MUTUAL LIFE ASSURANCE CO OF CANADA
13F-HR, 1999-11-30
Previous: TELECORP PCS INC, S-8, 1999-11-30
Next: GAIAM INC, 10-Q, 1999-11-30



                       UNITED STATES
              SECURITIES AND EXCHANGE COMMISION
                   Washington, D.C.  20549


                             FORM 13F


                    FORM 13 F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30,1999

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:     The Clarica Life Insurance Company of Canada
Address:  227 King Street South
          Waterloo, Ontario  N2J 4C5

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:          Eric DeVarennes
Title:         Securites Financial Management
Phone:         (519) 888 3900 ext 2807
Signature, Place, and Date of Signing:

    Eric DeVarennes     Waterloo, Canada    November 15, 1999

Report Type ( Check only One.) :

[ x  ]         13F HOLDINGS REPORT

[    ]         13F NOTICE

[    ]         13F COMBINATION REPORT

List of Other Managers Reporting for this Manager:

                        <PAGE>


FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:   0

Form 13F Information Table Entry Total :    71

Form 13F Information Table Value Total:   620,661,278


List of Other Included Managers:

No .		13F File Number           Name

<PAGE>

<TABLE>


<S>                   <C>     <C>       <C>       <C>     <C>     <C>    <C>     <C>      <C>   <C>   <C>

                                              FORM 13F INFORMATION TABLE
                                         VALUE    ITEM 5  ITEM6a  ITEM6b  ITEM6c ITEM7  ITEM 8a ITEM8b ITEM8c
ISSUER               CLASS    CUSIP     X($1000)   SHRS    SOLE   SHARED  SHR/OTH MGRS   SOLE   SHARED OTHER
Abitibi Cons Inc      COM   003924107    3630    207444   207444    0      0            207444   0     0
Agco Corp             COM   001084102    1694     88800    88800    0      0             88800   0     0
Alberto-Culver Co     COM   013068200    2876    100200   100200    0      0            100200   0     0
Alcan Aluminium Ltd   COM   013716105    7571    164234   164234    0      0            164234   0     0
Allergan Inc          COM   018490102    7159     44400    44400    0      0             44400   0     0
American Home Prods   COM   026609107    6577    108000   108000    0      0            108000   0     0
Archer-Daniel Midln   COM   039483102    4650    261348   261348    0      0            261348   0     0
BCE Inc               COM   05534B109   42560    583024   583024    0      0            583024   0     0
BP Amoco Plc          COM   055622104    5907     36325    36325    0      0             36325   0     0
Bank Of Montreal      COM   063671101   10564    206748   206748    0      0            206748   0     0
Bank One Corporatio   COM   06423A103    7225    141166   141166    0      0            141166   0     0
Biochem Pharma Inc    COM   09058T108    8230    232500   232500    0      0            232500   0     0
Biovail Corp Intl     COM   09067K106    6716     90400    90400    0      0             90400   0     0
Bristol Myers Squib   COM   110122108   14146    142800   142800    0      0            142800   0     0
Brookfield Pptys	     COM   112900105    3689    213900   213900    0      0            213900   0     0
CIBC                  COM   136069101   12030    425852   425852    0      0            425852   0     0
Canwest Glbl Commun   COM   138906102    3373    187427   187427    0      0            187427   0     0
Cdn Natl Railway      COM   136375102    8804    197400   197400    0      0            197400   0     0
Cdn Occidental Pete   COM   136420106    3972    149052   149052    0      0            149052   0     0
Cdn Pacific Ltd       COM   135923100    2842     83847    83847    0      0             83847   0     0
Danaher Corp          COM   235851102   14348    186000   186000    0      0            186000   0     0
Ensco Intl Inc        COM   26874Q100    2375     89300    89300    0      0             89300   0     0
Edperbrascan Corp     COM	  280905803    7300    351000   351000    0      0            351000   0     0
Firstar Corporation   COM   33763V109    6777    180662   180662    0      0            180662   0     0
Ford Motor Co         COM   345370100    8860    120000   120000    0      0            120000   0     0
General Elec Co       COM   369604103   29373    168900   168900    0      0            168900   0     0
Goodyear Tire & Rub   COM   382550101    6296     88800    88800    0      0             88800   0     0
Harley Davidson Inc   COM   412822108   13660    185000   185000    0      0            185000   0     0
Heinz H J Company     COM   423074103    5675     89680    89680    0      0             89680   0     0
Hewlett Packard Co    COM   428236103   19578    146000   146000    0      0            146000   0     0
Houghton Mifflin Co   COM   441560109    6904    115800   115800    0      0            115800   0     0
Imax Corp             COM   45245E109    1460     50200    50200    0      0             50200   0     0
Inco Ltd              COM   453258402    2135     68000    68000    0      0             68000   0     0
Intel Corp            COM   458140100   30071    275500   275500    0      0            275500   0     0
Interpublic Group     COM   460690100   20795    345600   345600    0      0            345600   0     0
Ipsco Inc             COM   462622101    3850    115800   115800    0      0            115800   0     0
Johnson & Johnson     COM   478160104   16775    124500   124500    0      0            124500   0     0
Mackenzie Financial   COM   554531103    2271    130900   130900    0      0            130900   0     0
Marshall & Ilsley     COM   571834100   14948    178700   178700    0      0            178700   0     0
Marshall Industries   COM   572393106    1806     33720    33720    0      0             33720   0     0
Mellon Bank Corp      COM   585509102    8123    164000   164000    0      0            164000   0     0
Mitel Corp            COM   606711109    2372    204500   204500    0      0            204500   0     0
Nalco Chem Co         COM   629853102    3330     45000    45000    0      0             45000   0     0
Nortel Networks       COM   656569100   20595    274604   274604    0      0            274604   0     0
Nova Chemicals        COM   66977W109    2424     76840    76804    0      0             76804   0     0
Pepsico Inc           COM   713448108    5752    129300   129300    0      0            129300   0     0
Petro Canada Limited  COM   71644E106    6098    274100   274100    0      0            274100   0     0
Pioneer Natural Res   COM   723787107    1384     88800    88800    0      0             88800   0     0
Praxair Inc           COM   74005P104    5333     79000    79000    0      0             79000   0     0
Procter & Gamble Co   COM   742718109   16097    116920    16920    0      0            116920   0     0
Quebecor Printing     COM   747922102    2392     71100    71100    0      0             71100   0     0
Repsol S A            COM   76026T205    4069    139500   139500    0      0            139500   0     0
Rohm & Haas Co        COM   775371107    7049    133200   133200    0      0            133200   0     0
Royal Bank Of Cda     COM   780087102   13245    217500   217500    0      0            217500   0     0
Royal Dutch Petrol    COM   780257804    2764     32000    32000    0      0             32000   0     0
St Laurent Paperbrd   COM   790907109    5607    301500   301500    0      0            301500   0     0
Schering Plough Corp  COM   806605101    6671    104200   104200    0      0            104200   0     0
Schlumberger Ltd      COM   806857108   12271    134328   134328    0      0            134328   0     0
State Street Corp     COM   857477103   20846    219800   219800    0      0            219800   0     0
Suncor Energy Inc     COM   867229106    7481    133600   133600    0      0            133600   0     0
Talisman Energy Inc   COM   87425E103    5083    116200   116200    0      0            116200   0     0
Telefonica De Espani  COM   879382208    4017     57108    57108    0      0             57108   0     0
Toronto-Dominion Bk   COM   891160509   16078    565144   565144    0      0            565144   0     0
Transcanada Pplns     COM   893526103    7820    406249   406249    0      0            406249   0     0
Unilever N V          COM   904784709    3121     31249    31249    0      0             31249   0     0
United Dominion Inds  COM   909914103    2540     72800    72800    0      0             72800   0     0
United Technologies   COM   913017109   11582    133200   133200    0      0            133200   0     0
Unocal Corp           COM   915289102    5686    104200   104200    0      0            104200   0     0
Viacom Inc            COM   925524100   10968    172800   172800    0      0            172800   0     0
Warner Lambert Co     COM   934488107   17563    180300   180300    0      0            180300   0     0
Westcoast Energy      COM   95751D102    2793    101580   101580    0      0            101580   0     0
</TABLE>


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