PERIGEE INVESTMENT COUNSEL INC
13F-HR, 1999-07-06
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United States
Securities and Exchange Commission
Washington, D.C.  20549

         FORM 13F

    FORM 13F COVER PAGE

Report for the Calendar Year of Quarter Ended:  March 31, 1999

Check here if Amendment [   ]  Amendment Number:
This Amendment (check only one.) :   [    ]  is a restatement
                                     [    ]  adds new holdings entries

Institutional Investment Manager filing this report:

Name:        PERIGEE INVESTMENT COUNSEL INC.
Address:     320 Bay Street, 14th FL
             TORONTO  ON      M5H 4A6

13F File Number:  28- 7412

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:                      Alex Wilson
Title:                     CEO
Phone:                     (416) 594-2950

Signature, Place, Date of Signing:
Alex Wilson                Toronto,  Ontario  May 15, 1999


Report Type (check only one.) :

[  x ]   13F HOLDINGS REPORT
[    ]   13F NOTICE.
[    ]   13F COMBINATION REPORT.
<PAGE>
<TABLE>
                   <C>                                        <C>
FORM 13F
INFORMATION TABLE
March 31, 1999
                                              ITEM 4      SHARES   ITEM 6                          ITEM 8
                                                 FAIR           OR INVESTMENT DESCRETION           VOTING AUTHORITY
ITEM 1                      ITEM 2     ITEM 3  MKT VALUE  PRINCIPAL  (A)     (B)  (C) SHAREDITEM 7   (A)   (B)  (C) SHARED
ISSUER                       CLASS     SEC ID  in (000s)    AMOUNT   SOLE  SHARED   OTHER    MGRS   SOLE  SHARED  OTHER
ATI TECHNOLOGIES               COM  001941103  $34,684,7072,256,3002,256,30      0         0       2,256,3     0         0
ABBOTT LABS                    COM  002824100   $3,478,206   74,300  74,300      0         0        74,300     0         0
ABITIBI-CONSOLIDATED INC       COM  003924107   $2,912,992  325,651 325,651      0         0       325,651     0         0
ALBERTA ENERGY CO              COM  012873105   $5,995,826  243,250 243,250      0         0       243,250     0         0
ALCAN ALUMINIUM LTD            COM  013716105  $62,059,0912,410,8002,410,80      0         0       2,410,8     0         0
ALLSTATE CORP                  COM  020002101  $10,892,816  293,900 293,900      0         0       293,900     0         0
AMERICAN HOME PRODS CORP       COM  026609107  $20,344,950  311,800 311,800      0         0       311,800     0         0
AMERICAN INT'L GROUP           COM  026874107   $4,517,406   37,450  37,450      0         0        37,450     0         0
AMERITECH CORP                 COM  030954101   $1,967,750   34,000  34,000      0         0        34,000     0         0
B C E INC                      COM  05534B109  $95,745,3832,164,7782,164,77      0         0       2,164,7     0         0
BANK OF MONTREAL               COM  063671101 $119,616,1162,981,4142,981,41      0         0       2,981,4     0         0
BANK ONE CORPORATION           COM  06423a103   $3,287,261   59,700  59,700      0         0        59,700     0         0
BANK OF AMERICA                COM  06605f102   $4,032,688   57,100  57,100      0         0        57,100     0         0
BARRICK GOLD CORP COM          COM  067901108  $84,390,8904,936,5404,936,54      0         0       4,936,5     0         0
BRISTOL-MYERS SQUIBB COM       COM  110122108   $6,534,201  101,600 101,600      0         0       101,600     0         0
CALL-NET B                 CL B NON 130910201  $19,081,4542,198,3002,198,30      0         0       2,198,3     0         0
CAMECO CORP                    COM  13321L108  $35,736,1781,644,3001,644,30      0         0       1,644,3     0         0
CANADIAN PACIFIC LTD COM       COM  135923100  $15,972,470  825,536 825,536      0         0       825,536     0         0
CANADIAN IMPERIAL BK COMMER    COM  136069101  $50,491,0611,974,1221,974,12      0         0       1,974,1     0         0
CANADIAN NATIONAL RAILWAY C    COM  136375102  $54,303,903  974,500 974,500      0         0       974,500     0         0
CHASE MANHATTAN CORP       NEW COM  16161A108   $2,244,239   27,600  27,600      0         0        27,600     0         0
CISCO SYSTEMS INC              COM  17275R102   $7,266,733   66,325  66,325      0         0        66,325     0         0
CITIGROUP INC                  COM  172967101   $5,863,725   91,800  91,800      0         0        91,800     0         0
COCA COLA CO                   COM  191216100   $4,148,950   67,600  67,600      0         0        67,600     0         0
COMPAQ COMPUTER CORP           COM  204493100  $10,121,116  319,399 319,399      0         0       319,399     0         0
COMPUTER ASSOCIATES INTL IN    COM  204912109   $1,440,302   40,500  40,500      0         0        40,500     0         0
CONSECO INC.                   COM  208464107   $8,277,588  268,100 268,100      0         0       268,100     0         0
COOPER INDUSTRIES INC          COM  216669101   $2,463,725   57,800  57,800      0         0        57,800     0         0
COUNSEL CORP COM               COM  22226R102     $539,753   82,700  82,700      0         0        82,700     0         0
DELL COMPUTER                  COM  247025109   $3,327,225   81,400  81,400      0         0        81,400     0         0
DESCARTES SYSTEMS GROUP        COM  249906108   $2,022,500  161,800 161,800      0         0       161,800     0         0
DOMTAR INC                     COM  257561100  $27,682,6333,815,4003,815,40      0         0       3,815,4     0         0
EMC CORP (MASS)                COM  268648102   $2,286,725   17,900  17,900      0         0        17,900     0         0
EASTMAN KODAK CO               COM  277461109   $1,577,713   24,700  24,700      0         0        24,700     0         0
EDPERBRASCAN CORP CL A     CL A LTD 280905803  $23,821,9922,008,5002,008,50      0         0       2,008,5     0         0
ELECTRONIC DATA SYSTEMS COR    COM  285661104  $11,344,304  233,000 233,000      0         0       233,000     0         0
EMERSON ELECTRIC COM           COM  291011104     $277,395    5,240   5,240      0         0         5,240     0         0
ENBRIDGE INC                   COM  29250n105  $27,129,619  612,476 612,476      0         0       612,476     0         0
ENBRIDGE INC                        29250n105  $40,944,021  612,476 612,476      0         0       612,476     0         0
EXTENDICARE INC CL A SUB-VOSUB-VTG  30224T871      $33,634   12,000  12,000      0         0        12,000     0         0
EXXON CORP                     COM  302290101   $4,163,217   59,000  59,000      0         0        59,000     0         0
FEDERAL NATIONAL MTGE ASSOC    COM  313586109  $11,260,050  162,600 162,600      0         0       162,600     0         0
FIRST DATA CORP                COM  319963104  $10,978,200  256,800 256,800      0         0       256,800     0         0
FOUR SEASONS HOTELS INC SUBLTD VTG  35100E104     $712,415   16,972  16,972      0         0        16,972     0         0
GENERAL CABLE                  COM  369300108     $285,201   27,000  27,000      0         0        27,000     0         0
GENERAL ELECTRIC CO            COM  369604103  $35,021,441  316,578 316,578      0         0       316,578     0         0
GENERAL INSTRUMENT CORP        COM  370120107   $7,363,028  242,900 242,900      0         0       242,900     0         0
GENERAL MOTORS CORP            COM  370442105  $13,387,438  154,100 154,100      0         0       154,100     0         0
GENERAL NUTRITION CO           COM  37047F103   $2,199,400  157,100 157,100      0         0       157,100     0         0
CGI GROUP INC.             CL A SUB 39945c109  $46,443,9842,150,1002,150,10      0         0       2,150,1     0         0
CGI GROUP INC.                      39945c109  $70,093,2602,150,1002,150,10      0         0       2,150,1     0         0
HARSCO CORP                    COM  415864107   $1,722,859   68,400  68,400      0         0        68,400     0         0
HEALTHSOUTH CORP               COM  421924101   $7,838,313  755,500 755,500      0         0       755,500     0         0
HOME DEPOT INC                 COM  437076102   $4,170,750   67,000  67,000      0         0        67,000     0         0
INCO LTD                       COM  453258402      $13,385    1,000   1,000      0         0         1,000     0         0
INTEGRATED HEALTH SERVICES     COM  45812C106   $2,710,950  492,900 492,900      0         0       492,900     0         0
INTEL CORP                     COM  458140100   $6,728,325   56,600  56,600      0         0        56,600     0         0
INTERNATIONAL BUSINESS MACH    COM  459200101   $6,443,038   36,350  36,350      0         0        36,350     0         0
IPSCO INC                      COM  462622101      $80,821    4,100   4,100      0         0         4,100     0         0
JOHNSON & JOHNSON              COM  478160104   $4,393,967   46,900  46,900      0         0        46,900     0         0
KIMBERLY CLARK CORP            COM  494368103     $167,783    3,500   3,500      0         0         3,500     0         0
LAIDLAW INC COMM               COM  50730K503  $17,825,6563,057,1003,057,10      0         0       3,057,1     0         0
LEGGETT & PLATT INC.           COM  524660107   $1,382,000   69,100  69,100      0         0        69,100     0         0
LILLY ELI & CO                 COM  532457108   $2,996,088   35,300  35,300      0         0        35,300     0         0
LUCENT TECHNOLOGY              COM  549463107   $4,611,700   42,800  42,800      0         0        42,800     0         0
MCI WORLDCOM INC               COM  55268B106   $5,260,613   59,400  59,400      0         0        59,400     0         0
MACKENZIE FINANCIAL CORP       COM  554531103      $61,158    5,200   5,200      0         0         5,200     0         0
MAGNA INTERNATIONAL CL A    CL A    559222401  $78,273,3591,357,8181,357,81      0         0       1,357,8     0         0
MCDONALDS CORP                 COM  580135101   $2,007,366   44,300  44,300      0         0        44,300     0         0
MEDIAONE GROUP INC             COM  58440J104   $2,374,900   37,400  37,400      0         0        37,400     0         0
MEDTRONIC INC                  COM  585055106   $1,994,650   27,800  27,800      0         0        27,800     0         0
MERCK & CO INC                 COM  589331107  $14,056,781  175,300 175,300      0         0       175,300     0         0
MICROSOFT CORP                 COM  594918104  $21,805,763  243,300 243,300      0         0       243,300     0         0
MITEL CORP                     COM  606711109     $510,734   75,200  75,200      0         0        75,200     0         0
MOORE CORP LTD                 COM  615785102       $6,981      700     700      0         0           700     0         0
MOTOROLA INC                   COM  620076109   $1,472,325   20,100  20,100      0         0        20,100     0         0
NORTHERN TELECOM LTD           COM  665815106 $150,334,7262,413,6722,413,67      0         0       2,413,6     0         0
OPEN TEXT CORP                 COM  683715106  $11,632,653  369,600 369,600      0         0       369,600     0         0
PEPSICO INC                    COM  713448108  $16,529,498  421,800 421,800      0         0       421,800     0         0
PETRO CANADA COM           COM/VARI 71644E102  $39,896,1103,411,4003,411,40      0         0       3,411,4     0         0
PETROMET RESOURCES COM         COM  716731104   $1,292,075  600,000 600,000      0         0       600,000     0         0
PFIZER INC COM                 COM  717081103   $5,910,750   42,600  42,600      0         0        42,600     0         0
PHILIP MORRIS COMPANIES        COM  718154107  $12,440,717  353,550 353,550      0         0       353,550     0         0
POTASH CORP OF SASKATCHEWAN    COM  73755L107   $3,988,040   75,000  75,000      0         0        75,000     0         0
PRECISION DRILLING COM         COM  74022D100  $17,643,9921,365,5551,365,55      0         0       1,365,5     0         0
PREMDOR INC COM                COM  74046P105  $14,281,0501,632,8001,632,80      0         0       1,632,8     0         0
PROCTER & GAMBLE CO            COM  742718109  $16,287,089  166,300 166,300      0         0       166,300     0         0
PUTNAM PREMIER INCOME TRUSTSH BEN I 746853100     $110,951   14,551  14,551      0         0        14,551     0         0
REPSOL SA                  SPONSORE 76026T205   $2,982,750   58,200  58,200      0         0        58,200     0         0
RIO ALGOM LTD                  COM  766889109   $2,958,654  279,075 279,075      0         0       279,075     0         0
ROYAL BANK OF CANADA           COM  780087102 $111,471,1442,377,8412,377,84      0         0       2,377,8     0         0
ROYAL DUTCH PETE CO NY REG NY REG G 780257804   $3,255,200   62,600  62,600      0         0        62,600     0         0
SBC COMMUNICATIONS COM         COM  78387G103   $2,940,600   62,400  62,400      0         0        62,400     0         0
SCHERING-PLOUGH CORP           COM  806605101   $2,599,711   47,000  47,000      0         0        47,000     0         0
SCHLUMBERGER LTD               COM  806857108   $1,095,422   18,200  18,200      0         0        18,200     0         0
SIERRA HEALTH SERVICES         COM  826322109     $122,200    9,400   9,400      0         0         9,400     0         0
SIMON PPTY GROUP INC COM       COM  828806109     $878,839   32,030  32,030      0         0        32,030     0         0
SMED INTERNATIONAL INC         COM  83169D104     $811,417  176,200 176,200      0         0       176,200     0         0
SUNCOR ENERGY INC COM          COM  867229106  $40,016,2341,190,0001,190,00      0         0       1,190,0     0         0
TALISMAN ENERGY INC COM        COM  87425E103  $22,240,9221,024,9161,024,91      0         0       1,024,9     0         0
TELEGLOBE INC                  COM  87941V100  $81,806,1362,689,8002,689,80      0         0       2,689,8     0         0
TENNECO INC COM NEW            COM  88037E101      $93,673    3,353   3,353      0         0         3,353     0         0
TESMA INTERNATIONAL INC-CL CL A SUB 881908107   $2,027,173  155,300 155,300      0         0       155,300     0         0
TIME WARNER INC                COM  887315109   $2,814,095   39,600  39,600      0         0        39,600     0         0
TORONTO DOMINION BANK      COM NEW  891160509 $136,259,4132,976,0162,976,01      0         0       2,976,0     0         0
TRANSCANADA PIPELINES LTD      COM  893526103  $30,119,9742,361,4062,361,40      0         0       2,361,4     0         0
UNICAPITAL CORP                COM  90459D108   $2,290,538  359,300 359,300      0         0       359,300     0         0
UNILEVER NV                NEW YORK 904784501   $1,268,966   19,100  19,100      0         0        19,100     0         0
UNITED DOMINION INDS LTD       COM  909914103   $6,844,984  345,500 345,500      0         0       345,500     0         0
UNITED RENTALS INC             COM  911363109     $698,250   24,500  24,500      0         0        24,500     0         0
WALMART STORES INC             COM  931142103   $8,011,137   86,900  86,900      0         0        86,900     0         0
WARNER LAMBERT CO              COM  934488107   $1,535,562   23,200  23,200      0         0        23,200     0         0
WASTE MANAGEMENT INC           COM  94106L109  $11,612,982  261,701 261,701      0         0       261,701     0         0
WELLS FARGO COMPANY            COM  949746101   $3,046,975   86,900  86,900      0         0        86,900     0         0
WESTCOAST ENERGY INC.          COM  95751D102   $1,931,884   98,500  98,500      0         0        98,500     0         0
XEROX CORP COM CUM RTS         COM  984121103   $1,894,813   35,500  35,500      0         0        35,500     0         0
                                                $1,535,562
</TABLE>
United States
Securities and Exchange Commission
Washington, D.C.  20549

FORM 13F

   FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      0

Form 13F Information Table Entry To    116

Form 13F Information Table Value To$1,525,562

List of Other Included Managers:      NONE



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