PERIGEE PRIVATE MANAGEMENT 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 PEIVATE MANAGEMENT
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                  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 Mana             0
Form 13F Information Table En           172
Form 13F Information Table Va    $1,906,312
                                 thousands

List of Other Included Manage         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 VALUE PRINCIPA  (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     21,062 13328001,332,8       0         0      1,332,80      0         0
A T & T CORP                 COM           001957109      2,537   45450 45,450       0         0        45,450      0         0
ABBOTT LABS                  COM           002824100      5,424  119200119,200       0         0       119,200      0         0
ABITIBI-CONSOLIDATED INC     COM           003924107     15,740 14055741,405,5       0         0      1,405,57      0         0
ALBERTA ENERGY CO            COM           012873105     15,298  488100488,100       0         0       488,100      0         0
ALBERTO CULVER CO            CL A          013068200      3,132  137300137,300       0         0       137,300      0         0
ALCAN ALUMINIUM LTD          COM           013716105     13,761  444250444,250       0         0       444,250      0         0
ALCOA INC                    COM           013817101      1,275   20600 20,600       0         0        20,600      0         0
ALLIANCE ATLANTIS            CL B NON VTG  01853e204      6,649  539500539,500       0         0       539,500      0         0
ALLSTATE CORP                COM           020002101      6,601  184000184,000       0         0       184,000      0         0
AMERICA ONLINE INC           COM           02364J104      1,271   11500 11,500       0         0        11,500      0         0
AMERICAN EXPRESS CO          COM           025816109        742    5700  5,700       0         0         5,700      0         0
AMERICAN HOME PRODS CORP     COM           026609107      6,043  105100105,100       0         0       105,100      0         0
AMERICAN INT'L GROUP         COM           026874107      1,592   13600 13,600       0         0        13,600      0         0
AMERICAN POWER CONVERSION    COM           029066107      5,140  255400255,400       0         0       255,400      0         0
AMERITECH CORP               COM           030954101        889   12100 12,100       0         0        12,100      0         0
THE ASSOCIATES FIRST CAPITAL COM           046008108      1,02223070.84 23,071       0         0        23,071      0         0
AUTOMATIC DATA PROCESSING    COM           053015103        625   14200 14,200       0         0        14,200      0         0
B C E INC                    COM           05534B109     63,977 13457001,345,7       0         0      1,345,70      0         0
BANK OF AMERICA CORP         COM           060505104      1,356   18500 18,500       0         0        18,500      0         0
BANK OF MONTREAL             COM           063671101     22,234  627200627,200       0         0       627,200      0         0
BANK ONE CORPORATION         COM           06423a103        796   13368 13,368       0         0        13,368      0         0
BANKBOSTON CORP              COM           06605R106      4,611   90200 90,200       0         0        90,200      0         0
BARRICK GOLD CORP            COM           067901108     25,291 13440001,344,0       0         0      1,344,00      0         0
BELL ATLANTIC CORP           COM           077853109        556    8500  8,500       0         0         8,500      0         0
BELLSOUTH CORP               COM           079860102      1,069   22800 22,800       0         0        22,800      0         0
BIOVAIL CORP INTL            COM           09067K106     33,711  682900682,900       0         0       682,900      0         0
BOEING CO                    COM           097023105        910   20600 20,600       0         0        20,600      0         0
BORDERS GROUP INC            COM           099709107      3,749  237100237,100       0         0       237,100      0         0
BROOKFIELD PROPERTIES        COM           112900105      9,656  761000761,000       0         0       761,000      0         0
C B S CORP                   COM           12490K107        317    7300  7,300       0         0         7,300      0         0
CVS CORP                     COM           126650100        670   13200 13,200       0         0        13,200      0         0
CAMBIOR INC                  COM           13201L103      1,416  450000450,000       0         0       450,000      0         0
CAMECO CORP                  COM           13321L108      9,799  478600478,600       0         0       478,600      0         0
CANADIAN NATIONAL RAILWAY CO COM           136375102     17,189  262300262,300       0         0       262,300      0         0
CARDINAL HEALTH INC          COM           14149Y108        994   15500 15,500       0         0        15,500      0         0
CARNIVAL CORP                CL A          143658102        354    7300  7,300       0         0         7,300      0         0
CATERPILLAR INC              COM           149123101      1,488   24800 24,800       0         0        24,800      0         0
CHASE MANHATTAN CORP         NEW COM       16161A108      1,888   21800 21,800       0         0        21,800      0         0
CISCO SYSTEMS INC            COM           17275R102      7,307  113400113,400       0         0       113,400      0         0
CITIGROUP INC                COM           172967101      7,617  160350160,350       0         0       160,350      0         0
CLINICHEM DEVELOPMENT INC    CL A          186906103          0     0.5      1       0         0             1      0         0
COCA COLA CO                 COM           191216100      1,169   18700 18,700       0         0        18,700      0         0
COGNICASE INC                COM           192423101      6,105  387100387,100       0         0       387,100      0         0
COGNOS INCORPORATED          COM           19244C109      1,340   62500 62,500       0         0        62,500      0         0
COMPAQ COMPUTER CORP         COM           204493100      4,773  201500201,500       0         0       201,500      0         0
CONSECO INC.                 COM           208464107      5,037  165500165,500       0         0       165,500      0         0
DAVE & BUSTER'S INC          COM           23833N104      4,185  144300144,300       0         0       144,300      0         0
DELL COMPUTER                COM           247025109      1,410   38100 38,100       0         0        38,100      0         0
DELPHI AUTOMATIVE SYSTEMS CORCOM           247126105      2,269122249.6122,250       0         0       122,250      0         0
DISNEY WALT CO LTD           COM           254687106      4,967  161200161,200       0         0       161,200      0         0
DOMTAR INC                   COM           257561100      5,526  600000600,000       0         0       600,000      0         0
DU PONT E I DE NEMOURS & CO  COM           263534109      1,646   24100 24,100       0         0        24,100      0         0
EMC CORP (MASS)              COM           268648102      5,335   97000 97,000       0         0        97,000      0         0
EDPERBRASCAN CORP            CL A LTD VTG S280905803     10,175  684000684,000       0         0       684,000      0         0
ELECTRONIC DATA SYSTEMS CORP.COM           285661104        628   11100 11,100       0         0        11,100      0         0
ENCAL ENERGY LTD             COM           29250D107     10,661 22193002,219,3       0         0      2,219,30      0         0
ENBRIDGE INC                 COM           29250n105      9,878  441700441,700       0         0       441,700      0         0
ENRON CORP                   COM           293561106        613    7500  7,500       0         0         7,500      0         0
EXXON CORP                   COM           302290101      2,314   30000 30,000       0         0        30,000      0         0
FANTOM TCHNLGYS INC          COM           306906108      3,521  265700265,700       0         0       265,700      0         0
FEDERAL NATIONAL MTGE ASSOC  COM           313586109      6,728   98400 98,400       0         0        98,400      0         0
FIRST DATA CORP              COM           319963104        989   20200 20,200       0         0        20,200      0         0
FIRST UNION CORP             COM           337358105      6,599  140400140,400       0         0       140,400      0         0
FOOD LION INC                CL A          344775200      3,751  315900315,900       0         0       315,900      0         0
FORD MOTOR CO                COM           345370100        773   13700 13,700       0         0        13,700      0         0
GST TELECOMMUNICATIONS INC   COM           361942105      7,038  772500772,500       0         0       772,500      0         0
G T E  CORP                  COM           362320103        833   11000 11,000       0         0        11,000      0         0
GENERAL ELECTRIC CO          COM           369604103     10,690   94600 94,600       0         0        94,600      0         0
GENERAL INSTRUMENT CORP      COM           370120107      4,990  117400117,400       0         0       117,400      0         0
GENERAL MOTORS CORP          COM           370442105      5,207   78900 78,900       0         0        78,900      0         0
GENERAL NUTRITION CO         COM           37047F103      6,399  274500274,500       0         0       274,500      0         0
GILLETTE CO                  COM           375766102        492   12000 12,000       0         0        12,000      0         0
CGI GROUP INC.               CL A SUB VTG  39945c109      9,929  483400483,400       0         0       483,400      0         0
HARLEY DAVIDSON              COM           412822108      5,405   99400 99,400       0         0        99,400      0         0
HEALTHSOUTH CORP             COM           421924101      5,420  362800362,800       0         0       362,800      0         0
HEWLETT PACKARD CO           COM           428236103      1,196   11900 11,900       0         0        11,900      0         0
HOME DEPOT INC               COM           437076102      7,211  111900111,900       0         0       111,900      0         0
HOUSEHOLD INTERNATIONAL INC  COM           441815107        891   18800 18,800       0         0        18,800      0         0
IMPERIAL OIL LTD COM         COM           453038408      9,547  514600514,600       0         0       514,600      0         0
INTEGRATED HEALTH SERVICES   COM           45812C106      3,712  464000464,000       0         0       464,000      0         0
INTEL CORP                   COM           458140100      1,904   32000 32,000       0         0        32,000      0         0
INTERNATIONAL BUSINESS MACHS COM           459200101      8,427   65200 65,200       0         0        65,200      0         0
INTERTAPE POLYMER GROUP INC  COM           460919103     10,075  353600353,600       0         0       353,600      0         0
IPSCO INC                    COM           462622101     13,360  645200645,200       0         0       645,200      0         0
JOHNSON & JOHNSON            COM           478160104      5,733   58500 58,500       0         0        58,500      0         0
KIMBERLY CLARK CORP          COM           494368103        308    5400  5,400       0         0         5,400      0         0
SIEMENS AG                   COM           5047734       10,011  133500133,500       0         0       133,500      0         0
LILLY ELI & CO               COM           532457108        852   11900 11,900       0         0        11,900      0         0
LIONS GATE ENTERTAINMENT CORPCOM NEW       535919203      1,528  795000795,000       0         0       795,000      0         0
LOCKHEED MARTIN CORPORATION  COM           539830109      1,367   36700 36,700       0         0        36,700      0         0
LUCENT TECHNOLOGY            COM           549463107      2,010   29800 29,800       0         0        29,800      0         0
MCI WORLDCOM INC             COM           55268B106      7,109   82600 82,600       0         0        82,600      0         0
MACKENZIE FINANCIAL CORP     COM           554531103      1,659  155000155,000       0         0       155,000      0         0
MAGNA INTERNATIONAL          CL A          559222401     16,359  296200296,200       0         0       296,200      0         0
MATTEL INC                   COM           577081102      3,851  145680145,680       0         0       145,680      0         0
MCDONALDS CORP               COM           580135101      4,623  111900111,900       0         0       111,900      0         0
MEAD CORP                    COM           582834107        681   16300 16,300       0         0        16,300      0         0
MEDIAONE GROUP INC           COM           58440J104      1,004   13500 13,500       0         0        13,500      0         0
MEDTRONIC INC                COM           585055106      6,098   78300 78,300       0         0        78,300      0         0
MELLON BANK CORP             COM           585509102        888   24400 24,400       0         0        24,400      0         0
MERCK & CO INC               COM           589331107      1,887   25500 25,500       0         0        25,500      0         0
MEREDITH CORP                COM           589433101      3,729  107700107,700       0         0       107,700      0         0
MERIDIAN GOLD INC            COM           589975101      1,339  295000295,000       0         0       295,000      0         0
MERRILL LYNCH & CO           COM           590188108        288    3600  3,600       0         0         3,600      0         0
MICROSOFT CORP               COM           594918104     11,742  130200130,200       0         0       130,200      0         0
MINNESOTA MINING & MFG       COM           604059105      4,903   56400 56,400       0         0        56,400      0         0
MONSANTO CO                  COM           611662107        308    7800  7,800       0         0         7,800      0         0
MONTANA POWER CO             COM           612085100      6,627   94000 94,000       0         0        94,000      0         0
SINGAPORE PRESS HOLDINGS     COM           6133966       13,108  452000452,000       0         0       452,000      0         0
MOTOROLA INC                 COM           620076109        559    5900  5,900       0         0         5,900      0         0
NABISCO GROUP HOLDINGS CORP. COM           62952P102        892   45600 45,600       0         0        45,600      0         0
HONDA MOTOR CO LTD           COM           6435145      815,670  159000159,000       0         0       159,000      0         0
NEWELL RUBBERMAID INC.       COM           651229106      9,288199743.4199,743       0         0       199,743      0         0
NORDSTROM INC                COM           655664100      5,172  154400154,400       0         0       154,400      0         0
NORTEL NETWORKS CORP         COM           656569100     61,358  730300730,300       0         0       730,300      0         0
NOVA CHEMICALS CORP          COM           66977W109     11,092  485200485,200       0         0       485,200      0         0
OPEN TEXT CORP               COM           683715106     11,904  413000413,000       0         0       413,000      0         0
PEPSICO INC                  COM           713448108      7,107  183700183,700       0         0       183,700      0         0
PETRO CANADA                 COM/VARIBL VTG71644E102      5,919  444400444,400       0         0       444,400      0         0
PHARMACIA & UPJOHN INC       COM           716941109      1,040   18300 18,300       0         0        18,300      0         0
PFIZER INC                   COM           717081103      1,855   16900 16,900       0         0        16,900      0         0
PHILIP MORRIS COMPANIES      COM           718154107      7,423  184700184,700       0         0       184,700      0         0
POTOMAC ELECTRIC POWER       COM           737679100      4,657  158200158,200       0         0       158,200      0         0
PRECISION DRILLING           COM           74022D100      9,276  500000500,000       0         0       500,000      0         0
PREMDOR INC                  COM           74046P105      8,153  748000748,000       0         0       748,000      0         0
PROCTER & GAMBLE CO          COM           742718109      6,792   76100 76,100       0         0        76,100      0         0
QUEBECOR PRINTING            COM           747922102     13,899  658600658,600       0         0       658,600      0         0
RJ REYNOLDS TOBACCO CO.      COM           76182K105        98031099.99 31,100       0         0        31,100      0         0
RIO ALGOM LTD                COM           766889109     22,491 16241001,624,1       0         0      1,624,10      0         0
ROGERS COMMUNICATIONS INC.   CL B          775109200      5,709  364300364,300       0         0       364,300      0         0
ROYAL BANK OF CANADA         COM           780087102     32,285  749600749,600       0         0       749,600      0         0
ROYAL DUTCH PETE CO NY REG   NY REG GL1.25 780257804      1,247   20700 20,700       0         0        20,700      0         0
RYDER SYSTEM INC             COM           783549108      3,848  148000148,000       0         0       148,000      0         0
SBC MUNICATIONS              COM           78387G103      1,311   22600 22,600       0         0        22,600      0         0
SAFEWAY INC                  COM           786514208        668   13500 13,500       0         0        13,500      0         0
SARA LEE CORPORATION US      COM           803111103        495   21800 21,800       0         0        21,800      0         0
SCHLUMBERGER LTD             COM           806857108        815   12800 12,800       0         0        12,800      0         0
SEAGATE TECHNOLOGY           COM           811804103      3,403  132800132,800       0         0       132,800      0         0
SHERMAG INC.                 COM           82405L102      4,471  865000865,000       0         0       865,000      0         0
SPLASH TECHNOLOGY HOLDINGS   COM           848623104      3,278  466200466,200       0         0       466,200      0         0
SPRINT CORP(FON GROUP)       COM           852061100        908   17200 17,200       0         0        17,200      0         0
STEELCASE INC                CL A          858155203      3,800  190000190,000       0         0       190,000      0         0
STERLING COMMERCE INC        COM           859205106      4,336  118800118,800       0         0       118,800      0         0
SUNCOR ENERGY INC            COM           867229106     10,781  269600269,600       0         0       269,600      0         0
SYLVAN LEARNING SYSTEMS INC  COM           871399101      3,752  138000138,000       0         0       138,000      0         0
TALISMAN ENERGY INC          COM           87425E103     11,085  417700417,700       0         0       417,700      0         0
TELEGLOBE INC                COM           87941V100     17,533  607600607,600       0         0       607,600      0         0
TESMA INTERNATIONAL INC.     CL A SUB VTG  881908107      7,951  558100558,100       0         0       558,100      0         0
3COM CORP                    COM           885535104      4,270  160000160,000       0         0       160,000      0         0
TIME WARNER INC              COM           887315109      1,507   20500 20,500       0         0        20,500      0         0
TORONTO DOMINION BANK        COM           891160509     38,444  869200869,200       0         0       869,200      0         0
TRANSCANADA PIPELINES LTD    COM           893526103     10,617  772212772,212       0         0       772,212      0         0
TRIZECHAHN CORP              SUB VTG       896938107     10,532  531600531,600       0         0       531,600      0         0
TRUSTMARK CORP               COM           898402102      2,402  105000105,000       0         0       105,000      0         0
TRANSOCEAN OFFSHORE INC      COM           900761035      4,486  170900170,900       0         0       170,900      0         0
UNITED DOMINION INDS LTD     COM           909914103     10,289  419700419,700       0         0       419,700      0         0
UNITED TECHS CORP            COM           913017109        961   13400 13,400       0         0        13,400      0         0
VENTANA MEDICAL SYSTEMS      COM           92276H106      2,253  117800117,800       0         0       117,800      0         0
VIACOM INC                   CL A          925524100        827   19400 19,400       0         0        19,400      0         0
VIACOM INC                   CL B          925524308        396    9200  9,200       0         0         9,200      0         0
VODAFONE GROUP PLC           ADR           92857T107     17,789   90300 90,300       0         0        90,300      0         0
WALMART STORES INC           COM           931142103      6,852  142000142,000       0         0       142,000      0         0
WARNER LAMBERT CO            COM           934488107      6,216   89600 89,600       0         0        89,600      0         0
WASTE MANAGEMENT INC         COM           94106L109        769   14300 14,300       0         0        14,300      0         0
WELLS FARGO COMPANY          COM           949746101        928   21700 21,700       0         0        21,700      0         0
WESCAST INDUSTRIES INC       CL A SUB VTG  950813105      5,188  180000180,000       0         0       180,000      0         0
WILLIAMS COS INC             COM           969457100      4,099   96300 96,300       0         0        96,300      0         0
WILMINGTON TRUST CORP        COM           971807102      3,379   58900 58,900       0         0        58,900      0         0
XEROX CORP                   COM CUM RTS   984121103        378    6400  6,400       0         0         6,400      0         0
ANNUITY & LIFE RE (HLDGS.)   COM           G03910109      3,029  135000135,000       0         0       135,000      0         0
NORTEL NETWORKS CORP (US)    COM           NT.U             616    7100  7,100       0         0         7,100      0         0
                                              TOTAL   1,906,312

</TABLE>


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