PERIGEE INVESTMENT COUNSEL INC
13F-HR, 1999-09-27
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C.  20549

FORM 13 F

FORM 13F COVER PAGE

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       September 24, 1999


Report Type (check only one.) :

[  x ] 13F HOLDINGS REPORT
<PAGE>
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 T           193
Form 13F Information Table Value T   $76,343,758
                                      thousands

List of Other Included Managers:           NONE
<PAGE>
<TABLE>                                     <C>                              <C>
FORM 13F
INFORMATION TABLE
June 30, 1999
                                                           ITEM 4  SHARES   ITEM 6                 ITEM 8
                                                           FAIR         OR INVESTMENT DESCRETION   VOTING AUTHORITY
ITEM 1                                   ITEM 2   ITEM 3 MKT VALUEPRINCIPAL  (A)     (B)  (C) ITEM (A)     (B)   (C) SHARED
ISSUER                                    CLASS   SEC ID in (000s)  AMOUNT   SOLE  SHARED OTHEMGRS SOLE    SHAREDOTHER
ABITIBI-CONSOLIDATED INC                    COM 003924107   $8,158   482751 482,751      0   0      482,7510     0
ALBERTA ENERGY CO                           COM 012873105  $47,903  10127551,012,75      0   0     1,012,750     0
ALCAN ALUMINIUM LTD                         COM 013716105 $119,208  25499002,549,90      0   0     2,549,900     0
ATI TECHNOLOGIES                            COM 001941103  $50,312  21095002,109,50      0   0     2,109,500     0
B C E INC                                   COM 05534B109 $324,323  45201784,520,17      0   0     4,520,170     0
BANK OF MONTREAL                            COM 063671101 $166,054  31038143,103,81      0   0     3,103,810     0
BARRICK GOLD CORP                           COM 067901108 $146,974  51751405,175,14      0   0     5,175,140     0
BIOVAIL CORP INTL                           COM 09067K106  $44,499   597300 597,300      0   0      597,3000     0
CAMECO CORP                                 COM 13321L108  $47,629  15414001,541,40      0   0     1,541,400     0
CANADIAN IMPERIAL BK COMMERCE               COM 136069101  $73,829  21034042,103,40      0   0     2,103,400     0
CANADIAN NATIONAL RAILWAY CO                COM 136375102 $107,415  10861001,086,10      0   0     1,086,100     0
CANADIAN PACIFIC LTD                        COM 135923100  $30,174   862116 862,116      0   0      862,1160     0
CELESTICA INC.                              COM 15101Q108  $36,424   571800 571,800      0   0      571,8000     0
CGI GROUP INC.                     CL A SUB VTG 39945c109  $70,665  22795002,279,50      0   0     2,279,500     0
CINRAM INTL INC                             COM 17252T105   $2,498   174700 174,700      0   0      174,7000     0
COMINCO LTD                                 COM 200435105   $8,541   343000 343,000      0   0      343,0000     0
COUNSEL CORP                                COM 22226R102     $626    66200  66,200      0   0       66,2000     0
DOMTAR INC                                  COM 257561100  $64,757  46588004,658,80      0   0     4,658,800     0
EDPERBRASCAN CORP                 CL A LTD VTG S280905803  $47,776  21281002,128,10      0   0     2,128,100     0
ENBRIDGE INC                                COM 29250n105  $21,150   626658 626,658      0   0      626,6580     0
FANTOM TCHNLGYS INC                         COM 306906108   $4,294   214700 214,700      0   0      214,7000     0
FOUR SEASONS HOTELS INC              LTD VTG SH 35100E104   $1,048    16295  16,295      0   0       16,2950     0
IMPERIAL OIL LTD                            COM 453038408  $97,076  34670003,467,00      0   0     3,467,000     0
INCO LTD                                    COM 453258402  $14,326   544700 544,700      0   0      544,7000     0
IPSCO INC                                   COM 462622101     $288     9200   9,200      0   0        9,2000     0
LAIDLAW INC                                 COM 50730K503   $3,332   311400 311,400      0   0      311,4000     0
MACMILLAN BLOEDEL LTD                       COM 554783209  $60,789  23070002,307,00      0   0     2,307,000     0
MAGNA INTERNATIONAL                      CL A   559222401 $122,084  14647181,464,71      0   0     1,464,710     0
MITEL CORP                                  COM 606711109     $689    70300  70,300      0   0       70,3000     0
NORTEL NETWORKS CORP                        COM 656569100 $312,495  24644722,464,47      0   0     2,464,470     0
NOVA CHEMICALS CORP                         COM 66977W109   $3,031    87868  87,868      0   0       87,8680     0
OPEN TEXT CORP                              COM 683715106  $16,643   382600 382,600      0   0      382,6000     0
PETRO CANADA                      COM/VARIBL VTG71644E102  $48,811  24284002,428,40      0   0     2,428,400     0
PETROMET RESOURCES                          COM 716731104   $2,790   600000 600,000      0   0      600,0000     0
POTASH CORP OF SASKATCHEWAN                 COM 73755L107   $5,711    75000  75,000      0   0       75,0000     0
PRECISION DRILLING                          COM 74022D100  $40,999  14642551,464,25      0   0     1,464,250     0
PREMDOR INC                                 COM 74046P105  $28,773  17491001,749,10      0   0     1,749,100     0
QUEBECOR PRINTING                       SUB VTG 747922102  $63,448  19921001,992,10      0   0     1,992,100     0
RIO ALGOM LTD                               COM 766889109   $9,499   454475 454,475      0   0      454,4750     0
ROYAL BANK OF CANADA                        COM 780087102 $162,769  25041412,504,14      0   0     2,504,140     0
SMED INTERNATIONAL INC                      COM 83169D104   $1,286   165900 165,900      0   0      165,9000     0
SUNCOR ENERGY INC                           COM 867229106  $85,775  14213001,421,30      0   0     1,421,300     0
TALISMAN ENERGY INC                         COM 87425E103  $47,528  11867161,186,71      0   0     1,186,710     0
TELEGLOBE INC                               COM 87941V100  $83,816  19246001,924,60      0   0     1,924,600     0
TESMA INTERNATIONAL INC            CL A SUB VTG 881908107   $3,055   142100 142,100      0   0      142,1000     0
TORONTO DOMINION BANK                   COM NEW 891160509 $184,318  27613162,761,31      0   0     2,761,310     0
TRANSCANADA PIPELINES LTD                   COM 893526103  $21,728  10471301,047,13      0   0     1,047,130     0
TRIZECHAHN CORP                             COM 896938107  $50,574  16914511,691,45      0   0     1,691,450     0
UNITED DOMINION INDS LTD                    COM 909914103  $14,426   389900 389,900      0   0      389,9000     0
WESTCOAST ENERGY INC.                       COM 95751D102   $2,861    99000  99,000      0   0       99,0000     0
3COM CORP                                   COM 885535104$3,236,40    24800  24,800      0   0       24,8000     0
A T & T CORP                                COM 001957109$3,589,42    26500  26,500      0   0       26,5000     0
ABBOTT LABS                                 COM 002824100$1,144,00    14300  14,300      0   0       14,3000     0
ALCOA INC                                   COM 013817101 $603,200    10400  10,400      0   0       10,4000     0
ALLSTATE CORP                               COM 020002101########    227900 227,900      0   0      227,9000     0
AMERICA ONLINE INC                          COM 02364J104 $197,060     5900   5,900      0   0        5,9000     0
AMERICA ONLINE INC                          COM 02364J104 $197,060     5900   5,900      0   0        5,9000     0
AMERICAN EXPRESS CO                         COM 025816109  $50,220     3100   3,100      0   0        3,1000     0
AMERICAN HOME PRODS CORP                    COM 026609107########    237050 237,050      0   0      237,0500     0
AMERICAN INT'L GROUP                        COM 026874107 $275,303     7050   7,050      0   0        7,0500     0
AMERICAN POWER CONVERSION                   COM 029066107$4,752,00    28800  28,800      0   0       28,8000     0
AMERITECH CORP                              COM 030954101 $238,520     6700   6,700      0   0        6,7000     0
ANNUITY & LIFE RE (HLDGS.)                  COM G03910109$1,401,94    36700  36,700      0   0       36,7000     0
APPLE COMPUTER INC                          COM 037833100     $250      500     500      0   0          5000     0
ATLANTIC RICHFIELD CO                       COM 048825103   $3,000     1000   1,000      0   0        1,0000     0
AUTOMATIC DATA PROCESSING                   COM 053015103 $342,000     7500   7,500      0   0        7,5000     0
BANK OF AMERICA CORP                        COM 060505104 $686,720    11600  11,600      0   0       11,6000     0
BANK ONE CORPORATION                        COM 06423a103 $262,509     6890   6,890      0   0        6,8900     0
BELL ATLANTIC CORP                          COM 077853109  $97,580     4100   4,100      0   0        4,1000     0
BELLSOUTH CORP                              COM 079860102 $704,480    11200  11,200      0   0       11,2000     0
BOEING CO                                   COM 097023105 $602,160    10400  10,400      0   0       10,4000     0
BRISTOL-MYERS SQUIBB                        COM 110122108  $57,600     3200   3,200      0   0        3,2000     0
BRITISH AEROSPACE PLC                       COM 0263494  ########    106500 106,500      0   0      106,5000     0
BROWN FORMAN CORP                          CL A 115637100   $3,240     1800   1,800      0   0        1,8000     0
C B S CORP                                  COM 12490K107 $102,520     4400   4,400      0   0        4,4000     0
CARDINAL HEALTH INC                         COM 14149Y108 $338,800     7700   7,700      0   0        7,7000     0
CARNIVAL CORP                             CL A  143658102  $70,380     3400   3,400      0   0        3,4000     0
CATERPILLAR INC                             COM 149123101 $913,320    12900  12,900      0   0       12,9000     0
CHASE MANHATTAN CORP                    NEW COM 16161A108 $660,960    10800  10,800      0   0       10,8000     0
CISCO SYSTEMS INC                           COM 17275R102$3,532,56    34650  34,650      0   0       34,6500     0
CITIGROUP INC                               COM 172967101$3,779,61    25950  25,950      0   0       25,9500     0
COCA COLA CO                                COM 191216100 $481,160     9200   9,200      0   0        9,2000     0
COMPAQ COMPUTER CORP                        COM 204493100########    202000 202,000      0   0      202,0000     0
CONSECO INC.                                COM 208464107########    227000 227,000      0   0      227,0000     0
CVS CORP                                    COM 126650100 $240,500     6500   6,500      0   0        6,5000     0
DELL COMPUTER                               COM 247025109$2,010,25    18700  18,700      0   0       18,7000     0
DELPHI AUTOMATIVE SYSTEMS CORP              COM 247126105########    220106 220,106      0   0      220,1060     0
DISNEY WALT CO LTD                          COM 254687106########    164200 164,200      0   0      164,2000     0
DOW CHEMICAL CO                             COM 260543103     $203      450     450      0   0          4500     0
DU PONT E I DE NEMOURS & CO                 COM 263534109 $779,520    11600  11,600      0   0       11,6000     0
EASTMAN KODAK CO                            COM 277461109 $421,400     8600   8,600      0   0        8,6000     0
ELECTRONIC DATA SYSTEMS CORP.               COM 285661104 $195,290     5900   5,900      0   0        5,9000     0
EMC CORP (MASS)                             COM 268648102 $262,020     6600   6,600      0   0        6,6000     0
EMERSON ELECTRIC                            COM 291011104  $23,040     4800   4,800      0   0        4,8000     0
ENRON CORP                                  COM 293561106  $78,440     3700   3,700      0   0        3,7000     0
EXXON CORP                                  COM 302290101$6,699,08    74600  74,600      0   0       74,6000     0
FEDERAL NATIONAL MTGE ASSOC                 COM 313586109########    112000 112,000      0   0      112,0000     0
FIRST DATA CORP                             COM 319963104########    210500 210,500      0   0      210,5000     0
FIRST UNION CORP                            COM 337358105$1,399,10    17000  17,000      0   0       17,0000     0
FOOD LION INC                              CL A 344775200$3,841,92    26100  26,100      0   0       26,1000     0
FORD MOTOR CO                               COM 345370100 $300,960     7200   7,200      0   0        7,2000     0
G T E  CORP                                 COM 362320103 $175,450     5500   5,500      0   0        5,5000     0
GAYLORD CONTAINER CORP                     CL A 368145108   $4,000     2000   2,000      0   0        2,0000     0
GENERAL CABLE                               COM 369300108 $572,715    21450  21,450      0   0       21,4500     0
GENERAL ELECTRIC CO                         COM 369604103########    197878 197,878      0   0      197,8780     0
GENERAL INSTRUMENT CORP                     COM 370120107########    188900 188,900      0   0      188,9000     0
GENERAL MOTORS CORP                         COM 370442105########    120200 120,200      0   0      120,2000     0
GENERAL NUTRITION CO                        COM 37047F103$2,962,35    22700  22,700      0   0       22,7000     0
GILLETTE CO                                 COM 375766102 $207,060     5800   5,800      0   0        5,8000     0
HARBINGER CORP                              COM 41145C103  $25,000     5000   5,000      0   0        5,0000     0
HEALTHSOUTH CORP                            COM 421924101########    547500 547,500      0   0      547,5000     0
HEWLETT PACKARD CO                          COM 428236103 $197,060     5900   5,900      0   0        5,9000     0
HOME DEPOT INC                              COM 437076102 $831,900    11800  11,800      0   0       11,8000     0
HONDA MOTOR CO LTD                          COM 6435145   $256,000    16000  16,000      0   0       16,0000     0
HOUSEHOLD INTERNATIONAL INC                 COM 441815107 $495,880     9200   9,200      0   0        9,2000     0
INTEGRATED HEALTH SERVICES                  COM 45812C106########    334200 334,200      0   0      334,2000     0
INTEL CORP                                  COM 458140100$1,740,60    18000  18,000      0   0       18,0000     0
INTERNATIONAL BUSINESS MACHS                COM 459200101 $749,698    12225  12,225      0   0       12,2250     0
JOHNSON & JOHNSON                           COM 478160104 $235,560     7800   7,800      0   0        7,8000     0
KELLOGG CO                                  COM 487836108   $8,850     1500   1,500      0   0        1,5000     0
KERR MCGEE CORP                             COM 492386107   $1,000     1000   1,000      0   0        1,0000     0
KIMBERLY CLARK CORP                         COM 494368103  $62,080     3200   3,200      0   0        3,2000     0
LATIN AMER INVT                             COM 518279104  $12,960     3600   3,600      0   0        3,6000     0
LILLY ELI & CO                              COM 532457108 $249,560     6800   6,800      0   0        6,8000     0
LINCOLN NATIONAL INCOME FUND                COM 534217104  $64,000     8000   8,000      0   0        8,0000     0
LOCKHEED MARTIN CORPORATION                 COM 539830109$1,867,22    17800  17,800      0   0       17,8000     0
LUCENT TECHNOLOGY                           COM 549463107$1,393,08    15600  15,600      0   0       15,6000     0
MANPOWER INC                                COM 56418H100     $360      600     600      0   0          6000     0
MCDONALDS CORP                              COM 580135101 $379,200     7900   7,900      0   0        7,9000     0
MCI WORLDCOM INC                            COM 55268B106$1,013,76    13200  13,200      0   0       13,2000     0
MEAD CORP                                   COM 582834107 $388,440     8300   8,300      0   0        8,3000     0
MEDIAONE GROUP INC                          COM 58440J104 $283,240     7300   7,300      0   0        7,3000     0
MEDTRONIC INC                               COM 585055106 $148,410     5100   5,100      0   0        5,1000     0
MELLON BANK CORP                            COM 585509102 $954,200    13000  13,000      0   0       13,0000     0
MERCK & CO INC                              COM 589331107########     64000  64,000      0   0       64,0000     0
MEREDITH CORP                               COM 589433101 $452,910     9300   9,300      0   0        9,3000     0
MERRILL LYNCH & CO                          COM 590188108  $27,830     2300   2,300      0   0        2,3000     0
MICROSOFT CORP                              COM 594918104########     96100  96,100      0   0       96,1000     0
MINNESOTA MINING & MFG                      COM 604059105$1,188,02    31100  31,100      0   0       31,1000     0
MONSANTO CO                                 COM 611662107 $148,230     6100   6,100      0   0        6,1000     0
MONTANA POWER CO                            COM 612085100 $542,520     9900   9,900      0   0        9,9000     0
MOTOROLA INC                                COM 620076109  $84,050     4100   4,100      0   0        4,1000     0
NABISCO GROUP HOLDINGS CORP.                COM 62952P102########    273400 273,400      0   0      273,4000     0
NEWELL RUBBERMAID INC.                      COM 651229106########    211746 211,746      0   0      211,7460     0
NORDSTROM INC                               COM 655664100$3,059,29    23300  23,300      0   0       23,3000     0
NORTEL NETWORKS CORP (US)                   COM 656569100  $95,340     4200   4,200      0   0        4,2000     0
PACIFIC AMER INCOME SHS                     COM 693796104  $64,000     8000   8,000      0   0        8,0000     0
PEPSICO INC                                 COM 713448108########    329200 329,200      0   0      329,2000     0
PFIZER INC COM                              COM 717081103 $395,640     8400   8,400      0   0        8,4000     0
PHARMACIA & UPJOHN INC                      COM 716941109 $464,400     9000   9,000      0   0        9,0000     0
PHILIP MORRIS COMPANIES                     COM 718154107########    249250 249,250      0   0      249,2500     0
POTOMAC ELECTRIC POWER                      COM 737679100########    222800 222,800      0   0      222,8000     0
PROCTER & GAMBLE CO                         COM 742718109########    136100 136,100      0   0      136,1000     0
PUTNAM PREMIER INCOME TRUST          SH BEN INT 746853100 $196,000    14000  14,000      0   0       14,0000     0
RAYTHEON CO                                CL A 755111309     $234      424     424      0   0          4240     0
RAYTHEON CO                                CL B 755111408   $9,000     3000   3,000      0   0        3,0000     0
REHABCARE GROUP INC                         COM 759148109   $2,250     1500   1,500      0   0        1,5000     0
REPSOL SA                         SPONSORED ADR 76026T205$1,361,61    36900  36,900      0   0       36,9000     0
RJ REYNOLDS TOBACCO CO.                     COM 76182K105########     97634  97,634      0   0       97,6340     0
ROYAL DUTCH PETE CO NY REG        NY REG GL1.25 780257804 $729,120    11200  11,200      0   0       11,2000     0
RYDER SYSTEM INC                            COM 783549108$1,637,61    16900  16,900      0   0       16,9000     0
SAFEWAY INC                                 COM 786514208 $250,140     6600   6,600      0   0        6,6000     0
SARA LEE CORPORATION US                     COM 803111103 $679,320    10800  10,800      0   0       10,8000     0
SBC COMMUNICATIONS                          COM 78387G103 $724,830    11100  11,100      0   0       11,1000     0
SCHLUMBERGER LTD                            COM 806857108 $258,440     7100   7,100      0   0        7,1000     0
SEAGATE TECHNOLOGY                          COM 811804103$1,426,46    16100  16,100      0   0       16,1000     0
SIEMENS AG                                  COM 5047734    $68,890     8300   8,300      0   0        8,3000     0
SIMON PPTY GROUP INC                        COM 828806109 $645,660    21100  21,100      0   0       21,1000     0
SINGAPORE FD INC                            COM 82929L100   $4,840     2200   2,200      0   0        2,2000     0
SINGAPORE PRESS HOLDINGS                    COM 6133966   $676,000    26000  26,000      0   0       26,0000     0
SOUTHERN CO                                 COM 842587107   $9,000     3000   3,000      0   0        3,0000     0
SPRINT CORP(FON GROUP)                      COM 852061100 $391,440     8400   8,400      0   0        8,4000     0
TENNECO INC COM NEW                         COM 88037E101   $9,321     3053   3,053      0   0        3,0530     0
TEXACO INC                                  COM 881694103   $6,250     2500   2,500      0   0        2,5000     0
THE ASSOCIATES FIRST CAPITAL CORP           COM 046008108 $344,250     8100   8,100      0   0        8,1000     0
TIME WARNER INC                             COM 887315109 $313,880     7600   7,600      0   0        7,6000     0
TRANSOCEAN OFFSHORE INC                     COM 900761035$3,664,60    25100  25,100      0   0       25,1000     0
UNICAPITAL CORP                             COM 90459D108########    246900 246,900      0   0      246,9000     0
UNITED RENTALS INC                          COM 911363109 $493,290    20300  20,300      0   0       20,3000     0
UNITED TECHS CORP                           COM 913017109########    157000 157,000      0   0      157,0000     0
VIACOM INC                                 CL B 925524308 $213,120     6400   6,400      0   0        6,4000     0
WALMART STORES INC                          COM 931142103$5,838,99    32100  32,100      0   0       32,1000     0
WARNER LAMBERT CO                           COM 934488107 $539,000     9800   9,800      0   0        9,8000     0
WASTE MANAGEMENT INC                        COM 94106L109########    207201 207,201      0   0      207,2010     0
WEBS - AUSTRALIA INDEX SERIES     WEBS INDEX FUN92923H103  $12,960     3600   3,600      0   0        3,6000     0
WEBS - MEXICO INDEX SERIES        WEBS INDEX FUN92923H863   $3,240     1800   1,800      0   0        1,8000     0
WEBS - NETHERLANDS INDEX SERIES   WEBS INDEX FUN92923H855   $1,960     1400   1,400      0   0        1,4000     0
WEBS - SINGAPORE                  WEBS INDEX FUN92923H848   $9,610     3100   3,100      0   0        3,1000     0
WEBS - SWEDEN INDEX SERIES        WEBS INDEX FUN92923H822   $2,250     1500   1,500      0   0        1,5000     0
WEBS - SWITZERLAND INDEX SERIES   WEBS INDEX FUN92923H814  $10,240     3200   3,200      0   0        3,2000     0
WELLS FARGO COMPANY                         COM 949746101 $658,050    10700  10,700      0   0       10,7000     0
WILLIAMS COS INC                            COM 969457100########    276900 276,900      0   0      276,9000     0
XEROX CORP COM CUM RTS                      COM 984121103  $62,220     3400   3,400      0   0        3,4000     0
                                                         TOTAL:   $76,343,758

</TABLE>


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