PERIGEE PRIVATE MANAGEMENT INC
13F-HR, 1999-07-07
Previous: DRKOOP COM, 8-K, 1999-07-07
Next: PICK UPS PLUS INC, SB-2/A, 1999-07-07



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 Private Management Inc.
Address:                320 Bay Street, 14th FL
                        TORONTO  ON      M5H 4A6

13F File Number:  28- 7414

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      Waterloo, Ontario   15 May, 1999

Report Type (check only one.) :

[  x ]   13F HOLDINGS REPORT


[     ]  13F NOTICE.


[     ]  13F COMBINATION REPORT.
<PAGE>

FORM 13F INFORMATION TABLE
<TABLE>                                      <C>                                                   <C>
                                             ITEM 4 SHARES  ITEM 6                        ITEM 8
                                            FAIR         OR        INVESTMENT DESCRETION         VOTING AUTHORITY
ITEM 1                   ITEM 2   ITEM 3  MKT VALUE PRINCIPA  (A)    (B)   (C) SHARITEM 7  (A)     (B)  (C) SHARED
ISSUER                    CLASS   SEC ID  in (000s)  AMOUNT  SOLE   SHARED  OTHER   MGRS   SOLE  SHARED   OTHER
ATI TECHNOLOGIES            COM 001941103$11,724,516 762,700762,700       0       0       762,700      0         0
A T & T CORP                COM 001957109 $1,620,204  20,300 20,300       0       0        20,300      0         0
ABBOTT LABS                 COM 002824100 $1,193,732  25,500 25,500       0       0        25,500      0         0
ABITIBI-CONSOLIDATED INC    COM 003924107 $8,571,892 958,274958,274       0       0       958,274      0         0
ALCAN ALUMINIUM LTD         COM 013716105$12,789,970 496,850496,850       0       0       496,850      0         0
ALLIANCE ATLANTIS CL B  CL B NON01853e204 $8,490,011 539,500539,500       0       0       539,500      0         0
ALLSTATE CORP               COM 020002101 $8,602,322 232,100232,100       0       0       232,100      0         0
AMERICAN HOME PRODS CORP    COM 026609107 $9,904,950 151,800151,800       0       0       151,800      0         0
AMERICAN INT'L GROUP        COM 026874107 $1,640,500  13,600 13,600       0       0        13,600      0         0
AMERITECH CORP              COM 030954101   $700,288  12,100 12,100       0       0        12,100      0         0
B C E INC                   COM 05534B109$60,142,2281,359,801,359,8       0       0      1,359,80      0         0
BANK OF MONTREAL            COM 063671101$22,527,713 561,500561,500       0       0       561,500      0         0
BANK ONE CORPORATION        COM 06423a103 $1,187,599  21,568 21,568       0       0        21,568      0         0
BANK OF AMERICA             COM 06605f102 $1,306,563  18,500 18,500       0       0        18,500      0         0
BARRICK GOLD CORP COM       COM 067901108$18,462,7621,080,001,080,0       0       0      1,080,00      0         0
BRISTOL-MYERS SQUIBB COM    COM 110122108 $1,762,176  27,400 27,400       0       0        27,400      0         0
CAMECO CORP                 COM 13321L108 $7,258,945 334,000334,000       0       0       334,000      0         0
CANADIAN PACIFIC LTD COM    COM 135923100 $3,531,010 182,500182,500       0       0       182,500      0         0
CANADIAN NATIONAL RAILWA    COM 136375102$14,388,166 258,200258,200       0       0       258,200      0         0
CHASE MANHATTAN CORP    NEW COM 16161A108   $723,686   8,900  8,900       0       0         8,900      0         0
CISCO SYSTEMS INC           COM 17275R102$11,898,488 108,600108,600       0       0       108,600      0         0
CITIGROUP INC               COM 172967101$10,686,288 167,300167,300       0       0       167,300      0         0
COCA COLA CO                COM 191216100 $1,362,525  22,200 22,200       0       0        22,200      0         0
COGNOS INCORPORATED         COM 19244C109 $1,451,514  62,500 62,500       0       0        62,500      0         0
COMPAQ COMPUTER CORP        COM 204493100 $7,649,483 241,400241,400       0       0       241,400      0         0
COMPUTER ASSOCIATES INTL    COM 204912109   $515,664  14,500 14,500       0       0        14,500      0         0
CONSECO INC.                COM 208464107 $1,163,988  37,700 37,700       0       0        37,700      0         0
COOPER INDUSTRIES INC       COM 216669101   $784,300  18,400 18,400       0       0        18,400      0         0
DELL COMPUTER               COM 247025109 $1,160,850  28,400 28,400       0       0        28,400      0         0
EMC CORP (MASS)             COM 268648102$10,283,875  80,500 80,500       0       0        80,500      0         0
EASTMAN KODAK CO            COM 277461109   $555,713   8,700  8,700       0       0         8,700      0         0
EDPERBRASCAN CORP CL A  CL A LTD280905803 $8,112,642 684,000684,000       0       0       684,000      0         0
ELECTRONIC DATA SYSTEMS     COM 285661104   $715,714  14,700 14,700       0       0        14,700      0         0
ENCAL ENERGY LTD                29250D107 $6,029,6851,400,001,400,0       0       0      1,400,00      0         0
ENBRIDGE INC                COM 29250n105$15,924,049 359,500359,500       0       0       359,500      0         0
EXXON CORP                  COM 302290101 $1,270,134  18,000 18,000       0       0        18,000      0         0
FEDERAL NATIONAL MTGE AS    COM 313586109$12,014,875 173,500173,500       0       0       173,500      0         0
FIRST DATA CORP             COM 319963104   $863,550  20,200 20,200       0       0        20,200      0         0
GENERAL ELECTRIC CO         COM 369604103$15,222,000 137,600137,600       0       0       137,600      0         0
GENERAL INSTRUMENT CORP     COM 370120107 $5,013,770 165,400165,400       0       0       165,400      0         0
GENERAL MOTORS CORP         COM 370442105 $8,661,438  99,700 99,700       0       0        99,700      0         0
GENERAL NUTRITION CO        COM 37047F103 $5,170,200 369,300369,300       0       0       369,300      0         0
CGI GROUP INC.          CL A SUB39945c109$13,044,752 603,900603,900       0       0       603,900      0         0
HEALTHSOUTH CORP            COM 421924101 $3,764,050 362,800362,800       0       0       362,800      0         0
HOME DEPOT INC              COM 437076102$11,248,575 180,700180,700       0       0       180,700      0         0
INTEGRATED HEALTH SERVIC    COM 45812C106 $2,552,000 464,000464,000       0       0       464,000      0         0
INTEL CORP                  COM 458140100 $2,115,975  17,800 17,800       0       0        17,800      0         0
INTERNATIONAL BUSINESS M    COM 459200101$11,627,600  65,600 65,600       0       0        65,600      0         0
IPSCO INC                   COM 462622101 $8,785,830 445,700445,700       0       0       445,700      0         0
JOHNSON & JOHNSON           COM 478160104 $7,495,040  80,000 80,000       0       0        80,000      0         0
KIMBERLY CLARK CORP         COM 494368103   $258,865   5,400  5,400       0       0         5,400      0         0
LAIDLAW INC COMM            COM 50730K503 $8,535,8601,463,901,463,9       0       0      1,463,90      0         0
LEGGETT & PLATT INC.        COM 524660107   $396,000  19,800 19,800       0       0        19,800      0         0
LILLY ELI & CO              COM 532457108 $1,010,013  11,900 11,900       0       0        11,900      0         0
LIONS GATE ENTERTAINMENTCOM NEW 535919203 $2,915,452 800,000800,000       0       0       800,000      0         0
LUCENT TECHNOLOGY           COM 549463107 $1,616,250  15,000 15,000       0       0        15,000      0         0
MCI WORLDCOM INC            COM 55268B106 $9,883,575 111,600111,600       0       0       111,600      0         0
MACKENZIE FINANCIAL CORP    COM 554531103 $1,822,986 155,000155,000       0       0       155,000      0         0
MAGNA INTERNATIONAL CL A CL A   559222401$11,702,226 203,000203,000       0       0       203,000      0         0
MCDONALDS CORP              COM 580135101   $652,507  14,400 14,400       0       0        14,400      0         0
MEDIAONE GROUP INC          COM 58440J104   $666,750  10,500 10,500       0       0        10,500      0         0
MEDTRONIC INC               COM 585055106 $6,995,625  97,500 97,500       0       0        97,500      0         0
MERCK & CO INC              COM 589331107 $1,427,329  17,800 17,800       0       0        17,800      0         0
MICROSOFT CORP              COM 594918104$14,931,525 166,600166,600       0       0       166,600      0         0
MOTOROLA INC                COM 620076109   $432,175   5,900  5,900       0       0         5,900      0         0
NORTHERN TELECOM LTD        COM 665815106$54,760,668 879,200879,200       0       0       879,200      0         0
OPEN TEXT CORP              COM 683715106$15,736,814 500,000500,000       0       0       500,000      0         0
PEPSICO INC                 COM 713448108 $9,052,428 231,000231,000       0       0       231,000      0         0
PETRO CANADA COM        COM/VARI71644E102$13,470,2291,151,801,151,8       0       0      1,151,80      0         0
PFIZER INC COM              COM 717081103 $1,900,875  13,700 13,700       0       0        13,700      0         0
PHILIP MORRIS COMPANIES     COM 718154107 $7,998,232 227,300227,300       0       0       227,300      0         0
PRECISION DRILLING COM      COM 74022D100 $3,036,377 235,000235,000       0       0       235,000      0         0
PREMDOR INC COM             COM 74046P105 $6,542,274 748,000748,000       0       0       748,000      0         0
PROCTER & GAMBLE CO         COM 742718109 $9,490,192  96,900 96,900       0       0        96,900      0         0
RIO ALGOM LTD               COM 766889109 $8,454,810 797,500797,500       0       0       797,500      0         0
ROYAL BANK OF CANADA        COM 780087102$32,070,021 684,100684,100       0       0       684,100      0         0
ROYAL DUTCH PETE CO NY RNY REG G780257804 $1,076,400  20,700 20,700       0       0        20,700      0         0
SBC COMMUNICATIONS COM      COM 78387G103 $1,065,025  22,600 22,600       0       0        22,600      0         0
SCHERING-PLOUGH CORP        COM 806605101 $1,581,952  28,600 28,600       0       0        28,600      0         0
SCHLUMBERGER LTD            COM 806857108   $367,147   6,100  6,100       0       0         6,100      0         0
SUNCOR ENERGY INC COM       COM 867229106 $9,506,378 282,700282,700       0       0       282,700      0         0
TALISMAN ENERGY INC COM     COM 87425E103 $7,534,323 347,200347,200       0       0       347,200      0         0
TELEGLOBE INC               COM 87941V100$21,943,314 721,500721,500       0       0       721,500      0         0
TESMA INTERNATIONAL INC-CL A SUB881908107 $5,065,975 388,100388,100       0       0       388,100      0         0
TIME WARNER INC             COM 887315109 $1,364,410  19,200 19,200       0       0        19,200      0         0
TORONTO DOMINION BANK   COM NEW 891160509$41,394,984 904,100904,100       0       0       904,100      0         0
TRANSCANADA PIPELINES LT    COM 893526103$12,321,582 966,012966,012       0       0       966,012      0         0
UNILEVER NV             NEW YORK904784501   $425,203   6,400  6,400       0       0         6,400      0         0
WALMART STORES INC          COM 931142103$12,740,382 138,200138,200       0       0       138,200      0         0
WARNER LAMBERT CO           COM 934488107 $7,571,907 114,400114,400       0       0       114,400      0         0
WASTE MANAGEMENT INC        COM 94106L109   $754,375  17,000 17,000       0       0        17,000      0         0
WELLS FARGO COMPANY         COM 949746101 $1,044,877  29,800 29,800       0       0        29,800      0         0
XEROX CORP COM CUM RTS      COM 984121103   $651,175  12,200 12,200       0       0        12,200      0         0
                                   TOTAL $735,843,262
</TABLE>
<PAGE>
FORM 13F SUMMARY PAGE

Report Summary:
Number of Other Included Managers:            0
Form 13F Information Table Entry Total:      93
Form 13F Information Table Value Total:  $745,843,262

List of Other Included Managers:            NONE


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission