,437      3,000     3,000                                             3,000
BRE PROPERTIES INC              CL A   05564E106      19,149        800       800                                               800
BRT RLTY TR                     SH BEN 055645303      35,752      4,000     4,000                                             4,000
BMC SOFTWARE INC                COM    055921100   4,698,997     65,666    65,666                                            65,666
BMC SOFTWARE INC                COM    055921100     599,134      8,373             8,373             03                      8,373
BT SHIPPING LTD                 SPONSO 056007305       2,296      3,674     3,674                                             3,674
BAKER HUGHES INC                COM    057224107     263,958      9,102     9,102                                             9,102
BAKER HUGHES INC                COM    057224107     131,805      4,545             4,545             03                      4,545
BAKER J INC                     COM    057232100     236,247     30,000    30,000                                            30,000
BANCFIRST CORP                  COM    05945F103     297,706      9,451     9,451                                             9,451
BANCO BILBAO VIZCAYA INTL GIBR  SPONSO 059456103      39,000      1,500     1,500                                             1,500
BANCO FRANCES DEL RIO DE LA PL  SPONSO 059591107      52,569      2,645     2,645                                             2,645
BANCO SANTANDER CENT HISPANO    ADR    05964H105       6,311        612       612                                               612
BANCO SANTANDER CENT HISPANO    ADR    05964H105     123,043     11,932            11,932             03                     11,932
BANGOR HYDRO ELEC CO            COM    060077104      62,700      3,800     3,800                                             3,800
BANK OF AMERICA CORPORATION     COM    060505104  22,657,025    406,875   406,875                                           406,875
BANK OF AMERICA CORPORATION     COM    060505104   1,622,384     29,136            29,136             03                     29,136
BANK NEW YORK INC               COM    064057102   1,064,547     31,837    31,837                                            31,837
BANK NEW YORK INC               COM    064057102   1,433,627     42,877            42,877             03                     42,877
BANK ONE CORP                   COM    06423A103   2,672,869     76,782    76,782                                            76,782
BANK ONE CORP                   COM    06423A103      98,678      2,835             2,835             03                      2,835
BANK TOKYO-MITSUBISHI LTD       SPONSO 065379109     574,107     37,492    37,492                                            37,492
BANK TOKYO-MITSUBISHI LTD       SPONSO 065379109      39,500      2,580             2,580             03                      2,580
BANK UTD CORP                   CL A   065412108      19,425        600               600             03                        600
BANKATLANTIC BANCORP            CL A   065908501       6,397      1,150     1,150                                             1,150
BANKBOSTON CORP                 COM    06605R106  11,599,621    267,442   267,442                                           267,442
BANKBOSTON CORP                 COM    06605R106     638,076     14,712            14,712             03                     14,712
                                 PAGE TOTAL       69,858,153
PAGE:    10     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

BANYAN SYS INC                  COM    066908104         895         93        93                                                93
BARCLAYS BK PLC                 AM DEP 06738C836      14,961        600       600                                               600
BARCLAYS PLC                    ADR    06738E204       4,998         42        42                                                42
BARNES & NOBLE INC              COM    067774109   1,552,850     59,725    59,725                                            59,725
BARNES & NOBLE INC              COM    067774109      53,300      2,050             2,050             03                      2,050
BARNESANDNOBLE COM INC          CL A   067846105       1,931        100       100                                               100
BARRICK GOLD CORP               COM    067901108   2,696,572    123,981   123,981                                           123,981
BARR LABS INC                   COM    068306109     719,450     22,660    22,660                                            22,660
BASS PUB LTD CO                 SPONSO 069904209      28,026      2,231     2,231                                             2,231
BASS PUB LTD CO                 SPONSO 069904209     147,037     11,705            11,705             03                     11,705
BATTLE MTN GOLD CO              COM    071593107       1,300        400       400                                               400
BATTLE MTN GOLD CO              PFD CO 071593305      76,125      2,175     2,175                                             2,175
BAUSCH & LOMB INC               COM    071707103      23,076        350       350                                               350
BAXTER INTL INC                 COM    071813109   2,619,167     43,473    43,473                                            43,473
BAXTER INTL INC                 COM    071813109   1,017,576     16,890            16,890             03                     16,890
BAY VIEW CAP CORP DEL           COM    07262L101       4,518        341       341                                               341
BAYCORP HLDGS CORP              COM    072728108          14          2         2                                                 2
BE AEROSPACE INC                COM    073302101      28,219      2,364     2,364                                             2,364
BEA SYS INC                     COM    073325102      10,593        300       300                                               300
BEAR STEARNS COS INC            COM    073902108   1,600,107     41,634    41,634                                            41,634
BEAR STEARNS COS INC            COM    073902108      72,364      1,883             1,883             03                      1,883
BEAR STEARNS COS INC            COM    073902108      64,344      1,674                               04
BECKMAN COULTER INC             COM    075811109      15,613        346       346                                               346
BECKMAN COULTER INC             COM    075811109      89,025      1,973             1,973             03                      1,973
BECTON DICKINSON & CO           COM    075887109   3,107,298    110,726   110,726                                           110,726
BECTON DICKINSON & CO           COM    075887109      16,274        580               580             03                        580
BED BATH & BEYOND INC           COM    075896100      27,950        800       800                                               800
BED BATH & BEYOND INC           COM    075896100     187,837      5,377             5,377             03                      5,377
BELCO OIL & GAS CORP            PFD CO 077410207      83,750      5,000     5,000                                             5,000
BELDEN INC                      COM    077459105      22,755      1,110             1,110             03                      1,110
BELL & HOWELL CO NEW            COM    077852101      44,024      1,200     1,200                                             1,200
BELL ATLANTIC CORP              COM    077853109   2,931,919     43,558    43,558                                            43,558
BELL ATLANTIC CORP              COM    077853109   1,733,661     25,758            25,758             03                     25,758
BELLSOUTH CORP                  COM    079860102   2,605,455     57,899    57,899                                            57,899
BELLSOUTH CORP                  COM    079860102      34,200        760               760             03                        760
BELLWETHER EXPL CO              COM NE 079895207          81         13        13                                                13
BELLWETHER EXPL CO              COM NE 079895207      50,000      8,000                               02
BEMIS INC                       COM    081437105     849,499     25,079            25,079             03                     25,079
BENCHMARK ELECTRS INC           COM    08160H101      10,593        300       300                                               300
BENIHANA INC                    CL A   082047200       3,275        200       200                                               200
BENTLEY PHARMACEUTICALS INC     COM    082657107       1,175        400       400                                               400
BENTON OIL & GAS CO             COM    083288100      79,296     29,500    29,500                                            29,500
BERGEN BRUNSWIG CORP            CL A   083739102      67,830      6,538     6,538                                             6,538
BERINGER WINE ESTATES HOLDINGS  CL B   084102102      98,345      2,395     2,395                                             2,395
BERKSHIRE HATHAWAY INC DEL      CL A   084670108   2,420,000         44        44                                                44
BERKSHIRE HATHAWAY INC DEL      CL B   084670207   7,427,712      4,002     4,002                                             4,002
BERKSHIRE HATHAWAY INC DEL      CL B   084670207      14,848          8                 8             03                          8
BEST BUY INC                    COM    086516101     365,355      5,887     5,887                                             5,887
BEST BUY INC                    COM    086516101     125,951      2,030             2,030             03                      2,030
BESTFOODS                       COM    08658U101     597,034     12,310    12,310                                            12,310
BESTFOODS                       COM    08658U101   1,379,656     28,447            28,447             03                     28,447
BETHLEHEM STL CORP              COM    087509105         737        100       100                                               100
                                 PAGE TOTAL       35,419,708
PAGE:    11     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

BEVERLY ENTERPRISES INC         COM NE 087851309      21,568      5,075     5,075                                             5,075
BID COM INTERNATIONAL INC       COM    088788104       5,458      1,065     1,065                                             1,065
BIG ENTMT INC                   COM    089144109     938,278     53,046                               04
BINDVIEW DEV CORP               COM    090327107     601,586     30,556    30,556                                            30,556
BIO TECHNOLOGY GEN CORP         COM    090578105      50,896      5,305     5,305                                             5,305
BIOCHEM PHARMA INC              COM    09058T108       4,787        200       200                                               200
BIOCHEM PHARMA INC              COM    09058T108     404,544     16,900                               02
BIOCHEM PHARMA INC              COM    09058T108      49,758      2,079             2,079             03                      2,079
BIOCRYST PHARMACEUTICALS        COM    09058V103      46,075      1,900     1,900                                             1,900
BIOGEN INC                      COM    090597105   9,689,372    122,943   122,943                                           122,943
BIOGEN INC                      COM    090597105      20,174        256               256             03                        256
BIOMATRIX INC                   COM    09060P102   1,913,961     85,300    85,300                                            85,300
BIOMET INC                      COM    090613100       9,209        350       350                                               350
BIOMET INC                      COM    090613100      35,515      1,350             1,350             03                      1,350
BIOTIME INC                     COM    09066L105       3,625        400       400                                               400
BLACK & DECKER CORP             COM    091797100   1,114,860     24,402    24,402                                            24,402
BLACK BOX CORP DEL              COM    091826107       2,625         50                50             03                         50
BLACKROCK INVT QUALITY MUN TR   COM    09247D105          33          2         2                                                 2
BLACKROCK INCOME TR INC         COM    09247F100      54,387      8,702     8,702                                             8,702
BLACKROCK CA INSD MUN 2008 TRM  COM    09247G108      73,750      5,000     5,000                                             5,000
BLACKROCK FL INSD MUN 2008 TRM  COM    09247H106          17          1         1                                                 1
BLACKROCK INSD MUN 2008 TRM TR  COM    09247K109          88          5         5                                                 5
BLACKROCK NY INSD MUN 2008 TRM  COM    09247L107      37,698      2,523     2,523                                             2,523
BLACKROCK 1999 TERM TR INC      COM    09247T100          39          3         3                                                 3
BLACKROCK NORTH AMERN GV INCM   COM    092475102      47,869      4,757     4,757                                             4,757
BLACKROCK 2001 TERM TR INC      COM    092477108      45,786      5,087     5,087                                             5,087
BLANCH E W HLDGS INC            COM    093210102      32,562        500       500                                               500
BLOCK H & R INC                 COM    093671105       6,515        150       150                                               150
BLOCK H & R INC                 COM    093671105     236,357      5,442             5,442             03                      5,442
BLOUNT INTL INC NEW             COM    095180105          13          1         1                                                 1
BLUE DOLPHIN ENERGY CO          COM NE 095395208      74,943     11,000    11,000                                            11,000
BLUEGREEN CORP                  COM    096231105       3,068        646       646                                               646
BLYTH INDS INC                  COM    09643P108      11,643        415               415             03                        415
BOCA RESH INC                   COM    096888102      26,500      4,000     4,000                                             4,000
BODDIE NOELL PPTYS INC          COM    096903109     129,000     12,900    12,900                                            12,900
BOEING CO                       COM    097023105  12,570,335    294,921   294,921                                           294,921
BOEING CO                       COM    097023105   1,560,932     36,623            36,623             03                     36,623
BOISE CASCADE CORP              COM    097383103     464,037     12,735    12,735                                            12,735
BOISE CASCADE CORP              COM    097383103      91,094      2,500                               02
BOISE CASCADE CORP              COM    097383103       3,753        103               103             03                        103
BORDEN CHEMS&PLASTIC LTD PARTN  DEPOS  099541203      30,744      7,567     7,567                                             7,567
BORDERS GROUP INC               COM    099709107      14,687      1,000     1,000                                             1,000
BORDERS GROUP INC               COM    099709107     254,457     17,325            17,325             03                     17,325
BORG-WARNER AUTOMOTIVE INC      COM    099724106   1,171,879     27,253    27,253                                            27,253
BORG-WARNER AUTOMOTIVE INC      COM    099724106      67,596      1,572             1,572             03                      1,572
BOSTON BEER INC                 CL A   100557107         793        100       100                                               100
BOSTON LIFE SCIENCES INC        COM NE 100843408     125,953     31,000    31,000                                            31,000
BOSTON PROPERTIES INC           COM    101121101   6,204,254    202,172                               04
BOSTON SCIENTIFIC CORP          COM    101137107   2,037,156     82,521    82,521                                            82,521
BOSTONFED BANCORP INC           COM    101178101     111,000      7,400             7,400             03                      7,400
BOTTOMLINE TECH DEL INC         COM    101388106      94,400      6,400     6,400                                             6,400
BOUYGUES OFFSHORE S A           SPONSO 102112109     290,626     15,000                               02
                                 PAGE TOTAL       42,966,745
PAGE:    12     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

BOWATER INC                     COM    102183100      14,700        280       280                                               280
BOWATER INC                     COM    102183100       3,675         70                70             03                         70
BOWNE & CO INC                  COM    103043105      12,062      1,000     1,000                                             1,000
BOYD GAMING CORP                COM    103304101      32,400      5,400     5,400                                             5,400
BOYKIN LODGING CO               COM    103430104     545,383     41,163    41,163                                            41,163
BOYKIN LODGING CO               COM    103430104      25,571      1,930             1,930             03                      1,930
BRADLEES INC                    COM NE 104499207   1,384,000     86,500    86,500                                            86,500
BRADLEY REAL ESTATE INC         COM    104580105       6,431        350       350                                               350
BRANDYWINE RLTY TR              SH BEN 105368203       9,750        600       600                                               600
BRAZIL FD INC                   COM    105759104       6,625        500       500                                               500
BRAZILIAN EQUITY FD INC         COM    105884100       6,187      1,500     1,500                                             1,500
BRIGGS & STRATTON CORP          COM    109043109     390,396      6,688     6,688                                             6,688
BRIGHT HORIZON FAMILY SOLUTION  COM    109195107     133,564      8,550             8,550             03                      8,550
BRIGHTSTAR INFO TECH GROUP INC  COM    10947N104      50,251     15,168    15,168                                            15,168
BRIGHTPOINT INC                 COM    109473108       7,281      1,000     1,000                                             1,000
BRINKER INTL INC                COM    109641100       9,493        350       350                                               350
BRINKER INTL INC                COM    109641100     153,931      5,675             5,675             03                      5,675
BRISTOL HOTEL & RESORTS INC     COM    110041100     205,216     29,850    29,850                                            29,850
BRISTOL HOTEL & RESORTS INC     COM    110041100      79,092     11,505            11,505             03                     11,505
BRISTOL MYERS SQUIBB CO         COM    110122108  10,437,633    154,632   154,632                                           154,632
BRISTOL MYERS SQUIBB CO         COM    110122108   4,371,080     64,758            64,758             03                     64,758
BRITISH AWYS PLC                ADR 2N 110419306     154,976      2,713     2,713                                             2,713
BRITISH AWYS PLC                ADR 2N 110419306     268,349      4,698             4,698             03                      4,698
BRITISH AMERN TOB PLC           SPONSO 110448107     106,069      6,105     6,105                                             6,105
BRITISH AMERN TOB PLC           SPONSO 110448107   8,013,696    461,246           461,246             03                    461,246
BRITISH STL PLC                 ADR FI 111015301       4,635        180       180                                               180
BRITISH STL PLC                 ADR FI 111015301   5,502,338    213,692           213,692             03                    213,692
BRITISH TELECOMMUNICATIONS PLC  ADR FI 111021408     142,070        917       917                                               917
BRITISH TELECOMMUNICATIONS PLC  ADR FI 111021408      20,912        135               135             03                        135
BROADCOM CORP                   CL A   111320107     352,070      3,230     3,230                                             3,230
BROADCOM CORP                   CL A   111320107     670,350      6,150                               07
BROADVISION INC                 COM    111412102   1,091,113      8,200                               07
BROCADE COMMUNICATIONS SYS INC  COM    111621108   1,463,700      6,970                               07
BROOKE GROUP LTD                COM    112525100      12,218        735       735                                               735
BROOKSTONE INC                  COM    114537103   1,312,750     89,000    89,000                                            89,000
BROWN & SHARPE MFG CO           CL A   115223109         475        200       200                                               200
BROWN TOM INC                   COM NE 115660201     191,750     13,000                               02
BROWN SHOE INC NEW              COM    115736100       2,289        125       125                                               125
BRUNSWICK CORP                  COM    117043109      13,681        550       550                                               550
BUCKEYE PARTNERS L P            UNIT L 118230101     116,100      4,300     4,300                                             4,300
BUCKEYE TECHNOLOGIES INC        COM    118255108      98,834      6,300     6,300                                             6,300
BUILDING ONE SVCS CORP          COM    120114103     188,914     15,500    15,500                                            15,500
BURLINGTON NORTHN SANTA FE CP   COM    12189T104     353,485     12,854    12,854                                            12,854
BURLINGTON RES INC              COM    122014103  10,395,742    282,893   282,893                                           282,893
BURLINGTON RES INC              COM    122014103     579,323     15,765            15,765             03                     15,765
BURNHAM PAC PPTYS INC           COM    12232C108     432,431     40,940    40,940                                            40,940
BURNHAM PAC PPTYS INC           COM    12232C108      21,126      2,000             2,000             03                      2,000
BUSINESS OBJECTS S A            SPONSO 12328X107     100,300      1,700     1,700                                             1,700
CAIS INTERNET INC               COM    12476Q102      13,269      1,100     1,100                                             1,100
CB BANCSHARES INC HAWAII        COM    124785106       4,830        168       168                                               168
CBL & ASSOC PPTYS INC           COM    124830100   1,035,147     42,360    42,360                                            42,360
CBL & ASSOC PPTYS INC           COM    124830100      63,048      2,580             2,580             03                      2,580
                                 PAGE TOTAL       52,199,144
PAGE:    13     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

CBT GROUP PUB LTD               SPON A 124853300       7,387        300       300                                               300
CCA INDS INC                    COM    124867102      10,155      5,000     5,000                                             5,000
CCB FINL CORP                   COM    124875105     191,475      4,600                               08
CBRL GROUP INC                  COM    12489V106       7,750        500       500                                               500
CBS CORP                        COM    12490K107     831,755     17,984    17,984                                            17,984
CBS CORP                        COM    12490K107   3,818,419     82,563            82,563             03                     82,563
CBS CORP                        COM    12490K107  11,607,918    250,982                               04
C COR NET CORP                  COM    125010108     122,136      4,021     4,021                                             4,021
C-CUBE MICROSYSTEMS INC         COM    125015107      67,425      1,550     1,550                                             1,550
CDNOW INC NEW                   COM    125086108       5,161        415       415                                               415
CDNOW INC NEW                   COM    125086108     355,267     28,563                               04
CD RADIO INC                    COM    125127100      15,300        600       600                                               600
CD RADIO INC                    COM    125127100     428,400     16,800                               02
CDW COMPUTER CTRS INC           COM    125129106      48,875      1,000     1,000                                             1,000
CFM TECHNOLOGIES INC            COM    12525K106      48,744      6,093     6,093                                             6,093
CHS ELECTRONICS INC             COM NE 12542A206         862        600       600                                               600
CIGNA CORP                      COM    125509109  15,361,280    197,580   197,580                                           197,580
CIGNA CORP                      COM    125509109     651,819      8,384             8,384             03                      8,384
CIT GROUP INC                   CL A   125577106      63,742      3,100     3,100                                             3,100
CIT GROUP INC                   CL A   125577106      91,434      4,447             4,447             03                      4,447
CKE RESTAURANTS INC             COM    12561E105       9,649      1,331     1,331                                             1,331
CLECO CORP NEW                  COM    12561W105      81,092      2,500     2,500                                             2,500
CK WITCO CORP                   COM    12562C108      42,960      2,950     2,950                                             2,950
CK WITCO CORP                   COM    12562C108     244,129     16,412                               02
CMGI INC                        COM    125750109     807,699      7,880     7,880                                             7,880
CMGI INC                        COM    125750109       6,150         60                60             03                         60
CMP GROUP INC                   COM    125887109      84,400      3,200     3,200                                             3,200
CMS ENERGY CORP                 COM    125896100   1,643,001     48,418    48,418                                            48,418
CMS ENERGY CORP                 COM    125896100      61,244      1,805             1,805             03                      1,805
CNET INC                        COM    125945105     604,800     10,800    10,800                                            10,800
CSK AUTO CORP                   COM    125965103         872         40                40             03                         40
CNF TRANSN INC                  COM    12612W104      72,971      1,959     1,959                                             1,959
CNB BANCSHARES INC              COM    126126101      59,625      1,125     1,125                                             1,125
CRH PLC                         ADR    12626K203     195,000     10,000    10,000                                            10,000
CSG SYS INTL INC                COM    126349109      46,582      1,700             1,700             03                      1,700
CSX CORP                        COM    126408103     117,885      2,782     2,782                                             2,782
CSX CORP                        COM    126408103     182,213      4,300                               02
CTS CORP                        COM    126501105       5,520         96        96                                                96
CTS CORP                        COM    126501105       3,450         60                60             03                         60
CVS CORP                        COM    126650100     749,918     18,375    18,375                                            18,375
CVS CORP                        COM    126650100   1,908,440     46,765            46,765             03                     46,765
CABLE & WIRELESS HKT            SPONSO 126828102      59,029      2,714     2,714                                             2,714
CABLE & WIRELESS PUB LTD CO     SPONSO 126830207     197,417      5,960     5,960                                             5,960
CABLE & WIRELESS PUB LTD CO     SPONSO 126830207     379,854     11,468            11,468             03                     11,468
CABLEVISION SYS CORP            CL A   12686C109     763,511     10,495    10,495                                            10,495
CABLEVISION SYS CORP            CL A   12686C109     291,000      4,000             4,000             03                      4,000
CABLEVISION SYS CORP            CL A   12686C109  11,589,148         15                               04
CABLETRON SYS INC               COM    126920107     223,226     14,230    14,230                                            14,230
CABLETRON SYS INC               COM    126920107     266,688     17,000                               02
CABOT CORP                      COM    127055101   3,060,755    128,876   128,876                                           128,876
CABOT OIL & GAS CORP            CL A   127097103      73,625      3,100                               02
CACI INTL INC                   CL A   127190304     248,572     11,663    11,663                                            11,663
                                 PAGE TOTAL       58,082,417
PAGE:    14     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

CADBURY SCHWEPPES PLC           ADR    127209302     454,626     16,420    16,420                                            16,420
CADBURY SCHWEPPES PLC           ADR    127209302   1,217,134     43,962            43,962             03                     43,962
CADENCE DESIGN SYSTEM INC       COM    127387108      37,961      2,865     2,865                                             2,865
CALGON CARBON CORP              COM    129603106       2,214        325       325                                               325
CALIFORNIA COASTAL CMNTYS INC   COM NE 129915203         123         16        16                                                16
CALIFORNIA FED BK FSB LOS ANGL  CONT L 130209604           9          4         4                                                 4
CALL-NET ENTERPRISES INC        CL B N 130910201      79,688     15,000                               02
CALLAWAY GOLF CO                COM    131193104      61,669      5,060     5,060                                             5,060
CALLON PETE CO DEL              COM    13123X102       3,050        200       200                                               200
CAMBRIDGE HEART INC             COM    131910101       3,901      1,058     1,058                                             1,058
CAMBREX CORP                    COM    132011107         317         12        12                                                12
CAMBRIDGE TECH PARTNERS MASS    COM    132524109      91,350      6,300     6,300                                             6,300
CAMDEN PPTY TR                  SH BEN 133131102     134,375      5,000     5,000                                             5,000
CAMPBELL RES INC NEW            COM    134422104       2,408      7,000     7,000                                             7,000
CAMPBELL SOUP CO                COM    134429109     529,546     13,535    13,535                                            13,535
CANADIAN PAC LTD NEW            COM    135923100   2,332,057    102,225   102,225                                           102,225
CANADIAN PAC LTD NEW            COM    135923100      22,923      1,005             1,005             03                      1,005
CDN IMPERIAL BK OF COMMERCE     COM    136069101      19,563      1,000     1,000                                             1,000
CANADIAN NATL RY CO             COM    136375102     109,304      3,606     3,606                                             3,606
CANNONDALE CORP                 COM    137798104      26,100      2,900     2,900                                             2,900
CANON INC                       ADR    138006309     342,459     11,560    11,560                                            11,560
CANON INC                       ADR    138006309   6,951,565    234,668           234,668             03                    234,668
CAPITAL CROSSING BK             COM    140071101     237,800     16,400    16,400                                            16,400
CAPITAL ONE FINL CORP           COM    14040H105     402,675     10,325    10,325                                            10,325
CAPITAL ONE FINL CORP           COM    14040H105   1,530,048     39,232            39,232             03                     39,232
CAPITAL ONE FINL CORP           COM    14040H105     444,600     11,400                               08
CAPITAL PAC HLDGS INC           COM    14040M104      68,625     36,600    36,600                                            36,600
CAPROCK COMMUNICATIONS CORP     COM    140667106      11,625        500       500                                               500
CAPSTEAD MTG CORP               COM    14067E100      11,200      2,800             2,800             03                      2,800
CARDINAL HEALTH INC             COM    14149Y108   3,456,201     63,418    63,418                                            63,418
CARDINAL HEALTH INC             COM    14149Y108   2,310,771     42,401            42,401             03                     42,401
CAREMATRIX CORP                 COM    141706101       5,188      1,000     1,000                                             1,000
CARLISLE COS INC                COM    142339100   2,591,706     65,615    65,615                                            65,615
CARLISLE COS INC                COM    142339100      46,604      1,180             1,180             03                      1,180
CARNEGIE INTL CORP              COM    143500106           0         50        50                                                50
CARNIVAL CORP                   COM    143658102   5,114,070    117,567   117,567                                           117,567
CARNIVAL CORP                   COM    143658102   1,495,102     34,372            34,372             03                     34,372
CARRIAGE SVCS INC               CL A   143905107      25,314      3,000     3,000                                             3,000
CARRIAGE SVCS INC               CL A   143905107     203,114     24,075            24,075             03                     24,075
CAROLINA PWR & LT CO            COM    144141108     264,605      7,480     7,480                                             7,480
CASE CORP                       COM    14743R103     153,405      3,080     3,080                                             3,080
CASE CORP                       COM    14743R103   1,286,080     25,820            25,820             03                     25,820
CASELLA WASTE SYS INC           CL A   147448104      10,129        607       607                                               607
CASINO DATA SYS                 COM    147583108      24,375      5,000     5,000                                             5,000
CATALINA MARKETING CORP         COM    148867104     865,088     10,200                               02
CATALYTICA INC                  COM    148885106      36,750      2,450     2,450                                             2,450
CATAPULT COMMUNICATIONS CORP    COM    149016107     100,685      6,496     6,496                                             6,496
CATELLUS DEV CORP               COM    149111106      40,690      3,463     3,463                                             3,463
CATERPILLAR INC DEL             COM    149123101   1,929,795     35,208    35,208                                            35,208
CATERPILLAR INC DEL             COM    149123101      41,655        760               760             03                        760
CATSKILL FINL CORP              COM    149348104       4,368        290               290             03                        290
CAVANAUGHS HOSPITALITY CORP     COM    149564106     187,647     26,570    26,570                                            26,570
                                 PAGE TOTAL       35,642,156
PAGE:    15     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

CELL GENESYS INC                COM    150921104     337,710     42,884    42,884                                            42,884
CELLSTAR CORP                   SUB NT 150925AC9         343     50,000    50,000                                            50,000
CELLSTAR CORP                   COM    150925105      24,037      3,205     3,205                                             3,205
CELERITEK INC                   COM    150926103      94,557     15,438    15,438                                            15,438
CELESTIAL SEASONINGS INC        COM    151016102       7,700        400       400                                               400
CELL PATHWAYS INC NEW           COM    15114R101      86,625      9,000     9,000                                             9,000
CELTRIX PHARMACEUTICALS INC     COM    151186103       5,252      4,000     4,000                                             4,000
CEMEX S A                       SPON A 151290889       1,447         60        60                                                60
CENDANT CORP                    COM    151313103   1,766,700     99,534    99,534                                            99,534
CENDANT CORP                    COM    151313103     205,900     11,600                               02
CENTENNIAL CELLULAR CORP        CL A N 15133V208     145,401      3,200     3,200                                             3,200
CENTER TR INC                   SD CV  151845AA2      62,864     66,000    66,000                                            66,000
CENTOCOR INC                    COM    152342101     328,818      5,615     5,615                                             5,615
CENTRAL & SOUTH WEST CORP       COM    152357109     394,440     18,672    18,672                                            18,672
CENTRAL & SOUTH WEST CORP       COM    152357109      23,131      1,095             1,095             03                      1,095
CENTRAL EUROPEAN VALUE FD INC   COM    153455100      79,088      8,009     8,009                                             8,009
CENTRAL GARDEN & PET CO         SUB NT 153527AC0       1,208    160,000   160,000                                           160,000
CENTRAL HUDSON GAS & ELEC CORP  COM    153609102      15,750        400       400                                               400
CENTRAL SECS CORP               COM    155123102      29,110      1,136     1,136                                             1,136
CENTRAL VT PUB SVC CORP         COM    155771108      19,782      1,500     1,500                                             1,500
CENTURA BKS INC                 COM    15640T100     558,563     13,500                               08
CENTURYTEL INC                  COM    156700106     188,856      4,649     4,649                                             4,649
CENTURYTEL INC                  COM    156700106     147,869      3,640             3,640             03                      3,640
CERIDIAN CORP                   COM    15677T106       9,950        400       400                                               400
CERIDIAN CORP                   COM    15677T106     338,300     13,600                               02
CERIDIAN CORP                   COM    15677T106      70,514      2,835             2,835             03                      2,835
CERNER CORP                     COM    156782104      21,517      1,411     1,411                                             1,411
CHAMPION ENTERPRISES INC        COM    158496109       2,232        248       248                                               248
CHAMPION INTL CORP              COM    158525105      40,584        790       790                                               790
CHAMPION INTL CORP              COM    158525105     615,713     11,985            11,985             03                     11,985
CHARTER ONE FINL INC            COM    160903100      42,087      1,820     1,820                                             1,820
CHARTER ONE FINL INC            COM    160903100      50,338      2,177             2,177             03                      2,177
CHARTER MUN MTG ACCEP CO        SH BEN 160908109      18,732      1,434     1,434                                             1,434
CHARTWELL DIVD & INCOME FD INC  COM    16139P104     100,692      9,000     9,000                                             9,000
CHASE MANHATTAN CORP NEW        COM    16161A108   3,657,885     48,530    48,530                                            48,530
CHASE MANHATTAN CORP NEW        COM    16161A108   1,695,938     22,500                               01
CHASE MANHATTAN CORP NEW        COM    16161A108   2,493,506     33,083            33,083             03                     33,083
CHASE MANHATTAN CORP NEW        COM    16161A108     271,350      3,600                               08
CHEAP TICKETS INC               COM    162672109      72,876      2,251     2,251                                             2,251
CHECKFREE HLDGS CORP            COM    162816102      14,393        350       350                                               350
CHECKPOINT SYS INC              COM    162825103      11,175      1,200     1,200                                             1,200
CHEESECAKE FACTORY INC          COM    163072101      11,100        400       400                                               400
CHELSEA GCA RLTY INC            COM    163262108      31,625      1,000     1,000                                             1,000
CHEMDEX CORP                    COM    163595101      30,813      1,000     1,000                                             1,000
CHEMFIRST INC                   COM    16361A106      27,313      1,000     1,000                                             1,000
CHENIERE ENERGY INC             COM    16411R109      13,750     10,000    10,000                                            10,000
CHEROKEE INC DEL NEW            COM    16444H102      16,000      2,000     2,000                                             2,000
CHESAPEAKE UTILS CORP           COM    165303108      13,800        800       800                                               800
CHEVRON CORPORATION             COM    166751107   4,804,242     54,133    54,133                                            54,133
CHEVRON CORPORATION             COM    166751107   2,550,206     28,737            28,737             03                     28,737
CHICAGO TITLE CORP              COM    168228104      71,527      1,791     1,791                                             1,791
CHIEFTAIN INTL INC              COM    16867C101     947,530     49,870    49,870                                            49,870
                                 PAGE TOTAL       22,676,196
PAGE:    16     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

CHILDRENS PL RETAIL STORES INC  COM    168905107      65,361      2,455     2,455                                             2,455
CHINA FD INC                    COM    169373107      23,923      2,334     2,334                                             2,334
CHINA TELECOM HONG KONG LTD     SPONSO 169428109     186,048      3,010     3,010                                             3,010
CHINA TELECOM HONG KONG LTD     SPONSO 169428109      36,465        590               590             03                        590
CHIQUITA BRANDS INTL INC        PFD A  170032403      81,814      3,400     3,400                                             3,400
CHIREX INC                      COM    170038103      28,393      1,100     1,100                                             1,100
CHIREX INC                      COM    170038103     498,181     19,300                               02
CHIRON CORP                     COM    170040109     154,719      5,588     5,588                                             5,588
CHRIS CRAFT INDS INC            COM    170520100   6,178,127    110,078   110,078                                           110,078
CHROMAVISION MED SYS INC        COM    17111P104       1,500        120       120                                               120
CHRONIMED INC                   COM    171164106       8,000      1,000     1,000                                             1,000
CHUBB CORP                      COM    171232101     173,142      3,476     3,476                                             3,476
CHUBB CORP                      COM    171232101     648,980     13,030            13,030             03                     13,030
CIBER INC                       COM    17163B102     105,110      6,865     6,865                                             6,865
CIENA CORP                      COM    171779101     211,700      5,800     5,800                                             5,800
CINCINNATI BELL INC             COM    171870108   1,119,364     57,595    57,595                                            57,595
CINCINNATI BELL INC             COM    171870108      66,760      3,435             3,435             03                      3,435
CINAR CORP                      SUB VT 171905300     574,750     19,000                               02
CIRCUIT CITY STORE INC          CIRCT  172737108     428,207     10,150    10,150                                            10,150
CIRCUIT CITY STORE INC          CIRCT  172737108      24,888        590               590             03                        590
CISCO SYS INC                   COM    17275R102  36,602,210    533,855   533,855                                           533,855
CISCO SYS INC                   COM    17275R102   8,572,980    125,046           125,046             03                    125,046
CISCO SYS INC                   COM    17275R102   2,272,863     33,150                               04
CISCO SYS INC                   COM    17275R102   4,355,807     63,530                               07
CINTAS CORP                     COM    172908105     167,077      2,890     2,890                                             2,890
CITIGROUP INC                   COM    172967101  15,960,054    362,728   362,728                                           362,728
CITIGROUP INC                   COM    172967101   7,428,432    168,828           168,828             03                    168,828
CITIZENS BKG CORP MICH          COM    174420109      27,692      1,060     1,060                                             1,060
CITIZENS UTILS CO DEL           CL B   177342201      56,565      5,000     5,000                                             5,000
CITIZENS UTILS CO DEL           CL B   177342201     251,138     22,200                               02
CITRIX SYS INC                  COM    177376100      36,912        596               596             03                        596
CITY NATL CORP                  COM    178566105      69,641      2,075     2,075                                             2,075
CITY NATL CORP                  COM    178566105       4,363        130               130             03                        130
CLAIRE'S STORES INC             COM    179584107     207,037     12,500    12,500                                            12,500
CLAIRE'S STORES INC             COM    179584107     723,993     43,715            43,715             03                     43,715
CLARENT CORP DEL                COM    180461105      96,781      1,900                               02
CLARIFY INC                     COM    180492100       8,050        160               160             03                        160
CLARION COML HLDGS INC          CL A   18051W109      58,000      8,000     8,000                                             8,000
CLAYTON HOMES INC               COM    184190106      26,158      3,011     3,011                                             3,011
CLAYTON HOMES INC               COM    184190106      30,114      3,467             3,467             03                      3,467
CLEAR CHANNEL COMMUNICATIONS    COM    184502102     177,720      2,225     2,225                                             2,225
CLEAR CHANNEL COMMUNICATIONS    COM    184502102     169,709      2,125             2,125             03                      2,125
CLEAR CHANNEL COMMUNICATIONS    COM    184502102   5,615,133     70,299                               04
CLEARNET COMMUNICATIONS INC     CL A N 184902104      16,256        900       900                                               900
CLEARNET COMMUNICATIONS INC     CL A N 184902104     225,787     12,500            12,500             03                     12,500
CLEVELAND INDIANS BASEBALL      CL A   186202107     161,442      9,000     9,000                                             9,000
CLINICHEM DEV INC               CL A   186906103          38          5         5                                                 5
CLINTRIALS RESEARCH INC         COM    188767107      27,500      5,000     5,000                                             5,000
CLOROX CO DEL                   COM    189054109      30,600        800       800                                               800
CLOSURE MED CORP                COM    189093107      88,159      6,500     6,500                                             6,500
COASTAL CORP                    COM    190441105   2,053,459     50,165    50,165                                            50,165
COASTAL CORP                    COM    190441105     239,212      5,844             5,844             03                      5,844
                                 PAGE TOTAL       98,665,144
PAGE:    17     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

COCA COLA CO                    COM    191216100   9,432,290    196,254   196,254                                           196,254
COCA COLA CO                    COM    191216100   2,290,156     47,653            47,653             03                     47,653
COCA COLA ENTERPRISES INC       COM    191219104      68,246      3,025     3,025                                             3,025
COGNOS INC                      COM    19244C109   1,303,150     50,000                               01
COHESION TECHNOLOGIES INC       COM    19248N101       4,998        833       833                                               833
COINSTAR INC                    COM    19259P300     171,142     17,221    17,221                                            17,221
COLGATE PALMOLIVE CO            COM    194162103     994,045     21,728    21,728                                            21,728
COLGATE PALMOLIVE CO            COM    194162103   2,425,327     53,014            53,014             03                     53,014
COLONIAL HIGH INCOME MUN TR     SH BEN 195743109     160,355     23,537    23,537                                            23,537
COLONIAL INTER HIGH INCOME FD   SH BEN 195763107       5,362        903       903                                               903
COLONIAL MUN INCOME TR          SH BEN 195799101      94,839     15,484    15,484                                            15,484
COLONIAL PPTYS TR               COM SH 195872106      26,750      1,000     1,000                                             1,000
COLUMBIA ENERGY GROUP           COM    197648108     268,785      4,854     4,854                                             4,854
COLUMBIA/HCA HEALTHCARE CORP    COM    197677107   1,513,669     71,443    71,443                                            71,443
COLUMBIA/HCA HEALTHCARE CORP    COM    197677107     252,132     11,900                               02
COLUMBIA/HCA HEALTHCARE CORP    COM    197677107   1,354,414     63,928            63,928             03                     63,928
COLUMBIA LABS INC               COM    197779101      78,750     10,500    10,500                                            10,500
COMAIR HOLDINGS INC             COM    199789108      72,591      4,350     4,350                                             4,350
COMAIR HOLDINGS INC             COM    199789108       6,422        385               385             03                        385
COMCAST CORP                    CL A   200300101     146,446      4,061     4,061                                             4,061
COMCAST CORP                    CL A   200300101       4,255        118               118             03                        118
COMCAST CORP                    CL A   200300101   4,605,389    127,704                               04
COMCAST CORP                    CL A S 200300200   2,111,454     52,952    52,952                                            52,952
COMCAST CORP                    CL A S 200300200     765,419     19,198            19,198             03                     19,198
COMCAST CORP                    CL A S 200300200  18,877,662    473,421                               04
COMDISCO INC                    COM    200336105      25,106      1,300     1,300                                             1,300
COMDISCO INC                    COM    200336105     291,563     15,000                               01
COMERICA INC                    COM    200340107     962,565     19,014    19,014                                            19,014
COMERICA INC                    COM    200340107     339,188      6,700                               08
COMMERCE BANCSHARES INC         COM    200525103       6,685        189       189                                               189
COMMERCIAL METALS CO            COM    201723103      57,500      2,000     2,000                                             2,000
COMMERCIAL NET LEASE RLTY INC   COM    202218103       5,312        500       500                                               500
COMMSCOPE INC                   COM    203372107     402,413     12,382    12,382                                            12,382
COMMSCOPE INC                   COM    203372107     585,000     18,000                               02
COMMSCOPE INC                   COM    203372107      18,525        570               570             03                        570
COMMUNITY FIRST BANKSHARES INC  COM    203902101       1,012         60                60             03                         60
COMMUNITY CARE SVCS INC         WT A E 203908116           0    242,875   242,875                                           242,875
COMPAGNIE GENERALE DES GEOPHYS  SPONSO 204386106      41,783      3,500     3,500                                             3,500
COMPANHIA CERVEJARIA BRAHMA     SPON A 20440X103       4,320        360       360                                               360
COMPANHIA CERVEJARIA BRAHMA     SPON A 20440X103   4,525,584    377,132           377,132             03                    377,132
COMPANIA ANONIMA NACIONL TEL    SPON A 204421101       5,630        210       210                                               210
COMPANIA ANONIMA NACIONL TEL    SPON A 204421101   4,918,874    183,464           183,464             03                    183,464
COMPASS BANCSHARES INC          COM    20449H109      11,250        450       450                                               450
COMPAQ COMPUTER CORP            COM    204493100   7,885,829    343,801   343,801                                           343,801
COMPAQ COMPUTER CORP            COM    204493100     183,963      8,021             8,021             03                      8,021
COMPAQ COMPUTER CORP            COM    204493100   1,001,925     43,800                               07
COMPLETE BUSINESS SOLUTIONS     COM    20452F107     216,675     15,830    15,830                                            15,830
COMPLETE BUSINESS SOLUTIONS     COM    20452F107      88,417      6,460             6,460             03                      6,460
COMPUTER ASSOC INTL INC         COM    204912109  41,024,360    669,796   669,796                                           669,796
COMPUTER ASSOC INTL INC         COM    204912109   1,437,357     23,468            23,468             03                     23,468
COMPUTER ASSOC INTL INC         COM    204912109   2,139,375     35,000                               07
COMPUSA INC                     COM    204932107      16,077      2,625     2,625                                             2,625
                                 PAGE TOTAL      132,795,596
PAGE:    18     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

COMPUTER SCIENCES CORP          COM    205363104  11,980,467    170,391   170,391                                           170,391
COMPUTER SCIENCES CORP          COM    205363104   2,308,657     32,836            32,836             03                     32,836
COMPUTER SCIENCES CORP          COM    205363104   1,751,497     24,910                               07
COMPUTER TASK GROUP INC         COM    205477102      14,750      1,000     1,000                                             1,000
COMPUTRON SOFTWARE INC          COM    205631104       4,687      7,500     7,500                                             7,500
COMPUWARE CORP                  COM    205638109  12,624,615    484,424   484,424                                           484,424
COMPUWARE CORP                  COM    205638109     579,839     22,250            22,250             03                     22,250
COMSAT CORP                     COM SE 20564D107   2,103,586     71,613    71,613                                            71,613
COMSAT CORP                     COM SE 20564D107     155,794      5,304             5,304             03                      5,304
COMSTOCK RES INC                COM NE 205768203     317,206     76,900    76,900                                            76,900
COMVERSE TECHNOLOGY INC         COM PA 205862402     612,146      6,491     6,491                                             6,491
COMVERSE TECHNOLOGY INC         COM PA 205862402      87,417        927               927             03                        927
CONAGRA INC                     COM    205887102     185,160      8,207     8,207                                             8,207
CONCENTRIC NETWORK CORP         COM    20589R107      32,500      1,600     1,600                                             1,600
COMPUTER HORIZONS CORP          COM    205908106      23,250      2,000     2,000                                             2,000
CONCORD EFS INC                 COM    206197105       6,393        310               310             03                        310
CONCURRENT COMPUTER CORP NEW    COM    206710204      20,439      3,000     3,000                                             3,000
CONE MLS CORP N C               COM    206814105       4,875      1,000     1,000                                             1,000
CONECTIV INC                    COM    206829103      14,718        750       750                                               750
CONEXANT SYSTEMS INC            COM    207142100     151,917      2,091     2,091                                             2,091
CONEXANT SYSTEMS INC            COM    207142100     928,253     12,776                               07
CONOCO INC                      CL A   208251306     319,401     11,510    11,510                                            11,510
CONOCO INC                      CL A   208251306     233,100      8,400                               02
CONOCO INC                      CL B   208251405     920,364     33,622    33,622                                            33,622
CONOCO INC                      CL B   208251405     234,966      8,584             8,584             03                      8,584
CONSECO INC                     COM    208464107   5,377,571    278,453   278,453                                           278,453
CONSECO INC                     COM    208464107      20,757      1,075             1,075             03                      1,075
CONSOLIDATED EDISON INC         COM    209115104   1,024,053     24,676    24,676                                            24,676
CONSOLIDATED EDISON INC         COM    209115104       4,025         97                97             03                         97
CONSOLIDATED FREIGHTWAYS CORP   COM    209232107       9,371        949       949                                               949
CONSOLIDATED NAT GAS CO         COM    209615103      88,508      1,419     1,419                                             1,419
CONSOLIDATED PAPERS INC         COM    209759109     182,873      6,805     6,805                                             6,805
CONSOLIDATED STORES CORP        COM    210149100     525,088     23,800                               02
CONSTELLATION ENERGY CORP       COM    210371100   1,375,309     48,900    48,900                                            48,900
CONSUMER PORTFOLIO SVCS INC     COM    210502100       1,506      1,555     1,555                                             1,555
CONTINENTAL AIRLS INC           CL B   210795308     403,806     12,330    12,330                                            12,330
CONTINUUS SOFTWARE CORP         COM    21218R104      21,284      4,481     4,481                                             4,481
CONVERGYS CORP                  COM    212485106     851,285     42,975    42,975                                            42,975
CONVERGYS CORP                  COM    212485106      44,663      2,255             2,255             03                      2,255
COOKER RESTAURANT CORP          COM NE 216284208       8,624      2,190     2,190                                             2,190
COOPER CAMERON CORP             COM    216640102     135,898      3,600     3,600                                             3,600
COOPER CAMERON CORP             COM    216640102       5,284        140               140             03                        140
COOPER INDS INC                 COM    216669101     106,590      2,280     2,280                                             2,280
COOPER TIRE & RUBR CO           COM    216831107      21,150      1,200     1,200                                             1,200
COORS ADOLPH CO                 CL B   217016104      16,237        300       300                                               300
COPART INC                      COM    217204106     204,623     11,100            11,100             03                     11,100
COR THERAPEUTICS INC            COM    217753102      83,676      4,404     4,404                                             4,404
CORAM HEALTHCARE CORP           COM    218103109       4,521      7,235     7,235                                             7,235
CORDANT TECHNOLOGIES INC        COM    218412104     165,872      5,450             5,450             03                      5,450
COREL CORPORATION               COM    21868Q109      10,049      1,357     1,357                                             1,357
CORIMON CA                      SPON A 218728509      11,250     15,000    15,000                                            15,000
CORNERSTONE PROPANE PARTNR L P  UNIT L 218916104     482,533     30,396    30,396                                            30,396
                                 PAGE TOTAL       47,396,910
PAGE:    19     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

CORNERSTONE PPTYS INC           COM    21922H103       6,100        400       400                                               400
CORNERSTONE RLTY INCOME TR INC  COM    21922V102     719,640     79,960    79,960                                            79,960
CORNING INC                     COM    219350105   3,134,880     45,724    45,724                                            45,724
CORNING INC                     COM    219350105     459,369      6,700                               02
CORPORATE EXECUTIVE BRD CO      COM    21988R102     460,678     11,305    11,305                                            11,305
CORPORATE OFFICE PPTYS TR       SH BEN 22002T108      34,789      4,600     4,600                                             4,600
CORTECS PLC                     SPON A 220512206      10,000     10,000    10,000                                            10,000
COSTCO WHSL CORP NEW            COM    22160K105   1,339,128     18,599    18,599                                            18,599
COSTCO WHSL CORP NEW            COM    22160K105   2,800,296     38,893            38,893             03                     38,893
COULTER PHARMACEUTICAL INC      COM    222116105      13,938      1,000     1,000                                             1,000
COUNTRYWIDE CR INDS INC DEL     COM    222372104     288,665      8,951     8,951                                             8,951
COUNTRYWIDE CR INDS INC DEL     COM    222372104       5,963        185               185             03                        185
COUSINS PPTYS INC               COM    222795106     182,077      5,365     5,365                                             5,365
COVAD COMMUNICATIONS GROUP INC  COM    222814204       4,577        105       105                                               105
COVANCE INC                     COM    222816100      29,440      3,039     3,039                                             3,039
COVENTRY HEALTH CARE INC        COM    222862104       1,045        110               110             03                        110
COVEST BANCSHARES INC           COM    223032103       4,475        330               330             03                        330
COX COMMUNICATIONS INC NEW      CL A   224044107   5,077,575    121,622   121,622                                           121,622
COX COMMUNICATIONS INC NEW      CL A   224044107      93,722      2,245             2,245             03                      2,245
COX COMMUNICATIONS INC NEW      CL A   224044107  13,061,905    312,860                               04
CRANE CO                        COM    224399105   1,944,337     86,662    86,662                                            86,662
CRANE CO                        COM    224399105      30,324      1,352             1,352             03                      1,352
CRAWFORD & CO                   CL B   224633107       5,725        400       400                                               400
CREDIT SUISSE ASSET MGMT STRAT  COM    224918102       9,587      1,300     1,300                                             1,300
CREATIVE COMPUTERS INC          COM    22527E107      12,112      1,900     1,900                                             1,900
CREDENCE SYS CORP               NT CV  225302AC2     323,843    340,000   340,000                                           340,000
CREDITRUST CORP                 COM    225429109      15,706        700       700                                               700
CREE RESH INC                   COM    225447101     106,904      3,150     3,150                                             3,150
CRESCENDO PHARMACEUTICALS CORP  CL A   225637107       2,004        111       111                                               111
CRESCENT OPER INC               COM    22575M100          81         20        20                                                20
CRESCENT REAL ESTATE EQUITIES   COM    225756105   2,080,710    115,595   115,595                                           115,595
CRESCENT REAL ESTATE EQUITIES   PFD CV 225756204     112,971      7,500     7,500                                             7,500
CRIIMI MAE INC                  COM    226603108      10,209      4,950     4,950                                             4,950
CRITICAL PATH INC               COM    22674V100     282,001      6,990     6,990                                             6,990
CRITICAL PATH INC               COM    22674V100      62,128      1,540             1,540             03                      1,540
CROSS TIMBERS RTY TR            TR UNI 22757R109       5,937        500       500                                               500
CROSS TIMBERS OIL CO            COM    227573102     167,400     12,400                               02
CROWN CENT PETE CORP            CL A   228219101       6,000      1,000     1,000                                             1,000
CROWN CORK & SEAL INC           COM    228255105     192,179      7,925     7,925                                             7,925
CROWN CORK & SEAL INC           COM    228255105     240,297      9,910             9,910             03                      9,910
CROWN PAC PARTNERS L P          UNIT L 228439105      35,594      1,700     1,700                                             1,700
CRYOLIFE INC                    COM    228903100      12,500      1,000     1,000                                             1,000
CRYSTAL GAS STORAGE INC         PFD SR 229241203           0          1         1                                                 1
CUBIST PHARMACEUTICALS INC      COM    229678107      17,126      2,000     2,000                                             2,000
CUBIST PHARMACEUTICALS INC      COM    229678107     132,719     15,500                               02
CULLEN FROST BANKERS INC        COM    229899109       1,500         60                60             03                         60
CULLEN FROST BANKERS INC        COM    229899109     250,000     10,000                               08
CUMMINS ENGINE INC              COM    231021106     142,210      2,855     2,855                                             2,855
CURAGEN CORP                    COM    23126R101     906,300     68,400    68,400                                            68,400
CYBERIAN OUTPOST INC            COM    231914102      36,688      4,000     4,000                                             4,000
CYBEAR INC                      COM    23243P103      77,722      9,315     9,315                                             9,315
CYBERCASH INC                   COM    232462101      35,833      4,900     4,900                                             4,900
                                 PAGE TOTAL       35,119,628
PAGE:    20     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

CYBERSOURCE CORP                COM    23251J106       5,537        100       100                                               100
CYGNUS INC                      COM    232560102       5,609        500       500                                               500
CYLINK CORP                     COM    232565101       7,250      1,000     1,000                                             1,000
CYMER INC                       COM    232572107     225,472      6,500     6,500                                             6,500
CYPRESS BIOSCIENCES INC         COM    232674101       7,458      2,712     2,712                                             2,712
CYPRESS SEMICONDUCTOR CORP      COM    232806109     105,350      4,900     4,900                                             4,900
CYPRUS AMAX MINERALS CO         COM    232809103       9,812        500       500                                               500
CYTEC INDS INC                  COM    232820100       1,512         63        63                                                63
CYTEC INDS INC                  COM    232820100     162,150      6,900                               02
CYTOGEN CORP                    COM    232824102       2,000      1,000     1,000                                             1,000
DII GROUP INC                   COM    232949107   1,161,204     33,000    33,000                                            33,000
DII GROUP INC                   COM    232949107       1,231         35                35             03                         35
DLJ HIGH YIELD BD FD            SH BEN 23322Y108      21,463      2,662     2,662                                             2,662
DQE INC                         COM    23329J104   1,729,324     44,200    44,200                                            44,200
DPL INC                         COM    233293109      14,081        799       799                                               799
D R HORTON INC                  COM    23331A109       1,293        100       100                                               100
D R HORTON INC                  COM    23331A109       5,174        400               400             03                        400
DSP GROUP INC                   COM    23332B106      15,950        400       400                                               400
DSP GROUP INC                   COM    23332B106     151,525      3,800                               07
DTE ENERGY CO                   COM    233331107     709,962     19,653    19,653                                            19,653
DAL-TILE INTL INC               COM    23426R108       3,969        500       500                                               500
DANA CORP                       COM    235811106   1,163,483     31,340    31,340                                            31,340
DANA CORP                       COM    235811106       4,455        120               120             03                        120
DANAHER CORP DEL                COM    235851102      30,295        575       575                                               575
DANAHER CORP DEL                COM    235851102       8,429        160               160             03                        160
DANIELSON HLDG CORP             COM    236274106      13,026      2,171     2,171                                             2,171
DANKA BUSINESS SYS PLC          SPONSO 236277109   4,329,900    425,000                               01
DAOU SYS INC                    COM    237015102       3,069        571       571                                               571
DARDEN RESTAURANTS INC          COM    237194105     107,880      5,515     5,515                                             5,515
DARLING INTL INC                COM    237266101   1,480,230  1,076,532 1,076,532                                          1076,532
DARLING INTL INC                COM    237266101     794,677    577,947           577,947             06                    577,947
DATA BROADCASTING CORP          COM    237596101      24,700      3,266     3,266                                             3,266
DATA DIMENSIONS INC             COM PA 237654207       6,124      4,000     4,000                                             4,000
DATA GEN CORP                   COM    237688106     745,068     35,375    35,375                                            35,375
DATASCOPE CORP                  COM    238113104   1,050,623     29,911    29,911                                            29,911
DATUM INC                       COM    238208102       2,414        356       356                                               356
DAUGHERTY RES INC               COM    238215107         381        165       165                                               165
DAVOX CORP                      COM    239208101      88,096      6,744     6,744                                             6,744
DAYTON HUDSON CORP              COM    239753106   1,611,725     26,835    26,835                                            26,835
DAYTON HUDSON CORP              COM    239753106     112,241      1,869             1,869             03                      1,869
DE BEERS CONS MINES LTD         ADR DE 240253302       8,775        325       325                                               325
DE BEERS CONS MINES LTD         ADR DE 240253302   5,590,863    207,069           207,069             03                    207,069
DEAN FOODS CO                   COM    242361103      23,521        540       540                                               540
DEBT STRATEGIES FD II INC       COM    242901106       9,831      1,300     1,300                                             1,300
DEERE & CO                      COM    244199105     410,853     10,620    10,620                                            10,620
DEERE & CO                      COM    244199105     206,502      5,338             5,338             03                      5,338
DEL LABS INC                    COM    245091103      23,324      1,666     1,666                                             1,666
DELAWARE GR DIV AND INC FD INC  COM    245915103       7,575        600       600                                               600
DELIA*S INC                     COM    246885107      22,222      3,538     3,538                                             3,538
DELL COMPUTER CORP              COM    247025109   6,586,543    157,527   157,527                                           157,527
DELL COMPUTER CORP              COM    247025109   4,220,166    100,939           100,939             03                    100,939
DELL COMPUTER CORP              COM    247025109   6,159,515    147,311                               04
                                 PAGE TOTAL       40,873,487
PAGE:    21     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

DELL COMPUTER CORP              COM    247025109   2,839,186     67,902                               07
DELPHI AUTOMOTIVE SYS CORP      COM    247126105     562,758     35,038    35,038                                            35,038
DELPHI AUTOMOTIVE SYS CORP      COM    247126105      56,197      3,499             3,499             03                      3,499
DELPHI FINL GROUP INC           CL A   247131105   2,823,170     93,520    93,520                                            93,520
DELTA AIR LINES INC DEL         COM    247361108      31,766        655       655                                               655
DELUXE CORP                     COM    248019101      42,330      1,245     1,245                                             1,245
DENALI INC                      COM    248221103      28,114      6,713     6,713                                             6,713
DETROIT DIESEL CORP             COM    250837101       1,850        100       100                                               100
DEUTSCHE TELEKOM AG             SPONSO 251566105      58,161      1,391     1,391                                             1,391
DEUTSCHE TELEKOM AG             SPONSO 251566105  11,587,261    277,133           277,133             03                    277,133
DEVELOPERS DIVERSIFIED RLTY CO  COM    251591103     108,500      7,750     7,750                                             7,750
DEVON ENERGY CORP NEW           COM    25179M103      96,962      2,340     2,340                                             2,340
DEVON ENERGY CORP NEW           COM    25179M103     596,575     14,397                               02
DEVON ENERGY CORP NEW           COM    25179M103     683,763     16,502            16,502             03                     16,502
DEVRY INC DEL                   COM    251893103     234,000     11,700    11,700                                            11,700
DEVRY INC DEL                   COM    251893103      92,100      4,605             4,605             03                      4,605
DIAGEO P L C                    SPON A 25243Q205     240,101      5,794     5,794                                             5,794
DIAGEO P L C                    SPON A 25243Q205   9,124,812    220,220           220,220             03                    220,220
DIAL CORP NEW                   COM    25247D101      24,041        943       943                                               943
DIAL CORP NEW                   COM    25247D101     418,954     16,430            16,430             03                     16,430
DIAMOND OFFSHORE DRILLING INC   COM    25271C102   2,774,130     83,121    83,121                                            83,121
DIAMOND TECHNOLOGY PARTNERS     CL A   252762109       2,692         60        60                                                60
DIAMONDS TR                     UNIT S 252787106      30,965        300       300                                               300
DIATIDE INC                     COM    252842109      71,616      7,690     7,690                                             7,690
DIEBOLD INC                     COM    253651103      87,865      3,800     3,800                                             3,800
DIEDRICH COFFEE INC             COM    253675102       6,375      1,500     1,500                                             1,500
DIGEX INC DEL                   CL A   253756100     178,152      7,521     7,521                                             7,521
DIGEX INC DEL                   CL A   253756100      45,004      1,900             1,900             03                      1,900
DIGITAL MICROWAVE CORP          COM    253859102     270,286     17,229    17,229                                            17,229
DIGITAL MICROWAVE CORP          COM    253859102     105,106      6,700                               02
DILLARDS INC                    CL A   254067101      20,313      1,000     1,000                                             1,000
DIME BANCORP INC NEW            COM    25429Q102     134,750      7,700     7,700                                             7,700
DISNEY WALT CO                  COM    254687106  12,311,138    475,806   475,806                                           475,806
DISNEY WALT CO                  COM    254687106   1,624,453     62,786            62,786             03                     62,786
DIXIE GROUP INC                 CL A   255519100       7,750      1,000     1,000                                             1,000
DOCUMENTUM INC                  COM    256159104     237,875     11,000    11,000                                            11,000
DOCUMENTUM INC                  COM    256159104     973,125     45,000                               01
DOLE FOOD INC                   COM    256605106     167,295      8,805             8,805             03                      8,805
DOLLAR GEN CORP                 COM    256669102     499,392     16,175    16,175                                            16,175
DOLLAR GEN CORP                 COM    256669102      63,779      2,066             2,066             03                      2,066
DOMINION RES INC VA             COM    257470104     275,576      6,107     6,107                                             6,107
DOMINION RES INC VA             COM    257470104       2,030         45                45             03                         45
DONALDSON INC                   COM    257651109      23,188      1,000     1,000                                             1,000
DONALDSON INC                   COM    257651109       1,159         50                50             03                         50
DONALDSON LUFKIN & JENRETTE NW  COM DL 257661108      11,868        300       300                                               300
DONALDSON LUFKIN & JENRETTE NW  COM DL 257661504     152,500     10,000                               01
DONEGAL GROUP INC               COM    257701102      96,889     13,965    13,965                                            13,965
DONNELLEY R R & SONS CO         COM    257867101     600,310     20,790    20,790                                            20,790
DONNELLEY R R & SONS CO         COM    257867101       5,225        181               181             03                        181
DORAL FINL CORP                 COM    25811P100      76,570      5,725     5,725                                             5,725
DOT HILL SYS CORP               COM    25848T109       6,625      1,000     1,000                                             1,000
DOUBLECLICK INC                 COM    258609304     226,336      1,900     1,900                                             1,900
                                 PAGE TOTAL       55,365,951
PAGE:    22     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

DOVER CORP                      COM    260003108     827,716     20,250    20,250                                            20,250
DOW CHEM CO                     COM    260543103   2,962,860     26,076    26,076                                            26,076
DOW JONES & CO INC              COM    260561105       2,241         42        42                                                42
DREYFUS CALIF MUN INCOME INC    COM    261881106       9,625      1,000     1,000                                             1,000
DREYFUS STRATEGIC MUNS INC      COM    261932107     321,600     40,200    40,200                                            40,200
DREYFUS N Y MUN INCOME INC      COM    26201T108      11,724      1,400     1,400                                             1,400
DREYFUS STRATEGIC MUN BD FD     COM    26202F107      57,247      7,100     7,100                                             7,100
DRKOOP COM INC                  COM    262098106     177,344     12,500    12,500                                            12,500
DRKOOP COM INC                  COM    262098106      36,887      2,600             2,600             03                      2,600
DRUG EMPORIUM INC               COM    262175102       2,605        386       386                                               386
DRUGSTORE COM INC               COM    262241102     344,375      9,500                               04
DU PONT E I DE NEMOURS & CO     COM    263534109   2,101,163     34,517    34,517                                            34,517
DU PONT E I DE NEMOURS & CO     COM    263534109   1,966,994     32,316            32,316             03                     32,316
DUCATI MTR HLDGS SPA            SPONSO 264066101       9,450        300       300                                               300
DUFF & PHELPS CR RATING CO      COM    26432F109     720,997      9,020             9,020             03                      9,020
DUFF & PHELPS UTILS INCOME INC  COM    264324104     182,907     18,880    18,880                                            18,880
DUKE ENERGY CORP                COM    264399106  10,077,007    182,814   182,814                                           182,814
DUKE ENERGY CORP                COM    264399106     737,065     13,372            13,372             03                     13,372
DUKE WEEKS REALTY CORP          COM NE 264411505     235,949     12,100    12,100                                            12,100
DUN & BRADSTREET CORP DEL       COM    26483B106      32,861      1,100     1,100                                             1,100
DUN & BRADSTREET CORP DEL       COM    26483B106      94,066      3,149             3,149             03                      3,149
DURA PHARMACEUTICALS INC        SUB NT 26632SAA7       1,462    189,000   189,000                                           189,000
DURA PHARMACEUTICALS INC        COM    26632S109     241,581     17,333    17,333                                            17,333
DURAMED PHARMACEUTICALS INC     COM    266354109      38,750      5,000     5,000                                             5,000
DYCOM INDS INC                  COM    267475101   1,213,400     28,764    28,764                                            28,764
DYNEGY INC                      COM    26816L102       8,585        415       415                                               415
DYNEX CAP INC                   COM NE 26817Q506         627         93        93                                                93
ECI TELECOM LTD                 ORD    268258100     149,781      6,067     6,067                                             6,067
EDAP TMS S A                    SPONSO 268311107     322,959    178,148   178,148                                           178,148
EFI ELECTRONICS CORP            COM NE 268428208         938      1,000     1,000                                             1,000
E4L INC                         COM    268452109          26          7         7                                                 7
E M C CORP MASS                 COM    268648102  11,212,978    156,965   156,965                                           156,965
E M C CORP MASS                 COM    268648102   3,046,088     42,643            42,643             03                     42,643
E M C CORP MASS                 COM    268648102   4,505,404     63,123                               04
E M C CORP MASS                 COM    268648102   3,431,139     48,072                               07
EMS TECHNOLOGIES INC            COM    26873N108       1,800        150       150                                               150
ENSCO INTL INC                  COM    26874Q100     127,336      7,050     7,050                                             7,050
ENI S P A                       SPONSO 26874R108       5,670         90        90                                                90
ENI S P A                       SPONSO 26874R108   9,082,269    144,163           144,163             03                    144,163
EOG RES INC                     COM    26875P101      21,250      1,000     1,000                                             1,000
EOG RES INC                     COM    26875P101     416,500     19,600                               02
EOG RES INC                     COM    26875P101      94,770      4,460             4,460             03                      4,460
ESS TECHNOLOGY INC              COM    269151106     144,425     10,900    10,900                                            10,900
E-TEK DYNAMICS INC              COM    269240107     100,091      1,845     1,845                                             1,845
E TOWN                          COM    269242103       4,962        100       100                                               100
E TRADE GROUP INC               COM    269246104      49,350      2,100     2,100                                             2,100
EAGLE BANCSHARES INC            COM    26942C109      27,750      1,500     1,500                                             1,500
EAGLE FOOD CENTERS INC          COM    269514105      10,698      5,186     5,186                                             5,186
EAGLE GEOPHYSICAL INC           COM    269524104           2          7         7                                                 7
EAGLE USA AIRFREIGHT INC        COM    270018104      67,360      2,250     2,250                                             2,250
EARTHGRAINS CO                  COM    270319106       6,372        288       288                                               288
EARTHSHELL CORP                 COM    27032B100       3,875      1,000     1,000                                             1,000
                                 PAGE TOTAL       56,129,428
PAGE:    23     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

EARTHLINK NETWORK INC           COM    270322100     268,903      6,263     6,263                                             6,263
EARTHLINK NETWORK INC           COM    270322100      81,582      1,900                               07
EASTGROUP PPTY INC              COM    277276101      45,312      2,500     2,500                                             2,500
EASTMAN CHEM CO                 COM    277432100      77,040      1,926     1,926                                             1,926
EASTMAN KODAK CO                COM    277461109   2,747,539     36,422    36,422                                            36,422
EASTMAN KODAK CO                COM    277461109      31,681        420               420             03                        420
EATON CORP                      COM    278058102      15,536        180       180                                               180
EATON VANCE SR INCOME TR        SH BEN 27826S103      26,662      2,700     2,700                                             2,700
EATON VANCE CORP                COM NO 278265103      10,240        320       320                                               320
EATON VANCE CORP                COM NO 278265103   1,011,424     31,607            31,607             03                     31,607
EBAY INC                        COM    278642103     215,809      1,530     1,530                                             1,530
EBAY INC                        COM    278642103   4,519,800     32,041                               04
ECHO BAY MINES LTD              COM    278751102       1,938      1,000     1,000                                             1,000
ECHOSTAR COMMUNICATIONS NEW     CL A   278762109   1,135,160     12,500    12,500                                            12,500
ECHOSTAR COMMUNICATIONS NEW     CL A   278762109   4,722,250     52,000                               02
ECHOSTAR COMMUNICATIONS NEW     CL A   278762109   2,622,407     28,877                               04
ECLIPSYS CORP                   COM    278856109         862         60        60                                                60
ECO SOIL SYS INC                COM    278858105   1,483,756    213,863   213,863                                           213,863
ECSOFT GROUP PLC                SPONSO 279240105     145,750     10,600    10,600                                            10,600
ECSOFT GROUP PLC                SPONSO 279240105      34,375      2,500             2,500             03                      2,500
EDISON CTL CORP                 COM    280883109      92,255     16,401    16,401                                            16,401
EDISON INTL                     COM    281020107      73,545      3,025     3,025                                             3,025
EDISON INTL                     COM    281020107       4,132        170               170             03                        170
EDUCATION MGMT CORP             COM    28139T101         990         80                80             03                         80
J D EDWARDS & CO                COM    281667105       2,009         97        97                                                97
J D EDWARDS & CO                COM    281667105     289,524     13,975            13,975             03                     13,975
EFAX COM INC                    COM    282012103       3,844        500       500                                               500
EL PASO ENERGY CORP DEL         COM    283905107     477,498     11,994    11,994                                            11,994
EL PASO ENERGY CORP DEL         COM    283905107       7,563        190               190             03                        190
ELAN PLC                        ADR    284131208     995,623     29,665    29,665                                            29,665
ELAN PLC                        ADR    284131208     363,803     10,840            10,840             03                     10,840
ELBIT COMPUTERS LTD             ORD    284275104   1,449,725    112,600   112,600                                           112,600
ELBIT COMPUTERS LTD             ORD    284275104     141,626     11,000                               02
ELDER BEERMAN STORES CORP NEW   COM    284470101       8,923      1,400     1,400                                             1,400
ELECTRIC FUEL CORP              COM    284871100       7,247      5,520     5,520                                             5,520
ELECTRIC LIGHTWAVE INC          CL A   284895109      82,150      6,200     6,200                                             6,200
ELECTRO RENT CORP               COM    285218103      39,475      3,158     3,158                                             3,158
ELECTROGLAS INC                 COM    285324109      15,661        670       670                                               670
ELECTRONIC ARTS INC             COM    285512109   2,419,499     33,432    33,432                                            33,432
ELECTRONIC ARTS INC             COM    285512109     113,255      1,565             1,565             03                      1,565
ELECTRONIC ARTS INC             COM    285512109   2,574,234     35,568                               07
ELECTRONIC DATA SYS NEW         COM    285661104   5,297,639    100,075   100,075                                           100,075
ELECTRONIC DATA SYS NEW         COM    285661104     681,742     12,879            12,879             03                     12,879
ELECTRONIC DATA SYS NEW         COM    285661104   1,825,514     34,484                               07
ELECTRONICS FOR IMAGING INC     COM    286082102      25,394        494       494                                               494
ELECTRONICS FOR IMAGING INC     COM    286082102      20,868        406               406             03                        406
ELF AQUITAINE                   SPONSO 286269105     548,819      5,990     5,990                                             5,990
ELF AQUITAINE                   SPONSO 286269105  13,090,425    142,875           142,875             03                    142,875
ELLIS PERRY INTL INC            COM    288853104      13,909      1,279     1,279                                             1,279
ELRON ELECTR INDS LTD           ORD    290160100      11,522        823       823                                               823
ELSEVIER N V                    SPON A 290259100      95,217      4,617             4,617             03                      4,617
ELTRAX SYS INC                  COM    290375104         292         82        82                                                82
                                 PAGE TOTAL       55,107,571
PAGE:    24     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

EMBRATEL PARTICIPACOES S A      SPON A 29081N100   2,350,507    205,500   205,500                                           205,500
EMCOR GROUP INC                 COM    29084Q100       9,432        490       490                                               490
EMERGING MKTS FLOATING RATE FD  COM    290885102     125,516     11,219    11,219                                            11,219
EMERGING MKTS TELECOMMUNICATNS  COM    290887108       5,156        500       500                                               500
EMERGING MKTS INCOME FD         COM    290918101     214,118     17,659    17,659                                            17,659
EMERGING MKTS INCOME FD         COM    290918101          12          1                 1             03                          1
EMERGING MKTS INCM FD II        COM    290920107     722,660     70,504    70,504                                            70,504
EMERGING MKTS INFRASTRUCTURE    COM    290921105       8,918      1,034     1,034                                             1,034
EMERSON ELEC CO                 COM    291011104  19,912,080    315,137   315,137                                           315,137
EMERSON ELEC CO                 COM    291011104   1,427,393     22,591            22,591             03                     22,591
EMPIRE OF CAROLINA INC          COM    292007101         469      1,500     1,500                                             1,500
EMPLOYEE SOLUTIONS INC          COM    292166105       1,453      1,500     1,500                                             1,500
EMPRESA NACIONAL DE ELCTRCIDAD  SPONSO 29244T101      11,635        895               895             03                        895
EMPRESAS TELEX CHILE S A        SPONSO 29245D105       1,000      1,000             1,000             03                      1,000
EMULEX CORP                     COM NE 292475209       8,587        100       100                                               100
EMULEX CORP                     COM NE 292475209       6,440         75                75             03                         75
EMUSIC COM INC                  COM    292476108  13,196,338    887,149   887,149                                           887,149
ENCAD INC                       COM    292503109     202,112     35,150    35,150                                            35,150
ENDESA S A                      SPONSO 29258N107   1,147,568     60,008            60,008             03                     60,008
ENDOCARE INC                    COM    29264P104   1,108,086    175,530   175,530                                           175,530
ENERGY BIOSYSTEMS CORP          COM NE 29265L706          30         11        11                                                11
ENERGY CONVERSION DEVICES INC   COM    292659109      11,962      1,100     1,100                                             1,100
ENERGY EAST CORP                COM    29266M109     253,908     10,691    10,691                                            10,691
ENGELHARD CORP                  COM    292845104      43,069      2,368     2,368                                             2,368
ENGINEERED SUPPORT SYS INC      COM    292866100   1,400,845    109,872   109,872                                           109,872
ENHANCE FINL SVCS GROUP INC     COM    293310108     141,504      8,000     8,000                                             8,000
ENRON CORP                      COM    293561106     384,118      9,312     9,312                                             9,312
ENRON CORP                      COM    293561106   2,312,631     56,066            56,066             03                     56,066
ENRON CORP                      PFD 2C 293561601     174,000        150       150                                               150
ENTERGY CORP NEW                COM    29364G103      24,597        850       850                                               850
ENTERGY CORP NEW                COM    29364G103   1,257,684     43,465            43,465             03                     43,465
ENTERTAINMENT PPTYS TR          COM SH 29380T105   6,769,467    462,870   462,870                                           462,870
ENTERTAINMENT PPTYS TR          COM SH 29380T105      22,522      1,540             1,540             03                      1,540
ENTRUST TECHNOLOGIES INC        COM    293848107     168,285      7,500     7,500                                             7,500
ENZON INC                       COM    293904108     330,282     10,829    10,829                                            10,829
ENZON INC                       COM    293904108     960,750     31,500                               02
ENZO BIOCHEM INC                COM    294100102      42,562      1,500     1,500                                             1,500
EOTT ENERGY PARTNERS L P        UNIT L 294103106     166,036     10,500    10,500                                            10,500
EPICOR SOFTWARE CORP            COM    29426L108       2,875        500       500                                               500
EQUIFAX INC                     COM    294429105     212,807      7,567     7,567                                             7,567
EQUIFAX INC                     COM    294429105     329,049     11,700            11,700             03                     11,700
EQUINOX SYS INC                 COM    294436100      11,688      1,000     1,000                                             1,000
EQUITABLE RES INC               COM    294549100       7,562        200       200                                               200
EQUITY INCOME FD                UT 1 E 294700703     357,691      1,818     1,818                                             1,818
EQUITY INNS INC                 COM    294703103      44,795      5,270     5,270                                             5,270
EQUITY OFFICE PROPERTIES TRUST  COM    294741103      72,724      3,128     3,128                                             3,128
EQUITY OFFICE PROPERTIES TRUST  COM    294741103      90,157      3,878             3,878             03                      3,878
EQUITY RESIDENTIAL PPTYS TR     SH BEN 29476L107     568,995     13,428    13,428                                            13,428
EQUITY RESIDENTIAL PPTYS TR     SH BEN 29476L107     121,350      2,864             2,864             03                      2,864
EQUITY RESIDENTIAL PPTYS TR     PFD CV 29476L826     111,928      4,165     4,165                                             4,165
EQUITY RESIDENTIAL PPTYS TR     PFD CV 29476L826      77,801      2,895             2,895             03                      2,895
EQUITY RESIDENTIAL PPTYS TR     PFD CO 29476L883     630,239     25,990    25,990                                            25,990
                                 PAGE TOTAL       59,250,781
PAGE:    25     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

ERICSSON L M TEL CO             ADR CL 294821400   1,259,271     40,297    40,297                                            40,297
ERICSSON L M TEL CO             ADR CL 294821400      71,843      2,299             2,299             03                      2,299
ESSEX PPTY TR INC               COM    297178105       5,240        150       150                                               150
ETHAN ALLEN INTERIORS INC       COM    297602104     167,485      5,265     5,265                                             5,265
ETHAN ALLEN INTERIORS INC       COM    297602104       2,863         90                90             03                         90
ETOYS INC                       COM    297862104         732         11        11                                                11
ETOYS INC                       COM    297862104   1,164,853     17,500                               01
EURONET SVCS INC                COM    298736109       2,500      1,000     1,000                                             1,000
EUROPE FD INC                   COM    29874M103     133,000      8,000     8,000                                             8,000
EUROPEAN WT FD INC              COM    298792102     160,406     10,784    10,784                                            10,784
EVEREST REINS HLDGS INC         COM    299808105     547,699     23,000    23,000                                            23,000
EVEREST REINS HLDGS INC         COM    299808105     206,561      8,675             8,675             03                      8,675
EXCEL LEGACY CORP               COM    300665106      23,033      5,500     5,500                                             5,500
EXCELSIOR HENDERSON MOTORCYCLE  COM    300906104       3,987      1,933     1,933                                             1,933
EXECUTONE INFORMATION SYS INC   COM    301607107       3,000      1,000     1,000                                             1,000
EXODUS COMMUNICATIONS INC       COM    302088109     368,957      5,120     5,120                                             5,120
EXODUS COMMUNICATIONS INC       COM    302088109      38,912        540               540             03                        540
EXODUS COMMUNICATIONS INC       COM    302088109     871,386     12,092                               04
EXODUS COMMUNICATIONS INC       COM    302088109     837,228     11,618                               07
EXPEDITORS INTL WASH INC        COM    302130109     131,724      4,105             4,105             03                      4,105
EXPRESS SCRIPTS INC             CL A   302182100     962,887     12,306    12,306                                            12,306
EXPRESS SCRIPTS INC             CL A   302182100     178,001      2,275             2,275             03                      2,275
EXTREME NETWORKS INC            COM    30226D106      18,993        300       300                                               300
EXTREME NETWORKS INC            COM    30226D106     544,492      8,600                               07
EXXON CORP                      COM    302290101   9,447,618    124,415   124,415                                           124,415
EXXON CORP                      COM    302290101   2,634,446     34,695            34,695             03                     34,695
FLIR SYS INC                    COM    302445101       6,469        500       500                                               500
F M C CORP                      COM NE 302491303       1,206         25        25                                                25
FPIC INS GROUP INC              COM    302563101      18,080      1,200     1,200                                             1,200
FPL GROUP INC                   COM    302571104     149,610      2,970     2,970                                             2,970
FSF FINL CORP                   COM    30262K105      33,662      2,865             2,865             03                      2,865
FX ENERGY INC                   COM    302695101     794,054    111,450   111,450                                           111,450
FACTORY 2-U INC                 COM    303072102          29          1         1                                                 1
FAMILY DLR STORES INC           COM    307000109      53,649      2,540             2,540             03                      2,540
FAMILY GOLF CTRS INC            COM    30701A106       2,530      1,000     1,000                                             1,000
FASTENAL CO                     COM    311900104     273,605      5,806     5,806                                             5,806
FASTENAL CO                     COM    311900104      13,051        277               277             03                        277
FDX CORP                        COM    31304N107   1,931,114     49,836    49,836                                            49,836
FDX CORP                        COM    31304N107      72,070      1,860             1,860             03                      1,860
FEATHERLITE INC                 COM    313054108           5          1         1                                                 1
FEDERAL AGRIC MTG CORP          CL C   313148306       8,972        450       450                                               450
FEDERAL HOME LN MTG CORP        COM    313400301  20,201,298    388,486   388,486                                           388,486
FEDERAL HOME LN MTG CORP        COM    313400301   3,581,344     68,872            68,872             03                     68,872
FEDERAL NATL MTG ASSN           COM    313586109  11,822,990    188,608   188,608                                           188,608
FEDERAL NATL MTG ASSN           COM    313586109   5,560,059     88,700            88,700             03                     88,700
FEDERAL SIGNAL CORP             COM    313855108      84,247      4,239     4,239                                             4,239
FEDERAL SIGNAL CORP             COM    313855108     897,299     45,149            45,149             03                     45,149
FEDERATED DEPT STORES INC DEL   COM    31410H101   1,428,513     32,702    32,702                                            32,702
FEDERATED DEPT STORES INC DEL   COM    31410H101     222,807      5,100                               02
FEDERATED DEPT STORES INC DEL   COM    31410H101     147,204      3,370             3,370             03                      3,370
FEDERATED DEPT STORES INC DEL   WT C E 31410H119      28,181      1,498     1,498                                             1,498
FEDERATED DEPT STORES INC DEL   WT D E 31410H127      27,713      1,498     1,498                                             1,498
                                 PAGE TOTAL       78,925,648
PAGE:    26     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

FELCOR LODGING TR INC           COM    31430F101     977,455     55,859    55,859                                            55,859
FELCOR LODGING TR INC           COM    31430F101      93,779      5,359             5,359             03                      5,359
FERRELLGAS PARTNERS L.P.        UNIT L 315293100     219,375     13,500    13,500                                            13,500
FIDELITY BANCORP INC DEL        COM    31583B105       3,015        180               180             03                        180
FIFTH THIRD BANCORP             COM    316773100     490,645      8,064     8,064                                             8,064
FIFTH THIRD BANCORP             COM    316773100   1,195,114     19,645            19,645             03                     19,645
FILENET CORP                    COM    316869106      14,963      1,400     1,400                                             1,400
FINANCIAL INSTNS INC            COM    317585404         659         51        51                                                51
FINET COM INC                   COM PA 317922300      59,840     19,744    19,744                                            19,744
FINISH LINE INC                 CL A   317923100   2,506,969    286,511   286,511                                           286,511
FINOVA GROUP INC                COM    317928109       3,285         90        90                                                90
FIRST AUSTRALIA PRIME INCOME    COM    318653102     267,641     44,144    44,144                                            44,144
FIRST AUSTRALIA PRIME INCOME    COM    318653102      22,008      3,630             3,630             03                      3,630
FIRST CASH FINL SVCS INC        COM    31942D107     239,525     21,775            21,775             03                     21,775
FIRST COMWLTH FD INC            COM    31983F102      19,457      1,921     1,921                                             1,921
FIRST DATA CORP                 COM    319963104  15,248,925    347,571   347,571                                           347,571
FIRST DATA CORP                 COM    319963104   1,203,636     27,435            27,435             03                     27,435
FIRST DATA CORP                 COM    319963104   1,821,602     41,518                               07
FIRST ESSEX BANCORP INC         COM    320103104      15,813      1,000     1,000                                             1,000
FIRST INDUSTRIAL REALTY TRUST   COM    32054K103     371,250     15,000    15,000                                            15,000
FIRST ISRAEL FD INC             COM    32063L100      28,000      2,000     2,000                                             2,000
FIRST MIDWEST BANCORP DEL       COM    320867104      22,034        577       577                                               577
FIRST NATL CORP ORANGEBURG S C  COM    320942105      31,000      1,000     1,000                                             1,000
FIRST HEALTH GROUP CORP         COM    320960107     381,438     17,000                               02
FIRST HEALTH GROUP CORP         COM    320960107   1,059,948     47,240            47,240             03                     47,240
FIRST PHILIPPINE FD INC         COM    336100102         892        140       140                                               140
FIRST SEC CORP DEL              COM    336294103     390,008     16,400                               08
FIRST SENTINEL BANCORP INC      COM    33640T103      28,200      3,610             3,610             03                      3,610
FIRST UN CORP                   COM    337358105     171,039      4,810     4,810                                             4,810
FIRST UN CORP                   COM    337358105     343,824      9,669             9,669             03                      9,669
FIRST UN CORP                   COM    337358105     131,813      3,700                               08
FIRST WASH RLTY TR INC          COM    337489504      23,100      1,100     1,100                                             1,100
FIRSTCOM CORP                   COM    33763T104       3,000        300       300                                               300
FIRSTAR CORP NEW WIS            COM    33763V109     687,326     26,824    26,824                                            26,824
FIRSTAR CORP NEW WIS            COM    33763V109       2,690        105               105             03                        105
FISERV INC                      COM    337738108      10,822        333               333             03                        333
FIRSTFED AMER BANCORP INC       COM    337929103      22,565      1,770             1,770             03                      1,770
FIRSTENERGY CORP                COM    337932107      37,662      1,477     1,477                                             1,477
FIRSTENERGY CORP                COM    337932107     406,531     15,943            15,943             03                     15,943
FLANIGANS ENTERPRISES INC       COM    338517105      30,000      6,000     6,000                                             6,000
FLASHNET COMMUNICATIONS INC     COM    338527104      17,600      2,200     2,200                                             2,200
FLEET FINL GROUP INC NEW        COM    338915101     227,061      6,200     6,200                                             6,200
FLEET FINL GROUP INC NEW        COM    338915101     136,232      3,720             3,720             03                      3,720
FLEET FINL GROUP INC NEW        WT EXP 338915119          13          0
FLEMING COS INC                 COM    339130106      20,604      2,100     2,100                                             2,100
FLORIDA PROGRESS CORP           COM    341109106      10,406        225       225                                               225
FLORIDA PUB UTILS CO            COM    341135101      14,700        800       800                                               800
FLOWERS INDS INC                COM    343496105     169,531     12,500                               02
FLOWSERVE CORP                  COM    34354P105     169,235     10,180    10,180                                            10,180
FLUOR CORP                      COM    343861100      60,777      1,510     1,510                                             1,510
FONAR CORP                      COM    344437108           0          0
FOODMAKER INC NEW               COM NE 344839204      34,913      1,400     1,400                                             1,400
                                 PAGE TOTAL       30,741,775
PAGE:    27     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

FOOTHILL INDPT BANCORP          COM    344905104      54,625      4,600     4,600                                             4,600
FOOTSTAR INC                    COM    344912100          35          1         1                                                 1
FORD MTR CO DEL                 COM    345370100     947,319     18,876    18,876                                            18,876
FORD MTR CO DEL                 COM    345370100   1,697,788     33,832            33,832             03                     33,832
FOREST CITY ENTERPRISES INC     CL B C 345550305         151          6         6                                                 6
FOREST LABS INC                 CL A   345838106   4,843,730    114,987   114,987                                           114,987
FOREST OIL CORP                 COM NE 346091606     426,575     25,000                               01
FOREST OIL CORP                 COM NE 346091606     576,712     33,800                               02
FORMULA SYS 1985 LTD            GDR RE 346414105      90,659      3,663     3,663                                             3,663
FORT JAMES CORP                 COM    347471104   2,732,346    102,386   102,386                                           102,386
FORT JAMES CORP                 COM    347471104       8,138        305               305             03                        305
FORTUNE BRANDS INC              COM    349631101     140,344      4,352     4,352                                             4,352
FOSTER WHEELER CORP             COM    350244109       3,618        300       300                                               300
FOUNDATION HEALTH SYS INC       COM    350404109     204,406     21,658    21,658                                            21,658
FOUR MEDIA CO                   COM    350872107      10,500      2,000     2,000                                             2,000
FOX ENTMT GROUP INC             CL A   35138T107     745,288     35,280    35,280                                            35,280
FOX ENTMT GROUP INC             CL A   35138T107       4,267        202               202             03                        202
FOX ENTMT GROUP INC             CL A   35138T107   7,486,317    355,425                               04
FRANCE GROWTH FD INC            COM    35177K108      54,094      3,830     3,830                                             3,830
FRANCHISE FIN CORP AMER         COM    351807102     245,247     10,492    10,492                                            10,492
FRANKFORT FIRST BANCORP INC     COM NE 352128201      11,625        775               775             03                        775
FRANKLIN ELECTR PUBLISHERS INC  COM    353515109       1,794        638       638                                               638
FRANKLIN RES INC                COM    354613101      63,340      2,060     2,060                                             2,060
FREEPORT-MCMORAN COPPER & GOLD  CL A   35671D105      34,242      2,468     2,468                                             2,468
FREEPORT-MCMORAN COPPER & GOLD  PFD CV 35671D501     136,241      7,730     7,730                                             7,730
FREEPORT-MCMORAN COPPER & GOLD  CL B   35671D857      27,295      1,754     1,754                                             1,754
FREEPORT MCMORAN OIL & GAS RTY  UNIT B 356713107       2,190     10,000    10,000                                            10,000
FREMONT GEN CORP                COM    357288109      23,750      2,500     2,500                                             2,500
FREQUENCY ELECTRS INC           COM    358010106       9,250      1,000     1,000                                             1,000
FRIEDMAN BILLINGS RAMSEY GROUP  CL A   358433100      13,876      2,000     2,000                                             2,000
FRONTIER INS GROUP INC NEW      COM    359081106         866         99        99                                                99
FUISZ TECHNOLOGIES LTD          COM    359536109       3,459        548       548                                               548
FUJI PHOTO FILM LTD             ADR    359586302     147,385      4,359     4,359                                             4,359
FUNCO INC                       COM    360762108     990,937     52,500    52,500                                            52,500
FURNITURE BRANDS INTL INC       COM    360921100       4,940        251       251                                               251
G & K SVCS INC                  CL A   361268105       1,620         40                40             03                         40
G&L RLTY CORP                   COM    361271109      13,219      1,500     1,500                                             1,500
GA FINL INC                     COM    361437106       6,437        500               500             03                        500
GBC BANCORP CALIF               COM    361475106     693,900     35,815    35,815                                            35,815
GC COS INC                      COM    36155Q109         240          8         8                                                 8
GST TELECOMMUNICATIONS INC      COM    361942105      16,254      2,312     2,312                                             2,312
GP STRATEGIES CORP              COM    36225V104     131,567     11,695    11,695                                            11,695
GSE SYS INC                     COM    36227K106     252,000     63,000    63,000                                            63,000
GS FINL CORP                    COM    362274102      18,485      1,740             1,740             03                      1,740
GSI LUMONICS INC                COM    36229U102       1,662        280       280                                               280
GTE CORP                        COM    362320103  22,853,941    297,298   297,298                                           297,298
GTE CORP                        COM    362320103   1,324,636     17,232            17,232             03                     17,232
GT INTERACTIVE SOFTWARE CORP    COM    36236E109      63,196     21,747    21,747                                            21,747
GTR GROUP INC                   COM    362368102         137         50        50                                                50
GABLES RESIDENTIAL TR           SH BEN 362418105      10,800        450       450                                               450
GADZOOKS INC                    COM    362553109       6,625      1,000     1,000                                             1,000
GALLAHER GROUP PLC              SPONSO 363595109       8,700        320       320                                               320
                                 PAGE TOTAL       47,266,550
PAGE:    28     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

GANNETT INC                     COM    364730101   1,050,238     15,180    15,180                                            15,180
GANNETT INC                     COM    364730101     902,400     13,045            13,045             03                     13,045
GAP INC DEL                     COM    364760108   4,123,552    128,861   128,861                                           128,861
GAP INC DEL                     COM    364760108       5,888        184               184             03                        184
GAP INC DEL                     COM    364760108   4,316,032    134,876                               04
GARDENBURGER INC                COM    365476100      10,284      1,327     1,327                                             1,327
GARTNER GROUP INC NEW           COM    366651107     709,825     44,540    44,540                                            44,540
GARTNER GROUP INC NEW           CL B   366651206       6,070        364       364                                               364
GARTNER GROUP INC NEW           CL B   366651206          67          4                               02
GASONICS INTL CORP              COM    367278108     224,713     13,619    13,619                                            13,619
GATEWAY INC                     COM    367626108      37,772        850       850                                               850
GAYLORD CONTAINER CORP          CL A   368145108     152,474     21,400    21,400                                            21,400
GELTEX PHARMACEUTICALS INC      COM    368538104      33,463      3,008     3,008                                             3,008
GENE LOGIC INC                  COM    368689105   1,205,681    190,984   190,984                                           190,984
GENENTECH INC                   COM NE 368710406     127,992        875               875             03                        875
GENERAL COMMUNICATION INC       CL A   369385109         708        136       136                                               136
GENERAL DYNAMICS CORP           COM    369550108   3,895,532     62,392    62,392                                            62,392
GENERAL DYNAMICS CORP           COM    369550108     672,648     10,775            10,775             03                     10,775
GENERAL ELEC CO                 COM    369604103  54,211,053    457,245   457,245                                           457,245
GENERAL ELEC CO                 COM    369604103  10,539,572     88,899            88,899             03                     88,899
GENERAL GROWTH PPTYS INC        COM    370021107     118,440      3,760     3,760                                             3,760
GENERAL GROWTH PPTYS INC        COM    370021107      56,700      1,800             1,800             03                      1,800
GENERAL INSTR CORP DEL          COM    370120107     206,936      4,300     4,300                                             4,300
GENERAL INSTR CORP DEL          COM    370120107      34,503        717               717             03                        717
GENERAL MLS INC                 COM    370334104     292,616      3,607     3,607                                             3,607
GENERAL MLS INC                 COM    370334104   1,364,262     16,818            16,818             03                     16,818
GENERAL MTRS CORP               COM    370442105  12,222,408    194,210   194,210                                           194,210
GENERAL MTRS CORP               COM    370442105   1,195,278     18,993            18,993             03                     18,993
GENERAL MTRS CORP               CL H N 370442832     257,108      4,491     4,491                                             4,491
GENERAL MTRS CORP               CL H N 370442832      17,175        300               300             03                        300
GENERAL SEMICONDUCTOR INC       COM    370787103       1,031        100       100                                               100
GENTEX CORP                     COM    371901109     114,050      5,522     5,522                                             5,522
GENTEX CORP                     COM    371901109      12,619        611               611             03                        611
GENESIS MICROCHIP INC           COM    371933102      91,976      5,200     5,200                                             5,200
GENESIS DIRECT INC              COM    371935107           0     25,000    25,000                                            25,000
GENOME THERAPEUTICS CORP        COM    372430108     303,096     75,774    75,774                                            75,774
GENTEK INC                      COM    37245X104       3,412        300       300                                               300
GEON CO                         COM    37246W105       6,437        250       250                                               250
GEON CO                         COM    37246W105     502,125     19,500                               02
GENUINE PARTS CO                COM    372460105      40,906      1,540     1,540                                             1,540
GENZYME CORP                    COM GE 372917104   3,953,786     87,741    87,741                                            87,741
GENZYME CORP                    COM GE 372917104     192,800      4,279             4,279             03                      4,279
GENZYME CORP                    COM-TI 372917401      30,718     16,119    16,119                                            16,119
GENZYME CORP                    COM-MO 372917500      49,244      8,577     8,577                                             8,577
GENZYME CORP                    COM SU 372917609      79,280     14,107    14,107                                            14,107
GEORGIA PAC CORP                COM GA 373298108      16,200        400       400                                               400
GEORGIA PAC CORP                COM GA 373298108     686,101     16,941            16,941             03                     16,941
GEORGIA PAC CORP                COM-TI 373298702       4,575        200       200                                               200
GERMANY FD INC                  COM    374143105      31,243      2,336     2,336                                             2,336
GERON CORP                      COM    374163103      10,500      1,000     1,000                                             1,000
GILEAD SCIENCES INC             COM    375558103   1,819,742     28,352    28,352                                            28,352
GILEAD SCIENCES INC             COM    375558103   2,246,580     35,000                               01
                                 PAGE TOTAL      109,526,327
PAGE:    29     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

GILEAD SCIENCES INC             COM    375558103     558,432      8,700                               02
GILLETTE CO                     COM    375766102   8,288,372    244,229   244,229                                           244,229
GILLETTE CO                     COM    375766102     768,670     22,653            22,653             03                     22,653
GLACIER BANCORP INC NEW         COM    37637Q105      23,272      1,359     1,359                                             1,359
GLAXO WELLCOME PLC              SPONSO 37733W105   1,212,588     23,319    23,319                                            23,319
GLAXO WELLCOME PLC              SPONSO 37733W105     224,328      4,314             4,314             03                      4,314
GLENAYRE TECHNOLOGIES INC       COM    377899109     226,554     75,518    75,518                                            75,518
GLENBOROUGH RLTY TR INC         COM    37803P105     258,637     15,675    15,675                                            15,675
GLENBOROUGH RLTY TR INC         PFD CV 37803P204       9,862        600       600                                               600
GLIMCHER RLTY TR                SH BEN 379302102     154,954     10,550    10,550                                            10,550
GLOBAL HIGH INCOME DLR FD INC   COM    37933G108       8,850        800       800                                               800
GLOBAL LT TELECOMMUNICATIONS    COM    37934X100     285,264     28,000    28,000                                            28,000
GLOBAL INCOME FD INC            COM    37934Y108       7,312      1,500     1,500                                             1,500
GLOBAL PARTNERS INCOME FD INC   COM    37935R102     753,072     69,646    69,646                                            69,646
GLOBAL MARINE INC               COM    379352404     821,292     49,965    49,965                                            49,965
GLOBAL TELESYSTEMS GROUP        COM    37936U104   2,823,693    143,202   143,202                                           143,202
GLOBAL TELESYSTEMS GROUP        COM    37936U104   3,648,015    185,000                               01
GOLD FIELDS LTD NEW             SPONSO 38059T106          27          6         6                                                 6
GOLDEN STAR RES LTD CDA         COM    38119T104       1,032      1,500     1,500                                             1,500
GOLDEN ST BANCORP INC           COM    381197102     377,594     21,050    21,050                                            21,050
GOLDEN ST BANCORP INC           WT EXP 381197128      12,325      1,700     1,700                                             1,700
GOLDEN ST BANCORP INC           WT EXP 381197136      28,059     23,620    23,620                                            23,620
GOLDEN ST VINTNERS INC          CL B   38121K208       7,600      1,600     1,600                                             1,600
GOLDEN WEST FINL CORP DEL       COM    381317106   1,847,969     18,810    18,810                                            18,810
GOLDEN WEST FINL CORP DEL       COM    381317106      89,891        915               915             03                        915
GOLDMAN SACHS GROUP INC         COM    38141G104      36,600        600       600                                               600
GOLDMAN SACHS GROUP INC         COM    38141G104   5,226,480     85,680                               04
GOLF ENTMT INC                  COM    38163Q105           0          1         1                                                 1
GOLF TR AMER INC                COM    38168B103       7,900        400       400                                               400
GOODRICH B F CO                 COM    382388106   3,027,426    104,394   104,394                                           104,394
GOODRICH B F CO                 COM    382388106     308,125     10,625            10,625             03                     10,625
GOODRICH PETE CORP              COM NE 382410405       6,407      2,500     2,500                                             2,500
GOODYEAR TIRE & RUBR CO         COM    382550101       5,775        120       120                                               120
GOODYEAR TIRE & RUBR CO         COM    382550101     982,874     20,425            20,425             03                     20,425
GORMAN RUPP CO                  COM    383082104       3,125        200       200                                               200
GO2NET INC                      COM    383486107     259,000      4,000     4,000                                             4,000
GRACE W R & CO DEL NEW          COM    38388F108     379,900     23,200                               02
GRAINGER W W INC                COM    384802104      81,704      1,700     1,700                                             1,700
GRAND TOYS INTL INC             COM NE 386492201       2,952        288       288                                               288
GRAND UN CO                     COM    386532402   1,124,597     82,352    82,352                                            82,352
GRAND UN CO                     COM    386532402   1,000,452     73,261            73,261             06                     73,261
GRANITE CONSTR INC              COM    387328107       1,172         45                45             03                         45
GREAT ATLANTIC & PAC TEA INC    COM    390064103      61,708      2,036     2,036                                             2,036
GREAT LAKES CHEM CORP           COM    390568103     735,826     19,334            19,334             03                     19,334
GREATER BAY BANCORP             COM    391648102      16,937        500       500                                               500
GREENPOINT FINL CORP            COM    395384100      78,355      2,950     2,950                                             2,950
GREKA ENERGY CORP               COM    397637109      20,755      1,977     1,977                                             1,977
GREY ADVERTISING INC            COM    397838103      36,800        100       100                                               100
GREY WOLF INC                   COM    397888108      36,000     12,000    12,000                                            12,000
GROUP 1 SOFTWARE INC NEW        COM    39943Y103      16,250      2,000     2,000                                             2,000
GROUPE DANONE                   SPONSO 399449107     284,074      5,865     5,865                                             5,865
GROUPE DANONE                   SPONSO 399449107      29,055        600               600             03                        600
                                 PAGE TOTAL       36,330,065
PAGE:    30     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

GRUPO MEXICANO DE DESARROLLO    SPON A 40048G104           0        100       100                                               100
GRUPO MEXICANO DE DESARROLLO    SPON A 40048G203          75        370       370                                               370
GRUPO RADIO CENTRO S A DE C V   SPONSO 40049C102     169,241     40,411                               04
GRUPO TELEVISA SA DE CV         SP ADR 40049J206      39,938      1,000     1,000                                             1,000
GRUPO TELEVISA SA DE CV         SP ADR 40049J206   1,665,455     41,701                               04
GUEST SUPPLY INC                COM    401630108   1,157,187     80,500    80,500                                            80,500
GUIDANT CORP                    COM    401698105   3,359,801     62,655    62,655                                            62,655
GUIDANT CORP                    COM    401698105   3,269,520     60,973            60,973             03                     60,973
GUILFORD PHARMACEUTICALS INC    COM    401829106     998,616     65,485    65,485                                            65,485
GUITAR CTR MGMT INC             COM    402040109      68,616      7,275             7,275             03                      7,275
GULF CDA RES LTD                ORD    40218L305      58,632     14,000    14,000                                            14,000
GULF ISLAND FABRICATION INC     COM    402307102      13,188      1,000     1,000                                             1,000
GULFMARK OFFSHORE INC           COM    402629109   1,025,982     56,999    56,999                                            56,999
GYMBOREE CORP                   COM    403777105       7,500      1,091     1,091                                             1,091
H & Q HEALTHCARE FD             SH BEN 404052102      10,864        666       666                                               666
HCC INS HLDGS INC               COM    404132102      80,701      4,800     4,800                                             4,800
HCR MANOR CARE INC              COM    404134108     481,605     28,020    28,020                                            28,020
HNC SOFTWARE INC                COM    40425P107      88,266      2,224     2,224                                             2,224
HRPT PPTYS TR                   SB DBC 40426WAB7         171     18,000    18,000                                            18,000
HRPT PPTYS TR                   COM SH 40426W101     203,505     17,506    17,506                                            17,506
HRPT PPTYS TR                   COM SH 40426W101      36,595      3,148             3,148             03                      3,148
HPSC INC                        COM    404264103      94,938      8,730     8,730                                             8,730
HSB GROUP INC                   COM    40428N109      26,391        750       750                                               750
HSBC HLDGS PLC                  SPON A 404280406      10,451        180       180                                               180
HSBC HLDGS PLC                  SPON A 404280406  10,736,178    184,916           184,916             03                    184,916
HA-LO INDS INC                  COM    404429102      10,625      1,700     1,700                                             1,700
HAEMONETICS CORP                COM    405024100      19,688      1,000     1,000                                             1,000
HAIN FOOD GROUP INC             COM    405219106      63,852      2,580     2,580                                             2,580
HALIFAX CORP                    COM    405752106      26,437      4,500     4,500                                             4,500
HALLIBURTON CO                  COM    406216101     610,941     14,901    14,901                                            14,901
HALTER MARINE GROUP INC         SR SB  40642YAC9     198,400    320,000   320,000                                           320,000
HALTER MARINE GROUP INC         COM    40642Y105       2,811        517       517                                               517
HAMILTON BANCORP INC FLA        COM    407013101     149,175      7,020     7,020                                             7,020
HAMILTON BANCORP INC FLA        COM    407013101      59,500      2,800                               08
JOHN HANCOCK BK &THRIFT OPP FD  SH BEN 409735107      84,150      9,900     9,900                                             9,900
HANCOCK FABRICS INC             COM    409900107     715,957    166,000   166,000                                           166,000
HANCOCK JOHN INCOME SECS TR     COM    410123103      18,285      1,380     1,380                                             1,380
HANCOCK JOHN PATRIOT PFD DIV    COM    41013J107      22,401      2,013     2,013                                             2,013
HANCOCK JOHN INVS TR            COM    410142103       8,531        500       500                                               500
HANOVER DIRECT INC              COM    410783104      25,630     10,000    10,000                                            10,000
HANSEN NAT CORP                 COM    411310105       7,594      1,500     1,500                                             1,500
HANSON PLC                      SPON A 411352404      46,036      1,190     1,190                                             1,190
HARBINGER CORP                  COM    41145C103         438         26        26                                                26
HARCOURT GEN INC                COM    41163G101     771,283     18,530    18,530                                            18,530
HARKEN ENERGY CORP              COM    412552101   1,031,581    916,994   916,994                                           916,994
HARLEY DAVIDSON INC             COM    412822108     615,509     12,295    12,295                                            12,295
HARLEY DAVIDSON INC             COM    412822108   1,178,825     23,550            23,550             03                     23,550
HARMONIC INC                    COM    413160102     940,936      7,193     7,193                                             7,193
HARRAHS ENTMT INC               COM    413619107     366,300     13,200    13,200                                            13,200
HARRIS CORP DEL                 COM    413875105       5,801        210       210                                               210
HARSCO CORP                     COM    415864107      37,846      1,370     1,370                                             1,370
HARTE-HANKS INC                 COM    416196103       7,806        310               310             03                        310
                                 PAGE TOTAL       31,830,461
PAGE:    31     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

HARTFORD FINL SVCS GROUP INC    COM    416515104      22,481        550       550                                               550
HARTFORD FINL SVCS GROUP INC    COM    416515104     165,074      4,039             4,039             03                      4,039
HARTFORD LIFE INC               CL A   416592103      77,322      1,570     1,570                                             1,570
HARVARD INDS INC                COM NE 417434503   4,692,744    503,892   503,892                                           503,892
HARVARD INDS INC                COM NE 417434503   2,788,451    299,415           299,415             06                    299,415
HASBRO INC                      COM    418056107     215,659     10,060    10,060                                            10,060
HASBRO INC                      COM    418056107       6,000        280               280             03                        280
HASTINGS ENTMT INC              COM    418365102     131,410     15,236    15,236                                            15,236
HAUPPAUGE DIGITAL INC           COM    419131107       4,575        200               200             03                        200
HAWAIIAN ELEC INDUSTRIES        COM    419870100      73,893      2,100     2,100                                             2,100
HEALTHSOUTH CORP                COM    421924101      18,704      3,085     3,085                                             3,085
HEALTH MGMT ASSOC INC NEW       CL A   421933102     682,181     92,501    92,501                                            92,501
HEALTH MGMT ASSOC INC NEW       CL A   421933102     330,925     42,700                               02
HEALTH RISK MGMT INC            COM    421935107      12,500      2,000     2,000                                             2,000
HEALTHCARE RLTY TR              COM    421946104     956,159     51,167    51,167                                            51,167
HEALTHCARE RLTY TR              COM    421946104     108,256      5,793             5,793             03                      5,793
HEALTH CARE REIT INC            COM    42217K106     447,500     22,375    22,375                                            22,375
HEALTH CARE REIT INC            COM    42217K106      20,000      1,000             1,000             03                      1,000
HEALTHCARE RECOVERIES INC       COM    42220K101         756        275               275             03                        275
HEALTHEON CORP                  COM    422209106      44,400      1,200     1,200                                             1,200
HECLA MNG CO                    COM    422704106       2,938      1,000     1,000                                             1,000
HEINZ H J CO                    COM    423074103     242,950      5,650     5,650                                             5,650
HEINZ H J CO                    COM    423074103     403,770      9,390             9,390             03                      9,390
HELIX TECHNOLOGY CORP           COM    423319102     122,227      3,676     3,676                                             3,676
HELLENIC TELECOM ORGANIZATN SA  SPONSO 423325307     325,339     29,080    29,080                                            29,080
HELLENIC TELECOM ORGANIZATN SA  SPONSO 423325307      19,184      1,715             1,715             03                      1,715
HENRY JACK & ASSOC INC          COM    426281101     794,844     21,520            21,520             03                     21,520
HERITAGE PROPANE PARTNERS L P   UNIT L 426918108   1,057,645     46,490    46,490                                            46,490
HERCULES INC                    COM    427056106      13,740        480       480                                               480
HERCULES INC                    COM    427056106       5,438        190               190             03                        190
HERSHEY FOODS CORP              COM    427866108   2,080,728     42,736    42,736                                            42,736
HERSHEY FOODS CORP              COM    427866108      91,533      1,880             1,880             03                      1,880
HERTZ CORP                      CL A   428040109      17,160        390               390             03                        390
HEWLETT PACKARD CO              COM    428236103   5,099,468     55,429    55,429                                            55,429
HEWLETT PACKARD CO              COM    428236103   3,432,152     37,306            37,306             03                     37,306
HEWLETT PACKARD CO              COM    428236103   3,244,313     35,750                               07
HEXCEL CORP NEW                 COM    428291108       8,137      1,400     1,400                                             1,400
HIBBETT SPORTING GOODS INC      COM    428565105      64,245      3,925             3,925             03                      3,925
HIGH INCOME OPPORTUNITY FD INC  COM    42967Q105      54,750      6,000     6,000                                             6,000
HIGH SPEED ACCESS CORP          COM    42979U102     205,559      8,962     8,962                                             8,962
HILTON HOTELS CORP              COM    432848109     473,998     48,000    48,000                                            48,000
HINGHAM INSTN SVGS MASS         COM    433323102      29,500      2,000     2,000                                             2,000
HITACHI LIMITED                 ADR 10 433578507      29,463        270       270                                               270
HITACHI LIMITED                 ADR 10 433578507  13,336,372    122,216           122,216             03                    122,216
HOECHST A G                     SPONSO 434390308      15,660        360       360                                               360
HOECHST A G                     SPONSO 434390308   1,132,050     26,025            26,025             03                     26,025
HOLLY CORP                      COM PA 435758305         570         38        38                                                38
HOLLYWOOD PK INC NEW            COM    436255103     117,618      7,650     7,650                                             7,650
HOME DEPOT INC                  COM    437076102  17,508,201    255,133   255,133                                           255,133
HOME DEPOT INC                  COM    437076102   7,275,179    106,019           106,019             03                    106,019
HOME PPTYS N Y INC              COM    437306103   1,723,230     64,572    64,572                                            64,572
HOME PPTYS N Y INC              COM    437306103      77,927      2,920             2,920             03                      2,920
                                 PAGE TOTAL       70,847,592
PAGE:    32     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

HOMEBASE INC                    COM    43738E108     405,614    103,000   103,000                                           103,000
HOMESTAKE MNG CO                COM    437614100     159,815     17,395    17,395                                            17,395
HOMESTEAD VLG INC               COM    437851108      10,578      3,761     3,761                                             3,761
HONDA MOTOR LTD                 AMERN  438128308       4,090         50                50             03                         50
HONEYWELL INC                   COM    438506107     374,669      3,366     3,366                                             3,366
HONEYWELL INC                   COM    438506107      92,383        830               830             03                        830
HOOPER HOLMES INC               COM    439104100   1,328,354     51,840            51,840             03                     51,840
HORACE MANN EDUCATORS CORP NEW  COM    440327104       2,065         80                80             03                         80
HORIZON ORGANIC HOLDING         COM    44043T103      10,012        900       900                                               900
HOSPITALITY PPTYS TR            COM SH 44106M102     113,467      5,143     5,143                                             5,143
HOST MARRIOTT CORP NEW          COM    44107P104     127,602     13,432    13,432                                            13,432
HOST MARRIOTT CORP NEW          COM    44107P104      74,859      7,880             7,880             03                      7,880
HOST MARRIOTT CORP NEW          COM    44107P104   2,378,762    250,396                               04
HOUGHTON MIFFLIN CO             COM    441560109     162,499      4,000     4,000                                             4,000
HOUSEHOLD INTL INC              COM    441815107   2,306,057     57,472    57,472                                            57,472
HOUSEHOLD INTL INC              COM    441815107      25,677        640               640             03                        640
HUBBELL INC                     CL B   443510201      40,162      1,260     1,260                                             1,260
HUDSON RIV BANCORP INC          COM    444128102      18,139      1,640             1,640             03                      1,640
HUDSON UNITED BANCORP           COM    444165104     511,463     16,599    16,599                                            16,599
HUDSON UNITED BANCORP           COM    444165104       3,912        127               127             03                        127
HUGHES SUPPLY INC               COM    444482103      43,500      2,000     2,000                                             2,000
HUMANA INC                      COM    444859102   1,087,167    158,135   158,135                                           158,135
HUMANA INC                      COM    444859102     225,927     32,865            32,865             03                     32,865
HUMAN GENOME SCIENCES INC       COM    444903108       7,375        100       100                                               100
HUNTINGTON BANCSHARES INC       COM    446150104     789,518     29,723    29,723                                            29,723
HUNTWAY REFINING CO             COM    447309105     450,736    257,564   257,564                                           257,564
HUNTWAY REFINING CO             COM    447309105     352,861    201,635           201,635             06                    201,635
HURRICANE HYDROCARBONS LTD      CL A   44779E106         594      2,000             2,000             03                      2,000
HUSSMANN INTL INC               COM    448110106     172,550     10,150    10,150                                            10,150
HVIDE MARINE INC                CLA    448515106       1,006      1,788     1,788                                             1,788
HYPERION 1999 TERM TR INC       COM    448913103      43,535      6,111     6,111                                             6,111
HYPERION 2002 TERM TR INC       COM    448915108           7          0
HYPERION 2005 INVT GRADE OPPTN  COM    448918102      99,043     12,284    12,284                                            12,284
ICN PHARMACEUTICALS INC NEW     COM    448924100      88,670      5,159     5,159                                             5,159
IDT CORP                        COM    448947101     144,472      6,900     6,900                                             6,900
IDT CORP                        COM    448947101     182,852      8,733                               07
HYPERFEED TECHNOLOGIES INC      COM    44913S102       8,063      1,000     1,000                                             1,000
HYPERION TOTAL RETURN & INCOME  COM    449145101       8,456      1,100     1,100                                             1,100
IAT RES CORP                    COM    44920V106         104         63        63                                                63
IBP INC                         COM    449223106      49,376      2,000     2,000                                             2,000
IBP INC                         COM    449223106     865,957     35,080            35,080             03                     35,080
ICG COMMUNICATIONS INC          COM    449246107      62,250      4,000     4,000                                             4,000
ICG COMMUNICATIONS INC          COM    449246107   2,178,820    140,000                               01
I C H CORP NEW                  COM NE 44926L300       5,025        400       400                                               400
ICO HLDGS INC                   COM    449293109       3,500      2,000     2,000                                             2,000
ICOS CORP                       COM    449295104     791,632     26,835    26,835                                            26,835
ICU MED INC                     COM    44930G107     394,125     26,275            26,275             03                     26,275
IDEC PHARMACEUTICALS CORP       COM    449370105       2,538         27        27                                                27
IDX SYS CORP                    COM    449491109     789,937     43,583    43,583                                            43,583
I-FLOW CORP                     COM NE 449520303       6,187      1,500     1,500                                             1,500
I I S INTELLIGENT INFO LTD      ORD SH 449633205         773        825       825                                               825
IMC GLOBAL INC                  COM    449669100   4,751,599    326,279   326,279                                           326,279
                                 PAGE TOTAL       24,441,956
PAGE:    33     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

IMC GLOBAL INC                  WT EXP 449669118          11         67        67                                                67
IMCO RECYCLING INC              COM    449681105       4,500        300       300                                               300
IMS HEALTH INC                  COM    449934108     234,622     10,285    10,285                                            10,285
IMS HEALTH INC                  COM    449934108   3,878,210    170,000                               01
IMS HEALTH INC                  COM    449934108     225,844      9,900                               02
IRI INTL CORP                   COM    45004F107         937        200       200                                               200
IRT PPTY CO                     COM    450058102      22,500      2,500     2,500                                             2,500
ISB FINL CORP LA                COM    450091103       5,927        350               350             03                        350
ISS GROUP INC                   COM    450306105          54          2         2                                                 2
ITT INDS INC IND                COM    450911102     101,217      3,182             3,182             03                      3,182
IDEX CORP                       COM    45167R104     105,464      3,725     3,725                                             3,725
IDENTIX INC                     COM    451906101      50,250      6,000     6,000                                             6,000
ILEX ONCOLOGY INC               COM    451923106         759         62        62                                                62
ILLINOIS TOOL WKS INC           COM    452308109     455,549      6,110     6,110                                             6,110
ILLINOIS TOOL WKS INC           COM    452308109   2,660,101     35,679            35,679             03                     35,679
ILLINOVA CORP                   COM    452317100     953,994     33,995    33,995                                            33,995
IMATION CORP                    COM    45245A107   4,805,310    155,010   155,010                                           155,010
IMMULOGIC PHARMACEUTICAL CORP   COM    45252R100         328      1,500     1,500                                             1,500
IMMUNE RESPONSE CORP DEL        COM    45252T106         487        100       100                                               100
IMMUNEX CORP NEW                COM    452528102      30,361        700       700                                               700
IMPAC MTG HLDGS INC             COM    45254P102      84,632     18,300    18,300                                            18,300
IMPAC COML HLDGS INC            COM    45254R108      13,225      2,300     2,300                                             2,300
IMPERIAL CHEM INDS PLC          ADR NE 452704505       3,455         80        80                                                80
IMPERIAL CHEM INDS PLC          ADR NE 452704505   4,050,800     93,802            93,802             03                     93,802
IMPERIAL CR INDS INC            COM    452729106      13,562      3,100     3,100                                             3,100
IMATRON INC                     COM    452906100       2,438      2,000     2,000                                             2,000
IMPERIAL OIL LTD                COM NE 453038408      52,032      2,500     2,500                                             2,500
IMPERIAL TOBACCO GROUP PLC      SPONSO 453142101      53,438      2,274     2,274                                             2,274
INCO LTD                        COM    453258402      30,668      1,435     1,435                                             1,435
INCO LTD                        PFD CV 453258808     109,326      2,603     2,603                                             2,603
INCYTE PHARMACEUTICALS INC      COM    45337C102     638,620     27,616    27,616                                            27,616
INDEPENDENCE CMNTY BK CORP      COM    453414104      71,676      6,005             6,005             03                      6,005
INDEPENDENT BANK CORP MASS      COM    453836108      13,063      1,000                               08
INDIA FD INC                    COM    454089103     137,492     10,679    10,679                                            10,679
INFINITY BROADCASTING CP NEW    CL A   45662S102     190,533      6,500     6,500                                             6,500
INFINITY BROADCASTING CP NEW    CL A   45662S102       5,129        175               175             03                        175
INFINITY BROADCASTING CP NEW    CL A   45662S102   5,779,263    197,157                               04
INET TECHNOLOGIES INC           COM    45662V105     383,098      9,600                               07
INFINITY INC                    COM PA 45663L403     153,138     59,750    59,750                                            59,750
INFONAUTICS CORP                CL A   456662105         483         84        84                                                84
INFORMIX CORP                   COM    456779107      80,172     10,100    10,100                                            10,100
INFOSEEK CORP                   COM    45678M107      64,836      2,100     2,100                                             2,100
INFOSPACE COM INC               COM    45678T102      39,068        950       950                                               950
ING GROEP N V                   SPONSO 456837103     368,350      6,728     6,728                                             6,728
ING GROEP N V                   SPONSO 456837103  11,692,732    213,573           213,573             03                    213,573
INGERSOLL-RAND CO               COM    456866102      84,603      1,540     1,540                                             1,540
INGERSOLL-RAND CO               COM    456866102     736,450     13,406            13,406             03                     13,406
INFORMATION RES INC             COM    456905108      11,063      1,000     1,000                                             1,000
INKINE PHARMACEUTICALS INC      COM    457214104      24,308     15,250    15,250                                            15,250
INKTOMI CORP                    COM    457277101     233,458      1,945     1,945                                             1,945
INKTOMI CORP                    COM    457277101   2,917,473     24,306                               04
INNKEEPERS USA TR               COM    4576J0104      59,848      7,200     7,200                                             7,200
                                 PAGE TOTAL       42,831,969
PAGE:    34     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

INNODATA CORP                   COM NE 457642205          21          3         3                                                 3
INPUT/OUTPUT INC                COM    457652105     111,963     16,900                               02
INSO CORP                       COM    457674109       8,000      1,000     1,000                                             1,000
INSIGHT COMMUNICATIONS INC      CL A   45768V108       3,291        115       115                                               115
INTEGRAMED AMER INC             COM NE 45810N302     190,000     47,500                               05
INTEGRATED DEVICE TECHNOLOGY    COM    458118106     270,100     14,600    14,600                                            14,600
INTEGRATED DEVICE TECHNOLOGY    COM    458118106      61,050      3,300                               02
INTEGRATED HEALTH SVCS INC      SR SD  45812CAE6       1,719     16,000    16,000                                            16,000
INTEL CORP                      COM    458140100  46,616,330    627,316   627,316                                           627,316
INTEL CORP                      COM    458140100  11,875,692    159,817           159,817             03                    159,817
INTEL CORP                      COM    458140100   4,579,910     61,630                               07
INTELECT COMMUNICATIONS INC     COM    458144102           8         10        10                                                10
INTELLIQUEST INFORMATION GROUP  COM    45816H101     160,948     14,800    14,800                                            14,800
INTELLIQUEST INFORMATION GROUP  COM    45816H101      47,848      4,400             4,400             03                      4,400
INTER TEL INC                   COM    458372109      10,650        600       600                                               600
INTER TEL INC                   COM    458372109     182,825     10,300                               02
INTERFACE INC                   CL A   458665106         461         90        90                                                90
INTERGRAPH CORP                 COM    458683109      34,312      6,100     6,100                                             6,100
INTERGRAPH CORP                 COM    458683109   1,181,250    210,000                               01
INTERLEAF INC                   COM NE 458729209     472,617     27,801    27,801                                            27,801
INTERLEAF INC                   COM NE 458729209     142,800      8,400                               02
INTERLEAF INC                   COM NE 458729209     176,698     10,394            10,394             03                     10,394
INTERLIANT INC                  COM    458742103      41,221      3,453     3,453                                             3,453
INTERMEDIA COMMUNICATIONS INC   COM    458801107      86,107      3,959     3,959                                             3,959
INTERNATIONAL BUSINESS MACHS    COM    459200101  48,839,925    402,395   402,395                                           402,395
INTERNATIONAL BUSINESS MACHS    COM    459200101   4,290,219     35,349            35,349             03                     35,349
INTERNATIONAL BUSINESS MACHS    COM    459200101   2,355,144     19,464                               07
INTERNATIONAL FIBERCOM INC      COM    45950T101       5,297      1,009     1,009                                             1,009
INTERNATIONAL FLAVORS&FRAGRANC  COM    459506101       6,382        185       185                                               185
INTERNATIONAL HOME FOODS INC    COM    459655106      17,500      1,000     1,000                                             1,000
INTERNATIONAL GAME TECHNOLOGY   COM    459902102     207,900     11,550    11,550                                            11,550
INTL PAPER CO                   COM    460146103     670,315     13,947    13,947                                            13,947
INTL PAPER CO                   COM    460146103     284,605      5,922             5,922             03                      5,922
INTERNATIONAL RECTIFIER CORP    COM    460254105     154,787     10,150    10,150                                            10,150
INTERNATIONAL SPEEDWAY CORP     CL A   460335201       8,042        153       153                                               153
INTERNATIONAL TELECOMMUN DATA   COM    46047F104      16,876      2,000     2,000                                             2,000
INTERNET AMERICA INC            COM    46058Y109      24,250      2,000     2,000                                             2,000
INTERNET CAP GROUP INC          COM    46059C106       5,272         60        60                                                60
INTERPORE INTL                  COM    46062W107       9,937      1,500     1,500                                             1,500
INTERPUBLIC GROUP COS INC       COM    460690100     106,674      2,594     2,594                                             2,594
INTERPUBLIC GROUP COS INC       COM    460690100   1,670,310     40,619            40,619             03                     40,619
INTERSTATE BAKERIES CORP DEL    COM    46072H108     313,697     13,639    13,639                                            13,639
INTERSTATE HOTELS CORP          COM    46088R108         674        212       212                                               212
INTERVEST BANCSHARES CORP       CL A   460927106       1,500        200       200                                               200
INTERTAN INC                    COM    461120107     908,638     46,300                               02
INTERVU INC                     COM    46114R106      74,250      2,000     2,000                                             2,000
INTIMATE BRANDS INC             CL A   461156101       4,010        103               103             03                        103
INTUIT                          COM    461202103   1,099,471     12,545    12,545                                            12,545
INTUIT                          COM    461202103   1,314,840     15,000                               01
INTUIT                          COM    461202103      53,021        605               605             03                        605
INTUIT                          COM    461202103   2,274,849     25,952                               07
INVACARE CORP                   COM    461203101       1,173         60                60             03                         60
                                 PAGE TOTAL      131,394,327
PAGE:    35     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

INVESCO GLOBAL HEALTH SCIENCES  COM    46128N109         611         39        39                                                39
INVESTMENT GRADE MUN INCOME FD  COM    461368102     104,521      7,567     7,567                                             7,567
INVESTMENT TECHNOLOGY GRP NEW   COM    46145F105     548,964     23,868    23,868                                            23,868
INVESTMENT TECHNOLOGY GRP NEW   COM    46145F105         368         16                16             03                         16
INVESTORS FINL SERVICES CORP    COM    461915100     242,000      7,040                               08
IOMEGA CORP                     COM    462030107      62,775     18,600    18,600                                            18,600
IPALCO ENTERPRISES INC          COM    462613100       7,774        400       400                                               400
IPSWICH BANCSHARES INC          COM    462633108       4,646        531       531                                               531
ISIS PHARMACEUTICALS INC        COM    464330109      44,752      4,000     4,000                                             4,000
ISLE OF CAPRI CASINOS INC       COM    464592104     348,000     34,800    34,800                                            34,800
ISOLYSER INC                    COM    464888106       1,475        400       400                                               400
ISRAEL LD DEV LTD               SPONSO 465117208      52,500      3,000     3,000                                             3,000
ISTITUTO NAZIONALE DELLE ASSIG  SPONSO 465234102     164,089      5,020     5,020                                             5,020
IT GROUP INC                    PFD CV 465266302      30,800      1,600     1,600                                             1,600
ITALY FD INC                    COM    465395101     110,678      7,600     7,600                                             7,600
ITURF INC                       CL A   46575Q100      55,650      5,300     5,300                                             5,300
I2 TECHNOLOGIES INC             COM    465754109       3,881        100       100                                               100
IVAX CORP                       COM    465823102      61,875      3,750     3,750                                             3,750
JDN RLTY CORP                   COM    465917102       8,446        412       412                                               412
IXYS CORP                       COM    46600W106       1,007        204       204                                               204
JCC HLDG CO                     CL A   46611Q205     343,450     42,271    42,271                                            42,271
JCC HLDG CO                     CL A   46611Q205     180,773     22,249            22,249             06                     22,249
JDS UNIPHASE CORP               COM    46612J101   1,332,952     11,712    11,712                                            11,712
JDS UNIPHASE CORP               COM    46612J101     808,072      7,100                               07
JLM INDUSTRIES INC              COM    46621D103     211,711     47,047    47,047                                            47,047
JLM COUTURE INC                 COM    46621E101       4,167      1,667     1,667                                             1,667
JLG INDS INC                    COM    466210101       3,037        200       200                                               200
JP REALTY INC                   COM    46624A106       5,993        350       350                                               350
JSB FINANCIAL INC               COM    46624M100      28,625        500       500                                               500
JABIL CIRCUIT INC               COM    466313103     321,750      6,500     6,500                                             6,500
JABIL CIRCUIT INC               COM    466313103      24,007        485               485             03                        485
JACOBS ENGR GROUP INC DEL       COM    469814107   1,155,696     35,560    35,560                                            35,560
JACOBS ENGR GROUP INC DEL       COM    469814107       1,625         50                50             03                         50
JAKARTA GROWTH FD INC           COM    470120106         640        205       205                                               205
JAMESON INNS INC                COM    470457102   1,131,609    131,205   131,205                                           131,205
JAN BELL MARKETING INC          COM    470760109      10,020      3,025     3,025                                             3,025
JAPAN OTC EQUITY FD INC         COM    471091108      21,994      1,700     1,700                                             1,700
JARDINE FLEMING CHINA REGION    COM    471110106      16,720      2,500     2,500                                             2,500
JARDINE FLEMING INDIA FD INC    COM    471112102      21,812      2,475     2,475                                             2,475
JEFFERIES GROUP INC NEW         COM    472319102     375,750     18,000    18,000                                            18,000
JEFFERSON PILOT CORP            COM    475070108     329,131      5,209     5,209                                             5,209
JEFFERSON SMURFIT GROUP PLC     SPONSO 47508W107   1,194,490     40,755            40,755             03                     40,755
JFAX COM INC                    COM    477366108       8,737      1,759     1,759                                             1,759
JOHNSON & JOHNSON               COM    478160104  12,736,734    138,635   138,635                                           138,635
JOHNSON & JOHNSON               COM    478160104   4,302,777     46,835            46,835             03                     46,835
JOHNSON CTLS INC                COM    478366107   1,699,992     25,639    25,639                                            25,639
JOHNSON CTLS INC                COM    478366107     173,719      2,620             2,620             03                      2,620
JONES APPAREL GROUP INC         COM    480074103     520,375     18,100                               02
JONES APPAREL GROUP INC         COM    480074103      17,822        620               620             03                        620
JOSTENS INC                     COM    481088102      51,794      2,709             2,709             03                      2,709
JOURNAL REGISTER CO             COM    481138105      44,340      3,225             3,225             03                      3,225
JUNIPER NETWORKS                COM    48203R104     746,458      4,100                               07
                                 PAGE TOTAL       31,380,616
PAGE:    36     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

JUNO ONLINE SVCS INC            COM    482048105       1,133         70        70                                                70
KLA-TENCORP CORP                COM    482480100     247,780      3,812     3,812                                             3,812
KLA-TENCORP CORP                COM    482480100      11,375        175               175             03                        175
KLM ROYAL DUTCH AIRLS           COM N  482516101      54,549      2,088     2,088                                             2,088
K MART CORP                     COM    482584109       5,844        500       500                                               500
K-SWISS INC                     CL A   482686102       6,312        200       200                                               200
KTI INC                         COM NE 482689205       1,953        250       250                                               250
KAFUS INDS LTD                  COM    482910106       8,212        900       900                                               900
KANSAS CITY PWR & LT CO         COM    485134100      36,498      1,509     1,509                                             1,509
KANSAS CITY SOUTHN INDS INC     COM    485170104   4,542,237     97,821    97,821                                            97,821
KANSAS CITY SOUTHN INDS INC     COM    485170104      55,943      1,205             1,205             03                      1,205
KAUFMAN & BROAD HOME CORP       COM    486168107       4,537        220       220                                               220
KEANE INC                       COM    486665102     755,861     33,135    33,135                                            33,135
KELLOGG CO                      COM    487836108      14,974        400       400                                               400
KELLSTROM INDS INC              COM    488035106      24,452      2,500     2,500                                             2,500
KELLWOOD CO                     COM    488044108   1,007,754     45,807    45,807                                            45,807
KEMET CORP                      COM    488360108   2,957,664     92,520    92,520                                            92,520
KEMPER MULTI MKT INCOME TR      SH BEN 48842B106      25,875      3,000     3,000                                             3,000
KEMPER MUN INCOME TR            COM SH 48842C104       3,653        334       334                                               334
KENNAMETAL INC                  COM    489170100     360,294     13,925    13,925                                            13,925
KENNEDY-WILSON INC              COM NE 489399204     252,382     27,100    27,100                                            27,100
KERR MCGEE CORP                 SUB DB 492386AL1         245     25,000    25,000                                            25,000
KERR MCGEE CORP                 COM    492386107     401,625      7,294     7,294                                             7,294
KERR MCGEE CORP                 COM    492386107     622,206     11,300                               02
KEVCO INC                       COM    492716105      22,002      4,632     4,632                                             4,632
KEYCORP NEW                     COM    493267108      20,649        800       800                                               800
KEYCORP NEW                     COM    493267108     604,024     23,400                               08
KEYSPAN CORP                    COM    49337W100      78,117      2,729     2,729                                             2,729
KEYSTONE FINANCIAL INC          COM    493482103      78,375      3,300                               08
KIMBERLY CLARK CORP             COM    494368103     487,305      9,282     9,282                                             9,282
KIMBERLY CLARK CORP             COM    494368103   1,365,228     26,006            26,006             03                     26,006
KIMCO REALTY CORP               COM    49446R109   1,566,743     43,825    43,825                                            43,825
KINDER MORGAN ENERGY PARTNERS   UT LTD 494550106      35,385        817       817                                               817
KING WORLD PRODTNS INC          COM    495667107      88,500      2,360     2,360                                             2,360
KINROSS GOLD CORP               COM    496902107      12,063      4,196     4,196                                             4,196
KIRBY CORP                      COM    497266106     235,496     12,000    12,000                                            12,000
KIRBY CORP                      COM    497266106      76,538      3,900                               02
KIRBY CORP                      COM    497266106      90,369      4,605             4,605             03                      4,605
KIRIN BREWERY LTD               ADR    497350207     135,422      1,155     1,155                                             1,155
KLAMATH FIRST BANCORP INC       COM    49842P103       8,458        670               670             03                        670
KLEINWORT BENSON AUSTRALIAN FD  COM    498577105       3,156        500       500                                               500
KMART FING I                    PFD TR 498778208     114,299      2,400     2,400                                             2,400
KNIGHT TRANSN INC               COM    499064103      56,895      3,925             3,925             03                      3,925
KNIGHT/TRIMARK GROUP INC        CL A   499067106   1,161,405     39,205    39,205                                            39,205
KOGER EQUITY INC                COM    500228101      24,000      1,500     1,500                                             1,500
KOHLS CORP                      COM    500255104      66,125      1,000     1,000                                             1,000
KOHLS CORP                      COM    500255104     540,547      8,175             8,175             03                      8,175
KOLLMORGEN CORP                 COM    500440102       2,437        200       200                                               200
KOMAG INC                       COM    500453105      15,000      5,000     5,000                                             5,000
KONINKLIJKE AHOLD N V           SPON A 500467303      22,359        675       675                                               675
KONINKLIJKE PHILIPS ELECTRS NV  SPON A 500472204   1,193,719     11,819    11,819                                            11,819
KONINKLIJKE PHILIPS ELECTRS NV  SPON A 500472204   1,939,200     19,200                               02
                                 PAGE TOTAL       23,370,225
PAGE:    37     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

KONINKLIJKE PHILIPS ELECTRS NV  SPON A 500472204     768,812      7,612             7,612             03                      7,612
KOOR INDS LTD                   SPONSO 500507108   1,363,402     78,186    78,186                                            78,186
KOPIN CORP                      COM    500600101       2,775        100       100                                               100
KOREA TELECOM                   SPONSO 50063P103   3,635,694     98,262    98,262                                            98,262
KOREA ELECTRIC PWR              SPONSO 500631106       3,533        220       220                                               220
KOREA ELECTRIC PWR              SPONSO 500631106       5,862        365               365             03                        365
KOREA FD                        COM    500634100     251,260     20,000    20,000                                            20,000
KRANZCO RLTY TR                 COM SH 50076E103      70,874      7,000     7,000                                             7,000
KROGER CO                       COM    501044101  25,145,127  1,139,744 1,139,744                                          1139,744
KROGER CO                       COM    501044101   1,158,584     52,516            52,516             03                     52,516
KROLL O GARA CO                 COM    501050108      16,688      1,000     1,000                                             1,000
KRONOS INC                      COM    501052104       7,336        200       200                                               200
KULICKE & SOFFA INDS INC        COM    501242101       2,163         89        89                                                89
KUSHNER-LOCKE CO                COM NE 501337406      29,360      5,872     5,872                                             5,872
KYOCERA CORP                    ADR    501556203       8,850        120       120                                               120
KYOCERA CORP                    ADR    501556203   9,627,150    130,540           130,540             03                    130,540
LASMO PLC                       SP ADR 501730303     135,437      5,500     5,500                                             5,500
LG&E ENERGY CORP                COM    501917108       7,096        334       334                                               334
LTV CORP NEW                    COM    501921100         543        100       100                                               100
LML PMT SYS INC                 COM    50208P109         580        145       145                                               145
LSI LOGIC CORP                  COM    502161102     149,350      2,900     2,900                                             2,900
LSI LOGIC CORP                  COM    502161102      51,500      1,000             1,000             03                      1,000
LTC HEALTHCARE INC              COM    50217R104       1,152        615       615                                               615
LTC PPTYS INC                   COM    502175102      65,343      6,150     6,150                                             6,150
LTX CORP                        COM    502392103         369         27        27                                                27
LVMH MOET HENNESSY LOU VUITTON  SPONSO 502441207     118,380      1,973             1,973             03                      1,973
LA JOLLA PHARMACEUTICAL CO      COM    503459109      22,850     45,700                               05
LA JOLLA PHARMACEUTICAL CO      WT EXP 503459117         527     17,553                               05
LA Z BOY INC                    COM    505336107     860,903     45,164            45,164             03                     45,164
LABORATORY CORP AMER HLDGS      COM    50540R102     105,732     38,448    38,448                                            38,448
LABORATORY CORP AMER HLDGS      PFD CV 50540R201     176,400      3,150     3,150                                             3,150
LABOR READY INC                 COM NE 505401208          10          1                 1             03                          1
LABRANCHE & CO INC              COM    505447102       2,237        200       200                                               200
LAM RESH CORP                   COM    512807108       5,124         84        84                                                84
LANCE INC                       COM    514606102      13,063      1,000     1,000                                             1,000
LANDAUER INC                    COM    51476K103     929,866     37,011            37,011             03                     37,011
LANDEC CORP                     COM    514766104      64,164     12,520    12,520                                            12,520
LANDRYS SEAFOOD RESTAURANTS     COM    51508L103      20,000      2,500     2,500                                             2,500
LAS VEGAS ENTMT NETWORK INC     COM NE 517669305           6          3         3                                                 3
LASER-PACIFIC MEDIA CORP        COM    517923108       3,650        400       400                                               400
LASON INC                       COM    51808R107         890         20                20             03                         20
LATIN AMER INVT FD              COM    518279104      57,235      5,550     5,550                                             5,550
LATIN AMERN DISCOVERY FD INC    COM    51828C106       9,675      1,200     1,200                                             1,200
LATTICE SEMICONDUCTOR CORP      COM    518415104     330,425     11,130    11,130                                            11,130
LAUDER ESTEE COS INC            CL A   518439104     115,140      2,948     2,948                                             2,948
LAUDER ESTEE COS INC            CL A   518439104   1,256,318     32,165            32,165             03                     32,165
LEAP WIRELESS INTL INC          COM    521863100      14,098        600       600                                               600
LEAR CORP                       COM    521865105       6,157        175       175                                               175
LEAR CORP                       COM    521865105     225,189      6,400             6,400             03                      6,400
LEARN2 COM INC                  COM    522002104       2,905      1,000     1,000                                             1,000
LEE ENTERPRISES INC             COM    523768109      30,659      1,120             1,120             03                      1,120
LEGATO SYS INC                  COM    524651106   1,029,114     23,607    23,607                                            23,607
                                 PAGE TOTAL       48,113,277
PAGE:    38     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

LEGATO SYS INC                  COM    524651106      10,459        240               240             03                        240
LEGGETT & PLATT INC             COM    524660107      31,500      1,600     1,600                                             1,600
LEGGETT & PLATT INC             COM    524660107      32,479      1,650             1,650             03                      1,650
LEHMAN BROS HLDGS INC           COM    524908100   1,360,381     23,330    23,330                                            23,330
LENNAR CORP                     COM    526057104       7,969        500       500                                               500
LENNAR CORP                     COM    526057104         796         50                50             03                         50
LENNAR CORP                     COM    526057104   1,094,845     68,694                               04
LENNOX INTL INC                 COM    526107107       3,100        200       200                                               200
LEUCADIA NATL CORP              COM    527288104     924,000     44,000    44,000                                            44,000
LEVEL 8 SYS INC                 COM    52729M102       5,302        420       420                                               420
LEVEL 3 COMMUNICATIONS INC      COM    52729N100     102,861      1,970     1,970                                             1,970
LEVIATHAN GAS PIPELINE PARTNRS  COM UN 527367205      84,175      3,700     3,700                                             3,700
LEXMARK INTL GROUP INC          CL A   529771107   2,156,432     26,788    26,788                                            26,788
LEXMARK INTL GROUP INC          CL A   529771107     322,061      4,001             4,001             03                      4,001
LIBERATE TECHNOLOGIES           COM    530129105       8,425        200       200                                               200
LIBERTY ALL STAR EQUITY FD      SH BEN 530158104     190,808     16,239    16,239                                            16,239
LIBERTY DIGITAL INC             CL A   530436104      83,924      3,600     3,600                                             3,600
LIBERTY PPTY TR                 SH BEN 531172104     387,273     17,070    17,070                                            17,070
LIBERTY PPTY TR                 SH BEN 531172104      59,441      2,620             2,620             03                      2,620
LIFEWAY FOODS INC               COM    531914109       5,337        700       700                                               700
LIFETIME HOAN CORP              COM    531926103      10,208      1,396     1,396                                             1,396
LIFEMARK CORP                   COM    53219F102      12,000      4,000     4,000                                             4,000
LIFEPOINT HOSPITALS INC         COM    53219L109      25,413      2,937     2,937                                             2,937
LIFEPOINT HOSPITALS INC         COM    53219L109      26,074      3,009             3,009             03                      3,009
LIGAND PHARMACEUTICALS INC      WT B E 53220K116         148         66        66                                                66
LIGAND PHARMACEUTICALS INC      CL B   53220K207         228         30        30                                                30
LILLY ELI & CO                  COM    532457108  17,550,464    274,226   274,226                                           274,226
LILLY ELI & CO                  COM    532457108   2,116,864     33,076            33,076             03                     33,076
LIMITED INC                     COM    532716107      66,936      1,750     1,750                                             1,750
LIMITED INC                     COM    532716107     330,470      8,640             8,640             03                      8,640
LINCOLN NATL CORP IND           COM    534187109      67,611      1,800     1,800                                             1,800
LINDSAY MFG CO                  COM    535555106      19,625      1,000     1,000                                             1,000
LINEAR TECHNOLOGY CORP          COM    535678106      54,371        925       925                                               925
LINEAR TECHNOLOGY CORP          COM    535678106     279,769      4,760             4,760             03                      4,760
LINENS N THINGS INC             COM    535679104      16,705        495               495             03                        495
LIQUID AUDIO INC                COM    53631T102       4,625        125       125                                               125
LIPOSOME CO INC                 COM    536310105      47,851      6,289     6,289                                             6,289
LIQUI BOX CORP                  COM    536314107     535,680      9,920             9,920             03                      9,920
LITTELFUSE INC                  COM    537008104         979         44        44                                                44
LITTON INDS INC                 COM    538021106   1,707,268     31,183    31,183                                            31,183
LIZ CLAIBORNE INC               COM    539320101     122,450      3,950     3,950                                             3,950
LOCKHEED MARTIN CORP            COM    539830109  17,483,121    534,876   534,876                                           534,876
LOCKHEED MARTIN CORP            COM    539830109   2,354,376     72,031            72,031             03                     72,031
LODGENET ENTMT CORP             COM    540211109       1,300        100       100                                               100
LOEWS CINEPLEX ENTMT CORP       COM    540423100       3,150        400       400                                               400
LOEWS CORP                      COM    540424108   1,319,531     18,800    18,800                                            18,800
LOEWS CORP                      COM    540424108     726,685     10,355            10,355             03                     10,355
LOG ON AMER INC                 COM    540473105      51,750      3,000     3,000                                             3,000
LONE STAR INDS INC              COM NE 542290408       8,228        165               165             03                        165
LONE STAR STEAKHOUSE SALOON     COM    542307103       3,075        400       400                                               400
LOUIS DREYFUS NAT GAS CORP      COM    546011107       4,287        200       200                                               200
LOWES COS INC                   COM    548661107     476,708      9,779     9,779                                             9,779
                                 PAGE TOTAL       52,310,183
PAGE:    39     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

LOWES COS INC                   COM    548661107     865,694     17,760            17,760             03                     17,760
LUBRIZOL CORP                   COM    549271104     104,010      4,049     4,049                                             4,049
LUBRIZOL CORP                   COM    549271104     683,716     26,620            26,620             03                     26,620
LUCENT TECHNOLOGIES INC         COM    549463107  12,131,200    186,996   186,996                                           186,996
LUCENT TECHNOLOGIES INC         COM    549463107   3,063,505     47,224            47,224             03                     47,224
LUCENT TECHNOLOGIES INC         COM    549463107   2,364,369     36,445                               07
LUNDIN OIL AB                   SPON G 550375109      17,546      4,602     4,602                                             4,602
LYCOS INC                       COM    550818108      95,237      1,900     1,900                                             1,900
LYDALL INC DEL                  COM    550819106       5,156        500       500                                               500
M & F WORLDWIDE CORP            COM    552541104          88         11        11                                                11
M & T BK CORP                   COM    55261F104     243,270        530                               08
MBIA INC                        COM    55262C100   3,275,849     70,260    70,260                                            70,260
MBIA INC                        COM    55262C100     214,923      4,610             4,610             03                      4,610
MBNA CORP                       COM    55262L100     127,978      5,610     5,610                                             5,610
MBNA CORP                       COM    55262L100     950,900     41,689            41,689             03                     41,689
MB FINL INC                     COM    55263D107     186,501     13,944    13,944                                            13,944
MCN ENERGY GROUP INC            COM    55267J100      10,931        636       636                                               636
MCI WORLDCOM INC                COM    55268B106  21,936,922    305,216   305,216                                           305,216
MCI WORLDCOM INC                COM    55268B106   8,685,637    120,851           120,851             03                    120,851
MCM CAP GROUP INC               COM    55269B105   1,682,388    354,187   354,187                                           354,187
MDU RES GROUP INC               COM    552690109     260,547     11,580    11,580                                            11,580
MFC BANCORP LTD                 COM    55271X103       9,250      1,000     1,000                                             1,000
MFS CHARTER INCOME TR           SH BEN 552727109       8,937      1,100     1,100                                             1,100
MFS INTER INCOME TR             SH BEN 55273C107       6,313      1,000     1,000                                             1,000
MFS MULTIMARKET INCOME TR       SH BEN 552737108      60,486     10,081    10,081                                            10,081
MFS MUN INCOME TR               SH BEN 552738106      65,979      9,100     9,100                                             9,100
MGC COMMUNICATIONS INC          COM    552763302     134,875      6,500     6,500                                             6,500
MGIC INVT CORP WIS              COM    552848103     438,047      9,174     9,174                                             9,174
MGI PHARMA INC                  COM    552880106      19,500      1,500     1,500                                             1,500
MGI PPTYS INC                   COM    552885105       4,500        500       500                                               500
MFS GOVT MKTS INCOME TR         SH BEN 552939100      11,025      1,800     1,800                                             1,800
M H MEYERSON & CO INC           COM    55301Q102       4,500      1,500     1,500                                             1,500
MIM CORP                        COM    553044108       1,062        500       500                                               500
MMC NETWORKS INC                COM    55308N102      37,425      1,200     1,200                                             1,200
MMC NETWORKS INC                COM    55308N102         935         30                30             03                         30
MRV COMMUNICATIONS INC          COM    553477100      16,534        698       698                                               698
MSC SOFTWARE CORP               COM    553531104       7,356      1,100     1,100                                             1,100
MACDERMID INC                   COM    554273102       1,192         35        35                                                35
MACK CALI RLTY CORP             COM    554489104     880,644     32,845    32,845                                            32,845
MACK CALI RLTY CORP             COM    554489104      58,987      2,200             2,200             03                      2,200
MACROMEDIA INC                  COM    556100105     151,641      3,710     3,710                                             3,710
MACROMEDIA INC                  COM    556100105      78,269      1,915             1,915             03                      1,915
MADDEN STEVEN LTD               COM    556269108       9,056        700       700                                               700
MAGNA INTL INC                  CL A   559222401       2,484         50        50                                                50
MAGNETEK INC                    COM    559424106       1,787        200       200                                               200
MAGNUM HUNTER RES INC           WT EXP 55972F120          99        266       266                                               266
MAGNUM HUNTER RES INC           COM PA 55972F203       3,200        800       800                                               800
MAGYAR TAVKOZLESI RT            SPONSO 559776109     171,667      6,300     6,300                                             6,300
MAGYAR TAVKOZLESI RT            SPONSO 559776109      34,329      1,260             1,260             03                      1,260
MALLINCKRODT INC NEW            COM    561232109     481,242     15,942    15,942                                            15,942
MALLINCKRODT INC NEW            COM    561232109     181,115      6,000             6,000             03                      6,000
MANAGED HIGH INCOME PORTFOLIO   COM    56166C105       4,540        508       508                                               508
                                 PAGE TOTAL       59,818,580
PAGE:    40     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

MANAGED HIGH YIELD FD           COM    56166E101     115,793     11,028    11,028                                            11,028
MANDALAY RESORT GROUP           MANDAL 562567107       9,875        500       500                                               500
MANDALAY RESORT GROUP           MANDAL 562567107   1,965,658     99,527                               04
MANPOWER INC                    COM    56418H100     311,627     10,700            10,700             03                     10,700
MANUFACTURED HOME CMNTYS INC    COM    564682102     577,110     24,690    24,690                                            24,690
MANUFACTURED HOME CMNTYS INC    COM    564682102      72,929      3,120             3,120             03                      3,120
MANUGISTICS GROUP INC           COM    565011103      10,500      1,000     1,000                                             1,000
MARIMBA INC                     COM    56781Q109       5,975        200       200                                               200
MARINE DRILLING COS INC         COM PA 568240204     102,291      6,469     6,469                                             6,469
MARINER POST-ACUTE NETWORK INC  COM    568459101       4,537     12,100    12,100                                            12,100
MARISA CHRISTINA INC            COM    570268102      37,258     23,838    23,838                                            23,838
MARKETWATCH COM INC             COM    570619106       4,725        100       100                                               100
MARKWEST HYDROCARBON INC        COM    570762104      10,000      2,000     2,000                                             2,000
MARKETING SVCS GROUP INC        COM    570907105      11,875      1,000     1,000                                             1,000
MARSH & MCLENNAN COS INC        COM    571748102   2,157,618     31,499    31,499                                            31,499
MARSH & MCLENNAN COS INC        COM    571748102   1,868,607     27,280            27,280             03                     27,280
MARSH & MCLENNAN COS INC        COM    571748102     233,298      8,350                               08
MARTIN MARIETTA MATLS INC       COM    573284106      29,753        745       745                                               745
MARTIN MARIETTA MATLS INC       COM    573284106       6,387        160               160             03                        160
MASCO CORP                      COM    574599106      90,830      2,930             2,930             03                      2,930
MASCOTECH INC                   COM    574670105     205,582     12,700    12,700                                            12,700
MASCOTECH INC                   COM    574670105      56,656      3,500             3,500             03                      3,500
MASSMUTUAL PARTN INVS           SH BEN 576299101          17          1         1                                                 1
MATAV-CABLE SYS MEDIA LTD       SPONSO 576561104      27,018        655       655                                               655
MATRIA HEALTHCARE INC           COM    576817100      10,257      1,746     1,746                                             1,746
MATSUSHITA ELEC INDL            ADR    576879209     172,634        826       826                                               826
MATSUSHITA ELEC INDL            ADR    576879209   8,725,750     41,750            41,750             03                     41,750
MATTEL INC                      COM    577081102   4,336,940    228,260   228,260                                           228,260
MATTEL INC                      COM    577081102     114,703      6,037             6,037             03                      6,037
MAVESA S A                      SPONSO 577717101   2,409,600    803,200   803,200                                           803,200
MAXIM INTEGRATED PRODS INC      COM    57772K101      46,051        730               730             03                        730
MAXTOR CORP                     COM NE 577729205      92,137     13,973    13,973                                            13,973
MAXWELL TECHNOLOGIES INC        COM    577767106       3,281        250       250                                               250
MAY DEPT STORES CO              COM    577778103      47,275      1,297     1,297                                             1,297
MAY DEPT STORES CO              COM    577778103     143,220      3,931             3,931             03                      3,931
MAYTAG CORP                     COM    578592107     287,147      8,620     8,620                                             8,620
MCCLATCHY CO                    CL A   579489105     244,886      6,850     6,850                                             6,850
MCCORMICK & CO INC              COM NO 579780206       3,306        100               100             03                        100
MCDERMOTT INTL INC              COM    580037109       3,239        160       160                                               160
MCDONALDS CORP                  COM    580135101  33,131,285    770,495   770,495                                           770,495
MCDONALDS CORP                  COM    580135101   3,627,652     84,364            84,364             03                     84,364
MCDONALDS CORP                  COM    580135101   6,755,434    156,195                               04
MCGRAW HILL COS INC             COM    580645109   1,264,738     26,146    26,146                                            26,146
MCGRAW HILL COS INC             COM    580645109     997,871     20,629            20,629             03                     20,629
MCKESSON HBOC INC               COM    58155Q103     204,740      7,060     7,060                                             7,060
MCKESSON HBOC INC               COM    58155Q103   1,131,725     39,025            39,025             03                     39,025
MCLEODUSA INC                   COM    582266102   1,479,192     34,753                               04
MCMORAN EXPLORATION CO          COM    582411104      27,407      1,275     1,275                                             1,275
MEAD CORP                       COM    582834107     115,156      3,350     3,350                                             3,350
MEADE INSTRUMENTS CORP          COM    583062104      12,031        500       500                                               500
MEDFORD BANCORP INC             COM    584131106         568         37        37                                                37
MEDIAONE GROUP INC              COM    58440J104   3,908,494     57,215    57,215                                            57,215
                                 PAGE TOTAL       82,399,731
PAGE:    41     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

MEDIAONE GROUP INC              COM    58440J104   2,732,520     40,000                               01
MEDIAONE GROUP INC              COM    58440J104     849,090     12,430            12,430             03                     12,430
MEDIAONE GROUP INC              COM    58440J104   5,868,018     85,899                               04
MEDIA 100 INC                   COM    58440W105       2,712        384       384                                               384
MEDIA GEN INC                   CL A   584404107       5,125        100       100                                               100
MEDIA LOGIC INC                 COM    58441B100           0      2,000     2,000                                             2,000
MEDICAL MANAGER CORP NEW        COM    58461U103      31,093        625       625                                               625
MEDICIS PHARMACEUTICAL CORP     CL A N 584690309       2,736         96        96                                                96
MEDIMMUNE INC                   COM    584699102     416,541      4,180     4,180                                             4,180
MEDIMMUNE INC                   COM    584699102      76,213        765               765             03                        765
MEDIWARE INFORMATION SYS INC    COM    584946107     160,000     20,000    20,000                                            20,000
MEDQUIST INC                    COM    584949101       1,671         50                50             03                         50
MEDITRUST CORP                  PAIRED 58501T306   1,418,944    166,938   166,938                                           166,938
MEDITRUST CORP                  PAIRED 58501T306       5,950        700               700             03                        700
MEDTRONIC INC                   COM    585055106   7,210,152    203,103   203,103                                           203,103
MEDTRONIC INC                   COM    585055106   7,791,282    219,473           219,473             03                    219,473
MEGO FINL CORP                  COM NE 585162308      13,061      3,666     3,666                                             3,666
MELLON BK CORP                  COM    585509102     707,197     20,954    20,954                                            20,954
MELLON BK CORP                  COM    585509102     258,345      7,655             7,655             03                      7,655
MEMBERWORKS INC                 COM    586002107     981,223     29,400    29,400                                            29,400
MENS WEARHOUSE INC              COM    587118100     132,752      6,175             6,175             03                      6,175
MENTOR CORP MINN                COM    587188103     218,965      7,683     7,683                                             7,683
MENTOR INCOME FD INC            COM    587204108       4,915        650       650                                               650
MERCER INTL INC                 SH BEN 588056101      42,768     11,500    11,500                                            11,500
MERCHANTS N Y BANCORP INC       COM    589167105      60,800      1,600     1,600                                             1,600
MERCK & CO INC                  COM    589331107  39,230,941    605,318   605,318                                           605,318
MERCK & CO INC                  COM    589331107   7,969,049    122,964           122,964             03                    122,964
MERCURY GENL CORP NEW           COM    589400100      27,563      1,000     1,000                                             1,000
MERCURY INTERACTIVE CORP        COM    589405109     243,139      3,766     3,766                                             3,766
MEREDITH CORP                   COM    589433101      36,313      1,000     1,000                                             1,000
MERIDIAN RESOURCE CORP          COM    58977Q109           4          1         1                                                 1
MERIDIAN RESOURCE CORP          COM    58977Q109     105,450     22,200                               02
MERISTAR HOSPITALITY CORP       COM    58984Y103     149,450      9,800     9,800                                             9,800
MERISEL INC                     COM    589849108       7,216      4,441     4,441                                             4,441
MERISTAR HOTELS & RESORTS INC   COM    589988104     434,824    148,000   148,000                                           148,000
MERITOR AUTOMOTIVE INC          COM    59000G100      10,576        507       507                                               507
MERRILL LYNCH & CO INC          COM    590188108   1,649,937     24,558    24,558                                            24,558
MESA OFFSHORE TR                UNIT B 590650107         142      1,400     1,400                                             1,400
METAL MGMT INC                  COM    591097100      31,327     21,326    21,326                                            21,326
METHANEX CORP                   COM    59151K108       9,903      3,371     3,371                                             3,371
METRICOM INC                    COM    591596101      38,675      1,700     1,700                                             1,700
METRIS COS INC                  COM    591598107     206,066      7,000     7,000                                             7,000
METRIS COS INC                  COM    591598107     133,896      4,550             4,550             03                      4,550
METRO GOLDWYN MAYER INC         COM    591610100      26,250      1,500     1,500                                             1,500
METRO ONE TELECOMMUNICATIONS    COM    59163F105      45,532      2,373     2,373                                             2,373
METROMEDIA FIBER NETWORK INC    CL A   591689104     579,758     23,664    23,664                                            23,664
METROMEDIA INTL GROUP INC       PFD CO 591695200      76,334      3,100     3,100                                             3,100
MEXICO EQUITY & INCOME FD       COM    592834105     125,221     18,551    18,551                                            18,551
MEXICO FD INC                   COM    592835102       1,387        100       100                                               100
MIAMI COMPUTER SUPPLY CORP      COM    593261100      25,113      1,400     1,400                                             1,400
MICREL INC                      COM    594793101       3,470         80                80             03                         80
MICROS SYS INC                  COM    594901100     101,250      2,500                               02
                                 PAGE TOTAL       80,495,677
PAGE:    42     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

MICROS SYS INC                  COM    594901100       2,430         60                60             03                         60
MICROSOFT CORP                  COM    594918104  61,510,130    679,202   679,202                                           679,202
MICROSOFT CORP                  COM    594918104   9,620,591    106,237           106,237             03                    106,237
MICROSOFT CORP                  COM    594918104   6,668,788     73,637                               04
MICROSOFT CORP                  COM    594918104   5,923,001     65,402                               07
MICROTEST INC                   COM    594941106       5,798      1,600     1,600                                             1,600
MICROCELL TELECOMMUNICATIONS    CL B N 59501T304     222,300     17,100                               02
MICROCHIP TECHNOLOGY INC        COM    595017104     199,049      3,875             3,875             03                      3,875
MICROFINANCIAL INC              COM    595072109      13,049      1,200     1,200                                             1,200
MICROFINANCIAL INC              COM    595072109     129,386     11,900            11,900             03                     11,900
MICRON TECHNOLOGY INC           SUB NT 595112AB9         174     15,000    15,000                                            15,000
MICRON TECHNOLOGY INC           COM    595112103     121,475      1,825     1,825                                             1,825
MICRON TECHNOLOGY INC           COM    595112103     172,900      2,600                               02
MICRON TECHNOLOGY INC           COM    595112103   1,958,558     29,452                               07
MICROWAVE PWR DEVICES INC DEL   COM    59517M103      90,340      6,600     6,600                                             6,600
MICROWAVE PWR DEVICES INC DEL   COM    59517M103      45,169      3,300                               02
MID-AMER APT CMNTYS INC         COM    59522J103     102,125      4,750     4,750                                             4,750
MID ATLANTIC MED SVCS INC       COM    59523C107       7,150        800       800                                               800
MID-ATLANTIC RLTY TR            SH BEN 595232109     147,174     14,100    14,100                                            14,100
MID-STATE BANCSHARES            COM    595440108       9,953        325       325                                               325
MIDAS GROUP INC                 COM    595626102       1,031         50        50                                                50
MIDCOAST ENERGY RES INC         COM    59563W104     175,416      8,882     8,882                                             8,882
MIDCAP SPDR TR                  UNIT S 595635103     513,012      7,175     7,175                                             7,175
MIDWEST BANC HOLDINGS INC       COM    598251106      16,375      1,000     1,000                                             1,000
MIKOHN GAMING CORP              COM    59862K108      12,224      3,056     3,056                                             3,056
MIIX GROUP INC                  COM    59862V104       3,607        213       213                                               213
MILACRON INC                    COM    598709103     248,500     14,000                               02
MILESTONE SCIENTIFIC INC        COM    59935P100       1,188      1,000     1,000                                             1,000
MILLENNIUM PHARMACEUTICALS INC  COM    599902103     526,435      8,099     8,099                                             8,099
MILLENNIUM CHEMICALS INC        COM    599903101      12,466        610       610                                               610
MILLIPORE CORP                  COM    601073109     317,586      8,455     8,455                                             8,455
MILLS CORP                      COM    601148109     917,532     51,510    51,510                                            51,510
MINDSPRING ENTERPRISES INC      COM    602683104      76,141      2,750     2,750                                             2,750
MINIMED INC                     COM    60365K108       4,519         46        46                                                46
MINIMED INC                     COM    60365K108       3,438         35                35             03                         35
MINNESOTA MNG & MFG CO          COM    604059105  12,887,095    134,161   134,161                                           134,161
MINNESOTA MNG & MFG CO          COM    604059105     841,533      8,761             8,761             03                      8,761
MIRAGE RESORTS INC              COM    60462E104     719,320     51,150    51,150                                            51,150
MIRAVANT MED TECHNOLOGIES       COM    604690107       5,062        500       500                                               500
MISSISSIPPI CHEM CORP           COM NE 605288208       2,338        334       334                                               334
MITCHELL ENERGY & DEV CORP      CL A   606592202     146,628      6,000     6,000                                             6,000
MOBIUS MGMT SYSTEMS INC         COM    606925105         875        200       200                                               200
MOBIL CORP                      COM    607059102   5,833,127     57,898    57,898                                            57,898
MOBIL CORP                      COM    607059102   2,553,664     25,348            25,348             03                     25,348
MODEM MEDIA POPPE TYSON INC     CL A   607533106     192,400      5,200     5,200                                             5,200
MODEM MEDIA POPPE TYSON INC     CL A   607533106      95,090      2,570             2,570             03                      2,570
MOLEX INC                       CL A   608554200     195,867      6,050     6,050                                             6,050
MOLEX INC                       CL A   608554200       2,331         72                72             03                         72
MOMENTUM BUSINESS APPS INC      CL A   60877P108         180         20        20                                                20
MONDAVI ROBERT CORP             CL A   609200100      11,944        318       318                                               318
MONDAVI ROBERT CORP             CL A   609200100     499,582     13,300                               02
MONSANTO CO                     COM    611662107   5,808,904    162,774   162,774                                           162,774
                                 PAGE TOTAL      120,610,927
PAGE:    43     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

MONSANTO CO                     COM    611662107      59,952      1,680             1,680             03                      1,680
MONSANTO CO                     ADJ CO 611662305     504,000     14,000    14,000                                            14,000
MONTANA POWER CO                COM    612085100   3,281,690    107,821   107,821                                           107,821
MONTANA POWER CO                COM    612085100   2,587,230     85,000                               01
MONTANA POWER CO                COM    612085100     203,931      6,700                               02
MONTANA POWER CO                COM    612085100     102,868      3,380             3,380             03                      3,380
MONTGOMERY STR INCOME SECS INC  COM    614115103      19,918      1,240     1,240                                             1,240
MONY GROUP INC                  COM    615337102   2,460,150     85,200    85,200                                            85,200
MORGAN J P & CO INC             COM    616880100  16,981,427    148,640   148,640                                           148,640
MORGAN J P & CO INC             COM    616880100     486,657      4,260             4,260             03                      4,260
MORGAN STANLEY FIN PLC          UNIT E 616906509      25,313      1,000     1,000                                             1,000
MORGAN GRENFELL SMALLCAP FD     COM    617357108     422,348     41,456    41,456                                            41,456
MORGAN STANLEY D WITTER EMG MK  COM    61744G107       2,937        267       267                                               267
MORGAN STANLEY D WITTER EMG DB  COM    61744H105      80,850     11,550    11,550                                            11,550
MORGAN STANLEY D WITTER HI YLD  COM    61744M104     104,498      8,800     8,800                                             8,800
MORGAN STAN D WITTER ASIA PAC   COM    61744U106     845,793     85,650    85,650                                            85,650
MORGAN STAN D WITTER AFRIC INV  COM    617444104       4,687        500       500                                               500
MORGAN STANLEY DEAN WITTER&CO   COM NE 617446448   6,115,302     68,567    68,567                                            68,567
MORGAN STANLEY DEAN WITTER&CO   COM NE 617446448   2,190,005     24,557            24,557             03                     24,557
MORGAN STANLEY DEAN WITTER      MUN IN 61745P437     104,743     12,600    12,600                                            12,600
MORGAN STANLEY DEAN WITTER      MUN IN 61745P452     100,736     11,851    11,851                                            11,851
MORGAN STANLEY DEAN WITTER      CA INS 61745P502      39,189      3,000     3,000                                             3,000
MORGAN STANLEY DEAN WITTER      QLT MU 61745P668      13,250      1,000     1,000                                             1,000
MORGAN STANLEY DEAN WITTER      QUALT  61745P734      60,631      4,450     4,450                                             4,450
MORGAN STANLEY DEAN WITTER      INCOME 61745P874          81          5         5                                                 5
MORRISON MGMT SPECIALISTS INC   COM    618459101     256,500     11,400    11,400                                            11,400
MORRISON MGMT SPECIALISTS INC   COM    618459101     100,687      4,475             4,475             03                      4,475
MORTONS RESTAURANT GROUP INC    COM    619429103     105,378      6,000     6,000                                             6,000
MOTOROLA INC                    COM    620076109   7,851,800     89,225    89,225                                            89,225
MOTOROLA INC                    COM    620076109     473,880      5,385             5,385             03                      5,385
MOTOROLA INC                    COM    620076109   3,710,608     42,166                               07
MP3 COM INC                     COM    62473M109      22,529        600       600                                               600
MP3 COM INC                     COM    62473M109       1,314         35                35             03                         35
MUELLER INDS INC                COM    624756102  16,097,269    542,215   542,215                                           542,215
MULTEX COM INC                  COM    625367107      79,509      6,236     6,236                                             6,236
MUNICIPAL ADVANTAGE FD INC      COM    626189104     681,322     57,985    57,985                                            57,985
MUNICIPAL HIGH INCOME FD INC    COM    626214100      31,419      3,779     3,779                                             3,779
MUNICIPAL PARTNERS FD INC       COM    62622C101     192,129     15,927    15,927                                            15,927
MUNICIPAL PARTNERS FD II INC    COM    62622E107     522,588     46,194    46,194                                            46,194
MUNIENHANCED FD INC             COM    626243109       5,197        523       523                                               523
MUNIVEST FD II INC              COM    62629P105      49,712      4,100     4,100                                             4,100
MUNIVEST N J FD INC             COM    62629R101       7,978        658       658                                               658
MURPHY OIL CORP                 COM    626717102       5,406        100       100                                               100
MUSICLAND STORES CORP           COM    62758B109      12,162      1,390     1,390                                             1,390
MUTUAL RISK MGMT LTD            COM    628351108     471,421     38,486            38,486             03                     38,486
MYLAN LABS INC                  COM    628530107     717,540     39,050    39,050                                            39,050
MYRIAD GENETICS INC             COM    62855J104     288,932     16,996    16,996                                            16,996
MYPOINTS COM INC                COM    62855T102       1,425        100       100                                               100
NBTY INC                        COM    628782104      11,437      1,500     1,500                                             1,500
NCI BUILDING SYS INC            COM    628852105      33,126      2,000     2,000                                             2,000
NCO GROUP INC                   COM    628858102   1,325,400     28,200    28,200                                            28,200
NCR CORP NEW                    COM    62886E108   2,391,248     72,325    72,325                                            72,325
                                 PAGE TOTAL       72,366,329
PAGE:    44     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

NCR CORP NEW                    COM    62886E108     145,758      4,409             4,409             03                      4,409
NFO WORLDWIDE INC               COM    62910N108     255,000     20,000    20,000                                            20,000
NPS PHARMACEUTICALS INC         COM    62936P103       3,248        565       565                                               565
NPC INTERNATIONAL INC           COM    629360306   3,975,389    353,368   353,368                                           353,368
NTL INC                         COM    629407107     115,312      1,200     1,200                                             1,200
NTL INC                         COM    629407107  13,453,160    140,000                               01
NTL INC                         COM    629407107   1,979,531     20,600                               02
NTL INC                         COM    629407107      10,570        110               110             03                        110
NTL INC                         COM    629407107   8,300,888     86,383                               04
NVR INC                         COM    62944T105       3,030         60                60             03                         60
NABISCO GROUP HLDG CORP         COM    62952P102     407,325     27,155    27,155                                            27,155
NABISCO GROUP HLDG CORP         COM    62952P102      17,790      1,186             1,186             03                      1,186
NABORS INDS INC                 COM    629568106      91,875      3,675     3,675                                             3,675
NAM TAI ELECTRS INC             COM PA 629865205      20,250      1,500     1,500                                             1,500
NANOPHASE TCHNOLOGIES CORP      COM    630079101      98,959     50,266    50,266                                            50,266
NAPRO BIOTHERAPUTICS INC        COM    630795102      10,472      3,161     3,161                                             3,161
NASDAQ 100 TR                   UNIT S 631100104     667,214      5,550     5,550                                             5,550
NATIONAL AUSTRALIA BK LTD       SPONSO 632525408     222,312      3,012             3,012             03                      3,012
NATIONAL BANCORP ALASKA         COM    632587101      32,313      1,261     1,261                                             1,261
NATIONAL CITY CORP              COM    635405103      87,159      3,266     3,266                                             3,266
NATIONAL COMM BANCORP           COM    635449101     913,669     41,592            41,592             03                     41,592
NATIONAL COMPUTER SYS INC       COM    635519101       1,533         40                40             03                         40
NATIONAL DATA CORP              COM    635621105     300,300     11,550    11,550                                            11,550
NATIONAL DENTEX CORP            COM    63563H109     270,419     15,850            15,850             03                     15,850
NATIONAL DISC BROKERS GROUP     COM    635646102      52,876      2,000     2,000                                             2,000
NATIONAL HEALTH REALTY INC      COM    635905102      27,625      2,600     2,600                                             2,600
NATIONAL HEALTHCARE CORP        COM    635906100      18,200      2,600     2,600                                             2,600
NATIONAL HEALTH INVS INC        COM    63633D104      42,738      2,600     2,600                                             2,600
NATIONAL INSTRS CORP            COM    636518102       2,120         60                60             03                         60
NATIONAL PWR PLC                SPON A 637194408       5,100        160       160                                               160
NATIONAL PWR PLC                SPON A 637194408   5,748,604    180,360           180,360             03                    180,360
NATIONAL R V HLDGS INC          COM    637277104     164,023      8,305     8,305                                             8,305
NATIONAL REGISTRY INC           COM NE 63735L202         405        333       333                                               333
NATIONAL SEMICONDUCTOR CORP     SB NT  637640AB9       1,192    120,000   120,000                                           120,000
NATIONAL SEMICONDUCTOR CORP     COM    637640103   1,360,424     44,607    44,607                                            44,607
NATIONAL SEMICONDUCTOR CORP     COM    637640103      69,229      2,270             2,270             03                      2,270
NATIONAL SEMICONDUCTOR CORP     COM    637640103     751,850     24,600                               07
NATIONAL SVC INDS INC           COM    637657107      94,500      3,000     3,000                                             3,000
NATIONAL STL CORP               CL B   637844309     111,008     16,000    16,000                                            16,000
NATIONAL TECHNICAL SYS INC      COM    638104109         975        300       300                                               300
NATIONAL WESTMINSTER BK PLC     ADR RE 638539700       2,425        100       100                                               100
NATIONAL WESTMINSTER BK PLC     ADR RE 638539700      24,249      1,000             1,000             03                      1,000
NATIONWIDE HEALTH PPTYS INC     COM    638620104     707,111     42,535    42,535                                            42,535
NATIONWIDE HEALTH PPTYS INC     COM    638620104      16,625      1,000             1,000             03                      1,000
NATURAL ALTERNATIVES INTL INC   COM NE 638842302       2,325        600       600                                               600
NATURAL WONDERS INC             COM    639014109      28,899     13,600    13,600                                            13,600
NATURES SUNSHINE PRODUCTS INC   COM    639027101       4,261        450       450                                               450
NAVARRE CORP                    COM    639208107      19,376      2,000     2,000                                             2,000
NAVISTAR INTL CORP NEW          COM    63934E108     261,329      5,620     5,620                                             5,620
NAVISTAR INTL CORP NEW          COM    63934E108      91,693      1,972             1,972             03                      1,972
NAVIGANT CONSULTING INC         COM    63935N107       9,969        215               215             03                        215
NEIMAN MARCUS GROUP INC         COM    640204103     668,523     28,600    28,600                                            28,600
                                 PAGE TOTAL       50,425,603
PAGE:    45     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

NEIMAN MARCUS GROUP INC         COM    640204103     330,158     14,125            14,125             03                     14,125
NEON SYS INC                    COM    640509105      31,218      1,159     1,159                                             1,159
NEORX CORP                      COM PA 640520300         211        125       125                                               125
NETBANK INC                     COM    640933107       4,425        200       200                                               200
NETWORKS ASSOCS INC             COM    640938106      95,625      5,000     5,000                                             5,000
NET2PHONE                       COM    64108N106     114,675      2,200     2,200                                             2,200
NETEGRITY INC                   COM    64110P107     397,313     16,300                               02
NETMANAGE INC                   COM    641144100      34,658     16,800    16,800                                            16,800
NETSPEAK CORP                   COM    64115D109       6,187        500       500                                               500
NETSILICON INC                  COM    64115X105     110,925      8,700     8,700                                             8,700
NETMOVES CORP                   COM    64116A104      62,500     10,000    10,000                                            10,000
NETWORK APPLIANCE INC           COM    64120L104      14,325        200       200                                               200
NETWORK ACCESS SOLUTIONS CORP   COM    64120S109       7,950        600       600                                               600
NETWORK SOLUTIONS INC DEL       COM    64121Q102       9,187        100       100                                               100
NEW AMER HIGH INCOME FD INC     COM    641876107       1,240        310       310                                               310
NEW CENTURY ENERGIES INC        COM    64352U103      33,438      1,000     1,000                                             1,000
NEW ENGLAND ELEC SYS            COM    644001109      51,875      1,000     1,000                                             1,000
NEW ERA OF NETWORKS INC         COM    644312100      43,250      2,000     2,000                                             2,000
NEW ERA OF NETWORKS INC         COM    644312100   2,054,375     95,000                               01
NEW GERMANY FD INC              COM    644465106       5,386        456       456                                               456
NEW HORIZONS WORLDWIDE INC      COM    645526104      79,375      5,000     5,000                                             5,000
NEW PLAN EXCEL RLTY TR INC      COM    648053106      88,597      4,974     4,974                                             4,974
NEW YORK TIMES CO               CL A   650111107       7,500        200       200                                               200
NEWBRIDGE NETWORKS CORP         COM    650901101     551,488     21,160    21,160                                            21,160
NEWBRIDGE NETWORKS CORP         COM    650901101     200,681      7,700                               02
NEWBRIDGE NETWORKS CORP         COM    650901101       5,212        200               200             03                        200
NEWELL RUBBERMAID INC           COM    651229106  11,940,967    418,082   418,082                                           418,082
NEWELL RUBBERMAID INC           COM    651229106     563,325     19,724            19,724             03                     19,724
NEWMONT MINING CORP             COM    651639106   3,243,958    125,371   125,371                                           125,371
NEWPARK RES INC                 COM PA 651718504         310         40        40                                                40
NEWS CORP LTD                   ADR NE 652487703     100,947      3,550     3,550                                             3,550
NEWS CORP LTD                   SP ADR 652487802     702,694     26,330    26,330                                            26,330
NEWS CORP LTD                   SP ADR 652487802      17,210        645               645             03                        645
NEWSEDGE CORP                   COM    65249Q106         629         68        68                                                68
NIAGARA BANCORP INC             COM    652914102      24,905      2,386     2,386                                             2,386
NEXTEL COMMUNICATIONS INC       CL A   65332V103   4,924,214     72,618    72,618                                            72,618
NEXTEL COMMUNICATIONS INC       CL A   65332V103     718,129     10,590            10,590             03                     10,590
NEXTEL COMMUNICATIONS INC       CL A   65332V103   2,088,369     30,796                               07
NEXTLINK COMMUNICATIONS INC     CL A   65333H707     414,230      7,990     7,990                                             7,990
NIAGARA MOHAWK HLDGS INC        COM    653520106   7,532,625    487,928   487,928                                           487,928
NICE SYS LTD                    SPONSO 653656108   1,331,660     51,715    51,715                                            51,715
NICHOLS RESH CORP               COM    653818104      19,010        714       714                                               714
NIELSEN MEDIA RESH INC          COM NE 653929307         855         23        23                                                23
NIKE INC                        CL B   654106103   2,276,122     40,020    40,020                                            40,020
NIKE INC                        CL B   654106103          56          1                 1             03                          1
NIKE INC                        CL B   654106103   4,570,759     80,365                               04
NIPPON TELEG & TEL CORP         SPONSO 654624105     793,603     12,865    12,865                                            12,865
NIPPON TELEG & TEL CORP         SPONSO 654624105     798,794     12,950            12,950             03                     12,950
NISOURCE INC                    COM    65473P105      88,500      4,000     4,000                                             4,000
NISOURCE INC                    COM    65473P105     588,488     26,600            26,600             03                     26,600
NOBLE AFFILIATES INC            COM    654894104     287,100      9,900                               02
NOKIA CORP                      SPONSO 654902204  18,185,241    202,482   202,482                                           202,482
                                 PAGE TOTAL       67,109,023
PAGE:    46     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

NOKIA CORP                      SPONSO 654902204   3,026,965     33,705            33,705             03                     33,705
NOBLE DRILLING CORP             COM    655042109      49,984      2,285     2,285                                             2,285
NOBLE DRILLING CORP             COM    655042109     234,063     10,700                               02
NOBLE INTL LTD                  COM    655053106      14,000      1,000     1,000                                             1,000
NORD RES CORP                   COM    655555100           0          1         1                                                 1
NORDSON CORP                    COM    655663102     855,932     17,468            17,468             03                     17,468
NORDSTROM INC                   COM    655664100     129,600      4,800     4,800                                             4,800
NORFOLK SOUTHERN CORP           COM    655844108     268,935     10,976    10,976                                            10,976
NORSK HYDRO A S                 SPONSO 656531605      56,545      1,315     1,315                                             1,315
NORTEL NETWORKS CORP            COM    656569100   1,088,952     21,352    21,352                                            21,352
NORTEL NETWORKS CORP            COM    656569100     627,300     12,300                               02
NORTEL NETWORKS CORP            COM    656569100   3,543,684     69,484                               07
NORTH AMERN SCIENTIFIC INC      COM    65715D100     441,822     49,785    49,785                                            49,785
NORTH AMERN VACCINE INC         COM    657201109     581,250     77,500                               01
NORTH CENT BANCSHARES INC       COM    658418108      37,154      2,235             2,235             03                      2,235
NORTH FACE INC                  COM    659317101          29          5         5                                                 5
NORTH FACE INC                  COM    659317101     190,000     32,000                               02
NORTH FORK BANCORPORATION NY    COM    659424105     316,777     16,245    16,245                                            16,245
NORTH FORK BANCORPORATION NY    COM    659424105       7,312        375               375             03                        375
NORTHEAST OPTIC NETWORK INC     COM    664334109       8,493        225       225                                               225
NORTHEAST UTILS                 COM    664397106     762,561     41,500    41,500                                            41,500
NORTHERN BORDER PARTNERS L P    UNIT L 664785102      60,653      2,096     2,096                                             2,096
NORTHERN TR CORP                COM    665859104     674,229      8,075     8,075                                             8,075
NORTHFIELD LABS INC             COM    666135108      70,940      5,000     5,000                                             5,000
NORTHLAND CRANBERRIES INC       CL A   666499108          26          4         4                                                 4
NORTHPOINT COMMUNICATIONS HLDG  COM    666610100     129,500      7,000     7,000                                             7,000
NORTHROP GRUMMAN CORP           COM    666807102     106,464      1,675     1,675                                             1,675
NORTHWEST AIRLS CORP            CL A   667280101      54,468      2,136     2,136                                             2,136
NORTHWESTERN CORP               COM    668074107      22,750      1,000     1,000                                             1,000
NOVA CHEMICALS CORP             COM    66977W109         643         30        30                                                30
NOVA CHEMICALS CORP             COM    66977W109     233,669     10,900                               02
NOVA CORP GA                    COM    669784100     122,500      4,900             4,900             03                      4,900
NOVELL INC                      COM    670006105   1,909,462     92,299    92,299                                            92,299
NOVELL INC                      COM    670006105     465,178     22,486            22,486             03                     22,486
NOVOSTE CORP                    COM    67010C100     388,993     21,800                               02
NOVO-NORDISK A S                ADR    670100205      29,874        500       500                                               500
NOVO-NORDISK A S                ADR    670100205     261,393      4,375             4,375             03                      4,375
NU SKIN ENTERPRISES INC         CL A   67018T105       1,350        100               100             03                        100
NSTAR                           COM    67019E107   1,235,736     31,890    31,890                                            31,890
N2H2 INC                        COM    67019F104     493,814     50,323    50,323                                            50,323
N2H2 INC                        COM    67019F104       3,925        400               400             03                        400
NUCOR CORP                      COM    670346105      10,476        220       220                                               220
NUEVO ENERGY CO                 COM    670509108     251,850     14,600                               02
NUEVO GROUP IUSACELL SA DE DV   SPON A 670512102   2,085,611    219,538   219,538                                           219,538
NUVEEN N C PREM INCOME MUN FD   SH BEN 67060P100      45,564      3,000     3,000                                             3,000
NUVEEN CA INVT QUALITY MUN FD   COM    67062A101      77,500      5,000     5,000                                             5,000
NUVEEN CALIF MUN VALUE FD       COM    67062C107     156,415     17,500    17,500                                            17,500
NUVEEN MUN ADVANTAGE FD INC     COM    67062H106      43,129      3,000     3,000                                             3,000
NUVEEN PREM INCOME MUN FD       COM    67062T100      14,025      1,100     1,100                                             1,100
NUVEEN MUN MKT OPPORTUNITY FD   COM    67062W103      14,562      1,000     1,000                                             1,000
NUVEEN SELECT TAX FREE INCM PT  SH BEN 67063C106          14          1         1                                                 1
NUVEEN INSD CA SELECT TAX FREE  SH BEN 67063R103      14,188      1,000     1,000                                             1,000
                                 PAGE TOTAL       21,939,160
PAGE:    47     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

NVEST L P                       UNIT L 67065F107       4,200        200       200                                               200
NVIDIA CORP                     COM    67066G104      15,496        805       805                                               805
OEA INC                         COM    670826106     750,213     98,390    98,390                                            98,390
OEC COMPRESSION CORP            COM    670827104      35,640     30,000    30,000                                            30,000
OGE ENERGY CORP                 COM    670837103   1,027,369     46,174    46,174                                            46,174
OM GROUP INC                    COM    670872100      57,562      1,500     1,500                                             1,500
OM GROUP INC                    COM    670872100       1,918         50                50             03                         50
NUVEEN FLA INVT QUALITY MUN FD  COM    670970102      30,750      2,000     2,000                                             2,000
NUVEEN NJ INVT QUALITY MUN FD   COM    670971100       7,969        500       500                                               500
NUVEEN QUALITY INCOME MUN FD    COM    670977107       5,964        401       401                                               401
NUVEEN FLA QUALITY INCOME MUN   COM    670978105      24,337      1,650     1,650                                             1,650
NUVEEN INSD MUN OPPORTUNITY FD  COM    670984103      29,973      2,170     2,170                                             2,170
NUVEEN PREMIER INSD MUN INCOME  COM    670987106      28,250      2,000     2,000                                             2,000
NUVEEN NJ PREM INCOME MUN FD    COM    67101N106      29,126      2,000     2,000                                             2,000
NUVEEN INSD FLA PREM INCOME FD  COM    67101V108       8,311        610       610                                               610
OSI PHARMACEUTICALS INC         COM    671040103       6,825      1,200     1,200                                             1,200
OAKLEY INC                      COM    673662102   1,135,866    183,560   183,560                                           183,560
OAKWOOD HOMES CORP              COM    674098108       6,750      1,500     1,500                                             1,500
OCCIDENTAL PETE CORP DEL        COM    674599105      64,747      2,800     2,800                                             2,800
OCEAN ENERGY INC TEX            COM    67481E106      16,899      1,659     1,659                                             1,659
OCEAN ENERGY INC TEX            COM    67481E106   2,648,880    260,000                               01
OCEAN ENERGY INC TEX            COM    67481E106     715,163     70,200                               02
OCEANEERING INTL INC            COM    675232102       5,043        300       300                                               300
OCEANFIRST FINL CORP            COM    675234108      36,024      2,200             2,200             03                      2,200
OCTEL CORP                      COM    675727101      35,593      3,167             3,167             03                      3,167
OFFICEMAX INC                   COM    67622M108     165,942     28,550    28,550                                            28,550
OFFICE DEPOT INC                LYON S 676220AA4      64,000    100,000   100,000                                           100,000
OFFICE DEPOT INC                COM    676220106   2,259,829    221,841   221,841                                           221,841
OFFICE DEPOT INC                COM    676220106     236,644     23,230            23,230             03                     23,230
OGDEN CORP                      COM    676346109      24,900      2,490     2,490                                             2,490
OLD KENT FINL CORP              COM    679833103      65,704      1,770     1,770                                             1,770
OLD NATL BANCORP IND            COM    680033107     308,644     10,689    10,689                                            10,689
OLD REP INTL CORP               COM    680223104     768,958     53,263    53,263                                            53,263
OLIN CORP                       COM PA 680665205     416,926     30,600                               02
OLSTEN CORP                     COM    681385100       2,087        200       200                                               200
OMNICARE INC                    COM    681904108   2,646,875    275,000                               01
OMNICOM GROUP INC               COM    681919106   2,073,122     26,180    26,180                                            26,180
OMNICOM GROUP INC               COM    681919106     121,862      1,539             1,539             03                      1,539
OMEGA HEALTHCARE INVS INC       COM    681936100     250,425     11,925    11,925                                            11,925
OMEGA WORLDWIDE INC             COM    68210B108         658        161       161                                               161
OMNIPOINT CORP                  COM    68212D102     312,554      5,594     5,594                                             5,594
ON ASSIGNMENT INC               COM    682159108     234,600      9,775             9,775             03                      9,775
ON COMMAND CORP                 WT B E 682160122           6          1         1                                                 1
ON TECHNOLOGY CORP              COM    68219P108       2,469        500       500                                               500
ONEMAIN COM INC                 COM    68267P109       8,219        500       500                                               500
ONESOURCE INFORMATION SVCS INC  COM    68272J106     172,752     20,940    20,940                                            20,940
ONESOURCE INFORMATION SVCS INC  COM    68272J106      71,525      8,670             8,670             03                      8,670
ONHEALTH NETWORK CO             COM    68272W107         625        100       100                                               100
ONSALE INC                      COM    682838107      27,481      2,017     2,017                                             2,017
ONTRO INC                       COM    683380109       8,250      4,400     4,400                                             4,400
ONTRO INC                       WT EXP 683380117       9,918     26,450    26,450                                            26,450
OPEN MKT INC                    COM    68370M100      32,812      2,500     2,500                                             2,500
                                 PAGE TOTAL       17,397,455
PAGE:    48     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

OPTELECOM INC                   COM PA 683818207         218        100       100                                               100
OPTICAL COATING LAB INC         COM    683829105     905,900      9,840                               07
OPTICARE HEALTH SYS INC         COM    68386P105           5          1         1                                                 1
ORACLE CORP                     COM    68389X105  19,739,796    433,850   433,850                                           433,850
ORACLE CORP                     COM    68389X105   4,819,723    105,932           105,932             03                    105,932
ORACLE CORP                     COM    68389X105   6,866,906    150,921                               04
ORACLE CORP                     COM    68389X105   3,617,614     79,508                               07
OPPENHEIMER MULTI-SECTOR INCOM  SH BEN 683933105       3,350        400       400                                               400
ORBITAL SCIENCES CORP           COM    685564106      14,875        850       850                                               850
ORGANOGENESIS INC               COM    685906109   3,358,181    451,490   451,490                                           451,490
OREGON TRAIL FINL CORP          COM    685932105      21,478      1,920             1,920             03                      1,920
OREGON STL MLS INC              COM    686079104      11,744      1,050     1,050                                             1,050
O REILLY AUTOMOTIVE INC         COM    686091109     156,050      3,275             3,275             03                      3,275
ORTEL CORP                      COM    68749W102       7,006        452       452                                               452
ORTHODONTIC CTRS AMER INC       COM    68750P103     274,297     15,675            15,675             03                     15,675
OSAGE SYSTEMS GROUP INC         OSAGE  687735100           4          7         7                                                 7
OSHMANS SPORTING GOODS INC      COM    688260108       4,462      2,100     2,100                                             2,100
OSICOM TECHNOLOGIES INC         COM PA 688271501     209,371     22,333    22,333                                            22,333
OSTEX INTL INC                  COM    68859Q101       4,845      5,000     5,000                                             5,000
OUTBACK STEAKHOUSE INC          COM    689899102     651,365     25,575    25,575                                            25,575
OUTBACK STEAKHOUSE INC          COM    689899102   2,801,590    110,000                               01
OUTBACK STEAKHOUSE INC          COM    689899102      14,004        550               550             03                        550
OUTDOOR SYS INC                 COM    690057104      98,312      2,750     2,750                                             2,750
OWENS ILL INC                   COM NE 690768403       7,924        400       400                                               400
OWENS ILL INC                   COM NE 690768403     318,474     16,075            16,075             03                     16,075
OWENS ILL INC                   PFD CO 690768502      75,325      2,300     2,300                                             2,300
OXFORD HEALTH PLANS INC         COM    691471106     198,312     15,865    15,865                                            15,865
OXFORD TAX EXEMPT FD L P        UNIT L 69181P100      12,000        500       500                                               500
P C CONNECTION                  COM    69318J100       4,500        300       300                                               300
P-COM INC                       COM    693262107   2,264,269    323,467   323,467                                           323,467
P-COM INC                       COM    693262107      81,900     11,700                               02
PG&E CORP                       COM    69331C108     507,409     19,611    19,611                                            19,611
PG&E CORP                       COM    69331C108       4,398        170               170             03                        170
PFF BANCORP INC                 COM    69331W104     102,400      4,965             4,965             03                      4,965
PE CORP                         COM PE 69332S102      57,800        800       800                                               800
PE CORP                         COM PE 69332S102     218,905      3,030             3,030             03                      3,030
PE CORP                         CELERA 69332S201     321,597      7,990     7,990                                             7,990
PE CORP                         CELERA 69332S201       5,594        139               139             03                        139
PIMCO ADVISORS HLDGS L P        UT LTD 69338P102  35,832,556  1,137,542 1,137,542                                          1137,542
PIMCO COML MTG SECS TR INC      COM    693388100      94,811      7,547     7,547                                             7,547
PLC SYS INC                     COM    69341D104      20,801      6,525     6,525                                             6,525
PMC COML TR                     SH BEN 693434102     121,237      9,150     9,150                                             9,150
PMC-SIERRA INC                  COM    69344F106     165,944      1,794     1,794                                             1,794
PMC-SIERRA INC                  COM    69344F106      16,927        183               183             03                        183
PNC BK CORP                     COM    693475105  14,355,928    272,484   272,484                                           272,484
PNC BK CORP                     COM    693475105   2,168,074     41,152            41,152             03                     41,152
P P & L RES INC                 COM    693499105      15,154        560       560                                               560
P P & L RES INC                 COM    693499105      32,475      1,200             1,200             03                      1,200
PPG INDS INC                    COM    693506107      24,000        400       400                                               400
PPG INDS INC                    COM    693506107   1,188,000     19,800            19,800             03                     19,800
PRI AUTOMATION INC              COM    69357H106      96,632      2,675     2,675                                             2,675
PSS WORLD MED INC               COM    69366A100     317,838     35,561    35,561                                            35,561
                                 PAGE TOTAL      102,294,180
PAGE:    49     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

PSS WORLD MED INC               COM    69366A100      50,898      5,695             5,695             03                      5,695
PACCAR INC                      COM    693718108     252,381      4,961     4,961                                             4,961
PACIFIC AMERN INCOME SHS INC    COM    693796104      15,375      1,200     1,200                                             1,200
PACIFIC CENTY FINL CORP         COM    694058108     255,462     12,500            12,500             03                     12,500
PACIFIC DUNLOP LTD              ADR    694185208       1,388        220       220                                               220
PACIFIC DUNLOP LTD              ADR    694185208       6,816      1,080             1,080             03                      1,080
PACIFIC GULF PPTYS INC          COM    694396102     570,913     28,635    28,635                                            28,635
PACIFIC SUNWEAR CALIF INC       COM    694873100     123,329      4,400     4,400                                             4,400
PACIFIC SUNWEAR CALIF INC       COM    694873100       1,878         67                67             03                         67
PACIFICARE HEALTH SYS DEL       COM    695112102      56,225      1,300     1,300                                             1,300
PACIFICARE HEALTH SYS DEL       COM    695112102       1,297         30                30             03                         30
PACIFICORP                      COM    695114108     121,795      6,052     6,052                                             6,052
PAINE WEBBER GROUP INC          COM    695629105      54,375      1,500     1,500                                             1,500
PAIRGAIN TECHNOLOGIES INC       COM    695934109     237,150     18,600                               02
PALL CORP                       COM    696429307      51,962      2,241     2,241                                             2,241
PALL CORP                       COM    696429307       6,491        280               280             03                        280
PANAMSAT CORP NEW               COM    697933109      23,589        653       653                                               653
PARACELCUS HEALTHCARE CORP      COM    698891108         938      1,000     1,000                                             1,000
PARAMETRIC TECHNOLOGY CORP      COM    699173100     143,586     10,636    10,636                                            10,636
PARAMETRIC TECHNOLOGY CORP      COM    699173100   1,012,500     75,000                               01
PARAMETRIC TECHNOLOGY CORP      COM    699173100   1,082,700     80,200                               07
PARK BANCORP INC                COM    700164106       4,650        300               300             03                        300
PARK ELECTROCHEMICAL CORP       COM    700416209   1,308,385     39,799    39,799                                            39,799
PARK OHIO HLDGS CORP            COM    700666100       5,612        449       449                                               449
PARK PL ENTMT CORP              COM    700690100     557,500     44,600    44,600                                            44,600
PARK PL ENTMT CORP              COM    700690100     168,750     13,500                               02
PARK PL ENTMT CORP              COM    700690100   3,994,088    319,527                               04
PARKER DRILLING CO              COM    701081101      13,314      3,000     3,000                                             3,000
PARKER HANNIFIN CORP            COM    701094104   1,635,439     36,499    36,499                                            36,499
PARKER HANNIFIN CORP            COM    701094104      81,860      1,827             1,827             03                      1,827
PATINA OIL & GAS CORP           WT EXP 703224113       3,771      3,017     3,017                                             3,017
PATRICK INDS INC                COM    703343103       4,060        320       320                                               320
PATRIOT NATL BK CONN            COM    70336H100       1,006        100       100                                               100
PATTERSON DENTAL CO             COM    703412106     164,003      3,309     3,309                                             3,309
PATTERSON ENERGY INC            COM    703414102     106,316      7,000     7,000                                             7,000
PAXSON COMMUNICATIONS CORP      COM    704231109      69,825      5,700     5,700                                             5,700
PAYCHEX INC                     COM    704326107     125,193      3,669     3,669                                             3,669
PAYCHEX INC                     COM    704326107      12,760        374               374             03                        374
PAYLESS SHOESOURCE INC          COM    704379106       5,050        100       100                                               100
PEAPOD INC                      COM    704718105       7,657        761       761                                               761
PEC ISRAEL ECONOMIC CORP        COM    705098101      69,626      2,000     2,000                                             2,000
PEDIATRIX MED GROUP             COM    705324101   1,031,585     74,350            74,350             03                     74,350
PEEKSKILL FINL CORP             COM    705385102      11,570        890               890             03                        890
PEGASUS COMMUNICATIONS CORP     CL A   705904100   1,502,798     33,303                               04
PEGASUS SYSTEMS INC             COM    705906105      37,500      1,000     1,000                                             1,000
PENN NATL GAMING INC            COM    707569109      28,500      3,000     3,000                                             3,000
PENN TRAFFIC CO NEW             COM NE 707832200     548,895     64,576    64,576                                            64,576
PENN TRAFFIC CO NEW             COM NE 707832200         297         35                35             03                         35
PENN TRAFFIC CO NEW             COM NE 707832200     423,130     49,780            49,780             06                     49,780
PENNACO ENERGY INC              COM    708046107   1,218,800    100,000                               01
PENNACO ENERGY INC              COM    708046107     165,750     13,600                               02
PENNEY J C INC                  COM    708160106     422,447     12,290    12,290                                            12,290
                                 PAGE TOTAL       18,411,169
PAGE:    50     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

PENNZOIL-QUAKER STATE COMPANY   COM    709323109      66,114      5,237     5,237                                             5,237
PENTAIR INC                     COM    709631105       8,424        210               210             03                        210
PEOPLES BK BRIDGEPORT CONN      COM    710198102      31,893      1,350             1,350             03                      1,350
PEOPLES HERITAGE FINL GROUP     COM    711147108      23,823      1,433     1,433                                             1,433
PEOPLES HERITAGE FINL GROUP     COM    711147108     448,875     27,000                               08
PEOPLESOFT INC                  COM    712713106     119,935      7,081     7,081                                             7,081
PEOPLESOFT INC                  COM    712713106     230,350     13,600                               02
PEOPLESOFT INC                  COM    712713106   1,167,028     68,900                               07
PEPSI BOTTLING GROUP INC        COM    713409100     110,776      6,493     6,493                                             6,493
PEPSI-COLA PUERTO RICO          CL B   713434108         336         56        56                                                56
PEPSICO INC                     COM    713448108  22,712,226    750,842   750,842                                           750,842
PEPSICO INC                     COM    713448108   1,920,905     63,506            63,506             03                     63,506
PER SE TECHNOLOGIES INC         COM    713569200   2,062,800    600,000                               01
PEREGRINE SYSTEMS INC           COM    71366Q101     232,274      5,700     5,700                                             5,700
PEREGRINE SYSTEMS INC           COM    71366Q101   4,482,500    110,000                               01
P T TELEKOMUNIKASI INDONESIA    SPONSO 715684106     277,520     40,000                               01
PETROCORP INC                   COM    71645N101   1,501,954    228,852   228,852                                           228,852
PETROGLYPH ENERGY INC           COM    71649C101       4,375      1,250     1,250                                             1,250
PETROLEUM & RES CORP            COM    716549100      18,393        544       544                                               544
PETROLEUM GEO-SVCS A/S          SPONSO 716597109      19,063      1,000     1,000                                             1,000
PETSMART INC                    SB NT  716768AB2       1,142    165,000   165,000                                           165,000
PETSMART INC                    COM    716768106      27,333      7,350     7,350                                             7,350
PHARMACYCLICS INC               COM    716933106   1,226,250     30,000    30,000                                            30,000
PHARMACIA & UPJOHN INC          COM    716941109   3,675,218     74,061    74,061                                            74,061
PHARMACIA & UPJOHN INC          COM    716941109   1,102,104     22,212            22,212             03                     22,212
PHARMAPRINT INC                 COM    716950100     102,182     21,232    21,232                                            21,232
PFIZER INC                      COM    717081103  10,995,965    305,979   305,979                                           305,979
PFIZER INC                      COM    717081103   3,816,813    106,212           106,212             03                    106,212
PHARMACEUTICAL PROD DEV INC     COM    717124101         542         40                40             03                         40
PHARMOS CORP                    COM NE 717139208       5,208      4,066     4,066                                             4,066
PHELPS DODGE CORP               COM    717265102       7,543        137       137                                               137
PHILIP MORRIS COS INC           COM    718154107   7,534,865    220,400   220,400                                           220,400
PHILIP MORRIS COS INC           COM    718154107   1,619,747     47,382            47,382             03                     47,382
PHILIPS INTL RLTY CORP          COM    718333107      36,225      2,300     2,300                                             2,300
PHILLIPS PETE CO                COM    718507106     487,349      9,997     9,997                                             9,997
PHOENIX INTL LIFE SCIENCES INC  COM    718919103         893        157       157                                               157
PHOENIX INVT PARTNERS LTD       SUB DB 719085AA0       1,142    105,000   105,000                                           105,000
PHOENIX TECHNOLOGY LTD          COM    719153108       6,063        542       542                                               542
PHOSPHATE RESOURCE PARTNERS     DEPOSI 719217101     176,500     17,650    17,650                                            17,650
PHYCOR INC                      COM    71940F100      54,105     12,367    12,367                                            12,367
PHOTRONICS INC                  COM    719405102     920,819     41,039    41,039                                            41,039
PICCADILLY CAFETERIAS INC       COM    719567109       3,281        500       500                                               500
PICTURETEL CORP                 COM NE 720035302      22,652      5,330     5,330                                             5,330
PIEDMONT NAT GAS INC            COM    720186105      15,156        500       500                                               500
PILLOWTEX CORP                  COM    721501104       7,500      1,000     1,000                                             1,000
PILOT NETWORK SVCS INC          COM    721596104      27,750      3,000     3,000                                             3,000
PIONEER NAT RES CO              COM    723787107         732         69        69                                                69
PITNEY BOWES INC                COM    724479100      38,324        629       629                                               629
PITNEY BOWES INC                COM    724479100   2,010,931     33,002            33,002             03                     33,002
PITTSBURGH & W VA RR            SH BEN 724819107       6,688      1,000     1,000                                             1,000
PIVOTAL CORP                    COM    72581R106       3,587        200       200                                               200
PIXAR                           COM    725811103      77,131      2,050     2,050                                             2,050
                                 PAGE TOTAL       81,979,693
PAGE:    51     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

PIXTECH INC                     COM    72583K109     121,875     75,000    75,000                                            75,000
PIZZA INN INC NEW               COM    725848105          18          5         5                                                 5
PJ AMER INC                     COM    72585Q104      44,839      2,150             2,150             03                      2,150
PLACER DOME INC                 COM    725906101      40,668      2,734     2,734                                             2,734
PLANTRONICS INC NEW             COM    727493108         995         20                20             03                         20
PLAYBOY ENTERPRISES INC         CL A   728117201          66          3         3                                                 3
PLEXUS CORP                     COM    729132100     204,023      6,662     6,662                                             6,662
PLUM CREEK TIMBER CO INC        COM    729251108     134,911      4,300     4,300                                             4,300
POGO PRODUCING CO               COM    730448107   1,751,299     84,400    84,400                                            84,400
POHANG IRON & STL LTD           SPONSO 730450103     263,029      8,400     8,400                                             8,400
POLAROID CORP                   COM    731095105      57,200      2,200     2,200                                             2,200
POLAROID CORP                   COM    731095105       2,600        100               100             03                        100
POLICY MGMT SYS CORP            COM    731108106   1,019,965     32,256    32,256                                            32,256
POLICY MGMT SYS CORP            COM    731108106      37,466      1,185             1,185             03                      1,185
POLO RALPH LAUREN CORP          CL A   731572103       7,175        400       400                                               400
POLYMEDICA CORP                 COM    731738100      38,037      1,636     1,636                                             1,636
POLYPHASE CORP                  COM    731791109       2,064      3,000     3,000                                             3,000
POLYVISION CORP                 COM    731805107      12,010      5,057     5,057                                             5,057
POOL ENERGY SVCS CO             COM    732788104       2,019         82        82                                                82
PORTUGAL TELECOM S A            SPONSO 737273102      10,740        260               260             03                        260
POST PPTYS INC                  COM    737464107      11,793        300       300                                               300
POTASH CORP SASK INC            COM    73755L107      51,625      1,000     1,000                                             1,000
POTOMAC ELEC PWR CO             COM    737679100   1,462,382     57,495    57,495                                            57,495
POTOMAC ELEC PWR CO             COM    737679100      56,840      2,235             2,235             03                      2,235
POWERGEN PLC                    SPON A 738905405   1,086,007     26,092            26,092             03                     26,092
POWER INTEGRATIONS INC          COM    739276103       8,310        120               120             03                        120
POWERTEL INC                    COM    73936C109   2,034,210     36,945    36,945                                            36,945
POWERWAVE TECHNOLOGIES INC      COM    739363109     289,313      6,000                               02
PRAXAIR INC                     COM    74005P104  18,292,774    397,669   397,669                                           397,669
PRAXAIR INC                     COM    74005P104     965,954     20,999            20,999             03                     20,999
PRE PAID LEGAL SVCS INC         COM    740065107     448,873     11,400    11,400                                            11,400
PRECISION CASTPARTS CORP        COM    740189105      49,562      1,625     1,625                                             1,625
PRECISION DRILLING CORP         COM    74022D100      64,926      2,800     2,800                                             2,800
PRECISION DRILLING CORP         COM    74022D100     602,876     26,000                               02
PRECISION RESPONSE CORP         COM    740314109     205,800     16,800                               02
PREMARK INTL INC                COM    740459102      14,897        295               295             03                        295
PREMDOR INC                     COM    74046P105      10,374      1,000     1,000                                             1,000
PREMIER FARNELL PLC             SP ADR 74050U206      19,375      1,000     1,000                                             1,000
PREMIER PKS INC                 COM NE 740540208      55,767      1,923             1,923             03                      1,923
PREMIERE TECHNOLOGIES INC       COM    74058F102       2,374        400       400                                               400
PRESIDENTIAL LIFE CORP          COM    740884101       9,024        527       527                                               527
PRESIDENTIAL RLTY CORP NEW      CL B   741004204         954        144       144                                               144
PRESSTEK INC                    COM    741113104       1,450        200       200                                               200
PREVIEW TRAVEL INC              COM    74137R101      16,250      1,000     1,000                                             1,000
PRICE T ROWE & ASSOCIATES       COM    741477103      36,079      1,315     1,315                                             1,315
PRICELINE COM INC               COM    741503106      96,750      1,500     1,500                                             1,500
PRICELINE COM INC               COM    741503106   2,045,682     31,716                               04
PRIMA ENERGY CORP               COM PA 741901201      34,219      1,500     1,500                                             1,500
PRIMARK CORP                    COM    741903108     231,764      8,150     8,150                                             8,150
PRIMARK CORP                    COM    741903108     102,939      3,620             3,620             03                      3,620
PRIMUS TELECOMMUNICATIONS GRP   COM    741929103      43,869      2,089     2,089                                             2,089
PRIMUS TELECOMMUNICATIONS GRP   COM    741929103     287,700     13,700                               02
                                 PAGE TOTAL       35,627,416
PAGE:    52     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

PRIDE INTL INC                  COM    741932107     568,919     40,100                               02
PRISON RLTY TR                  COM    74264N105     150,928     14,040    14,040                                            14,040
PROCTER & GAMBLE CO             COM    742718109   6,253,574     66,706    66,706                                            66,706
PROCTER & GAMBLE CO             COM    742718109   7,254,166     77,382            77,382             03                     77,382
PRODIGY COMMUNICATIONS CORP     COM    74283P107      19,525      1,100     1,100                                             1,100
PROFIT RECOVERY GROUP INTL INC  COM    743168106     784,281     17,575    17,575                                            17,575
PROGENICS PHARMACEUTICALS INC   COM    743187106     363,499     18,641    18,641                                            18,641
PROGRESS SOFTWARE CORP          COM    743312100       2,196         70        70                                                70
PROGRESSIVE CORP OHIO           COM    743315103      20,828        255       255                                               255
PROLOGIS TR                     SH BEN 743410102      65,212      3,455     3,455                                             3,455
PROMUS HOTEL CORP NEW           COM    74342P106     176,164      5,410     5,410                                             5,410
PROTECTIVE LIFE CORP            COM    743674103      96,338      3,322     3,322                                             3,322
PROTECTIVE LIFE CORP            COM    743674103       6,380        220               220             03                        220
PROTEIN DESIGN LABS INC         COM    74369L103  12,057,780    333,782   333,782                                           333,782
PROVANT INC                     COM    743724106     163,645     10,150            10,150             03                     10,150
PROVIDENCE ENERGY CORP          COM    743743106      27,750      1,000     1,000                                             1,000
PROVIDENT FINL HLDGS INC        COM    743868101     184,861     10,640            10,640             03                     10,640
PROVIDIAN FINL CORP             COM    74406A102   1,976,239     24,957    24,957                                            24,957
PROVIDIAN FINL CORP             COM    74406A102     725,492      9,163             9,163             03                      9,163
PROVIDIAN FINL CORP             COM    74406A102           0        700                               08
PUBCO CORP                      COM NE 744378605       1,237        150       150                                               150
PUBLIC SVC ENTERPRISE GROUP     COM    744573106     706,059     18,280    18,280                                            18,280
PUBLIC STORAGE INC              COM    74460D109      71,128      2,824     2,824                                             2,824
PUBLICARD INC                   COM    744627100      21,250      2,500     2,500                                             2,500
PUGET SOUND ENERGY INC          COM    745332106      58,898      2,625     2,625                                             2,625
PURE WORLD INC                  COM    74622C106       3,843      1,430     1,430                                             1,430
PUTNAM CONV OPPRTNTY & INCOME   SH BEN 746479104     101,064      5,150     5,150                                             5,150
PUTNAM HIGH YIELD MUN TR        SH BEN 746781103       7,875      1,000     1,000                                             1,000
PUTNAM INVT GRADE MUN TR II     SH BEN 746806108     157,503     14,000    14,000                                            14,000
PUTNAM MANAGED MUN INCOM TR     COM    746823103      10,063      1,000     1,000                                             1,000
PUTNAM PREMIER INCOME TR        SH BEN 746853100      15,812      2,300     2,300                                             2,300
PUTNAM MASTER INTER INCOME TR   SH BEN 746909100      12,876      2,000     2,000                                             2,000
QLT PHOTOTHERAPEUTICS INC       COM    746927102     250,484      3,277     3,277                                             3,277
QLOGIC CORP                     COM    747277101     163,144      2,335     2,335                                             2,335
QUADRAMED CORP                  COM    74730W101     777,750    103,700   103,700                                           103,700
QUAKER OATS CO                  COM    747402105     261,421      4,225     4,225                                             4,225
QUALCOMM INC                    COM    747525103   8,535,603     45,118    45,118                                            45,118
QUALCOMM INC                    COM    747525103  32,504,390    171,810                               04
QUALITY SYS INC                 COM    747582104       1,106        177       177                                               177
QUANEX CORP                     COM    747620102       2,511         98        98                                                98
QUANTUM CORP                    COM DS 747906204   1,175,581     83,607    83,607                                            83,607
QUANTUM CORP                    COM DS 747906204      18,133      1,290             1,290             03                      1,290
QUANTUM CORP                    COM HD 747906303      11,183      1,504     1,504                                             1,504
QUANTUM CORP                    COM HD 747906303       3,884        523               523             03                        523
QUEENS CNTY BANCORP INC         COM    748242104      55,250      2,000                               08
QUEPASA COM INC                 COM    74833W107      39,064      5,000     5,000                                             5,000
QUEST DIAGNOSTICS INC           COM    74834L100      24,882        957       957                                               957
QUEST SOFTWARE INC              COM    74834T103      32,550        700       700                                               700
QUESTAR CORP                    COM    748356102      55,825      3,080     3,080                                             3,080
QUIKSILVER INC                  COM    74838C106       9,125        500       500                                               500
QUIDEL CORP                     COM    74838J101      10,937      2,500     2,500                                             2,500
QUINTILES TRANSNATIONAL CORP    COM    748767100      28,546      1,500     1,500                                             1,500
                                 PAGE TOTAL       88,593,422
PAGE:    53     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

QUINTILES TRANSNATIONAL CORP    COM    748767100       2,948        155               155             03                        155
QUOKKA SPORTS INC               COM    749077103       4,856        700       700                                               700
QUORUM HEALTH GROUP INC         COM    749084109       7,031      1,000     1,000                                             1,000
R & B FALCON CORP               COM    74912E101     117,595      8,960     8,960                                             8,960
QWEST COMMUNICATIONS INTL INC   COM    749121109   1,426,603     48,258    48,258                                            48,258
QWEST COMMUNICATIONS INTL INC   COM    749121109   1,694,058     57,308            57,308             03                     57,308
RCN CORP                        COM    749361101     250,100      6,100     6,100                                             6,100
R H DONNELLEY CORP              COM NE 74955W307       3,947        212       212                                               212
R G S ENERGY GROUP INC          COM    74956K104     115,150      4,700     4,700                                             4,700
RMI NET INC                     COM    74961K107       8,292      1,240     1,240                                             1,240
RSA SEC INC                     COM    749719100     260,313      9,800                               02
RTW INC                         COM    74974R107     124,470     21,650            21,650             03                     21,650
RWD TECHNOLOGIES INC            COM    74975B101     108,199     13,740    13,740                                            13,740
RWD TECHNOLOGIES INC            COM    74975B101      63,745      8,095             8,095             03                      8,095
RF MICRODEVICES INC             COM    749941100     896,974     19,606    19,606                                            19,606
RF MICRODEVICES INC             COM    749941100     311,100      6,800                               02
RACING CHAMPIONS CORP           COM    750069106         847        149       149                                               149
RACING CHAMPIONS CORP           WT EXP 750069114       1,565      5,000     5,000                                             5,000
RADIAN GROUP INC                COM    750236101      47,231      1,100     1,100                                             1,100
RAILAMERICA INC                 COM    750753105       4,937        500       500                                               500
RAMBUS INC DEL                  COM    750917106      59,621        900       900                                               900
RALCORP HLDGS INC NEW           COM    751028101         583         33        33                                                33
RALSTON PURINA CO               COM RA 751277302     962,387     34,603    34,603                                            34,603
RALSTON PURINA CO               COM RA 751277302       3,337        120               120             03                        120
RAMCO-GERSHENSON PPTYS TR       COM SH 751452202     525,798     35,199    35,199                                            35,199
RARE MEDIUM GROUP INC           COM    75382N109      21,126      2,000     2,000                                             2,000
RAWLINGS SPORTING GOODS INC     COM    754459105      18,626      2,000     2,000                                             2,000
RAWLINGS SPORTING GOODS INC     COM    754459105     354,806     38,100                               02
RAYOVAC CORP                    COM    755081106      21,625      1,000     1,000                                             1,000
RAYTHEON CO                     CL A   755111309   2,006,918     41,380    41,380                                            41,380
RAYTHEON CO                     CL A   755111309         242          5                 5             03                          5
RAYTHEON CO                     CL B   755111408   2,778,840     55,999    55,999                                            55,999
RAYTHEON CO                     CL B   755111408   1,120,904     22,589            22,589             03                     22,589
READ-RITE CORP                  COM    755246105      14,539      3,300     3,300                                             3,300
READERS DIGEST ASSN INC         CL A N 755267101     932,343     31,875    31,875                                            31,875
READERS DIGEST ASSN INC         CL A N 755267101      12,429        425               425             03                        425
REAL GOODS TRADING CORP         COM    756012100       5,636      1,100     1,100                                             1,100
REALNETWORKS INC                COM    75605L104     397,338      3,800     3,800                                             3,800
REALTY INCOME CORP              COM    756109104      40,930      1,770     1,770                                             1,770
REALTY INCOME CORP              COM    756109104      36,304      1,570             1,570             03                      1,570
RECKSON SVC INDS INC            COM    75621J109       5,060        320       320                                               320
RECKSON ASSOCS RLTY CORP        COM    75621K106     209,170     10,050    10,050                                            10,050
RECKSON ASSOCS RLTY CORP        CL B   75621K304     264,926     12,111    12,111                                            12,111
RED HAT INC                     COM    756577102      86,400        900       900                                               900
REDBACK NETWORKS INC            COM    757209101      10,800        100       100                                               100
REDBACK NETWORKS INC            COM    757209101     885,600      8,200                               07
REEBOK INTL LTD                 COM    758110100       5,877        550       550                                               550
REEBOK INTL LTD                 COM    758110100     284,400     26,615            26,615             03                     26,615
REGIS CORP MINN                 COM    758932107      27,046      1,405     1,405                                             1,405
REGIONS FINL CORP               COM    758940100       5,100        170       170                                               170
REINSURANCE GROUP AMER INC      COM    759351109      77,204      3,006     3,006                                             3,006
RELIANCE BANCORP INC            COM    759451107           0      3,100                               08
                                 PAGE TOTAL       17,002,307
PAGE:    54     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

RELIANCE GROUP HOLDINGS INC     COM    759464100      71,006     16,002    16,002                                            16,002
RELIANT ENERGY INC              COM    75952J108   3,193,919    118,022   118,022                                           118,022
RELIASTAR FINL CORP             COM    75952U103   1,028,217     30,927    30,927                                            30,927
RELIASTAR FINL CORP             COM    75952U103     160,589      4,830             4,830             03                      4,830
REMEC INC                       COM    759543101     304,047     22,113    22,113                                            22,113
REMEDY CORP                     COM    759548100     127,687      4,500     4,500                                             4,500
RENT A CTR INC NEW              COM    76009N100   1,109,557     59,575            59,575             03                     59,575
RENTRAK CORP                    COM    760174102       4,813      1,000     1,000                                             1,000
REPSOL S A                      SPONSO 76026T205      16,707        838       838                                               838
REPUBLIC BANCORP INC            COM    760282103      57,815      5,000     5,000                                             5,000
REPUBLIC N Y CORP               COM    760719104     566,640      9,223     9,223                                             9,223
REPUBLIC SVCS INC               COM    760759100   2,416,425    222,200   222,200                                           222,200
REPUBLIC SVCS INC               COM    760759100       1,250        115               115             03                        115
RES-CARE INC                    COM    760943100     117,300      6,900             6,900             03                      6,900
RESEARCH IN MOTION LTD          COM    760975102     633,938     20,491    20,491                                            20,491
RESPIRONICS INC                 COM    761230101       5,172        627       627                                               627
REUTERS GROUP PLC               SPONSO 76132M102       8,953        130       130                                               130
REXALL SUNDOWN INC              COM    761648104      24,626      2,000     2,000                                             2,000
REYNOLDS & REYNOLDS CO          CL A   761695105     934,130     45,849            45,849             03                     45,849
REYNOLDS METALS CO              COM    761763101   1,628,478     26,973    26,973                                            26,973
REYNOLDS METALS CO              COM    761763101     911,663     15,100                               02
REYNOLDS R J TOB HLDGS INC      COM    76182K105     242,028      8,964     8,964                                             8,964
RHONE POULENC S A               SPON A 762426609      33,107        646       646                                               646
RHONE POULENC S A               SPON A 762426609   1,217,652     23,760            23,760             03                     23,760
RHYTHMS NETCONNECTIONS INC      COM    762430205       3,622        105       105                                               105
RHYTHMS NETCONNECTIONS INC      COM    762430205     231,150      6,700                               02
RIGHTCHOICE MANAGED CARE INC    CL A   76657K101      28,520      2,700     2,700                                             2,700
RIO TINTO PLC                   SPONSO 767204100     355,000      5,000     5,000                                             5,000
RIO TINTO PLC                   SPONSO 767204100     204,125      2,875             2,875             03                      2,875
RITE AID CORP                   COM    767754104      41,439      3,000     3,000                                             3,000
ROBERT HALF INTL INC            COM    770323103      91,200      3,800     3,800                                             3,800
ROBERT HALF INTL INC            COM    770323103      53,448      2,227             2,227             03                      2,227
ROCKWELL INTL CORP NEW          COM    773903109     211,021      4,019     4,019                                             4,019
ROCKWELL INTL CORP NEW          COM    773903109      15,748        300               300             03                        300
ROGERS CANTEL MOBILE COMMN      CL B R 775102205      71,064      3,000     3,000                                             3,000
ROGERS CANTEL MOBILE COMMN      CL B R 775102205     223,283      9,426                               04
ROGERS COMMUNICATIONS INC       CL B   775109200     369,885     22,000    22,000                                            22,000
ROGERS COMMUNICATIONS INC       CL B   775109200         840         50                50             03                         50
ROHM & HAAS CO                  COM    775371107      12,788        354       354                                               354
ROSLYN BANCORP INC              COM    778162107      58,987      3,300     3,300                                             3,300
ROSS STORES INC                 COM    778296103      19,883        988       988                                               988
ROSS STORES INC                 COM    778296103       5,835        290               290             03                        290
ROSTELECOM OPEN JT STK LNG DST  SPONSO 778529107       9,250      2,000     2,000                                             2,000
ROWAN COS INC                   COM    779382100      59,312      3,650     3,650                                             3,650
ROWECOM INC                     COM    77957X108      33,494      1,207     1,207                                             1,207
ROYAL GROUP TECHNOLOGIES LTD    SUB VT 779915107         643         30        30                                                30
ROYAL BK SCOTLAND GROUP PLC     SP ADR 780097408       5,025        200       200                                               200
ROYAL BK SCOTLAND GROUP PLC     SP ADR 780097408      16,582        660               660             03                        660
ROYAL BK SCOTLAND GROUP PLC     SP ADR 780097705      24,875      1,000     1,000                                             1,000
ROYAL BK SCOTLAND GROUP PLC     SP ADR 780097861      49,124      2,000     2,000                                             2,000
ROYAL BK SCOTLAND GROUP PLC     SPON A 780097879      17,250        800       800                                               800
ROYAL BK SCOTLAND GROUP PLC     SPON A 780097887      21,813      1,000     1,000                                             1,000
                                 PAGE TOTAL       18,654,314
PAGE:    55     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

ROYAL DUTCH PETE CO             NY REG 780257804   4,842,865     81,997    81,997                                            81,997
ROYAL DUTCH PETE CO             NY REG 780257804   1,455,915     24,652            24,652             03                     24,652
ROYAL PTT NEDERLAND N V         SPONSO 780641205     100,124      2,250     2,250                                             2,250
ROYAL PTT NEDERLAND N V         SPONSO 780641205   5,016,367    112,732           112,732             03                    112,732
RUBIOS RESTAURANTS INC          COM    78116B102     116,438     13,500                               02
RURAL / METRO CORP              COM    781748108      13,250      2,000     2,000                                             2,000
RYDER SYS INC                   COM    783549108       6,865        337       337                                               337
SBC COMMUNICATIONS INC          COM    78387G103  15,392,225    301,440   301,440                                           301,440
SBC COMMUNICATIONS INC          COM    78387G103   3,873,149     75,856            75,856             03                     75,856
SBA COMMUNICATIONS CORP         COM    78388J106       1,087        100       100                                               100
SCI SYS INC                     COM    783890106   1,444,934     32,520    32,520                                            32,520
SCI SYS INC                     COM    783890106     278,283      6,263             6,263             03                      6,263
SCPIE HLDGS INC                 COM    78402P104      15,750        500       500                                               500
SCP POOL CORP                   COM    784028102     383,015     16,299            16,299             03                     16,299
SDL INC                         COM    784076101   1,031,286     13,514    13,514                                            13,514
SFX ENTMT INC                   CL A   784178105      10,065        330       330                                               330
SFX ENTMT INC                   CL A   784178105     759,501     24,800                               02
SFX ENTMT INC                   CL A   784178105   5,103,672    166,650                               04
SLM HLDG CORP                   COM    78442A109   6,026,536    140,152   140,152                                           140,152
SLM HLDG CORP                   COM    78442A109   1,397,930     32,510            32,510             03                     32,510
SPDR TR                         UNIT S 78462F103   1,354,810     10,551    10,551                                            10,551
SPX CORP                        COM    784635104      18,150        200       200                                               200
SPX CORP                        COM    784635104     107,982      1,190             1,190             03                      1,190
STM WIRELESS INC                CL A   784776106      80,242     25,680    25,680                                            25,680
S3 INC                          COM    784849101      23,232      2,226     2,226                                             2,226
S3 INC                          COM    784849101     281,813     27,000                               02
SPR INC                         COM    784922106      23,159      6,500     6,500                                             6,500
SPAR GROUP INC                  COM    784933103     131,250     35,000    35,000                                            35,000
SABRE HLDGS CORP                CL A   785905100   4,890,175    113,725   113,725                                           113,725
SAFECO CORP                     COM    786429100         700         25        25                                                25
SAFECO CORP                     COM    786429100     887,740     31,705            31,705             03                     31,705
SAFEGUARD SCIENTIFICS INC       COM    786449108   1,366,120     20,090    20,090                                            20,090
SAFEGUARD SCIENTIFICS INC       COM    786449108      65,280        960               960             03                        960
SAFEGUARD SCIENTIFICS INC       COM    786449108     821,168     12,076                               07
SAFESKIN CORP                   COM    786454108      82,189     10,000    10,000                                            10,000
SAFETY-KLEEN CORP NEW           COM NE 78648R203     161,760     13,410    13,410                                            13,410
SAFEWAY INC                     COM NE 786514208   8,347,822    219,336   219,336                                           219,336
SAFEWAY INC                     COM NE 786514208   2,026,151     53,239            53,239             03                     53,239
ST JOE CO                       COM    790148100      69,000      3,200     3,200                                             3,200
ST JUDE MED INC                 COM    790849103     255,521      8,112     8,112                                             8,112
ST PAUL BANCORP INC             COM    792848103      17,156        750       750                                               750
ST PAUL BANCORP INC             COM    792848103     428,449     18,730                               08
ST PAUL COS INC                 COM    792860108     210,732      7,663     7,663                                             7,663
ST PAUL COS INC                 COM    792860108   1,493,837     54,323            54,323             03                     54,323
SAKS INC                        COM    79377W108      44,954      2,960     2,960                                             2,960
SAKS INC                        COM    79377W108      61,077      4,022             4,022             03                      4,022
SALOMON BROS HIGH INCOME FD II  COM    794907105      34,500      3,000     3,000                                             3,000
SALOMON BROTHERS FD INC         COM    795477108       4,791        253       253                                               253
SALOMON BROS 2008 WORLDWIDE     COM    79548R103      27,564      3,000     3,000                                             3,000
SALOMON BROS WORLDWIDE INCOME   COM    79548T109       8,850        800       800                                               800
SALTON INC                      COM    795757103      60,376      2,000     2,000                                             2,000
SAN JUAN BASIN RTY TR           UNIT B 798241105     109,375     12,500    12,500                                            12,500
                                 PAGE TOTAL       75,985,292
PAGE:    56     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

SANCHEZ COMPUTER ASSOCS INC     COM    799702105       4,215        120       120                                               120
SAND TECHNOLOGY SYSTEM INTL     CL A N 799774302     147,250     38,000    38,000                                            38,000
SANDISK CORP                    COM    80004C101      14,144        217       217                                               217
SANDISK CORP                    COM    80004C101       4,889         75                75             03                         75
SANFILIPPO JOHN B & SON INC     COM    800422107       2,875      1,000     1,000                                             1,000
SANMINA CORP                    COM    800907107      16,324        211               211             03                        211
SANTA CRUZ OPERATION INC        COM    801833104      11,938      1,000     1,000                                             1,000
SANTA FE SNYDER CORP            COM    80218K105      65,430      7,270     7,270                                             7,270
SANYO ELEC LTD                  ADR 5  803038306     237,429     10,050    10,050                                            10,050
SAP AKTIENGESELLSCHAFT          SPONSO 803054204   1,287,275     34,100    34,100                                            34,100
SAPIENT CORP                    COM    803062108     725,725      7,700     7,700                                             7,700
SAPPI LTD                       SPON A 803069202     144,653      1,499     1,499                                             1,499
SARA LEE CORP                   COM    803111103   2,804,681    119,666   119,666                                           119,666
SARA LEE CORP                   COM    803111103     145,768      6,220             6,220             03                      6,220
SARATOGA BEVERAGE GROUP INC     CL A   803436104       3,369      1,100     1,100                                             1,100
SASOL LTD                       SPONSO 803866300     106,351     13,724            13,724             03                     13,724
SAUER INC                       COM    804137107       8,531        700       700                                               700
SAWTEK INC                      COM    805468105     356,720     10,192    10,192                                            10,192
SCANA CORP                      COM    805898103   1,318,242     54,500    54,500                                            54,500
SCANA CORP                      COM    805898103     108,613      4,491             4,491             03                      4,491
SCHEIN HENRY INC                COM    806407102     105,450      7,400     7,400                                             7,400
SCHEIN HENRY INC                COM    806407102      36,480      2,560             2,560             03                      2,560
SCHEIN PHARMACEUTICAL INC       COM    806416103       2,812        300       300                                               300
SCHERING PLOUGH CORP            COM    806605101   4,185,167     95,937    95,937                                            95,937
SCHERING PLOUGH CORP            COM    806605101   3,191,043     73,154            73,154             03                     73,154
SCHLUMBERGER LTD                COM    806857108   3,577,156     57,408    57,408                                            57,408
SCHLUMBERGER LTD                COM    806857108   1,182,797     18,985            18,985             03                     18,985
SCHWAB CHARLES CORP NEW         COM    808513105   1,713,642     50,870    50,870                                            50,870
SCHWAB CHARLES CORP NEW         COM    808513105   1,187,813     35,263            35,263             03                     35,263
SCHWEITZER-MAUDUIT INTL INC     COM    808541106       2,587        200       200                                               200
SCIENTIFIC ATLANTA INC          COM    808655104     835,383     16,855    16,855                                            16,855
SCIENTIFIC ATLANTA INC          COM    808655104     297,375      6,000                               02
SCIENTIFIC ATLANTA INC          COM    808655104   1,454,773     29,352                               07
SCIOS INC                       COM    808905103       1,844        500       500                                               500
SCITEX LTD                      ORD    809090103      90,741      8,296     8,296                                             8,296
SCOTT TECHNOLOGIES INC          COM    810022301      19,750      1,000     1,000                                             1,000
SCOTTS CO                       CL A   810186106       3,497        101       101                                               101
SCUDDER GLOBAL HIGH INCOME FD   COM    81115E101      17,415      3,572     3,572                                             3,572
SCUDDER NEW ASIA FD INC         COM    811183102      30,465      2,092     2,092                                             2,092
SEA CONTAINERS LTD              CL B   811371103      99,954      3,515     3,515                                             3,515
SEA CONTAINERS LTD              CL A   811371707     246,400      8,800     8,800                                             8,800
SEAGATE TECHNOLOGY              COM    811804103   1,166,808     37,874    37,874                                            37,874
SEAGATE TECHNOLOGY              COM    811804103      58,377      1,895             1,895             03                      1,895
SEAGATE TECHNOLOGY              COM    811804103   1,781,640     58,176                               07
SEAGRAM LTD                     COM    811850106   1,253,257     27,545    27,545                                            27,545
SEAGRAM LTD                     COM    811850106     304,850      6,700                               02
SEALED AIR CORP NEW             COM    81211K100     426,245      8,307     8,307                                             8,307
SEALED AIR CORP NEW             PFD CV 81211K209       2,385         47        47                                                47
SEARS ROEBUCK & CO              COM    812387108     206,911      6,595     6,595                                             6,595
SEARS ROEBUCK & CO              COM    812387108     279,518      8,910             8,910             03                      8,910
SECURITY CAP GROUP INC          CL B   81413P204      54,183      3,689     3,689                                             3,689
SECURITY FIRST TECHNOLOGIES CP  COM    814279105      38,875      1,000     1,000                                             1,000
                                 PAGE TOTAL       33,153,598
PAGE:    57     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

SELECT APPOINTMENTS HLDGS PLC   SPONSO 81617E203      16,875        500       500                                               500
SELIGMAN QUALITY MUN FD INC     COM    816343107      95,487      8,126     8,126                                             8,126
SELIGMAN SELECT MUN FD INC      COM    816344105      87,750      9,000     9,000                                             9,000
SEMTECH CORP                    COM    816850101      21,535        588       588                                               588
SEMPRA ENERGY                   COM    816851109      16,566        796       796                                               796
SENIOR HIGH INCOME PORTFOLIO    COM    81721E107     108,750     15,000    15,000                                            15,000
SEPRACOR INC                    COM    817315104      99,358      1,316     1,316                                             1,316
SEQUA CORPORATION               PFD CO 817320302      19,200        200       200                                               200
SERVICE CORP INTL               COM    817565104     157,486     14,910    14,910                                            14,910
SERVICE CORP INTL               COM    817565104     492,782     46,660            46,660             03                     46,660
SERVICEMASTER CO                COM    81760N109      12,159        757       757                                               757
SERVOTRONICS INC                COM    817732100         206         33        33                                                33
SEVEN SEAS PETE INC             COM    817917107     182,886     58,530    58,530                                            58,530
SHARED MED SYS CORP             COM    819486101     430,100      9,200     9,200                                             9,200
SHARED TECHNOLOGIES CELLULAR    COM    819487109       8,750      1,000     1,000                                             1,000
SHARPER IMAGE CORP              COM    820013100         825         75        75                                                75
SHAW INDS INC                   COM    820286102      14,287        900       900                                               900
SHAW INDS INC                   COM    820286102         762         48                48             03                         48
SHERWIN WILLIAMS CO             COM    824348106      52,344      2,500     2,500                                             2,500
SHOE CARNIVAL INC               COM    824889109       5,531        500       500                                               500
SHOPKO STORES INC               COM    824911101     350,900     12,100    12,100                                            12,100
SHOLODGE INC                    SBDB C 825034AA9       5,750     10,000    10,000                                            10,000
SHONEYS INC                     COM    825039100     240,056    123,900                               02
SHOP AT HOME INC                COM NE 825066301      91,296     10,144    10,144                                            10,144
SHOREWOOD PACKAGING CORP        COM    825229107     469,263     34,600                               02
SHURGARD STORAGE CTRS INC       COM    82567D104       3,069        124       124                                               124
SICOR INC                       COM    825846108       2,897        730       730                                               730
SIEBEL SYS INC                  COM    826170102      33,312        500       500                                               500
SIEBEL SYS INC                  COM    826170102      16,656        250               250             03                        250
SIERRA HEALTH SVCS INC          COM    826322109      53,661      5,300     5,300                                             5,300
SIERRA PAC RES NEW              COM    826428104     487,275     21,900    21,900                                            21,900
SIGCORP INC                     COM    826912107      20,400        800       800                                               800
SILICON GRAPHICS INC            COM    827056102   4,260,351    389,500   389,500                                           389,500
SILICON STORAGE TECHNOLOGY INC  COM    827057100         211         15        15                                                15
SILICON STORAGE TECHNOLOGY INC  COM    827057100     467,538     33,100                               02
SILICON VY BANCSHARES           COM    827064106      36,042      1,494     1,494                                             1,494
SIMIONE CENTRAL HOLDINGS INC    COM NE 828654202      24,300     16,900    16,900                                            16,900
SIMON PPTY GROUP INC NEW        COM    828806109      51,606      2,300     2,300                                             2,300
SIMON PPTY GROUP INC NEW        COM    828806109      62,190      2,772             2,772             03                      2,772
SINCLAIR BROADCAST GROUP INC    CL A   829226109       1,812        200       200                                               200
SIZZLER INTL INC                COM    830139101       8,500      4,000     4,000                                             4,000
SKYTEL COMMUNICATIONS INC       COM    83087Q104      31,132      1,700     1,700                                             1,700
SMART MODULAR TECH INC          COM    831690102     121,941      3,580     3,580                                             3,580
SMITHKLINE BEECHAM PLC          ADR RE 832378301   3,810,120     66,121    66,121                                            66,121
SMITHKLINE BEECHAM PLC          ADR RE 832378301   1,047,442     18,178            18,178             03                     18,178
SMURFIT-STONE CONTAINER CORP    COM    832727101     737,413     34,100                               02
SNYDER COMMUNICATIONS INC       COM    832914105     383,113     25,225    25,225                                            25,225
SNAP ON INC                     COM    833034101      38,512      1,185     1,185                                             1,185
SOFTWARE SPECTRUM INC           COM    833960107      54,250      3,500     3,500                                             3,500
SOFTNET SYS INC                 COM    833964109     421,684     17,300    17,300                                            17,300
SOFTNET SYS INC                 COM    833964109     402,188     16,500                               02
SOLECTRON CORP                  COM    834182107     533,851      7,434     7,434                                             7,434
                                 PAGE TOTAL       16,724,189
PAGE:    58     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

SOLECTRON CORP                  COM    834182107     318,821      4,440             4,440             03                      4,440
SOLECTRON CORP                  COM    834182107   2,130,404     29,666                               07
SOLUTIA INC                     COM    834376105   2,557,417    143,073   143,073                                           143,073
SOLUTIA INC                     COM    834376105     150,150      8,400                               02
SOLUTIA INC                     COM    834376105       3,950        221               221             03                        221
SONAT INC                       COM    835415100     141,285      3,560     3,560                                             3,560
SONAT INC                       COM    835415100     206,562      5,205             5,205             03                      5,205
SONIC CORP                      COM    835451105       9,131        300       300                                               300
SONIC SOLUTIONS                 COM    835460106      12,815      5,000     5,000                                             5,000
SONOCO PRODS CO                 COM    835495102      57,443      2,518     2,518                                             2,518
SONY CORP                       ADR NE 835699307     160,566      1,070     1,070                                             1,070
SONY CORP                       ADR NE 835699307   1,851,071     12,336            12,336             03                     12,336
SOTHEBYS HLDGS INC              CL A   835898107     196,173      7,600     7,600                                             7,600
SOTHEBYS HLDGS INC              CL A   835898107      77,174      2,990             2,990             03                      2,990
SOURCE INFORMATION MGMT CO      COM NE 836151209     145,129     10,229    10,229                                            10,229
SOURCE MEDIA INC                COM NE 836153304      16,389      1,821     1,821                                             1,821
SOUTHBANC SHS INC               COM    840901102          22          1         1                                                 1
SOUTHDOWN INC                   COM    841297104      33,009        617       617                                               617
SOUTHERN CO                     COM    842587107     254,925      9,900     9,900                                             9,900
SOUTHERN PERU COPPER CORP       COM    843611104       3,763        223       223                                               223
SOUTHERN UN CO NEW              COM    844030106      22,667      1,193     1,193                                             1,193
SOUTHTRUST CORP                 COM    844730101   1,529,037     42,626    42,626                                            42,626
SOUTHTRUST CORP                 COM    844730101      61,158      1,705             1,705             03                      1,705
SOUTHWEST AIRLS CO              COM    844741108     950,467     62,582    62,582                                            62,582
SOUTHWEST AIRLS CO              COM    844741108   1,746,095    114,974           114,974             03                    114,974
SOUTHWEST BANCORPORATION TEX    COM    84476R109      61,033      3,500     3,500                                             3,500
SOUTHWALL TECHNOLOGIES INC      COM    844909101       2,537        700       700                                               700
SOVEREIGN BANCORP INC           COM    845905108     246,910     27,151    27,151                                            27,151
SOVEREIGN BANCORP INC           COM    845905108      23,998      2,639             2,639             03                      2,639
SOVRAN SELF STORAGE INC         COM    84610H108     807,364     35,489    35,489                                            35,489
SOVRAN SELF STORAGE INC         COM    84610H108      65,746      2,890             2,890             03                      2,890
SPACEHAB INC                    COM    846243103     123,159     25,264    25,264                                            25,264
SPECTRALINK CORP                COM    847580107      18,252      4,000     4,000                                             4,000
SPECTRASITE HLDGS INC           COM    84760T100       3,752        316       316                                               316
SPECTRIAN CORP                  COM    847608106      30,450      1,400     1,400                                             1,400
SPEEDFAM-IPEC INC               COM    847705100      28,836      2,403     2,403                                             2,403
SPEEDWAY MOTORSPORTS INC        COM    847788106       4,331        100       100                                               100
SPIEKER PPTYS INC               COM    848497103     419,328     12,089    12,089                                            12,089
SPIEKER PPTYS INC               COM    848497103      20,812        600               600             03                        600
SPLASH TECHNOLOGY HLDGS INC     COM    848623104       6,125      1,000     1,000                                             1,000
SPLITROCK SVCS INC              COM    848636304      67,500      4,500     4,500                                             4,500
SPORTSLINE USA INC              COM    848934105   2,021,577     68,382                               04
SPRINT CORP                     COM FO 852061100  27,264,561    502,582   502,582                                           502,582
SPRINT CORP                     COM FO 852061100   2,441,250     45,000                               01
SPRINT CORP                     COM FO 852061100   1,955,268     36,045            36,045             03                     36,045
SPRINT CORP                     PCS CO 852061506   3,094,160     41,498    41,498                                            41,498
SPRINT CORP                     PCS CO 852061506      15,509        208               208             03                        208
SPRINT CORP                     PCS CO 852061506   3,918,509     52,553                               04
STAAR SURGICAL CO               COM PA 852312305     528,939     44,544    44,544                                            44,544
STAC SOFTWARE INC               COM NE 852323203       1,047        250       250                                               250
STAGE STORES INC                COM    85254C107      12,376      2,000     2,000                                             2,000
STAMPS COM INC                  COM    852857101      17,375        500       500                                               500
                                 PAGE TOTAL       55,913,069
PAGE:    59     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

STANDARD COML CORP              SB DBC 853258AA9         280     50,000    50,000                                            50,000
STANDARD PRODS CO               COM    853836104      87,730      2,480     2,480                                             2,480
STANFORD TELECOMMUNICATIONS     COM    854402104     316,846      9,960     9,960                                             9,960
STANLEY WKS                     COM    854616109     183,869      7,300     7,300                                             7,300
STAR TELECOMMUNICATIONS INC     COM    854923109       5,406      1,000     1,000                                             1,000
STAPLES INC                     COM    855030102     736,573     33,770    33,770                                            33,770
STAPLES INC                     COM    855030102     183,226      8,400                               02
STAPLES INC                     COM    855030102   2,504,421    114,824           114,824             03                    114,824
STAR CITY HLDGS LTD             SPONSO 85511N102       1,875        200       200                                               200
STAR GAS PARTNERS L P           UNIT L 85512C105     487,255     30,100    30,100                                            30,100
STARBUCKS CORP                  COM    855244109   3,816,092    153,999   153,999                                           153,999
STARBUCKS CORP                  COM    855244109   1,709,481     68,990            68,990             03                     68,990
STARMEDIA NETWORK INC           COM    855546107       7,343        200       200                                               200
STARTER CORP                    COM    855684106           0      1,000     1,000                                             1,000
STARWOOD HOTELS&RESORTS WRLDWD  PAIRED 85590A203       6,514        292       292                                               292
STARWOOD HOTELS&RESORTS WRLDWD  PAIRED 85590A203   4,157,380    186,321                               04
STATE FINL SVCS CORP            CL A   856855101         917         63                63             03                         63
STATE STR CORP                  COM    857477103   2,380,511     36,837    36,837                                            36,837
STATE STR CORP                  COM    857477103   1,523,717     23,580            23,580             03                     23,580
STATION CASINOS INC             COM    857689103       6,975        300       300                                               300
STERLING BANCSHARES INC         COM    858907108      88,073      7,700                               08
STERICYCLE INC                  COM    858912108     832,808     56,700    56,700                                            56,700
STERIS CORP                     COM    859152100      74,524      5,420     5,420                                             5,420
STERLING BANCORP                COM    859158107     239,775     13,900    13,900                                            13,900
STERLING COMM INC               COM    859205106     136,714      7,365     7,365                                             7,365
STERLING COMM INC               COM    859205106      84,669      4,562             4,562             03                      4,562
STERLING SOFTWARE INC           COM    859547101     115,200      5,760     5,760                                             5,760
STET HELLAS COMMUNICATIONS S A  ADR    859823106     334,087     17,700    17,700                                            17,700
STEWART ENTERPRISES INC         CL A   860370105      99,458     16,405    16,405                                            16,405
STEWART ENTERPRISES INC         CL A   860370105      45,646      7,530             7,530             03                      7,530
STILLWATER MNG CO               COM    86074Q102      63,156      2,350     2,350                                             2,350
STMICROELECTRONICS N V          COM    861012102      44,400        600       600                                               600
STMICROELECTRONICS N V          COM    861012102   2,178,341     29,412                               07
STOLT COMEX SEAWAY S A          SPON A 861567105      27,187      2,500     2,500                                             2,500
STONE CONTAINER CORP            PFD E  861589307      19,575        900       900                                               900
STONE ENERGY CORP               COM    861642106      30,525        600       600                                               600
STORAGE USA INC                 COM    861907103     564,015     20,510    20,510                                            20,510
STORAGE USA INC                 COM    861907103      19,800        720               720             03                        720
STORAGE TECHNOLOGY CORP         COM PA 862111200      42,542      2,210     2,210                                             2,210
STRATEGIC GLOBAL INCOME FD      COM    862719101      30,750      3,000     3,000                                             3,000
STRATTEC SEC CORP               COM    863111100       7,700        220       220                                               220
STRAYER ED INC                  COM    863236105     764,439     38,465            38,465             03                     38,465
STRIDE RITE CORP                COM    863314100       3,150        450       450                                               450
STRYKER CORP                    COM    863667101     153,373      3,000     3,000                                             3,000
STYLECLICK COM INC              COM    864221106       6,874      1,000     1,000                                             1,000
SUBURBAN LODGES AMER INC        COM    864444104       1,137        200       200                                               200
SUBURBAN PROPANE PARTNERS L P   UNIT L 864482104      57,050      2,800     2,800                                             2,800
SUIZA FOODS CORP                COM    865077101     132,000     13,600                               02
SULZER MEDICA                   SPONSO 865580104       3,800        200       200                                               200
SUMMIT BANCORP                  COM    866005101     440,136     13,569    13,569                                            13,569
SUMMIT BANCORP                  COM    866005101     561,726     17,318            17,318             03                     17,318
SUMMIT BANCORP                  COM    866005101     371,415     11,450                               08
                                 PAGE TOTAL       26,525,644
PAGE:    60     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

SUN BANCORP INC                 COM    86663B102      17,632      1,102     1,102                                             1,102
SUN COMMUNITIES INC             COM    866674104       7,604        230       230                                               230
SUN MICROSYSTEMS INC            COM    866810104  16,676,946    179,322   179,322                                           179,322
SUN MICROSYSTEMS INC            COM    866810104  10,134,303    108,971           108,971             03                    108,971
SUN MICROSYSTEMS INC            COM    866810104   4,551,606     48,942                               07
SUNBEAM CORP                    COM    867071102      20,842      3,665     3,665                                             3,665
SUNGARD DATA SYS INC            COM    867363103   1,736,475     66,000    66,000                                            66,000
SUNGARD DATA SYS INC            COM    867363103      84,441      3,210             3,210             03                      3,210
SUNOCO INC                      COM    86764P109     641,503     23,435    23,435                                            23,435
SUNQUEST INFORMATION SYS INC    COM    867654105     161,601     10,022    10,022                                            10,022
SUNRISE ASSISTED LIVING INC     COM    86768K106       3,320        125       125                                               125
SUNRISE TECHNOLOGIES INTL INC   COM    86769L103      11,797      2,500     2,500                                             2,500
SUNSHINE MNG & REFINING CO      COM NE 867833501           4          2         2                                                 2
SUNTRUST BKS INC                COM    867914103     269,639      4,101     4,101                                             4,101
SUNSTONE HOTEL INVS INC         COM    867933103     111,119     12,700    12,700                                            12,700
SUPERIOR CONSULTANT HLDGS CORP  COM    868146101     200,452     17,060    17,060                                            17,060
SUPERIOR CONSULTANT HLDGS CORP  COM    868146101      83,304      7,090             7,090             03                      7,090
SUPERIOR ENERGY SVCS INC        COM    868157108     229,144     36,300                               02
SUPERIOR TELECOM INC            COM    868365107   2,857,290    205,000                               01
SUPERTEX INC                    COM    868532102     179,824     11,025            11,025             03                     11,025
SUSQUEHANNA BANCSHARES INC PA   COM    869099101      73,845      4,281     4,281                                             4,281
SWIFT ENERGY CO                 SB NT  870738AB7         121     15,000    15,000                                            15,000
SWIFT ENERGY CO                 COM    870738101     527,215     41,763    41,763                                            41,763
SWIFT TRANSN CO                 COM    870756103       6,830        347               347             03                        347
SWISSCOM AG                     SPONSO 871013108      36,153      1,150     1,150                                             1,150
SWISSCOM AG                     SPONSO 871013108   4,927,160    156,740           156,740             03                    156,740
SYBRON INTL CORP                COM    87114F106      24,725        920               920             03                        920
SYKES ENTERPRISES INC           COM    871237103      37,032      1,500     1,500                                             1,500
SYKES ENTERPRISES INC           COM    871237103     167,875      6,800                               02
SYMANTEC CORP                   COM    871503108      79,128      2,200     2,200                                             2,200
SYMBOL TECHNOLOGIES INC         COM    871508107     503,742     14,982    14,982                                            14,982
SYMBOL TECHNOLOGIES INC         COM    871508107      22,358        665               665             03                        665
SYNAPTIC PHARMACEUTICAL CORP    COM    87156R109      56,250     11,250    11,250                                            11,250
SYNAPTIC PHARMACEUTICAL CORP    COM    87156R109     131,475     26,295                               05
SYNCOR INTL CORP DEL            COM    87157J106      56,250      1,500     1,500                                             1,500
SYNOPSYS INC                    COM    871607107   1,404,862     25,020    25,020                                            25,020
SYNOPSYS INC                    COM    871607107     740,825     13,193            13,193             03                     13,193
SYNOVUS FINL CORP               COM    87161C105     664,443     35,555    35,555                                            35,555
SYSCO CORP                      COM    871829107     195,998      5,590     5,590                                             5,590
SYSCO CORP                      COM    871829107     599,893     17,110            17,110             03                     17,110
T & W FINL CORP                 COM    87215N107     264,475     55,683    55,683                                            55,683
TBA ENTMT CORP                  COM    872173109       6,094      1,500     1,500                                             1,500
TCF FINL CORP                   COM    872275102   1,179,354     41,295    41,295                                            41,295
TCF FINL CORP                   COM    872275102      37,695      1,320             1,320             03                      1,320
TCSI CORP                       COM    87233R106         156        100       100                                               100
TCW CONV SECS FD INC            COM    872340104      46,086      5,016     5,016                                             5,016
TDK CORP                        AMERN  872351408     373,935      3,215     3,215                                             3,215
TDK CORP                        AMERN  872351408      55,826        480               480             03                        480
TECO ENERGY INC                 COM    872375100      40,137      1,900     1,900                                             1,900
TEPPCO PARTNERS L P             UT LTD 872384102      70,400      3,520     3,520                                             3,520
TJX COS INC NEW                 COM    872540109   1,402,958     50,000    50,000                                            50,000
TJX COS INC NEW                 COM    872540109      75,251      2,682             2,682             03                      2,682
                                 PAGE TOTAL       52,476,521
PAGE:    61     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

TRW INC                         COM    872649108      39,800        800       800                                               800
TLC THE LASER CTR INC           COM    872934104     135,437      5,500     5,500                                             5,500
TLC THE LASER CTR INC           COM    872934104     377,113     13,200                               02
TV GUIDE INC                    CL A   87307Q109   1,173,750     30,000    30,000                                            30,000
TV GUIDE INC                    CL A   87307Q109   6,431,407    164,381                               04
TVX GOLD INC                    COM    87308K101       6,875      5,000     5,000                                             5,000
TACO CABANA INC                 COM    873425102       8,041        830       830                                               830
TAIWAN FD INC                   COM    874036106         181         10                10             03                         10
TAKE-TWO INTERACTIVE SOFTWARE   COM    874054109     148,238     13,400                               02
TALK CITY INC                   COM    874263106      42,500      5,000     5,000                                             5,000
TALK COM INC                    COM    874264104     281,347     21,800    21,800                                            21,800
TALK COM INC                    COM    874264104     110,534      8,565             8,565             03                      8,565
TANDY CORP                      COM    875382103     108,544      2,100     2,100                                             2,100
TANDY CORP                      COM    875382103     555,367     10,745            10,745             03                     10,745
TANNING TECHNOLOGY CORP         COM    87588P101       1,181         45        45                                                45
TARGETED GENETICS CORP          COM    87612M108       3,188      2,000     2,000                                             2,000
TARGETED GENETICS CORP          COM    87612M108     181,260    114,000                               05
TASTY BAKING CO                 COM    876553306      34,875      3,000     3,000                                             3,000
TAUBMAN CTRS INC                COM    876664103     281,750     24,500    24,500                                            24,500
TECH DATA CORP                  COM    878237106     100,481      4,316                               07
TECHNE CORP                     COM    878377100     832,953     26,549            26,549             03                     26,549
TECHNOLOGY SOLUTIONS CO         COM    87872T108     286,734     20,300    20,300                                            20,300
TECHNOLOGY SOLUTIONS CO         COM    87872T108      94,638      6,700                               02
TECHNOLOGY SOLUTIONS CO         COM    87872T108      84,466      5,980             5,980             03                      5,980
TECUMSEH PRODS CO               CL B   878895101      15,793        350               350             03                        350
TEJON RANCH CO DEL              COM    879080109     176,550      6,036     6,036                                             6,036
TEKTRONIX INC                   COM    879131100       8,274        247       247                                               247
TELE CENTRO OESTE CELULAR S A   SPON A 87923P105     312,737     94,398    94,398                                            94,398
TELE CELULAR SUL PART S A       SPON A 879238103     589,651     31,136    31,136                                            31,136
TELE CENTRO SUL PART S A        SPON A 879239101      17,760        320       320                                               320
TELE CENTRO SUL PART S A        SPON A 879239101       4,995         90                90             03                         90
TELE NORDESTE CELULAR PART S A  SPON A 87924W109       2,386        105       105                                               105
TELE NORTE CELULAR PART S A     SPON A 87924Y105       1,197         42        42                                                42
TELE NORTE LESTE PART S A       SPON A 879246106      24,800      1,600     1,600                                             1,600
TELEBANC FINANCIAL CORP         COM    87925R109      36,800      1,600     1,600                                             1,600
TELE SUDESTE CELULAR PART S A   SPON A 879252104     458,380     21,320    21,320                                            21,320
TELECOM ITALIA SPA              SPON A 87927W106     100,834      1,170     1,170                                             1,170
TELECOM ITALIA SPA              SPON A 87927W106   7,990,949     92,721            92,721             03                     92,721
TELECOMM ARGENTINA STET-FRANCE  SPON A 879273209   4,010,995    150,305           150,305             03                    150,305
TELECOM CORP NEW ZEALAND LTD    SPONSO 879278208      81,280      2,540     2,540                                             2,540
TELECOM CORP NEW ZEALAND LTD    SPONSO 879278208   1,628,704     50,897            50,897             03                     50,897
TELECOMUNICACOES BRASILEIRAS S  SPONSO 879287100       1,909     61,778    61,778                                            61,778
TELECOMUNICACOES BRASILEIRAS S  SPONSO 879287308   4,188,491     55,893    55,893                                            55,893
TELECOMUNICACOES BRASILEIRAS S  SPONSO 879287308   5,190,089     69,265            69,265             03                     69,265
TELEFLEX INC                    COM    879369106       9,282        235               235             03                        235
TELEFONICA DE ARGENTINA S A     SPON A 879378206      77,140      2,925     2,925                                             2,925
TELEFONICA DE ARGENTINA S A     SPON A 879378206     596,910     22,635            22,635             03                     22,635
TELEFONICA S A                  SPONSO 879382208     365,760      7,620     7,620                                             7,620
TELEFONICA S A                  SPONSO 879382208     251,760      5,245             5,245             03                      5,245
TELEFONOS DE MEXICO S A         SPON A 879403780     169,788      2,383     2,383                                             2,383
TELEFONOS DE MEXICO S A         SPON A 879403780   6,918,494     97,105            97,105             03                     97,105
TELESTE CELULAR PART S A        SPON A 87943B102       1,009         32        32                                                32
                                 PAGE TOTAL       52,974,495
PAGE:    62     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

TELEPHONE & DATA SYS INC        COM    879433100   2,551,496     28,731    28,731                                            28,731
TELEPHONE & DATA SYS INC        COM    879433100   3,108,455     35,000                               01
TELEPHONE & DATA SYS INC        COM    879433100     123,173      1,387             1,387             03                      1,387
TELEMIG CELULAR PART S A        SPON A 87944E105       2,358         80        80                                                80
TELESPECTRUM WORLDWIDE INC      COM    87951U109     100,938     17,000                               02
TELESP PARTICIPACOES S A        SPON A 87952K100     847,350     53,800    53,800                                            53,800
TELESP PARTICIPACOES S A        SPON A 87952K100     745,452     47,335            47,335             03                     47,335
TELESP CELULAR PART S A         SPON A 87952L108   3,224,869    123,440   123,440                                           123,440
TELEWEST COMMUNICATIONS PLC     SPONSO 87956P105     237,250      6,500                               02
TELIGENT INC                    CL A   87959Y103     211,170      4,250     4,250                                             4,250
TELIGENT INC                    CL A   87959Y103   1,305,850     26,281                               04
TELLABS INC                     COM    879664100   4,155,568     72,987    72,987                                            72,987
TELLABS INC                     COM    879664100     317,119      5,570             5,570             03                      5,570
TELLABS INC                     COM    879664100   3,189,439     56,016                               07
TELSTRA CORP LTD                SPON A 87969N204     229,327      8,695     8,695                                             8,695
TELSTRA CORP LTD                SPON A 87969N204      46,154      1,750             1,750             03                      1,750
TELTREND INC                    COM    87969R106      14,175        700       700                                               700
TELXON CORP                     SUB DB 879700AA0      25,650     45,000    45,000                                            45,000
TELXON CORP                     COM    879700102      19,471      2,325     2,325                                             2,325
TEMPLE INLAND INC               COM    879868107       1,512         25        25                                                25
TELETECH HOLDINGS INC           COM    879939106       7,125        500       500                                               500
TELETECH HOLDINGS INC           COM    879939106     460,275     32,300                               02
TEMPLETON DRAGON FD INC         COM    88018T101      11,725      1,400     1,400                                             1,400
TEMPLETON CHINA WORLD FD INC    COM    88018X102     171,500     24,500    24,500                                            24,500
TEMPLETON EMERG MKTS INCOME FD  COM    880192109     154,486     15,545    15,545                                            15,545
TEMPLETON GLOBAL INCOME FD INC  COM    880198106     132,497     20,000    20,000                                            20,000
TENET HEALTHCARE CORP           COM    88033G100   1,110,299     63,218    63,218                                            63,218
TENET HEALTHCARE CORP           COM    88033G100     149,282      8,500                               02
TENET HEALTHCARE CORP           COM    88033G100      89,435      5,093             5,093             03                      5,093
TENNECO INC NEW                 COM    88037E101      52,700      3,100     3,100                                             3,100
TERADYNE INC                    COM    880770102      61,193      1,736     1,736                                             1,736
TERAYON COMMUNICATION SYS       COM    880775101      26,881        550       550                                               550
TEREX CORP NEW                  COM    880779103      10,237        325       325                                               325
TESCO CORP                      COM    88157K101      26,500      4,000     4,000                                             4,000
TESORO PETE CORP                COM    881609101     640,406     38,813    38,813                                            38,813
TESORO PETE CORP                PIES C 881609408       4,706        300       300                                               300
TETRA TECH INC NEW              COM    88162G103       1,251         75                75             03                         75
TEVA PHARMACEUTICAL INDS LTD    ADR    881624209     833,712     16,571    16,571                                            16,571
TEXACO INC                      COM    881694103  20,761,637    328,908   328,908                                           328,908
TEXACO INC                      COM    881694103   1,284,347     20,347            20,347             03                     20,347
TEXAS BIOTECHNOLOGY CORP        COM    88221T104      39,380     10,000    10,000                                            10,000
TEXAS BIOTECHNOLOGY CORP        WT EXP 88221T120         675        900       900                                               900
TEXAS INDS INC                  COM    882491103     111,000      3,000     3,000                                             3,000
TEXAS INSTRS INC                COM    882508104   4,402,083     53,521    53,521                                            53,521
TEXAS INSTRS INC                COM    882508104   6,248,487     75,972            75,972             03                     75,972
TEXAS INSTRS INC                COM    882508104   3,104,938     37,750                               07
TEXAS UTILS CO                  COM    882848104   1,160,294     31,097    31,097                                            31,097
TEXAS UTILS CO                  COM    882848104     118,826      3,185             3,185             03                      3,185
TEXTRON INC                     COM    883203101   1,431,384     18,501    18,501                                            18,501
TEXTRON INC                     COM    883203101     249,888      3,230             3,230             03                      3,230
THERAGENICS CORP                COM    883375107      35,700      2,800     2,800                                             2,800
THERMO FIBERTEK INC             COM    88355W105      21,434      3,500     3,500                                             3,500
                                 PAGE TOTAL       63,423,759
PAGE:    63     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

THERMO ELECTRON CORP            COM    883556102   5,885,084    437,952   437,952                                           437,952
THERMOLASE CORP                 COM    883624108       3,761      2,006     2,006                                             2,006
THERMOTREX CORP                 COM    883666109       6,250      1,000     1,000                                             1,000
THINK NEW IDEAS INC             COM    884094103      40,128      6,000     6,000                                             6,000
THISTLE GROUP HLDGS CO          COM    88431E103      23,010      3,230             3,230             03                      3,230
THOMAS & BETTS CORP             COM    884315102      12,444        244       244                                               244
THOMAS & BETTS CORP             COM    884315102     143,004      2,804             2,804             03                      2,804
THORATEC LABS CORP              COM NE 885175307       5,078        666       666                                               666
THORNBURG MTG ASSET CORP        PFD A  885218206      46,000      2,000     2,000                                             2,000
3DO CO                          COM    88553W105     125,787     12,500    12,500                                            12,500
3DO CO                          COM    88553W105     954,003     94,803                               04
3COM CORP                       COM    885535104   6,196,875    215,548   215,548                                           215,548
3COM CORP                       COM    885535104     505,266     17,575            17,575             03                     17,575
3COM CORP                       COM    885535104   1,767,896     61,492                               07
TIBCO SOFTWARE INC              COM    88632Q103     415,297     13,800                               07
TICKETMASTER ONLINE-CITYSEARCH  CL B   88633P203      56,840      2,350     2,350                                             2,350
TICKETMASTER ONLINE-CITYSEARCH  CL B   88633P203   2,475,932    102,362                               04
TIDEWATER INC                   COM    886423102      41,055      1,610     1,610                                             1,610
TIDEWATER INC                   COM    886423102      24,990        980               980             03                        980
TIFFANY & CO NEW                COM    886547108   4,989,348     83,242    83,242                                            83,242
TIMBERLINE SOFTWARE CORP        COM    887134104     632,272     33,950            33,950             03                     33,950
TIME WARNER INC                 COM    887315109   5,598,232     92,155    92,155                                            92,155
TIME WARNER INC                 COM    887315109   1,645,313     27,085            27,085             03                     27,085
TIME WARNER INC                 COM    887315109   5,278,871     86,895                               04
TIME WARNER TELECOM INC         CL A   887319101   1,904,781     91,247                               04
TIMKEN CO                       COM    887389104     110,769      6,870     6,870                                             6,870
TITAN CORP                      COM    888266103      18,687      1,300     1,300                                             1,300
TITANIUM METALS CORP            COM    888339108      44,690      5,000     5,000                                             5,000
TOKIO MARINE & FIRE INS LTD     ADR NE 889090403     178,824      3,110     3,110                                             3,110
TOKIO MARINE & FIRE INS LTD     ADR NE 889090403   9,005,456    156,618           156,618             03                    156,618
TOMKINS PLC                     SPONSO 890030208   5,475,530    322,090           322,090             03                    322,090
TOO INC                         COM    890333107       3,745        209       209                                               209
TOO INC                         COM    890333107      20,793      1,160             1,160             03                      1,160
TOOTSIE ROLL INDS INC           COM    890516107     865,268     26,320    26,320                                            26,320
TOOTSIE ROLL INDS INC           COM    890516107     872,198     26,532            26,532             03                     26,532
TOP SOURCE TECHNOLOGIES INC     COM    890530108      26,537     19,300    19,300                                            19,300
TOPPS INC                       COM    890786106     126,000     16,800                               02
TOPS APPLIANCE CITY INC         COM    890910102         562        500       500                                               500
TORCH ENERGY ROYALTY TRUST      UNIT B 891013104       2,687        500       500                                               500
TOSCO CORP                      COM NE 891490302   2,079,550     82,364    82,364                                            82,364
TOSCO CORP                      COM NE 891490302      65,892      2,610             2,610             03                      2,610
TOTAL RENAL CARE HLDGS INC      COM    89151A107      29,751      4,000     4,000                                             4,000
TOTAL RENAL CARE HLDGS INC      COM    89151A107   1,487,600    200,000                               01
TOTAL RENAL CARE HLDGS INC      COM    89151A107     254,363     34,200                               02
TOTAL FINA S A                  SPONSO 89151E109      24,105        380               380             03                        380
TOWER AUTOMOTIVE INC            COM    891707101       8,122        410               410             03                        410
TOTAL SYS SVCS INC              COM    891906109       8,000        500       500                                               500
TOWN & CTRY TR                  SH BEN 892081100      19,456      1,100     1,100                                             1,100
TOYS R US INC                   COM    892335100     983,025     65,535    65,535                                            65,535
TOYS R US INC                   COM    892335100     597,480     39,832            39,832             03                     39,832
TRAILER BRIDGE                  COM    892782103       9,690      5,000     5,000                                             5,000
TRANS WORLD AIRLS INC           WT EXP 893349134          18         15        15                                                15
                                 PAGE TOTAL       72,250,047
PAGE:    64     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

TRANS WORLD AIRLS INC           COM PA 893349837      73,082     20,512    20,512                                            20,512
TRANSACTION SYS ARCHITECTS      CL A   893416107       5,252        195               195             03                        195
TRANSAMERICA INCOME SHS INC     COM    893506105      31,588      1,400     1,400                                             1,400
TRANSCANADA PIPELINES LTD       COM    893526103     130,422      9,985     9,985                                             9,985
TRANSKARYOTIC THERAPIES INC     COM    893735100       5,137        100       100                                               100
TRANSPORTADORA DE GAS SUR       SPON A 893870204       9,825      1,200     1,200                                             1,200
TRAVELERS PPTY CAS CORP         CL A   893939108       2,655         90                90             03                         90
TRIAD HOSPITALS INC             COM    89579K109      29,713      2,947     2,947                                             2,947
TRIAD HOSPITALS INC             COM    89579K109      30,414      3,009             3,009             03                      3,009
TRIARC COS INC                  CL A   895927101     600,905     28,030    28,030                                            28,030
TRICON GLOBAL RESTAURANTS       COM    895953107   1,081,190     26,411    26,411                                            26,411
TRICON GLOBAL RESTAURANTS       COM    895953107     113,792      2,780             2,780             03                      2,780
TRIBUNE CO NEW                  COM    896047107     891,303     17,916    17,916                                            17,916
TRINITY INDS INC                COM    896522109     298,454      9,667     9,667                                             9,667
TRIQUINT SEMICONDUCTOR INC      COM    89674K103      60,848      1,064     1,064                                             1,064
TRIQUINT SEMICONDUCTOR INC      COM    89674K103     967,621     16,920                               07
TRIZEC HAHN CORP                SUB VT 896938107     396,772     20,952    20,952                                            20,952
TRIZEC HAHN CORP                SUB VT 896938107   2,702,131    142,683                               04
TROPICAL SPORTSWEAR INTL CORP   COM    89708P102       2,272        122       122                                               122
TRUE NORTH COMMUNICATIONS INC   COM    897844106     294,634      8,100     8,100                                             8,100
TRUE NORTH COMMUNICATIONS INC   COM    897844106     113,669      3,125             3,125             03                      3,125
TUPPERWARE CORP                 COM    899896104      10,125        500       500                                               500
TUPPERWARE CORP                 COM    899896104       5,973        295               295             03                        295
TUT SYSTEMS                     COM    901103101       5,162        200       200                                               200
24 / 7 MEDIA INC                COM    901314104     768,837     20,300    20,300                                            20,300
TYCO INTL LTD NEW               COM    902124106  10,204,368     98,834    98,834                                            98,834
TYCO INTL LTD NEW               COM    902124106  11,357,500    110,000                               01
TYCO INTL LTD NEW               COM    902124106   2,825,383     27,366            27,366             03                     27,366
TYSON FOODS INC                 CL A   902494103     768,169     46,741    46,741                                            46,741
TYSON FOODS INC                 CL A   902494103      48,725      2,965             2,965             03                      2,965
UAL CORP                        COM PA 902549500     178,753      2,737     2,737                                             2,737
UCAR INTL INC                   COM    90262K109      22,813      1,000     1,000                                             1,000
UICI                            COM    902737105       6,390        250       250                                               250
UST CORP                        COM    902900109      59,224      1,926     1,926                                             1,926
USX MARATHON GROUP              PFD CO 902905819      26,587        600       600                                               600
USX MARATHON GROUP              COM NE 902905827  19,505,718    666,883   666,883                                           666,883
USX MARATHON GROUP              COM NE 902905827   1,090,207     37,274            37,274             03                     37,274
UST INC                         COM    902911106     254,051      8,416     8,416                                             8,416
UST INC                         COM    902911106     670,535     22,214            22,214             03                     22,214
USA TRUCK INC                   COM    902925106         670         75                75             03                         75
USA DETERGENTS INC              COM    902938109      19,752      4,000     4,000                                             4,000
U S ENERGY SYS INC              COM    902951102          16          8         8                                                 8
U S FRANCHISE SVCS INC          CL A N 902956309   3,683,234    212,744   212,744                                           212,744
U S RESTAURANT PPTYS INC        PFD CV 902971209      12,599        720               720             03                        720
US BANCORP DEL                  COM    902973106     824,458     27,311    27,311                                            27,311
US BANCORP DEL                  COM    902973106      58,256      1,930             1,930             03                      1,930
US BANCORP DEL                  COM    902973106      96,602      3,200                               08
USA NETWORKS INC                COM    902984103   1,825,621     47,116    47,116                                            47,116
USA NETWORKS INC                COM    902984103     465,000     12,000                               02
USA NETWORKS INC                COM    902984103      90,471      2,335             2,335             03                      2,335
USA NETWORKS INC                COM    902984103   9,083,116    234,403                               04
U S G CORP                      COM NE 903293405      47,500      1,000     1,000                                             1,000
                                 PAGE TOTAL       76,139,628
PAGE:    65     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

U S G CORP                      COM NE 903293405       1,520         32                32             03                         32
U S FOODSERVICE                 COM    90331R101       7,380        410               410             03                        410
U S A FLORAL PRODS INC          COM    90331T107       1,062        500       500                                               500
USEC INC                        COM    90333E108      30,750      3,000             3,000             03                      3,000
U S INTERACTIVE INC             COM    90334M109         661         30        30                                                30
USX-U S STL                     COM    90337T101      25,750      1,000     1,000                                             1,000
UBID INC                        COM    903469104      56,176      2,130     2,130                                             2,130
ULTRAMAR DIAMOND SHAMROCK CORP  COM    904000106      80,907      3,173     3,173                                             3,173
ULTRATECH STEPPER INC           COM    904034105      15,300      1,200     1,200                                             1,200
UNICAPITAL CORP NEW             COM    90459D108       6,376      2,000     2,000                                             2,000
UNIDIGITAL INC                  COM    904669108       3,950        800       800                                               800
UNILEVER PLC                    SPON A 904767704       8,571        223       223                                               223
UNILEVER PLC                    SPON A 904767704   1,122,805     29,213            29,213             03                     29,213
UNILEVER N V                    N Y SH 904784709   8,500,271    124,784   124,784                                           124,784
UNILEVER N V                    N Y SH 904784709     490,429      7,200             7,200             03                      7,200
UNICOM CORP                     COM    904911104   1,830,200     49,548    49,548                                            49,548
UNICOM CORP                     COM    904911104     648,541     17,560            17,560             03                     17,560
UNION CARBIDE CORP              COM    905581104      25,280        445       445                                               445
UNION PAC CORP                  COM    907818108  12,859,798    267,576   267,576                                           267,576
UNION PAC CORP                  COM    907818108     747,025     15,544            15,544             03                     15,544
UNION PAC RES GROUP INC         COM    907834105      11,291        703       703                                               703
UNION PAC RES GROUP INC         COM    907834105       4,353        271               271             03                        271
UNION PLANTERS CORP             COM    908068109     166,258      4,080     4,080                                             4,080
UNIQUE MOBILITY INC             COM    909154106       3,250        800       800                                               800
UNIROYAL TECHNOLOGY CORP        COM    909163107      97,500     10,000    10,000                                            10,000
UNISOURCE ENERGY CORP           COM    909205106       4,713        399       399                                               399
UNISYS CORP                     COM    909214108     299,177      6,630     6,630                                             6,630
UNISYS CORP                     COM    909214108       9,476        210               210             03                        210
UNIT CORP                       COM    909218109      60,503      8,000     8,000                                             8,000
UNIT CORP                       COM    909218109      14,858      1,965             1,965             03                      1,965
UNITED CAPITAL CORP             COM    909912107      17,000      1,000     1,000                                             1,000
UNITED DOMINION REALTY TR INC   COM    910197102     147,122     13,150    13,150                                            13,150
UNITED HEALTHCARE CORP          COM    910581107     623,671     12,810    12,810                                            12,810
UNITED HEALTHCARE CORP          COM    910581107     239,517      4,920             4,920             03                      4,920
UNITED NAT FOODS INC            COM    911163103       2,634        300       300                                               300
UNITED PAYORS&UTD PROVIDERS     COM    911319101     146,286      8,300     8,300                                             8,300
UNITED RENTALS INC              COM    911363109     108,750      5,000     5,000                                             5,000
U S BIOSCIENCE INC              COM PA 911646206         456         32        32                                                32
US AIRWAYS GROUP INC            COM    911905107   1,520,924     57,940    57,940                                            57,940
U S INDS INC NEW                COM    912080108     812,791     51,613    51,613                                            51,613
U S INDS INC NEW                COM    912080108      19,761      1,255             1,255             03                      1,255
U S WEST INC NEW                COM    91273H101  13,604,621    238,428   238,428                                           238,428
U S WEST INC NEW                COM    91273H101   1,997,991     35,017            35,017             03                     35,017
U S TR CORP NEW                 COM    91288L105     522,437      6,500     6,500                                             6,500
U S TR CORP NEW                 COM    91288L105     442,063      5,500                               08
UNITED STATIONERS INC           COM    913004107      21,313      1,000     1,000                                             1,000
UNITED TECHNOLOGIES CORP        COM    913017109   3,160,984     53,295    53,295                                            53,295
UNITED TECHNOLOGIES CORP        COM    913017109     752,632     12,690            12,690             03                     12,690
UNITED WTR RES INC              COM    913190104     600,349     18,402    18,402                                            18,402
UNITEDGLOBALCOM                 CL A   913247508   2,325,153     32,465    32,465                                            32,465
UNITEDGLOBALCOM                 CL A   913247508   1,704,675     23,800                               02
UNITEDGLOBALCOM                 CL A   913247508      71,615      1,000             1,000             03                      1,000
                                 PAGE TOTAL       56,022,332
PAGE:    66     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

UNITEDGLOBALCOM                 CL A   913247508   1,550,825     21,652                               07
UNITRIN INC                     COM    913275103     337,075      9,700     9,700                                             9,700
UNIVERSAL DISPLAY CORP          COM    91347P105           3          1         1                                                 1
UNIVERSAL HEALTH RLTY INCM TR   SH BEN 91359E105     104,400      5,800     5,800                                             5,800
UNIVISION COMMUNICATIONS INC    CL A   914906102     318,174      3,910     3,910                                             3,910
UNOCAL CORP                     COM    915289102   1,017,745     27,460    27,460                                            27,460
UNOCAL CORP                     COM    915289102     315,032      8,500                               02
UNOCAL CORP                     COM    915289102     264,273      7,131             7,131             03                      7,131
UNOVA INC                       COM    91529B106       3,611        270       270                                               270
UNUMPROVIDENT CORP              COM    91529Y106     357,734     12,153    12,153                                            12,153
UNUMPROVIDENT CORP              COM    91529Y106       2,502         85                85             03                         85
UPM KYMMENE CORP                SPONSO 915436109     174,843      5,105     5,105                                             5,105
USFREIGHTWAYS CORP              COM    916906100   2,330,050     49,185    49,185                                            49,185
USFREIGHTWAYS CORP              COM    916906100       2,368         50                50             03                         50
URBAN SHOPPING CTRS INC         COM    917060105      10,150        350       350                                               350
USBANCORP INC PA                COM    917292104      23,044      1,707     1,707                                             1,707
USINTERNETWORKING INC           COM    917311805       9,375        300       300                                               300
USINTERNETWORKING INC           COM    917311805     212,500      6,800                               02
USWEB CORP                      COM    917327108     374,008     10,900    10,900                                            10,900
VDI MULTIMEDIA                  COM    917916108     550,135     56,788    56,788                                            56,788
UTILICORP UTD INC               COM    918005109     583,843     27,720    27,720                                            27,720
V F CORP                        COM    918204108      12,400        400       400                                               400
VALASSIS COMMUNICATIONS INC     COM    918866104      14,716        335               335             03                        335
VALLEY NATL BANCORP             COM    919794107      45,695      1,837     1,837                                             1,837
VALUEVISION INTL INC            CL A   92047K107       6,500        250       250                                               250
VAN KAMPEN MUN INCOME TR        COM    920909108          77          8         8                                                 8
VAN KAMPEN INVT GRADE MUN TR    COM    920915105      12,687      1,400     1,400                                             1,400
VAN KAMPEN MUN TR               SH BEN 920919107     127,216      9,127     9,127                                             9,127
VAN KAMPEN CALIF QUALITY MUN    COM    920920105         105          6         6                                                 6
VAN KAMPEN FLA QUALITY MUN TR   COM    920921103          90          6         6                                                 6
VAN KAMPEN N Y QUALITY MUN TR   COM    920922101          26          1         1                                                 1
VAN KAMPEN OHIO QUALITY MUN TR  COM    920923109          68          3         3                                                 3
VAN KAMPEN PA QUALITY MUN TR    COM    920924107          76          4         4                                                 4
VAN KAMPEN TR INSD MUNS         COM    920928108      56,347      3,725     3,725                                             3,725
VAN KAMPEN TR INVT GRADE MUNS   COM    920929106      61,852      4,265     4,265                                             4,265
VAN KAMPEN TR INVT GRADE CALIF  COM    920930104          48          3         3                                                 3
VAN KAMPEN TR INVT GRADE N Y    COM    920931102      61,085      3,863     3,863                                             3,863
VAN KAMPEN TR INVT FLA MUNS     COM    920932100           4          0
VAN KAMPEN TR INVT GRADE N J    COM    920933108      42,615      2,582     2,582                                             2,582
VAN KAMPEN TR INVT GRADE PA     COM    920934106          66          4         4                                                 4
VAN KAMPEN MUN OPPORTUNITY TR   COM    920935103     102,819      7,410     7,410                                             7,410
VAN KAMPEN ADVANTAGE PA MUN TR  SH BEN 920937109          12          0
VAN KAMPEN STRATEGIC SECTOR     COM    920943107     110,793      9,530     9,530                                             9,530
VAN KAMPEN MUN OPPORTUNITY II   COM    920944105      78,790      6,600     6,600                                             6,600
VAN KAMPEN BD FD                COM    920955101          32          2         2                                                 2
VAN KAMPEN INCOME TR            SH BEN 920957107      47,812      7,500     7,500                                             7,500
VAN KAMPEN SENIOR INCOME TR     COM    920961109     195,336     21,260    21,260                                            21,260
VAN KAMPEN CALIF VALUE MUN INC  COM    92112B107          29          2         2                                                 2
VAN KAMPEN ADVANTAGE MUN II     SH BEN 92112K107      11,375      1,000     1,000                                             1,000
VAN KAMPEN N Y VALUE MUN INCOM  COM    92112Q104         103          7         7                                                 7
VAN KAMPEN N J VALUE MUN INCOM  COM SH 92112S100          21          1         1                                                 1
VAN KAMPEN ADVANTAGE MUN INCOM  SH BEN 921124103     180,584     13,376    13,376                                            13,376
                                 PAGE TOTAL        9,861,164
PAGE:    67     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

VAN KAMPEN VALUE MUN INCOME TR  COM    921132106      69,312      5,601     5,601                                             5,601
VANTIVE CORP                    COM    922091103     284,962     32,800    32,800                                            32,800
VANTIVE CORP                    COM    922091103      84,573      9,735             9,735             03                      9,735
VARI-L CO INC                   COM    922150107      60,750      6,000     6,000                                             6,000
VARIAN MED SYS INC              COM    92220P105     835,771     38,207    38,207                                            38,207
VARIAN MED SYS INC              COM    92220P105      10,061        460               460             03                        460
VARIAN INC                      COM    922206107   1,510,648     85,107    85,107                                            85,107
VARIAN INC                      COM    922206107     745,500     42,000                               02
VARIAN INC                      COM    922206107       8,165        460               460             03                        460
VARIAN SEMICONDUCTOR EQUIPMNT   COM    922207105   1,836,895     87,210    87,210                                            87,210
VARIAN SEMICONDUCTOR EQUIPMNT   COM    922207105     907,794     43,100                               02
VARIAN SEMICONDUCTOR EQUIPMNT   COM    922207105       9,687        460               460             03                        460
VARIFLEX INC                    COM    922242102       2,750        500       500                                               500
VASOMEDICAL INC                 COM    922321104      10,940     10,000    10,000                                            10,000
VEBA AG                         SPONSO 92239H102     130,524      2,300     2,300                                             2,300
VAXGEN INC                      COM NE 922390208     299,812     20,500    20,500                                            20,500
VENTAS INC                      COM    92276F100       4,750      1,000     1,000                                             1,000
VERISIGN INC                    COM    92343E102   9,664,130     90,743                               04
VERITAS DGC INC                 COM    92343P107     179,025      9,300     9,300                                             9,300
VERITAS DGC INC                 COM    92343P107      87,201      4,530             4,530             03                      4,530
VERIO INC                       COM    923433106     358,267     11,557    11,557                                            11,557
VERITAS SOFTWARE CO             COM    923436109      11,086        146               146             03                        146
VERITAS SOFTWARE CO             COM    923436109     930,234     12,250                               07
VERMONT TEDDY BEAR INC          COM    92427X109       8,126      2,000     2,000                                             2,000
VESTCOM INTL INC                COM    924904105      12,342      4,702     4,702                                             4,702
VERTICALNET INC                 COM    92532L107      37,000      1,000     1,000                                             1,000
VETERINARY CTRS AMER INC        SB DB  925514AB7      43,631     65,000    65,000                                            65,000
VETERINARY CTRS AMER INC        COM    925514101      28,342      2,478     2,478                                             2,478
VIASAT INC                      COM    92552V100     250,142     13,994    13,994                                            13,994
VIACOM INC                      CL A   925524100     619,859     14,332    14,332                                            14,332
VIACOM INC                      CL B   925524308     978,254     23,154    23,154                                            23,154
VIACOM INC                      CL B   925524308   1,663,318     39,370            39,370             03                     39,370
VIACOM INC                      CL B   925524308   6,433,619    152,275                               04
VIATEL INC                      COM    925529208     227,812      7,706     7,706                                             7,706
VIATEL INC                      COM    925529208     301,538     10,200                               02
VICAL INC                       COM    925602104      41,439      3,000     3,000                                             3,000
VICON INDS INC                  COM    925811101      14,000      2,000     2,000                                             2,000
VIDEO UPDATE INC                WT B E 92657V120         360      7,200     7,200                                             7,200
VIDEOSERVER INC                 COM    926918103       2,278        316       316                                               316
VINTAGE PETE INC                COM    927460105   1,822,500    135,000                               01
VISIO CORP                      COM    927914101       7,850        200       200                                               200
VISIBLE GENETICS INC            COM    92829S104     127,500      6,800                               02
VISHAY INTERTECHNOLOGY INC      COM    928298108      94,901      3,996     3,996                                             3,996
VISHAY INTERTECHNOLOGY INC      COM    928298108      53,386      2,248             2,248             03                      2,248
VISTA EYECARE INC               COM    928352103      67,500     27,000    27,000                                            27,000
VISX INC DEL                    COM    92844S105      53,380        675       675                                               675
VISX INC DEL                    COM    92844S105       7,909        100               100             03                        100
VITESSE SEMICONDUCTOR CORP      COM    928497106   3,762,333     44,069    44,069                                            44,069
VITESSE SEMICONDUCTOR CORP      COM    928497106     196,925      2,307             2,307             03                      2,307
VITESSE SEMICONDUCTOR CORP      COM    928497106     525,056      6,150                               07
VITRO SOCIEDAD ANONIMA          SPONSO 928502301   1,152,570    279,411   279,411                                           279,411
VIVUS INC                       COM    928551100      36,403     12,800    12,800                                            12,800
                                 PAGE TOTAL       37,079,819
PAGE:    68     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

VLASIC FOODS INTL INC           COM    928559103         276         40        40                                                40
VODAFONE AIRTOUCH PLC           SPONSO 92857T107   3,883,587     16,335    16,335                                            16,335
VODAFONE AIRTOUCH PLC           SPONSO 92857T107   1,302,098      5,477             5,477             03                      5,477
VOICESTREAM WIRELESS CORP       COM    928615103       8,825        143               143             03                        143
VOLT INFORMATION SCIENCES INC   COM    928703107   1,543,148     63,635    63,635                                            63,635
VOLVO AKTIEBOLAGET              ADR B  928856400     148,315      5,170     5,170                                             5,170
VORNADO OPERATING CO            COM    92904N103       1,350        225       225                                               225
VORNADO OPERATING CO            COM    92904N103     101,604     16,934                               04
VORNADO RLTY TR                 SH BEN 929042109     158,205      4,868     4,868                                             4,868
VORNADO RLTY TR                 SH BEN 929042109   6,799,488    209,215                               04
VOYAGER NET INC                 COM    92906W101      56,980      6,512     6,512                                             6,512
WEBS INDEX FD INC               FRANCE 92923H509       7,495        325       325                                               325
WEBS INDEX FD INC               GERMAN 92923H608       6,386        305       305                                               305
WEBS INDEX FD INC               HONG K 92923H707       6,825        600       600                                               600
WEBS INDEX FD INC               UNITED 92923H798       5,890        290       290                                               290
WEBS INDEX FD INC               ITLALY 92923H806       6,618        300       300                                               300
WEBS INDEX FD INC               SPAIN  92923H830       1,250         50        50                                                50
WEBS INDEX FD INC               SINGAP 92923H848       7,015        920       920                                               920
WEBS INDEX FD INC               MALAYS 92923H871       5,606      1,150     1,150                                             1,150
WEBS INDEX FD INC               JAPAN  92923H889   1,655,713    118,792   118,792                                           118,792
WHX CORP                        PFD CV 929248300      83,595      2,500     2,500                                             2,500
WMS INDS INC                    COM    929297109     145,312     12,500    12,500                                            12,500
WPP GROUP PLC                   SPON A 929309300     525,450      5,650     5,650                                             5,650
WPP GROUP PLC                   SPON A 929309300     104,625      1,125             1,125             03                      1,125
WACHOVIA CORP                   COM    929771103      94,349      1,200     1,200                                             1,200
WACHOVIA CORP                   COM    929771103     764,584      9,725             9,725             03                      9,725
WACKENHUT CORRECTIONS CORP      COM    929798106      63,530      4,750     4,750                                             4,750
WAL MART STORES INC             COM    931142103  11,187,910    235,228   235,228                                           235,228
WAL MART STORES INC             COM    931142103   3,738,668     78,611            78,611             03                     78,611
WALDEN RESIDENTIAL PPTYS INC    COM    931210108      17,450        800       800                                               800
WALGREEN CO                     COM    931422109   2,799,526    110,328   110,328                                           110,328
WALGREEN CO                     COM    931422109   1,725,903     68,021            68,021             03                     68,021
WALKER INTERACTIVE SYS INC      COM    931664106      14,065      5,000     5,000                                             5,000
WALLACE COMPUTER SERVICES INC   COM    932270101      68,744      3,395     3,395                                             3,395
WALLACE COMPUTER SERVICES INC   COM    932270101     162,494      8,025             8,025             03                      8,025
WARNACO GROUP INC               CL A   934390105     694,854     38,075    38,075                                            38,075
WARNACO GROUP INC               CL A   934390105     258,493     14,165            14,165             03                     14,165
WARNER CHILCOTT PLC             SPONSO 934435207     334,155     45,311    45,311                                            45,311
WARNER LAMBERT CO               COM    934488107   7,013,492    105,667   105,667                                           105,667
WARNER LAMBERT CO               COM    934488107   1,415,856     21,333            21,333             03                     21,333
WARWICK CMNTY BANCORP INC       COM    936559103      13,006      1,210             1,210             03                      1,210
WASHINGTON FED INC              COM    938824109      13,472        581       581                                               581
WASHINGTON FED INC              COM    938824109     976,049     42,095            42,095             03                     42,095
WASHINGTON MUT INC              COM    939322103  15,178,328    518,943   518,943                                           518,943
WASHINGTON MUT INC              COM    939322103   2,276,265     77,826            77,826             03                     77,826
WASHINGTON POST CO              CL B   939640108   2,344,730      4,592     4,592                                             4,592
WASHINGTON POST CO              CL B   939640108      79,143        155               155             03                        155
WASHINGTON REAL ESTATE INVT TR  SH BEN 939653101      19,687      1,250     1,250                                             1,250
WASTE CONNECTIONS INC           COM    941053100      24,675      1,200     1,200                                             1,200
WASTE MGMT INC DEL              COM    94106L109     877,566     45,588    45,588                                            45,588
WASTE MGMT INC DEL              COM    94106L109     589,276     30,615            30,615             03                     30,615
WATERS CORP                     COM    941848103   1,994,476     32,935    32,935                                            32,935
                                 PAGE TOTAL       73,045,710
PAGE:    69     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

WATERS CORP                     COM    941848103     107,186      1,770             1,770             03                      1,770
WATKINS JOHNSON CO              COM    942486101      23,493        700       700                                               700
WATSON PHARMACEUTICALS INC      COM    942683103   3,094,340    101,249   101,249                                           101,249
WATSON PHARMACEUTICALS INC      COM    942683103     186,421      6,100             6,100             03                      6,100
WAVE SYSTEMS CORP               CL A   943526103       5,375        500       500                                               500
WEATHERFORD INTL INC            COM    947074100   1,140,800     35,650    35,650                                            35,650
WEATHERFORD INTL INC            COM    947074100   1,040,000     32,500                               02
WEATHERFORD INTL INC            COM    947074100       3,520        110               110             03                        110
WEBFINANCIAL CORP               WT EXP 94767P118           1          2         2                                                 2
WEGENER CORP                    COM    948585104      21,504      8,000     8,000                                             8,000
WEINGARTEN RLTY INVS            SH BEN 948741103     142,025      3,800     3,800                                             3,800
WEINGARTEN RLTY INVS            SH BEN 948741103      25,786        690               690             03                        690
WEIS MKTS INC                   COM    948849104      17,125        500       500                                               500
WELLPOINT HEALTH NETWORK NEW    COM    94973H108   1,336,650     23,450    23,450                                            23,450
WELLPOINT HEALTH NETWORK NEW    COM    94973H108     813,732     14,276            14,276             03                     14,276
WELLS FARGO & CO NEW            COM    949746101   9,103,672    229,747   229,747                                           229,747
WELLS FARGO & CO NEW            COM    949746101   4,395,045    110,923           110,923             03                    110,923
WELLSFORD REAL PPTYS INC        COM    950240101      26,104      2,748     2,748                                             2,748
WENDYS FING I                   TECONS 950588202     149,725      2,650     2,650                                             2,650
WENDYS INTL INC                 COM    950590109   2,050,897     77,765    77,765                                            77,765
WENDYS INTL INC                 COM    950590109     156,128      5,920             5,920             03                      5,920
WERNER ENTERPRISES INC          COM    950755108       1,233         70                70             03                         70
WESCAST INDS INC                CL A S 950813105       6,554        231       231                                               231
WEST MARINE INC                 COM    954235107      83,632     10,454    10,454                                            10,454
WESTAMERICA BANCORPORATION      COM    957090103       1,512         50                50             03                         50
WESTCOAST ENERGY INC            COM    95751D102     102,561      5,470     5,470                                             5,470
WESTELL TECHNOLOGIES INC        CL A   957541105      69,062      8,500     8,500                                             8,500
WESTERN BANCORP                 COM    957683105     278,098      7,200     7,200                                             7,200
WESTERN BANCORP                 COM    957683105     444,188     11,500                               08
WESTERN DIGITAL CORP            SB DB  958102AH8       1,703  1,250,000 1,250,000                                          1250,000
WESTERN DIGITAL CORP            COM    958102105     228,430     60,915    60,915                                            60,915
WESTERN GAS RES INC             PFD CO 958259301     103,689      3,000     3,000                                             3,000
WESTERN WIRELESS CORP           CL A   95988E204      44,169        985       985                                               985
WESTERNBANK PUERTO RICO         COM    959897109       2,425        200       200                                               200
WESTPAC BKG CORP                SPONSO 961214301     205,252      6,675     6,675                                             6,675
WESTPAC BKG CORP                SPONSO 961214301      40,742      1,325             1,325             03                      1,325
WESTVACO CORP                   COM    961548104         948         37        37                                                37
WEYERHAEUSER CO                 COM    962166104      80,674      1,400     1,400                                             1,400
WEYERHAEUSER CO                 COM    962166104       4,610         80                80             03                         80
WHIRLPOOL CORP                  COM    963320106     256,992      3,935     3,935                                             3,935
WHIRLPOOL CORP                  COM    963320106     375,144      6,800                               02
WHIRLPOOL CORP                  COM    963320106       6,530        100               100             03                        100
WHITE ELECTR DESIGNS CORP       COM    963801105           5          2         2                                                 2
WHITE PINE SOFTWARE INC         COM    964347108         171         25        25                                                25
WHITEHALL JEWELLERS INC         COM    965063100     688,542     23,950            23,950             03                     23,950
WHITTMAN-HART INC               COM    966834103     379,507      9,786     9,786                                             9,786
WHITTMAN-HART INC               COM    966834103     547,425     13,500                               02
WHITTMAN-HART INC               COM    966834103     168,305      4,340             4,340             03                      4,340
WHOLE FOODS MKT INC             COM    966837106     235,578      7,201     7,201                                             7,201
WILD OATS MARKETS INC           COM    96808B107      12,837        325       325                                               325
WILEY JOHN & SONS INC           CL A   968223206     246,297     15,700    15,700                                            15,700
WILEY JOHN & SONS INC           CL A   968223206      83,925      5,350             5,350             03                      5,350
                                 PAGE TOTAL       28,546,215
PAGE:    70     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

WILLAMETTE INDS INC             COM    969133107       1,078         25        25                                                25
WILLIAMS COS INC DEL            COM    969457100   5,073,306    135,520   135,520                                           135,520
WILLIAMS COS INC DEL            COM    969457100     249,494      6,665             6,665             03                      6,665
WILLIAMS SONOMA INC             COM    969904101      12,383        255               255             03                        255
WILLIS LEASE FINANCE CORP       COM    970646105       9,389        712       712                                               712
WILMAR INDS INC                 COM    971426101     136,444     10,600            10,600             03                     10,600
WILMINGTON TRUST CORP           COM    971807102       6,313        130       130                                               130
WILMINGTON TRUST CORP           COM    971807102      33,994        700                               08
WIND RIVER SYSTEMS INC          COM    973149107       9,500        500       500                                               500
WINDMERE-DURABLE HLDGS INC      COM    973411101   1,809,450    150,000   150,000                                           150,000
WINFIELD CAP CORP               COM    973859101     237,132     14,000    14,000                                            14,000
WINN DIXIE STORES INC           COM    974280109      11,875        400       400                                               400
WINSTAR COMMUNICATIONS INC      COM    975515107     396,459     10,150    10,150                                            10,150
WINSTAR COMMUNICATIONS INC      COM    975515107     132,813      3,400                               02
WIT CAP GROUP INC               COM    97737K309       1,825        100       100                                               100
WOODHEAD INDS INC               COM    979438108       9,112        900       900                                               900
WORLD ACCESS INC                COM    98141A101      22,631      2,023     2,023                                             2,023
WORLD ACCESS INC                COM    98141A101   1,006,920     90,000                               01
WORLD ACCEP CORP DEL            COM    981419104     484,264     90,100            90,100             03                     90,100
WORLD FUEL SVCS CORP            COM    981475106      53,625      5,500     5,500                                             5,500
WORLDGATE COMMUNICATIONS INC    COM    98156L307     114,375      5,000     5,000                                             5,000
WRIGLEY WM JR CO                COM    982526105      41,287        600       600                                               600
WRIGLEY WM JR CO                COM    982526105     167,887      2,440             2,440             03                      2,440
WYNDHAM INTL INC                CL A   983101106      16,872      6,428     6,428                                             6,428
XCL LTD DEL                     COM    983701103         394        700       700                                               700
XCEED INC                       COM    98388N105      42,876      2,000     2,000                                             2,000
XILINX INC                      COM    983919101   3,938,938     60,110    60,110                                            60,110
XILINX INC                      COM    983919101   3,144,440     47,984                               07
XIRCOM INC                      COM    983922105     306,283      7,175     7,175                                             7,175
XOMED SURGICAL PRODS INC        COM    98412V107       5,700        100       100                                               100
XIONICS DOCUMENT TECHNOLOGIES   COM    98412X103      11,750      2,000     2,000                                             2,000
XEROX CORP                      COM    984121103  18,168,120    433,237   433,237                                           433,237
XEROX CORP                      COM    984121103   1,796,381     42,838            42,838             03                     42,838
XOOM COM INC                    COM    98413F101     188,572      3,800     3,800                                             3,800
XOOM COM INC                    COM    98413F101      66,493      1,340             1,340             03                      1,340
YAHOO INC                       COM    984332106   2,553,482     14,216    14,216                                            14,216
YAHOO INC                       COM    984332106   2,058,357     11,460            11,460             03                     11,460
YAHOO INC                       COM    984332106   4,874,861     27,158                               04
YAHOO INC                       COM    984332106   2,598,442     14,476                               07
YANKEE ENERGY SYS INC           COM    984779108         341          8         8                                                 8
YORK INTL CORP NEW              COM    986670107      19,765        550       550                                               550
YOUNG & RUBICAM INC             COM    987425105      13,200        300               300             03                        300
YOUNG BROADCASTING INC          CL A   987434107     167,600      3,200                               02
ZALE CORP NEW                   COM    988858106       4,443        116       116                                               116
ZEBRA TECHNOLOGIES CORP         CL A   989207105      18,187        400       400                                               400
ZEBRA TECHNOLOGIES CORP         CL A   989207105     457,705     10,067            10,067             03                     10,067
ZIFF-DAVIS INC                  COM ZD 989511100      66,111      4,100     4,100                                             4,100
ZIFF-DAVIS INC                  COM ZD 989511100     188,663     11,700                               02
ZIONS BANCORPORATION            COM    989701107     235,769      4,277     4,277                                             4,277
ZORAN CORP                      COM    98975F101     776,148     28,615    28,615                                            28,615
ZONAGEN INC                     COM    98975L108       2,643        900       900                                               900
ZOLTEK COS INC                  COM    98975W104      16,800      2,100     2,100                                             2,100
                                 PAGE TOTAL       52,382,054
PAGE:    71     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 09/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
                                                                           INVESTMENT DISCRETION            VOTING AUTHORITY
                                                                           _____________________              ________________
                              TITLE                 FAIR    SHARES OR                       SHARED               (SHARES)
                               OF                   MARKET  PRINCIPAL       SOLE   SHARED    OTHER          SOLE   SHARED     NONE
NAME OF ISSUES                CLASS  CUSIP NO       VALUE   AMOUNT           (A)      (B)      (C) MANAGER   (A)      (B)      (C)
_________________             _____  ________       ______  _________        ___      ___      ___ _______   ___      ___      ___

ZWEIG FD                        COM    989834106     486,304     45,500    45,500                                            45,500
ZWEIG TOTAL RETURN FD INC       COM    989837109      90,480     11,136    11,136                                            11,136
                                 PAGE TOTAL          757,744
                                GRAND TOTAL    3,825,246,919


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