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File Number 28-630
FORM 13F
INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS
PURSUANT TO SECTION 13(F) OF THE SECURITIES EXCHANGE ACT OF 1934
AND RULES THEREUNDER
Securities and Exchange Commission
Washington, D. C. 20549
(Adopted in Release No. 34-14852 (81,610), June 15, 1978. 43 F. R. -.)
Report for the Calendar Year or Quarter Ended March 31, 2000
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If amended report check here: ___________
Name of Institutional Investment Manager: John Hancock Financial Services, Inc.
Business Address : P.O. Box 111, John Hancock Place, Boston, MA 02117
Name, Phone No., and Title of Person Duly Authorized to Submit This Report:
Eileen Bruckner, Investment Analyst (617)572-9610
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The institutional investment manager submitting this Form and its attachments
and the person by whom it is signed represent hereby that all information
contained therein is true, correct and complete. It is understood that all
required items, statements and schedules are considered integral parts of this
Form and that the submission of any amendment represents that all unamended
items, statements and schedules remain true, correct and complete as previously
submitted. Pursuant to the requirements of Securities Exchange Act of 1934, the
undersigned institutional investment manager has caused this report to be signed
on its behalf in the City of Boston and State of Massachusetts on the 15th day
of February, 2000.
John Hancock Financial Services, Inc.
By: /s/Eileen Bruckner
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Title: Eileen Bruckner, Portfolio Analyst, John Hancock Life Insurance Company
Name and 13F file numbers of ALL Institutional Investment Managers with respect
to which this schedule is filed (Other than the one filling this report). (List
in alphabetical order).
Name: 13F File No.:
1. John Hancock Financial Services, Inc.
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2. John Hancock Life Insurance Company
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3. Maritime life Assurance
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4. Venture Capital Management
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5. Capital Growth Management
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6.
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7.
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8.
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John Hancock Financial Services, Inc. (Effective February 1, 2000, John Hancock Mutual Life Insurance Company was renamed
John Hancock Life Insurance Company and became the direct, wholly-owned subsidiary
of John Hancock Financial Services, Inc.)
March 31, 2000
Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8
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Fair Principal Investment Direction: Manager Voting Authority-Shares
Name of Issuer Class Cusip Market or # Sole Shared/ Shared/ Sole Shared None
Value of Shares Aff Oth
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
Aber Resources, LTD COM 002916-10-4 64,800 8,100 X 2 8,100
Abitibi Cons COM 003924-10-7 398,300 28,552 X 2 28,552
Able Telecom COM 003712-30-4 1,467,663 286,653 X 0 286,653
Agnico Eagle Mines, Ltd. COM 008474-10-8 67,230 8,300 X 2 8,300
Agrium Inc COM 008916-10-8 193,338 16,812 X 2 16,812
Air Canada CL A NVTG 008911-30-7 85,792 6,128 X 2 6,128
Alberta Energy Co. COM 012873-10-5 925,181 21,147 X 2 21,147
Alcan Aluminium, ltd COM 013716-10-5 1,592,440 32,800 X 2 32,800
Alliance Atlantis COM 01853E-20-4 52,650 2,700 X 2 2,700
Alliance Forst. Prod. COM 01859J-10-8 130,000 5,300 X 2 5,300
Ampex Corp. COM 032092-10-8 582,534 186,411 X 0 186,411
Architel Sys Corp. COM 039917-10-9 58,075 2,300 X 2 2,300
Aurora Biosciences COM 051920-10-6 18,810 11,400 X 3 11,400
Ballard Power Systems COM 05858H-10-4 1,454,100 13,100 X 2 13,100
Bank of Montreal COM 06367-11-01 3,350,700 65,700 X 2 65,700
Barrick Gold Corp COM 06790-11-08 1,337,805 59,458 X 2 59,458
Beard Company COM 07384R-10-1 663,085 312,040 X 0 312,040
BCE, Inc. COM 05534B-10-9 6,273,422 126,300 X 2 126,300
Bell Canada Intl. COM 077914-10-9 126,790 3,100 X 2 3,100
Bema Gold Corp. COM 08135F-10-7 17,000 19,600 X 2 19,600
Bid.Com COM 088788-10-4 64,125 7,500 X 2 7,500
Biochem Pharma COM 09058T-10-8 480,320 15,200 X 2 15,200
Biomira, Inc. COM 09161R-10-6 98,825 6,700 X 2 6,700
Biovail Corp. Intl. COM 09067K-10-6 466,200 7,400 X 2 7,400
Brookfield PPTYS COM 112900-10-5 157,450 9,400 X 2 9,400
Budget Group, Inc. COM 119003-10-1 16,369,065 1,103,477 X 0 1,103,477
Call-Net Enterprises Cl B NV 130910-20-1 21,735 2,700 X 2 2,700
Cambior, Inc. COM 13201L-10-3 11,770 10,700 X 2 10,700
Cameco Corp. COM 13321L-10-8 128,140 8,600 X 2 8,600
Candian Imperial COM 1360691-01-0 3,415,480 82,400 X 2 82,400
Canadian 88 Energy COM 13566G-50-9 33,400 16,700 X 2 16,700
Canadian Nat'l Railway COM 136375-10-2 2,425,050 63,400 X 2 63,400
Canadian Pacific LTD COM 135923-10-0 2,964,567 91,499 X 2 91,499
Canadian Occidental Pet COM 136420-10-6 392,000 16,500 X 2 16,500
Canwest Global Non VTG 138906-30-0 159,531 10,129 X 2 10,129
Celestica, Inc. Sub VTG 15101Q-10-8 1,870,575 24,500 X 2 24,500
Chieftan Interl, Inc. COM 16867C-10-1 66,840 2,400 X 2 2,400
Cinar Corp. Sub VTG 171905-30-0 52,785 5,100 X 2 5,100
Cinram, Ltd. COM 17252T-10-5 65,685 8,700 X 2 8,700
Clearnet Comm. COM 184902-10-4 354,000 5,900 X 2 3,400
Coastal Corp COM 190441-10-5 32,660 710 X 0 710
Cognicase Inc. COM 192423-10-1 102,350 2,300 X 2 2,300
Cognos Incorporated COM 19244C-10-9 246,000 7,600 X 2 7,600
Coinstar Inc. COM 19259P-30-0 441,328 35,000 X 0 35,000
Concord Comm. COM 206186-10-8 118,374 3,329 X 0 3,329
Corel Corp. COM 21868Q-10-9 143,055 9,900 X 2 9,900
Cott COM 22163N-10-6 6,900 9,000 X 2 9,000
Counsel Corp. COM 22226R-10-2 19,800 3,000 X 2 3,000
Cytex COM 232946-10-3 50,277 1,042 X 0 1,042
Delta & Pine Land COM 247357-10-6 73,475,199 3,720,263 X 0 3,720,263
Descartes Systems COM 249906-10-8 392,400 6,000 X 2 6,000
Dia Met Minerals Cl B ML VTG 25243K-30-7 393,000 2,000 X 2 2,000
Domtar Inc. COM 257561-10-0 257,925 17,195 X 2 17,195
Dorel Industries COM 25822C-20-5 83,470 3,400 X 2 3,400
Echo Bay Mines COM 278751-10-2 38,340 21,300 X 2 21,300
Edperbrascan Corp COM 280905-80-3 412,416 22,912 X 2 22,912
Enbridge Inc. COM 29250N-10-5 692,075 23,500 X 2 23,500
Encal Energy Ltd COM 29250D10-7 81,315 11,700 X 2 11,700
Evergreen Resources COM 299900-30-8 21,735,840 905,660 X 0 905,660
Excite At Home COM 300904-10-9 1,113,000 8,372 X 3 8,372
Extendicare Inc. COM 30224T-87-1 16,275 9,300 X 2 9,300
Fahnestock Viner Hld COM 302921-10-1 43,650 1,800 X 2 1,800
Federated Dept Stores COM 31410H-10-1 1,501,855 35,547 X 0 35,547
Federated Dept Stores warr cl d 31410H-12-7 145,463 8,620 X 0 8,620
Foodmaker, Inc. COM 344839-20-4 4,408,000 155,357 X 0 155,357
Four Seasons Hotels sub vtg shs 35100E10-4 221,390 3,406 X 2 3,406
Furr's/Bishop's COM 361115-50-4 3,286,794 1,095,598 X 0 1,095,598
Glamis Gold, Ltd. COM 376775-10-2 26,208 10,400 X 2 10,400
Gold Corp., Inc. Class A,SV 380956-10-2 97,350 11,000 X 2 11,000
Golden State Vintners COM 38121K-20-8 1,481,839 658,595 X 0 658,595
GTE COM 362320-10-3 4,895,308 68,948 X 0 68,948
Guidant Corp. COM 401698-10-5 145,304 2,468 X 0 2,468
Gulf Cda Resources Ordinary sh 40218L-30-5 279,821 52,303 X 2 52,303
Hollinger COM 43556c-60-6 18,000 1,800 X 2 1,800
Hummingbird Commun COM 44544R-10-1 161,460 2,600 X 2 2,600
IMAX Corp. COM 45245E-10-9 94,500 3,000 X 2 3,000
Imperial Oil, LTD COM 453038-40-8 592,350 19,745 X 2 19,745
Inco Ltd. CL VBN shs 453258-70-9 17,338 2,425 X 2 2,425
Inco Ltd. COM 453258-40-2 727,545 27,300 X 2 27,300
Intertape Plymr Grp COM 460919-10-3 68,460 4,200 X 2 4,200
Intrawest Corp. COM 460915-20-0 161,525 6,500 X 2 6,500
IPSCO Inc. COM 462622-10-1 238,000 6,100 X 2 6,100
Jannock, LTD COM 470888-80-1 106,750 5,700 X 2 5,700
K-Swiss, Inc COM 482686-10-2 2,962,500 200,000 X 0 200,000
Kinross Gold Corp COM 496902-10-7 101,920 45,500 X X 0/2 121,737 39,100
LTV Corp COM 501921-10-0 222,346 62,413 X 0 62,413
Laidlaw, Inc. COM 50730K-50-3 99,234 48,884 X 2 48,884
Eli Lilly & Co. COM 532457-10-8 87,925 1,404 X 0 1,404
LodgeNet Entertainment COM 540211-10-9 1,118,400 168,000 X 0 240,000
Loewen Group, Inc. COM 54042L-10-0 12,320 11,200 X 2 11,200
MDC Comm. COM 55267W-30-9 42,900 2,600 X 2 2,600
MacKenzie Financial COM 554531-10-3 360,990 19,100 X 2 19,100
Magna Intl. Inc. CL A SV 559222-40-1 652,500 11,600 X 2 11,600
MediaOne COM 58440J-10-4 387,666 4,787 X 0 4,787
Meridian Gold Inc. COM 589975-10-1 92,960 11,200 X 2 11,200
Methanex COM 59151K-10-8 55,963 19,100 X 2 19,100
Mitel Corporation COM 606711-10-9 600,950 17,000 X 2 17,000
Moore Corp, LTD COM 615785-10-2 71,690 13,400 X 2 13,400
Nabors Industries, Inc. COM 629568-10-6 27,164,869 699,000 X 0 699,000
Newbridge Network Corp COM 650901-10-1 970,600 21,100 X 2 21,100
Nortel Networks COM 656569-10-0 7,061,600 135,800 X 2 135,800
Nova Chemicals COM 66977W-10-9 369,607 13,895 X 2 13,895
Numac Energy COM 67052A-10-3 47,520 10,800 X 2 10,800
Open Text Corp. COM 683715-10-6 129,000 3,000 X 2 3,000
Pan American Silver COM 697900-10-8 26,460 4,900 X 2 4,900
Penny J. C. COM 708160-10-6 140,623 9,453 X 0 9,453
Petro-Canada COM 71644E-10-2 1,830,570 75,800 X 2 75,800
Phoenix Intl. Life COM 718919-10-3 65,600 4,100 X 2 4,100
Placer Dome Inc. COM 725906-10-1 563,640 48,800 X 2 48,800
Potash Corp of Sask COM 73755L-10-7 584,415 8,100 X 2 8,100
Precision Drilling COM 74022D-10-0 346,452 7,136 X 2 7,136
Premdor Inc. COM 74046P-10-5 70,525 6,500 X 2 6,500
PSC, Inc. COM 69361E-10-7 260,000 422,500 X 0 422,500
QLT Phototherapeut COM 746927-10-2 776,000 9,700 X 2 9,700
Quebecor Printing COM 747922-10-2 340,480 12,800 X 2 12,800
R&B Falcon Corp. COM 74912E-10-1 37,661,392 1,621,152 X 0 1,621,152
RH Phillips COM 749573-10-1 989,800 319,924 X 0 319,924
Ranger Oil, Ltd. COM 752805-10-1 107,338 18,998 X 2 18,998
Research In Motion COM 760975-10-2 1,140,000 7,500 X 2 7,500
Rio Algom, Ltd. COM 766889-10-9 145,145 9,100 X 2 9,100
Rogers Cantel MOB COM 775102-20-5 157,950 2,700 X 2 2,700
Rogers Comm. COM 775109-20-0 799,800 18,600 X 2 18,600
Royal Bank CDA COM 780087-10-2 2,897,000 69,800 X 2 69,800
Royal Group Tech COM 779915-10-7 324,450 10,300 X 2 10,300
Seagrams LTD COM 811850-10-6 4,210,290 48,900 X 2 48,900
Shaw Corp. CL B NVT 82028K-20-0 1,046,058 26,822 X 2 26,822
Snyder Oil Corp. COM 80218K105 6,682,281 703,398 X 0 703,398
Speciality Equip. Corp. COM 847497-20-3 8,818,750 425,000 X 0 425,000
Steinway Musical Inst. COM 858495-10-4 27,783,954 1,543,553 X 0 1,543,553
Suncor Inc. COM 867229-10-6 1,043,310 16,600 X 2 16,600
Suiza Foods Corp. COM 865077-10-1 61,742,120 1,723,246 X 0 1,723,246
Talisman Energy Inc. COM 87425E-10-3 860,410 20,808 X 2 20,808
Tangram Enterprise COM 875924-10-2 1,155 770 X 0 770
Teleglobe Inc. COM 87941V-10-0 750,500 19,000 X 2 19,000
Telesystem Intl. Sub. VTG 879946-10-1 580,250 11,000 X 2 11,000
Tesco Corp. COM 88157K-10-1 47,280 4,800 X 2 4,800
TLC The Laser Cntr. COM 872934-10-4 82,650 5,700 X 2 5,700
Toronto-Dominion Bk COM 891160-50-9 5,736,960 149,400 X 2 149,400
TransCanada Pipelines COM 893526-10-3 3,656,922 343,373 X 2 343,373
Trizec Hahn Corp COM 896938-10-7 497,699 22,726 X 2 22,726
TVX Gold, Inc. COM 83708K-10-1 28,726 27,100 X 2 27,100
United Dominion Inds. COM 909914-10-3 148,880 5,873 X 2 5,873
U.S. Filter COM 911843-20-9 1,236,000 39,242 X 1 39,242
U.S. West COM 91273H-10-1 257,000 4,369 X 0 4,369
Walker Interactive Systems COM 931664-10-6 122,819 43,669 X 0 43,669
Westcoast Energy Inc. COM 95751D-10-2 880,275 36,300 X 2 36,300
Western Star Truck COM 95960H-10-0 27,885 1,300 X 2 1,300
TOTALS 385,111,441 19,152,296
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