CIBC WORLD MARKETS CORP
13F-HR/A, 2000-01-03
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           	                         UNITED STATES
                              SECURITIES AND EXCHANGE COMMISSION
		                    Washington, D.C. 20549

                       		   	  FORM 13F-HR/A
		                     FORM 13F-HR/A COVER PAGE

Report for the Calendar Year or Quarter Ended: ___6/30/99_____

Check here if Amendment [X]; Amendment Number: __1__
This Amendment (Check only one.): [X] is a restatement.
                                  [ ] adds new holdings
                                      entries.
Institutional Investment Manager Filing this Report:

Name: ____CIBC World Markets_______________________
Address: _One World Finacncial 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___    01/03/00__
 [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: ___4,167_____

Form 13F Information Table Value Total: $_5,931,204___
                                         (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 LTC
   2      801-36731                 Oppenheimer Catalyst Mgmt
   3      028-80110708              Oppenheimer Capital
   4      801-53625                 Troon Management LTC
   5      801-36639                 Westmed Venture Management
   6      801-30871                 Oppeneheimer Horizon Management
   7	  801-55640		    CIBC Oppenheimer LLC
   8	  028-04847		    KBW Asset Management Inc.

<TABLE>
<C>       <C>

PAGE:     1     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
<CAPTION>
                                                                          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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___
<S>                             <C>    <C>            <C>     <C>            <C>      <C>      <C> <C>       <C>      <C>      <C>
LERNOUT & HAUSPIE SPEECH PRODS  COM    B5628B104      45,643      1,288    1,288                                             1,288
ACE LTD                         ORD    G0070K103   4,243,844    150,225  150,225                                           150,225
ACE LTD                         ORD    G0070K103   3,390,000    120,000  120,000                     01           120,000
ACE LTD                         ORD    G0070K103     678,000     24,000   24,000                     02    5,000   19,000
ACE LTD                         ORD    G0070K103      41,779      1,479             1,479            03                      1,479
AMDOCS LTD                      ORD    G02602103      36,400      1,600    1,600                                             1,600
ANNUITY AND LIFE RE HLDGS       ORD    G03910109      89,752      4,000    4,000                                             4,000
BRILLIANCE CHINA AUTO HLDG LTD  COM    G1368B102       1,475        100      100                                               100
CORECOMM LTD                    ORD    G2422R109      30,107        624      624                                               624
DELPHI INTERNATIONAL LTD        ORD    G2706W105       4,725        734      734                                               734
GEMSTAR INTL GROUP LTD          ORD    G3788V106     666,463     10,214   10,214                                            10,214
GEMSTAR INTL GROUP LTD          ORD    G3788V106     261,000      4,000    4,000                     02      700    3,300
GLOBAL CROSSING LTD             COM    G3921A100     282,913      6,647    6,647                                             6,647
GLOBALSTAR TELECOMMUNICTNS LTD  COM    G3930H104   2,223,851     95,909   95,909                                            95,909
GLOBALSTAR TELECOMMUNICTNS LTD  COM    G3930H104   2,959,763    127,642  127,642                     04           127,642
GLOBAL-TECH APPLIANCES INC      ORD    G39320109       9,000      1,500    1,500                                             1,500
IRIDIUM WORLD COMMUNICATIONS    CL A   G49398103     275,215     25,750   25,750                                            25,750
LASALLE RE HLDGS LTD            ORD    G5383Q101      69,700      4,100    4,100                                             4,100
LORAL SPACE & COMMUNICATIONS    COM    G56462107   5,092,812    282,934  282,934                                           282,934
LORAL SPACE & COMMUNICATIONS    COM    G56462107   4,008,348    222,686  222,686                     04           222,686
NORDIC AMERICAN TANKER SHIPPNG  COM    G65773106      89,700      7,800    7,800                                             7,800
PARTNERRE LTD                   COM    G6852T105     250,630      6,706    6,706                                             6,706
PARTNERRE LTD                   COM    G6852T105      61,403      1,643             1,643            03                      1,643
RENAISSANCE RE HLDGS LTD        COM    G7496G103     305,250      8,250    8,250                                             8,250
RSL COMMUNICATIONS LTD          CL A   G7702U102      47,392      2,454    2,454                                             2,454
SANTA FE INTL CORP              ORD    G7805C108   1,974,550     85,850   85,850                                            85,850
STIRLING COOKE BROWN HLDGS LTD  ORD    G84951105     317,591     76,994   76,994                                            76,994
TERRA NOVA BERMUDA HLDGS LTD    ORD CL G87615103     977,849     36,300   36,300                                            36,300
3D LABS INC LTD                 ORD    G8846W103       1,274        400      400                                               400
HILFIGER TOMMY CORP             ORD    G8915Z102      30,796        419      419                                               419
TRITON ENERGY LTD               ORD    G90751101      17,200      1,600    1,600                                             1,600
STOLT COMEX SEAWAY SA           COM    L8873E103     211,615     19,459   19,459                                            19,459
ALADDIN KNOWLEDGE SYS LTD       ORD    M0392N101       9,227      1,127    1,127                                             1,127
BVR TECHNOLOGIES LTD            ORD    M20514101     140,416     17,552   17,552                                            17,552
CHECK POINT SOFTWARE TECH LTD   ORD    M22465104     128,054      2,388    2,388                                             2,388
CHECK POINT SOFTWARE TECH LTD   ORD    M22465104      21,450        400               400            03                        400
CIMATRON LTD                    ORD    M23798107         544        210      210                                               210
ELBIT VISION SYS LTD            ORD    M37576101         660        330      330                                               330
ELBIT SYS LTD                   ORD    M3760D101     110,128      8,071    8,071                                             8,071
ELBIT MEDICAL IMAGING LTD       ORD    M37605108      73,185      7,054    7,054                                             7,054
ELSCINT LTD NEW                 ORD    M40168102       1,023         92       92                                                92
ESC MEDICAL SYS LTD             ORD    M40868107      32,059      5,029    5,029                                             5,029
FORSOFT LTD                     ORD NE M46544108         610         80       80                                                80
FUNDTECH LTD                    ORD    M47095100      31,125      1,200    1,200                                             1,200
GALILEO TECHNOLOGY LTD          ORD    M47298100      29,997        662      662                                               662
GILAT COMMUNICATIONS LTD        ORD    M50876107     152,752      9,547    9,547                                             9,547
GILAT SATELLITE NETWORKS LTD    ORD    M51474100   3,517,657     67,003   67,003                                            67,003
ISG INTL SOFTWARE GROUP LTD     ORD    M5733B104       1,198        127      127                                               127
LANOPTICS LTD                   ORD    M6706C103       4,088      1,022    1,022                                             1,022
LOGAL EDUCATIONAL SOFTWARE SYS  ORD    M6777Q106      18,698     26,009   26,009                                            26,009
MAGAL SECURITY SYS LTD          ORD    M6786D104         434        139      139                                               139
                                 PAGE TOTAL       32,969,345
PAGE:     2     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___
<S>                             <C>    <C>            <C>     <C>            <C>      <C>      <C> <C>       <C>      <C>      <C>
M SYS FLASH DISK PIONEERS LTD   ORD    M7061C100     826,158    136,990  136,990                                           136,990
NEXUS TELECOMMUNICATN SYS LTD   ORD    M74919107      31,328      8,794    8,794                                             8,794
NUR MACROPRINTERS LTD           ORD    M75165106       1,735        312      312                                               312
ORCKIT COMMUNICATIONS LTD       COM    M7531S107   6,590,181    266,270  266,270                                           266,270
POINT OF SALE LTD               ORD    M7945W108      12,612      1,009    1,009                                             1,009
RIT TECHNOLOGIES LTD            ORD    M8215N109       2,170      1,197    1,197                                             1,197
SILICOM LTD                     ORD    M84116108         741        439      439                                               439
TARO PHARMACEUTICAL INDS LTD    ORD    M8737E108       1,166        127      127                                               127
TECNOMATIX TECHNOLOGIES LTD     ORD    M8743P105       7,000        400      400                                               400
TOP IMAGE SYSTEMS LTD           ORD    M87896102       1,889        414      414                                               414
TTI TEAM TELECOM INTL LTD       ORD    M88258104   1,124,050    112,405  112,405                                           112,405
TVG TECHNOLOGIES LTD            ORD    M90278108       6,411      3,017    3,017                                             3,017
VOCALTEC COMMUNICATIONS LTD     ORD    M97601104      21,362      1,709    1,709                                             1,709
WIZTEC SOLUTIONS LTD            ORD    M98105105      20,947        882      882                                               882
ASM LITHOGRAPHY HLDG N V        N Y SH N07059111     743,604     12,524   12,524                                            12,524
BAAN CO NV                      COM    N08044104       2,746        173      173                                               173
CORE LABORATORIES N V           COM    N22717107       2,369        170      170                                               170
INDIGO N V                      ORD    N44495104       3,563      1,000    1,000                                             1,000
MADGE NETWORKS N V              ORD SH N5424G106      17,186      5,000    5,000                                             5,000
SAPIENS INTL CORP N V           ORD    N7716A102      22,360      2,250    2,250                                             2,250
BANCO LATINOAMERICANO DE EXPO   CL E   P16994132   2,579,227     96,420   96,420                                            96,420
BANCO LATINOAMERICANO DE EXPO   CL E   P16994132     128,400      4,800    4,800                     02    1,200    3,600
SUN INTL HOTELS LTD             ORD    P8797T133      61,978      1,385    1,385                                             1,385
CREATIVE TECHNOLOGY LTD         ORD    Y1775U107       7,794        580      580                                               580
FLEXTRONICS INTL LTD            ORD    Y2573F102      48,673        877      877                                               877
ACTV INC                        COM    00088E104     231,448     16,681   16,681                                            16,681
A D C TELECOMMUNICATIONS        COM    000886101     559,125     12,272   12,272                                            12,272
A D C TELECOMMUNICATIONS        COM    000886101       1,366         30                30            03                         30
A D C TELECOMMUNICATIONS        COM    000886101     564,526     12,390   12,390                     07            12,390
ACM GOVT INCOME FD INC          COM    000912105      37,971      4,500    4,500                                             4,500
ACM GOVT SPECTRUM FD INC        COM    000917104      81,382     14,000   14,000                                            14,000
ABN AMRO HLDG NV                SPONSO 000937102     510,718     23,150            23,150            03                     23,150
ACM MUN SECS INCOME FD INC      COM    000942102      13,500      1,000    1,000                                             1,000
AER ENERGY RES INC              COM    000944108         110        500      500                                               500
ACM MANAGED DLR INCOME FD       COM    000949107       3,067        287      287                                               287
ABM INDS INC                    COM    000957100     211,741      6,900    6,900                                             6,900
ABM INDS INC                    COM    000957100      78,861      2,570             2,570            03                      2,570
ADM TRONICS UNLIMITED INC       COM    001004100      11,250     25,000   25,000                                            25,000
AFLAC INC                       COM    001055102  13,381,965    279,521  279,521                                           279,521
AFLAC INC                       COM    001055102     405,668      8,474             8,474            03                      8,474
AGCO CORP                       COM    001084102      31,676      2,800    2,800                                             2,800
AGL RES INC                     COM    001204106      66,745      3,620    3,620                                             3,620
AES CORP                        COM    00130H105     320,832      5,520    5,520                                             5,520
AES CORP                        COM    00130H105      28,480        490               490            03                        490
AK STL HLDG CORP                COM    001547108     106,312      4,725    4,725                                             4,725
AMC ENTMT INC                   COM    001669100       9,562        500      500                                               500
AMC ENTMT INC                   COM    001669100     579,425     30,100   30,100                     02    5,500   24,600
AMLI RESIDENTIAL PPTYS TR       SH BEN 001735109     134,248      6,000    6,000                                             6,000
AMR CORP                        COM    001765106   2,495,558     36,565   36,565                                            36,565
AMR CORP                        COM    001765106      23,950        351               351            03                        351
ARC INTL CORP                   COM    001905108       1,313      1,000    1,000                                             1,000
AT&T CORP                       COM    001957109  22,992,496    411,966  411,966                                           411,966
                                 PAGE TOTAL       55,148,945
PAGE:     3     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___
<S>                             <C>    <C>            <C>     <C>            <C>      <C>      <C> <C>       <C>      <C>      <C>
AT&T CORP                       COM    001957109     913,372     16,366            16,366            03                     16,366
AT&T CORP                       COM    001957109  17,313,611    310,208  310,208                     04           310,208
AT&T CORP                       COM    001957109   1,573,034     28,184   28,184                     07            28,184
ASA LTD                         COM    002050102       4,987        300      300                                               300
AVT CORP                        COM    002420107     159,075      4,200    4,200                                             4,200
AAMES FINL CORP                 COM    00253A101      12,765      9,725    9,725                                             9,725
ABB AB                          SPONSO 00256Q103     262,341     19,255   19,255                                            19,255
ABB AB                          SPONSO 00256Q103      32,562      2,390             2,390            03                      2,390
ABBOTT LABS                     COM    002824100   6,373,402    140,075  140,075                                           140,075
ABBOTT LABS                     COM    002824100   2,543,377     55,900            55,900            03                     55,900
ABERCROMBIE & FITCH CO          CL A   002896207     224,448      4,676    4,676                                             4,676
ABERCROMBIE & FITCH CO          CL A   002896207       8,640        180               180            03                        180
ABRAXAS PETE CORP               COM    003830106      77,520     65,280   65,280                                            65,280
ABITIBI-CONSOLIDATED INC        COM    003924107      11,943      1,050    1,050                                             1,050
ACADIA RLTY TR                  COM SH 004239109      18,006      3,350    3,350                                             3,350
ACCLAIM ENTMT INC               COM PA 004325205      14,643      2,297    2,297                                             2,297
ACE CASH EXPRESS INC            COM    004403101     100,287      7,100    7,100                                             7,100
ACKERLEY GROUP INC              COM    004527107     472,888     26,000   26,000                                            26,000
ACNIELSEN CORP                  COM    004833109     438,625     14,500   14,500                                            14,500
ACTION PERFORMANCE COS INC      COM    004933107       9,900        300      300                                               300
ACTEL CORP                      COM    004934105       9,676        656      656                                               656
ACX TECHNOLOGIES INC            COM    005123104       2,145        132      132                                               132
ACX TECHNOLOGIES INC            COM    005123104     325,000     20,000   20,000                     02    3,000   17,000
ACXIOM CORP                     COM    005125109      81,996      3,288    3,288                                             3,288
ACXIOM CORP                     COM    005125109       6,980        280               280            03                        280
ADAMS EXPRESS CO                COM    006212104         786         27       27                                                27
ADAPTEC INC                     COM    00651F108     639,310     18,105   18,105                                            18,105
ADOBE SYS INC                   COM    00724F101       1,478         18       18                                                18
ADOBE SYS INC                   COM    00724F101     626,614      7,628             7,628            03                      7,628
ADRENALIN INTERACTIVE INC       WT EXP 007246119           0        100      100                                               100
ADRIEN ARPEL INC                COM    007361108          28        255      255                                               255
ADRIEN ARPEL INC                COM    007361108         115      1,047             1,047            03                      1,047
ADVANCED COMMUNICATION SYSTEMS  COM    00750X109      52,011      3,800    3,800                                             3,800
ADVANCED COMMUNICATIONS GROUP   COM    00751B106   1,242,733    125,053  125,053                                           125,053
ADVANCED MAGNETICS INC          COM    00753P103      12,564      3,000    3,000                                             3,000
ADVANCED FIBRE COMMUNICATIONS   COM    00754A105      12,500        800      800                                               800
ADVANCED MED INC                SB DB  00754CAA9       3,800      5,000    5,000                                             5,000
ADVANCED TISSUE SCIENCES INC    COM    00755F103       4,225      1,300    1,300                                             1,300
ADVANCED NEUROMODULATION SYS    COM    00757T101       4,750        500      500                                               500
ADVOCAT INC                     COM    007586100       8,721      4,500    4,500                                             4,500
AEHR TEST SYSTEMS               COM    00760J108      23,982      6,189    6,189                                             6,189
AERIAL COMMUNICATIONS INC       COM    007655103     148,500     11,000   11,000                                            11,000
AEROFLEX INC                    COM    007768104     197,500     10,000   10,000                                            10,000
ADVANCED MICRO DEVICES INC      COM    007903107     137,729      7,625    7,625                                             7,625
AEGON N V                       SPONSO 007924103     302,882      4,093    4,093                                             4,093
ADVANTA CORP                    CL A   007942105     543,497     30,091   30,091                                            30,091
ADVANTA CORP                    CL A   007942105     238,425     13,200   13,200                     02    2,900   10,300
ADVANTA CORP                    CL B   007942204     408,245     30,100   30,100                                            30,100
ADVANCED ENERGY INDS            COM    007973100     194,701      4,800    4,800                                             4,800
AETNA INC                       COM    008117103   2,191,493     24,503   24,503                                            24,503
AETNA INC                       COM    008117103      67,074        750               750            03                        750
AFFILIATED COMPUTER SERVICES    CL A   008190100      15,187        300      300                                               300
                                 PAGE TOTAL       38,070,073
PAGE:     4     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___
<S>                             <C>    <C>            <C>     <C>            <C>      <C>      <C> <C>       <C>      <C>      <C>
AFFYMETRIX INC                  COM    00826T108      24,687        500      500                                               500
AFTERMARKET TECHNOLOGY CORP     COM    008318107      98,962      8,700    8,700                                             8,700
AGRIBRANDS INTL INC             COM    00849R105       1,541         39       39                                                39
AGRIBRANDS INTL INC             COM    00849R105          39          1                 1            03                          1
AGRIBIOTECH INC NEV             COM    008494106          54          9        9                                                 9
AIR EXPRESS INTL CORP           COM    009104100     405,402     15,977            15,977            03                     15,977
AIR METHODS CORP                COM PA 009128307       3,958      1,809    1,809                                             1,809
AIR PRODS & CHEMS INC           COM    009158106       8,452        210      210                                               210
AIRBORNE FGHT CORP              COM    009266107     148,681      5,370    5,370                                             5,370
AIRGAS INC                      COM    009363102     635,019     51,840   51,840                                            51,840
AIRTRAN HLDGS INC               COM    00949P108      86,250     15,000   15,000                                            15,000
AIRTOUCH COMMUNICATIONS INC     COM    00949T100           0        763      763                                               763
AIRTOUCH COMMUNICATIONS INC     PFD C  00949T308  32,594,958    220,518  220,518                                           220,518
AKTIEBOLAGETT ELECTROLUX        SPONSO 010198208     289,590      6,895    6,895                                             6,895
AKTIEBOLAGETT ELECTROLUX        SPONSO 010198208     388,080      9,240             9,240            03                      9,240
AKZO NOBEL NV                   SPONSO 010199305       1,779         42                42            03                         42
ALASKA AIR GROUP INC            COM    011659109     768,781     18,414   18,414                                            18,414
ALBERTO CULVER CO               CL B C 013068101      21,299        800      800                                               800
ALBERTSONS INC                  COM    013104104   2,653,168     51,457   51,457                                            51,457
ALBERTSONS INC                  COM    013104104     412,478      8,000             8,000            03                      8,000
ALCAN ALUMINIUM LTD NEW         COM    013716105     130,942      4,100    4,100                                             4,100
ALCIDE CORP                     COM NE 013742507       4,050        225      225                                               225
ALCATEL ALSTHOM                 SPONSO 013904305     702,203     24,748   24,748                                            24,748
ALCATEL ALSTHOM                 SPONSO 013904305     283,751     10,000   10,000                     02    1,500    8,500
ALCATEL ALSTHOM                 SPONSO 013904305  10,104,094    356,108           356,108            03                    356,108
ALEXANDER & BALDWIN INC         COM    014482103       6,675        300      300                                               300
ALEXANDRIA REAL ESTATE EQ INC   COM    015271109   1,271,213     40,680   40,680                                            40,680
ALEXANDRIA REAL ESTATE EQ INC   COM    015271109      48,749      1,560             1,560            03                      1,560
ALGOS PHARMACEUTICAL CORP       COM    015869100      22,063      1,000    1,000                                             1,000
ALIGN-RITE INTL INC             COM    016251100      76,312      5,500    5,500                                             5,500
ALKERMES INC                    COM    01642T108     115,625      5,000    5,000                                             5,000
ALKERMES INC                    COM    01642T108   2,775,000    120,000  120,000                     01           120,000
ALKERMES INC                    COM    01642T108     291,376     12,600   12,600                     02    1,500   11,100
ALLEGHANY CORP DEL              COM    017175100     164,280        888      888                                               888
ALLEGHENY ENERGY INC            COM    017361106   1,634,076     50,965   50,965                                            50,965
ALLEGHENY TELEDYNE INC          COM    017415100     126,292      5,582    5,582                                             5,582
ALLEN TELECOM INC               COM    018091108     295,623     27,500   27,500                                            27,500
ALLERGAN INC                    COM    018490102     396,714      3,574    3,574                                             3,574
ALLERGAN INC                    COM    018490102      71,262        642               642            03                        642
ALLERGAN SPECIALTY THERAP       CL A   018494104         411         38       38                                                38
ALLIANCE CAP MGMT L P           UNIT L 018548107   5,550,326    171,776  171,776                                           171,776
ALLIANCE CAP MGMT L P           UNIT L 018548107      31,340        970               970            03                        970
ALLIANCE PHARMACEUTICAL CORP    COM    018773101   1,199,460    456,939  456,939                                           456,939
ALLIANCE WORLD DLR GV FD II     COM    01879R106      35,549      3,600    3,600                                             3,600
ALLIANCE WORLD DLR GV FD INC    COM    018796102       3,412        300      300                                               300
ALLIED HEALTHCARE PRODS INC     COM    019222108         828        500      500                                               500
ALLIED IRISH BKS P L C          SPONSD 019228402      81,750      3,000    3,000                                             3,000
ALLIEDSIGNAL INC                COM    019512102   3,548,821     56,330   56,330                                            56,330
ALLIEDSIGNAL INC                COM    019512102      11,970        190               190            03                        190
ALLIED WASTE INDS INC           COM PA 019589308      51,349      2,600    2,600                                             2,600
ALLMERICA FINL CORP             COM    019754100       6,081        100      100                                               100
ALLOU HEALTH & BEAUTY CARE INC  CL A   019782101     204,827     29,000   29,000                                            29,000
                                 PAGE TOTAL       67,789,602
PAGE:     5     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
<CAPTION>                                                                        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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___
<S>                             <C>    <C>            <C>     <C>            <C>      <C>      <C> <C>       <C>      <C>      <C>
ALLSTATE CORP                   COM    020002101  14,821,121    413,153  413,153                                           413,153
ALLSTATE CORP                   COM    020002101     548,734     15,297            15,297            03                     15,297
ALLTEL CORP                     COM    020039103   1,833,023     25,637   25,637                                            25,637
ALLTEL CORP                     COM    020039103     330,744      4,626             4,626            03                      4,626
ALPHA INDS INC                  COM    020753109      42,861        900      900                                               900
ALPHARMA INC                    CL A   020813101   2,154,045     60,570   60,570                                            60,570
ALTERA CORP                     COM    021441100   1,941,505     52,745   52,745                                            52,745
ALTERA CORP                     COM    021441100      84,880      2,306             2,306            03                      2,306
ALZA CORP DEL                   SUB DB 022615AD0   3,515,420  2,566,000 2566,000                                          2566,000
ALZA CORP DEL                   COM    022615108     453,696      8,918    8,918                                             8,918
ALZA CORP DEL                   WT EXP 022615157          37        301      301                                               301
AMAZON COM INC                  COM    023135106   1,392,496     11,129   11,129                                            11,129
AMAZON COM INC                  COM    023135106   6,675,544     53,351   53,351                     04            53,351
AMAZON COM INC                  COM    023135106   1,813,061     14,490   14,490                     07            14,490
AMBAC FINL GROUP INC            COM    023139108     125,675      2,200    2,200                                             2,200
AMBAC FINL GROUP INC            COM    023139108      25,706        450               450            03                        450
AMCOR LTD                       ADR NE 02341R302   5,012,419    222,775           222,775            03                    222,775
AMERADA HESS CORP               COM    023551104     195,398      3,284    3,284                                             3,284
AMEREN CORP                     COM    023608102       3,837        100      100                                               100
AMERICA ONLINE INC DEL          COM    02364J104  36,105,105    326,744  326,744                                           326,744
AMERICA ONLINE INC DEL          COM    02364J104   2,695,237     24,392            24,392            03                     24,392
AMERICA ONLINE INC DEL          COM    02364J104   2,990,900     27,190   27,190                     07            27,190
AMERICA WEST HLDG CORP          CL B   023657208     128,250      6,795    6,795                                             6,795
AMERICAN BANKERS INS GROUP INC  COM    024456105      27,219        500      500                                               500
AMERICAN BANKERS INS GROUP INC  COM    024456105       3,538         65                65            03                         65
AMERICAN BANKNOTE CORP          COM    024490104         206        600      600                                               600
AMERICAN ECOLOGY CORP           COM    025533100          17          7        7                                                 7
AMERICAN ELEC PWR INC           COM    025537101      99,541      2,650    2,650                                             2,650
AMERICAN EXPRESS CO             COM    025816109  13,477,012    103,571  103,571                                           103,571
AMERICAN EXPRESS CO             COM    025816109   2,135,628     16,413            16,413            03                     16,413
AMERICAN EXPRESS CO             COM    025816109   7,307,560     56,158   56,158                     04            56,158
AMERICAN HEALTHCHOICE INC       COM    025929100          15        200      200                                               200
AMERICAN GENERAL CORP           COM    026351106     747,779      9,921    9,921                                             9,921
AMERICAN GENERAL CORP           COM    026351106     221,970      2,945             2,945            03                      2,945
AMERICAN GREETINGS CORP         CL A   026375105   2,051,502     68,100   68,100                                            68,100
AMERICAN GREETINGS CORP         CL A   026375105      33,281      1,105             1,105            03                      1,105
AMERICAN HEALTH PPTYS INC       COM    026494104     553,924     27,525   27,525                                            27,525
AMERICAN HEALTH PPTYS INC       COM    026494104      42,061      2,090             2,090            03                      2,090
AMERICAN HERITAGE LIFE INVT     COM    026522102     404,470     16,509            16,509            03                     16,509
AMERICAN HOME PRODS CORP        COM    026609107   7,862,517    136,740  136,740                                           136,740
AMERICAN HOME PRODS CORP        COM    026609107     971,696     16,900            16,900            03                     16,900
AMERICAN HOMESTAR CORP          COM    026651109      28,359      4,125    4,125                                             4,125
AMERICAN INDTY FINL CORP        COM    026759100       1,724        121      121                                               121
AMERICAN INTL GROUP INC         COM    026874107   9,087,607     77,631   77,631                                            77,631
AMERICAN INTL GROUP INC         COM    026874107   5,787,843     49,445            49,445            03                     49,445
AMERICAN MGMT SYS INC           COM    027352103       1,378         43       43                                                43
AMERICAN MGMT SYS INC           COM    027352103      10,515        328               328            03                        328
AMERICAN NATL INS CO            COM    028591105     975,690     13,696   13,696                                            13,696
AMERICAN NATL INS CO            COM    028591105      14,603        205               205            03                        205
AMERICAN PWR CONVERSION CORP    COM    029066107     167,840      8,340    8,340                                             8,340
AMERICAN PWR CONVERSION CORP    COM    029066107       2,012        100               100            03                        100
AMERICAN PRECISION IND DEL      COM    029069101       5,106        475      475                                               475
                                 PAGE TOTAL      134,912,307
PAGE:     6     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(ITEM 1)                      (ITEM 2) (ITEM 3)    (ITEM 4)   (ITEM 5)          (ITEM 6)          (ITEM 7)        (ITEM 8)
<CAPTION>                                                                        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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___
<S>                             <C>    <C>            <C>     <C>            <C>      <C>      <C> <C>       <C>      <C>      <C>
AMERICAN REAL ESTATE PARTNR LP  DEPOSI 029169109       3,778        465      465                                               465
AMERICAN RESIDENTIAL INVS       COM    02926T103      45,724      6,200    6,200                                             6,200
AMERICAN TOWER CORP             CL A   029912201      36,000      1,500    1,500                                             1,500
AMERICREDIT CORP                COM    03060R101     218,480     13,655   13,655                                            13,655
AMERICREDIT CORP                COM    03060R101     724,400     45,275            45,275            03                     45,275
AMERIGON INC                    WT A E 03070L110           0     27,900   27,900                                            27,900
AMERISOURCE HEALTH CORP         CL A   03071P102       8,287        325               325            03                        325
AMERITRADE HLDG CORP            CL A   03072H109     137,800      1,300    1,300                                             1,300
AMES DEPT STORES INC            COM NE 030789507     182,500      4,000    4,000                                             4,000
AMES DEPT STORES INC            COM NE 030789507     511,000     11,200   11,200                     02    1,400    9,800
AMERITECH CORP NEW              COM    030954101     908,308     12,358   12,358                                            12,358
AMERITECH CORP NEW              COM    030954101     687,796      9,358             9,358            03                      9,358
AMERIGAS PARTNERS L P           UNIT L 030975106     305,775     15,100   15,100                                            15,100
AMF BOWLING INC                 COM    03113V109     981,837    116,359  116,359                     04           116,359
AMGEN INC                       COM    031162100  19,351,207    317,897  317,897                                           317,897
AMGEN INC                       COM    031162100   1,338,912     21,996            21,996            03                     21,996
AMKOR TECHNOLOGY INC            SB NT  031652AA8  10,309,704 10,425,00010425,000                                         10425,000
AMKOR TECHNOLOGY INC            COM    031652100      10,250      1,000    1,000                                             1,000
AMPAL AMERN ISRAEL CORP         CL A   032015109       2,687        500      500                                               500
AMPCO-PITTSBURGH CORP           COM    032037103       7,686        600      600                                               600
AMPEX CORP DEL                  CL A   032092108      25,315      5,000    5,000                                             5,000
AMSOUTH BANCORPORATION          COM    032165102      24,477      1,056    1,056                                             1,056
AMSOUTH BANCORPORATION          COM    032165102       3,013        130               130            03                        130
ANACOMP INC DEL                 WT EXP 032371114         146         16       16                                                16
ANADARKO PETE CORP              COM    032511107      36,813      1,000    1,000                                             1,000
ANADARKO PETE CORP              COM    032511107   2,576,910     70,000   70,000                     01            70,000
ANADIGICS INC                   COM    032515108       3,700        100      100                                               100
ANALOG DEVICES INC              COM    032654105   2,107,430     41,994   41,994                                            41,994
ANALOG DEVICES INC              COM    032654105      20,826        415               415            03                        415
ANAREN MICROWAVE INC            COM    032744104      48,158      2,307    2,307                                             2,307
ANDREW CORP                     COM    034425108   1,600,246     84,500   84,500                                            84,500
ANDREW CORP                     COM    034425108     331,407     17,500   17,500                     02    2,600   14,900
ANDRX CORP                      COM    034551101   1,386,360     17,976   17,976                                            17,976
ANESTA CORP                     COM    034603100     235,032     11,500   11,500                     02    1,800    9,700
ANHEUSER BUSCH COS INC          COM    035229103  13,271,817    187,101  187,101                                           187,101
ANHEUSER BUSCH COS INC          COM    035229103     315,854      4,453             4,453            03                      4,453
ANICOM INC                      COM    035250109     469,769     44,740   44,740                                            44,740
ANIXTER INTL INC                COM    035290105          36          2        2                                                 2
ANNTAYLOR STORES CORP           COM    036115103      49,635      1,103    1,103                                             1,103
ANNTAYLOR STORES CORP           COM    036115103      13,950        310               310            03                        310
ANTEC CORP                      COM    03664P105     115,264      3,595    3,595                                             3,595
ANTEC CORP                      COM    03664P105       2,885         90                90            03                         90
ANTEC CORP                      COM    03664P105     426,438     13,300   13,300                     07            13,300
AON CORP                        COM    037389103      65,876      1,597    1,597                                             1,597
AON CORP                        COM    037389103     117,269      2,843             2,843            03                      2,843
APACHE CORP                     COM    037411105   1,388,985     35,615   35,615                                            35,615
APACHE CORP                     COM    037411105     581,100     14,900   14,900                     02    3,500   11,400
APACHE CORP                     COM    037411105       3,900        100               100            03                        100
APARTMENT INVT & MGMT CO        CL A   03748R101      21,375        500      500                                               500
APCO ARGENTINA INC CAYMAN IS    ORD    037489101      11,974        670      670                                               670
APOLLO GROUP INC                CL A   037604105     243,051      9,150    9,150                                             9,150
APOLLO GROUP INC                CL A   037604105         796         30                30            03                         30
                                 PAGE TOTAL    1,061,271,938
PAGE:     7     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

APPLE COMPUTER INC              COM    037833100     501,553     10,830   10,830                                            10,830
APRIA HEALTHCARE GROUP INC      COM    037933108      31,450      1,850    1,850                                             1,850
APPLEWOODS INC                  COM NE 03814C202           0        425      425                                               425
APPLIED DIGITAL ACCESS INC      COM    038181103       2,250        500      500                                               500
APPLIED EXTRUSION TECHNOLOGIES  COM    038196101      15,250      2,000    2,000                                             2,000
APPLIED MAGNETICS CP DEL        COM    038213104       3,062      1,000    1,000                                             1,000
APPLIED MATLS INC               COM    038222105   5,507,226     74,549   74,549                                            74,549
APPLIED MATLS INC               COM    038222105   1,017,695     13,777            13,777            03                     13,777
APPLIED MATLS INC               COM    038222105   1,773,296     24,004   24,004                     07            24,004
APPLIED PWR INC                 CL A   038225108   1,511,466     55,345   55,345                                            55,345
APPLIED PWR INC                 CL A   038225108      13,108        480               480            03                        480
APPLIED SCIENCE & TECHNOLOGY    COM    038236105       1,147         51       51                                                51
APPLIED SIGNAL TECHNOLOGY INC   COM    038237103      57,000      6,000    6,000                                             6,000
APTARGROUP INC                  COM    038336103       3,300        110               110            03                        110
AQUARION CO                     COM    03838W101     390,956     11,251   11,251                                            11,251
AQUILA BIOPHARM INC             COM    03839F107       4,062      2,500    2,500                                             2,500
ARADIGM CORP                    COM    038505103       1,011        114      114                                               114
ARCHER DANIELS MIDLAND CO       COM    039483102     438,910     28,431   28,431                                            28,431
ARCHER DANIELS MIDLAND CO       COM    039483102     798,820     51,749            51,749            03                     51,749
ARCHSTONE CMNTYS TR             SH BEN 039581103      82,859      3,777    3,777                                             3,777
ARDEN RLTY GROUP INC            COM    039793104   1,128,763     45,840   45,840                                            45,840
ARDEN RLTY GROUP INC            COM    039793104      52,327      2,125             2,125            03                      2,125
ARDENT SOFTWARE INC             COM    039794102      21,250      1,000    1,000                                             1,000
ARGONAUT GROUP INC              COM    040157109       2,832        118      118                                               118
ARGOSY GAMING CO                COM    040228108     110,162     12,500   12,500                                            12,500
ARIAD PHARMACEUTICALS INC       COM    04033A100     123,162     98,537   98,537                                            98,537
ARIAD PHARMACEUTICALS INC       WT EXP 04033A118         252      4,000    4,000                                             4,000
ARIEL CORP                      COM    04033M104       2,281      1,000    1,000                                             1,000
ARISTA INVESTORS CORP           COM    040408106       3,750      2,500    2,500                                             2,500
ARKANSAS BEST CORP DEL          PFD A  040790206     105,000      3,000    3,000                                             3,000
ARMCO INC                       COM    042170100      69,595     10,505   10,505                                            10,505
ARMCO INC                       COM    042170100     198,750     30,000   30,000                     02    5,000   25,000
ARMOR HOLDINGS INC              COM    042260109       5,219        500      500                                               500
ARMSTRONG WORLD INDS INC        COM    042476101     477,856      8,266    8,266                                             8,266
ARMSTRONG WORLD INDS INC        COM    042476101     109,834      1,900             1,900            03                      1,900
ARQULE INC                      COM    04269E107      16,613      3,408    3,408                                             3,408
ARROW ELECTRS INC               COM    042735100     136,800      7,200    7,200                                             7,200
ARROW ELECTRS INC               COM    042735100       3,420        180               180            03                        180
ASARCO INC                      COM    043413103       5,662        301      301                                               301
ASCENT ENTMT GROUP INC          COM    043628106     149,682     10,597   10,597                                            10,597
ASHLAND INC                     COM    044204105      28,086        700      700                                               700
ASIA PAC FD INC                 COM    044901106      55,334      5,640    5,640                                             5,640
ASHWORTH INC                    COM    04516H101       4,625      1,000    1,000                                             1,000
ASIA TIGERS FD INC              COM    04516T105     160,820     16,929   16,929                                            16,929
ASIA PULP & PAPER LTD           SPONSO 04516V100   5,380,373    559,000  559,000                                           559,000
ASPECT DEV INC                  COM    045234101     986,216     53,309   53,309                                            53,309
ASPECT DEV INC                  COM    045234101   1,850,000    100,000  100,000                     01           100,000
ASPECT TELECOMMUNICATIONS CORP  COM    045237104     142,944     14,661   14,661                                            14,661
ASSOCIATED GROUP INC            CL A   045651106   8,017,825    123,115  123,115                                           123,115
ASSOCIATED GROUP INC            CL B   045651205   1,818,743     27,900   27,900                                            27,900
ASSOCIATED GROUP INC            CL B   045651205   4,889,100     75,000   75,000                     01            75,000
ASSOCIATED GROUP INC            CL B   045651205     938,700     14,400   14,400                     02    2,300   12,100
                                 PAGE TOTAL       39,150,397
PAGE:     8     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

AT HOME CORP                    COM SE 045919107   1,748,544     32,418   32,418                                            32,418
AT HOME CORP                    COM SE 045919107       1,186         22                22            03                         22
AT HOME CORP                    COM SE 045919107   4,440,500     82,326   82,326                     04            82,326
AT HOME CORP                    COM SE 045919107     204,964      3,800    3,800                     07             3,800
ASYMETRIX LEARNING SYS INC      COM    045927100     309,375     75,000   75,000                                            75,000
ASSOCIATES FIRST CAP CORP       CL A   046008108     415,007      9,366    9,366                                             9,366
ASSOCIATES FIRST CAP CORP       CL A   046008108   1,362,849     30,758            30,758            03                     30,758
ASTORIA FINL CORP               COM    046265104       3,075         70                70            03                         70
ASTRA AB                        SPONSO 046298105           0         66       66                                                66
ASTRA AB                        SPONSO 046298204           0        120               120            03                        120
ATLANTIC BK & TR MASS           COM    04822G102     175,725      9,900    9,900                                             9,900
ATLANTIC COAST AIRLINES HLDGS   COM    048396105     172,900      9,100    9,100                                             9,100
ATLANTIC COAST AIRLINES HLDGS   COM    048396105       1,330         70                70            03                         70
ATLANTIC RLTY TR                SH BEN 048798102      29,849      3,674    3,674                                             3,674
ATLANTIC RICHFIELD CO           COM    048825103   5,249,878     62,827   62,827                                            62,827
ATLANTIC RICHFIELD CO           COM    048825103     688,670      8,242             8,242            03                      8,242
ATLANTIC RICHFIELD CO           PREF C 048825400       6,075         18       18                                                18
ATLAS AIR INC                   COM    049164106       2,902         90       90                                                90
ATMEL CORP                      SBDBCV 049513AB0   1,283,100  3,000,000  3000,000                                          3000,000
ATMEL CORP                      COM    049513104   1,755,232     67,025   67,025                                            67,025
AUDIOVOX CORP                   CL A   050757103      55,000      5,000    5,000                                             5,000
AURA SYS INC                    COM    051526101      14,999     68,500   68,500                                            68,500
AUSPEX SYS INC                  COM    052116100      10,875      1,000    1,000                                             1,000
AUSTRALIA&NEW ZEALAND BKG GRP   SPONSO 052528304      74,615      2,010    2,010                                             2,010
AUTOMATIC DATA PROCESSING INC   COM    053015103     530,640     12,060   12,060                                            12,060
AUTOMATIC DATA PROCESSING INC   COM    053015103   2,826,648     64,242            64,242            03                     64,242
AUTOMATIC DATA PROCESSING INC   COM    053015103   1,684,056     38,274   38,274                     07            38,274
AUTOTOTE CORP                   CL A   053323101      13,535      5,700    5,700                                             5,700
AUTOZONE INC                    COM    053332102   1,112,808     36,940   36,940                                            36,940
AVANT IMMUNOTHERAPEUTICS INC    COM    053491106      13,175      6,200    6,200                                             6,200
AVATAR HLDGS INC                SUB NT 053494AD2     158,483    175,000  175,000                                           175,000
AVATAR HLDGS INC                COM    053494100   1,136,524     60,013   60,013                                            60,013
AVERY DENNISON CORP             COM    053611109     127,983      2,120    2,120                                             2,120
AVERY DENNISON CORP             COM    053611109     948,897     15,718            15,718            03                     15,718
AVID TECHNOLOGY INC             COM    05367P100     193,500     12,000   12,000                                            12,000
AVIVA PETE INC                  DEP SH 05379P304           0          2        2                                                 2
AVNET INC                       COM    053807103     405,800      8,727    8,727                                             8,727
AVNET INC                       COM    053807103      30,548        657               657            03                        657
AVON PRODS INC                  COM    054303102   4,936,996     88,955   88,955                                            88,955
AVON PRODS INC                  COM    054303102       9,990        180               180            03                        180
AWARE INC MASS                  COM    05453N100     987,065     21,400   21,400                                            21,400
AXA-UAP                         COM    054536107     329,005      5,280    5,280                                             5,280
AXA-UAP                         COM    054536107     537,725      8,630             8,630            03                      8,630
AXCESS INC                      COM    054546106          34         15       15                                                15
AXSYS TECHNOLOGIES INC          COM    054615109       3,967        345      345                                               345
BB&T CORP                       COM    054937107      42,558      1,160    1,160                                             1,160
BCE INC                         COM    05534B109     380,438      7,715    7,715                                             7,715
BEC ENERGY                      COM    05538M101   1,320,000     32,000   32,000                                            32,000
BG PLC                          COM    055434104     115,817      3,782             3,782            03                      3,782
BOC GROUP PLC                   SPONSO 055617609      72,559      1,800    1,800                                             1,800
BOC GROUP PLC                   SPONSO 055617609   5,519,649    136,930           136,930            03                    136,930
BP PRUDHOE BAY RTY TR           UNIT B 055630107      28,023      3,800    3,800                                             3,800
                                 PAGE TOTAL       41,473,073
PAGE:     9     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

BRE PROPERTIES INC              CL A   05564E106      15,562        600      600                                               600
BRT RLTY TR                     SH BEN 055645303      33,252      4,000    4,000                                             4,000
BTG INC                         COM    05576J101       4,950        825      825                                               825
BMC SOFTWARE INC                COM    055921100   4,114,692     76,198   76,198                                            76,198
BMC SOFTWARE INC                COM    055921100     299,322      5,543             5,543            03                      5,543
BAIRNCO CORP                    COM    057097107       4,500        600      600                                               600
BAKER HUGHES INC                COM    057224107     573,847     17,130   17,130                                            17,130
BAKER HUGHES INC                COM    057224107     125,449      3,745             3,745            03                      3,745
BALLARD PWR SYS INC             COM    05858H104      32,000      1,000    1,000                                             1,000
BALLY TOTAL FITNESS HLDG CORP   COM    05873K108      56,750      2,000    2,000                                             2,000
BANCFIRST CORP                  COM    05945F103      13,700        400      400                                               400
BANCO BILBAO VIZCAYA INTL GIBR  SPONSO 059456103      39,937      1,500    1,500                                             1,500
BANCO FRANCES DEL RIO DE LA PL  SPONSO 059591107      50,255      2,645    2,645                                             2,645
BANCTEC INC                     COM    059784108       4,932        275      275                                               275
BANGOR HYDRO ELEC CO            COM    060077104   1,972,084    122,300  122,300                                           122,300
BANK NEW YORK INC               COM    064057102   1,167,685     31,828   31,828                                            31,828
BANK NEW YORK INC               COM    064057102     906,223     24,702            24,702            03                     24,702
BANK NEW YORK INC               COM    064057102     293,504      8,000    8,000                     08             8,000
BANK TOKYO-MITSUBISHI LTD       SPONSO 065379109     499,357     34,290   34,290                                            34,290
BANK TOKYO-MITSUBISHI LTD       SPONSO 065379109      22,933      1,575             1,575            03                      1,575
BANK UTD CORP                   CL A   065412108      24,112        600               600            03                        600
BANKATLANTIC BANCORP            CL A   065908501       7,250      1,000    1,000                                             1,000
BANKBOSTON CORP                 COM    06605R106  15,696,847    307,042  307,042                                           307,042
BANKBOSTON CORP                 COM    06605R106     288,066      5,635             5,635            03                      5,635
BANYAN SYS INC                  COM    066908104      98,420      8,998    8,998                                             8,998
BARCLAYS BK PLC                 AM DEP 06738C836      20,149        800      800                                               800
BARNES & NOBLE INC              COM    067774109   1,626,718     59,430   59,430                                            59,430
BARNES & NOBLE INC              COM    067774109      11,769        430               430            03                        430
BARRICK GOLD CORP               COM    067901108   3,245,528    167,512  167,512                                           167,512
BARR LABS INC                   COM    068306109     576,982     14,470   14,470                                            14,470
BASS PUB LTD CO                 SPONSO 069904209      33,325      2,231    2,231                                             2,231
BASS PUB LTD CO                 SPONSO 069904209      95,997      6,427             6,427            03                      6,427
BASIN EXPL INC                  COM    070107107     200,626     10,000   10,000                     02    1,000    9,000
BATTLE MTN GOLD CO              COM    071593107         975        400      400                                               400
BATTLE MTN GOLD CO              PFD CO 071593305      74,086      2,175    2,175                                             2,175
BAUSCH & LOMB INC               COM    071707103      26,775        350      350                                               350
BAXTER INTL INC                 COM    071813109   3,318,716     54,744   54,744                                            54,744
BAXTER INTL INC                 COM    071813109     610,643     10,073            10,073            03                     10,073
BAY VIEW CAP CORP DEL           COM    07262L101       6,990        341      341                                               341
BAYCORP HLDGS CORP              COM    072728108          12          2        2                                                 2
BEA SYS INC                     COM    073325102     571,251     20,000   20,000                     02    3,000   17,000
BEAR STEARNS COS INC            COM    073902108   2,092,606     44,765   44,765                                            44,765
BEAR STEARNS COS INC            COM    073902108      27,113        580               580            03                        580
BECKMAN COULTER INC             COM    075811109      60,585      1,246    1,246                                             1,246
BECKMAN COULTER INC             COM    075811109      28,200        580               580            03                        580
BECTON DICKINSON & CO           COM    075887109   3,160,815    105,360  105,360                                           105,360
BECTON DICKINSON & CO           COM    075887109      10,800        360               360            03                        360
BED BATH & BEYOND INC           COM    075896100      35,227        915      915                                               915
BED BATH & BEYOND INC           COM    075896100     178,328      4,632             4,632            03                      4,632
BELCO OIL & GAS CORP            PFD CO 077410207      85,625      5,000    5,000                                             5,000
BELDEN INC                      COM    077459105      26,569      1,110             1,110            03                      1,110
BELL & HOWELL CO NEW            COM    077852101      22,687        600      600                                               600
                                 PAGE TOTAL       42,494,726
PAGE:    10     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

BELL ATLANTIC CORP              COM    077853109   3,816,778     58,384   58,384                                            58,384
BELL ATLANTIC CORP              COM    077853109   1,039,709     15,905            15,905            03                     15,905
BELLSOUTH CORP                  COM    079860102   3,068,745     65,467   65,467                                            65,467
BELLSOUTH CORP                  COM    079860102      88,920      1,897             1,897            03                      1,897
BELLWETHER EXPL CO              COM NE 079895207         869        158      158                                               158
BEMIS INC                       COM    081437105     430,437     10,829            10,829            03                     10,829
BENIHANA INC                    CL A   082047200       2,900        200      200                                               200
BENTLEY PHARMACEUTICALS INC     COM    082657107       1,150        400      400                                               400
BENTON OIL & GAS CO             COM    083288100      59,000     29,500   29,500                                            29,500
BERGEN BRUNSWIG CORP            CL A   083739102      40,674      2,358    2,358                                             2,358
BERINGER WINE ESTATES HOLDINGS  CL B   084102102      25,068        600      600                                               600
BERKSHIRE HATHAWAY INC DEL      CL A   084670108   3,238,300         47       47                                                47
BERKSHIRE HATHAWAY INC DEL      CL B   084670207  10,565,802      4,698    4,698                                             4,698
BERKSHIRE HATHAWAY INC DEL      CL B   084670207      13,494          6                 6            03                          6
BEST BUY INC                    COM    086516101     137,222      2,033    2,033                                             2,033
BESTFOODS                       COM    08658U101     494,505      9,990    9,990                                             9,990
BESTFOODS                       COM    08658U101     819,611     16,558            16,558            03                     16,558
BETHLEHEM STL CORP              COM    087509105         768        100      100                                               100
BEVERLY ENTERPRISES INC         COM NE 087851309      40,917      5,075    5,075                                             5,075
BIG ENTMT INC                   COM    089144109       2,343        150      150                                               150
BINDVIEW DEV CORP               COM    090327107       3,230        136      136                                               136
BIO-PLEXUS INC                  COM    09057C106      13,689      3,000    3,000                                             3,000
BIO TECHNOLOGY GEN CORP         COM    090578105      34,937      5,375    5,375                                             5,375
BIOCHEM PHARMA INC              COM    09058T108       3,750        200      200                                               200
BIOCHEM PHARMA INC              COM    09058T108      19,646      1,048             1,048            03                      1,048
BIOFIELD CORP                   COM    090591108         780      5,000    5,000                                             5,000
BIOGEN INC                      COM    090597105   7,517,555    116,892  116,892                                           116,892
BIOGEN INC                      COM    090597105      11,961        186               186            03                        186
BIOMATRIX INC                   COM    09060P102   1,487,799     68,800   68,800                                            68,800
BIOMET INC                      COM    090613100      13,912        350      350                                               350
BIOMET INC                      COM    090613100      52,467      1,320             1,320            03                      1,320
BIOTIME INC                     COM    09066L105       4,675        400      400                                               400
BIOLASE TECHNOLOGY INC          COM    090911108       2,625      1,000    1,000                                             1,000
BISCAYNE APPAREL INC            COM    091353102         126      8,410    8,410                                             8,410
BLACK & DECKER CORP             COM    091797100   1,399,907     22,177   22,177                                            22,177
BLACK BOX CORP DEL              COM    091826107       4,511         90                90            03                         90
BLACKROCK INVT QUALITY MUN TR   COM    09247D105          25          1        1                                                 1
BLACKROCK INCOME TR INC         COM    09247F100      58,198      8,702    8,702                                             8,702
BLACKROCK CA INSD MUN 2008 TRM  COM    09247G108      77,190      5,000    5,000                                             5,000
BLACKROCK FL INSD MUN 2008 TRM  COM    09247H106          14          0
BLACKROCK INSD MUN 2008 TRM TR  COM    09247K109          89          5        5                                                 5
BLACKROCK NY INSD MUN 2008 TRM  COM    09247L107      39,121      2,534    2,534                                             2,534
BLACKROCK 1999 TERM TR INC      COM    09247T100          36          3        3                                                 3
BLACKROCK 2001 TERM TR INC      COM    092477108      45,661      5,073    5,073                                             5,073
BLANCH E W HLDGS INC            COM    093210102      34,094        500      500                                               500
BLOCK H & R INC                 COM    093671105      14,500        290      290                                               290
BLOCK H & R INC                 COM    093671105      44,000        880               880            03                        880
BLUE DOLPHIN ENERGY CO          COM NE 095395208      66,000     11,000   11,000                                            11,000
BLUEGREEN CORP                  COM    096231105       3,472        646      646                                               646
BLYTH INDS INC                  COM    09643P108       3,093         90                90            03                         90
BOCA RESH INC                   COM    096888102      30,500      4,000    4,000                                             4,000
BODDIE NOELL PPTYS INC          COM    096903109     177,100     15,400   15,400                                            15,400
                                 PAGE TOTAL       35,051,875
PAGE:    11     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

BOEING CO                       COM    097023105  13,125,967    297,066  297,066                                           297,066
BOEING CO                       COM    097023105   1,316,837     29,803            29,803            03                     29,803
BOISE CASCADE CORP              COM    097383103     582,005     13,535   13,535                                            13,535
BOISE CASCADE CORP              COM    097383103     107,188      2,500    2,500                     02    1,500    1,000
BOISE CASCADE CORP              COM    097383103       4,429        103               103            03                        103
BOLDER TECHNOLOGIES CORP        COM    097519102       2,292        262      262                                               262
BORDEN CHEMS&PLASTIC LTD PARTN  DEPOS  099541203      66,026      9,267    9,267                                             9,267
BORDERS GROUP INC               COM    099709107      15,811      1,000    1,000                                             1,000
BORDERS GROUP INC               COM    099709107     143,889      9,100             9,100            03                      9,100
BORG-WARNER AUTOMOTIVE INC      COM    099724106   1,562,055     28,401   28,401                                            28,401
BORG-WARNER AUTOMOTIVE INC      COM    099724106      52,360        952               952            03                        952
BOSTON BEER INC                 CL A   100557107         806        100      100                                               100
BOSTON LIFE SCIENCES INC        COM NE 100843408     175,336     31,000   31,000                                            31,000
BOSTON PROPERTIES INC           COM    101121101   7,022,675    195,754  195,754                     04           195,754
BOSTON SCIENTIFIC CORP          COM    101137107   3,699,840     84,209   84,209                                            84,209
BOSTONFED BANCORP INC           COM    101178101     132,272      7,400             7,400            03                      7,400
BOUNDLESS CORP                  COM NE 101706208       1,175        200      200                                               200
BOWATER INC                     COM    102183100      14,316        303      303                                               303
BOWNE & CO INC                  COM    103043105      23,400      1,800    1,800                                             1,800
BOX HILL SYS CORP               COM    10316R108       5,875      1,000    1,000                                             1,000
BOYKIN LODGING CO               COM    103430104     812,042     52,818   52,818                                            52,818
BOYKIN LODGING CO               COM    103430104      11,914        775               775            03                        775
BRADLEY REAL ESTATE INC         COM    104580105      28,012      1,350    1,350                                             1,350
BRANDYWINE RLTY TR              SH BEN 105368203      11,887        600      600                                               600
BRAZIL FD INC                   COM    105759104       7,375        500      500                                               500
BRAZILIAN EQUITY FD INC         COM    105884100       7,312      1,500    1,500                                             1,500
BREED TECHNOLOGIES INC          COM    106702103      56,250     25,000   25,000                                            25,000
BRIGGS & STRATTON CORP          COM    109043109     343,664      5,951    5,951                                             5,951
BRIGHT HORIZON FAMILY SOLUTION  COM    109195107      14,873        788      788                                               788
BRIGHTSTAR INFO TECH GROUP INC  COM    10947N104      28,043      6,410    6,410                                             6,410
BRIGHTPOINT INC                 COM    109473108      83,384     13,753   13,753                                            13,753
BRINKER INTL INC                COM    109641100      78,161      2,875             2,875            03                      2,875
BRISTOL HOTEL & RESORTS INC     COM    110041100     223,875     29,850   29,850                                            29,850
BRISTOL HOTEL & RESORTS INC     COM    110041100      60,750      8,100             8,100            03                      8,100
BRISTOL MYERS SQUIBB CO         COM    110122108  13,456,476    191,044  191,044                                           191,044
BRISTOL MYERS SQUIBB CO         COM    110122108   2,610,155     37,058            37,058            03                     37,058
BRITISH AWYS PLC                ADR 2N 110419306     109,863      1,538    1,538                                             1,538
BRITISH AWYS PLC                ADR 2N 110419306     147,290      2,062             2,062            03                      2,062
BRITISH AMERN TOB PLC           SPONSO 110448107     122,733      6,376    6,376                                             6,376
BRITISH AMERN TOB PLC           SPONSO 110448107   6,075,938    315,652           315,652            03                    315,652
BRITISH STL PLC                 ADR FI 111015301       4,691        180      180                                               180
BRITISH STL PLC                 ADR FI 111015301   5,315,826    203,977           203,977            03                    203,977
BRITISH TELECOMMUNICATIONS PLC  ADR FI 111021408     278,274      1,625    1,625                                             1,625
BRITISH TELECOMMUNICATIONS PLC  ADR FI 111021408      36,815        215               215            03                        215
BROADBAND TECHNOLOGIES INC      COM    111309100       3,947      1,600    1,600                                             1,600
BROADCAST COM INC               COM    111310108      80,137        600      600                                               600
BROADCAST COM INC               COM    111310108     282,085      2,112    2,112                     04             2,112
BROADCOM CORP                   CL A   111320107     527,654      3,650    3,650                                             3,650
BROOKE GROUP LTD                COM    112525100      16,362        700      700                                               700
BROOKSTONE INC                  COM    114537103   1,325,250     85,500   85,500                                            85,500
BROWN & SHARPE MFG CO           CL A   115223109       1,087        200      200                                               200
BROWN TOM INC                   COM NE 115660201     438,863     28,200   28,200                     02    5,000   23,200
                                 PAGE TOTAL       60,655,542
PAGE:    12     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

BROWNING FERRIS INDS            COM    115885105      65,661      1,527    1,527                                             1,527
BROWNING FERRIS INDS            COM    115885105      17,200        400               400            03                        400
BRUNSWICK CORP                  COM    117043109      15,331        550      550                                               550
BUCKEYE PARTNERS L P            UNIT L 118230101     118,250      4,300    4,300                                             4,300
BUCKEYE TECHNOLOGIES INC        COM    118255108      18,225      1,200    1,200                                             1,200
BUCKLE INC                      COM    118440106       2,875        100      100                                               100
BUENOS AIRES EMBOTELLADORA S A  SPNSRD 119424208           0  1,068,244 1068,244                                          1068,244
BURLINGTON NORTHN SANTA FE CP   COM    12189T104     398,474     12,854   12,854                                            12,854
BURLINGTON RES INC              COM    122014103  10,790,011    249,493  249,493                                           249,493
BURLINGTON RES INC              COM    122014103     266,010      6,151             6,151            03                      6,151
BURNHAM PAC PPTYS INC           COM    12232C108     598,940     48,645   48,645                                            48,645
BURNHAM PAC PPTYS INC           COM    12232C108      24,626      2,000             2,000            03                      2,000
BUSINESS OBJECTS S A            SPONSO 12328X107      54,750      1,500    1,500                                             1,500
CB BANCSHARES INC HAWAII        COM    124785106       5,365        169      169                                               169
CBL & ASSOC PPTYS INC           COM    124830100   1,242,485     47,110   47,110                                            47,110
CBL & ASSOC PPTYS INC           COM    124830100      44,440      1,685             1,685            03                      1,685
CBT GROUP PUB LTD               SPNSRD 124853300      44,550      2,700    2,700                                             2,700
CCA INDS INC                    COM    124867102       8,595      5,000    5,000                                             5,000
CCB FINL CORP                   COM    124875105      15,787        300      300                     08               300
CBS CORP                        COM    12490K107     746,295     17,181   17,181                                            17,181
CBS CORP                        COM    12490K107   1,634,038     37,620            37,620            03                     37,620
CBS CORP                        COM    12490K107   8,018,772    184,073  184,073                     04           184,073
C COR ELECTRS INC               COM    125010108      96,670      3,468    3,468                                             3,468
C-CUBE MICROSYSTEMS INC         COM    125015107     148,933      4,700    4,700                                             4,700
CD RADIO INC                    COM    125127100     286,988      9,419    9,419                     04             9,419
CDW COMPUTER CTRS INC           COM    125129106      44,000      1,000    1,000                                             1,000
CHS ELECTRONICS INC             COM NE 12542A206       7,000      1,600    1,600                                             1,600
CIGNA CORP                      COM    125509109  17,428,514    195,826  195,826                                           195,826
CIGNA CORP                      COM    125509109     309,097      3,473             3,473            03                      3,473
CIT GROUP INC                   CL A   125577106     118,385      4,100    4,100                                             4,100
CIT GROUP INC                   CL A   125577106      47,438      1,643             1,643            03                      1,643
CKE RESTAURANTS INC             COM    12561E105      21,628      1,331    1,331                                             1,331
CKE RESTAURANTS INC             COM    12561E105     112,932      6,950             6,950            03                      6,950
CMG INFORMATION SVCS INC        COM    125750109     577,841      5,066    5,066                                             5,066
CMG INFORMATION SVCS INC        COM    125750109       7,755         68                68            03                         68
CML GROUP INC                   COM    125820100         359     16,375   16,375                                            16,375
CMP GROUP INC                   COM    125887109      83,801      3,200    3,200                                             3,200
CMS ENERGY CORP                 COM    125896100   2,160,686     51,603   51,603                                            51,603
CMS ENERGY CORP                 COM    125896100      23,029        550               550            03                        550
CNET INC                        COM    125945105     622,349     10,800   10,800                                            10,800
CTG RES INC                     COM    125957100     181,874      5,000    5,000                                             5,000
CSK AUTO CORP                   COM    125965103       1,890         70                70            03                         70
CNF TRANSN INC                  COM    12612W104      74,217      1,934    1,934                                             1,934
CNB BANCSHARES INC              COM    126126101     127,338      2,234    2,234                                             2,234
CNS INC                         COM    126136100      34,060     10,000   10,000                                            10,000
CRH PLC                         ADR    12626K203     182,500     10,000   10,000                                            10,000
CSC HLDGS INC                   PFD I  126304203      83,160        770      770                                               770
CSG SYS INTL INC                COM    126349109       6,547        250      250                                               250
CSX CORP                        COM    126408103     150,434      3,320    3,320                                             3,320
CTS CORP                        COM    126501105       1,750         25       25                                                25
CTS CORP                        COM    126501105       2,100         30                30            03                         30
CUNO INC                        COM    126583103      42,780      2,237    2,237                                             2,237
                                 PAGE TOTAL       47,116,735
PAGE:    13     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

CVS CORP                        COM    126650100   1,114,545     21,801   21,801                                            21,801
CVS CORP                        COM    126650100   1,599,110     31,280            31,280            03                     31,280
CABLE & WIRELESS PUB LTD CO     SPONSO 126830207     229,225      5,785    5,785                                             5,785
CABLE & WIRELESS PUB LTD CO     SPONSO 126830207     256,162      6,465             6,465            03                      6,465
CABLEVISION SYS CORP            CL A   12686C109     746,900     10,670   10,670                                            10,670
CABLEVISION SYS CORP            CL A   12686C109     280,000      4,000             4,000            03                      4,000
CABLEVISION SYS CORP            CL A   12686C109  10,919,930    155,999  155,999                     04           155,999
CABLETRON SYS INC               COM    126920107     243,763     18,751   18,751                                            18,751
CABLETRON SYS INC               COM    126920107     221,000     17,000   17,000                     02    3,400   13,600
CABLETEL COMMUNICATIONS CORP    COM    126925106       4,219      1,500    1,500                                             1,500
CABOT CORP                      COM    127055101   3,249,638    134,353  134,353                                           134,353
CABOT OIL & GAS CORP            CL A   127097103     372,501     20,000   20,000                     02    2,500   17,500
CACI INTL INC                   CL A   127190304     222,750      9,900    9,900                                             9,900
CADBURY SCHWEPPES PLC           ADR    127209302     439,310     16,500   16,500                                            16,500
CADBURY SCHWEPPES PLC           ADR    127209302     542,047     20,360            20,360            03                     20,360
CADENCE DESIGN SYSTEM INC       COM    127387108     734,344     57,606   57,606                                            57,606
CADENCE DESIGN SYSTEM INC       COM    127387108       6,055        475               475            03                        475
CALGON CARBON CORP              COM    129603106       5,788        975      975                                               975
CALIFORNIA FED BK FSB LOS ANGL  CONT L 130209604           9          4        4                                                 4
CALLAWAY GOLF CO                COM    131193104      99,591      6,810    6,810                                             6,810
CALLON PETE CO DEL              COM    13123X102       2,062        200      200                                               200
CAMBRIDGE HEART INC             COM    131910101     217,811     31,970   31,970                                            31,970
CAMBRIDGE TECH PARTNERS MASS    COM    132524109     125,011      7,118    7,118                                             7,118
CAMDEN PPTY TR                  SH BEN 133131102     138,750      5,000    5,000                                             5,000
CAMPBELL RES INC NEW            COM    134422104       2,191      7,000    7,000                                             7,000
CAMPBELL SOUP CO                COM    134429109     666,396     14,370   14,370                                            14,370
CAMPBELL SOUP CO                COM    134429109       6,956        150               150            03                        150
CANADIAN PAC LTD NEW            COM    135923100   3,026,630    127,100  127,100                                           127,100
CANADIAN PAC LTD NEW            COM    135923100      10,000        420               420            03                        420
CDN IMPERIAL BK OF COMMERCE     COM    136069101      24,000      1,000    1,000                                             1,000
CANADIAN NATL RY CO             COM    136375102      27,001        403      403                                               403
CANNONDALE CORP                 COM    137798104      17,062      1,500    1,500                                             1,500
CANON INC                       ADR    138006309     326,483     11,210   11,210                                            11,210
CANON INC                       ADR    138006309   6,471,194    222,202           222,202            03                    222,202
CAPITAL ONE FINL CORP           COM    14040H105     791,457     14,213   14,213                                            14,213
CAPITAL ONE FINL CORP           COM    14040H105     811,495     14,574            14,574            03                     14,574
CAPITAL PAC HLDGS INC           COM    14040M104     210,250     58,000   58,000                                            58,000
CAPROCK COMMUNICATIONS CORP     COM    140667106      20,250        500      500                                               500
CARDINAL HEALTH INC             COM    14149Y108   3,217,962     50,185   50,185                                            50,185
CARDINAL HEALTH INC             COM    14149Y108   1,500,696     23,404            23,404            03                     23,404
CARIBBEAN CIGAR CO              COM NE 141834200          93        375      375                                               375
CARLISLE COS INC                COM    142339100   3,437,564     71,434   71,434                                            71,434
CARLISLE COS INC                COM    142339100       7,216        150               150            03                        150
CARNIVAL CORP                   COM    143658102   5,518,537    113,786  113,786                                           113,786
CARNIVAL CORP                   COM    143658102   1,101,487     22,712            22,712            03                     22,712
CARRIAGE SVCS INC               CL A   143905107      81,080      4,325             4,325            03                      4,325
CAROLINA PWR & LT CO            COM    144141108     320,241      7,480    7,480                                             7,480
CASE CORP                       COM    14743R103     194,406      4,040    4,040                                             4,040
CASE CORP                       COM    14743R103   1,199,459     24,925            24,925            03                     24,925
CASH TECHNOLOGIES INC           COM    147910103      11,000      1,000    1,000                                             1,000
CASTLE DENTAL CTRS INC          COM    14844P105       1,875        300      300                                               300
CATALINA MARKETING CORP         COM    148867104     708,400      7,700    7,700                     02    1,000    6,700
                                 PAGE TOTAL       51,481,902
PAGE:    14     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

CATALYTICA INC                  COM    148885106      32,200      2,300    2,300                                             2,300
CATALYTICA INC                  COM    148885106     175,000     12,500   12,500                     02    1,900   10,600
CATAPULT COMMUNICATIONS CORP    COM    149016107      54,057      2,864    2,864                                             2,864
CATELLUS DEV CORP               COM    149111106      53,676      3,463    3,463                                             3,463
CATERPILLAR INC DEL             COM    149123101   1,956,720     32,612   32,612                                            32,612
CATERPILLAR INC DEL             COM    149123101      31,200        520               520            03                        520
CATSKILL FINL CORP              COM    149348104       4,748        290               290            03                        290
CAVANAUGHS HOSPITALITY CORP     COM    149564106     523,218     62,010   62,010                                            62,010
CELL GENESYS INC                COM    150921104     182,255     42,884   42,884                                            42,884
CELLSTAR CORP                   SUB NT 150925AC9       6,925     10,000   10,000                                            10,000
CELLSTAR CORP                   COM    150925105      25,199      3,200    3,200                                             3,200
CELERITEK INC                   COM    150926103       5,306        849      849                                               849
CELERITY SOLUTIONS INC          WT A E 15100P119           0        100      100                                               100
CELESTIAL SEASONINGS INC        COM    151016102      17,200        800      800                                               800
CELLPRO INC                     COM    151156106           0     10,500   10,500                                            10,500
CELLULAR COMMUNICATIONS P R     COM    15116N108      17,784        624      624                                               624
CELTRIX PHARMACEUTICALS INC     COM    151186103       5,000      4,000    4,000                                             4,000
CELTRIX PHARMACEUTICALS INC     COM    151186103       1,375      1,100             1,100            03                      1,100
CENDANT CORP                    COM    151313103   1,541,319     75,187   75,187                                            75,187
CENDANT CORP                    COM    151313103     461,250     22,500   22,500                     02    3,400   19,100
CENTEX CORP                     COM    152312104       1,126         30                30            03                         30
CENTOCOR INC                    SB DB  152342AE1   3,631,452  3,250,000 3250,000                                          3250,000
CENTOCOR INC                    COM    152342101     178,337      3,825    3,825                                             3,825
CENTOCOR INC                    COM    152342101   1,165,625     25,000   25,000                     01            25,000
CENTOCOR INC                    COM    152342101     466,250     10,000   10,000                     02    1,400    8,600
CENTRAL & SOUTH WEST CORP       COM    152357109     461,952     19,763   19,763                                            19,763
CENTRAL & SOUTH WEST CORP       COM    152357109      29,825      1,276             1,276            03                      1,276
CENTRAL EUROPEAN EQUITY FD INC  COM    153436100       5,225        400      400                                               400
CENTRAL EUROPEAN VALUE FD INC   COM    153455100      93,057      8,005    8,005                                             8,005
CENTRAL EUROPEAN VALUE FD INC   COM    153455100       4,935        424               424            03                        424
CENTRAL GARDEN & PET CO         SUB NT 153527AC0   6,019,800  7,620,000 7620,000                                          7620,000
CENTRAL HUDSON GAS & ELEC CORP  COM    153609102      16,800        400      400                                               400
CENTRAL SECS CORP               COM    155123102      31,098      1,136    1,136                                             1,136
CENTRAL SPRINKLER CORP          COM    155184104     126,930      4,503    4,503                                             4,503
CENTRAL VT PUB SVC CORP         COM    155771108      19,125      1,500    1,500                                             1,500
CENTURA BKS INC                 COM    15640T100     428,450      7,600    7,600                     08             7,600
CENTURY COMMUNICATIONS CORP     CL A   156503104      23,000        500      500                                               500
CENTURY COMMUNICATIONS CORP     CL A   156503104   2,070,000     45,000   45,000                     01            45,000
CERIDIAN CORP                   COM    15677T106      13,075        400      400                                               400
CERIDIAN CORP                   COM    15677T106      90,212      2,760             2,760            03                      2,760
CERNER CORP                     COM    156782104      43,425      2,071    2,071                                             2,071
CERPROBE CORP                   COM    156787103       4,460        446      446                                               446
CHAMPION ENTERPRISES INC        COM    158496109      17,656        948      948                                               948
CHAMPION INTL CORP              COM    158525105   1,101,595     23,010   23,010                                            23,010
CHAMPION INTL CORP              COM    158525105     314,051      6,560             6,560            03                      6,560
CHANCELLOR MEDIA CORP           COM    158915108   1,615,162     29,300   29,300                                            29,300
CHANCELLOR MEDIA CORP           COM    158915108       1,653         30                30            03                         30
CHARTER ONE FINL INC            COM    160903100      48,227      1,734    1,734                                             1,734
CHARTER ONE FINL INC            COM    160903100      52,086      1,873             1,873            03                      1,873
CHARTER MUN MTG ACCEP CO        SH BEN 160908109      18,373      1,434    1,434                                             1,434
CHARMING SHOPPES INC            COM    161133103         243         40       40                                                40
CHARTWELL DIVD & INCOME FD INC  COM    16139P104     131,175      9,900    9,900                                             9,900
                                 PAGE TOTAL       23,318,812
PAGE:    15     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

CHASE MANHATTAN CORP NEW        COM    16161A108   5,599,557     64,642   64,642                                            64,642
CHASE MANHATTAN CORP NEW        COM    16161A108   2,049,701     23,663            23,663            03                     23,663
CHECKFREE HLDGS CORP            COM    162816102       9,647        350      350                                               350
CHECKPOINT SYS INC              COM    162825103      10,725      1,200    1,200                                             1,200
CHEESECAKE FACTORY INC          COM    163072101      68,625      2,250    2,250                                             2,250
CHELSEA GCA RLTY INC            COM    163262108      37,125      1,000    1,000                                             1,000
CHEMFIRST INC                   COM    16361A106      24,313      1,000    1,000                                             1,000
CHESAPEAKE UTILS CORP           COM    165303108      14,849        800      800                                               800
CHEVRON CORPORATION             COM    166751107   5,084,547     53,417   53,417                                            53,417
CHEVRON CORPORATION             COM    166751107   1,605,227     16,866            16,866            03                     16,866
CHICAGO PIZZA & BREWERY INC     COM    167889104      19,380     10,000   10,000                                            10,000
CHICAGO TITLE CORP              COM    168228104      63,916      1,791    1,791                                             1,791
CHIEFTAIN INTL INC              COM    16867C101     830,725     47,470   47,470                                            47,470
CHILDRENS PL RETAIL STORES INC  COM    168905107      44,550      1,100    1,100                                             1,100
CHINA FD INC                    COM    169373107      40,424      3,334    3,334                                             3,334
CHINA TELECOM HONG KONG LTD     SPONSO 169428109     166,725      2,925    2,925                                             2,925
CHINA TELECOM HONG KONG LTD     SPONSO 169428109      20,520        360               360            03                        360
CHIQUITA BRANDS INTL INC        COM    170032106      45,000      5,000    5,000                                             5,000
CHIQUITA BRANDS INTL INC        PFD A  170032403     117,300      3,400    3,400                                             3,400
CHIREX INC                      COM    170038103     748,513     23,300   23,300                     02    9,500   13,800
CHIRON CORP                     COM    170040109     135,850      6,547    6,547                                             6,547
CHITTENDEN CORP                 COM    170228100     341,062     10,914   10,914                     08            10,914
CHOCK FULL O NUTS CORP          COM    170268106      10,364        993      993                                               993
CHRIS CRAFT INDS INC            COM    170520100   5,145,012    109,178  109,178                                           109,178
CHROMAVISION MED SYS INC        COM    17111P104       1,185        120      120                                               120
CHRYSLER CORP                   COM    171196108           0        100      100                                               100
CHUBB CORP                      COM    171232101     542,100      7,800    7,800                                             7,800
CHUBB CORP                      COM    171232101      48,650        700               700            03                        700
CHURCHILL DOWNS INC             COM    171484108       6,693        194      194                                               194
CIBER INC                       COM    17163B102     118,946      6,220    6,220                                             6,220
CIENA CORP                      COM    171779101     235,463      7,800    7,800                                             7,800
CIENA CORP                      COM    171779101     301,875     10,000   10,000                     02    1,500    8,500
CILCORP INC                     COM    171794100      12,500        200      200                                               200
CINCINNATI BELL INC             COM    171870108   1,587,370     63,660   63,660                                            63,660
CINCINNATI BELL INC             COM    171870108      25,560      1,025             1,025            03                      1,025
CINAR FILMS INC                 LTD VT 171905300     465,500     19,000   19,000                     02    3,300   15,700
CINEMASTAR LUXURY THEATERS INC  WT EXP 17244C111           4      4,400    4,400                                             4,400
CIRCUIT CITY STORE INC          CIRCT  172737108     813,750      8,750    8,750                                             8,750
CISCO SYS INC                   COM    17275R102  38,198,118    592,219  592,219                                           592,219
CISCO SYS INC                   COM    17275R102   2,899,710     45,000   45,000                     01            45,000
CISCO SYS INC                   COM    17275R102   5,295,760     82,105            82,105            03                     82,105
CISCO SYS INC                   COM    17275R102   1,985,593     30,814   30,814                     04            30,814
CISCO SYS INC                   COM    17275R102   3,264,816     50,666   50,666                     07            50,666
CINTAS CORP                     COM    172908105     179,389      2,670    2,670                                             2,670
CINTAS CORP                     COM    172908105       6,718        100               100            03                        100
CITIZENS BKG CORP MICH          COM    174420109      31,866      1,060    1,060                                             1,060
CITIZENS UTILS CO DEL           CL B   177342201      55,625      5,000    5,000                                             5,000
CITIZENS UTILS CO DEL           CL B   177342201     278,126     25,000   25,000                     02    3,500   21,500
CITRIX SYS INC                  COM    177376100       3,390         60       60                                                60
CITRIX SYS INC                  COM    177376100      18,757        332               332            03                        332
CITY NATL CORP                  COM    178566105      87,042      2,325    2,325                                             2,325
CITY NATL CORP                  COM    178566105       2,246         60                60            03                         60
                                 PAGE TOTAL       78,700,409
PAGE:    16     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

CITY NATL CORP                  COM    178566105     168,471      4,500    4,500                     08             4,500
CLAIRE'S STORES INC             COM    179584107     320,312     12,500   12,500                                            12,500
CLAIRE'S STORES INC             COM    179584107     349,125     13,625            13,625            03                     13,625
CLARION COML HLDGS INC          CL A   18051W109      87,750     13,000   13,000                                            13,000
CLAYTON HOMES INC               COM    184190106      34,438      3,011    3,011                                             3,011
CLAYTON HOMES INC               COM    184190106      38,021      3,325             3,325            03                      3,325
CLEAR CHANNEL COMMUNICATIONS    COM    184502102     971,539     14,093   14,093                                            14,093
CLEAR CHANNEL COMMUNICATIONS    COM    184502102     128,271      1,861             1,861            03                      1,861
CLEAR CHANNEL COMMUNICATIONS    COM    184502102   5,126,643     74,366   74,366                     04            74,366
CLEARNET COMMUNICATIONS INC     CL A N 184902104     174,225     12,500            12,500            03                     12,500
CLEVELAND INDIANS BASEBALL      CL A   186202107      55,125      3,000    3,000                                             3,000
CLINICHEM DEV INC               CL A   186906103          32          5        5                                                 5
CLINTRIALS RESEARCH INC         COM    188767107      25,000      5,000    5,000                                             5,000
CLOROX CO DEL                   COM    189054109      32,043        300      300                                               300
CLOROX CO DEL                   COM    189054109     519,073      4,860             4,860            03                      4,860
CLOSURE MED CORP                COM    189093107     105,000      3,500    3,500                                             3,500
COASTAL CORP                    COM    190441105   1,884,520     47,113   47,113                                            47,113
COASTAL CORP                    COM    190441105      69,520      1,738             1,738            03                      1,738
COCA COLA CO                    COM    191216100  12,034,956    192,561  192,561                                           192,561
COCA COLA CO                    COM    191216100   2,633,373     42,135            42,135            03                     42,135
COCA COLA ENTERPRISES INC       COM    191219104      93,018      3,025    3,025                                             3,025
COCA COLA ENTERPRISES INC       COM    191219104     877,865     28,550            28,550            03                     28,550
COGNEX CORP                     COM    192422103      38,696      1,226    1,226                                             1,226
COGNICASE INC                   COM    192423101       8,498        519      519                                               519
COHERENT INC                    COM    192479103       8,567        460      460                                               460
COHO ENERGY INC                 COM    192481109         156        300      300                                               300
COLGATE PALMOLIVE CO            COM    194162103   1,003,189     10,159   10,159                                            10,159
COLGATE PALMOLIVE CO            COM    194162103   2,194,653     22,225            22,225            03                     22,225
COLLAGEN AESTHETIC INC          COM    194194106       1,677        122      122                                               122
COLONIAL HIGH INCOME MUN TR     SH BEN 195743109      98,224     12,374   12,374                                            12,374
COLONIAL INTER HIGH INCOME FD   SH BEN 195763107       5,926        903      903                                               903
COLONIAL MUN INCOME TR          SH BEN 195799101     103,753     15,371   15,371                                            15,371
COLONIAL PPTYS TR               COM SH 195872106      28,250      1,000    1,000                                             1,000
COLTEC INDS INC                 COM    196879100     517,795     23,875   23,875                                            23,875
COLUMBIA ENERGY GROUP           COM    197648108   1,589,200     25,352   25,352                                            25,352
COLUMBIA ENERGY GROUP           COM    197648108       1,316         21                21            03                         21
COLUMBIA/HCA HEALTHCARE CORP    COM    197677107   2,947,913    129,228  129,228                                           129,228
COLUMBIA/HCA HEALTHCARE CORP    COM    197677107     228,125     10,000   10,000                     02    1,500    8,500
COLUMBIA/HCA HEALTHCARE CORP    COM    197677107   1,419,535     62,228            62,228            03                     62,228
COLUMBIA LABS INC               COM    197779101      89,911     10,500   10,500                                            10,500
COMAIR HOLDINGS INC             COM    199789108       3,016        145               145            03                        145
COMCAST CORP                    CL A   200300101     145,433      4,061    4,061                                             4,061
COMCAST CORP                    CL A   200300101       4,225        118               118            03                        118
COMCAST CORP                    CL A   200300101   4,514,408    126,055  126,055                     04           126,055
COMCAST CORP                    CL A S 200300200   2,553,387     66,429   66,429                                            66,429
COMCAST CORP                    CL A S 200300200     547,260     14,240            14,240            03                     14,240
COMCAST CORP                    CL A S 200300200  17,967,382    467,438  467,438                     04           467,438
COMCAST CORP                    CL A S 200300200   1,552,895     40,400   40,400                     07            40,400
COMDISCO INC                    COM    200336105       7,687        300      300                                               300
COMDISCO INC                    COM    200336105   2,690,625    105,000  105,000                     01           105,000
COMDISCO INC                    COM    200336105     486,875     19,000   19,000                     02    3,000   16,000
COMERICA INC                    COM    200340107     664,748     11,184   11,184                                            11,184
                                 PAGE TOTAL       67,151,645
PAGE:    17     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

COMERICA INC                    COM    200340107     249,639      4,200    4,200                     08             4,200
COMMERCE BANCSHARES INC         COM    200525103       7,607        189      189                                               189
COMMERCIAL FEDERAL CORPORATION  COM    201647104     148,403      6,400    6,400                     08             6,400
COMMERCIAL METALS CO            COM    201723103      57,000      2,000    2,000                                             2,000
COMMERCIAL NET LEASE RLTY INC   COM    202218103      12,875      1,000    1,000                                             1,000
COMMNET CELLULAR INC            COM    202604203      13,125        500      500                                               500
COMMONWEALTH TEL ENTERPRISES    COM    203349105      40,438      1,000    1,000                                             1,000
COMMSCOPE INC                   COM    203372107      81,241      2,642    2,642                                             2,642
COMMSCOPE INC                   COM    203372107     461,250     15,000   15,000                     02    3,000   12,000
COMMSCOPE INC                   COM    203372107       3,997        130               130            03                        130
COMMUNITY FIRST BANKSHARES INC  COM    203902101       1,432         60                60            03                         60
COMMUNITY CARE SVCS INC         WT A E 203908116           0     20,375   20,375                                            20,375
COMPANHIA CERVEJARIA BRAHMA     SPONSD 20440X103       4,072        360      360                                               360
COMPANHIA CERVEJARIA BRAHMA     SPONSD 20440X103   3,840,407    339,512           339,512            03                    339,512
COMPANIA ANONIMA NACIONL TEL    SPN AD 204421101       5,722        210      210                                               210
COMPANIA ANONIMA NACIONL TEL    SPN AD 204421101   4,826,490    177,129           177,129            03                    177,129
COMPASS BANCSHARES INC          COM    20449H109      12,262        450      450                                               450
COMPAQ COMPUTER CORP            COM    204493100   7,893,763    333,250  333,250                                           333,250
COMPAQ COMPUTER CORP            COM    204493100      62,836      2,653             2,653            03                      2,653
COMPAQ COMPUTER CORP            COM    204493100     885,931     37,400   37,400                     07            37,400
COMPETITIVE TECHNOLOGIES INC    COM    204512107         331         50       50                                                50
COMPLETE BUSINESS SOLUTIONS     COM    20452F107       9,865        550      550                                               550
COMPUTER ASSOC INTL INC         COM    204912109  36,489,777    663,450  663,450                                           663,450
COMPUTER ASSOC INTL INC         COM    204912109     528,330      9,606             9,606            03                      9,606
COMPUTER ASSOC INTL INC         COM    204912109   1,562,456     28,538   28,538                     07            28,538
COMPUSA INC                     COM    204932107      38,119      5,125    5,125                                             5,125
COMPUTER SCIENCES CORP          COM    205363104  10,991,184    158,860  158,860                                           158,860
COMPUTER SCIENCES CORP          COM    205363104   1,264,763     18,281            18,281            03                     18,281
COMPUTER SCIENCES CORP          COM    205363104   1,419,323     20,514   20,514                     07            20,514
COMPUTER TASK GROUP INC         COM    205477102      17,000      1,000    1,000                                             1,000
COMPUTRON SOFTWARE INC          COM    205631104       5,159      5,500    5,500                                             5,500
COMPUWARE CORP                  COM    205638109   3,649,404    114,721  114,721                                           114,721
COMPUWARE CORP                  COM    205638109      65,525      2,060             2,060            03                      2,060
COMPUWARE CORP                  COM    205638109     362,663     11,400   11,400                     07            11,400
COMSAT CORP                     COM SE 20564D107   6,177,787    190,086  190,086                                           190,086
COMSAT CORP                     COM SE 20564D107     228,311      7,025             7,025            03                      7,025
COMSTOCK RES INC                COM NE 205768203     104,026     31,400   31,400                                            31,400
COMVERSE TECHNOLOGY INC         COM PA 205862402   2,435,079     32,253   32,253                                            32,253
COMVERSE TECHNOLOGY INC         COM PA 205862402      21,290        282               282            03                        282
CONAGRA INC                     COM    205887102     222,707      8,365    8,365                                             8,365
CONCENTRIC NETWORK CORP         COM    20589R107      15,900        400      400                                               400
CONCENTRA MANAGED CARE INC      COM    20589T103     419,191     28,300            28,300            03                     28,300
COMPUTER HORIZONS CORP          COM    205908106      27,626      2,000    2,000                                             2,000
CONCORD EFS INC                 COM    206197105       1,692         40                40            03                         40
CONCURRENT COMPUTER CORP NEW    COM    206710204      12,626      2,000    2,000                                             2,000
CONE MLS CORP N C               COM    206814105       6,000      1,000    1,000                                             1,000
CONMED CORP                     COM    207410101      85,749      2,800    2,800                                             2,800
CONMED CORP                     COM    207410101       2,143         70                70            03                         70
CONSECO INC                     COM    208464107  20,943,831    688,111  688,111                                           688,111
CONSECO INC                     COM    208464107     321,214     10,554            10,554            03                     10,554
CONSOLIDATED EDISON INC         COM    209115104   1,193,511     26,376   26,376                                            26,376
CONSOLIDATED EDISON INC         COM    209115104       4,389         97                97            03                         97
                                 PAGE TOTAL      107,235,461
PAGE:    18     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

CONSOLIDATED FREIGHTWAYS CORP   COM    209232107      12,188        949      949                                               949
CONSOLIDATED NAT GAS CO         COM    209615103     123,868      2,039    2,039                                             2,039
CONSOLIDATED PAPERS INC         COM    209759109     181,364      6,780    6,780                                             6,780
CONTINENTAL AIRLS INC           CL A   210795209       1,357         76       76                                                76
CONTINENTAL AIRLS INC           CL B   210795308     478,235     12,827   12,827                                            12,827
CONTINENTAL AIRLS INC           CL B   210795308     293,475      7,800    7,800                     02    1,600    6,200
CONTINENTAL AIRLS INC           CL B   210795308         564         15                15            03                         15
CONVERGYS CORP                  COM    212485106     875,259     45,475   45,475                                            45,475
CONVERGYS CORP                  COM    212485106       9,528        495               495            03                        495
CONVERSION TECHNOLOGIES INTL    WT A E 212546113           0      3,600    3,600                                             3,600
CONVERSION TECHNOLOGIES INTL    WT B E 212546121           0      2,500    2,500                                             2,500
COOKER RESTAURANT CORP          COM NE 216284208      19,491      3,504    3,504                                             3,504
COOPER CAMERON CORP             COM    216640102     157,141      4,240    4,240                                             4,240
COOPER INDS INC                 COM    216669101     118,560      2,280    2,280                                             2,280
COOPER TIRE & RUBR CO           COM    216831107      28,350      1,200    1,200                                             1,200
COORS ADOLPH CO                 CL B   217016104       2,277         46       46                                                46
COPART INC                      COM    217204106     140,239      6,600             6,600            03                      6,600
COPYTELE INC                    COM    217721109      27,504     16,000   16,000                                            16,000
COR THERAPEUTICS INC            COM    217753102      35,400      2,400    2,400                                             2,400
CORAM HEALTHCARE CORP           COM    218103109      36,459     20,835   20,835                                            20,835
CORDANT TECHNOLOGIES INC        COM    218412104     192,040      4,250             4,250            03                      4,250
COREL CORPORATION               COM    21868Q109       6,785      1,751    1,751                                             1,751
CORIMON CA                      SPN AD 218728509      15,015     15,000   15,000                                            15,000
CORNERSTONE PROPANE PARTNR L P  UNIT L 218916104     563,742     31,986   31,986                                            31,986
CORNERSTONE PPTYS INC           COM    21922H103       6,349        400      400                                               400
CORNERSTONE RLTY INCOME TR INC  COM    21922V102     966,893     89,945   89,945                                            89,945
CORNING INC                     COM    219350105   2,903,028     41,399   41,399                                            41,399
CORPORATE EXPRESS INC           COM    219888104      26,950      3,850    3,850                                             3,850
CORPORATE EXPRESS INC           COM    219888104     227,500     32,500   32,500                     02    5,000   27,500
CORPORATE OFFICE PPTYS TR       SH BEN 22002T108      62,228      7,600    7,600                                             7,600
CORTECS PLC                     SPNSRD 220512206      11,249     10,000   10,000                                            10,000
COSTCO COMPANIES INC            COM    22160Q102   1,447,884     18,085   18,085                                            18,085
COSTCO COMPANIES INC            COM    22160Q102   1,725,898     21,558            21,558            03                     21,558
COSTILLA ENERGY INC             COM    22161G103          57        370      370                                               370
COTT CORP QUE                   COM    22163N106          36         10       10                                                10
COTT CORP QUE                   COM    22163N106     148,625     41,000   41,000                     02    7,400   33,600
COUNTRYWIDE CR INDS INC DEL     COM    222372104     346,484      8,105    8,105                                             8,105
COUNTRYWIDE CR INDS INC DEL     COM    222372104       1,068         25                25            03                         25
COUSINS PPTYS INC               COM    222795106     179,242      5,301    5,301                                             5,301
COVANCE INC                     COM    222816100      72,743      3,039    3,039                                             3,039
COVENTRY HEALTH CARE INC        COM    222862104       1,203        110               110            03                        110
COVEST BANCSHARES INC           COM    223032103       4,908        330               330            03                        330
COX COMMUNICATIONS INC NEW      CL A   224044107   3,948,539    107,265  107,265                                           107,265
COX COMMUNICATIONS INC NEW      CL A   224044107      18,588        505               505            03                        505
COX COMMUNICATIONS INC NEW      CL A   224044107  11,227,891    304,998  304,998                     04           304,998
CRANE CO                        COM    224399105   2,471,263     78,614   78,614                                            78,614
CRANE CO                        COM    224399105      13,516        430               430            03                        430
CRAWFORD & CO                   CL B   224633107      16,250      1,000    1,000                                             1,000
CRAWFORD & CO                   CL A   224633206       6,075        450      450                                               450
CREATIVE COMPUTERS INC          COM    22527E107      20,800      2,600    2,600                                             2,600
CREDENCE SYS CORP               NT CV  225302AC2     370,528    410,000  410,000                                           410,000
CREDENCE SYS CORP               COM    225302108      87,872      2,367    2,367                                             2,367
                                 PAGE TOTAL       29,632,508
PAGE:    19     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

CREDIT ACCEP CORP MICH          COM    225310101         540         90       90                                                90
CREDITRUST CORP                 COM    225429109     463,424     16,700   16,700                                            16,700
CRESCENDO PHARMACEUTICALS CORP  CL A   225637107       1,913        111      111                                               111
CRESCENT OPER INC               COM    22575M100         136         20       20                                                20
CRESCENT OPER INC               COM    22575M100     355,843     52,230   52,230                     04            52,230
CRESCENT REAL ESTATE EQUITIES   COM    225756105   3,023,011    127,285  127,285                                           127,285
CRESCENT REAL ESTATE EQUITIES   COM    225756105       2,375        100               100            03                        100
CRESCENT REAL ESTATE EQUITIES   PFD CV 225756204     196,937     11,500   11,500                                            11,500
CRIIMI MAE INC                  COM    226603108      12,037      5,350    5,350                                             5,350
CROMPTON & KNOWLES CORP         COM    227111101      38,147      1,950    1,950                                             1,950
CROMPTON & KNOWLES CORP         COM    227111101     276,500     14,000   14,000                     02    3,400   10,600
CROSS TIMBERS RTY TR            TR UNI 22757R109       5,062        500      500                                               500
CROWN AMERN RLTY TR             SH BEN 228186102       3,912        535      535                                               535
CROWN CENT PETE CORP            CL A   228219101      11,875      1,000    1,000                                             1,000
CROWN CORK & SEAL INC           COM    228255105   1,360,008     47,720   47,720                                            47,720
CROWN CORK & SEAL INC           COM    228255105     166,150      5,830             5,830            03                      5,830
CROWN PAC PARTNERS L P          UNIT L 228439105      38,250      1,700    1,700                                             1,700
CROWN VANTAGE INC               COM    228622106          69         32       32                                                32
CRYOLIFE INC                    COM    228903100      12,250      1,000    1,000                                             1,000
CULLEN FROST BANKERS INC        COM    229899109       3,306        120               120            03                        120
CULLEN FROST BANKERS INC        COM    229899109     275,630     10,000   10,000                     08            10,000
CUMMINS ENGINE INC              COM    231021106     255,912      4,480    4,480                                             4,480
CURAGEN CORP                    COM    23126R101     547,200     68,400   68,400                                            68,400
CYBERIAN OUTPOST INC            COM    231914102      39,752      4,000    4,000                                             4,000
CUSTOMTRACKS CORP               COM    232046102      11,187        200      200                                               200
CUSTOMTRACKS CORP               COM    232046102     167,812      3,000    3,000                     02      300    2,700
CYBERCASH INC                   COM    232462101      75,596      5,900    5,900                                             5,900
CYBERONICS INC                  COM    23251P102       8,750        700      700                                               700
CYCOMM INTL INC                 COM NE 23255B208       1,662      1,900    1,900                                             1,900
CYGNUS INC                      COM    232560102       6,500        500      500                                               500
CYLINK CORP                     COM    232565101       3,750      1,000    1,000                                             1,000
CYMER INC                       COM    232572107     743,750     29,750   29,750                                            29,750
CYPRESS SEMICONDUCTOR CORP      COM    232806109      19,800      1,200    1,200                                             1,200
CYPRUS AMAX MINERALS CO         COM    232809103       7,594        500      500                                               500
CYTEC INDS INC                  COM    232820100       2,008         63       63                                                63
CYTOGEN CORP                    COM    232824102       1,938      1,000    1,000                                             1,000
CYTYC CORP                      COM    232946103      78,000      4,000    4,000                                             4,000
DII GROUP INC                   COM    232949107   1,791,024     48,000   48,000                                            48,000
DII GROUP INC                   COM    232949107       2,424         65                65            03                         65
D G JEWELLERY CDA LTD           COM    23321U107       1,906        250      250                                               250
DLJ HIGH YIELD BD FD            SH BEN 23322Y108      23,958      2,662    2,662                                             2,662
DQE INC                         COM    23329J104   1,452,524     36,200   36,200                                            36,200
DPL INC                         COM    233293109      64,289      3,499    3,499                                             3,499
DPL INC                         COM    233293109       4,299        234               234            03                        234
DRS TECHNOLOGIES INC            COM    23330X100       5,281        500               500            03                        500
D R HORTON INC                  COM    23331A109       1,662        100      100                                               100
D R HORTON INC                  COM    23331A109       1,329         80                80            03                         80
DSP GROUP INC                   COM    23332B106      39,528      1,098    1,098                                             1,098
DSP COMMUNICATIONS INC          COM    23332K106     144,376      5,000    5,000                     02      500    4,500
DTE ENERGY CO                   COM    233331107     626,120     15,653   15,653                                            15,653
DAL-TILE INTL INC               COM    23426R108       5,687        500      500                                               500
DAL-TILE INTL INC               COM    23426R108     472,063     41,500   41,500                     02    3,900   37,600
                                 PAGE TOTAL       12,855,056
PAGE:    20     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

DANA CORP                       COM    235811106   1,446,589     31,405   31,405                                            31,405
DANAHER CORP DEL                COM    235851102      71,318      1,227    1,227                                             1,227
DANAHER CORP DEL                COM    235851102      31,094        535               535            03                        535
DANIELSON HLDG CORP             COM    236274106      12,483      2,171    2,171                                             2,171
DANKA BUSINESS SYS PLC          SPONSO 236277109   2,250,000    400,000  400,000                     01           400,000
DAOU SYS INC                    COM    237015102       7,049      1,226    1,226                                             1,226
DARDEN RESTAURANTS INC          COM    237194105     126,724      5,810    5,810                                             5,810
DARLING INTL INC                COM    237266101   2,086,317  1,076,532 1076,532                                          1076,532
DARLING INTL INC                COM    237266101   1,120,061    577,947           577,947            06                    577,947
DATA BROADCASTING CORP          COM    237596101      34,498      3,266    3,266                                             3,266
DATA DIMENSIONS INC             COM PA 237654207      13,252      4,000    4,000                                             4,000
DATA GEN CORP                   COM    237688106      50,970      3,500    3,500                                             3,500
DATA SYS & SOFTWARE INC         COM    237887104       3,160        887      887                                               887
DATA TRANSMISSION NETWORK CORP  COM    238017107     351,562     12,500   12,500                                            12,500
DATASCOPE CORP                  COM    238113104       5,814        181      181                                               181
DATUM INC                       COM    238208102         431         39       39                                                39
DAUGHERTY RES INC               COM    238215107         484        165      165                                               165
DAVOX CORP                      COM    239208101      38,822      3,252    3,252                                             3,252
DAYTON HUDSON CORP              COM    239753106   1,968,200     30,280   30,280                                            30,280
DAYTON HUDSON CORP              COM    239753106      52,130        802               802            03                        802
DE BEERS CONS MINES LTD         ADR DE 240253302       8,714        365      365                                               365
DE BEERS CONS MINES LTD         ADR DE 240253302   5,047,108    211,409           211,409            03                    211,409
DEBT STRATEGIES FD II INC       COM    242901106      11,050      1,300    1,300                                             1,300
DECORA INDS INC                 COM NE 243593308      12,750      2,000    2,000                                             2,000
DEERE & CO                      COM    244199105     869,621     21,947   21,947                                            21,947
DEERE & CO                      COM    244199105     132,501      3,344             3,344            03                      3,344
DEL LABS INC                    COM    245091103     177,515     12,349   12,349                                            12,349
DELAWARE GR DIV AND INC FD INC  COM    245915103       9,300        600      600                                               600
DELL COMPUTER CORP              COM    247025109   6,323,411    170,903  170,903                                           170,903
DELL COMPUTER CORP              COM    247025109   2,377,768     64,264            64,264            03                     64,264
DELL COMPUTER CORP              COM    247025109   5,373,214    145,222  145,222                     04           145,222
DELL COMPUTER CORP              COM    247025109   1,134,605     30,665   30,665                     07            30,665
DELPHI FINL GROUP INC           CL A   247131105   3,277,032     91,346   91,346                                            91,346
DELTA & PINE LD CO              COM    247357106   2,047,500     65,000   65,000                     01            65,000
DELTA AIR LINES INC DEL         COM    247361108      36,878        640      640                                               640
DELUXE CORP                     COM    248019101      51,200      1,315    1,315                                             1,315
DENALI INC                      COM    248221103      10,470      1,396    1,396                                             1,396
DETROIT DIESEL CORP             COM    250837101     370,318     15,039   15,039                                            15,039
DEUTSCHE TELEKOM AG             SPONSO 251566105      54,080      1,280    1,280                                             1,280
DEUTSCHE TELEKOM AG             SPONSO 251566105  11,471,522    271,525           271,525            03                    271,525
DEVELOPERS DIVERSIFIED RLTY CO  COM    251591103     140,479      8,450    8,450                                             8,450
DEVON ENERGY CORP               COM    251799102     333,606      9,332             9,332            03                      9,332
DEVRY INC DEL                   COM    251893103     503,433     22,500   22,500                                            22,500
DEVRY INC DEL                   COM    251893103      75,402      3,370             3,370            03                      3,370
DIAGEO P L C                    SPNSRD 25243Q205     285,713      6,644    6,644                                             6,644
DIAGEO P L C                    SPNSRD 25243Q205   8,270,405    192,335           192,335            03                    192,335
DIAL CORP NEW                   COM    25247D101      72,618      1,953    1,953                                             1,953
DIAL CORP NEW                   COM    25247D101     354,722      9,539             9,539            03                      9,539
DIAMOND OFFSHORE DRILLING INC   COM    25271C102   3,827,100    134,877  134,877                                           134,877
DIAMOND MULTIMEDIA SYS INC      COM    252714100       9,821      2,381    2,381                                             2,381
DIAMOND TECHNOLOGY PARTNERS     CL A   252762109       1,342         60       60                                                60
DIATIDE INC                     COM    252842109       2,588        545      545                                               545
                                 PAGE TOTAL       62,344,744
PAGE:    21     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

DIEBOLD INC                     COM    253651103     116,862      4,065    4,065                                             4,065
DIEDRICH COFFEE INC             COM    253675102      10,500      1,500    1,500                                             1,500
DIGITAL MICROWAVE CORP          COM    253859102     221,658     17,385   17,385                                            17,385
DIGITAL MICROWAVE CORP          COM    253859102     159,375     12,500   12,500                     02    1,900   10,600
DILLARDS INC                    CL A   254067101      35,125      1,000    1,000                                             1,000
DILLARDS INC                    CL A   254067101       1,756         50                50            03                         50
DIME BANCORP INC NEW            COM    25429Q102     154,962      7,700    7,700                                             7,700
DIONEX CORP                     COM    254546104         405         10       10                                                10
DISNEY WALT CO                  COM    254687106  15,127,600    490,965  490,965                                           490,965
DISNEY WALT CO                  COM    254687106   1,446,761     46,956            46,956            03                     46,956
DISPATCH MGMT SVCS CORP         COM    254927106      17,753      6,384    6,384                                             6,384
DIXIE GROUP INC                 CL A   255519100       8,484      1,000    1,000                                             1,000
DOCUCORP INTL INC               COM    255911109         495        120      120                                               120
DOCUMENTUM INC                  COM    256159104     117,567      9,000    9,000                                             9,000
DOLE FOOD INC                   COM    256605106     140,549      4,785             4,785            03                      4,785
DOLLAR GEN CORP                 COM    256669102     469,075     16,175   16,175                                            16,175
DOLLAR GEN CORP                 COM    256669102      47,125      1,625             1,625            03                      1,625
DOMINION RES INC VA             COM    257470104     307,821      7,107    7,107                                             7,107
DOMINION RES INC VA             COM    257470104     180,388      4,165             4,165            03                      4,165
DONALDSON INC                   COM    257651109      24,500      1,000    1,000                                             1,000
DONALDSON INC                   COM    257651109       2,205         90                90            03                         90
DONALDSON LUFKIN & JENRETTE NW  COM    257661108      19,460        323      323                                               323
DONEGAL GROUP INC               COM    257701102     217,568     19,127   19,127                                            19,127
DONNELLEY R R & SONS CO         COM    257867101     670,840     18,100   18,100                                            18,100
DORAL FINL CORP                 COM    25811P100      98,756      5,725    5,725                                             5,725
DOUBLECLICK INC                 COM    258609304     574,720      6,264    6,264                                             6,264
DOVER CORP                      COM    260003108     763,455     21,813   21,813                                            21,813
DOW CHEM CO                     COM    260543103   2,848,199     22,449   22,449                                            22,449
DOW JONES & CO INC              COM    260561105       2,228         42       42                                                42
DREXLER TECHNOLOGY CORP         COM    261876106       1,662        175      175                                               175
DREYFUS CALIF MUN INCOME INC    COM    261881106       9,500      1,000    1,000                                             1,000
DREYFUS STRATEGIC MUNS INC      COM    261932107      29,401      3,200    3,200                                             3,200
DREYFUS HIGH YIELD STRATEGIES   SH BEN 26200S101     120,630     10,000   10,000                                            10,000
DREYFUS N Y MUN INCOME INC      COM    26201T108      12,250      1,400    1,400                                             1,400
DREYFUS STRATEGIC MUN BD FD     COM    26202F107      27,125      3,100    3,100                                             3,100
DRUG EMPORIUM INC               COM    262175102      21,750      3,000    3,000                                             3,000
DU PONT E I DE NEMOURS & CO     COM    263534109   3,877,545     56,763   56,763                                            56,763
DU PONT E I DE NEMOURS & CO     COM    263534109   1,301,743     19,058            19,058            03                     19,058
DUANE READE INC                 COM    263578106      30,625      1,000    1,000                                             1,000
DUFF & PHELPS UTIL CORP BD TR   COM    26432K108      15,950      1,100    1,100                                             1,100
DUFF & PHELPS UTILS INCOME INC  COM    264324104     116,512     10,966   10,966                                            10,966
DUKE ENERGY CORP                COM    264399106   9,592,257    176,420  176,420                                           176,420
DUKE ENERGY CORP                COM    264399106     379,615      6,982             6,982            03                      6,982
DUKE REALTY INVT INC            COM NE 264411505     293,422     13,005   13,005                                            13,005
DUN & BRADSTREET CORP DEL       COM    26483B106      40,751      1,150    1,150                                             1,150
DUN & BRADSTREET CORP DEL       COM    26483B106      34,228        966               966            03                        966
DUPONT PHOTOMASKS INC           COM    26613X101       5,505        115      115                                               115
DURA PHARMACEUTICALS INC        SUB NT 26632SAA7      86,210    114,000  114,000                                           114,000
DURA PHARMACEUTICALS INC        COM    26632S109     175,279     14,683   14,683                                            14,683
DURAMED PHARMACEUTICALS INC     COM    266354109      78,125      5,000    5,000                                             5,000
DYCOM INDS INC                  COM    267475101   1,597,624     28,529   28,529                                            28,529
DYNEGY INC                      COM    26816L102       8,455        415      415                                               415
                                 PAGE TOTAL       41,642,356
PAGE:    22     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

DYNEX CAP INC                   COM    26817Q100         740        370      370                                               370
ECI TELECOM LTD                 ORD    268258100       9,956        300      300                                               300
EDAP TMS S A                    SPONSO 268311107     383,672    219,250  219,250                                           219,250
EFI ELECTRONICS CORP            COM NE 268428208         656      1,000    1,000                                             1,000
EIS INTL INC                    COM    268539103       5,750      2,000    2,000                                             2,000
E M C CORP MASS                 COM    268648102  10,827,905    196,871  196,871                                           196,871
E M C CORP MASS                 COM    268648102   1,557,655     28,321            28,321            03                     28,321
E M C CORP MASS                 COM    268648102   3,336,190     60,658   60,658                     04            60,658
E M C CORP MASS                 COM    268648102   1,947,660     35,412   35,412                     07            35,412
EMC CORP                        SB NT  26865YAA2  96,094,255 19,738,00019738,000                                         19738,000
ENSCO INTL INC                  COM    26874Q100     460,559     23,100   23,100                                            23,100
ENSCO INTL INC                  COM    26874Q100     199,375     10,000   10,000                     02    1,500    8,500
ENI S P A                       SPONSO 26874R108       5,400         90       90                                                90
ENI S P A                       SPONSO 26874R108   5,439,480     90,658            90,658            03                     90,658
ESS TECHNOLOGY INC              COM    269151106     147,818     11,000   11,000                                            11,000
E SPIRE COMMUNICATIONS INC      COM    269153102      52,815      5,000    5,000                                             5,000
E TOWN                          COM    269242103       4,575        100      100                                               100
E TRADE GROUP INC               COM    269246104     577,855     14,469   14,469                                            14,469
EAGLE BANCSHARES INC            COM    26942C109      31,125      1,500    1,500                                             1,500
EAGLE FOOD CENTERS INC          COM    269514105       1,169        378      378                                               378
EAGLE USA AIRFREIGHT INC        COM    270018104      63,657      1,500    1,500                                             1,500
EARTHGRAINS CO                  COM    270319106       7,433        288      288                                               288
EARTHGRAINS CO                  COM    270319106         413         16                16            03                         16
EARTHSHELL CORP                 COM    27032B100       7,231      1,033    1,033                                             1,033
EARTHLINK NETWORK INC           COM    270322100     456,330      7,428    7,428                                             7,428
EASTERN UTILS ASSOC             COM    277173100      78,637      2,700    2,700                                             2,700
EASTGROUP PPTY INC              COM    277276101      50,157      2,500    2,500                                             2,500
EASTMAN CHEM CO                 COM    277432100      81,552      1,576    1,576                                             1,576
EASTMAN KODAK CO                COM    277461109   2,200,084     32,474   32,474                                            32,474
EASTMAN KODAK CO                COM    277461109      29,333        433               433            03                        433
EATON CORP                      COM    278058102      16,560        180      180                                               180
EATON VANCE CORP                COM NO 278265103     651,787     18,927            18,927            03                     18,927
ECHO BAY MINES LTD              COM    278751102       1,438      1,000    1,000                                             1,000
ECHOSTAR COMMUNICATIONS NEW     CL A   278762109   6,364,913     41,482   41,482                                            41,482
ECHOSTAR COMMUNICATIONS NEW     CL A   278762109   4,372,969     28,500   28,500                     02    4,300   24,200
ECHOSTAR COMMUNICATIONS NEW     CL A   278762109   2,136,931     13,927   13,927                     04            13,927
ECLIPSYS CORP                   COM    278856109      36,170      1,511    1,511                                             1,511
ECO SOIL SYS INC                COM    278858105   1,286,208    239,299  239,299                                           239,299
ECOLAB INC                      COM    278865100     604,633     13,860   13,860                                            13,860
ECOTYRE TECHNOLOGIES INC        COM NE 279225304           0        285      285                                               285
ECSOFT GROUP PLC                SPONSO 279240105     163,151     10,400   10,400                                            10,400
ECSOFT GROUP PLC                SPONSO 279240105      39,218      2,500             2,500            03                      2,500
EDISON BROS STORES INC          WT EXP 280875113           0         10       10                                                10
EDISON BROS STORES INC          COM NE 280875303           0     10,518   10,518                                            10,518
EDISON BROS STORES INC          COM NE 280875303           0      8,383             8,383            06                      8,383
EDISON CTL CORP                 COM    280883109      94,316     11,096   11,096                                            11,096
EDISON INTL                     COM    281020107      40,125      1,500    1,500                                             1,500
EDUCATION MGMT CORP             COM    28139T101       3,008        145               145            03                        145
J D EDWARDS & CO                COM    281667105       2,090        113      113                                               113
J D EDWARDS & CO                COM    281667105     124,875      6,750             6,750            03                      6,750
EKCO GROUP INC                  COM    282636109         750        200      200                                               200
EL PASO ELEC CO                 COM NE 283677854     355,713     39,800   39,800                     02    6,100   33,700
                                 PAGE TOTAL      140,354,292
PAGE:    23     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

EL PASO ENERGY CORP DEL         COM    283905107     340,704      9,683    9,683                                             9,683
ELAN PLC                        ADR    284131208     852,526     30,722   30,722                                            30,722
ELAN PLC                        ADR    284131208     173,485      6,252             6,252            03                      6,252
ELDER BEERMAN STORES CORP NEW   COM    284470101      10,237      1,400    1,400                                             1,400
ELECTRIC FUEL CORP              COM    284871100         927        560      560                                               560
ELECTRO RENT CORP               COM    285218103      33,948      3,158    3,158                                             3,158
ELECTROGLAS INC                 COM    285324109       4,420        221      221                                               221
ELECTRONIC ARTS INC             COM    285512109   1,874,784     34,561   34,561                                            34,561
ELECTRONIC ARTS INC             COM    285512109      27,935        515               515            03                        515
ELECTRONIC ARTS INC             COM    285512109   1,816,561     33,485   33,485                     07            33,485
ELECTRONIC DATA SYS NEW         COM    285661104  10,521,822    186,022  186,022                                           186,022
ELECTRONIC DATA SYS NEW         COM    285661104     600,785     10,622            10,622            03                     10,622
ELECTRONIC DATA SYS NEW         COM    285661104   1,821,909     32,175   32,175                     07            32,175
ELECTRONICS FOR IMAGING INC     COM    286082102       2,928         57       57                                                57
ELECTRONICS FOR IMAGING INC     COM    286082102     385,313      7,500    7,500                     02      900    6,600
ELECTRONICS FOR IMAGING INC     COM    286082102       6,215        121               121            03                        121
ELF AQUITAINE                   SPONSO 286269105     504,992      6,865    6,865                                             6,865
ELF AQUITAINE                   SPONSO 286269105   9,814,808    133,427           133,427            03                    133,427
ELSEVIER N V                    SPNSRD 290259100      61,985      2,624             2,624            03                      2,624
ELTRAX SYS INC                  COM    290375104         353         82       82                                                82
EMCOR GROUP INC                 COM    29084Q100       8,261        328      328                                               328
EMERGING MKTS FLOATING RATE FD  COM    290885102     163,235     13,257   13,257                                            13,257
EMERGING MKTS TELECOMMUNICATNS  COM    290887108       5,531        500      500                                               500
EMERGING MKTS INCOME FD         COM    290918101     235,467     17,605   17,605                                            17,605
EMERGING MKTS INCOME FD         COM    290918101          13          1                 1            03                          1
EMERGING MKTS INCM FD II        COM    290920107     820,048     71,309   71,309                                            71,309
EMERGING MKTS INCM FD II        COM    290920107      13,800      1,200             1,200            03                      1,200
EMERSON ELEC CO                 COM    291011104  19,543,140    310,837  310,837                                           310,837
EMERSON ELEC CO                 COM    291011104     804,317     12,793            12,793            03                     12,793
EMPIRE OF CAROLINA INC          COM    292007101         750      1,500    1,500                                             1,500
EMPLOYEE SOLUTIONS INC          COM    292166105       7,722      6,500    6,500                                             6,500
EMPRESA NACIONAL DE ELCTRCIDAD  SPONSO 29244T101      10,846        895               895            03                        895
EN POINTE TECHNOLOGIES INC      COM    29247F108      12,984      2,164    2,164                                             2,164
ENCAD INC                       COM    292503109     110,175     16,950   16,950                                            16,950
ENDESA S A                      SPONSO 29258N107     546,412     25,715            25,715            03                     25,715
ENDOCARE INC                    COM    29264P104   1,461,774    243,629  243,629                                           243,629
ENERGY CONVERSION DEVICES INC   COM    292659109      18,880      1,900    1,900                                             1,900
ENERGY EAST CORP                COM    29266M109     311,740     11,990   11,990                                            11,990
ENGINEERED SUPPORT SYS INC      COM    292866100     953,922     80,755   80,755                                            80,755
ENRON CORP                      COM    293561106     347,923      4,256    4,256                                             4,256
ENRON CORP                      COM    293561106   1,469,621     17,978            17,978            03                     17,978
ENRON CORP                      PFD 2C 293561601     165,900        150      150                                               150
ENRON OIL & GAS CO              COM    293562104      20,250      1,000    1,000                                             1,000
ENRON OIL & GAS CO              COM    293562104      17,232        851               851            03                        851
ENTERGY CORP NEW                COM    29364G103      26,562        850      850                                               850
ENTERGY CORP NEW                COM    29364G103   1,327,768     42,490            42,490            03                     42,490
ENTERPRISE SOFTWARE INC         COM    29379K107         400         50                50            03                         50
ENTERTAINMENT PPTYS TR          COM SH 29380T105   9,101,543    516,400  516,400                                           516,400
ENTERTAINMENT PPTYS TR          COM SH 29380T105      29,168      1,655             1,655            03                      1,655
ENTRUST TECHNOLOGIES INC        COM    293848107     232,750      7,000    7,000                                             7,000
ENZON INC                       COM    293904108     237,911     11,500   11,500                                            11,500
ENZON INC                       COM    293904108     651,656     31,500   31,500                     02    6,300   25,200
                                 PAGE TOTAL       67,514,338
PAGE:    24     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

ENVIROSOURCE INC                COM NE 29409K606         416        196      196                                               196
EOTT ENERGY PARTNERS L P        UNIT L 294103106     188,349     10,500   10,500                                            10,500
EQUIFAX INC                     COM    294429105     348,937      9,778    9,778                                             9,778
EQUIFAX INC                     COM    294429105     240,888      6,750             6,750            03                      6,750
EQUITABLE COS INC               COM    29444G107   2,218,839     33,117   33,117                                            33,117
EQUITABLE COS INC               COM    29444G107     426,790      6,370             6,370            03                      6,370
EQUITABLE RES INC               COM    294549100       7,550        200      200                                               200
EQUITY INCOME FD                UT 1 E 294700703     376,553      1,818    1,818                                             1,818
EQUITY INNS INC                 COM    294703103      48,747      5,270    5,270                                             5,270
EQUITY OFFICE PROPERTIES TRUST  COM    294741103      80,152      3,128    3,128                                             3,128
EQUITY OFFICE PROPERTIES TRUST  COM    294741103      56,935      2,222             2,222            03                      2,222
EQUITY RESIDENTIAL PPTYS TR     SH BEN 29476L107     626,847     13,911   13,911                                            13,911
EQUITY RESIDENTIAL PPTYS TR     SH BEN 29476L107      39,201        870               870            03                        870
EQUITY RESIDENTIAL PPTYS TR     PFD CO 29476L883     763,538     30,240   30,240                                            30,240
ERICSSON L M TEL CO             ADR CL 294821400   2,215,194     67,254   67,254                                            67,254
ERICSSON L M TEL CO             ADR CL 294821400       6,587        200               200            03                        200
ESSEX PPTY TR INC               COM    297178105       5,306        150      150                                               150
ETHAN ALLEN INTERIORS INC       COM    297602104     439,400     11,640   11,640                                            11,640
ETHAN ALLEN INTERIORS INC       COM    297602104       6,228        165               165            03                        165
EURONET SVCS INC                COM    298736109       2,063      1,000    1,000                                             1,000
EUROPEAN WT FD INC              COM    298792102     174,155     10,971   10,971                                            10,971
EVEREST REINS HLDGS INC         COM    299808105     163,125      5,000    5,000                                             5,000
EVEREST REINS HLDGS INC         COM    299808105     170,459      5,225             5,225            03                      5,225
EXECUTONE INFORMATION SYS INC   COM    301607107       4,281      1,000    1,000                                             1,000
EXODUS COMMUNICATIONS INC       COM    302088109     383,796      3,200    3,200                                             3,200
EXODUS COMMUNICATIONS INC       COM    302088109      35,979        300               300            03                        300
EXPEDITORS INTL WASH INC        COM    302130109      52,723      1,935             1,935            03                      1,935
EXPRESS SCRIPTS INC             CL A   302182100     816,079     13,560   13,560                                            13,560
EXPRESS SCRIPTS INC             CL A   302182100      60,177      1,000             1,000            03                      1,000
EXXON CORP                      COM    302290101   9,899,225    128,355  128,355                                           128,355
EXXON CORP                      COM    302290101   1,574,121     20,411            20,411            03                     20,411
FLIR SYS INC                    COM    302445101       7,562        500      500                                               500
F M C CORP                      COM NE 302491303      34,156        500      500                     02               500
FPIC INS GROUP INC              COM    302563101   8,036,227    165,695  165,695                                           165,695
FPL GROUP INC                   COM    302571104     166,055      3,040    3,040                                             3,040
FSF FINL CORP                   COM    30262K105      40,646      2,865             2,865            03                      2,865
FX ENERGY INC                   COM    302695101     750,033    114,288  114,288                                           114,288
F Y I INC                       COM    302712104       1,568         50                50            03                         50
FAMILY DLR STORES INC           COM    307000109       1,608         67       67                                                67
FAMILY DLR STORES INC           COM    307000109      53,160      2,215             2,215            03                      2,215
FAMILY GOLF CTRS INC            COM    30701A106      65,348      8,500    8,500                                             8,500
FAMOUS DAVES AMER INC           COM    307068106       9,744      3,850    3,850                                             3,850
FASTENAL CO                     COM    311900104     283,949      5,415    5,415                                             5,415
FASTENAL CO                     COM    311900104       9,960        190               190            03                        190
FDX CORP                        COM    31304N107   3,171,586     58,463   58,463                                            58,463
FDX CORP                        COM    31304N107      18,715        345               345            03                        345
FEDERAL AGRIC MTG CORP          CL C   313148306      44,605        650      650                                               650
FEDERAL HOME LN MTG CORP        COM    313400301  23,053,463    397,473  397,473                                           397,473
FEDERAL HOME LN MTG CORP        COM    313400301   2,436,116     42,002            42,002            03                     42,002
FEDERAL MOGUL CORP              COM    313549107   1,565,200     30,100   30,100                                            30,100
FEDERAL NATL MTG ASSN           COM    313586109  13,049,777    190,862  190,862                                           190,862
FEDERAL NATL MTG ASSN           COM    313586109   4,173,533     61,042            61,042            03                     61,042
                                 PAGE TOTAL       78,405,651
PAGE:    25     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

FEDERAL SIGNAL CORP             COM    313855108     102,374      4,832    4,832                                             4,832
FEDERAL SIGNAL CORP             COM    313855108     420,543     19,849            19,849            03                     19,849
FEDERATED DEPT STORES INC DEL   COM    31410H101   2,529,690     47,790   47,790                                            47,790
FEDERATED DEPT STORES INC DEL   COM    31410H101     688,187     13,000   13,000                     02    2,300   10,700
FEDERATED DEPT STORES INC DEL   COM    31410H101      99,247      1,875             1,875            03                      1,875
FEDERATED DEPT STORES INC DEL   WT C E 31410H119      42,600      1,498    1,498                                             1,498
FEDERATED DEPT STORES INC DEL   WT D E 31410H127      40,071      1,498    1,498                                             1,498
FEDERATED INVS INC PA           CL B   314211103     179,380     10,000   10,000                                            10,000
FELCOR LODGING TR INC           COM    31430F101   1,326,706     63,944   63,944                                            63,944
FELCOR LODGING TR INC           COM    31430F101      78,101      3,764             3,764            03                      3,764
FERRELLGAS PARTNERS L.P.        UNIT L 315293100     228,663     13,500   13,500                                            13,500
FIELDCREST CANNON INC           SUB DE 316549AB0      27,825     35,000   35,000                                            35,000
FIFTH THIRD BANCORP             COM    316773100     536,763      8,064    8,064                                             8,064
FIFTH THIRD BANCORP             COM    316773100     371,333      5,580             5,580            03                      5,580
FILA HLDG SPA                   SPONSO 316850106      23,626      2,000    2,000                                             2,000
FILENET CORP                    COM    316869106      16,013      1,400    1,400                                             1,400
FINET HLDGS CORP                COM PA 317922300     105,417     18,950   18,950                                            18,950
FINISH LINE INC                 CL A   317923100   3,987,853    354,476  354,476                                           354,476
FINOVA GROUP INC                COM    317928109       8,682        165      165                                               165
FINOVA GROUP INC                COM    317928109     526,250     10,000   10,000                     02    1,000    9,000
FIRST AMERN FINL CORP           COM    318522307      28,600      1,600    1,600                                             1,600
FIRST AUSTRALIA PRIME INCOME    COM    318653102     400,906     61,678   61,678                                            61,678
FIRST AUSTRALIA PRIME INCOME    COM    318653102      23,595      3,630             3,630            03                      3,630
FIRST AMER CORP TENN            COM    318900107      68,702      1,653    1,653                                             1,653
FIRST AMER CORP TENN            COM    318900107     428,099     10,300   10,300                     08            10,300
FIRST CASH INC                  COM    31942D107     129,203     13,425            13,425            03                     13,425
FIRST COMWLTH FD INC            COM    31983F102      33,029      3,126    3,126                                             3,126
FIRST CONSULTING GROUP INC      COM    31986R103       7,437        700      700                                               700
FIRST DATA CORP                 COM    319963104  18,638,454    380,876  380,876                                           380,876
FIRST DATA CORP                 COM    319963104     506,242     10,345            10,345            03                     10,345
FIRST DATA CORP                 COM    319963104   2,269,157     46,368   46,368                     07            46,368
FIRST ESSEX BANCORP INC         COM    320103104      16,250      1,000    1,000                                             1,000
FIRST FINL FD INC               COM    320228109       1,723        197      197                                               197
FIRST INDUSTRIAL REALTY TRUST   COM    32054K103     411,570     15,000   15,000                                            15,000
FIRST ISRAEL FD INC             COM    32063L100      29,876      2,000    2,000                                             2,000
FIRST MIDWEST BANCORP DEL       COM    320867104      22,935        577      577                                               577
FIRST MIDWEST BANCORP DEL       COM    320867104     556,500     14,000   14,000                     08            14,000
FIRST NATL CORP ORANGEBURG S C  COM    320942105      26,750      1,000    1,000                                             1,000
FIRST HEALTH GROUP CORP         COM    320960107     591,675     27,440            27,440            03                     27,440
FIRST SIERRA FINANCIAL INC      COM    335944104     162,500      6,500    6,500                                             6,500
FIRST PHILIPPINE FD INC         COM    336100102       1,207        140      140                                               140
FIRST SEC CORP DEL              COM    336294103     446,900     16,400   16,400                     08            16,400
FIRST TENN NATL CORP            COM    337162101      27,584        720      720                                               720
FIRST UN CORP                   COM    337358105     268,605      5,715    5,715                                             5,715
FIRST UN CORP                   COM    337358105      27,965        595               595            03                        595
FIRST WASH RLTY TR INC          COM    337489504      14,024        600      600                                               600
FIRSTPLUS FINL GROUP INC        COM    33763B103       1,125      3,000    3,000                                             3,000
FISERV INC                      COM    337738108       2,817         90                90            03                         90
FIRSTFED AMER BANCORP INC       COM    337929103      18,811      1,400             1,400            03                      1,400
FIRSTENERGY CORP                COM    337932107      31,713      1,023    1,023                                             1,023
FIRSTENERGY CORP                COM    337932107     540,733     17,443            17,443            03                     17,443
FLAMEL TECHNOLOGIES SA          SPONSO 338488109       3,537      1,048    1,048                                             1,048
                                 PAGE TOTAL       37,077,548
PAGE:    26     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

FLANIGANS ENTERPRISES INC       COM    338517105      26,250      6,000    6,000                                             6,000
FLEET FINL GROUP INC NEW        COM    338915101     303,691      6,844    6,844                                             6,844
FLEET FINL GROUP INC NEW        COM    338915101     136,706      3,081             3,081            03                      3,081
FLEET FINL GROUP INC NEW        WT EXP 338915119      13,518        300      300                                               300
FLEMING COS INC                 COM    339130106      24,412      2,100    2,100                                             2,100
FLORIDA PANTHERS HLDGS INC      CL A   341064103     619,904     58,000   58,000                                            58,000
FLORIDA PROGRESS CORP           COM    341109106       9,295        225      225                                               225
FLORIDA PUB UTILS CO            COM    341135101      18,875      1,000    1,000                                             1,000
FLOWSERVE CORP                  COM    34354P105      22,344      1,180    1,180                                             1,180
FLUOR CORP                      COM    343861100      61,155      1,510    1,510                                             1,510
FONAR CORP                      COM    344437108           0          0
FOOD LION INC                   CL B   344775101       2,890        250      250                                               250
FOODMAKER INC NEW               COM NE 344839204      46,705      1,646    1,646                                             1,646
FOOTHILL INDPT BANCORP          COM    344905104      62,675      4,600    4,600                                             4,600
FOOTSTAR INC                    COM    344912100          37          1        1                                                 1
FORD MTR CO DEL                 COM    345370100   1,042,720     18,476   18,476                                            18,476
FORD MTR CO DEL                 COM    345370100   1,198,348     21,235            21,235            03                     21,235
FOREST CITY ENTERPRISES INC     CL A   345550107      28,000      1,000    1,000                                             1,000
FOREST LABS INC                 CL A   345838106   5,121,055    110,727  110,727                                           110,727
FOREST LABS INC                 CL A   345838106   3,700,000     80,000   80,000                     01            80,000
FORMULA SYS 1985 LTD            GDR RC 346414105     472,748     15,405   15,405                                            15,405
FORT JAMES CORP                 COM    347471104  19,279,936    509,060  509,060                                           509,060
FORT JAMES CORP                 COM    347471104     386,377     10,202            10,202            03                     10,202
FORTUNE BRANDS INC              COM    349631101     226,304      5,470    5,470                                             5,470
FOSTER WHEELER CORP             COM    350244109       4,237        300      300                                               300
FOUNDATION HEALTH SYS INC       COM    350404109     313,875     20,925   20,925                                            20,925
FOUR MEDIA CO                   COM    350872107      13,000      2,000    2,000                                             2,000
FOUR SEASONS HOTEL INC          COM    35100E104       4,406        100      100                                               100
FRANCE GROWTH FD INC            COM    35177K108      54,720      3,980    3,980                                             3,980
FRANCHISE FIN CORP AMER         COM    351807102     219,582      9,981    9,981                                             9,981
FRANKFORT FIRST BANCORP INC     COM NE 352128201      11,526        775               775            03                        775
FRANKLIN ELECTR PUBLISHERS INC  COM    353515109       2,352        638      638                                               638
FRANKLIN RES INC                COM    354613101      90,181      2,220    2,220                                             2,220
FRANKLIN RES INC                COM    354613101      14,625        360               360            03                        360
FREEPORT-MCMORAN COPPER & GOLD  CL A   35671D105      44,085      2,632    2,632                                             2,632
FREEPORT-MCMORAN COPPER & GOLD  PFD CV 35671D501     137,437      7,330    7,330                                             7,330
FREEPORT-MCMORAN COPPER & GOLD  CL B   35671D857      72,986      4,069    4,069                                             4,069
FREEPORT MCMORAN OIL & GAS RTY  UNIT B 356713107       4,690     10,000   10,000                                            10,000
FREMONT GEN CORP                COM    357288109     100,414      5,320    5,320                                             5,320
FREQUENCY ELECTRS INC           COM    358010106       8,250      1,000    1,000                                             1,000
FRIEDMAN BILLINGS RAMSEY GROUP  CL A   358433100      23,750      2,000    2,000                                             2,000
FRIEDMANS INC                   CL A   358438109       2,172        250               250            03                        250
FRONTIER CORPORATION            COM    35906P105   5,306,755     89,945   89,945                                            89,945
FRONTIER CORPORATION            COM    35906P105   4,396,875     75,000   75,000                     01            75,000
FRONTIER CORPORATION            COM    35906P105       4,130         70                70            03                         70
FRONTIER INS GROUP INC NEW      COM    359081106       1,522         99       99                                                99
FUISZ TECHNOLOGIES LTD          COM    359536109     503,606    152,010  152,010                                           152,010
FUJI PHOTO FILM LTD             ADR    359586302     168,302      4,429    4,429                                             4,429
FUJI PHOTO FILM LTD             ADR    359586302       1,976         52                52            03                         52
FUNCO INC                       COM    360762108     967,995     52,500   52,500                                            52,500
FURNITURE BRANDS INTL INC       COM    360921100     915,635     32,850   32,850                                            32,850
FURNITURE BRANDS INTL INC       COM    360921100       3,623        130               130            03                        130
                                 PAGE TOTAL       46,196,652
PAGE:    27     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

G & K SVCS INC                  CL A   361268105       4,190         80                80            03                         80
G&L RLTY CORP                   COM    361271109      17,250      1,500    1,500                                             1,500
GA FINL INC                     COM    361437106       3,363        230               230            03                        230
GBC BANCORP CALIF               COM    361475106     869,426     42,935   42,935                                            42,935
GC COS INC                      COM    36155Q109       3,861        108      108                                               108
GK INTELLIGENT SYS INC          COM    361751100         375      1,000    1,000                                             1,000
GST TELECOMMUNICATIONS INC      COM    361942105      43,520      3,300    3,300                                             3,300
GP STRATEGIES CORP              COM    36225V104     125,078     14,295   14,295                                            14,295
GSE SYS INC                     COM    36227K106     317,400     52,900   52,900                                            52,900
GS FINL CORP                    COM    362274102      19,029      1,740             1,740            03                      1,740
GTE CORP                        COM    362320103  22,057,615    291,197  291,197                                           291,197
GTE CORP                        COM    362320103     626,810      8,275             8,275            03                      8,275
GT INTERACTIVE SOFTWARE CORP    COM    36236E109         472        135      135                                               135
GABLES RESIDENTIAL TR           SH BEN 362418105      10,855        450      450                                               450
GADZOOKS INC                    COM    362553109       8,000        500      500                                               500
GADZOOKS INC                    COM    362553109     240,000     15,000   15,000                     02    2,500   12,500
GALLAHER GROUP PLC              SPONSO 363595109       7,820        320      320                                               320
GANNETT INC                     COM    364730101   1,039,118     14,559   14,559                                            14,559
GANNETT INC                     COM    364730101     560,230      7,850             7,850            03                      7,850
GAP INC DEL                     COM    364760108   6,759,542    134,187  134,187                                           134,187
GAP INC DEL                     COM    364760108      41,508        824               824            03                        824
GAP INC DEL                     COM    364760108   3,202,943     63,582   63,582                     04            63,582
GARDENBURGER INC                COM    365476100      10,574      1,200    1,200                                             1,200
GARTNER GROUP INC NEW           COM    366651107     938,887     45,800   45,800                                            45,800
GARTNER GROUP INC NEW           COM    366651107       3,075        150               150            03                        150
GASONICS INTL CORP              COM    367278108     261,086     18,649   18,649                                            18,649
GAYLORD CONTAINER CORP          CL A   368145108      11,112      1,400    1,400                                             1,400
GELTEX PHARMACEUTICALS INC      COM    368538104     114,390      6,355    6,355                                             6,355
GENE LOGIC INC                  COM    368689105     692,316    190,984  190,984                                           190,984
GENERAL COMMUNICATION INC       CL A   369385109       1,458        215      215                                               215
GENERAL DYNAMICS CORP           COM    369550108   3,976,004     58,044   58,044                                            58,044
GENERAL DYNAMICS CORP           COM    369550108     477,062      6,965             6,965            03                      6,965
GENERAL ELEC CO                 COM    369604103  53,740,540    475,580  475,580                                           475,580
GENERAL ELEC CO                 COM    369604103   6,516,597     57,669            57,669            03                     57,669
GENERAL GROWTH PPTYS INC        COM    370021107     133,480      3,760    3,760                                             3,760
GENERAL GROWTH PPTYS INC        COM    370021107      63,900      1,800             1,800            03                      1,800
GENERAL INSTR CORP DEL          COM    370120107     215,815      5,078    5,078                                             5,078
GENERAL INSTR CORP DEL          COM    370120107   1,275,000     30,000   30,000                     01            30,000
GENERAL INSTR CORP DEL          COM    370120107      11,772        277               277            03                        277
GENERAL INSTR CORP DEL          COM    370120107   1,561,450     36,740   36,740                     04            36,740
GENERAL INSTR CORP DEL          COM    370120107     242,250      5,700    5,700                     07             5,700
GENERAL MLS INC                 COM    370334104     300,358      3,737    3,737                                             3,737
GENERAL MLS INC                 COM    370334104     869,445     10,818            10,818            03                     10,818
GENERAL MTRS CORP               COM    370442105  13,128,654    198,919  198,919                                           198,919
GENERAL MTRS CORP               COM    370442105     632,676      9,586             9,586            03                      9,586
GENERAL MTRS CORP               CL H N 370442832      69,917      1,243    1,243                                             1,243
GENERAL MTRS CORP               CL H N 370442832     539,929      9,588    9,588                     07             9,588
GENERAL NUTRITION COS INC       COM    37047F103     144,539      6,200    6,200                                             6,200
GENERAL NUTRITION COS INC       COM    37047F103     726,182     31,150            31,150            03                     31,150
GENERAL SEMICONDUCTOR INC       COM    370787103         912        100      100                                               100
GENTEX CORP                     COM    371901109     150,164      5,363    5,363                                             5,363
GENTEX CORP                     COM    371901109       9,968        356               356            03                        356
                                 PAGE TOTAL      122,777,917
PAGE:    28     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

GENESIS MICROCHIP INC           COM    371933102     240,714     10,189   10,189                                            10,189
GENESIS MICROCHIP INC           COM    371933102     236,250     10,000   10,000                     02    1,800    8,200
GENESIS DIRECT INC              COM    371935107      46,875     25,000   25,000                                            25,000
GENISYS RESERVATION SYSTEMS     COM    372299107           1          1        1                                                 1
GENLYTE GROUP INC               COM    372302109      13,462        600      600                                               600
GENOME THERAPEUTICS CORP        COM    372430108     251,037     83,679   83,679                                            83,679
GEON CO                         COM    37246W105       8,062        250      250                                               250
GEON CO                         COM    37246W105     628,875     19,500   19,500                     02    2,900   16,600
GENUINE PARTS CO                COM    372460105      56,525      1,615    1,615                                             1,615
GENUINE PARTS CO                COM    372460105      14,735        421               421            03                        421
GENZYME CORP                    COM GE 372917104   4,031,187     83,118   83,118                                            83,118
GENZYME CORP                    COM GE 372917104     276,494      5,701             5,701            03                      5,701
GENZYME CORP                    COM-TI 372917401      32,741     16,124   16,124                                            16,124
GEORGIA PAC CORP                COM GA 373298108      58,649      1,238    1,238                                             1,238
GEORGIA PAC CORP                COM GA 373298108     441,574      9,321             9,321            03                      9,321
GEORGIA PAC CORP                COM-TI 373298702      14,998        594      594                                               594
GERMANY FD INC                  COM    374143105      31,723      2,246    2,246                                             2,246
GERON CORP                      COM    374163103      10,438      1,000    1,000                                             1,000
GILEAD SCIENCES INC             COM    375558103     856,900     16,400   16,400                                            16,400
GILEAD SCIENCES INC             COM    375558103   3,918,750     75,000   75,000                     01            75,000
GILEAD SCIENCES INC             COM    375558103     522,500     10,000   10,000                     02    1,500    8,500
GILLETTE CO                     COM    375766102  10,076,406    245,766  245,766                                           245,766
GILLETTE CO                     COM    375766102   2,477,794     60,434            60,434            03                     60,434
GLACIER BANCORP INC NEW         COM    37637Q105      31,765      1,359    1,359                                             1,359
GLAXO WELLCOME PLC              SPONSO 37733W105   1,297,030     22,906   22,906                                            22,906
GLAXO WELLCOME PLC              SPONSO 37733W105     110,014      1,943             1,943            03                      1,943
GLENAYRE TECHNOLOGIES INC       COM    377899109     247,480     68,861   68,861                                            68,861
GLENBOROUGH RLTY TR INC         COM    37803P105     256,812     14,675   14,675                                            14,675
GLENBOROUGH RLTY TR INC         PFD CV 37803P204      11,400        600      600                                               600
GLIMCHER RLTY TR                SH BEN 379302102     174,685     10,750   10,750                                            10,750
GLOBAL HIGH INCOME DLR FD INC   COM    37933G108      46,000      4,000    4,000                                             4,000
GLOBAL INTELLICOM INC           COM    379337108           2         14       14                                                14
GLOBAL PARTNERS INCOME FD INC   COM    37935R102     863,025     71,544   71,544                                            71,544
GLOBAL MARINE INC               COM    379352404     965,063     62,514   62,514                                            62,514
GLOBAL MARINE INC               COM    379352404       3,936        255               255            03                        255
GLOBAL TELESYSTEMS GROUP        COM    37936U104   1,857,735     22,935   22,935                                            22,935
GLOBAL TELESYSTEMS GROUP        COM    37936U104   4,050,000     50,000   50,000                     01            50,000
GLOBAL TELESYSTEMS GROUP        COM    37936U104      21,465        265               265            03                        265
GLOBAL TELESYSTEMS GROUP        COM    37936U104     490,374      6,054    6,054                     07             6,054
GOLDEN STAR RES LTD CDA         COM    38119T104       1,125      1,500    1,500                                             1,500
GOLDEN ST BANCORP INC           COM    381197102     489,500     22,250   22,250                                            22,250
GOLDEN ST BANCORP INC           WT EXP 381197128      21,037      1,700    1,700                                             1,700
GOLDEN ST BANCORP INC           WT EXP 381197136      36,127     27,520   27,520                                            27,520
GOLDEN WEST FINL CORP DEL       COM    381317106   2,101,610     21,445   21,445                                            21,445
GOLDEN WEST FINL CORP DEL       COM    381317106      19,600        200               200            03                        200
GOLF TR AMER INC                COM    38168B103       9,775        400      400                                               400
GOODRICH B F CO                 COM    382388106   3,874,615     91,169   91,169                                            91,169
GOODRICH B F CO                 COM    382388106     243,092      5,720             5,720            03                      5,720
GOODRICH PETE CORP              COM NE 382410405       2,345      2,500    2,500                                             2,500
GOODYEAR TIRE & RUBR CO         COM    382550101      80,806      1,374    1,374                                             1,374
GOODYEAR TIRE & RUBR CO         COM    382550101      53,512        910               910            03                        910
GORMAN RUPP CO                  COM    383082104       3,300        200      200                                               200
                                 PAGE TOTAL       41,609,920
PAGE:    29     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

GO2NET INC                      COM    383486107     358,312      3,900    3,900                                             3,900
GRACE W R & CO DEL NEW          COM    38388F108       9,187        500      500                                               500
GRACE W R & CO DEL NEW          COM    38388F108     570,000     30,000   30,000                     02    4,600   25,400
GRANITE CONSTR INC              COM    387328107       2,344         80                80            03                         80
GREAT ATLANTIC & PAC TEA INC    COM    390064103      71,879      2,126    2,126                                             2,126
GREAT LAKES CHEM CORP           COM    390568103     756,934     16,434            16,434            03                     16,434
GREATER BAY BANCORP             COM    391648102      16,625        500      500                                               500
GREENPOINT FINL CORP            COM    395384100     109,916      3,350    3,350                                             3,350
GREY ADVERTISING INC            COM    397838103      33,300        100      100                                               100
GREY WOLF INC                   COM    397888108      32,000     12,800   12,800                                            12,800
GRIFFON CORP                    COM    398433102          78         10       10                                                10
GROUP LONG DISTANCE INC         COM    398901108         939      3,000    3,000                                             3,000
GROUPE DANONE                   SPONSO 399449107     304,189      5,815    5,815                                             5,815
GROUPE DANONE                   SPONSO 399449107      20,816        398               398            03                        398
GRUPO MEXICANO DE DESARROLLO    SPND A 40048G104          15        100      100                                               100
GRUPO MEXICANO DE DESARROLLO    SPND A 40048G203          75        370      370                                               370
GRUPO RADIO CENTRO S A DE C V   SPONSO 40049C102     211,407     40,268   40,268                     04            40,268
GRUPO TELEVISA SA DE CV         SPN AD 40049J206      44,813      1,000    1,000                                             1,000
GRUPO TELEVISA SA DE CV         SPN AD 40049J206   1,882,773     42,014   42,014                     04            42,014
GTECH HLDGS CORP                COM    400518106      58,907      2,500    2,500                                             2,500
GUCCI GROUP N V                 COM NY 401566104          70          1        1                                                 1
GUEST SUPPLY INC                COM    401630108     980,194     76,500   76,500                                            76,500
GUIDANT CORP                    COM    401698105   3,573,537     69,475   69,475                                            69,475
GUIDANT CORP                    COM    401698105   1,603,523     31,176            31,176            03                     31,176
GUILFORD PHARMACEUTICALS INC    COM    401829106   1,091,473     85,608   85,608                                            85,608
GUITAR CTR MGMT INC             COM    402040109      35,723      3,425             3,425            03                      3,425
GULF CDA RES LTD                ORD    40218L305     406,236     97,000   97,000                                            97,000
GULF ISLAND FABRICATION INC     COM    402307102      83,563      7,000    7,000                                             7,000
GULFMARK OFFSHORE INC           COM    402629109   1,082,981     56,999   56,999                                            56,999
H & Q HEALTHCARE FD             SH BEN 404052102      14,212        976      976                                               976
HCC INS HLDGS INC               COM    404132102     279,514     12,320   12,320                                            12,320
HNC SOFTWARE INC                COM    40425P107      27,731        900      900                                               900
HRPT PPTYS TR                   SB DBC 40426WAB7      17,640     18,000   18,000                                            18,000
HRPT PPTYS TR                   COM SH 40426W101     303,286     19,806   19,806                                            19,806
HRPT PPTYS TR                   COM SH 40426W101      48,205      3,148             3,148            03                      3,148
HPSC INC                        COM    404264103       4,275        450      450                                               450
HSB GROUP INC                   COM    40428N109      30,891        750      750                                               750
HA-LO INDS INC                  COM    404429102       4,937        500      500                                               500
HAEMONETICS CORP                COM    405024100      20,063      1,000    1,000                                             1,000
HAIN FOOD GROUP INC             COM    405219106      55,336      2,683    2,683                                             2,683
HALIFAX CORP                    COM    405752106           0      4,500    4,500                                             4,500
HALLIBURTON CO                  COM    406216101   2,180,886     48,199   48,199                                            48,199
HALLIBURTON CO                  COM    406216101      10,588        234               234            03                        234
HALTER MARINE GROUP INC         SR SB  40642YAC9     234,850    385,000  385,000                                           385,000
HALTER MARINE GROUP INC         COM    40642Y105      13,361      2,017    2,017                                             2,017
HAMBRECHT & QUIST GROUP INC     COM    406545103      18,562        500      500                                               500
HAMILTON BANCORP INC FLA        COM    407013101      12,000        500      500                                               500
JOHN HANCOCK BK &THRIFT OPP FD  SH BEN 409735107      76,950      8,100    8,100                                             8,100
HANCOCK FABRICS INC             COM    409900107     632,187    144,500  144,500                                           144,500
HANCOCK JOHN INCOME SECS TR     COM    410123103      19,147      1,380    1,380                                             1,380
HANCOCK JOHN PATRIOT PFD DIV    COM    41013J107      23,367      1,999    1,999                                             1,999
HANCOCK JOHN INVS TR            COM    410142103       9,156        500      500                                               500
                                 PAGE TOTAL       17,378,953
PAGE:    30     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

HANOVER DIRECT INC              COM    410783104      56,260     20,000   20,000                                            20,000
HANSEN NAT CORP                 COM    411310105      13,124      3,000    3,000                                             3,000
HANSON PLC                      SPNSRD 411352404      55,021      1,240    1,240                                             1,240
HARBINGER CORP                  COM    41145C103       7,862        629      629                                               629
HARCOURT GEN INC                COM    41163G101   4,333,350     84,041   84,041                                            84,041
HARKEN ENERGY CORP              COM    412552101   1,458,266    897,423  897,423                                           897,423
HARLEY DAVIDSON INC             COM    412822108     690,280     12,695   12,695                                            12,695
HARLEY DAVIDSON INC             COM    412822108      59,813      1,100    1,100                     02      200      900
HARLEY DAVIDSON INC             COM    412822108     825,857     15,190            15,190            03                     15,190
HARMONIC LIGHTWAVES INC         COM    413160102     432,392      7,528    7,528                                             7,528
HARRAHS ENTMT INC               COM    413619107     290,400     13,200   13,200                                            13,200
HARRIS CORP DEL                 COM    413875105      19,985        510      510                                               510
HARSCO CORP                     COM    415864107      43,840      1,370    1,370                                             1,370
HARTE-HANKS INC                 COM    416196103       3,255        120               120            03                        120
HARTFORD FINL SVCS GROUP INC    COM    416515104      32,071        550      550                                               550
HARTFORD FINL SVCS GROUP INC    COM    416515104      88,859      1,524             1,524            03                      1,524
HARTFORD LIFE INC               CL A   416592103      34,206        650      650                                               650
HASBRO INC                      COM    418056107      31,624      1,132    1,132                                             1,132
HASBRO INC                      COM    418056107       2,932        105               105            03                        105
HASTINGS ENTMT INC              COM    418365102     175,214     15,236   15,236                                            15,236
HAWAIIAN ELEC INDUSTRIES        COM    419870100      74,550      2,100    2,100                                             2,100
HAYES LEMMERZ INTL INC          COM    420781106     293,750     10,000   10,000                                            10,000
HEALTHSOUTH CORP                SB DB  421924AF8   8,228,242  9,623,000 9623,000                                          9623,000
HEALTHSOUTH CORP                COM    421924101      84,921      5,685    5,685                                             5,685
HEALTHSOUTH CORP                COM    421924101      41,669      2,790             2,790            03                      2,790
HEALTH MGMT ASSOC INC NEW       CL A   421933102     697,198     61,975   61,975                                            61,975
HEALTH RISK MGMT INC            COM    421935107      29,625      3,000    3,000                                             3,000
HEALTHCARE RLTY TR              COM    421946104   1,090,908     51,948   51,948                                            51,948
HEALTHCARE RLTY TR              COM    421946104      94,878      4,518             4,518            03                      4,518
HEALTH CARE REIT INC            COM    42217K106     781,178     33,600   33,600                                            33,600
HEALTH CARE REIT INC            COM    42217K106      23,250      1,000             1,000            03                      1,000
HEALTHCARE RECOVERIES INC       COM    42220K101      12,823      2,700             2,700            03                      2,700
HECLA MNG CO                    COM    422704106       2,063      1,000    1,000                                             1,000
HEINZ H J CO                    COM    423074103     319,538      6,375    6,375                                             6,375
HEINZ H J CO                    COM    423074103     224,748      4,484             4,484            03                      4,484
HELIX TECHNOLOGY CORP           COM    423319102      45,936      1,919    1,919                                             1,919
HERITAGE PROPANE PARTNERS L P   UNIT L 426918108     970,370     42,190   42,190                                            42,190
HERCULES INC                    COM    427056106      15,724        400      400                                               400
HERSHEY FOODS CORP              COM    427866108   1,646,824     27,736   27,736                                            27,736
HERSHEY FOODS CORP              COM    427866108     349,707      5,890             5,890            03                      5,890
HEWLETT PACKARD CO              COM    428236103   5,509,759     54,824   54,824                                            54,824
HEWLETT PACKARD CO              COM    428236103   2,567,401     25,547            25,547            03                     25,547
HEWLETT PACKARD CO              COM    428236103   2,271,903     22,606   22,606                     07            22,606
HEXCEL CORP NEW                 COM    428291108      14,173      1,400    1,400                                             1,400
HIBBETT SPORTING GOODS INC      COM    428565105      31,350      1,425             1,425            03                      1,425
HIGH INCOME OPPORTUNITY FD INC  COM    42967Q105      10,563      1,000    1,000                                             1,000
HIGHLANDS INS GROUP INC         COM    431032101         840         80       80                                                80
HILTON HOTELS CORP              COM    432848109     704,430     49,650   49,650                                            49,650
HITACHI LIMITED                 ADR 10 433578507      16,054        170      170                                               170
HITACHI LIMITED                 ADR 10 433578507  16,236,981    171,938           171,938            03                    171,938
HOECHST A G                     SPONSO 434390308      16,560        360      360                                               360
HOECHST A G                     SPONSO 434390308     609,270     13,245            13,245            03                     13,245
                                 PAGE TOTAL       51,671,797
PAGE:    31     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

HOLLY CORP                      COM PA 435758305         508         38       38                                                38
HOLLYWOOD PK INC NEW            COM    436255103     130,050      7,650    7,650                                             7,650
HOLOGIC INC                     COM    436440101       5,625      1,000    1,000                                             1,000
HOME DEPOT INC                  SB NT  437076AE2  59,080,643 21,079,00021079,000                                         21079,000
HOME DEPOT INC                  COM    437076102  17,508,960    271,724  271,724                                           271,724
HOME DEPOT INC                  COM    437076102   4,453,187     69,112            69,112            03                     69,112
HOME PPTYS N Y INC              COM    437306103   2,243,995     81,233   81,233                                            81,233
HOME PPTYS N Y INC              COM    437306103      53,729      1,945             1,945            03                      1,945
HOMEBASE INC                    COM    43738E108     523,979     83,000   83,000                                            83,000
HOMESTAKE MNG CO                COM    437614100     169,071     20,650   20,650                                            20,650
HOMESTEAD VLG PPTYS INC         COM    437851108       9,167      3,761    3,761                                             3,761
HONDA MOTOR LTD                 AMERN  438128308       4,337         50                50            03                         50
HONEYWELL INC                   COM    438506107     252,141      2,176    2,176                                             2,176
HONEYWELL INC                   COM    438506107      84,003        725               725            03                        725
HONG KONG TELECOMMUNICATIONS    SPONSO 438579203      79,600      2,955    2,955                                             2,955
HOOPER HOLMES INC               COM    439104100     517,305     25,390            25,390            03                     25,390
HORACE MANN EDUCATORS CORP NEW  COM    440327104       4,893        180               180            03                        180
HORIZON OFFSHORE INC            COM    44043J105       7,750      1,000    1,000                                             1,000
HORIZON ORGANIC HOLDING         COM    44043T103      11,700        800      800                                               800
HOSPITALITY PPTYS TR            COM SH 44106M102     130,198      4,800    4,800                                             4,800
HOUGHTON MIFFLIN CO             COM    441560109   2,659,741     56,515   56,515                                            56,515
HOUSEHOLD INTL INC              COM    441815107   3,923,875     82,826   82,826                                            82,826
HOUSEHOLD INTL INC              COM    441815107       5,210        110               110            03                        110
HOUSTON EXPL CO                 COM    442120101     284,062     15,000   15,000                     02    2,700   12,300
HUBBELL INC                     CL B   443510201      57,172      1,260    1,260                                             1,260
HUDSON RIV BANCORP INC          COM    444128102      19,909      1,790             1,790            03                      1,790
HUFFY CORP                      COM    444356109     960,106     68,579   68,579                                            68,579
HUGHES SUPPLY INC               COM    444482103      59,376      2,000    2,000                                             2,000
HUMANA INC                      COM    444859102   2,100,278    162,335  162,335                                           162,335
HUMANA INC                      COM    444859102     191,989     14,840            14,840            03                     14,840
HUMAN GENOME SCIENCES INC       COM    444903108       3,950        100      100                                               100
HUNTINGTON BANCSHARES INC       COM    446150104     577,570     16,502   16,502                                            16,502
HUNTWAY REFINING CO             COM    447309105     386,345    257,564  257,564                                           257,564
HUNTWAY REFINING CO             COM    447309105     302,452    201,635           201,635            06                    201,635
HUSSMANN INTL INC               COM    448110106     168,114     10,150   10,150                                            10,150
HUTCHINSON TECHNOLOGY INC       SB NT  448407AC0   6,913,329  5,890,000 5890,000                                          5890,000
HVIDE MARINE INC                CLA    448515106       3,854      1,788    1,788                                             1,788
HYPERION 1999 TERM TR INC       COM    448913103      43,644      6,126    6,126                                             6,126
HYPERION 2002 TERM TR INC       COM    448915108          93         11       11                                                11
HYPERION 2005 INVT GRADE OPPTN  COM    448918102     100,280     12,247   12,247                                            12,247
ICN PHARMACEUTICALS INC NEW     COM    448924100     166,055      5,159    5,159                                             5,159
IDT CORP                        COM    448947101      35,199      1,582    1,582                                             1,582
HYDRON TECHNOLOGIES INC         COM    449020106           0      8,000    8,000                                             8,000
HYPERION TOTAL RETURN & INCOME  COM    449145101       9,144      1,100    1,100                                             1,100
IBP INC                         COM    449223106     774,820     32,626            32,626            03                     32,626
ICG COMMUNICATIONS INC          COM    449246107      76,778      3,592    3,592                                             3,592
ICG COMMUNICATIONS INC          COM    449246107   3,740,625    175,000  175,000                     01           175,000
I C H CORP NEW                  COM NE 44926L300       5,825        400      400                                               400
ICO HLDGS INC                   COM    449293109       2,500      2,000    2,000                                             2,000
ICOS CORP                       COM    449295104   1,020,325     25,000   25,000                                            25,000
ICU MED INC                     COM    44930G107     257,790     14,575            14,575            03                     14,575
IDEC PHARMACEUTICALS CORP       COM    44937010	       2,080	     27                                                         27
                                PAGE TOTAL       110,123,331
PAGE:    32     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

IDX SYS CORP                    COM    449491109     867,471     38,447   38,447                                            38,447
I-FLOW CORP                     COM NE 449520303       5,296      1,500    1,500                                             1,500
I I S INTELLIGENT INFO LTD      ORD SH 449633205       2,272      2,345    2,345                                             2,345
IMC GLOBAL INC                  COM    449669100   4,516,915    256,279  256,279                                           256,279
IMC GLOBAL INC                  WT EXP 449669118          37         67       67                                                67
IMCO RECYCLING INC              COM    449681105       5,137        300      300                                               300
IMS HEALTH INC                  COM    449934108     314,530     10,065   10,065                                            10,065
IMS HEALTH INC                  COM    449934108   7,031,250    225,000  225,000                     01           225,000
IMS HEALTH INC                  COM    449934108       3,750        120               120            03                        120
IRI INTL CORP                   COM    45004F107         925        200      200                                               200
IRT PPTY CO                     COM    450058102      24,687      2,500    2,500                                             2,500
ISB FINL CORP LA                COM    450091103       3,870        180               180            03                        180
ISS GROUP INC                   COM    450306105          75          2        2                                                 2
ITT EDUCATIONAL SERVICES INC    COM    45068B109       2,475         95       95                                                95
ITT EDUCATIONAL SERVICES INC    COM    45068B109       2,345         90                90            03                         90
ITT INDS INC IND                COM    450911102       4,765        125      125                                               125
ITT INDS INC IND                COM    450911102      36,633        961               961            03                        961
IDEX CORP                       COM    45167R104     122,457      3,725    3,725                                             3,725
IDENTIX INC                     COM    451906101     345,908     35,250   35,250                                            35,250
IMARK TECHNOLOGIES INC          WT EXP 451929111           0     16,000   16,000                                            16,000
ILLINOIS TOOL WKS INC           COM    452308109     456,412      5,566    5,566                                             5,566
ILLINOIS TOOL WKS INC           COM    452308109   1,804,738     22,009            22,009            03                     22,009
ILLINOVA CORP                   COM    452317100     952,246     34,945   34,945                                            34,945
IMATION CORP                    COM    45245A107   6,057,696    244,134  244,134                                           244,134
IMAX CORP                       COM    45245E109      45,000      2,000    2,000                                             2,000
IMMULOGIC PHARMACEUTICAL CORP   COM    45252R100       1,818        970      970                                               970
IMMUNE RESPONSE CORP DEL        COM    45252T106         537        100      100                                               100
IMMUNEX CORP NEW                COM    452528102      20,389        160      160                                               160
IMPAC MTG HLDGS INC             COM    45254P102      82,522     16,300   16,300                                            16,300
IMPAC MTG HLDGS INC             COM    45254P102       1,518        300               300            03                        300
IMPAC COML HLDGS INC            COM    45254R108      26,671      4,225    4,225                                             4,225
IMPAC COML HLDGS INC            COM    45254R108      12,626      2,000             2,000            03                      2,000
IMPERIAL CHEM INDS PLC          ADR NE 452704505       3,180         80       80                                                80
IMPERIAL CHEM INDS PLC          ADR NE 452704505   4,433,601    111,544           111,544            03                    111,544
IMPERIAL CREDIT COMM MRTG INVS  COM    45272T102      21,626      2,000    2,000                                             2,000
IMPERIAL CR INDS INC            COM    452729106      22,395      3,157    3,157                                             3,157
IMATRON INC                     COM    452906100       2,876      2,000    2,000                                             2,000
INACOM CORP                     COM    45323G109      12,625      1,000    1,000                                             1,000
INCO LTD                        COM    453258402      27,360      1,520    1,520                                             1,520
INCO LTD                        PFD CV 453258808     104,608      2,603    2,603                                             2,603
INCOMNET INC                    COM NE 453365207       4,610      2,500    2,500                                             2,500
INCYTE PHARMACEUTICALS INC      COM    45337C102     333,541     12,616   12,616                                            12,616
INDEPENDENCE CMNTY BK CORP      COM    453414104      75,327      5,580             5,580            03                      5,580
INDEPENDENT BANK CORP MASS      COM    453836108      15,750      1,000    1,000                     08             1,000
INDIA FD INC                    COM    454089103     106,108     10,678   10,678                                            10,678
INDUSTRIAL SVCS AMER INC FLA    COM    456314103       5,062      1,500    1,500                                             1,500
INDYMAC MTG HLDGS INC           COM    456607100      12,576        786      786                                               786
INFONAUTICS CORP                CL A   456662105       7,702      1,503    1,503                                             1,503
INFORMIX CORP                   COM    456779107      65,396      7,666    7,666                                             7,666
INFORMIX CORP                   COM    456779107      42,657      5,000    5,000                     02      500    4,500
INFOSEEK CORP                   COM    45678M107     139,015      2,900    2,900                                             2,900
INFOSEEK CORP                   COM    45678M107     239,688      5,000    5,000                     02      500    4,500
                                 PAGE TOTAL       28,428,674
PAGE:    33     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

INFU-TECH INC                   COM    456836105       3,125      2,500    2,500                                             2,500
ING GROEP N V                   SPONSO 456837103     361,680      6,576    6,576                                             6,576
ING GROEP N V                   SPONSO 456837103   8,166,180    148,476           148,476            03                    148,476
INGERSOLL RAND CO               COM    456866102      99,779      1,544    1,544                                             1,544
INGERSOLL RAND CO               COM    456866102     438,846      6,791             6,791            03                      6,791
INFORMATION RES INC             COM    456905108       8,750      1,000    1,000                                             1,000
INKINE PHARMACEUTICALS INC      COM    457214104         406        250      250                                               250
INKTOMI CORP                    COM    457277101      95,962        735      735                                               735
INKTOMI CORP                    COM    457277101   3,467,786     26,371   26,371                     04            26,371
INNKEEPERS USA TR               COM    4576J0104      39,000      3,900    3,900                                             3,900
INNODATA CORP                   COM NE 457642205          11          1        1                                                 1
INSO CORP                       COM    457674109       5,375      1,000    1,000                                             1,000
INSURANCE AUTO AUCTIONS INC     COM    457875102      80,625      5,000    5,000                                             5,000
INTEGRATED DEVICE TECHNOLOGY    COM    458118106     247,949     22,800   22,800                                            22,800
INTEGRATED MEDICAL RESOURCES    COM    45812A100         182     26,000   26,000                                            26,000
INTEGRATED HEALTH SVCS INC      SR SD  45812CAE6      11,520     16,000   16,000                                            16,000
INTEGRATED HEALTH SVCS INC      COM    45812C106     200,000     25,000   25,000                                            25,000
INTEL CORP                      COM    458140100  40,028,468    672,749  672,749                                           672,749
INTEL CORP                      COM    458140100   6,093,567    102,415           102,415            03                    102,415
INTEL CORP                      COM    458140100   1,937,915     32,570   32,570                     07            32,570
INTELECT COMMUNICATIONS INC     COM    458144102          14         10       10                                                10
INTELLIQUEST INFORMATION GROUP  COM    45816H101     157,500     21,000   21,000                                            21,000
INTELLIQUEST INFORMATION GROUP  COM    45816H101      33,000      4,400             4,400            03                      4,400
INTERFACE INC                   CL A   458665106         776         90       90                                                90
INTERIM SVCS INC                SUB NT 45868PAA8      51,940     61,000   61,000                                            61,000
INTERGRAPH CORP                 COM    458683109         775        100      100                                               100
INTERMEDIA COMMUNICATIONS INC   COM    458801107     155,880      5,196    5,196                                             5,196
INTERNATIONAL COMFORT PRODS CP  ORD    458978103     227,500     20,000   20,000                                            20,000
INTERNATIONAL BUSINESS MACHS    COM    459200101  54,066,124    418,310  418,310                                           418,310
INTERNATIONAL BUSINESS MACHS    COM    459200101   2,154,620     16,671            16,671            03                     16,671
INTERNATIONAL BUSINESS MACHS    COM    459200101   2,350,282     18,184   18,184                     07            18,184
INTERNATIONAL HOME FOODS INC    COM    459655106       9,219        500      500                                               500
INTERNATIONAL GAME TECHNOLOGY   COM    459902102     259,925     14,050   14,050                                            14,050
INTERNATIONAL NETWORK SVCS      COM    460053101      63,063      1,562    1,562                                             1,562
INTL PAPER CO                   COM    460146103     364,502      7,218    7,218                                             7,218
INTL PAPER CO                   COM    460146103     169,724      3,361             3,361            03                      3,361
INTERNATIONAL RECTIFIER CORP    COM    460254105      90,523      6,800    6,800                                             6,800
INTERNATIONAL SPEEDWAY CORP     CL A   460335201       9,974        210      210                                               210
INTERPORE INTL                  COM    46062W107       6,187      1,500    1,500                                             1,500
INTERPUBLIC GROUP COS INC       COM    460690100     103,948      1,200    1,200                                             1,200
INTERPUBLIC GROUP COS INC       COM    460690100   1,134,852     13,102            13,102            03                     13,102
INTERSTATE BAKERIES CORP DEL    COM    46072H108       6,506        290      290                                               290
INTERVEST BANCSHARES CORP       CL A   460927106       1,775        200      200                                               200
INTERTAN INC                    COM    461120107     926,000     46,300   46,300                     02    7,800   38,500
INTIMATE BRANDS INC             CL A   461156101       1,563         33       33                                                33
INTIMATE BRANDS INC             CL A   461156101       4,690         99                99            03                         99
INTUIT                          COM    461202103   1,236,783     13,725   13,725                                            13,725
INTUIT                          COM    461202103       4,955         55                55            03                         55
INTUIT                          COM    461202103   2,123,976     23,567   23,567                     07            23,567
INVACARE CORP                   COM    461203101       1,605         60                60            03                         60
INVESCO GLOBAL HEALTH SCIENCES  COM    46128N109         619         39       39                                                39
INVESTMENT GRADE MUN INCOME FD  COM    461368102         431         29       29                                                29
                                 PAGE TOTAL      127,006,357
PAGE:    34     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

INVESTORS FINL SERVICES CORP    COM    461915100     329,600      8,240    8,240                     08             8,240
IOMEGA CORP                     COM    462030107     108,634     22,000   22,000                                            22,000
IONIC FUEL TECHNOLOGY INC       WT B E 462211129           0      2,100    2,100                                             2,100
IPALCO ENTERPRISES INC          COM    462613100       8,474        400      400                                               400
IRISH INVT FD INC               COM    462710104       8,250        500      500                                               500
ISIS PHARMACEUTICALS INC        COM    464330109      40,752      4,000    4,000                                             4,000
ISOLYSER INC                    COM    464888106       1,875        400      400                                               400
ISRAEL LD DEV LTD               SPONSO 465117208      61,500      3,000    3,000                                             3,000
ISTITUTO NAZIONALE DELLE ASSIG  SPONSO 465234102     118,804      5,110    5,110                                             5,110
ITALY FD INC                    COM    465395101     111,150      7,600    7,600                                             7,600
I2 TECHNOLOGIES INC             COM    465754109      43,000      1,000    1,000                                             1,000
IVAX CORP                       COM    465823102      47,317      3,350    3,350                                             3,350
IVAX CORP                       COM    465823102     211,876     15,000   15,000                     02    2,500   12,500
JDN RLTY CORP                   COM    465917102       9,218        412      412                                               412
JLM INDUSTRIES INC              COM    46621D103     223,124     42,500   42,500                                            42,500
JLM COUTURE INC                 COM    46621E101       3,802      1,667    1,667                                             1,667
JLG INDS INC                    COM    466210101       4,075        200      200                                               200
JP REALTY INC                   COM    46624A106       7,197        350      350                                               350
JSB FINANCIAL INC               COM    46624M100      25,437        500      500                                               500
JABIL CIRCUIT INC               COM    466313103     293,311      6,500    6,500                                             6,500
JABIL CIRCUIT INC               COM    466313103       3,384         75                75            03                         75
JACOBS ENGR GROUP INC DEL       COM    469814107   1,440,200     37,900   37,900                                            37,900
JACOBS ENGR GROUP INC DEL       COM    469814107       3,420         90                90            03                         90
JACOR COMMUNUNICATIONS INC      SR LYO 469858AB0   2,848,250  5,000,000 5000,000                                          5000,000
JAKARTA GROWTH FD INC           COM    470120106         794        205      205                                               205
JAMESON INNS INC                COM    470457102   1,445,838    154,227  154,227                                           154,227
JAN BELL MARKETING INC          COM    470760109      10,587      3,025    3,025                                             3,025
JAN BELL MARKETING INC          WT EXP 470760117           0        715      715                                               715
JAPAN OTC EQUITY FD INC         COM    471091108       7,481        700      700                                               700
JARDINE FLEMING CHINA REGION    COM    471110106      21,562      2,500    2,500                                             2,500
JARDINE FLEMING INDIA FD INC    COM    471112102      17,325      2,475    2,475                                             2,475
JEFFERSON PILOT CORP            COM    475070108     330,331      4,991    4,991                                             4,991
JEFFERSON SMURFIT GROUP PLC     SPONSO 47508W107     235,625     10,000   10,000                     02    1,500    8,500
JEFFERSON SMURFIT GROUP PLC     SPONSO 47508W107     999,519     42,425            42,425            03                     42,425
JOHNSON & JOHNSON               COM    478160104  13,618,178    138,961  138,961                                           138,961
JOHNSON & JOHNSON               COM    478160104   3,148,740     32,130            32,130            03                     32,130
JOHNSON CTLS INC                COM    478366107   2,588,979     37,355   37,355                                            37,355
JOHNSON CTLS INC                COM    478366107      94,951      1,370             1,370            03                      1,370
JOHNSTON INDS DEL               COM    479368102       3,282      1,500    1,500                                             1,500
JONES APPAREL GROUP INC         COM    480074103   1,544,085     45,000   45,000                     01            45,000
JONES APPAREL GROUP INC         COM    480074103     621,603     18,100   18,100                     02    3,400   14,700
JONES APPAREL GROUP INC         COM    480074103       5,488        160               160            03                        160
JONES INTERCABLE INC            CL A   480206200     452,515      9,235    9,235                     07             9,235
JOSTENS INC                     COM    481088102      17,518        832               832            03                        832
JOURNAL REGISTER CO             COM    481138105      33,750      1,500    1,500                                             1,500
JOURNAL REGISTER CO             COM    481138105      51,187      2,275             2,275            03                      2,275
JUMBOSPORTS INC                 COM    481386100          28        300      300                                               300
JUST TOYS INC                   COM NE 482133303           0          1        1                                                 1
KLA-TENCORP CORP                COM    482480100      66,559      1,026    1,026                                             1,026
KLM ROYAL DUTCH AIRLS           COM N  482516101      58,125      2,035    2,035                                             2,035
K MART CORP                     COM    482584109       8,219        500      500                                               500
KN ENERGY INC                   COM    482620101      60,187      4,500    4,500                                             4,500
                                 PAGE TOTAL       31,395,106
PAGE:    35     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

K-SWISS INC                     CL A   482686102       9,300        200      200                                               200
KTI INC                         COM NE 482689205       3,562        250      250                                               250
KAFUS ENVIRONMENTAL INDS LTD    COM    482910106      17,324      1,800    1,800                                             1,800
KANSAS CITY PWR & LT CO         COM    485134100      76,653      3,006    3,006                                             3,006
KANSAS CITY SOUTHN INDS INC     COM    485170104   5,757,953     90,237   90,237                                            90,237
KANSAS CITY SOUTHN INDS INC     COM    485170104      24,565        385               385            03                        385
KAUFMAN & BROAD HOME CORP       COM    486168107       5,472        220      220                                               220
KAYDON CORP                     COM    486587108      53,800      1,600    1,600                                             1,600
KEANE INC                       COM    486665102     906,123     40,052   40,052                                            40,052
KELLOGG CO                      COM    487836108      19,800        600      600                                               600
KELLEY OIL & GAS CORP           COM    487906109       3,285     15,000   15,000                                            15,000
KELLSTROM INDS INC              COM    488035106      45,625      2,500    2,500                                             2,500
KELLWOOD CO                     COM    488044108   1,220,950     45,012   45,012                                            45,012
KEMET CORP                      COM    488360108   2,165,005     94,390   94,390                                            94,390
KEMPER MULTI MKT INCOME TR      SH BEN 48842B106      27,375      3,000    3,000                                             3,000
KEMPER MUN INCOME TR            COM SH 48842C104       4,112        334      334                                               334
KENNAMETAL INC                  COM    489170100     462,458     14,918   14,918                                            14,918
KENNEDY-WILSON INC              COM NE 489399204     242,219     27,100   27,100                                            27,100
KENT ELECTRS CORP               COM    490553104       1,981        100      100                                               100
KERAVISION INC                  COM    492061106     392,058     22,728   22,728                     05            22,728
KERR MCGEE CORP                 COM    492386107     366,719      7,307    7,307                                             7,307
KERR MCGEE CORP                 COM    492386107     968,619     19,300   19,300                     02    3,600   15,700
KEYCORP NEW                     COM    493267108      38,550      1,200    1,200                                             1,200
KEYCORP NEW                     COM    493267108     751,725     23,400   23,400                     08            23,400
KIMBERLY CLARK CORP             COM    494368103     573,876     10,068   10,068                                            10,068
KIMBERLY CLARK CORP             COM    494368103     893,817     15,681            15,681            03                     15,681
KIMCO REALTY CORP               COM    49446R109   1,745,950     44,625   44,625                                            44,625
KINDER MORGAN ENERGY PARTNERS   UT LTD 494550106      30,229        817      817                                               817
KING PHARMACEUTICALS INC        COM    495582108      25,875      1,000    1,000                                             1,000
KING WORLD PRODTNS INC          COM    495667107     183,109      5,260    5,260                                             5,260
KING WORLD PRODTNS INC          COM    495667107      58,068      1,668    1,668                     04             1,668
KINROSS GOLD CORP               COM    496902107         330        196      196                                               196
KIRBY CORP                      COM    497266106     254,252     12,000   12,000                                            12,000
KIRBY CORP                      COM    497266106      72,035      3,400             3,400            03                      3,400
KIRIN BREWERY LTD               ADR    497350207     139,529      1,175    1,175                                             1,175
KIRIN BREWERY LTD               ADR    497350207       1,662         14                14            03                         14
KLAMATH FIRST BANCORP INC       COM    49842P103      10,050        670               670            03                        670
KLEINWORT BENSON AUSTRALIAN FD  COM    498577105       3,375        500      500                                               500
KMART FING I                    PFD TR 498778208     146,250      2,500    2,500                                             2,500
KNIGHT TRANSN INC               COM    499064103      41,133      1,925             1,925            03                      1,925
KNIGHT/TRIMARK GROUP INC        CL A   499067106   1,836,516     30,451   30,451                                            30,451
KOGER EQUITY INC                COM    500228101      27,657      1,500    1,500                                             1,500
KOHLS CORP                      COM    500255104      77,188      1,000    1,000                                             1,000
KOHLS CORP                      COM    500255104     420,649      5,450             5,450            03                      5,450
KOLLMORGEN CORP                 COM    500440102       3,000        200      200                                               200
KOMAG INC                       COM    500453105      35,780     10,800   10,800                                            10,800
KONINKLIJKE AHOLD N V           SPNSRD 500467303      22,852        660      660                                               660
KOOR INDS LTD                   SPONSO 500507108     505,011     21,605   21,605                                            21,605
KOREA ELECTRIC PWR              SPONSO 500631106       4,510        220      220                                               220
KOREA ELECTRIC PWR              SPONSO 500631106   1,923,816     93,850            93,850            03                     93,850
KOREA FD                        COM    500634100     379,312     25,500   25,500                                            25,500
KRANZCO RLTY TR                 COM SH 50076E103      97,387      7,350    7,350                                             7,350
                                 PAGE TOTAL       23,078,451
PAGE:    36     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

KROGER CO                       COM    501044101  20,323,350    727,476  727,476                                           727,476
KROGER CO                       COM    501044101     598,967     21,441            21,441            03                     21,441
KROLL O GARA CO                 COM    501050108      22,063      1,000    1,000                                             1,000
KUSHNER-LOCKE CO                COM NE 501337406      57,694      8,876    8,876                                             8,876
KYOCERA CORP                    ADR    501556203       7,192        120      120                                               120
KYOCERA CORP                    ADR    501556203   7,709,765    128,635           128,635            03                    128,635
LASMO PLC                       SP ADR 501730303     136,125      5,500    5,500                                             5,500
LCC INTERNATIONAL INC           CL A   501810105      22,500      5,000    5,000                                             5,000
LEC TECHNOLOGIES INC            WT C E 501848121           0    496,425  496,425                                           496,425
LEC TECHNOLOGIES INC            WT D E 501848139           0    257,600  257,600                                           257,600
LG&E ENERGY CORP                COM    501917108       7,014        334      334                                               334
LTV CORP NEW                    COM    501921100         668        100      100                                               100
LHS GROUP INC                   COM    501938104     164,498      4,966    4,966                                             4,966
LNR PPTY CORP                   COM    501940100   1,258,624     58,883   58,883                     04            58,883
LMI AEROSPACE INC               COM    502079106      21,565      5,000    5,000                                             5,000
LML PMT SYS INC                 COM    50208P109         525        145      145                                               145
LSI LOGIC CORP                  COM    502161102     129,149      2,800    2,800                                             2,800
LTC PPTYS INC                   COM    502175102      79,950      6,150    6,150                                             6,150
LVMH MOET HENNESSY LOU VUITTON  SPONSO 502441207      65,838      1,102             1,102            03                      1,102
LA JOLLA PHARMACEUTICAL CO      COM    503459109      65,311     80,383   80,383                     05            80,383
LA JOLLA PHARMACEUTICAL CO      WT EXP 503459117           0     17,553   17,553                     05            17,553
LA Z BOY INC                    COM    505336107     495,282     21,534            21,534            03                     21,534
LABORATORY CORP AMER HLDGS      COM    50540R102     114,467     39,816   39,816                                            39,816
LABORATORY CORP AMER HLDGS      WT EXP 50540R110           0     16,226   16,226                                            16,226
LABORATORY CORP AMER HLDGS      WT EXP 50540R110           0        130               130            03                        130
LABORATORY CORP AMER HLDGS      PFD CV 50540R201     184,668      3,150    3,150                                             3,150
LANCE INC                       COM    514606102      15,625      1,000    1,000                                             1,000
LANDAUER INC                    COM    51476K103     486,484     16,491            16,491            03                     16,491
LANDEC CORP                     COM    514766104      46,950     12,520   12,520                                            12,520
LANDRYS SEAFOOD RESTAURANTS     COM    51508L103      24,000      3,000    3,000                                             3,000
LASERGATE SYS INC               COM PA 517906509           0          8        8                                                 8
LASON INC                       COM    51808R107       1,984         40                40            03                         40
LATIN AMER INVT FD              COM    518279104      65,068      5,816    5,816                                             5,816
LATIN AMERN DISCOVERY FD INC    COM    51828C106      11,250      1,200    1,200                                             1,200
LATTICE SEMICONDUCTOR CORP      COM    518415104     570,519      9,165    9,165                                             9,165
LAUDER ESTEE COS INC            CL A   518439104     119,435      2,383    2,383                                             2,383
LAUDER ESTEE COS INC            CL A   518439104   1,124,983     22,445            22,445            03                     22,445
LAZARE KAPLAN INTL INC          COM    521078105      40,500      4,000    4,000                                             4,000
LEAR CORP                       COM    521865105     276,109      5,550             5,550            03                      5,550
LEE ENTERPRISES INC             COM    523768109      34,160      1,120             1,120            03                      1,120
LEGATO SYS INC                  COM    524651106     521,885      9,037    9,037                                             9,037
LEGGETT & PLATT INC             COM    524660107      44,500      1,600    1,600                                             1,600
LEGGETT & PLATT INC             COM    524660107      44,770      1,610             1,610            03                      1,610
LEHMAN BROS HLDGS INC           COM    524908100   1,168,859     18,777   18,777                                            18,777
LEHMAN BROS HLDGS INC           COM    524908100     310,626      5,000    5,000                     02      500    4,500
LENNAR CORP                     COM    526057104      12,000        500      500                                               500
LENNAR CORP                     COM    526057104       2,160         90                90            03                         90
LENNAR CORP                     COM    526057104   1,743,648     72,652   72,652                     04            72,652
LEUCADIA NATL CORP              COM    527288104   1,100,000     44,000   44,000                                            44,000
LEVEL 3 COMMUNICATIONS INC      COM    52729N100     380,185      6,330    6,330                                             6,330
LEVEL ONE COMMUNICATIONS INC    COM    527295109     523,274     10,693   10,693                                            10,693
LEVIATHAN GAS PIPELINE PARTNRS  PREF U 527367106      84,637      3,700    3,700                                             3,700
                                 PAGE TOTAL       40,218,826
PAGE:    37     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

LEXMARK INTL GROUP INC          CL A   529771107   1,043,225     15,792   15,792                                            15,792
LEXMARK INTL GROUP INC          CL A   529771107     116,309      1,761             1,761            03                      1,761
LIBERTY ALL STAR EQUITY FD      SH BEN 530158104      57,268      4,165    4,165                                             4,165
LIBERTY PPTY TR                 SH BEN 531172104     301,226     12,110   12,110                                            12,110
LIBERTY PPTY TR                 SH BEN 531172104      15,173        610               610            03                        610
LIFEWAY FOODS INC               COM    531914109       9,450      1,400    1,400                                             1,400
LIFETIME HOAN CORP              COM    531926103      13,084      1,434    1,434                                             1,434
LIGAND PHARMACEUTICALS INC      WT B E 53220K116         338         66       66                                                66
LIGAND PHARMACEUTICALS INC      CL B   53220K207         332         30       30                                                30
LILLY ELI & CO                  COM    532457108   5,965,708     83,292   83,292                                            83,292
LILLY ELI & CO                  COM    532457108   1,025,226     14,315            14,315            03                     14,315
LIMITED INC                     COM    532716107      74,865      1,650    1,650                                             1,650
LIMITED INC                     COM    532716107     289,890      6,389             6,389            03                      6,389
LINCOLN NATL CORP IND           COM    534187109      94,161      1,800    1,800                                             1,800
LINDSAY MFG CO                  COM    535555106      17,563      1,000    1,000                                             1,000
LINEAR TECHNOLOGY CORP          COM    535678106      63,752        948      948                                               948
LINEAR TECHNOLOGY CORP          COM    535678106     271,670      4,040             4,040            03                      4,040
LINENS N THINGS INC             COM    535679104       2,187         50                50            03                         50
LIPOSOME CO INC                 COM    536310105     177,651      9,289    9,289                                             9,289
LIQUI BOX CORP                  COM    536314107     255,307      4,750             4,750            03                      4,750
LITCHFIELD FINL CORP            COM    536619109       6,555        387      387                                               387
LITTELFUSE INC                  COM    537008104         847         44       44                                                44
LIVENT INC                      COM    537902108          40      1,500    1,500                                             1,500
LITTON INDS INC                 COM    538021106   2,021,197     28,170   28,170                                            28,170
LIZ CLAIBORNE INC               COM    539320101       5,475        150      150                                               150
LOCKHEED MARTIN CORP            COM    539830109  19,590,461    525,934  525,934                                           525,934
LOCKHEED MARTIN CORP            COM    539830109   1,954,262     52,466            52,466            03                     52,466
LODGENET ENTMT CORP             COM    540211109       1,393        100      100                                               100
LOEWS CINEPLEX ENTMT CORP       COM    540423100       4,350        400      400                                               400
LOEWS CORP                      COM    540424108   2,884,101     36,450   36,450                                            36,450
LOEWS CORP                      COM    540424108     750,431      9,485             9,485            03                      9,485
LONE STAR STEAKHOUSE SALOON     COM    542307103       3,887        400      400                                               400
LOUIS DREYFUS NAT GAS CORP      COM    546011107       4,312        200      200                                               200
LOUISIANA PAC CORP              COM    546347105      10,592        446      446                                               446
LOWES COS INC                   COM    548661107     548,652      9,679    9,679                                             9,679
LOWES COS INC                   COM    548661107     362,318      6,392             6,392            03                      6,392
LUBRIZOL CORP                   COM    549271104     109,654      4,024    4,024                                             4,024
LUBRIZOL CORP                   COM    549271104     662,792     24,325            24,325            03                     24,325
LUCENT TECHNOLOGIES INC         COM    549463107  13,363,733    198,167  198,167                                           198,167
LUCENT TECHNOLOGIES INC         COM    549463107   2,245,298     33,296            33,296            03                     33,296
LUCENT TECHNOLOGIES INC         COM    549463107   2,284,965     33,882   33,882                     07            33,882
LUNDIN OIL AB                   SPNSRD 550375109      14,955      4,602    4,602                                             4,602
LYCOS INC                       COM    550818108     106,755      1,162    1,162                                             1,162
LYDALL INC DEL                  COM    550819106       5,750        500      500                                               500
M & F WORLDWIDE CORP            COM    552541104          87         11       11                                                11
M & T BK CORP                   COM    55261F104     291,500        530      530                     08               530
MAF BANCORP INC                 COM    55261R108     242,500     10,000   10,000                                            10,000
MBIA INC                        COM    55262C100   4,264,357     65,859   65,859                                            65,859
MBIA INC                        COM    55262C100     152,158      2,350             2,350            03                      2,350
MBNA CORP                       COM    55262L100   1,789,557     58,435   58,435                                            58,435
MBNA CORP                       COM    55262L100     913,988     29,847            29,847            03                     29,847
MBNA CORP                       COM    55262L100     189,875      6,200    6,200                     08             6,200
                                 PAGE TOTAL       64,581,182
PAGE:    38     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

MCN ENERGY GROUP INC            COM    55267J100      13,197        636      636                                               636
M D C HLDGS INC                 COM    552676108         215         10       10                                                10
MCI WORLDCOM INC                COM    55268B106  21,763,170    252,330  252,330                                           252,330
MCI WORLDCOM INC                COM    55268B106   2,581,890     30,000   30,000                     01            30,000
MCI WORLDCOM INC                COM    55268B106   6,064,273     70,313            70,313            03                     70,313
MCI WORLDCOM INC                COM    55268B106   1,333,116     15,490   15,490                     07            15,490
MDU RES GROUP INC               COM    552690109     467,875     20,510   20,510                                            20,510
MFC BANCORP LTD                 COM    55271X103       9,375      1,250    1,250                                             1,250
MFS CHARTER INCOME TR           SH BEN 552727109       9,762      1,100    1,100                                             1,100
MFS INTER INCOME TR             SH BEN 55273C107       6,438      1,000    1,000                                             1,000
MFS MULTIMARKET INCOME TR       SH BEN 552737108      37,271      5,734    5,734                                             5,734
MFS MUN INCOME TR               SH BEN 552738106      75,080      9,100    9,100                                             9,100
MGIC INVT CORP WIS              COM    552848103     383,641      7,890    7,890                                             7,890
MGIC INVT CORP WIS              COM    552848103       5,591        115               115            03                        115
MGI PHARMA INC                  COM    552880106      15,750      1,500    1,500                                             1,500
MGI PPTYS INC                   COM    552885105      14,125        500      500                                               500
MFS GOVT MKTS INCOME TR         SH BEN 552939100      11,250      1,800    1,800                                             1,800
M H MEYERSON & CO INC           COM    55301Q102       9,937      1,500    1,500                                             1,500
MIM CORP                        COM    553044108       1,219        500      500                                               500
MRS TECHNOLOGY INC              COM    553476102          40      4,000    4,000                                             4,000
MRV COMMUNICATIONS INC          COM    553477100      47,617      3,628    3,628                                             3,628
MACDERMID INC                   COM    554273102       1,627         35       35                                                35
MACK CALI RLTY CORP             COM    554489104   1,012,666     32,733   32,733                                            32,733
MACK CALI RLTY CORP             COM    554489104      45,787      1,480             1,480            03                      1,480
MACROCHEM CORP DEL              COM    555903103       5,938      1,000    1,000                                             1,000
MACROMEDIA INC                  COM    556100105     118,968      3,375    3,375                                             3,375
MACROMEDIA INC                  COM    556100105       2,995         85                85            03                         85
MAGNA INTL INC                  CL A   559222401       2,837         50       50                                                50
MAGNETEK INC                    COM    559424106       2,112        200      200                                               200
MAGNUM HUNTER RES INC           COM PA 55972F203       2,950        800      800                                               800
MAGYAR TAVKOZLESI RT            SPONSO 559776109     572,269     20,810   20,810                                            20,810
MAGYAR TAVKOZLESI RT            SPONSO 559776109      21,035        765               765            03                        765
MAIL-WELL INC                   SUB NT 560321AD3   3,229,980  3,000,000 3000,000                                          3000,000
MALLINCKRODT INC NEW            COM    561232109     772,083     21,226   21,226                                            21,226
MALLINCKRODT INC NEW            COM    561232109      76,384      2,100             2,100            03                      2,100
MANAGED HIGH INCOME PORTFOLIO   COM    56166C105       5,094        500      500                                               500
MANAGED HIGH YIELD FD           COM    56166E101      15,575      1,400    1,400                                             1,400
MANAGED CARE SOLUTIONS INC      COM    561906108      14,500      4,000    4,000                                             4,000
MANHATTAN BAGEL INC             COM    562751107           0        800      800                                               800
MANPOWER INC                    COM    56418H100     145,358      6,425             6,425            03                      6,425
MANUFACTURED HOME CMNTYS INC    COM    564682102     678,600     26,100   26,100                                            26,100
MANUFACTURED HOME CMNTYS INC    COM    564682102      54,210      2,085             2,085            03                      2,085
MARINE DRILLING COS INC         COM PA 568240204      83,069      6,069    6,069                                             6,069
MARINE DRILLING COS INC         COM PA 568240204   1,711,000    125,000  125,000                     01           125,000
MARINE DRILLING COS INC         COM PA 568240204     273,751     20,000   20,000                     02    3,000   17,000
MARINER POST-ACUTE NETWORK INC  COM    568459101      15,256     27,100   27,100                                            27,100
MARISA CHRISTINA INC            COM    570268102      16,400     23,838   23,838                                            23,838
MARKETING SVCS GROUP INC        COM    570907105      26,188      1,000    1,000                                             1,000
MARSH & MCLENNAN COS INC        COM    571748102   2,001,752     26,514   26,514                                            26,514
MARSH & MCLENNAN COS INC        COM    571748102   1,328,151     17,592            17,592            03                     17,592
MARSHALL INDS                   COM    572393106      35,938      1,000    1,000                                             1,000
MARTEK BIOSCIENCES CORP         COM    572901106     238,000     28,000   28,000                                            28,000
                                 PAGE TOTAL       45,361,305
PAGE:    39     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

MARTIN MARIETTA MATLS INC       COM    573284106      43,955        745      745                                               745
MASCO CORP                      COM    574599106     114,050      3,950             3,950            03                      3,950
MASCOTECH INC                   COM    574670105     215,107     12,700   12,700                                            12,700
MASCOTECH INC                   COM    574670105      44,037      2,600             2,600            03                      2,600
MASSACHUSETTS HEALTH & ED TXEX  SH BEN 575672100      24,638      1,800    1,800                                             1,800
MASSMUTUAL PARTN INVS           SH BEN 576299101         216         18       18                                                18
MASTEC INC                      COM    576323109      98,875      3,500    3,500                                             3,500
MATAV-CABLE SYS MEDIA LTD       SPONSO 576561104     128,115      2,879    2,879                                             2,879
MATRIA HEALTHCARE INC           COM    576817100   1,080,634    149,053  149,053                                           149,053
MATSUSHITA ELEC INDL            ADR    576879209      69,603        351      351                                               351
MATSUSHITA ELEC INDL            ADR    576879209   8,208,713     41,395            41,395            03                     41,395
MATTEL INC                      COM    577081102   4,071,115    153,988  153,988                                           153,988
MATTEL INC                      COM    577081102      64,555      2,442             2,442            03                      2,442
MAVESA S A                      SPONSO 577717101   1,832,025    563,700  563,700                                           563,700
MAXIM INTEGRATED PRODS INC      COM    57772K101      67,165      1,010             1,010            03                      1,010
MAXTOR CORP                     COM NE 577729205      53,318     10,598   10,598                                            10,598
MAXWELL TECHNOLOGIES INC        COM    577767106      12,030        500      500                                               500
MAY DEPT STORES CO              COM    577778103      52,420      1,282    1,282                                             1,282
MAY DEPT STORES CO              COM    577778103      96,742      2,367             2,367            03                      2,367
MAYTAG CORP                     COM    578592107      92,262      1,324    1,324                                             1,324
MAYTAG CORP                     COM    578592107      58,813        844               844            03                        844
MCCLATCHY CO                    CL A   579489105     226,901      6,850    6,850                                             6,850
MCCORMICK & CO INC              COM NO 579780206       3,156        100               100            03                        100
MCDERMOTT INTL INC              COM    580037109       4,519        160      160                                               160
MCDONALDS CORP                  COM    580135101  31,942,155    773,201  773,201                                           773,201
MCDONALDS CORP                  COM    580135101   1,632,790     39,526            39,526            03                     39,526
MCDONALDS CORP                  COM    580135101   6,224,145    151,347  151,347                     04           151,347
MCGRAW HILL COS INC             COM    580645109   1,579,481     29,285   29,285                                            29,285
MCGRAW HILL COS INC             COM    580645109     590,636     10,951            10,951            03                     10,951
MEAD CORP                       COM    582834107     173,262      4,150    4,150                                             4,150
MEDAPHIS CORP                   COM    584028104   3,450,000    600,000  600,000                     01           600,000
MEDAPHIS CORP                   COM    584028104     143,750     25,000   25,000                     02    4,200   20,800
MEDIAONE GROUP INC              COM    58440J104   7,639,019    102,710  102,710                                           102,710
MEDIAONE GROUP INC              COM    58440J104   4,462,500     60,000   60,000                     01            60,000
MEDIAONE GROUP INC              COM    58440J104     483,650      6,503             6,503            03                      6,503
MEDIAONE GROUP INC              COM    58440J104   6,244,302     83,957   83,957                     04            83,957
MEDIAONE GROUP INC              COM    58440J104      91,109      1,225    1,225                     07             1,225
MEDIAONE GROUP INC              PFD CV 58440J203   4,841,202     32,700   32,700                                            32,700
MEDIA 100 INC                   COM    58440W105       6,100      1,205    1,205                                             1,205
MEDIA LOGIC INC                 COM    58441B100           0      2,000    2,000                                             2,000
MEDICIS PHARMACEUTICAL CORP     CL A N 584690309       2,436         96       96                                                96
MEDICIS PHARMACEUTICAL CORP     CL A N 584690309       4,185        165               165            03                        165
MEDIMMUNE INC                   COM    584699102     912,977     13,476   13,476                                            13,476
MEDIWARE INFORMATION SYS INC    COM    584946107     173,949     23,000   23,000                                            23,000
MEDQUIST INC                    COM    584949101       3,937         90                90            03                         90
MEDITRUST CORP                  PAIRED 58501T306   2,452,398    187,748  187,748                                           187,748
MEDITRUST CORP                  PAIRED 58501T306       9,144        700               700            03                        700
MEDPARTNERS INC NEW             COM    58503X107   1,758,385    232,506  232,506                                           232,506
MEDPARTNERS INC NEW             COM    58503X107   3,000,000    400,000  400,000                     01           400,000
MEDPARTNERS INC NEW             COM    58503X107     768,750    102,500  102,500                     02   14,000   88,500
MEDTRONIC INC                   COM    585055106   7,505,732     96,383   96,383                                            96,383
MEDTRONIC INC                   COM    585055106   5,692,121     73,097            73,097            03                     73,097
                                 PAGE TOTAL      108,451,079
PAGE:    40     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

MEGO FINL CORP                  COM    585162100      17,182     22,000   22,000                                            22,000
MELLON BK CORP                  COM    585509102   1,132,498     31,134   31,134                                            31,134
MELLON BK CORP                  COM    585509102     236,822      6,511             6,511            03                      6,511
MELLON BK CORP                  COM    585509102   1,018,500     28,000   28,000                     08            28,000
MEMBERWORKS INC                 COM    586002107     883,775     30,475   30,475                                            30,475
MENTOR CORP MINN                COM    587188103     185,480      9,959    9,959                                             9,959
MENTOR GRAPHICS CORP            COM    587200106     187,063     14,600   14,600                     02    3,200   11,400
MENTOR INCOME FD INC            COM    587204108       5,362        650      650                                               650
MERCANTILE BANCORPORATION INC   COM    587342106      19,992        350      350                                               350
MERCER INTL INC                 SH BEN 588056101      69,000     11,500   11,500                                            11,500
MERCK & CO INC                  COM    589331107  46,841,778    632,997  632,997                                           632,997
MERCK & CO INC                  COM    589331107     368,126      5,000    5,000                     02      500    4,500
MERCK & CO INC                  COM    589331107   5,774,738     78,037            78,037            03                     78,037
MERCURY AIR GROUP INC           SB DB  589354AA7      52,000     50,000   50,000                                            50,000
MERCURY GENL CORP NEW           COM    589400100      34,000      1,000    1,000                                             1,000
MEREDITH CORP                   COM    589433101      34,625      1,000    1,000                                             1,000
MERIDIAN RESOURCE CORP          COM    58977Q109      58,128     15,001   15,001                                            15,001
MERISTAR HOSPITALITY CORP       COM    58984Y103      89,751      4,000    4,000                                             4,000
MERISEL INC                     COM    589849108       4,117      1,805    1,805                                             1,805
MERITOR AUTOMOTIVE INC          COM    59000G100      14,607        573      573                                               573
MERITOR AUTOMOTIVE INC          COM    59000G100     379,950     14,900   14,900                     02    7,900    7,000
MERRILL LYNCH & CO INC          COM    590188108   3,618,108     45,263   45,263                                            45,263
MERRILL LYNCH & CO INC          COM    590188108       5,595         70                70            03                         70
MESA OFFSHORE TR                UNIT B 590650107          65      1,400    1,400                                             1,400
METACREATIONS CORP              COM    591016100       5,249        913      913                                               913
METAL MGMT INC                  COM    591097100      31,989     21,326   21,326                                            21,326
METALLICA RES INC               COM    59125J104         930      2,000    2,000                                             2,000
METAMOR WORLDWIDE INC           COM    59133P100     240,626     10,000   10,000                     02    1,400    8,600
METHANEX CORP                   COM    59151K108       6,172      1,646    1,646                                             1,646
METRICOM INC                    COM    591596101       4,000        200      200                                               200
METRIS COS INC                  COM    591598107       9,046        222               222            03                        222
METRO GOLDWYN MAYER INC         COM    591610100      50,187      2,750    2,750                                             2,750
METRO ONE TELECOMMUNICATIONS    COM    59163F105      65,037      4,730    4,730                                             4,730
METROMEDIA FIBER NETWORK INC    CL A   591689104     299,720      8,340    8,340                                             8,340
METROMEDIA INTL GROUP INC       COM    591695101       5,122        683      683                                               683
METROMEDIA INTL GROUP INC       PFD CO 591695200     115,084      3,300    3,300                                             3,300
METROPOLITAN HEALTH NETWORKS    COM    592142103         350        700      700                                               700
MEXICO EQUITY & INCOME FD       COM    592834105     142,706     18,562   18,562                                            18,562
MEXICO FD INC                   COM    592835102       1,731        100      100                                               100
METZLER GROUP INC               COM    592903108       3,314        120               120            03                        120
MIAMI COMPUTER SUPPLY CORP      COM    593261100      26,425      1,400    1,400                                             1,400
MICREL INC                      COM    594793101       5,180         70                70            03                         70
MICROS SYS INC                  COM    594901100       4,080        120               120            03                        120
MICROSOFT CORP                  COM    594918104  61,595,872    682,977  682,977                                           682,977
MICROSOFT CORP                  COM    594918104   6,626,330     73,476            73,476            03                     73,476
MICROSOFT CORP                  COM    594918104   6,473,154     71,774   71,774                     04            71,774
MICROSOFT CORP                  COM    594918104   3,489,915     38,696   38,696                     07            38,696
MICROTEST INC                   COM    594941106       3,798      1,600    1,600                                             1,600
MICROCHIP TECHNOLOGY INC        COM    595017104     119,607      2,525             2,525            03                      2,525
MICRON TECHNOLOGY INC           SUB NT 595112AB9   4,556,293  4,442,000 4442,000                                          4442,000
MICRON TECHNOLOGY INC           COM    595112103     222,728      5,525    5,525                                             5,525
MICRON TECHNOLOGY INC           COM    595112103   1,121,040     27,680   27,680                     07            27,680
                                 PAGE TOTAL      146,256,947
PAGE:    41     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

MICROWAVE PWR DEVICES INC DEL   COM    59517M103      46,125      3,000    3,000                                             3,000
MICROWAVE PWR DEVICES INC DEL   COM    59517M103     242,925     15,800   15,800                     02    3,000   12,800
MID-AMER APT CMNTYS INC         COM    59522J103     109,843      4,750    4,750                                             4,750
MID ATLANTIC MED SVCS INC       COM    59523C107       7,900        800      800                                               800
MID-ATLANTIC RLTY TR            SH BEN 595232109     151,299     13,600   13,600                                            13,600
MID-STATE BANCSHARES            COM    595440108      10,968        325      325                                               325
MIDAS GROUP INC                 COM    595626102       1,418         50       50                                                50
MIDCOAST ENERGY RES INC         COM    59563W104     258,299     16,019   16,019                                            16,019
MIDCAP SPDR TR                  UNIT S 595635103     548,625      7,000    7,000                                             7,000
MIDLAND BK PLC                  SPNSRD 597433309      35,350      1,400             1,400            03                      1,400
MIDLAND BK PLC                  SP ADR 597433853       5,112        200      200                                               200
MIDWAY GAMES INC                COM    598148104      22,354      1,728    1,728                                             1,728
MIKOHN GAMING CORP              COM    59862K108       5,118      1,388    1,388                                             1,388
MILESTONE SCIENTIFIC INC        COM    59935P100       1,063      1,000    1,000                                             1,000
MILLENNIUM PHARMACEUTICALS INC  COM    599902103   1,075,284     29,869   29,869                                            29,869
MILLENNIUM CHEMICALS INC        COM    599903101      13,782        585      585                                               585
MILLER HERMAN INC               COM    600544100     315,000     15,000   15,000                                            15,000
MILLIPORE CORP                  COM    601073109     668,849     16,490   16,490                                            16,490
MILLS CORP                      COM    601148109   1,126,895     51,960   51,960                                            51,960
MINDSPRING ENTERPRISES INC      COM    602683104     281,385      6,350    6,350                                             6,350
MINIMED INC                     COM    60365K108       1,538         20       20                                                20
MINIMED INC                     COM    60365K108       6,539         85                85            03                         85
MINNESOTA MNG & MFG CO          COM    604059105  12,007,423    138,124  138,124                                           138,124
MINNESOTA MNG & MFG CO          COM    604059105     354,841      4,082             4,082            03                      4,082
MIRAGE RESORTS INC              COM    60462E104     354,262     21,150   21,150                                            21,150
MIRAVANT MED TECHNOLOGIES       COM    604690107       3,562        500      500                                               500
MISSISSIPPI CHEM CORP           COM NE 605288208       3,277        334      334                                               334
MITCHELL ENERGY & DEV CORP      CL A   606592202     115,878      6,000    6,000                                             6,000
MOBIUS MGMT SYSTEMS INC         COM    606925105       1,650        200      200                                               200
MOBIL CORP                      COM    607059102   7,333,524     74,076   74,076                                            74,076
MOBIL CORP                      COM    607059102   1,629,342     16,458            16,458            03                     16,458
MOHAWK INDS INC                 COM    608190104      18,981        625      625                                               625
MOLEX INC                       CL A   608554200     214,830      6,820    6,820                                             6,820
MOLEX INC                       CL A   608554200       6,615        210               210            03                        210
MONDAVI ROBERT CORP             CL A   609200100      10,912        300      300                                               300
MONDAVI ROBERT CORP             CL A   609200100     545,625     15,000   15,000                     02    2,900   12,100
MONSANTO CO                     COM    611662107   6,488,907    164,540  164,540                                           164,540
MONSANTO CO                     COM    611662107     363,593      9,220             9,220            03                      9,220
MONTANA POWER CO                COM    612085100   3,999,934     56,738   56,738                                            56,738
MONTANA POWER CO                COM    612085100      31,723        450               450            03                        450
MONTGOMERY STR INCOME SECS INC  COM    614115103      21,933      1,240    1,240                                             1,240
MORGAN J P & CO INC             COM    616880100  20,686,502    147,238  147,238                                           147,238
MORGAN J P & CO INC             COM    616880100     160,865      1,145             1,145            03                      1,145
MORGAN STANLEY FIN PLC          UNIT E 616906509      25,563      1,000    1,000                                             1,000
MORGAN GRENFELL SMALLCAP FD     CAP ST 617357108     640,747     60,306   60,306                                            60,306
MORGAN PRODS LTD                COM    617439104       1,906        500      500                                               500
MORGAN STANLEY EMERGING MKTS    COM    61744G107       3,137        267      267                                               267
MORGAN STAN EMG MKT DEBT FD     COM    61744H105      96,240     11,937   11,937                                            11,937
MORGAN STANLEY HIGH YIELD FD    COM    61744M104      37,011      2,350    2,350                                             2,350
MORGAN STANLEY ASIA-PAC FD INC  COM    61744U106     824,381     85,650   85,650                                            85,650
MORGAN STANLEY AFRICA INVT FD   COM    617444104       7,087        700      700                                               700
MORGAN STANLEY DEAN WITTER&CO   COM NE 617446448   7,757,384     75,682   75,682                                            75,682
                                 PAGE TOTAL       68,683,306
PAGE:    42     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

MORGAN STANLEY DEAN WITTER&CO   COM NE 617446448   1,473,916     14,380            14,380            03                     14,380
MORRISON KNUDSEN CORP NEW       COM    61844A109     257,825     25,000   25,000                                            25,000
MORTONS RESTAURANT GROUP INC    COM    619429103     114,378      6,000    6,000                                             6,000
MOTOROLA INC                    COM    620076109   9,363,688     98,826   98,826                                            98,826
MOTOROLA INC                    COM    620076109     286,131      3,020             3,020            03                      3,020
MOTOROLA INC                    COM    620076109   2,145,993     22,649   22,649                     07            22,649
MUELLER INDS INC                COM    624756102  24,913,339    734,085  734,085                                           734,085
MUNICIPAL ADVANTAGE FD INC      COM    626189104     687,107     53,891   53,891                                            53,891
MUNICIPAL HIGH INCOME FD INC    COM    626214100      33,015      3,720    3,720                                             3,720
MUNICIPAL PARTNERS FD INC       COM    62622C101     193,831     14,838   14,838                                            14,838
MUNICIPAL PARTNERS FD II INC    COM    62622E107     445,180     36,155   36,155                                            36,155
MUNIENHANCED FD INC             COM    626243109       5,556        523      523                                               523
MUNIVEST FD II INC              COM    62629P105      65,315      5,000    5,000                                             5,000
MUNIVEST N J FD INC             COM    62629R101       8,368        650      650                                               650
MUNIYIELD N Y INSD FD II INC    COM    62630P102      46,550      3,355             3,355            03                      3,355
MUNIYIELD N Y INSD FD INC       COM    626301105      35,242      2,420             2,420            03                      2,420
MURPHY OIL CORP                 COM    626717102       4,881        100      100                                               100
MURPHY OIL CORP                 COM    626717102     493,007     10,100   10,100                     02    1,800    8,300
MUSICLAND STORES CORP           COM    62758B109      13,204      1,390    1,390                                             1,390
MUTUAL RISK MGMT LTD            COM    628351108       1,902         57       57                                                57
MUTUAL RISK MGMT LTD            COM    628351108     398,680     11,946            11,946            03                     11,946
MYLAN LABS INC                  COM    628530107   2,449,832     92,450   92,450                                            92,450
MYLAN LABS INC                  COM    628530107      18,018        680               680            03                        680
MYRIAD GENETICS INC             COM    62855J104       1,800        200      200                                               200
NBTY INC                        COM    628782104      81,250     12,500   12,500                                            12,500
NCI BUILDING SYS INC            COM    628852105      42,750      2,000    2,000                                             2,000
NCO GROUP INC                   COM    628858102   1,239,750     32,625   32,625                                            32,625
NCR CORP NEW                    COM    62886E108   3,732,874     76,474   76,474                                            76,474
NCR CORP NEW                    COM    62886E108      56,860      1,165             1,165            03                      1,165
NPC INTERNATIONAL INC           COM    629360306   4,863,815    316,346  316,346                                           316,346
NPC INTERNATIONAL INC           COM    629360306     399,751     24,000   24,000                     02    2,700   21,300
NTL INC                         COM    629407107   2,315,523     26,866   26,866                                            26,866
NTL INC                         COM    629407107  12,066,320    140,000  140,000                     01           140,000
NTL INC                         COM    629407107   7,270,820     84,360   84,360                     04            84,360
NTL INC                         COM    629407107     671,577      7,792    7,792                     07             7,792
NVR INC                         COM    62944T105       3,131         60                60            03                         60
NABORS INDS INC                 COM    629568106     472,249     19,325   19,325                                            19,325
NALCO CHEM CO                   COM    629853102      15,562        300      300                                               300
NANOPHASE TCHNOLOGIES CORP      COM    630079101     154,696     68,761   68,761                                            68,761
NATIONAL AUSTRALIA BK LTD       SPONSO 632525408     129,108      1,537             1,537            03                      1,537
NATIONAL BANCORP ALASKA         COM    632587101      28,620      1,080    1,080                                             1,080
NATIONAL CITY CORP              COM    635405103     106,633      1,628    1,628                                             1,628
NATIONAL CITY CORP              COM    635405103      86,850      1,326             1,326            03                      1,326
NATIONAL COMM BANCORP           COM    635449101     387,866     17,732            17,732            03                     17,732
NATIONAL COMM BANCORP           COM    635449101     196,875      9,000    9,000                     08             9,000
NATIONAL COMPUTER SYS INC       COM    635519101       2,362         70                70            03                         70
NATIONAL DATA CORP              COM    635621105     265,050      6,200    6,200                                             6,200
NATIONAL DENTEX CORP            COM    63563H109     159,550      9,250             9,250            03                      9,250
NATIONAL DISC BROKERS GROUP     COM    635646102     290,000      5,000    5,000                                             5,000
NATIONAL HEALTH REALTY INC      COM    635905102      28,925      2,600    2,600                                             2,600
NATIONAL HEALTHCARE CORP        COM    635906100      20,800      2,600    2,600                                             2,600
NATIONAL HEALTH INVS INC        COM    63633D104     114,064      5,000    5,000                                             5,000
                                 PAGE TOTAL       78,660,389
PAGE:    43     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

NATIONAL INSTRS CORP            COM    636518102       2,826         70                70            03                         70
NATIONAL PWR PLC                SPON A 637194408   4,077,182    132,600           132,600            03                    132,600
NATIONAL R V HLDGS INC          COM    637277104     329,314     13,407   13,407                                            13,407
NATIONAL REGISTRY INC           COM NE 63735L202         541        333      333                                               333
NATIONAL SEMICONDUCTOR CORP     SB NT  637640AB9     133,000    140,000  140,000                                           140,000
NATIONAL SEMICONDUCTOR CORP     COM    637640103     271,530     10,727   10,727                                            10,727
NATIONAL SEMICONDUCTOR CORP     COM    637640103     442,969     17,500   17,500                     02    3,200   14,300
NATIONAL TECHNICAL SYS INC      COM    638104109       1,237        300      300                                               300
NATIONAL WESTMINSTER BK PLC     ADR    638539403      25,597        197      197                                               197
NATIONAL WESTMINSTER BK PLC     ADR RE 638539700       2,593        100      100                                               100
NATIONAL WESTMINSTER BK PLC     ADR RE 638539700      25,935      1,000             1,000            03                      1,000
NATIONWIDE HEALTH PPTYS INC     COM    638620104     958,155     50,265   50,265                                            50,265
NATIONWIDE HEALTH PPTYS INC     COM    638620104      19,063      1,000             1,000            03                      1,000
NATURAL ALTERNATIVES INTL INC   COM NE 638842302       4,124      1,200    1,200                                             1,200
NATURAL WONDERS INC             COM    639014109      54,400     13,600   13,600                                            13,600
NATURES SUNSHINE PRODUCTS INC   COM    639027101      17,797      1,695    1,695                                             1,695
NAVARRE CORP                    COM    639208107      17,719      1,800    1,800                                             1,800
NAVISTAR INTL CORP NEW          COM    63934E108     204,250      4,085    4,085                                             4,085
NEIMAN MARCUS GROUP INC         COM    640204103     726,970     28,300   28,300                                            28,300
NEIMAN MARCUS GROUP INC         COM    640204103     208,703      8,125             8,125            03                      8,125
NEOPATH INC                     COM    640517108         205         53       53                                                53
NEORX CORP                      COM PA 640520300         191        125      125                                               125
NETBANK INC                     COM    640933107      30,400        800      800                                               800
NETWORKS ASSOCS INC             COM    640938106      58,752      4,000    4,000                                             4,000
NETEGRITY INC                   COM    64110P107     800,250     48,500   48,500                                            48,500
NETEGRITY INC                   COM    64110P107     330,000     20,000   20,000                     02    2,200   17,800
NETMANAGE INC                   COM    641144100      31,688     14,698   14,698                                            14,698
NETSPEAK CORP                   COM    64115D109       6,000        500      500                                               500
NETWORK APPLIANCE INC           COM    64120L104       2,011         36       36                                                36
NETWORK SOLUTIONS INC DEL       CL A   64121Q102      25,081        317      317                                               317
NETWORK SOLUTIONS INC DEL       CL A   64121Q102     395,626      5,000    5,000                     02      500    4,500
NEVADA POWER CO                 COM    641423108     557,500     22,300   22,300                                            22,300
NEW AMER HIGH INCOME FD INC     COM    641876107       1,375        310      310                                               310
NEW CENTURY ENERGIES INC        COM    64352U103      38,813      1,000    1,000                                             1,000
NEW ENGLAND ELEC SYS            COM    644001109      50,125      1,000    1,000                                             1,000
NEW ERA OF NETWORKS INC         COM    644312100      48,331      1,100    1,100                                             1,100
NEW GERMANY FD INC              COM    644465106      17,745      1,456    1,456                                             1,456
NEW HORIZONS WORLDWIDE INC      COM    645526104      98,750      5,000    5,000                                             5,000
NEW YORK TIMES CO               CL A   650111107       7,362        200      200                                               200
NEW YORK TIMES CO               CL A   650111107       1,398         38                38            03                         38
NEWBRIDGE NETWORKS CORP         COM    650901101     393,299     13,680   13,680                                            13,680
NEWBRIDGE NETWORKS CORP         COM    650901101     230,000      8,000    8,000                     02    1,200    6,800
NEWMONT MINING CORP             COM    651639106   3,770,947    189,734  189,734                                           189,734
NEWMONT MINING CORP             COM    651639106       3,975        200               200            03                        200
NEWPARK RES INC                 COM PA 651718504      24,317      2,740    2,740                                             2,740
NEWS CORP LTD                   ADR NE 652487703     828,070     23,450   23,450                                            23,450
NEWS CORP LTD                   ADR NE 652487703     741,255     20,991   20,991                     04            20,991
NEWS CORP LTD                   SP ADR 652487802     831,052     26,330   26,330                                            26,330
NEWS CORP LTD                   SP ADR 652487802       3,629        115               115            03                        115
NEWS CORP LTD                   SP ADR 652487802     662,476     20,989   20,989                     04            20,989
NEWSEDGE CORP                   COM    65249Q106         531         68       68                                                68
NIAGARA BANCORP INC             COM    652914102       4,101        386      386                                               386
                                 PAGE TOTAL       17,519,160
PAGE:    44     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

NEXTEL COMMUNICATIONS INC       CL A   65332V103   3,879,899     77,311   77,311                                            77,311
NEXTEL COMMUNICATIONS INC       CL A   65332V103     473,270      9,430             9,430            03                      9,430
NEXTEL COMMUNICATIONS INC       CL A   65332V103   1,221,325     24,335   24,335                     07            24,335
NEXSTAR PHARMACEUTICALS INC     COM    65333B106      51,838      2,600    2,600                                             2,600
NEXTLINK COMMUNICATIONS INC     CL A   65333H707     185,937      2,500    2,500                                             2,500
NICE SYS LTD                    SPONSO 653656108   1,380,892     50,100   50,100                                            50,100
NICHOLS RESH CORP               COM    653818104      35,130      1,606    1,606                                             1,606
NIELSEN MEDIA RESH INC          COM NE 653929307       9,475        324      324                                               324
NIKE INC                        CL B   654106103   3,685,609     58,213   58,213                                            58,213
NIKE INC                        CL B   654106103   2,448,620     38,637   38,637                     04            38,637
NIPPON TELEG & TEL CORP         SPONSO 654624105     725,502     11,585   11,585                                            11,585
NIPPON TELEG & TEL CORP         SPONSO 654624105      64,187      1,025             1,025            03                      1,025
NOBEL INS LTD                   COM    654885102           0        530      530                                               530
NOBILITY HOMES INC              COM    654892108      76,567     10,209   10,209                                            10,209
NOBLE AFFILIATES INC            COM    654894104     281,875     10,000   10,000                     02    1,500    8,500
NOKIA CORP                      SPONSO 654902204  17,149,550    187,300  187,300                                           187,300
NOKIA CORP                      SPONSO 654902204     462,828      5,055             5,055            03                      5,055
NOKIA CORP                      SPONSO 654902204     904,642      9,880    9,880                     07             9,880
NOBLE DRILLING CORP             COM    655042109      47,448      2,410    2,410                                             2,410
NOBLE DRILLING CORP             COM    655042109     561,094     28,500   28,500                     02    5,000   23,500
NOODLE KIDOODLE INC             COM    655370104      10,626      2,000    2,000                                             2,000
NORD RES CORP                   COM    655555100           0          1        1                                                 1
NORDSON CORP                    COM    655663102     462,912      7,558             7,558            03                      7,558
NORDSTROM INC                   COM    655664100     160,800      4,800    4,800                                             4,800
NORDSTROM INC                   COM    655664100      50,250      1,500             1,500            03                      1,500
NORFOLK SOUTHERN CORP           COM    655844108     336,660     11,175   11,175                                            11,175
NORSK HYDRO A S                 SPONSO 656531605      51,252      1,340    1,340                                             1,340
NORTEL INVERSORA S A            SPONS  656567401   1,775,463     20,600   20,600                     02    4,000   16,600
NORTH AMERN SCIENTIFIC INC      COM    65715D100     564,964     68,482   68,482                                            68,482
NORTH CENT BANCSHARES INC       COM    658418108      32,410      1,935             1,935            03                      1,935
NORTH FACE INC                  COM    659317101      11,771      1,192    1,192                                             1,192
NORTH FORK BANCORPORATION NY    COM    659424105     239,531     11,239   11,239                                            11,239
NORTH FORK BANCORPORATION NY    COM    659424105       1,918         90                90            03                         90
NORTHERN BORDER PARTNERS L P    UNIT L 664785102      65,107      2,096    2,096                                             2,096
NORTHERN TR CORP                COM    665859104     133,084      1,372    1,372                                             1,372
NORTHFIELD LABS INC             COM    666135108      60,940      5,000    5,000                                             5,000
NORTHLAND CRANBERRIES INC       CL A   666499108          33          4        4                                                 4
NORTHROP GRUMMAN CORP           COM    666807102      86,534      1,305    1,305                                             1,305
NORTHWEST AIRLS CORP            CL A   667280101      68,250      2,100    2,100                                             2,100
NORTHWEST PIPE CO               COM    667746101     166,251     10,000   10,000                     02    1,500    8,500
NORTHWESTERN CORP               COM    668074107      24,188      1,000    1,000                                             1,000
NOVA CORP GA                    COM    669784100       1,000         40                40            03                         40
NOVACARE EMPLOYEE SVSC INC      COM    66986Q101      94,600     34,400   34,400                                            34,400
NOVACARE EMPLOYEE SVSC INC      COM    66986Q101      18,975      6,900             6,900            03                      6,900
NOVACARE CORP                   COM    669930109      15,000     10,000   10,000                                            10,000
NOVAVAX INC                     COM    670002104      14,000      4,000    4,000                                             4,000
NOVELL INC                      COM    670006105   3,142,020    118,567  118,567                                           118,567
NOVELL INC                      COM    670006105     379,899     14,336            14,336            03                     14,336
NOVELLUS SYS INC                COM    670008101       1,433         21       21                                                21
NOVOSTE CORP                    COM    67010C100     420,000     20,000   20,000                     02    3,000   17,000
NOVO-NORDISK A S                ADR    670100205     101,648      1,900             1,900            03                      1,900
NU SKIN ENTERPRISES INC         CL A   67018T105      17,941        900               900            03                        900
                                 PAGE TOTAL       42,155,148
PAGE:    45     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

NUCOR CORP                      COM    670346105      81,591      1,720    1,720                                             1,720
NUEVO ENERGY CO                 COM    670509108     223,925     16,900   16,900                     02    3,800   13,100
NUVEEN N C PREM INCOME MUN FD   SH BEN 67060P100      46,875      3,000    3,000                                             3,000
NUVEEN CA INVT QUALITY MUN FD   COM    67062A101      81,250      5,000    5,000                                             5,000
NUVEEN CALIF MUN VALUE FD       COM    67062C107     171,727     17,500   17,500                                            17,500
NUVEEN MUN ADVANTAGE FD INC     COM    67062H106           0          0
NUVEEN PREM INCOME MUN FD       COM    67062T100      15,744      1,100    1,100                                             1,100
NUVEEN MUN MKT OPPORTUNITY FD   COM    67062W103       7,844        500      500                                               500
NUVEEN SELECT TAX FREE INCM PT  SH BEN 67063C106          15          1        1                                                 1
NUVEEN INSD CA SELECT TAX FREE  SH BEN 67063R103      92,250      6,000    6,000                                             6,000
OAO TECHNOLOGY SOLUTIONS INC    COM    67082B105         450        120      120                                               120
OEA INC                         COM    670826106     952,274    107,300  107,300                                           107,300
OGE ENERGY CORP                 COM    670837103     453,007     19,074   19,074                                            19,074
OM GROUP INC                    COM    670872100      62,100      1,800    1,800                                             1,800
OM GROUP INC                    COM    670872100       2,760         80                80            03                         80
NUVEEN FLA INVT QUALITY MUN FD  COM    670970102      32,000      2,000    2,000                                             2,000
NUVEEN NJ INVT QUALITY MUN FD   COM    670971100       7,937        500      500                                               500
NUVEEN QUALITY INCOME MUN FD    COM    670977107       6,240        401      401                                               401
NUVEEN FLA QUALITY INCOME MUN   COM    670978105      25,987      1,650    1,650                                             1,650
NUVEEN INSD MUN OPPORTUNITY FD  COM    670984103      25,363      1,670    1,670                                             1,670
NUVEEN PREMIER INSD MUN INCOME  COM    670987106      30,250      2,000    2,000                                             2,000
NUVEEN NJ PREM INCOME MUN FD    COM    67101N106      31,626      2,000    2,000                                             2,000
NUVEEN INSD FLA PREM INCOME FD  COM    67101V108       8,883        610      610                                               610
OSI PHARMACEUTICALS INC         COM    671040103       5,100      1,200    1,200                                             1,200
OAKLEY INC                      COM    673662102   1,307,864    183,560  183,560                                           183,560
OAKWOOD HOMES CORP              COM    674098108      54,136      4,125    4,125                                             4,125
OBJECT DESIGN INC               COM    674416102       4,692      1,211    1,211                                             1,211
OCCIDENTAL PETE CORP DEL        COM    674599105      40,135      1,900    1,900                                             1,900
OCEAN FINL CORP                 COM    674904107      39,874      2,200             2,200            03                      2,200
OCEANEERING INTL INC            COM    675232102       4,837        300      300                                               300
OCTEL CORP                      COM    675727101      41,640      3,333             3,333            03                      3,333
OCWEN ASSET INVESTMENT          COM    67574M106      53,550     11,900   11,900                                            11,900
OFFICEMAX INC                   COM    67622M108     371,400     30,950   30,950                                            30,950
OFFICE DEPOT INC                COM    676220106   4,717,974    213,855  213,855                                           213,855
OFFICE DEPOT INC                COM    676220106     289,907     13,141            13,141            03                     13,141
OGDEN CORP                      COM    676346109   1,655,949     61,480   61,480                                            61,480
OGDEN CORP                      COM    676346109      20,739        770               770            03                        770
OIL DRI CORP AMER               COM    677864100       8,800        550      550                                               550
OLD KENT FINL CORP              COM    679833103      83,739      2,000    2,000                                             2,000
OLD NATL BANCORP IND            COM    680033107     321,343     10,689   10,689                                            10,689
OLD REP INTL CORP               COM    680223104   1,019,998     58,919   58,919                                            58,919
OLD REP INTL CORP               COM    680223104       1,419         82                82            03                         82
OLIN CORP                       COM PA 680665205       3,956        300      300                                               300
OLSTEN CORP                     COM    681385100      13,888      2,200    2,200                                             2,200
OMNICOM GROUP INC               SB DB  681919AE6   9,017,225  3,500,000 3500,000                                          3500,000
OMNICOM GROUP INC               COM    681919106   2,117,040     26,463   26,463                                            26,463
OMNICOM GROUP INC               COM    681919106     121,120      1,514             1,514            03                      1,514
OMEGA HEALTHCARE INVS INC       COM    681936100     443,448     17,180   17,180                                            17,180
OMEGA HEALTHCARE INVS INC       COM    681936100       5,162        200               200            03                        200
OMEGA WORLDWIDE INC             COM    68210B108       3,243        799      799                                               799
OMNIPOINT CORP                  COM    68212D102     140,344      4,850    4,850                                             4,850
ON ASSIGNMENT INC               COM    682159108     108,925      4,170             4,170            03                      4,170
                                 PAGE TOTAL       24,377,545
PAGE:    46     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

ON COMMAND CORP                 COM    682160106      88,125      5,000    5,000                                             5,000
ON COMMAND CORP                 WT B E 682160122           6          1        1                                                 1
ONCOR INC                       COM    682311105      19,516    975,800  975,800                                           975,800
ONHEALTH NETWORK CO             COM    68272W107       1,062        100      100                                               100
ONSALE INC                      COM    682838107      38,197      2,017    2,017                                             2,017
ONTRO INC                       COM    683380109      12,100      4,400    4,400                                             4,400
ONTRO INC                       WT EXP 683380117      14,044     26,450   26,450                                            26,450
OPEN MKT INC                    COM    68370M100      35,470      2,500    2,500                                             2,500
OPTELECOM INC                   COM PA 683818207         293        100      100                                               100
OPTICAL COATING LAB INC         COM    683829105      83,625      1,000    1,000                                             1,000
ORACLE CORP                     COM    68389X105  21,400,363    576,460  576,460                                           576,460
ORACLE CORP                     COM    68389X105   2,266,179     61,045            61,045            03                     61,045
ORACLE CORP                     COM    68389X105   5,834,862    157,168  157,168                     04           157,168
ORACLE CORP                     COM    68389X105   2,448,876     65,963   65,963                     07            65,963
OPPENHEIMER MULTI-SECTOR INCOM  SH BEN 683933105      66,062      7,550    7,550                                             7,550
OPENROUTE NETWORKS INC          COM    683986103       8,500      2,000    2,000                                             2,000
ORBITAL SCIENCES CORP           COM    685564106      20,081        850      850                                               850
ORGANOGENESIS INC               COM    685906109   4,232,717    451,490  451,490                                           451,490
OREGON TRAIL FINL CORP          COM    685932105      24,478      1,920             1,920            03                      1,920
OREGON STL MLS INC              COM    686079104      13,975      1,050    1,050                                             1,050
ORTEL CORP                      COM    68749W102       4,250        400      400                                               400
ORTHODONTIC CTRS AMER INC       COM    68750P103      89,678      6,350             6,350            03                      6,350
OSHMANS SPORTING GOODS INC      COM    688260108       5,644      2,100    2,100                                             2,100
OSICOM TECHNOLOGIES INC         COM PA 688271501     106,245      8,333    8,333                                             8,333
OSTEX INTL INC                  COM    68859Q101       6,565      5,000    5,000                                             5,000
OUTBACK STEAKHOUSE INC          COM    689899102     297,791      7,575    7,575                                             7,575
OUTBACK STEAKHOUSE INC          COM    689899102   3,931,300    100,000  100,000                     01           100,000
OUTDOOR SYS INC                 COM    690057104       9,125        250      250                                               250
OWENS ILL INC                   COM NE 690768403       3,268        100      100                                               100
OWENS ILL INC                   COM NE 690768403     286,008      8,750             8,750            03                      8,750
OWENS ILL INC                   PFD CO 690768502     100,625      2,300    2,300                                             2,300
OXFORD HEALTH PLANS INC         COM    691471106     199,983     12,850   12,850                                            12,850
OXFORD TAX EXEMPT FD L P        UNIT L 69181P100      12,281        500      500                                               500
P C CONNECTION                  COM    69318J100       3,618        300      300                                               300
P C QUOTE INC                   COM NE 693236200       7,563      1,000    1,000                                             1,000
P-COM INC                       COM    693262107   1,482,736    283,295  283,295                                           283,295
PECO ENERGY CO                  COM    693304107       6,406        153      153                                               153
PG&E CORP                       COM    69331C108     686,580     21,126   21,126                                            21,126
PFF BANCORP INC                 COM    69331W104      88,591      4,725             4,725            03                      4,725
PIA MERCHANDISING SVCS INC      COM    693360109     127,500     30,000   30,000                                            30,000
PIMCO ADVISORS HLDGS L P        UT LTD 69338P102  37,232,078  1,251,499 1251,499                                          1251,499
PIMCO COML MTG SECS TR INC      COM    693388100      18,052      1,325    1,325                                             1,325
PLC SYS INC                     COM    69341D104      22,837      6,525    6,525                                             6,525
PMC COML TR                     SH BEN 693434102     132,066      9,350    9,350                                             9,350
PMC COML TR                     SH BEN 693434102      14,125      1,000             1,000            03                      1,000
PMC-SIERRA INC                  COM    69344F106      99,362      1,686    1,686                                             1,686
PMC-SIERRA INC                  COM    69344F106      10,784        183               183            03                        183
PNC BK CORP                     COM    693475105  15,592,746    270,601  270,601                                           270,601
PNC BK CORP                     COM    693475105   1,236,970     21,467            21,467            03                     21,467
P P & L RES INC                 COM    693499105     195,570      6,360    6,360                                             6,360
P P & L RES INC                 COM    693499105      36,900      1,200             1,200            03                      1,200
PPG INDS INC                    COM    693506107      23,625        400      400                                               400
                                 PAGE TOTAL       98,679,403
PAGE:    47     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

PPG INDS INC                    COM    693506107     634,770     10,748            10,748            03                     10,748
PRI AUTOMATION INC              COM    69357H106   1,068,432     29,474   29,474                                            29,474
P T TRI POLYTA INDONESIA        SPONSO 69365B109       2,376      2,000    2,000                                             2,000
PSS WORLD MED INC               COM    69366A100     184,877     16,525   16,525                                            16,525
PSS WORLD MED INC               COM    69366A100      46,707      4,175             4,175            03                      4,175
PACCAR INC                      COM    693718108     186,004      3,485    3,485                                             3,485
PACIFIC AMERN INCOME SHS INC    COM    693796104      16,650      1,200    1,200                                             1,200
PACIFIC CENTY FINL CORP         COM    694058108     171,415      7,950             7,950            03                      7,950
PACIFIC DUNLOP LTD              ADR    694185208       1,265        220      220                                               220
PACIFIC GULF PPTYS INC          COM    694396102     746,840     33,010   33,010                                            33,010
PACIFIC SUNWEAR CALIF INC       COM    694873100     113,338      4,650    4,650                                             4,650
PACIFIC SUNWEAR CALIF INC       COM    694873100       2,486        102               102            03                        102
PACIFICARE HEALTH SYS DEL       CL A   695112102      71,938      1,000    1,000                                             1,000
PACIFICORP                      COM    695114108     122,229      6,652    6,652                                             6,652
PAINE WEBBER GROUP INC          COM    695629105      70,125      1,500    1,500                                             1,500
PALL CORP                       COM    696429307      55,824      2,516    2,516                                             2,516
PANAMSAT CORP NEW               COM    697933109      29,319        753      753                                               753
PANAVISION INC                  COM NE 69830E209         317         47       47                                                47
PARACELCUS HEALTHCARE CORP      COM    698891108       1,312      1,000    1,000                                             1,000
PARADISE HLDGS INC              COM    699062105           0     62,225   62,225                                            62,225
PARAMETRIC TECHNOLOGY CORP      COM    699173100     148,989     10,738   10,738                                            10,738
PARAMETRIC TECHNOLOGY CORP      COM    699173100   1,942,500    140,000  140,000                     01           140,000
PARAMETRIC TECHNOLOGY CORP      COM    699173100   1,097,984     79,134   79,134                     07            79,134
PARK BANCORP INC                COM    700164106       4,500        300               300            03                        300
PARK ELECTROCHEMICAL CORP       COM    700416209   1,342,645     46,701   46,701                                            46,701
PARKER DRILLING CO              COM    701081101      14,908      4,500    4,500                                             4,500
PARKER HANNIFIN CORP            COM    701094104   1,845,597     40,344   40,344                                            40,344
PARKER HANNIFIN CORP            COM    701094104       2,745         60                60            03                         60
PATINA OIL & GAS CORP           WT EXP 703224113       2,075      3,017    3,017                                             3,017
PATRICK INDS INC                COM    703343103         343         22       22                                                22
PATRIOT AMERN HOSPITALITY DEL   PAIRED 703352203           0      6,428    6,428                                             6,428
PATRIOT NATL BK CONN            COM    70336H100         937        100      100                                               100
PATTERSON DENTAL CO             COM    703412106     114,986      3,309    3,309                                             3,309
PATTERSON ENERGY INC            COM    703414102      69,125      7,000    7,000                                             7,000
PAYCHEX INC                     COM    704326107     122,483      3,843    3,843                                             3,843
PAYCHEX INC                     COM    704326107     178,706      5,607             5,607            03                      5,607
PAYLESS SHOESOURCE INC          COM    704379106       5,350        100      100                                               100
PEC ISRAEL ECONOMIC CORP        COM    705098101      63,000      2,000    2,000                                             2,000
PEDIATRIX MED GROUP             COM    705324101     547,172     25,750            25,750            03                     25,750
PEEKSKILL FINL CORP             COM    705385102      11,792        890               890            03                        890
PEGASUS COMMUNICATIONS CORP     CL A   705904100     197,188      5,000    5,000                     02      500    4,500
PEGASUS COMMUNICATIONS CORP     CL A   705904100   1,417,244     35,936   35,936                     04            35,936
PEGASUS SYSTEMS INC             COM    705906105      37,438      1,000    1,000                                             1,000
PENN NATL GAMING INC            COM    707569109      27,750      3,000    3,000                                             3,000
PENNEY J C INC                  COM    708160106     586,086     12,069   12,069                                            12,069
PENSKE MOTORSPORTS INC          COM    709598106      16,375        330      330                                               330
PENTAIR INC                     COM    709631105       4,116         90                90            03                         90
PEOPLES BANCSHARES INC MASS     COM    709795108      10,125        500      500                                               500
PEOPLES BK BRIDGEPORT CONN      COM    710198102      41,091      1,350             1,350            03                      1,350
PEOPLES HERITAGE FINL GROUP     COM    711147108      21,164      1,125    1,125                                             1,125
PEOPLES HERITAGE FINL GROUP     COM    711147108     507,951     27,000   27,000                     08            27,000
PEOPLESOFT INC                  COM    712713106     303,509     17,595   17,595                                            17,595
                                 PAGE TOTAL       14,212,098
PAGE:    48     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

PEOPLESOFT INC                  COM    712713106   1,232,047     71,423   71,423                     07            71,423
PEPSI-COLA PUERTO RICO          CL B   713434108       1,947        354      354                                               354
PEPSICO INC                     COM    713448108  30,217,787    781,091  781,091                                           781,091
PEPSICO INC                     COM    713448108   1,489,714     38,509            38,509            03                     38,509
PEREGRINE SYSTEMS INC           COM    71366Q101     208,867      8,131    8,131                                             8,131
PEREGRINE SYSTEMS INC           COM    71366Q101   1,155,960     45,000   45,000                     01            45,000
PEREGRINE SYSTEMS INC           COM    71366Q101     295,407     11,500   11,500                     02    1,400   10,100
PETSEC ENERGY LTD               SPONSO 715796108      73,125     45,000   45,000                                            45,000
PETROCORP INC                   COM    71645N101   1,401,717    228,852  228,852                                           228,852
PETROGLYPH ENERGY INC           COM    71649C101      13,472      5,389    5,389                                             5,389
PETROLEUM & RES CORP            COM    716549100      18,903        544      544                                               544
PETROLEUM GEO-SVCS A/S          SPONSO 716597109      14,875      1,000    1,000                                             1,000
PETSMART INC                    SB NT  716768AB2     134,662    105,000  105,000                                           105,000
PETSMART INC                    COM    716768106     136,837     13,350   13,350                                            13,350
PHARMACYCLICS INC               COM    716933106     840,000     30,000   30,000                                            30,000
PHARMACIA & UPJOHN INC          COM    716941109   3,776,293     66,470   66,470                                            66,470
PHARMACIA & UPJOHN INC          COM    716941109     921,514     16,222            16,222            03                     16,222
PHARMAPRINT INC                 COM    716950100     106,660     21,332   21,332                                            21,332
PFIZER INC                      COM    717081103  15,124,833    137,813  137,813                                           137,813
PFIZER INC                      COM    717081103   3,629,976     33,076            33,076            03                     33,076
PHARMACEUTICAL PROD DEV INC     COM    717124101       1,916         70                70            03                         70
PHARMOS CORP                    COM NE 717139208       1,953      1,157    1,157                                             1,157
PHELPS DODGE CORP               COM    717265102       8,485        137      137                                               137
PHILADELPHIA CONS HLDG CORP     COM    717528103       1,862         76       76                                                76
PHILIP MORRIS COS INC           COM    718154107   9,348,837    232,632  232,632                                           232,632
PHILIP MORRIS COS INC           COM    718154107   1,248,625     31,072            31,072            03                     31,072
PHILIP SVCS CORP                COM    71819M103         919      5,900    5,900                                             5,900
PHILIP SVCS CORP                COM    71819M103          78        500               500            03                        500
PHILIPS INTL RLTY CORP          COM    718333107      38,812      2,300    2,300                                             2,300
PHILLIPS PETE CO                COM    718507106     530,136     10,537   10,537                                            10,537
PHOENIX INVT PARTNERS LTD       SUB DB 719085AA0     122,850    105,000  105,000                                           105,000
PHOENIX TECHNOLOGY LTD          COM    719153108       1,894        106      106                                               106
PHOSPHATE RESOURCE PARTNERS     DEPOSI 719217101     188,640     17,650   17,650                                            17,650
PHOTOMATRIX INC                 COM    719350100          11         33       33                                                33
PHYCOR INC                      COM    71940F100      75,444     10,187   10,187                                            10,187
PHOTRONICS INC                  COM    719405102   1,294,819     52,850   52,850                                            52,850
PHYSICIANS RESOURCE GROUP INC   COM    71941S101           0        200      200                                               200
PICCADILLY CAFETERIAS INC       COM    719567109       4,156        500      500                                               500
PICTURETEL CORP                 COM NE 720035302     144,864     18,108   18,108                                            18,108
PIEDMONT NAT GAS INC            COM    720186105      15,562        500      500                                               500
PIER 1 IMPORTS INC              SB NT  720279AF5   2,241,313  1,574,000 1574,000                                          1574,000
PILOT NETWORK SVCS INC          COM    721596104      19,626      2,000    2,000                                             2,000
PINNACLE WEST CAP CORP          COM    723484101       1,167         29                29            03                         29
PIONEER FINL SVCS INC           SUB NT 723672AE1       5,406      5,000    5,000                                             5,000
PIONEER HI BRED INTL INC        COM    723686101     102,017      2,620    2,620                                             2,620
PIONEER NAT RES CO              COM    723787107       6,259        569      569                                               569
PITNEY BOWES INC                COM    724479100     182,785      2,845    2,845                                             2,845
PITNEY BOWES INC                COM    724479100   1,311,860     20,419            20,419            03                     20,419
PITTSBURGH & W VA RR            SH BEN 724819107       7,875      1,000    1,000                                             1,000
PIXAR                           COM    725811103      19,406        450      450                                               450
PIXTECH INC                     COM    72583K109     197,250    131,500  131,500                                           131,500
PIZZA INN INC NEW               COM    725848105          16          5        5                                                 5
                                 PAGE TOTAL       77,919,439
PAGE:    49     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

PJ AMER INC                     COM    72585Q104      28,062      1,325             1,325            03                      1,325
PLACER DOME INC                 COM    725906101      20,483      1,734    1,734                                             1,734
PLAINTREE SYS INC               COM    72663E106          60        500      500                                               500
PLANTRONICS INC NEW             COM    727493108       2,604         40                40            03                         40
PLATINUM TECHNOLOGY INC         COM    72764T101         145          5        5                                                 5
PLAYERS INTL INC                COM    727903106     102,730     14,292   14,292                                            14,292
PLAYBOY ENTERPRISES INC         CL A   728117201          70          3        3                                                 3
PLEXUS CORP                     COM    729132100      25,033        831      831                                               831
PLEXUS CORP                     COM    729132100       2,108         70                70            03                         70
PLUM CREEK TIMBER CO LP         DEPOSI 729237107     133,835      4,300    4,300                                             4,300
POGO PRODUCING CO               COM    730448107      24,212      1,300    1,300                                             1,300
POHANG IRON & STL LTD           SPONSO 730450103       7,397        220               220            03                        220
POLAROID CORP                   COM    731095105      74,587      2,700    2,700                                             2,700
POLICY MGMT SYS CORP            COM    731108106   1,040,280     34,676   34,676                                            34,676
POLICY MGMT SYS CORP            COM    731108106      13,050        435               435            03                        435
POLYMEDICA CORP                 COM    731738100      86,000      8,600    8,600                                             8,600
POLYPHASE CORP                  COM    731791109       1,314      3,000    3,000                                             3,000
POLYVISION CORP                 COM    731805107      12,961      5,057    5,057                                             5,057
PORTUGAL TELECOM S A            SPONSO 737273102     378,928      9,200    9,200                                             9,200
PORTUGAL TELECOM S A            SPONSO 737273102       3,089         75                75            03                         75
POST PPTYS INC                  COM    737464107      12,300        300      300                                               300
POTASH CORP SASK INC            COM    73755L107      51,750      1,000    1,000                                             1,000
POTOMAC ELEC PWR CO             COM    737679100   1,883,846     64,000   64,000                                            64,000
POTOMAC ELEC PWR CO             COM    737679100      15,451        525               525            03                        525
POWERGEN PLC                    SPON A 738905405      88,532      2,065             2,065            03                      2,065
POWERTEL INC                    COM    73936C109     192,871      6,456    6,456                                             6,456
POWERWAVE TECHNOLOGIES INC      COM    739363109     161,250      5,000    5,000                     02      500    4,500
PRAXAIR INC                     COM    74005P104  19,065,135    389,592  389,592                                           389,592
PRAXAIR INC                     COM    74005P104     427,393      8,734             8,734            03                      8,734
PRE PAID LEGAL SVCS INC         COM    740065107     268,479      9,875    9,875                                             9,875
PRECISION CASTPARTS CORP        COM    740189105      69,062      1,625    1,625                                             1,625
PRECISION DRILLING CORP         COM    74022D100      53,376      2,800    2,800                                             2,800
PRECISION DRILLING CORP         COM    74022D100     285,938     15,000   15,000                     02    2,700   12,300
PRECISION SYS INC               COM    740329107       4,690      5,000    5,000                                             5,000
BYRON PREISS MULTIMEDIA INC     WT EXP 740445119           0      3,500    3,500                                             3,500
PREMARK INTL INC                COM    740459102       4,275        114      114                                               114
PREMARK INTL INC                COM    740459102      11,062        295               295            03                        295
PREMDOR INC                     COM    74046P105      11,186      1,000    1,000                                             1,000
PREMIER FARNELL PLC             SPN AD 74050U206      19,063      1,000    1,000                                             1,000
PREMIER PKS INC                 COM NE 740540208     275,625      7,500    7,500                     02    1,000    6,500
PREMIERE TECHNOLOGIES INC       COM    74058F102      12,650      1,100    1,100                                             1,100
PRESIDENTIAL LIFE CORP          COM    740884101       1,099         56       56                                                56
PRESIDENTIAL RLTY CORP NEW      CL B   741004204       1,044        144      144                                               144
PRESSTEK INC                    COM    741113104       1,443        200      200                                               200
PREVIEW TRAVEL INC              COM    74137R101      21,938      1,000    1,000                                             1,000
PRICE ENTERPRISES INC           COM NE 741444202         294         41       41                                                41
PRICE T ROWE & ASSOCIATES       COM    741477103      45,781      1,193    1,193                                             1,193
PRICESMART INC                  COM    741511109       1,750         50       50                                                50
PRIMA ENERGY CORP               COM PA 741901201      33,937      1,500    1,500                                             1,500
PRIMARK CORP                    COM    741903108     216,078      7,700    7,700                                             7,700
PRIMARK CORP                    COM    741903108      56,123      2,000             2,000            03                      2,000
PRIME HOSPITALITY CORP          COM    741917108     636,000     53,000   53,000                                            53,000
                                 PAGE TOTAL       25,886,369
PAGE:    50     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

PRIMUS TELECOMMUNICATIONS GRP   COM    741929103      49,341      2,199    2,199                                             2,199
PRIDE INTL INC                  COM    741932107     264,063     25,000   25,000                     02    5,000   20,000
PROCTER & GAMBLE CO             COM    742718109   6,505,487     72,892   72,892                                            72,892
PROCTER & GAMBLE CO             COM    742718109   3,966,482     44,445            44,445            03                     44,445
PROFIT RECOVERY GROUP INTL INC  COM    743168106     942,186     19,914   19,914                                            19,914
PROGENICS PHARMACEUTICALS INC   COM    743187106     394,057     28,401   28,401                                            28,401
PROGRESS SOFTWARE CORP          COM    743312100      37,261      1,319    1,319                                             1,319
PROGRESSIVE CORP OHIO           COM    743315103     141,375        975      975                                               975
PROLOGIS TR                     SH BEN 743410102      69,963      3,455    3,455                                             3,455
PROMUS HOTEL CORP NEW           COM    74342P106     192,107      6,197    6,197                                             6,197
PROTECTIVE LIFE CORP            COM    743674103     123,321      3,737    3,737                                             3,737
PROTECTIVE LIFE CORP            COM    743674103       1,320         40                40            03                         40
PROTEIN DESIGN LABS INC         COM    74369L103   5,539,962    249,690  249,690                                           249,690
PROVIDENCE ENERGY CORP          COM    743743106      26,688      1,000    1,000                                             1,000
PROVIDENT FINL HLDGS INC        COM    743868101     212,800     10,640            10,640            03                     10,640
PROVIDIAN FINL CORP             COM    74406A102   1,966,950     21,037   21,037                                            21,037
PROVIDIAN FINL CORP             COM    74406A102   4,662,500     50,000   50,000                     01            50,000
PROVIDIAN FINL CORP             COM    74406A102     850,146      9,093             9,093            03                      9,093
PROVIDIAN FINL CORP             COM    74406A102      65,275        700      700                     08               700
PSINET INC                      COM    74437C101     656,250     15,000   15,000                     02    1,900   13,100
PUBCO CORP                      COM NE 744378605       1,275        150      150                                               150
PUBLIC SVC ENTERPRISE GROUP     COM    744573106     786,591     19,244   19,244                                            19,244
PUBLIC SVC ENTERPRISE GROUP     COM    744573106       6,744        165               165            03                        165
PUBLIC STORAGE INC              COM    74460D109      79,072      2,824    2,824                                             2,824
PUGET SOUND ENERGY INC          COM    745332106      62,400      2,600    2,600                                             2,600
PULTE CORP                      COM    745867101       6,918        300      300                                               300
PURE WORLD INC                  COM    74622C106      12,334      2,860    2,860                                             2,860
PUTNAM CONV OPPRTNTY & INCOME   SH BEN 746479104     115,085      5,400    5,400                                             5,400
PUTNAM HIGH YIELD MUN TR        SH BEN 746781103      11,000      1,000    1,000                                             1,000
PUTNAM INVT GRADE MUN TR II     SH BEN 746806108           0          0
PUTNAM MANAGED MUN INCOM TR     COM    746823103      11,375      1,000    1,000                                             1,000
PUTNAM PREMIER INCOME TR        SH BEN 746853100      17,682      2,300    2,300                                             2,300
PUTNAM MASTER INTER INCOME TR   SH BEN 746909100      14,500      2,000    2,000                                             2,000
QLT PHOTOTHERAPEUTICS INC       COM    746927102   1,359,985     24,727   24,727                                            24,727
QUADRAMED CORP                  COM    74730W101     826,304    101,700  101,700                                           101,700
QUAKER OATS CO                  COM    747402105     280,434      4,225    4,225                                             4,225
QUALCOMM INC                    COM    747525103   6,165,892     42,968   42,968                                            42,968
QUALCOMM INC                    COM    747525103  29,362,683    204,618  204,618                     04           204,618
QUANEX CORP                     COM    747620102       1,567         55       55                                                55
QUANTUM CORP                    SUB NT 747906AC9   1,126,471  1,200,000 1200,000                                          1200,000
QUANTUM CORP                    COM    747906105   2,403,375     99,630   99,630                                            99,630
QUANTUM CORP                    COM    747906105      15,437        640               640            03                        640
QUEST DIAGNOSTICS INC           COM    74834L100      26,197        957      957                                               957
QUESTAR CORP                    COM    748356102      92,373      4,830    4,830                                             4,830
QUIKSILVER INC                  COM    74838C106      13,031        500      500                                               500
QUIDEL CORP                     COM    74838J101       7,970      2,500    2,500                                             2,500
QUINTILES TRANSNATIONAL CORP    COM    748767100      63,000      1,500    1,500                                             1,500
QUINTILES TRANSNATIONAL CORP    COM    748767100       3,780         90                90            03                         90
QUORUM HEALTH GROUP INC         COM    749084109      12,563      1,000    1,000                                             1,000
R & B FALCON CORP               COM    74912E101     120,557     12,860   12,860                                            12,860
QWEST COMMUNICATIONS INTL INC   COM    749121109     919,054     27,798   27,798                                            27,798
QWEST COMMUNICATIONS INTL INC   COM    749121109     759,128     22,962            22,962            03                     22,962
                                 PAGE TOTAL       71,352,311
PAGE:    51     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

RCN CORP                        COM    749361101     149,848      3,600    3,600                                             3,600
RFS HOTEL INVS INC              COM    74955J108      62,814      5,000    5,000                                             5,000
R H DONNELLEY CORP              COM NE 74955W307       4,145        212      212                                               212
RTW INC                         COM    74974R107      78,418     13,350            13,350            03                     13,350
RWD TECHNOLOGIES INC            COM    74975B101     131,515     12,600   12,600                                            12,600
RWD TECHNOLOGIES INC            COM    74975B101      35,487      3,400             3,400            03                      3,400
RF MICRODEVICES INC             COM    749941100     290,664      3,895    3,895                                             3,895
RACING CHAMPIONS CORP           COM    750069106      34,556      4,850    4,850                                             4,850
RACING CHAMPIONS CORP           WT EXP 750069114       2,655      5,000    5,000                                             5,000
RADA ELECTR INDS LTD            COM PA 750115305       1,888      1,679    1,679                                             1,679
RAILAMERICA INC                 COM    750753105       5,156        500      500                                               500
RAMBUS INC DEL                  COM    750917106     600,112      6,510    6,510                                             6,510
RALCORP HLDGS INC NEW           COM    751028101         530         33       33                                                33
RALSTON PURINA CO               COM RA 751277302   1,016,697     33,403   33,403                                            33,403
RALSTON PURINA CO               COM RA 751277302      19,448        639               639            03                        639
RAMCO-GERSHENSON PPTYS TR       COM SH 751452202     646,732     39,799   39,799                                            39,799
RAMTRON INTL CORP               COM    751907106       1,250      2,000    2,000                                             2,000
RAWLINGS SPORTING GOODS INC     COM    754459105      31,797      3,220    3,220                                             3,220
RAWLINGS SPORTING GOODS INC     COM    754459105     326,863     33,100   33,100                     02    5,900   27,200
RAYCHEM CORP DEL                COM    754603108     273,430      7,390             7,390            03                      7,390
RAYOVAC CORP                    COM    755081106      22,688      1,000    1,000                                             1,000
RAYTHEON CO                     CL A   755111309   2,048,455     29,742   29,742                                            29,742
RAYTHEON CO                     CL A   755111309         344          5                 5            03                          5
RAYTHEON CO                     CL B   755111408   3,178,849     45,171   45,171                                            45,171
RAYTHEON CO                     CL B   755111408   1,024,328     14,556            14,556            03                     14,556
READ-RITE CORP                  COM    755246105      26,671      4,300    4,300                                             4,300
READERS DIGEST ASSN INC         CL A N 755267101   2,758,649     69,400   69,400                                            69,400
READERS DIGEST ASSN INC         CL A N 755267101      33,388        840               840            03                        840
READERS DIGEST AUTO COM EXCH    COM    755271202   1,746,400     47,200   47,200                                            47,200
REAL GOODS TRADING CORP         COM    756012100       7,744      2,100    2,100                                             2,100
REALNETWORKS INC                COM    75605L104     427,025      6,200    6,200                                             6,200
REALNETWORKS INC                COM    75605L104     176,113      2,557    2,557                     04             2,557
REALTY INCOME CORP              COM    756109104       4,750        200      200                                               200
REALTY INCOME CORP              COM    756109104      14,843        625               625            03                        625
RECKSON ASSOCS RLTY CORP        COM    75621K106     236,175     10,050   10,050                                            10,050
REEBOK INTL LTD                 COM    758110100      16,947        910      910                                               910
REEBOK INTL LTD                 COM    758110100     516,330     27,725            27,725            03                     27,725
REGIS CORP MINN                 COM    758932107      36,725      1,914    1,914                                             1,914
REGIS CORP MINN                 COM    758932107       1,439         75                75            03                         75
REGIONS FINL CORP               COM    758940100       6,534        170      170                                               170
REINSURANCE GROUP AMER INC      COM    759351109       2,114         60                60            03                         60
REINSURANCE GROUP AMER INC      COM NO 759351208     107,430      3,207    3,207                                             3,207
RELIANCE BANCORP INC            COM    759451107     276,250     10,000   10,000                     08            10,000
RELIANCE GROUP HOLDINGS INC     COM    759464100     169,856     22,838   22,838                                            22,838
RELIANCE GROUP HOLDINGS INC     COM    759464100       7,438      1,000             1,000            03                      1,000
RELIASTAR FINL CORP             COM    75952U103   1,536,898     35,132   35,132                                            35,132
RELIASTAR FINL CORP             COM    75952U103     171,717      3,925             3,925            03                      3,925
REMEC INC                       COM    759543101     224,131     13,900   13,900                                            13,900
REMEDY CORP                     COM    759548100      53,750      2,000    2,000                                             2,000
REMEDYTEMP INC                  CL A   759549108      12,487        925               925            03                        925
RENAISSANCE ENTMT CORP          WT B E 75966Q148           0          1        1                                                 1
RENTAL SERVICE CORP             COM    76009V102     286,250     10,000   10,000                                            10,000
                                 PAGE TOTAL       18,846,723
PAGE:    52     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

RENTRAK CORP                    COM    760174102       5,000      1,000    1,000                                             1,000
REPSOL S A                      SPONSO 76026T205       3,168        156               156            03                        156
REPUBLIC BANCORP INC            COM    760282103     101,197      6,663    6,663                                             6,663
REPUBLIC N Y CORP               COM    760719104     835,505     12,253   12,253                                            12,253
REPUBLIC SVCS INC               CL A   760759100       1,237         50                50            03                         50
RES-CARE INC                    COM    760943100      42,070      1,850             1,850            03                      1,850
RESPIRONICS INC                 COM    761230101       9,831        650      650                                               650
REUTERS GROUP PLC               SPONSO 76132M102      10,538        130      130                                               130
REXALL SUNDOWN INC              COM    761648104      24,376      2,000    2,000                                             2,000
REYNOLDS & REYNOLDS CO          CL A   761695105     506,780     21,739            21,739            03                     21,739
REYNOLDS METALS CO              COM    761763101   1,948,652     33,028   33,028                                            33,028
REYNOLDS METALS CO              COM    761763101   1,386,500     23,500   23,500                     02    4,600   18,900
RHONE POULENC S A               SPNSRD 762426609      29,795        646      646                                               646
RHONE POULENC S A               SPNSRD 762426609     440,468      9,550             9,550            03                      9,550
RIGHTCHOICE MANAGED CARE INC    CL A   76657K101     199,591     17,450   17,450                                            17,450
RIO TINTO PLC                   SPONSO 767204100     336,250      5,000    5,000                                             5,000
RIO TINTO PLC                   SPONSO 767204100      99,054      1,473             1,473            03                      1,473
RITE AID CORP                   COM    767754104       2,462        100      100                                               100
ROBERT HALF INTL INC            COM    770323103     779,870     29,995   29,995                                            29,995
ROBERT HALF INTL INC            COM    770323103       2,470         95                95            03                         95
ROCHESTER GAS & ELEC CORP       COM    771367109     124,844      4,700    4,700                                             4,700
ROCK BOTTOM RESTURANTS INC      COM    771833100      38,752      4,000    4,000                                             4,000
ROCKWELL INTL CORP NEW          COM    773903109     196,796      3,239    3,239                                             3,239
ROCKWELL INTL CORP NEW          COM    773903109       5,467         90                90            03                         90
ROCKY MTN INTERNET INC          COM    774720106      38,880      3,240    3,240                                             3,240
ROGERS CANTEL MOBILE COMMN      CL B R 775102205      49,314      3,000    3,000                                             3,000
ROGERS COMMUNICATIONS INC       CL B   775109200     356,136     22,000   22,000                                            22,000
ROHM & HAAS CO                  COM    775371107      44,117      1,029    1,029                                             1,029
ROSLYN BANCORP INC              COM    778162107      56,720      3,300    3,300                                             3,300
ROSS STORES INC                 COM    778296103     714,009     14,175   14,175                                            14,175
ROSTELECOM OPEN JT STK LNG DST  SPONSO 778529107      19,626      2,000    2,000                                             2,000
ROWAN COS INC                   COM    779382100      67,297      3,650    3,650                                             3,650
ROYAL GROUP TECHNOLOGIES LTD    COM    779915107      24,433        830      830                                               830
ROYAL BK SCOTLAND GROUP PLC     SP ADR 780097309      12,937        500      500                                               500
ROYAL BK SCOTLAND GROUP PLC     SP ADR 780097408       5,212        200      200                                               200
ROYAL BK SCOTLAND GROUP PLC     SP ADR 780097408      17,200        660               660            03                        660
ROYAL BK SCOTLAND GROUP PLC     SPN AD 780097705      26,063      1,000    1,000                                             1,000
ROYAL BK SCOTLAND GROUP PLC     SPONSO 780097887      23,625      1,000    1,000                                             1,000
ROYAL DUTCH PETE CO             NY REG 780257804   5,259,380     87,294   87,294                                            87,294
ROYAL DUTCH PETE CO             NY REG 780257804     636,021     10,557            10,557            03                     10,557
ROYAL OAK MINES INC             COM    78051D105           0     17,200   17,200                                            17,200
ROYAL PTT NEDERLAND N V         SPONSO 780641205     109,920      2,290    2,290                                             2,290
ROYAL PTT NEDERLAND N V         SPONSO 780641205   4,990,416    103,967           103,967            03                    103,967
RURAL / METRO CORP              COM    781748108      19,250      2,000    2,000                                             2,000
RYDER SYS INC                   COM    783549108      13,000        500      500                                               500
SBC COMMUNICATIONS INC          COM    78387G103  16,881,190    291,055  291,055                                           291,055
SBC COMMUNICATIONS INC          COM    78387G103   2,437,218     42,021            42,021            03                     42,021
SCI SYS INC                     COM    783890106   1,729,966     36,422   36,422                                            36,422
SCI SYS INC                     COM    783890106      67,115      1,413             1,413            03                      1,413
SCIPE HLDGS INC                 COM    78402P104      16,312        500      500                                               500
SCP POOL CORP                   COM    784028102     420,426     16,249            16,249            03                     16,249
SDL INC                         COM    784076101     629,089     12,320   12,320                                            12,320
                                 PAGE TOTAL       41,795,545
PAGE:    53     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

SFX ENTMT INC                   CL A   784178105      14,643        220      220                                               220
SFX ENTMT INC                   CL A   784178105   1,043,200     16,300   16,300                     02    1,300   15,000
SFX ENTMT INC                   CL A   784178105   6,772,864    105,826  105,826                     04           105,826
SK TELECOM LTD                  SPONSO 78440P108       1,054         62       62                                                62
SLM HLDG CORP                   COM    78442A109   7,868,091    171,747  171,747                                           171,747
SLM HLDG CORP                   COM    78442A109   1,410,958     30,800            30,800            03                     30,800
SPDR TR                         UNIT S 78462F103   1,346,110      9,829    9,829                                             9,829
SPS TECHNOLOGIES INC            COM    784626103       1,875         50                50            03                         50
SPX CORP                        COM    784635104      16,700        200      200                                               200
SPX CORP                        COM    784635104      30,809        369               369            03                        369
STM WIRELESS INC                CL A   784776106     113,220     37,740   37,740                                            37,740
S3 INC                          COM    784849101       5,247        577      577                                               577
S3 INC                          COM    784849101     245,531     27,000   27,000                     02    4,500   22,500
SPR INC                         COM    784922106       7,969      1,500    1,500                                             1,500
SABRE GROUP HLDGS INC           CL A   785905100   4,944,843     71,925   71,925                                            71,925
SAFECO CORP                     COM    786429100   1,164,607     26,395            26,395            03                     26,395
SAFEGUARD SCIENTIFICS INC       COM    786449108      37,200        600      600                                               600
SAFEGUARD SCIENTIFICS INC       COM    786449108     704,970     11,190   11,190                     07            11,190
SAFESKIN CORP                   COM    786454108     121,200     10,100   10,100                                            10,100
SAFEWAY INC                     COM NE 786514208  10,370,963    209,522  209,522                                           209,522
SAFEWAY INC                     COM NE 786514208   1,387,701     28,036            28,036            03                     28,036
ST JOE CO                       COM    790148100      86,400      3,200    3,200                                             3,200
ST JUDE MED INC                 COM    790849103     315,155      8,847    8,847                                             8,847
ST PAUL BANCORP INC             COM    792848103      19,125        750      750                                               750
ST PAUL BANCORP INC             COM    792848103     477,615     18,730   18,730                     08            18,730
ST PAUL COS INC                 COM    792860108     187,025      5,879    5,879                                             5,879
ST PAUL COS INC                 COM    792860108     143,157      4,500    4,500                     02      600    3,900
ST PAUL COS INC                 COM    792860108   1,427,104     44,862            44,862            03                     44,862
SALOMON BROS HIGH INCOME FD II  COM    794907105     314,662     24,800   24,800                                            24,800
SALOMON BROTHERS FD INC         COM    795477108       5,012        253      253                                               253
SALOMON BROS 2008 WORLDWIDE     COM    79548R103      28,125      3,000    3,000                                             3,000
SALOMON BROS WORLDWIDE INCOME   COM    79548T109       9,550        800      800                                               800
SANCHEZ COMPUTER ASSOCS INC     COM    799702105       4,155        120      120                                               120
SANCHEZ COMPUTER ASSOCS INC     COM    799702105     200,826      5,800    5,800                     02    1,100    4,700
SAND TECHNOLOGY SYSTEM INTL     CL A N 799774302     213,750     38,000   38,000                                            38,000
SANDISK CORP                    COM    80004C101       9,000        200      200                                               200
SANFILIPPO JOHN B & SON INC     COM    800422107       3,813      1,000    1,000                                             1,000
SANMINA CORP                    COM    800907107       9,180        121               121            03                        121
SANYO ELEC LTD                  ADR 5  803038306     211,956     10,215   10,215                                            10,215
SAP AKTIENGESELLSCHAFT          SPONSO 803054204      17,312        500      500                                               500
SAPIENT CORP                    COM    803062108     571,515     10,093   10,093                                            10,093
SARA LEE CORP                   COM    803111103     799,854     35,256   35,256                                            35,256
SARA LEE CORP                   COM    803111103      33,935      1,496             1,496            03                      1,496
SARATOGA BEVERAGE GROUP INC     CL A   803436104       5,500      2,200    2,200                                             2,200
SARATOGA BRANDS INC             COM PA 803438506           0          1        1                                                 1
SAUER INC                       COM    804137107       7,525        700      700                                               700
SAVILLE SYS PLC                 SPONSO 805174109     237,800     16,400   16,400                                            16,400
SAVILLE SYS PLC                 SPONSO 805174109   1,087,500     75,000   75,000                     01            75,000
SAWTEK INC                      COM    805468105     217,906      4,750    4,750                                             4,750
SBARRO INC                      COM    805844107     165,760      6,125    6,125                                             6,125
SCANA CORP                      COM    805898103     972,397     41,600   41,600                                            41,600
SCHEIN HENRY INC                COM    806407102     215,473      6,800    6,800                                             6,800
                                 PAGE TOTAL       45,607,842
PAGE:    54     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

SCHEIN HENRY INC                COM    806407102      50,698      1,600             1,600            03                      1,600
SCHEIN PHARMACEUTICAL INC       COM    806416103       3,618        300      300                                               300
SCHERING PLOUGH CORP            COM    806605101   5,022,492     94,764   94,764                                            94,764
SCHERING PLOUGH CORP            COM    806605101   2,882,882     54,394            54,394            03                     54,394
SCHLUMBERGER LTD                COM    806857108  15,731,979    247,029  247,029                                           247,029
SCHLUMBERGER LTD                COM    806857108     979,649     15,384            15,384            03                     15,384
SCHNITZER STL INDS              CL A   806882106      11,219        500      500                                               500
SCHWAB CHARLES CORP NEW         COM    808513105   2,410,271     21,937   21,937                                            21,937
SCHWAB CHARLES CORP NEW         COM    808513105   1,277,764     11,630            11,630            03                     11,630
SCHWEITZER-MAUDUIT INTL INC     COM    808541106       3,000        200      200                                               200
SCIENTIFIC ATLANTA INC          COM    808655104     574,920     15,970   15,970                                            15,970
SCIENTIFIC ATLANTA INC          COM    808655104     216,000      6,000    6,000                     02      800    5,200
SCIENTIFIC ATLANTA INC          COM    808655104         720         20                20            03                         20
SCIOS INC                       COM    808905103       2,843        875      875                                               875
SCITEX LTD                      ORD    809090103      10,000      1,000    1,000                                             1,000
SCOTTS CO                       CL A   810186106       2,143         45       45                                                45
SCUDDER NEW EUROPE FD INC       COM    810905109     108,280      5,250    5,250                                             5,250
SCUDDER GLOBAL HIGH INCOME FD   COM    81115E101      20,026      3,560    3,560                                             3,560
SCUDDER NEW ASIA FD INC         COM    811183102      45,415      3,092    3,092                                             3,092
SEA CONTAINERS LTD              CL B   811371103     118,189      3,515    3,515                                             3,515
SEA CONTAINERS LTD              CL A   811371707     295,353      8,800    8,800                                             8,800
SEAGATE TECHNOLOGY              COM    811804103   1,040,721     40,619   40,619                                            40,619
SEAGATE TECHNOLOGY              COM    811804103      12,426        485               485            03                        485
SEAGATE TECHNOLOGY              COM    811804103   1,196,380     46,688   46,688                     07            46,688
SEAGRAM LTD                     COM    811850106   3,142,674     62,387   62,387                                            62,387
SEAGRAM LTD                     COM    811850106   4,148,532     82,353   82,353                     04            82,353
SEALED AIR CORP NEW             COM    81211K100   1,906,324     29,385   29,385                                            29,385
SEALED AIR CORP NEW             COM    81211K100       8,433        130               130            03                        130
SEALED AIR CORP NEW             PFD CV 81211K209       2,937         47       47                                                47
SEARS ROEBUCK & CO              COM    812387108   1,107,579     24,855   24,855                                            24,855
SEARS ROEBUCK & CO              COM    812387108     279,570      6,274             6,274            03                      6,274
SECURITY CAP GROUP INC          CL A   81413P105         362          0
SECURITY CAP GROUP INC          CL B   81413P204      53,358      3,664    3,664                                             3,664
SEL-LEB MARKETING INC           WT EXP 816082119           0     14,000   14,000                                            14,000
SELECT APPOINTMENTS HLDGS PLC   SPONSO 81617E203      12,000        500      500                                               500
SELFCARE INC                    COM    81631R107      19,143      6,250    6,250                                             6,250
SELIGMAN QUALITY MUN FD INC     COM    816343107           0          0
SEMPRA ENERGY                   COM    816851109      18,009        796      796                                               796
SENIOR HIGH INCOME PORTFOLIO    COM    81721E107     134,946     17,000   17,000                                            17,000
SENSORMATIC ELECTRS CORP        COM    817265101     497,569     35,700   35,700                     02    5,800   29,900
SEPRACOR INC                    SB DB  817315AE4     691,194  5,760,000 5760,000                                          5760,000
SEPRACOR INC                    COM    817315104   1,486,875     18,300   18,300                                            18,300
SEQUA CORPORATION               PFD CO 817320302      19,300        200      200                                               200
SEQUENT COMPUTER SYS INC        COM    817338106      53,250      3,000    3,000                                             3,000
SERVICE CORP INTL               COM    817565104     287,014     14,910   14,910                                            14,910
SERVICE CORP INTL               COM    817565104     735,301     38,200            38,200            03                     38,200
SERVICEMASTER CO                COM    81760N109      80,604      4,299    4,299                                             4,299
SERVOTRONICS INC                COM    817732100         154         33       33                                                33
7TH LEVEL INC                   COM    817916109       4,562      1,000    1,000                                             1,000
SEVEN SEAS PETE INC             COM    817917107     238,517     86,740   86,740                                            86,740
SHARED MED SYS CORP             COM    819486101     606,825      9,300    9,300                                             9,300
SHARED TECHNOLOGIES CELLULAR    COM    819487109       9,750      1,000    1,000                                             1,000
                                 PAGE TOTAL    1,047,561,770
PAGE:    55     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

SHARPER IMAGE CORP              COM    820013100         636         75       75                                                75
SHAW INDS INC                   COM    820286102      16,835        962      962                                               962
SHAW INDS INC                   COM    820286102         840         48                48            03                         48
SHELL TRANS & TRADING PLC       COM    822703609       2,968         64                64            03                         64
SHERWIN WILLIAMS CO             COM    824348106      72,150      2,600    2,600                                             2,600
SHOE CARNIVAL INC               COM    824889109       8,500        500      500                                               500
SHOLODGE INC                    SBDB C 825034AA9       5,862     10,000   10,000                                            10,000
SHONEYS INC                     COM    825039100     271,031    123,900  123,900                     02   24,700   99,200
SHOP AT HOME INC                COM NE 825066301      90,342     10,144   10,144                                            10,144
SHOREWOOD PACKAGING CORP        COM    825229107     637,938     34,600   34,600                     02    8,600   26,000
SHURGARD STORAGE CTRS INC       COM    82567D104       3,363        124      124                                               124
SIERRA HEALTH SVCS INC          COM    826322109      80,848      5,600    5,600                                             5,600
SIERRA PAC RES                  COM    826425100      18,187        500      500                                               500
SIGMA ALDRICH CORP              COM    826552101      45,630      1,325    1,325                                             1,325
SIGCORP INC                     COM    826912107      22,850        800      800                                               800
SILICON GAMING INC              COM    827054107       1,062      2,000    2,000                                             2,000
SILICON GRAPHICS INC            COM    827056102   8,528,090    520,800  520,800                                           520,800
SILICON GRAPHICS INC            COM    827056102   2,456,250    150,000  150,000                     01           150,000
SILICON GRAPHICS INC            COM    827056102     327,500     20,000   20,000                     02    3,000   17,000
SILICON GRAPHICS INC            COM    827056102   1,114,597     68,067   68,067                     04            68,067
SILICON STORAGE TECHNOLOGY INC  COM    827057100      14,938      2,000    2,000                                             2,000
SILICON VY BANCSHARES           COM    827064106      49,500      2,000    2,000                                             2,000
SIMIONE CENTRAL HOLDINGS INC    COM NE 828654202      42,250     16,900   16,900                                            16,900
SIZZLER INTL INC                COM    830139101       9,000      4,000    4,000                                             4,000
SKYMALL INC                     COM    830859104         937        100      100                                               100
SKYTEL COMMUNICATIONS INC       COM    83087Q104      35,594      1,700    1,700                                             1,700
SKYWEST INC                     COM    830879102       1,396         56       56                                                56
SMED INTL INC                   COM    83169D104       3,693        725      725                                               725
SMART MODULAR TECH INC          COM    831690102     332,724     19,150   19,150                                            19,150
SMITHFIELD FOODS INC            COM    832248108     685,469     20,500   20,500                     02    3,200   17,300
SMITHKLINE BEECHAM PLC          ADR RE 832378301   4,118,625     62,346   62,346                                            62,346
SMITHKLINE BEECHAM PLC          ADR RE 832378301     516,241      7,815             7,815            03                      7,815
SNYDER COMMUNICATIONS INC       COM    832914105   1,042,266     31,825   31,825                                            31,825
SNAP ON INC                     COM    833034101      45,234      1,250    1,250                                             1,250
SODAK GAMING INC                COM    833777105   1,422,653    151,750  151,750                                           151,750
SOFTWARE SPECTRUM INC           COM    833960107      56,875      3,500    3,500                                             3,500
SOFTNET SYS INC                 COM    833964109     456,867     16,390   16,390                                            16,390
SOLECTRON CORP                  COM    834182107     261,945      3,928    3,928                                             3,928
SOLECTRON CORP                  COM    834182107     247,723      3,715             3,715            03                      3,715
SOLECTRON CORP                  COM    834182107   1,887,137     28,298   28,298                     07            28,298
SOLUTIA INC                     COM    834376105     262,753     12,329   12,329                                            12,329
SOLUTIA INC                     COM    834376105       4,710        221               221            03                        221
SONAT INC                       COM    835415100     117,923      3,560    3,560                                             3,560
SONAT INC                       COM    835415100      61,972      1,871             1,871            03                      1,871
SONIC CORP                      COM    835451105       9,787        300      300                                               300
SONIC SOLUTIONS                 COM    835460106      23,125      5,000    5,000                                             5,000
SONOCO PRODS CO                 COM    835495102      74,845      2,500    2,500                                             2,500
SONY CORP                       ADR NE 835699307     157,835      1,430    1,430                                             1,430
SONY CORP                       ADR NE 835699307   3,173,432     28,753            28,753            03                     28,753
SOTHEBYS HLDGS INC              CL A   835898107     285,935      7,500    7,500                                             7,500
SOTHEBYS HLDGS INC              CL A   835898107      60,999      1,600             1,600            03                      1,600
SOURCE MEDIA INC                COM NE 836153304      17,000      1,000    1,000                                             1,000
                                 PAGE TOTAL       29,186,862
PAGE:    56     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

SOUTHBANC SHS INC               COM    840901102          21          1        1                                                 1
SOUTHDOWN INC                   COM    841297104      39,641        617      617                                               617
SOUTHERN CO                     COM    842587107     288,850     10,900   10,900                                            10,900
SOUTHERN PERU COPPER CORP       COM    843611104       3,219        223      223                                               223
SOUTHERN UN CO NEW              COM    844030106      24,729      1,137    1,137                                             1,137
SOUTHTRUST CORP                 COM    844730101   1,825,059     47,563   47,563                                            47,563
SOUTHTRUST CORP                 COM    844730101      34,995        912               912            03                        912
SOUTHWEST AIRLS CO              COM    844741108   1,143,635     36,744   36,744                                            36,744
SOUTHWEST AIRLS CO              COM    844741108   1,554,967     49,961            49,961            03                     49,961
SOUTHWEST BANCORPORATION TEX    COM    84476R109      63,000      3,500    3,500                                             3,500
SOUTHWEST BANCORPORATION TEX    COM    84476R109       1,440         80                80            03                         80
SOUTHWALL TECHNOLOGIES INC      COM    844909101       5,600      1,400    1,400                                             1,400
SOVEREIGN BANCORP INC           COM    845905108     317,079     26,151   26,151                                            26,151
SOVEREIGN BANCORP INC           COM    845905108     485,000     40,000   40,000                     08            40,000
SOVRAN SELF STORAGE INC         COM    84610H108   1,069,105     39,689   39,689                                            39,689
SOVRAN SELF STORAGE INC         COM    84610H108      50,507      1,875             1,875            03                      1,875
SPACEHAB INC                    COM    846243103     112,255     21,904   21,904                                            21,904
SPARTECH CORP                   COM NE 847220209      63,250      2,000    2,000                                             2,000
SPECTRAN CORP                   COM    847598109       5,625        500      500                                               500
SPECTRIAN CORP                  COM    847608106     179,800     12,400   12,400                                            12,400
SPEEDWAY MOTORSPORTS INC        COM    847788106       3,931        100      100                                               100
SPIEKER PPTYS INC               COM    848497103     507,307     13,050   13,050                                            13,050
SPIEKER PPTYS INC               COM    848497103      23,325        600               600            03                        600
SPLASH TECHNOLOGY HLDGS INC     COM    848623104       7,031      1,000    1,000                                             1,000
SPORT SUPPLY GROUP INC          WT EXP 848915120           0         15                15            03                         15
SPORTSLINE USA INC              COM    848934105   2,580,955     71,943   71,943                     04            71,943
SPRINT CORP                     COM    852061100  28,344,911    536,724  536,724                                           536,724
SPRINT CORP                     COM    852061100   1,018,856     19,294            19,294            03                     19,294
STAGE STORES INC                COM    85254C107      13,000      2,000    2,000                                             2,000
STANDARD AUTOMOTIVE CORP        COM    853097103      15,637        900      900                                               900
STANDARD COML CORP              SB DBC 853258AA9      30,875     50,000   50,000                                            50,000
STANDARD PRODS CO               COM    853836104     217,300      8,480    8,480                                             8,480
STANFORD TELECOMMUNICATIONS     COM    854402104   1,073,486     36,237   36,237                                            36,237
STANLEY WKS                     COM    854616109     380,614     11,825   11,825                                            11,825
STAR TELECOMMUNICATIONS INC     COM    854923109      54,691      7,000    7,000                                             7,000
STAPLES INC                     COM    855030102     871,136     28,159   28,159                                            28,159
STAPLES INC                     COM    855030102   1,309,355     42,328            42,328            03                     42,328
STAR GAS PARTNERS L P           UNIT L 85512C105     637,671     37,100   37,100                                            37,100
STARBUCKS CORP                  COM    855244109   3,594,353     95,691   95,691                                            95,691
STARBUCKS CORP                  COM    855244109   1,141,469     30,390            30,390            03                     30,390
STARTER CORP                    COM    855684106           0      1,000    1,000                                             1,000
STATE FINL SVCS CORP            CL A   856855101         960         63                63            03                         63
STATE STR CORP                  COM    857477103   2,690,529     31,515   31,515                                            31,515
STATE STR CORP                  COM    857477103   2,513,810     29,446            29,446            03                     29,446
STATION CASINOS INC             COM    857689103     181,968      8,931    8,931                                             8,931
STERLING BANCSHARES INC         COM    858907108     143,113     10,700   10,700                     08            10,700
STERICYCLE INC                  COM    858912108     928,385     68,450   68,450                                            68,450
STERIS CORP                     COM    859152100     134,072      6,920    6,920                                             6,920
STERIS CORP                     COM    859152100       3,875        200               200            03                        200
STERLING BANCORP                COM    859158107     207,100     10,900   10,900                                            10,900
STERLING CAP CORP               COM    859160103     355,190     51,664   51,664                                            51,664
STERLING COMM INC               COM    859205106     268,822      7,365    7,365                                             7,365
                                 PAGE TOTAL       56,521,504
PAGE:    57     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

STERLING COMM INC               COM    859205106     302,541      8,289             8,289            03                      8,289
STEWART ENTERPRISES INC         CL A   860370105     155,819     10,700   10,700                                            10,700
STEWART ENTERPRISES INC         CL A   860370105     188,214     12,925            12,925            03                     12,925
STILLWATER MNG CO               COM    86074Q102      44,128      1,350    1,350                                             1,350
STMICROELECTRONICS N V          COM    861012102      41,625        600      600                                               600
STMICROELECTRONICS N V          COM    861012102   1,895,295     27,344   27,344                     07            27,344
STOLT COMEX SEAWAY S A          SPON A 861567105      67,283      6,259    6,259                                             6,259
STONE CONTAINER CORP            PFD E  861589307      18,900        900      900                                               900
STONE ENERGY CORP               COM    861642106      25,425        600      600                                               600
STORAGE USA INC                 COM    861907103      90,524      2,840    2,840                                             2,840
STORAGE TECHNOLOGY CORP         COM PA 862111200      97,527      4,287    4,287                                             4,287
STRATTEC SEC CORP               COM    863111100       9,450        280      280                                               280
STRAYER ED INC                  COM    863236105     410,736     13,385            13,385            03                     13,385
STRIDE RITE CORP                COM    863314100       4,640        450      450                                               450
STRYKER CORP                    COM    863667101     162,336      2,700    2,700                                             2,700
SUBURBAN LODGES AMER INC        COM    864444104       1,287        200      200                                               200
SUBURBAN PROPANE PARTNERS L P   UNIT L 864482104      54,600      2,800    2,800                                             2,800
SUGEN INC                       COM    865041107     393,294     13,332   13,332                                            13,332
SUIZA FOODS CORP                COM    865077101     209,376      5,000    5,000                     02      500    4,500
SULZER MEDICA                   SPONSO 865580104       3,750        200      200                                               200
SUMMIT BANCORP                  COM    866005101     124,976      2,989    2,989                                             2,989
SUMMIT BANCORP                  COM    866005101     416,023      9,950             9,950            03                      9,950
SUMMIT BANCORP                  COM    866005101     296,872      7,100    7,100                     08             7,100
SUMMIT DESIGN INC               COM    86605U101         300        100      100                                               100
SUMMIT TECHNOLOGY INC           COM    86627E101      22,000      1,000    1,000                                             1,000
SUN BANCORP INC                 COM    86663B102      19,285      1,102    1,102                                             1,102
SUN COMMUNITIES INC             COM    866674104       8,165        230      230                                               230
SUN MICROSYSTEMS INC            COM    866810104  13,205,908    191,740  191,740                                           191,740
SUN MICROSYSTEMS INC            COM    866810104   5,039,738     73,176            73,176            03                     73,176
SUN MICROSYSTEMS INC            COM    866810104   2,534,669     36,801   36,801                     07            36,801
SUN HEALTHCARE GROUP INC        COM    866933104           0      9,000    9,000                                             9,000
SUNBEAM CORP                    SRSDCV 867071AA0     169,174  1,010,000 1010,000                                          1010,000
SUNBEAM CORP                    SRSDCV 867071AA0     120,265    718,000           718,000            06                    718,000
SUNBEAM CORP                    COM    867071102      29,087      3,665    3,665                                             3,665
SUNGARD DATA SYS INC            COM    867363103   2,708,759     78,517   78,517                                            78,517
SUNGARD DATA SYS INC            COM    867363103     207,843      6,025             6,025            03                      6,025
SUNQUEST INFORMATION SYS INC    COM    867654105     156,973      9,735    9,735                                             9,735
SUNRISE ASSISTED LIVING INC     COM    86768K106     205,025      5,900    5,900                                             5,900
SUNRISE TECHNOLOGIES INTL INC   COM    86769L103     126,175     10,300   10,300                                            10,300
SUNSHINE MNG & REFINING CO      COM    867833105           8         26       26                                                26
SUNTRUST BKS INC                COM    867914103     491,053      7,072    7,072                                             7,072
SUNSTONE HOTEL INVS INC         COM    867933103     514,995     60,590   60,590                                            60,590
SUNSTONE HOTEL INVS INC         COM    867933103      15,300      1,800             1,800            03                      1,800
SUPERIOR CONSULTANT HLDGS CORP  COM    868146101     175,279      7,100    7,100                                             7,100
SUPERIOR CONSULTANT HLDGS CORP  COM    868146101      56,035      2,270             2,270            03                      2,270
SUPERIOR ENERGY SVCS INC        COM    868157108     101,875     20,000   20,000                     02    2,500   17,500
SUPERIOR TELECOM INC            COM    868365107   5,125,000    205,000  205,000                     01           205,000
SUPERTEX INC                    COM    868532102      85,090      7,400             7,400            03                      7,400
SUPERVALU INC                   COM    868536103     256,880     10,000   10,000                                            10,000
SUSQUEHANNA BANCSHARES INC PA   COM    869099101      73,188      4,138    4,138                                             4,138
SWIFT ENERGY CO                 SB NT  870738AB7      11,681     15,000   15,000                                            15,000
SWIFT ENERGY CO                 COM    870738101     424,370     39,708   39,708                                            39,708
                                 PAGE TOTAL       36,898,741
PAGE:    58     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

SWIFT TRANSN CO                 COM    870756103       4,928        224               224            03                        224
SYBRON INTL CORP                COM    87114F106       3,168        115               115            03                        115
SYKES ENTERPRISES INC           COM    871237103      50,062      1,500    1,500                                             1,500
SYLVAN LEARNING SYS INC         COM    871399101       5,981        220      220                                               220
SYLVAN LEARNING SYS INC         COM    871399101       6,932        255               255            03                        255
SYMANTEC CORP                   COM    871503108      43,350      1,700    1,700                                             1,700
SYMBOL TECHNOLOGIES INC         COM    871508107   2,144,049     58,145   58,145                                            58,145
SYNAPTIC PHARMACEUTICAL CORP    COM    87156R109      29,687      6,250    6,250                                             6,250
SYNAPTIC PHARMACEUTICAL CORP    COM    87156R109     172,876     36,395   36,395                     05            36,395
SYNCOR INTL CORP DEL            COM    87157J106      18,000        500      500                                               500
SYNOPSYS INC                    COM    871607107   1,466,442     26,575   26,575                                            26,575
SYNOPSYS INC                    COM    871607107     376,252      6,818             6,818            03                      6,818
SYQUEST TECHNOLOGY INC          COM    871660106           0     48,050   48,050                                            48,050
SYSCO CORP                      COM    871829107     146,975      4,930    4,930                                             4,930
SYSCO CORP                      COM    871829107     158,000      5,300             5,300            03                      5,300
T & W FINL CORP                 COM    87215N107     334,062     47,301   47,301                                            47,301
TAVA TECHNOLOGIES INC           COM    872169107      13,068      1,700    1,700                                             1,700
TBA ENTMT CORP                  COM    872173109       6,469      1,500    1,500                                             1,500
TCA CABLE TV INC                COM    872241104   1,111,138     20,021   20,021                                            20,021
TCF FINL CORP                   COM    872275102   1,360,018     48,795   48,795                                            48,795
TCF FINL CORP                   COM    872275102      15,331        550               550            03                        550
TCI MUSIC INC                   CL A   87229N101     116,737      3,300    3,300                                             3,300
TCI MUSIC INC                   CL A   87229N101     625,784     17,690   17,690                     04            17,690
TCI PAC COMMUNICATIONS INC      PFD SR 872294202      17,083         50       50                                                50
TCI SATELLITE ENTMT INC         CL A   872298104     156,575     53,304   53,304                                            53,304
TCSI CORP                       COM    87233R106         256        100      100                                               100
TCW CONV SECS FD INC            COM    872340104      13,528      1,370    1,370                                             1,370
TDK CORP                        AMERN  872351408      62,137        675      675                                               675
TECO ENERGY INC                 COM    872375100      64,837      2,850    2,850                                             2,850
TEPPCO PARTNERS L P             UT LTD 872384102      43,669      1,760    1,760                                             1,760
TJX COS INC NEW                 COM    872540109   1,943,526     58,347   58,347                                            58,347
TJX COS INC NEW                 COM    872540109      18,317        550               550            03                        550
TSI INTERNATIONAL SOFTWARE LTD  COM    872879101     141,876      5,000    5,000                     02      500    4,500
TMCI ELECTRONICS INC            COM    872933106           0        500      500                                               500
TLC THE LASER CTR INC           COM    872934104     264,000      5,500    5,500                                             5,500
TMP WORLDWIDE INC               COM    872941109         889         14       14                                                14
TVX GOLD INC                    COM    87308K101       7,000      7,000    7,000                                             7,000
TACO CABANA INC                 COM    873425102      15,587      1,530    1,530                                             1,530
TALBOTS INC                     COM    874161102      45,750      1,200    1,200                                             1,200
TANDY CORP                      COM    875382103     102,637      2,100    2,100                                             2,100
TANDY CORP                      COM    875382103     318,901      6,525             6,525            03                      6,525
TARGETED GENETICS CORP          COM    87612M108       3,126      2,000    2,000                                             2,000
TARGETED GENETICS CORP          COM    87612M108     336,555    215,395  215,395                     05           215,395
TASTY BAKING CO                 COM    876553306      36,939      3,000    3,000                                             3,000
TAUBMAN CTRS INC                COM    876664103     323,106     24,500   24,500                                            24,500
TEARDROP GOLF CO                COM    878190107       9,187      3,500    3,500                                             3,500
TECHNE CORP                     COM    878377100     546,435     21,535            21,535            03                     21,535
TECHNOLOGY SOLUTIONS CO         COM    87872T108     214,244     19,814   19,814                                            19,814
TECHNOLOGY SOLUTIONS CO         COM    87872T108      50,277      4,650             4,650            03                      4,650
TECUMSEH PRODS CO               CL B   878895101      19,075        350               350            03                        350
TEJON RANCH CO DEL              COM    879080109     122,349      4,661    4,661                                             4,661
TEKELEC                         COM    879101103     182,813     15,000   15,000                     02    2,500   12,500
                                 PAGE TOTAL       13,269,983
PAGE:    59     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

TEKTRONIX INC                   COM    879131100     149,339      4,947    4,947                                             4,947
TELCOM SEMICONDUCTOR INC        COM    87921P107       2,021        210      210                                               210
TELEBANC FINANCIAL CORP         COM    87925R109      31,000        800      800                                               800
TELECOM ITALIA SPA              SPONS  87927W106     156,723      1,490    1,490                                             1,490
TELECOM ITALIA SPA              SPONS  87927W106   9,185,184     87,326            87,326            03                     87,326
TELECOM CORP NEW ZEALAND LTD    SPONSO 879278208      90,312      2,585    2,585                                             2,585
TELECOM CORP NEW ZEALAND LTD    SPONSO 879278208      81,571      2,335             2,335            03                      2,335
TELECOMUNICACOES BRASILEIRAS S  SPONSO 879287100       3,884     61,778   61,778                                            61,778
TELECOMUNICACOES BRASILEIRAS S  SPONSO 879287308   5,646,920     62,613   62,613                                            62,613
TELECOMUNICACOES BRASILEIRAS S  SPONSO 879287308   5,056,723     56,075            56,075            03                     56,075
TELEFLEX INC                    COM    879369106       4,343        100               100            03                        100
TELEFONICA DE ARGENTINA S A     SPNSR  879378206      89,413      2,850    2,850                                             2,850
TELEFONICA DE ARGENTINA S A     SPNSR  879378206     218,656      6,970             6,970            03                      6,970
TELEFONICA S A                  SPONSO 879382208     222,885      1,515    1,515                                             1,515
TELEFONICA S A                  SPONSO 879382208     158,887      1,080             1,080            03                      1,080
TELEFONOS DE MEXICO S A         SP ADR 879403780     166,066      2,055    2,055                                             2,055
TELEFONOS DE MEXICO S A         SP ADR 879403780     404,062      5,000    5,000                     02      500    4,500
TELEFONOS DE MEXICO S A         SP ADR 879403780   7,502,790     92,848            92,848            03                     92,848
TELEPAD CORP                    WT D E 87943E130           0      1,000    1,000                                             1,000
TELEPHONE & DATA SYS INC        COM    879433100   2,333,539     31,941   31,941                                            31,941
TELEPHONE & DATA SYS INC        COM    879433100   3,290,625     45,000   45,000                     01            45,000
TELEPHONE & DATA SYS INC        COM    879433100       7,669        105               105            03                        105
TELIGENT INC                    CL A   87959Y103   1,333,827     22,300   22,300                                            22,300
TELLABS INC                     COM    879664100   5,926,159     87,715   87,715                                            87,715
TELLABS INC                     COM    879664100     259,414      3,840             3,840            03                      3,840
TELLABS INC                     COM    879664100   2,902,777     42,964   42,964                     07            42,964
TELTREND INC                    COM    87969R106      57,375      2,700    2,700                                             2,700
TELXON CORP                     COM    879700102      18,455      2,325    2,325                                             2,325
TELETECH HOLDINGS INC           COM    879939106      10,125      1,000    1,000                                             1,000
TEMPLETON DRAGON FD INC         COM    88018T101      15,488      1,400    1,400                                             1,400
TEMPLETON CHINA WORLD FD INC    COM    88018X102     215,915     24,500   24,500                                            24,500
TEMPLETON EMERGING MKTS FD INC  COM    880191101       2,409        162      162                                               162
TEMPLETON EMERG MKTS INCOME FD  COM    880192109     169,051     15,545   15,545                                            15,545
TEMPLETON GLOBAL INCOME FD INC  COM    880198106     132,897     20,250   20,250                                            20,250
TENET HEALTHCARE CORP           COM    88033G100   1,056,013     56,888   56,888                                            56,888
TENET HEALTHCARE CORP           COM    88033G100      33,113      1,784             1,784            03                      1,784
TENNECO INC NEW                 COM    88037E101      76,136      3,189    3,189                                             3,189
TENNECO INC NEW                 COM    88037E101      61,544      2,578             2,578            03                      2,578
TERADYNE INC                    COM    880770102     127,858      1,782    1,782                                             1,782
TERAYON COMMUNICATION SYS       COM    880775101     127,111      2,275    2,275                                             2,275
TEREX CORP NEW                  COM    880779103       9,131        300      300                                               300
TESCO CORP                      COM    88157K101      13,750      2,500    2,500                                             2,500
TESORO PETE CORP                COM    881609101     653,648     41,013   41,013                                            41,013
TESORO PETE CORP                PIES C 881609408       4,725        300      300                                               300
TETRA TECH INC NEW              COM    88162G103       2,062        125               125            03                        125
TEVA PHARMACEUTICAL INDS LTD    ADR    881624209   1,493,422     30,478   30,478                                            30,478
TEXACO INC                      COM    881694103  19,637,919    314,211  314,211                                           314,211
TEXACO INC                      COM    881694103     626,988     10,032            10,032            03                     10,032
TEXAS BIOTECHNOLOGY CORP        COM    88221T104      47,500     10,000   10,000                                            10,000
TEXAS INDS INC                  COM    882491103     116,250      3,000    3,000                                             3,000
TEXAS INSTRS INC                COM    882508104   3,903,255     26,919   26,919                                            26,919
TEXAS INSTRS INC                COM    882508104   3,835,395     26,451            26,451            03                     26,451
                                 PAGE TOTAL       77,672,324
PAGE:    60     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

TEXAS INSTRS INC                COM    882508104   2,683,872     18,638   18,638                     07            18,638
TEXAS UTILS CO                  COM    882848104   2,312,553     56,062   56,062                                            56,062
TEXAS UTILS CO                  COM    882848104     107,776      2,613             2,613            03                      2,613
TEXTRON INC                     COM    883203101   1,606,243     19,516   19,516                                            19,516
TEXTRON INC                     COM    883203101     134,652      1,636             1,636            03                      1,636
THERAGENICS CORP                COM    883375107      19,424      2,800    2,800                                             2,800
THERMEDICS DETECTION INC        COM    88355E105       1,509        150      150                                               150
THERMO CARDIOSYSTEMS INC        COM NO 88355K200      33,712      3,100    3,100                                             3,100
THERMO FIBERTEK INC             COM    88355W105      42,748      6,000    6,000                                             6,000
THERMO ELECTRON CORP            COM    883556102   8,997,733    448,481  448,481                                           448,481
THERMO ELECTRON CORP            COM    883556102       3,009        150               150            03                        150
THERMO INSTR SYS INC            COM    883559106      83,120      5,195    5,195                                             5,195
THERMOLASE CORP                 COM    883624108       4,205      3,206    3,206                                             3,206
THERMOTREX CORP                 COM    883666109      11,436      1,500    1,500                                             1,500
THERMEDICS INC                  COM    883901100      13,969      1,500    1,500                                             1,500
THINK NEW IDEAS INC             COM    884094103      94,878      6,000    6,000                                             6,000
THISTLE GROUP HLDGS CO          COM    88431E103     176,260     20,000   20,000                                            20,000
THISTLE GROUP HLDGS CO          COM    88431E103      30,221      3,430             3,430            03                      3,430
THOMAS & BETTS CORP             COM    884315102      61,660      1,305    1,305                                             1,305
THOMAS & BETTS CORP             COM    884315102      84,334      1,785             1,785            03                      1,785
THORATEC LABS CORP              COM NE 885175307       7,076        666      666                                               666
3DO CO                          COM    88553W105      57,812     12,500   12,500                                            12,500
3DFX INTERACTIVE INC            COM    88553X103      31,250      2,000    2,000                                             2,000
3COM CORP                       COM    885535104   4,369,826    163,745  163,745                                           163,745
3COM CORP                       COM    885535104       1,334         50                50            03                         50
3COM CORP                       COM    885535104     848,732     31,802   31,802                     07            31,802
THRUSTMASTER INC                COM    886027101       7,656        319      319                                               319
TIDEWATER INC                   COM    886423102      56,425      1,850    1,850                                             1,850
TIDEWATER INC                   COM    886423102      29,890        980               980            03                        980
TIFFANY & CO NEW                COM    886547108   6,110,476     63,321   63,321                                            63,321
TIMBERLINE SOFTWARE CORP        COM    887134104     517,913     32,884            32,884            03                     32,884
TIME WARNER INC                 COM    887315109   7,877,983    107,185  107,185                                           107,185
TIME WARNER INC                 COM    887315109   1,115,624     15,179            15,179            03                     15,179
TIME WARNER INC                 COM    887315109   6,370,229     87,714   87,714                     04            87,714
TIME WARNER INC                 COM    887315109   1,215,379     16,735   16,735                     07            16,735
TIMKEN CO                       COM    887389104     133,963      6,870    6,870                                             6,870
TITAN CORP                      COM    888266103      36,300      3,300    3,300                                             3,300
TITANIUM METALS CORP            COM    888339108     189,125     17,000   17,000                                            17,000
TOKIO MARINE & FIRE INS LTD     ADR NE 889090403     177,351      3,160    3,160                                             3,160
TOKIO MARINE & FIRE INS LTD     ADR NE 889090403   8,427,190    150,158           150,158            03                    150,158
TOMKINS PLC                     SPONSO 890030208   5,309,802    290,965           290,965            03                    290,965
TOOTSIE ROLL INDS INC           COM    890516107   1,030,011     26,667   26,667                                            26,667
TOOTSIE ROLL INDS INC           COM    890516107     408,830     10,585            10,585            03                     10,585
TOP SOURCE TECHNOLOGIES INC     COM    890530108      20,515     19,300   19,300                                            19,300
TOPPS INC                       COM    890786106     829,335    113,900  113,900                     02   22,300   91,600
TOPS APPLIANCE CITY INC         COM    890910102         594        500      500                                               500
TORCH ENERGY ROYALTY TRUST      UNIT B 891013104       2,656        500      500                                               500
TORCHMARK CORP                  COM    891027104       1,706         50                50            03                         50
TOSCO CORP                      COM NE 891490302   2,309,372     89,042   89,042                                            89,042
TOSCO CORP                      COM NE 891490302      21,526        830               830            03                        830
TOTAL RENAL CARE HLDGS INC      COM    89151A107      85,594      5,500    5,500                                             5,500
TOTAL RENAL CARE HLDGS INC      COM    89151A107   3,112,600    200,000  200,000                     01           200,000
                                 PAGE TOTAL       67,217,389
PAGE:    61     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

TOTAL RENAL CARE HLDGS INC      COM    89151A107     443,532     28,500   28,500                     02    3,900   24,600
TOWER AUTOMOTIVE INC            COM    891707101       5,341        210               210            03                        210
TOTAL SYS SVCS INC              COM    891906109       9,500        500      500                                               500
TOWN & CTRY TR                  SH BEN 892081100      19,662      1,100    1,100                                             1,100
TOYS R US INC                   COM    892335100     135,706      6,560    6,560                                             6,560
TOYS R US INC                   COM    892335100     674,120     32,589            32,589            03                     32,589
TRAILER BRIDGE                  COM    892782103      10,315      5,000    5,000                                             5,000
TRANS WORLD AIRLS INC           WT EXP 893349134          31         15       15                                                15
TRANS WORLD AIRLS INC           COM PA 893349837      81,534     16,512   16,512                                            16,512
TRANSACTION SYS ARCHITECTS      CL A   893416107      11,037        283      283                                               283
TRANSACTION SYS ARCHITECTS      CL A   893416107       3,900        100               100            03                        100
TRANSAMERICA CORP               COM    893485102      75,000      1,000    1,000                                             1,000
TRANSAMERICA INCOME SHS INC     COM    893506105      34,125      1,400    1,400                                             1,400
TRANSCANADA PIPELINES LTD       COM    893526103     227,360     16,240   16,240                                            16,240
TRANSKARYOTIC THERAPIES INC     COM    893735100       3,300        100      100                                               100
TRANSPORTADORA DE GAS SUR       SPONSR 893870204      11,250      1,200    1,200                                             1,200
TRAVELERS PPTY CAS CORP         CL A   893939108       3,521         90                90            03                         90
TRANSWITCH CORP                 COM    894065101      71,062      1,500    1,500                                             1,500
TRANSWITCH CORP                 COM    894065101     360,050      7,600    7,600                     07             7,600
TRAVEL SERVICES INTL INC        COM    894169101      12,000      1,000    1,000                                             1,000
TRIARC COS INC                  CL A   895927101     631,762     29,730   29,730                                            29,730
TRICON GLOBAL RESTAURANTS       COM    895953107   1,063,592     19,651   19,651                                            19,651
TRICON GLOBAL RESTAURANTS       COM    895953107      34,419        636               636            03                        636
TRIBUNE CO NEW                  COM    896047107     778,955      8,941    8,941                                             8,941
TRIMERIS INC                    COM    896263100       7,250        500      500                                               500
TRINITY INDS INC                COM    896522109     351,810     10,502   10,502                                            10,502
TRIQUINT SEMICONDUCTOR INC      COM    89674K103       8,181        144      144                                               144
TRIZEC HAHN CORP                SUB VT 896938107     458,098     22,484   22,484                                            22,484
TRIZEC HAHN CORP                SUB VT 896938107   2,530,392    124,191  124,191                     04           124,191
TROPICAL SPORTSWEAR INTL CORP   COM    89708P102      84,564      2,653    2,653                                             2,653
TRUE NORTH COMMUNICATIONS INC   COM    897844106     243,000      8,100    8,100                                             8,100
TRUE NORTH COMMUNICATIONS INC   COM    897844106      69,000      2,300             2,300            03                      2,300
TUPPERWARE CORP                 COM    899896104       7,522        295               295            03                        295
TWEETER HOME ENTMT GROUP INC    COM    901167106     973,400     24,800   24,800                                            24,800
24 / 7 MEDIA INC                COM    901314104      82,775      2,150    2,150                                             2,150
TYCO INTL LTD NEW               COM    902124106   7,561,129     79,803   79,803                                            79,803
TYCO INTL LTD NEW               COM    902124106   1,516,000    160,000  160,000                     01           160,000
TYCO INTL LTD NEW               COM    902124106   1,627,889     17,182            17,182            03                     17,182
TYSON FOODS INC                 CL A   902494103   1,170,381     52,021   52,021                                            52,021
TYSON FOODS INC                 CL A   902494103      15,524        690               690            03                        690
UAL CORP                        COM PA 902549500      62,205        957      957                                               957
UCAR INTL INC                   COM    90262K109      73,098      2,895    2,895                                             2,895
UICI                            COM    902737105      13,812        500      500                                               500
UST CORP                        COM    902900109      42,016      1,389    1,389                                             1,389
USX MARATHON GROUP              PFD CO 902905819      29,362        600      600                                               600
USX MARATHON GROUP              COM NE 902905827  21,344,836    655,520  655,520                                           655,520
USX MARATHON GROUP              COM NE 902905827     544,257     16,715            16,715            03                     16,715
UST INC                         COM    902911106     245,962      8,409    8,409                                             8,409
UST INC                         COM    902911106     569,285     19,464            19,464            03                     19,464
USA TRUCK INC                   COM    902925106      13,960      1,525             1,525            03                      1,525
USA DETERGENTS INC              COM    902938109      24,252      4,000    4,000                                             4,000
U S ENERGY SYS INC              COM    902951102          24          8        8                                                 8
                                 PAGE TOTAL       44,371,058
PAGE:    62     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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 FRANCHISE SVCS INC          CL A N 902956309   4,989,151    215,161  215,161                                           215,161
U S RESTAURANT PPTYS INC        COM    902971100     711,249     33,471   33,471                                            33,471
U S RESTAURANT PPTYS INC        PFD CV 902971209     187,945      9,085    9,085                                             9,085
U S RESTAURANT PPTYS INC        PFD CV 902971209      35,583      1,720             1,720            03                      1,720
US BANCORP DEL                  COM    902973106     992,324     29,186   29,186                                            29,186
US BANCORP DEL                  COM    902973106      64,022      1,883             1,883            03                      1,883
US BANCORP DEL                  COM    902973106     383,812     11,500   11,500                     08            11,500
USA NETWORKS INC                COM    902984103   2,113,059     52,666   52,666                                            52,666
USA NETWORKS INC                COM    902984103     710,213     17,700   17,700                     02    2,700   15,000
USA NETWORKS INC                COM    902984103      26,682        665               665            03                        665
USA NETWORKS INC                COM    902984103   9,728,627    242,458  242,458                     04           242,458
USA NETWORKS INC                COM    902984103     970,223     24,180   24,180                     07            24,180
UNUM CORP                       COM    903192102     500,512      9,142    9,142                                             9,142
UNUM CORP                       COM    903192102      42,426        775               775            03                        775
U S G CORP                      COM NE 903293405      56,000      1,000    1,000                                             1,000
U S G CORP                      COM NE 903293405       1,792         32                32            03                         32
USA BRDG CONSTR N Y INC         WT EXP 90331P113           0      5,000    5,000                                             5,000
U S FOODSERVICE                 COM    90331R101       5,114        120               120            03                        120
U S A FLORAL PRODS INC          COM    90331T107       3,781        500      500                                               500
USEC INC                        COM    90333E108      44,625      3,000             3,000            03                      3,000
USX-U S STL                     COM    90337T101      89,586      3,318    3,318                                             3,318
USX-U S STL                     COM    90337T101      17,280        640               640            03                        640
ULTRAMAR DIAMOND SHAMROCK CORP  COM    904000106      69,204      3,173    3,173                                             3,173
ULTRATECH STEPPER INC           COM    904034105      18,075      1,200    1,200                                             1,200
UNICAPITAL CORP NEW             COM    90459D108      12,626      2,000    2,000                                             2,000
UNICO AMERN CORP                COM    904607108       8,384        823      823                                               823
UNIDIGITAL INC                  COM    904669108       9,900      1,800    1,800                                             1,800
UNICOM CORP                     COM    904911104   1,884,716     48,874   48,874                                            48,874
UNICOM CORP                     COM    904911104     639,300     16,580            16,580            03                     16,580
UNION CARBIDE CORP              COM    905581104     570,763     11,708   11,708                                            11,708
UNION CARBIDE CORP              COM    905581104      46,311        950               950            03                        950
UNION PAC CORP                  COM    907818108  15,279,445    262,037  262,037                                           262,037
UNION PAC CORP                  COM    907818108     387,984      6,654             6,654            03                      6,654
UNION PAC RES GROUP INC         COM    907834105   1,601,935     98,200   98,200                                            98,200
UNION PAC RES GROUP INC         COM    907834105     458,381     28,100   28,100                     02    4,800   23,300
UNION PAC RES GROUP INC         COM    907834105       4,420        271               271            03                        271
UNION PLANTERS CORP             COM    908068109   1,141,353     25,541   25,541                                            25,541
UNION PLANTERS CORP             COM    908068109     156,408      3,500    3,500                     08             3,500
UNIQUE MOBILITY INC             COM    909154106       7,600      1,600    1,600                                             1,600
UNISOURCE ENERGY CORP           COM    909205106       4,763        399      399                                               399
UNISYS CORP                     COM    909214108     331,047      8,502    8,502                                             8,502
UNISYS CORP                     COM    909214108       8,176        210               210            03                        210
UNISYS CORP                     PFD A  909214207   5,541,267     84,544   84,544                                            84,544
UNITED ASSET MGMT CORP          COM    909420101      11,375        500      500                                               500
UNITED CMNTY FINL CORP OHIO     COM    909839102       7,858        535      535                                               535
UNITED CAPITAL CORP             COM    909912107      15,625      1,000    1,000                                             1,000
UNITED DOMINION REALTY TR INC   COM    910197102     154,512     13,150   13,150                                            13,150
UNITED HEALTHCARE CORP          COM    910581107     819,428     13,085   13,085                                            13,085
UNITED HEALTHCARE CORP          COM    910581107     168,761      2,695             2,695            03                      2,695
UNITED KINGDOM FD INC           COM    910766104           0      1,600    1,600                                             1,600
UNITED NAT FOODS INC            COM    911163103      14,850        600      600                                               600
UNITED PAYORS&UTD PROVIDERS     COM    911319101     192,460      8,300    8,300                                             8,300
                                 PAGE TOTAL       51,240,933
PAGE:    63     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

UNITED RENTALS INC              COM    911363109     147,500      5,000    5,000                                             5,000
UNITED ROAD SERVICE             COM    911384105         169         33       33                                                33
U S BIOSCIENCE INC              COM PA 911646206         312         32       32                                                32
UNITED STATES CELLULAR CORP     LYON Z 911684AA6     800,640  1,500,000 1500,000                                          1500,000
US AIRWAYS GROUP INC            COM    911905107   1,874,943     43,040   43,040                                            43,040
US AIRWAYS GROUP INC            COM    911905107         740         17                17            03                         17
U S HOME CORP NEW               COM    911920106       1,420         40                40            03                         40
U S INDS INC NEW                COM    912080108   1,015,682     59,746   59,746                                            59,746
U S INDS INC NEW                COM    912080108      10,200        600               600            03                        600
U S WEST INC NEW                COM    91273H101   1,703,675     28,999   28,999                                            28,999
U S WEST INC NEW                COM    91273H101     871,501     14,835            14,835            03                     14,835
U S TR CORP NEW                 COM    91288L105     462,500      5,000    5,000                                             5,000
U S TR CORP NEW                 COM    91288L105     508,750      5,500    5,500                     08             5,500
UNITED STATIONERS INC           COM    913004107      66,000      3,000    3,000                                             3,000
UNITED TECHNOLOGIES CORP        COM    913017109   3,953,429     55,149   55,149                                            55,149
UNITED TECHNOLOGIES CORP        COM    913017109     585,450      8,167             8,167            03                      8,167
UNITED WTR RES INC              COM    913190104     445,476     19,636   19,636                                            19,636
UNITRIN INC                     COM    913275103     438,700     10,700   10,700                                            10,700
UNITRODE CORP                   COM    913283107      30,179      1,052    1,052                                             1,052
UNIVERSAL DISPLAY CORP          COM    91347P105           4          1        1                                                 1
UNIVERSAL HEALTH RLTY INCM TR   SH BEN 91359E105     114,190      5,800    5,800                                             5,800
UNIVERSAL HLTH SVCS INC         CL B   913903100       3,342         70                70            03                         70
UNIVISION COMMUNICATIONS INC    CL A   914906102     112,860      1,710    1,710                                             1,710
UNOCAL CORP                     COM    915289102      35,461        895      895                                               895
UNOCAL CORP                     COM    915289102     396,250     10,000   10,000                     02    1,400    8,600
UNOCAL CORP                     COM    915289102     111,060      2,803             2,803            03                      2,803
UNOVA INC                       COM    91529B106       4,286        270      270                                               270
USFREIGHTWAYS CORP              COM    916906100   2,443,968     52,773   52,773                                            52,773
USFREIGHTWAYS CORP              COM    916906100       4,630        100               100            03                        100
URBAN SHOPPING CTRS INC         COM    917060105      11,025        350      350                                               350
USBANCORP INC PA                COM    917292104       5,118        325      325                                               325
USWEB CORP                      COM    917327108     150,876      6,800    6,800                                             6,800
VDI MEDIA                       COM    917916108     425,837     65,515   65,515                                            65,515
UTILICORP UTD INC               COM    918005109     301,579     12,405   12,405                                            12,405
V F CORP                        COM    918204108      17,100        400      400                                               400
VLSI TECHNOLOGY INC             SB NT  918270AB5      10,225     10,000   10,000                                            10,000
VLSI TECHNOLOGY INC             COM    918270109           0      2,500    2,500                                             2,500
VALASSIS COMMUNICATIONS INC     COM    918866104       1,574         43       43                                                43
VALASSIS COMMUNICATIONS INC     COM    918866104       7,799        213               213            03                        213
VALENCE TECHNOLOGY INC          COM    918914102      95,875     13,000   13,000                                            13,000
VALLEY NATL BANCORP             COM    919794107      52,813      1,837    1,837                                             1,837
VALUEVISION INTL INC            CL A   92047K107      19,875      1,000    1,000                                             1,000
VAN KAMPEN MUN INCOME TR        COM    920909108          80          8        8                                                 8
VAN KAMPEN INVT GRADE MUN TR    COM    920915105      14,524      1,400    1,400                                             1,400
VAN KAMPEN MUN TR               SH BEN 920919107     137,284      9,039    9,039                                             9,039
VAN KAMPEN CALIF QUALITY MUN    COM    920920105         106          6        6                                                 6
VAN KAMPEN FLA QUALITY MUN TR   COM    920921103          86          5        5                                                 5
VAN KAMPEN N Y QUALITY MUN TR   COM    920922101         321         20       20                                                20
VAN KAMPEN OHIO QUALITY MUN TR  COM    920923109          73          3        3                                                 3
VAN KAMPEN PA QUALITY MUN TR    COM    920924107          72          4        4                                                 4
VAN KAMPEN TR INSD MUNS         COM    920928108      60,085      3,669    3,669                                             3,669
VAN KAMPEN TR INVT GRADE MUNS   COM    920929106      66,459      4,270    4,270                                             4,270
                                 PAGE TOTAL       17,522,103
PAGE:    64     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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 TR INVT GRADE CALIF  COM    920930104          36          2        2                                                 2
VAN KAMPEN TR INVT GRADE N Y    COM    920931102      62,295      3,818    3,818                                             3,818
VAN KAMPEN TR INVT FLA MUNS     COM    920932100           4          0
VAN KAMPEN TR INVT GRADE N J    COM    920933108      41,878      2,547    2,547                                             2,547
VAN KAMPEN TR INVT GRADE PA     COM    920934106          66          4        4                                                 4
VAN KAMPEN MUN OPPORTUNITY TR   COM    920935103         105          6        6                                                 6
VAN KAMPEN ADVANTAGE PA MUN TR  SH BEN 920937109         206         12       12                                                12
VAN KAMPEN STRATEGIC SECTOR     COM    920943107           0          0
VAN KAMPEN MUN OPPORTUNITY II   COM    920944105      12,938      1,000    1,000                                             1,000
VAN KAMPEN BD FD                COM    920955101      17,910      1,002    1,002                                             1,002
VAN KAMPEN INCOME TR            SH BEN 920957107      73,733     10,725   10,725                                            10,725
VAN KAMPEN SENIOR INCOME TR     COM    920961109     299,487     31,525   31,525                                            31,525
VAN KAMPEN CALIF VALUE MUN INC  COM    92112B107          16          1        1                                                 1
VAN KEMPEN ADVANTAGE MUN II     SH BEN 92112K107      16,169      1,300    1,300                                             1,300
VAN KAMPEN N Y VALUE MUN INCOM  COM    92112Q104         106          7        7                                                 7
VAN KAMPEN N J VALUE MUN INCOM  COM SH 92112S100          23          1        1                                                 1
VAN KAMPEN ADVANTAGE MUN INCOM  SH BEN 921124103     107,623      7,296    7,296                                             7,296
VAN KAMPEN VALUE MUN INCOME TR  COM    921132106       8,263        601      601                                               601
VANTIVE CORP                    COM    922091103     363,724     31,800   31,800                                            31,800
VANTIVE CORP                    COM    922091103      78,918      6,900             6,900            03                      6,900
VARI-L CO INC                   COM    922150107     119,882     14,000   14,000                                            14,000
VARIFLEX INC                    COM    922242102       2,500        500      500                                               500
VASOMEDICAL INC                 COM    922321104      16,560     10,000   10,000                                            10,000
VEBA AG                         SPONSO 92239H102     138,643      2,340    2,340                                             2,340
VEECO INSTRS INC DEL            COM    922417100      17,102        503      503                                               503
VENTAS INC                      COM    92276F100      10,750      2,000    2,000                                             2,000
VERITY INC                      COM    92343C106     189,658      3,500    3,500                                             3,500
VERISIGN INC                    COM    92343E102   7,508,925     87,060   87,060                     04            87,060
VERITAS DGC INC                 COM    92343P107     173,967      9,500    9,500                                             9,500
VERITAS DGC INC                 COM    92343P107      56,765      3,100             3,100            03                      3,100
VERILINK CORP                   COM    923432108       2,159        735      735                                               735
VERIO INC                       COM    923433106     379,321      5,458    5,458                                             5,458
VERITAS SOFTWARE CO             COM    923436109       2,753         29       29                                                29
VERITAS SOFTWARE CO             COM    923436109       6,930         73                73            03                         73
VERMONT TEDDY BEAR INC          COM    92427X109       7,626      2,000    2,000                                             2,000
VESTCOM INTL INC                COM    924904105      10,419      2,977    2,977                                             2,977
VETERINARY CTRS AMER INC        COM    925514101      33,497      2,470    2,470                                             2,470
VIASAT INC                      COM    92552V100      22,295      1,462    1,462                                             1,462
VIACOM INC                      CL A   925524100     632,399     14,332   14,332                                            14,332
VIACOM INC                      WT EXP 925524134       1,331         72       72                                                72
VIACOM INC                      CL B   925524308   1,013,672     23,038   23,038                                            23,038
VIACOM INC                      CL B   925524308   1,116,720     25,380            25,380            03                     25,380
VIATEL INC                      COM    925529208      28,398        506      506                                               506
VIATEL INC                      COM    925529208     599,976     10,690   10,690                     07            10,690
VICAL INC                       COM    925602104      36,375      3,000    3,000                                             3,000
VIDEO UPDATE INC                WT B E 92657V120           7      7,200    7,200                                             7,200
VIDEOSERVER INC                 COM    926918103      22,666      2,386    2,386                                             2,386
VINTAGE PETE INC                COM    927460105   1,451,250    135,000  135,000                     01           135,000
VINTAGE PETE INC                COM    927460105      53,750      5,000    5,000                     02      500    4,500
VIRAGEN EUROPE LTD              COM PA 927637207           6         17       17                                                17
VISIO CORP                      COM    927914101       7,612        200      200                                               200
VISIO CORP                      COM    927914101       9,706        255               255            03                        255
                                 PAGE TOTAL       14,757,120
PAGE:    65     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

VISHAY INTERTECHNOLOGY INC      COM    928298108      95,088      4,528    4,528                                             4,528
VISHAY INTERTECHNOLOGY INC      COM    928298108      18,333        873               873            03                        873
VISX INC DEL                    COM    92844S105       4,829         61       61                                                61
VISX INC DEL                    COM    92844S105     395,938      5,000    5,000                     02      500    4,500
VISX INC DEL                    COM    92844S105       7,918        100               100            03                        100
VITESSE SEMICONDUCTOR CORP      COM    928497106   3,259,681     48,337   48,337                                            48,337
VITESSE SEMICONDUCTOR CORP      COM    928497106      15,306        227               227            03                        227
VITRO SOCIEDAD ANONIMA          SPONSO 928502301   1,558,056    304,011  304,011                                           304,011
VIVUS INC                       COM    928551100       9,975      3,800    3,800                                             3,800
VLASIC FOODS INTL INC           COM    928559103       1,227        168      168                                               168
VODAFONE GROUP PLC              SPONSO 92857T107 237,308,367  1,204,611 1204,611                                          1204,611
VODAFONE GROUP PLC              SPONSO 92857T107     583,317      2,961             2,961            03                      2,961
VOLT INFORMATION SCIENCES INC   COM    928703107   1,558,586     68,135   68,135                                            68,135
VOLVO AKTIEBOLAGET              ADR B  928856400     154,216      5,250    5,250                                             5,250
VORNADO RLTY TR                 SH BEN 929042109     176,587      5,001    5,001                                             5,001
VORNADO RLTY TR                 SH BEN 929042109   7,160,276    202,766  202,766                     04           202,766
WEBS INDEX FD INC               AUSTRA 92923H103       7,048        630      630                                               630
WEBS INDEX FD INC               BELGIU 92923H301       2,137        120      120                                               120
WEBS INDEX FD INC               FRANCE 92923H509      18,787        835      835                                               835
WEBS INDEX FD INC               GERMAN 92923H608      18,649        855      855                                               855
WEBS INDEX FD INC               HONG K 92923H707      13,390      1,040    1,040                                             1,040
WEBS INDEX FD INC               UNITED 92923H798      55,415      2,570    2,570                                             2,570
WEBS INDEX FD INC               ITLALY 92923H806      13,508        550      550                                               550
WEBS INDEX FD INC               SWITZR 92923H814      19,449      1,230    1,230                                             1,230
WEBS INDEX FD INC               SWEDEN 92923H822      17,100        760      760                                               760
WEBS INDEX FD INC               SPAIN  92923H830      18,076        650      650                                               650
WEBS INDEX FD INC               SINGAP 92923H848      10,263      1,190    1,190                                             1,190
WEBS INDEX FD INC               NETHER 92923H855       6,699        270      270                                               270
WEBS INDEX FD INC               MALAYS 92923H871       9,968      1,450    1,450                                             1,450
WEBS INDEX FD INC               JAPAN  92923H889   1,297,687    103,815  103,815                                           103,815
WD-40 CO                        COM    929236107      17,500        700      700                                               700
WHX CORP                        PFD CV 929248300      80,312      2,500    2,500                                             2,500
WMS INDS INC                    COM    929297109     490,603     28,859   28,859                                            28,859
WPP GROUP PLC                   SPNSRD 929309300     469,906      5,480    5,480                                             5,480
WPP GROUP PLC                   SPNSRD 929309300      58,736        685               685            03                        685
WACHOVIA CORP                   COM    929771103     147,595      1,725    1,725                                             1,725
WACHOVIA CORP                   COM    929771103     402,718      4,707             4,707            03                      4,707
WACKENHUT CORRECTIONS CORP      COM    929798106      40,615      2,050    2,050                                             2,050
WACKENHUT CORRECTIONS CORP      COM    929798106       2,178        110               110            03                        110
WAL MART STORES INC             COM    931142103  12,455,003    258,137  258,137                                           258,137
WAL MART STORES INC             COM    931142103   2,581,565     53,507            53,507            03                     53,507
WALDEN RESIDENTIAL PPTYS INC    COM    931210108      17,200        800      800                                               800
WALGREEN CO                     COM    931422109   3,247,329    110,549  110,549                                           110,549
WALGREEN CO                     COM    931422109   1,304,555     44,413            44,413            03                     44,413
WALLACE COMPUTER SERVICES INC   COM    932270101      84,875      3,395    3,395                                             3,395
WALLACE COMPUTER SERVICES INC   COM    932270101     225,000      9,000             9,000            03                      9,000
WANG LABS INC NEW               COM    93369N109           0        223      223                                               223
WARNACO GROUP INC               CL A   934390105     564,811     21,115   21,115                                            21,115
WARNACO GROUP INC               CL A   934390105     178,762      6,683             6,683            03                      6,683
WARNER CHILCOTT PLC             SPONSO 934435207     398,753     49,079   49,079                                            49,079
WARNER LAMBERT CO               COM    934488107   6,765,607     97,524   97,524                                            97,524
WARNER LAMBERT CO               COM    934488107     518,438      7,500    7,500                     02    1,000    6,500
                                 PAGE TOTAL      283,867,937
PAGE:    66     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

WARNER LAMBERT CO               COM    934488107   1,251,158     18,036            18,036            03                     18,036
WARWICK CMNTY BANCORP INC       COM    936559103      15,426      1,210             1,210            03                      1,210
WASHINGTON FED INC              COM    938824109     449,323     20,026            20,026            03                     20,026
WASHINGTON MUT INC              COM    939322103  16,547,305    467,792  467,792                                           467,792
WASHINGTON MUT INC              COM    939322103   1,606,689     45,422            45,422            03                     45,422
WASHINGTON POST CO              CL B   939640108   2,582,052      4,802    4,802                                             4,802
WASHINGTON POST CO              CL B   939640108       8,064         15                15            03                         15
WASHINGTON REAL ESTATE INVT TR  SH BEN 939653101      21,172      1,250    1,250                                             1,250
WASTE CONNECTIONS INC           COM    941053100      48,800      1,600    1,600                                             1,600
WASTE INDUSTRIES INC            COM    941058109     134,063      7,500    7,500                     02    2,500    5,000
WASTE MGMT INC DEL              SUB NT 94106LAA7   1,318,250  1,000,000 1000,000                                          1000,000
WASTE MGMT INC DEL              COM    94106L109     955,292     17,773   17,773                                            17,773
WASTE MGMT INC DEL              COM    94106L109   1,148,033     21,360            21,360            03                     21,360
WATERS CORP                     COM    941848103   1,950,371     36,715   36,715                                            36,715
WATERS CORP                     COM    941848103       4,250         80                80            03                         80
WATKINS JOHNSON CO              COM    942486101      20,650        700      700                                               700
WATSON PHARMACEUTICALS INC      COM    942683103   2,564,932     73,156   73,156                                            73,156
WATSON PHARMACEUTICALS INC      COM    942683103       1,051         30                30            03                         30
WEGENER CORP                    COM    948585104      44,712     27,000   27,000                                            27,000
WEINGARTEN RLTY INVS            SH BEN 948741103     158,650      3,800    3,800                                             3,800
WEINGARTEN RLTY INVS            SH BEN 948741103      24,632        590               590            03                        590
WEIS MKTS INC                   COM    948849104      19,562        500      500                                               500
WELLPOINT HEALTH NETWORK NEW    COM    94973H108   1,959,072     23,084   23,084                                            23,084
WELLPOINT HEALTH NETWORK NEW    COM    94973H108     760,511      8,961             8,961            03                      8,961
WELLSFORD REAL PPTYS INC        COM    950240101      24,344      2,265    2,265                                             2,265
WENDYS FING I                   COM    950588202     160,325      2,650    2,650                                             2,650
WENDYS INTL INC                 COM    950590109   2,439,253     86,160   86,160                                            86,160
WENDYS INTL INC                 COM    950590109     122,864      4,340             4,340            03                      4,340
WERNER ENTERPRISES INC          COM    950755108       1,452         70                70            03                         70
WESCAST INDS INC                CL A S 950813105         382         13       13                                                13
WESTAMERICA BANCORPORATION      COM    957090103      38,215      1,047    1,047                                             1,047
WESTAMERICA BANCORPORATION      COM    957090103       3,285         90                90            03                         90
WESTCOAST ENERGY INC            COM    95751D102     108,031      5,470    5,470                                             5,470
WESTELL TECHNOLOGIES INC        CL A   957541105      94,081     13,500   13,500                                            13,500
WESTERN BANCORP                 COM    957683105     330,600      7,600    7,600                                             7,600
WESTERN BANCORP                 COM    957683105     348,000     80,000   80,000                     08            80,000
WESTERN DIGITAL CORP            SD CV  958102AF2      14,136     75,000   75,000                                            75,000
WESTERN DIGITAL CORP            COM    958102105     396,272     60,965   60,965                                            60,965
WESTERN GAS RES INC             COM    958259103     715,200     44,700   44,700                     02    8,300   36,400
WESTERN GAS RES INC             PFD CO 958259301      96,750      3,000    3,000                                             3,000
WESTERNBANK PUERTO RICO         COM    959897109       2,612        200      200                                               200
WESTPAC BKG CORP                SPONSO 961214301     216,263      6,480    6,480                                             6,480
WESTPAC BKG CORP                SPONSO 961214301      27,031        810               810            03                        810
WEYERHAEUSER CO                 COM    962166104      96,250      1,400    1,400                                             1,400
WEYERHAEUSER CO                 COM    962166104      30,936        450               450            03                        450
WHIRLPOOL CORP                  COM    963320106     265,660      3,590    3,590                                             3,590
WHITE PINE SOFTWARE INC         COM    964347108         109         25       25                                                25
WHITTMAN-HART INC               COM    966834103     310,705      9,786    9,786                                             9,786
WHITTMAN-HART INC               COM    966834103     107,950      3,400             3,400            03                      3,400
WHOLE FOODS MKT INC             COM    966837106     374,148      7,785    7,785                                             7,785
WILD OATS MARKETS INC           COM    96808B107      19,722        650      650                                               650
WILD OATS MARKETS INC           COM    96808B107       1,517         50                50            03                         50
                                 PAGE TOTAL       39,940,113
PAGE:    67     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

WILEY JOHN & SONS INC           CL A   968223206     236,175     13,400   13,400                                            13,400
WILEY JOHN & SONS INC           CL A   968223206      66,975      3,800             3,800            03                      3,800
WILLIAMS COS INC DEL            COM    969457100   6,399,938    150,371  150,371                                           150,371
WILLIAMS COS INC DEL            COM    969457100     132,150      3,105             3,105            03                      3,105
WILLIAMS COS INC DEL            COM    969457100     408,094      9,588    9,588                     07             9,588
WILLIAMS SONOMA INC             COM    969904101       4,350        125               125            03                        125
WILLIS LEASE FINANCE CORP       COM    970646105         489         30       30                                                30
WILMAR INDS INC                 COM    971426101      55,900      4,300             4,300            03                      4,300
WILMINGTON TRUST CORP           COM    971807102      50,487        880      880                                               880
WIND RIVER SYSTEMS INC          COM    973149107      56,219      3,500    3,500                                             3,500
WINDMERE-DURABLE HLDGS INC      COM    973411101   2,531,250    150,000  150,000                                           150,000
WINFIELD CAP CORP               COM    973859101     322,000     14,000   14,000                                            14,000
WINSTAR COMMUNICATIONS INC      COM    975515107   2,211,127     45,360   45,360                                            45,360
WINSTAR COMMUNICATIONS INC      COM    975515107      16,572        340               340            03                        340
WINSTAR COMMUNICATIONS INC      COM    975515107     591,581     12,135   12,135                     07            12,135
WITCO CORP                      COM    977385103      40,000      2,000    2,000                                             2,000
WITCO CORP                      COM    977385103     231,075     11,700   11,700                     02    1,900    9,800
WOODHEAD INDS INC               COM    979438108      11,025        900      900                                               900
WORLD ACCESS INC                COM    98141A101      28,573      2,023    2,023                                             2,023
WORLD ACCESS INC                COM    98141A101   1,765,625    125,000  125,000                     01           125,000
WORLD ACCESS INC                COM    98141A101     247,188     17,500   17,500                     02    2,400   15,100
WORLD ACCEP CORP DEL            COM    981419104     255,057     50,700            50,700            03                     50,700
WORLD COLOR PRESS INC DEL       COM    981443104   1,054,212     38,335   38,335                                            38,335
WORLD FUEL SVCS CORP            COM    981475106      97,718      6,625    6,625                                             6,625
WRIGLEY WM JR CO                COM    982526105      59,400        660      660                                               660
WRIGLEY WM JR CO                COM    982526105     129,600      1,440             1,440            03                      1,440
XCL LTD DEL                     COM    983701103         612        700      700                                               700
XILINX INC                      COM    983919101   3,717,358     64,933   64,933                                            64,933
XILINX INC                      COM    983919101      32,059        560               560            03                        560
XILINX INC                      COM    983919101   2,621,592     45,792   45,792                     07            45,792
XIRCOM INC                      COM    983922105     364,209     12,115   12,115                                            12,115
XEROX CORP                      COM    984121103  28,884,060    489,055  489,055                                           489,055
XEROX CORP                      COM    984121103   1,191,354     20,172            20,172            03                     20,172
YPF SOCIEDAD ANONIMA            SPON A 984245100       3,800        100               100            03                        100
YAHOO INC                       COM    984332106   3,030,167     17,592   17,592                                            17,592
YAHOO INC                       COM    984332106   1,117,829      6,490             6,490            03                      6,490
YAHOO INC                       COM    984332106   3,592,102     20,854   20,854                     04            20,854
YAHOO INC                       COM    984332106   2,349,318     13,639   13,639                     07            13,639
YANKEE ENERGY SYS INC           COM    984779108      20,161        508      508                                               508
YIELDUP INTL CORP               WT EXP 985837129           0      2,000    2,000                                             2,000
YORK INTL CORP NEW              COM    986670107      23,546        550      550                                               550
YOUNG BROADCASTING INC          CL A   987434107     440,522     10,350   10,350                     02    1,950    8,400
ZALE CORP NEW                   COM    988858106       1,800         45       45                                                45
ZALE CORP NEW                   COM    988858106       4,800        120               120            03                        120
ZEBRA TECHNOLOGIES CORP         CL A   989207105      15,375        400      400                                               400
ZEBRA TECHNOLOGIES CORP         CL A   989207105     211,308      5,498             5,498            03                      5,498
ZIFF-DAVIS INC                  COM    989511100      63,295      4,100    4,100                                             4,100
ZIFF-DAVIS INC                  COM    989511100     177,694     11,700   11,700                     02    3,800    7,900
ZIONS BANCORPORATION            COM    989701107     271,589      4,277    4,277                                             4,277
ZORAN CORP                      COM    98975F101   1,135,973     67,821   67,821                                            67,821
ZORAN CORP                      COM    98975F101     209,375     12,500   12,500                     02    1,400   11,100
ZONAGEN INC                     COM    98975L108       8,324        900      900                                               900
                                 PAGE TOTAL       66,491,002
PAGE:    68     FORM 13F   NAME OF REPORTING MANAGER:   CIBC WORLD MARKETS CORP.                             DATE 06/30/99
(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)
______________                  _____  ________       ______  _________      ___      ___      ___ _______   ___      ___      ___

ZOLTEK COS INC                  COM    98975W104      34,925      4,400    4,400                                             4,400
ZWEIG FD                        COM    989834106     506,187     45,500   45,500                                            45,500
ZWEIG TOTAL RETURN FD INC       COM    989837109      93,150     11,039   11,039                                            11,039
                                 PAGE TOTAL          634,262
                                GRAND TOTAL    5,931,204,156
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