OHIO NATIONAL LIFE INSURANCE CO
13F-HR, 1999-08-16
Previous: OGDEN CORP, 10-Q, 1999-08-16
Next: OHIO POWER CO, 10-Q, 1999-08-16



(TEXT)
                        UNITED STATES
              SECURITIES AND EXCHAGE COMMISSION
                   Washington, D.C.  20549

                          FORM 13F

        INFORMATION REQUIRED OF INSITITUTIONAL INVESTMENT
    MANAGERS PURUANT TO SECTION 13(F) OF THE SECURITITES
          EXCHANGE ACT OF 1934 AND RULES THEREUNDER

Report for the Calendar Year or Quarter Ended: March 31,1999

Name of Institutional Investment Manager :   The Ohio
National Life Insurance Company

Business Address:    One Financial Way     Cincinnati
Ohio     45242

Name, Phone No., and Title of Person Duly Authorized to
Submit This Report:     Dennis R, Taney  Assistant Vice
President    (513)  794-6251

                          ATTENTION
 Intentional misstatements or omissions of facts constitute
                 Federal Criminal Violations
          See 18 U.S.C. 1001 and 15 U.S.C. 78ff(a).

     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 the 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 his behalf in the city of
Cincinnati and State   Ohio  on the   16  day of  August,
1999.

Name of Institutional Investment Manager:    Joseph P. Brom

Manual Signature of Person Duly Authorized to Submit This
Report:      Dennis R. Taney

Name and 13f file numbers of ALL Institutional Investment
Managers with respect to which this schedule is filled
(other than the one filing this reports):  (list in
alphabetical order).

13f File Numbers will be assigned to Institutional
Investment Managers after they file their first report.

1.  Name:  Ohio National Investment, Inc     13F File No:

Report Summary:

Table Entry Total:        155
Table Value Total:      $607,680


<TABLE>
Name of Reporting Manager
THE OHIO NATIONAL LIFE INSURANCE COMPANY

                             Item 2:       Item 3:     Item 4:    Item 5:         Item 6:     Item 7:          Item 8:

Item 1:                       Title         CUSIP       Fair     Shares of      Investment    Managers       Voting Authority
                               of           Number     Market    Principal      Discretion      see             Shares
                             Class                      Value      Amount                      Instr. V
Name of Issuer                                            $                (a)    (b)   (c)              (a)     (b)    (c)
                                                                           Sole Shared Shared            Sole  Shared   None
                                                                                         Other


<S>                            <C>       <C>          <C>         <C>      <C>   (c)    (c)       (c)    <C>    <C>     (c)
A D C TELECOMMUNICATIONS       COM       000886 10 1   4,556,250  100,000   X                      1      X
AT & T CORP                    COM       001957 10 9   3,248,288   58,200   X                      1      X
ABBOTT LABS                    COM       002824 10 0   5,460,000  120,000   X                      1      X
ALLIED SIGNAL INC              COM       019512 10 2  10,880,100  172,700   X                      1      X
AMERICAN EXPRESS CO            COM       025816 10 9   2,862,750   22,000   X                      1      X
AMERICAN INTL GROUP INC        COM       026874 10 7  13,586,274  116,060   X                      1      X
AMERICAN PWR CONVERSION        COM       029066 10 7   3,089,188  153,500   X                      1      X
CORP
AMERITECH CORP                 COM       030954 10 1   1,837,500   25,000   X                      1      X
AMGEN INC                      COM       031162 10 0     639,188   10,500   X                      1      X
ANALOG DEVICES INC             COM       032654 10 5   6,440,712  128,333   X                      1      X
APPLIED ANALYTICAL INDS        COM       037939 10 5   1,822,500  162,000   X                      1      X
APPLIED MALS INC               COM       038222 10 5     960,375   13,000   X                      1      X
ASSOCIATED GROUP INC         COM CL B    045651 20 5   3,259,375   50,000   X                      1      X
ASSOCIATES FIRST CAP CORP      COM       046008 10 8   9,077,327  204,848   X                      1      X
ATLAS AIR INC                  COM       049164 10 6   3,537,825  109,700   X                      1      X
BANDO MCGLOCKLIN CAP CORP      COM       060003 10 0     121,250   10,000   X                      1      X
BANK ONE CORP                  COM       06423A 10 3   7,814,600  131,200   X                      1      X
BANK AMERICA CORP              COM       060505 10 4   5,162,960   70,424   X                      1      X
BANKBOSTON CORP                COM       06605R 10 6   1,696,941   33,192   X                             X
BANKBOSTON CORP                COM       06605R 10 6   1,687,125   33,000   X                      1      X
BAXTER INTL INC                COM       071813 10 9   4,243,750   70,000   X                      1      X
BELL ATLANTIC CORP             COM       077853 10 9   6,648,638  101,700   X                      1      X
BOEING CO                      COM       097023 10 5   1,237,250   28,000   X                      1      X
BOSTON SCIENTIFIC CORP         COM       101137 10 7   1,274,188   29,000   X                      1      X
BUFFETS INC                    COM       119882 10 8   1,644,500  143,000   X                      1      X
BURLINGTON NORTHN SANTA        COM       12189T 10 4   5,115,000  165,000   X                      1      X
FE CP
CBS CORP                       COM       12490K 10 7   8,930,313  205,000   X                             X
CBS CORP                       COM       12490K 10 7   6,732,813  155,000   X                      1      X
CNF TRANSN INC                 COM       12612W 10 4   2,878,125   75,000   X                      1      X
CAMPBELL SOUP CO               COM       134429 10 9     788,375   17,000   X                      1      X
CAPITAL SENIOR LIVING          COM       140475 10 4   2,047,000  204,700   X                      1      X
CORP
CARDINAL HEALTH INC            COM       14149Y 10 8   6,165,491   96,148   X                      1      X
CEDAR FAIR L P              DEPOSITRY    150185 10 6   1,720,688   69,000   X                      1      X
                               UNIT
CENTOCOR INC                   COM       152342 10 1   3,357,000   72,000   X                      1      X
CHARTER ONE FINL INC           COM       160903 10 0   6,067,658  218,163   X                      1      X
CHASE MANHATTAN CORP           COM       16161A 10 8   2,555,438   29,500   X                      1      X
CHEVRON CORPORATION            COM       166751 10 7   4,759,375   50,000   X                      1      X
CISCO SYS INC                  COM       17275R 10 2  31,411,500  487,000   X                      1      X
CINTAS CORP                    COM       172908 10 5  10,951,563  163,000   X                             X
CLAYTON HOMES INC              COM       184190 10 6   5,246,164  458,681   X                      1      X
COCA COLA CO                   COM       191216 10 0   1,812,500   29,000   X                      1      X
COMMERCIAL NET LEASE RLTY      COM       202218 10 3     749,325   58,200   X                      1      X
INC
COMPAQ COMPUTER CORP           COM       204493 10 0   1,210,431   51,100   X                      1      X
COMPUTER ASSOC INTL INC        COM       204912 10 9   6,380,000  116,000   X                      1      X
COMPUTER SCIENCES CORP         COM       205363 10 4   6,102,338   88,200   X                      1      X
CONAGRA CAPITAL INC           PFD C      20588V 40 6     508,750   20,000   X                      1      X
CONSOLIDATED PRODS INC         COM       209798 10 7   3,712,500  206,250   X                      1      X
CONSUMERS ENERGY            PFD 8.20%    21052A 20 9   1,105,500   44,000   X                      1      X
CYMER INC                      COM       232572 10 7     311,700   12,468   X                             X
DAYTON HUDSON CORP             COM       239753 10 6   1,007,500   15,500   X                      1      X
DELL COMPUTER CORP             COM       247025 10 9   1,813,000   49,000   X                      1      X
DISNEY WALT CO                 COM       254687 10 6   1,694,688   55,000   X                      1      X
DUKE ENERGY CORP               COM       264399 10 6   1,087,500   20,000   X                      1      X
E M C CORP MASS                COM       268648 10 2   7,040,000  128,000   X                      1      X
EATON CORP                     COM       278058 10 2   3,440,800   37,400   X                      1      X
EDISON INTL                    COM       281020 10 7     829,250   31,000   X                      1      X
ELECTRONIC PROCESSING          COM       285798 10 4     160,813   15,500   X                      1      X
INC.
EQUITABLE COS INC              COM       29444G 10 7   6,365,000   95,000   X                      1      X
EXXON CORP                     COM       302290 10 1   2,545,125   33,000   X                      1      X
FPL GROUP INC                  COM       302571 10 4   1,092,500   20,000   X                             X
FEDERAL SIGNAL CORP            COM       313855 10 8   1,305,489   61,616   X                      1      X
FIFITH THIRD BANCORP           COM       316773 10 0   1,231,406   18,500   X                      1      X
FIRST AMER CORP TENN           COM       318900 10 7   3,324,958   79,999   X                             X
FIRSTAR CORP                   COM       33763V 10 9   6,115,200  218,400   X                      1      X
FIRSTAR CORP                   COM       33763V 10 9  20,160,000  720,000   X                             X
FLAGSTAR CAPITAL             PFD 8.5%    33847R 20 7   1,234,375   50,000   X                      1      X
FOOD LION INC                  CL B      344775 10 1   2,942,656  254,500   X                      1      X
FOOD LION INC                  CL A      344775 20 0   1,050,938   88,500   X                      1      X
FORD MTR CO                    COM       345370 10 0   7,391,111  130,961   X                      1      X
FREEPORT MCMORAN COPPER &   PFD SER C    35671D 60 0   1,000,875   62,800   X                      1      X
GOLD
FREEPORT MCMORAN GOLD &        CL B      35671D 85 7     538,125   30,000   X                             X
COPPER
FURRS BISHOP INC               COM       361115 50 4     746,883  919,240   X                             X
GTE CORP                       COM       362320 10 3   1,018,042   13,484   X                             X
GTE CORP DELAWAR          PFD 8.75% SER  36232E 30 1   1,015,000   40,000   X                      1      X
                                B
GAP INC                        COM       364760 10 8     717,844   14,250   X                      1      X
GENERAL ELEC CO                COM       369604 10 3  15,164,600  134,200   X                      1      X
GILLETTE CO                    COM       375766 10 2     492,000   12,000   X                      1      X
HCR MANOR CARE                 COM       404134 10 8   2,597,738  107,400   X                      1      X
HERCULES INC                   COM       427056 10 6   2,948,438   75,000   X                      1      X
HEWLETT PACKARD CO             COM       428236 10 3   9,949,500   99,000   X                      1      X
HIGH SPEED ACCESS CORP         COM       42979U 10 2     256,250   10,000   X                      1      X
HOME DEPOT INC.                COM       437076 10 2   2,197,319   34,100   X                      1      X
INFINITY BROADCASTING          COM       45662S 10 2   6,039,250  203,000   X                      1      X
CORP
INTEL CORP                     COM       458140 10 0  12,542,600  210,800   X                      1      X
JDN RLTY CORP                  COM       465917 10 2   2,237,500  100,000   X                      1      X
JOHNSON & JOHNSON              COM       478160 10 4   2,744,000   28,000   X                      1      X
KENDLE INTERNATIONAL  INC      COM       48880L 10 7   2,080,000  130,000   X                      1      X
KMART FING I                PFD TR CV    498778 20 8     965,250   16,500   X                      1      X
                              7.75%
KROGER CO                      COM       501044 10 1     670,500   24,000   X                      1      X
LILLY ELI & CO                 COM       532457 10 8   4,333,313   60,500   X                      1      X
LO-JACK CORP                   COM       539451 10 4      92,125   11,000   X                      1      X
LOUIS DREYFUS NAT GAS          COM       546011 10 7   5,407,875  250,800   X                      1      X
CORP
MCI WORLDCOM INC               COM       55268B 10 6   6,425,625   74,500   X                      1      X
MGIC INVT CORP WIS             COM       552848 10 3   6,681,075  137,400   X                      1      X
MANPOWER INC                   COM       56418H 10 0   3,993,313  176,500   X                      1      X
MAPINFO CORP                   COM       565105 10 3     425,600   22,400   X                      1      X
MCDONALDS CORP                 COM       580135 10 1     578,375   14,000   X                      1      X
MCLEOD USA INC                 COM       582266 10 2   1,754,885   31,907   X                             X
MEDIAONE GROUP INC             COM       58440J 10 4   1,636,250   22,000   X                      1      X
MELLON BK CORP                 COM       585509 10 2   4,910,625  135,000   X                      1      X
MERCK & CO INC                 COM       589331 10 7   3,433,600   46,400   X                      1      X
MICROSOFT CORP                 COM       594918 10 4  16,098,469  178,500   X                      1      X
MINERALS TECHNOLOGIES INC      COM       603158 10 6   3,560,838   63,800   X                      1      X
MONSANTO CO                    COM       611662 10 7   5,205,750  132,000   X                      1      X
MYLAN LABS INC                 COM       628530 10 7   4,134,000  156,000   X                      1      X
NCR CORP                       COM       62886E 10 8   2,928,750   60,000   X                      1      X
NATIONAL AUSTRALIA BK LTD    CAPS UTS    632525 30 9   1,944,000   64,000   X                      1      X
                              EXCHBL
NATIONAL HEALTH INVS INC       COM       63633D 10 4     650,156   28,500   X                      1      X
NEWELL CO                      COM       651192 10 6   4,208,250   90,500   X                      1      X
NORFOLK SOUTHERN CORP          COM       655844 10 8     421,750   14,000   X                      1      X
NORTHERN TELECOM LTD           COM       665815 10 6   1,699,355   19,575   X                      1      X
OCCIDENTAL PETE CORP           COM       674599 10 5   1,856,317   87,873   X                             X
ORACLE CORP                    COM       68389X 10 5   3,341,250   90,000   X                      1      X
OWENS ILL INC                  COM       690768 40 3   7,518,125  230,000   X                      1      X
PHILLIP MORRIS COS INC         COM       718154 10 7     964,500   24,000   X                      1      X
PROCTER & GAMBLE CO            COM       742718 10 9   1,695,750   19,000   X                      1      X
PROVIDENT CAPITAL TRUST     PFD 7.875%   74386E 20 7     750,000   30,000   X                      1      X
II                             SUB
RAYTHEON CO                    COM       755111 40 8   6,024,100   85,600   X                      1      X
REGAL BELOIT CORP              COM       758750 10 3   1,181,250   50,000   X                      1      X
REYNOLDS & REYNOLDS CO         CL A      761695 10 5   4,496,981  192,900   X                      1      X
ROHN IND.                      COM       775381 10 6     175,341  127,521   X                             X
ROYAL DUTCH PETE CO           NY REG     780257 80 4   1,717,125   28,500   X                      1      X
                             GLD1.25
SBC COMMUNICATIONS INC         COM       78387G 10 3   2,853,600   49,200   X                      1      X
SPDR TR                     UNIT SER 1   78462F 10 3   1,588,656   11,600   X                      1      X
SARA LEE CORP                  COM       803111 10 3     862,125   38,000   X                      1      X
SCHEING PLOUGH CORP            COM       806605 10 1   1,330,300   25,100   X                      1      X
SCHLUMBERGER LTD               COM       806857 10 8   9,661,394  151,700   X                      1      X
SEAGATE TECHNOLOGY             COM       811804 10 3   2,411,723   94,116   X                      1      X
SOLECTRON CORP                 COM       834182 10 7   6,200,871   92,984   X                      1      X
SPRINT CORP                    COM       852061 10 0   1,321,290   24,930   X                             X
SUIZA FOODS CORP               COM       865077 10 1   3,328,518   79,487   X                             X
SUN MICROSYSTEMS INC           COM       866810 10 4  16,530,000  240,000   X                      1      X
SYMBOL TECHNOLOGIES INC        COM       871508 10 7   3,816,563  103,500   X                      1      X
TESORO PETE CORP               COM       881609 10 1   4,330,219  271,700   X                      1      X
TEXAS INSTRS INC               COM       882508 10 4  18,197,500  125,500   X                      1      X
THOMAS & BETTS CORP            COM       884315 10 2     307,125    6,500   X                      1      X
3COM CORP                      COM       885535 10 4   2,255,094   84,500   X                      1      X
TRANSOCEAN OFFSHORE INC        COM       893817 10 6   3,806,250  145,000   X                      1      X
TYCO INTL LTD                  COM       902124 10 6   7,655,800   80,800   X                      1      X
USX-MARATHON GROUP             COM       902905 82 7     651,250   20,000   X                      1      X
UNISYS CORP                  PFD A CV    909214 20 7   1,048,643   16,102   X                      1      X
                              $3.75
UNITED HEALTHCARE CORP         COM       910581 10 7   6,262,500  100,000   X                      1      X
USEC INC                       COM       9033E 10 8    1,338,750   90,000   X                      1      X
VODAFONE GROUP  PLC       SPONSORED ADR  92857T 10 7   1,477,500    7,500   X                      1      X
WAL MART STORES INC            COM       931142 10 3   1,302,750   27,000   X                      1      X
WARNACO GROUP INC              CL A      934390 10 5   4,344,200  162,400   X                      1      X
WARNER LAMBERT CO              COM       934488 10 7   1,526,250   22,000   X                      1      X
WASHINGTON MUT INC             COM       939322 10 3   3,378,313   95,500   X                      1      X
WATSON PHARMACEUTICALS         COM       942683 10 3   4,961,750  171,000   X                      1      X
INC
WEYERHARUSER CO                COM       962166 10 4     412,500    6,000   X                      1      X
WHITNEY HLDG CORP              COM       966612 10 3     894,375   22,500   X                             X
WILLIAMS COS INC               COM       969457 10 0   7,278,188  171,000   X                      1      X
XEROX CORP                     COM       984121 10 3   8,357,344  141,500   X                      1      X
DAIMLERCHRYSLER AG             COM       D1668R 12 3   4,936,917   55,549   X                      1      X
AMDOCS LTD                     COM       G02602 10 3   1,644,825   72,300   X                      1      X
AGGREGATE TOTAL                                      607,680,225
</TABLE>
(/TEXT)





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