PERIGEE INVESTMENT COUNSEL INC
13F-HR/A, 2000-06-15
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549

FORM 13F

FORM 13F COVER PAGE

Check here if Amendment: [X]  Amendment Number: 28-7412/A
This Amendment: [X] 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 2, 2000

Report Type:

[  x ]  13F HOLDINGS REPO
<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 Total:           235
Form 13F Information Table Value Total:      $6,658,608
                                             (thousands)
<PAGE>
<TABLE>                                  <C>                       <C>
FORM 13F
INFORMATION TABLE
March 31, 2000
                                                        SHARES   INVSTMT         VOTING
                                               MKT           OR  DSCRETN          AUTHORITY
                                               VALUE  PRINCIPAL
ISSUER                   CLASS       SEC ID  in (000s    AMOUNT    SOLE   SHARED   SOLE
ATI TECHNOLOGIES INC     COM         00194110  74,621  2,897,900 2,897,900      02,897,900
A T & T CORP             COM         00195710   8,997    159,950   159,950      0  159,950
ABBOTT LABS              COM         00282410   3,568    101,400   101,400      0  101,400
ABITIBI-CONSOLIDATED INC COM         00392410  35,758  2,563,276 2,563,276      02,563,276
AGNICO-EAGLE MINES       COM         00847410     812    100,200   100,200      0  100,200
ALBERTA ENERGY CO        COM         01287310 102,250  2,337,140 2,337,140      02,337,140
ALCAN ALUMINIUM LTD      COM         01371610 169,394  3,489,055 3,489,055      03,489,055
ALCOA INC                COM         01381710   2,529     36,000    36,000      0   36,000
ALLSTATE CORP            COM         02000210   6,096    256,000   256,000      0  256,000
ALZA CORP                COM         02261510   6,164    164,100   164,100      0  164,100
AMERICA ONLINE INC       COM         02364J10   7,680    114,200   114,200      0  114,200
AMERICAN EXPRESS CO      COM         02581610   3,872     26,000    26,000      0   26,000
AMERICAN HOME PRODS CORP COM         02660910  27,314    509,350   509,350      0  509,350
AMERICAN INT'L GROUP     COM         02687410   9,290     84,836    84,836      0   84,836
AMERICAN POWER CONVERSIONCOM         02906610   8,635    201,400   201,400      0  201,400
AMGEN INC                COM         03116210   3,001     48,900    48,900      0   48,900
ANALOG DEVICES           COM         03265410   1,265     15,700    15,700      0   15,700
ANHEUSER BUSCH COS INC   COM         03522910   1,270     20,400    20,400      0   20,400
APPLE COMPUTER INC       COM         03783310   1,534     12,200    12,200      0   12,200
APPLIED MATERIAL INC     COM         03822210   3,685     39,100    39,100      0   39,100
THE ASSOCIATES FIRST CAPICOM         04600810   5,826    271,771   271,771      0  271,771
ATLANTIC RICHFIELD CO    COM         04882510     340      4,000     4,000      0    4,000
AUTOMATIC DATA PROCESSINGCOM         05301510   2,051     42,500    42,500      0   42,500
B C E INC                COM         05534B10 986,086  5,447,987 5,447,987      05,447,987
BCE MOBILE COMMUNICATIONSCOM         05534G10     435      7,400     7,400      0    7,400
BANK OF AMERICA CORP     COM         06050510   5,149     98,200    98,200      0   98,200
BANK OF MONTREAL         COM         06367110 161,600  3,168,633 3,168,633      03,168,633
BARRICK GOLD CORP        COM         06790110 111,360  4,949,312 4,949,312      04,949,312
BELL ATLANTIC CORP       COM         07785310   5,709     93,400    93,400      0   93,400
BELLSOUTH CORP           COM         07986010   5,165    109,900   109,900      0  109,900
BIOGEN INC               COM         09059710     489      7,000     7,000      0    7,000
BOEING CO                COM         09702310   2,519     66,400    66,400      0   66,400
BOSTON SCIENTIFIC CORP   COM         10113710   8,352    391,900   391,900      0  391,900
BRISTOL-MYERS SQUIBB     COM         11012210   8,787    152,150   152,150      0  152,150
BROOKFIELD PROPERTIES    COM         11290010   5,051    301,566   301,566      0  301,566
BURR-BROWN CORP          COM         12257410   7,232    133,000   133,000      0  133,000
C B S CORP               COM         12490K10   1,965     34,700    34,700      0   34,700
CSG SYSTEMS INTL INC     COM         12634910   4,164     85,300    85,300      0   85,300
CVS CORP                 COM         12665010   2,299     61,200    61,200      0   61,200
CAMECO CORP              COM         13321L10   2,630    176,528   176,528      0  176,528
CANADIAN PACIFIC LTD     COM         13592310  31,204    963,085   963,085      0  963,085
CANADIAN IMPERIAL BK COMMCOM         13606910  34,028    820,948   820,948      0  820,948
CANADIAN NATIONAL RAILWAYCOM         13637510 134,865  3,525,875 3,525,875      03,525,875
CARNIVAL CORP            COM         14365810   5,598    225,600   225,600      0  225,600
CATERPILLAR INC          COM         14912310   1,526     38,700    38,700      0   38,700
CELESTICA INC.           COM         15101Q10  64,737    847,900   847,900      0  847,900
CHASE MANHATTAN CORP     NEW COM     16161A10   6,225     71,400    71,400      0   71,400
CHEVRON CORP             COM         16675110   5,301     57,350    57,350      0   57,350
CINRAM INTL INC          COM         17252T10   1,745    231,124   231,124      0  231,124
CISCO SYSTEMS INC        COM         17275R10  33,529    433,680   433,680      0  433,680
CITIGROUP INC            COM         17296710  17,669    297,900   297,900      0  297,900
CITRIX SYSTEMS INC       COM         17737610     570      8,600     8,600      0    8,600
CLEAR CHANNEL COMMUNICTIOCOM         18450210   1,264     18,300    18,300      0   18,300
COCA COLA CO             COM         19121610   6,562    139,800   139,800      0  139,800
COGNICASE INC            COM         19242310  13,888    312,100   312,100      0  312,100
COGNOS INCORPORATED      COM         19244C10   8,545     93,900    93,900      0   93,900
COLGATE PALMOLIVE        COM         19416210   1,849     32,800    32,800      0   32,800
COMCAST CORP-SPECIAL     CL A        20030020   1,666     38,400    38,400      0   38,400
COMINCO LTD              COM         20043510  30,753  1,457,510 1,457,510      01,457,510
COMPAQ COMPUTER CORP     COM         20449310   1,962     73,700    73,700      0   73,700
COMPUTER ASSOCIATES INTL COM         20491210   2,569     43,400    43,400      0   43,400
COMVERSE TECHNOLOGY INC  COM PAR $0.120586240     756      4,000     4,000      0    4,000
CONEXANT SYSTEMS INC     COM         20714210  11,303    159,200   159,200      0  159,200
CONSECO INC.             COM         20846410   4,992    436,500   436,500      0  436,500
CORNING INC              COM         21935010   2,774     14,300    14,300      0   14,300
COSTCO WHOLESALE CORP    COM         22160K10   1,162     22,100    22,100      0   22,100
DELANO TECHNOLOGY CORP   COM         24570110   6,731        300       300      0      300
DELL COMPUTER            COM         24702510   6,392    118,500   118,500      0  118,500
DESCARTES SYSTEMS GROUP  COM         24990610  32,667    499,500   499,500      0  499,500
DIA MET MINERALS LTD     CL A SUB VTG25243K20     911     48,100    48,100      0   48,100
DIA MET MINERALS LTD     CL B        25243K30   3,476    176,900   176,900      0  176,900
DISNEY (WALT) CO HOLDING COM         25468710  19,407    469,050   469,050      0  469,050
DOMTAR INC               COM         25756110  67,404  4,493,579 4,493,579      04,493,579
DOREL INDUSTRIES INC     CL B        25822C20  26,269  1,070,000 1,070,000      01,070,000
DOW CHEMICAL CO          COM         26054310   2,805     24,601    24,601      0   24,601
DU PONT E I DE NEMOURS & COM         26353410   2,751     52,025    52,025      0   52,025
EMC CORP (MASS)          COM         26864810  11,688     93,500    93,500      0   93,500
EASTMAN KODAK CO         COM         27746110   2,238     41,200    41,200      0   41,200
EDPERBRASCAN CORP        CL A LTD VTG28090580   7,544    419,100   419,100      0  419,100
ELECTRONIC DATA SYSTEMS CCOM         28566110   2,523     39,300    39,300      0   39,300
EMERSON ELECTRIC         COM         29101110     661     12,500    12,500      0   12,500
ENCAL ENERGY LTD         COM         29250D10  12,864  1,851,000 1,851,000      01,851,000
ENBRIDGE INC             COM         29250n10  17,463    592,956   592,956      0  592,956
ENRON CORP               COM         29356110   2,201     29,400    29,400      0   29,400
EXODUS COMMUNICATIONS INCCOM         30208810   3,611     25,700    25,700      0   25,700
EXXON-MOBIL CORP         COM         30231G10  14,732    189,327   189,327      0  189,327
FANTOM TCHNLGYS INC      COM         30690610  10,593    706,200   706,200      0  706,200
FANNIE MAE               COM         31358610  15,123    267,950   267,950      0  267,950
FIRST UNION CORP         COM         33735810   9,990    268,200   268,200      0  268,200
FLEET BOSTON FINL CORP   COM         33903010   3,036     83,175    83,175      0   83,175
FORD MOTOR CO            COM         34537010   3,914     85,200    85,200      0   85,200
FOUR SEASONS HOTELS INC  SUB VTG     35100E10   1,059     16,295    16,295      0   16,295
G T E  CORP              COM         36232010   4,033     56,804    56,804      0   56,804
GAP STORES               COM         36476010   3,208     64,400    64,400      0   64,400
GENERAL ELECTRIC CO      COM         36960410  53,106    342,202   342,202      0  342,202
GENERAL MOTORS CORP      COM         37044210  22,028    266,000   266,000      0  266,000
GILLETTE CO              COM         37576610   3,290     87,300    87,300      0   87,300
GILDAN ACTIVEWEAR INC    COM         37591610   1,786     38,000    38,000      0   38,000
CGI GROUP                CL A SUB VTG39945c10  91,670  4,493,650 4,493,650      04,493,650
GUCCI GROUP NV           COM NY REG  40156610     982     11,000    11,000      0   11,000
GUIDANT CORP             COM         40169810   1,488     25,300    25,300      0   25,300
HALLIBURTON CO           COM         40621610   2,530     61,700    61,700      0   61,700
HARLEY DAVIDSON          COM         41282210   5,421     68,300    68,300      0   68,300
HEWLETT PACKARD CO       COM         42823610   6,668     50,300    50,300      0   50,300
HOME DEPOT INC           COM         43707610  12,984    201,300   201,300      0  201,300
HUMMINGBIRD COMMUNICATIONCOM         44544R10  13,898    223,800   223,800      0  223,800
IMPERIAL OIL LTD         COM         45303840  99,448  3,314,920 3,314,920      03,314,920
INCO LTD                 COM         45325840  18,100    679,183   679,183      0  679,183
INTEL CORP               COM         45814010  35,807    271,390   271,390      0  271,390
INTERNATIONAL BUSINESS MACOM         45920010  24,919    211,175   211,175      0  211,175
INTERTAPE POLYMER GROUP ICOM         46091910   6,199    380,300   380,300      0  380,300
IPSCO INC                COM         46262210  35,922  2,052,700 2,052,700      02,052,700
JOHNSON & JOHNSON        COM         47816010   6,540     93,350    93,350      0   93,350
KIMBERLY CLARK CORP      COM         49436810   1,565     27,950    27,950      0   27,950
KINROSS GOLD             COM         49690210   5,511  2,460,100 2,460,100      02,460,100
KROGER CO                COM         50104410  12,721    724,300   724,300      0  724,300
LSI LOGIC CORP           COM         50216110   7,008     96,500    96,500      0   96,500
LAIDLAW INC              COM         50730K50   2,078  1,023,823 1,023,823      01,023,823
LILLY ELI & CO           COM         53245710   4,807     76,300    76,300      0   76,300
LINCARE HOLDINGS INC     COM         53279110   2,270     80,000    80,000      0   80,000
LOWE'S COMPANIES         COM         54866110   3,298     56,500    56,500      0   56,500
LUCENT TECHNOLOGY        COM         54946310  22,824    375,700   375,700      0  375,700
MCI WORLDCOM INC         COM         55268B10  11,655    257,200   257,200      0  257,200
MACKENZIE FINANCIAL CORP COM         55453110   8,581    454,000   454,000      0  454,000
MAGNA INTERNATIONAL INC  CLA SUB VTG 55922240  46,569    827,899   827,899      0  827,899
MCDONALDS CORP           COM         58013510   6,104    162,500   162,500      0  162,500
MEAD CORP                COM         58283410   1,977     56,600    56,600      0   56,600
MEDIAONE GROUP INC       COM         58440J10   2,503     30,900    30,900      0   30,900
MEDTRONIC INC            COM         58505510   2,927     56,900    56,900      0   56,900
MERCK & CO INC           COM         58933110  17,782    286,225   286,225      0  286,225
MERIDIAN GOLD INC        COM         58997510   4,457    537,000   537,000      0  537,000
MERRILL LYNCH & CO       COM         59018810   2,016     19,200    19,200      0   19,200
MICROSOFT CORP           COM         59491810  41,922    394,560   394,560      0  394,560
MICRON TECHNOLOGY        COM         59511210   1,399     11,100    11,100      0   11,100
MINNESOTA MINING & MFG   COM         60405910   1,997     22,550    22,550      0   22,550
MITEL CORP               COM         60671110  81,016  2,291,836 2,291,836      02,291,836
SINGAPORE PRESS HOLDINGS COM         6133966   10,407    381,200   381,200      0  381,200
MOORE CORP LTD           COM         61578510   8,514  1,591,402 1,591,402      01,591,402
MORGAN ST DEAN WITTER & CCOM         61744644   4,829     59,200    59,200      0   59,200
MOTOROLA INC             COM         62007610   7,375     51,800    51,800      0   51,800
HONDA MOTOR CO LTD       COM         6435145  746,876    176,150   176,150      0  176,150
NEXTEL COMMUNICATIONS INCCOM         65332V10   3,291     22,200    22,200      0   22,200
NOKIA CORP               SPONSORED AD65490220     272      1,300     1,300      0    1,300
NORTEL NETWORKS CORP     COM         656569101,020,67  5,605,006 5,605,006      05,605,006
NOVA CHEMICALS CORP      COM         66977W10  34,444  1,294,894 1,294,894      01,294,894
OPEN TEXT CORP           COM         68371510   9,244    214,978   214,978      0  214,978
ORACLE CORP              COM         68389X10  11,030    141,300   141,300      0  141,300
PE CORP-PE BIOSYSTEMS GROCOM         69332S10     936      9,700     9,700      0    9,700
PEPSICO INC              COM         71344810   6,311    182,600   182,600      0  182,600
PERKINELMER INC          COM         71404610   4,835     72,700    72,700      0   72,700
PETRO CANADA             COM/VARIBL V71644E10  45,603  1,888,320 1,888,320      01,888,320
PETROMET RESOURCES       COM         71673110   2,070    600,000   600,000      0  600,000
PHARMACIA & UPJOHN INC   COM         71694110   1,535     25,900    25,900      0   25,900
PFIZER INC               COM         71708110   7,265    198,700   198,700      0  198,700
PHILIP MORRIS COMPANIES  COM         71815410  13,177    623,782   623,782      0  623,782
PHILIP SERVICES CORP     COM         71819M10      12     20,300    20,300      0   20,300
PHOENIX INTL LIFE SCI    COM         71891910  13,430    839,400   839,400      0  839,400
PLACER DOME INC          COM         72590610  12,369  1,070,912 1,070,912      01,070,912
POTASH CORP OF SASKATCHEWCOM         73755L10   9,019    125,000   125,000      0  125,000
POTOMAC ELECTRIC POWER   COM         73767910   6,389    282,400   282,400      0  282,400
PRECISION DRILLING       COM         74022D10  19,228    396,047   396,047      0  396,047
PREMDOR INC              COM         74046P10  18,922  1,744,000 1,744,000      01,744,000
PROCTER & GAMBLE CO      COM         74271810  14,192    252,300   252,300      0  252,300
PSINET INC               COM         74437C10   3,953    116,200   116,200      0  116,200
PUTNAM PREMIER INCOME TRUSH BEN INT  74685310      81     14,000    14,000      0   14,000
QLT PHOTOTHERAPEUTICS INCCOM         74692710  15,010    190,000   190,000      0  190,000
QUALCOMM INC             COM         74752510   5,734     38,400    38,400      0   38,400
REPSOL SA                SPONSORED AD76026T20     861     40,400    40,400      0   40,400
RESEARCH IN MOTION       COM         76097510  20,079    132,100   132,100      0  132,100
RJ REYNOLDS TOBACCO CO.  COM         76182K10   5,100    300,000   300,000      0  300,000
RIO ALGOM LTD            COM         76688910  27,214  1,706,217 1,706,217      01,706,217
ROGERS COMMUNICATIONS INCCL B        77510920 114,629  2,665,800 2,665,800      02,665,800
ROYAL BANK OF CANADA     COM         78008710 140,196  2,061,705 2,061,705      02,061,705
ROYAL DUTCH PETE CO      NY REG GL1.278025780   7,161    124,400   124,400      0  124,400
SBC COMMUNICATIONS       COM         78387G10  16,745    398,700   398,700      0  398,700
SAFEWAY INC              COM         78651420   3,498     77,300    77,300      0   77,300
ST LAURENT PAPERBOARD INCCOM         79090710  25,314    912,200   912,200      0  912,200
SANDISK CORP             SUB-VTG SH  80004C10   6,064     49,500    49,500      0   49,500
SCHERER R P CORP         COM         80652810     363      4,000     4,000      0    4,000
SCHERING-PLOUGH CORP     COM         80660510   3,723    101,300   101,300      0  101,300
SCHLUMBERGER LTD         COM         80685710   1,874     24,500    24,500      0   24,500
SCHWAB (CHARLES) CORP    COM         80851310   2,511     44,200    44,200      0   44,200
SEAGRAM LTD              COM         81185010 167,775  1,948,602 1,948,602      01,948,602
724 SOLUTIONS INC        COM         81788Q10   5,238     29,100    29,100      0   29,100
SHERMAG INC.             COM         82405L10   8,291  1,184,400 1,184,400      01,184,400
SILENT WITNESS ENTERPRISECOM NEW     82690630   3,315    300,000   300,000      0  300,000
SILICON IMAGE INC        COM         82705T10   3,932     54,900    54,900      0   54,900
SIMON PPTY GROUP INC     COM         82880610     456     19,000    19,000      0   19,000
SOLECTRON CORP           COM         83418210     990     24,700    24,700      0   24,700
SPRINT CORP(FON GROUP)   COM         85206110   3,692     58,600    58,600      0   58,600
SPRINT CORP(PCS GROUP)   COM FON GROU85206150   2,828     43,300    43,300      0   43,300
SUN MICROSYSTMES INC     COM         86681010   7,782     83,050    83,050      0   83,050
SUNCOR ENERGY INC        COM         86722910  63,160  1,004,935 1,004,935      01,004,935
TALISMAN ENERGY INC      COM         87425E10  54,551  1,319,241 1,319,241      01,319,241
TANDY CORP               COM         87538210   5,917    116,600   116,600      0  116,600
TARGET CORP              COM         87612E10   1,704     22,800    22,800      0   22,800
TELLABS INC              COM         87966410   1,291     20,500    20,500      0   20,500
TERADYNE INC             COM         88077010     787      9,600     9,600      0    9,600
TEXACO INC               COM         88169410   2,177     40,600    40,600      0   40,600
TESMA INTERNATIONAL INC  CL A SUB VTG88190810  17,115    912,800   912,800      0  912,800
TEXAS INSTRS INC         COM         88250810   2,096     13,100    13,100      0   13,100
3COM CORP                COM         88553510   2,231     40,100    40,100      0   40,100
TIME WARNER INC          COM         88731510   5,890     58,900    58,900      0   58,900
TORONTO DOMINION BANK    COM NEW     89116050 335,565  8,738,663 8,738,663      08,738,663
TRANSCANADA PIPELINES LTDCOM         89352610  13,965  1,311,245 1,311,245      01,311,245
TRIZECHAHN CORP          COM         89693810  59,578  2,720,450 2,720,450      02,720,450
TYCO INTL                COM         90212410   3,825     76,700    76,700      0   76,700
UNILEVER N.V.            NY SHARES NE90478470   1,780     36,989    36,989      0   36,989
UNITED DOMINION INDS LTD COM         90991410  30,955  1,221,100 1,221,100      01,221,100
US WEST INC.             COM         91273H10  12,826    176,600   176,600      0  176,600
UNITED TECHS CORP        COM         91301710  13,265    209,925   209,925      0  209,925
UNITED TECHS CORP        COM         91301710  13,265    209,925   209,925      0  209,925
VENTANA MEDICAL SYSTEMS  COM         92276H10   2,375     55,000    55,000      0   55,000
VERIO INC                COM         92343310   2,177     48,300    48,300      0   48,300
VIACOM INC               CL A        92552410   1,045     19,400    19,400      0   19,400
VIACOM INC               CL B        92552430   2,263     42,400    42,400      0   42,400
VODAFONE AIRTOUCH        SPONSORED AD92857T10  15,808    284,500   284,500      0  284,500
MORGAN STANLEY WEBS      FRANCE WEBS 92923H50     304     10,800    10,800      0   10,800
MORGAN STANLEY WEBS      GERMANY WEBS92923H60     209      7,700     7,700      0    7,700
MORGAN STANLEY WEBS      UNITED KINGD92923H79     278     13,700    13,700      0   13,700
MORGAN STANLEY WEBS      JAPAN WEBS  92923H88     941     57,000    57,000      0   57,000
WALMART STORES INC       COM         93114210  19,478    350,950   350,950      0  350,950
WALGREEN CO              COM         93142210   1,839     71,400    71,400      0   71,400
WARNER LAMBERT CO        COM         93448810   4,066     41,700    41,700      0   41,700
WELLS FARGO COMPANY      COM         94974610   4,215    102,950   102,950      0  102,950
WENDY'S INTL INC         COM         95059010   6,817    337,700   337,700      0  337,700
WESCAST INDUSTRIES INC   CL A        95081310   9,684    305,000   305,000      0  305,000
WESTCOAST ENERGY INC.    COM         95751D10   1,758     72,508    72,508      0   72,508
WILLIAMS COS INC         COM         96945710  26,758    609,000   609,000      0  609,000
XILINX INC               COM         98391910   1,308     15,800    15,800      0   15,800
XEROX CORP               COM         98412110     556     21,400    21,400      0   21,400
YAHOO! INC               LTD VTG SH  98433210   4,610     26,900    26,900      0   26,900
ANNUITY & LIFE RE (HLDGS.COM         G0391010   2,184     84,000    84,000      0   84,000
GLOBAL CROSSING LTD      COM         G3921A10   1,617     39,500    39,500      0   39,500
SEDCOFOREX HOLDINGS LTD. COM         G9007810   6,671    130,000   130,000      0  130,000
                                      TOTAL: $6,658,608
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