OHIO NATIONAL LIFE INSURANCE CO
13F-HR, 1999-05-10
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                        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 10 day of May, 19999.

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 

Report Summary:

Table Entry Total:        160
Table Value Total:      $518,129


<TABLE>
Name of Reporting Manager                                                                                  
THE OHIO NATIONAL LIFE INSURANCE COMPANY                                                                             
                                                                                                           
Item 1:            Item 2:    Item 3:   Item 4:  Item 5:      Item 6:         Item 7:         Item 8:
Name of Issuer    Title of    CUSIP      Fair     Shares      Investment      Managers    Voting Authority
                   Class      Number     Market    of         Discretion                      (Shares)
                                         Value    Prin-  (a)    (b)    (c)              (a)    (b)    (c)
                                         thous$   cipal  Sole  Shared  Shared          Sole   Shared  None
                                                                       other                       
<S>                         <C>           <C>    <C>      <C>   <C>     <C>       <C>    <C>   <C>    <C>
AT & T CORP          COM    001957 10 9   2,698   33,800   X                       1      X                
ABBOTT LABS          COM    002824 10 0   5,618  120,000   X                       1      X                
AIRTOUCH             COM    00949T 10 0   1,266   13,100   X                       1      X                
COMMUNICATIONS
INC
ALLIED SIGNAL INC    COM    019512 10 2   8,559  174,000   X                       1      X                
AMCAST INDL CORP     COM    023395 10 6     105    6,500   X                       1      X                
AMERICAN EXPRESS     COM    025816 10 9   1,821   15,500   X                       1      X                
CO
AMERICAN INTL        COM    026874 10 7  13,336  110,560   X                       1      X                
GROUP INC
AMERITECH CORP       COM    030954 10 1   1,158   20,000   X                       1      X                
AMGEN INC            COM    031162 10 0     674    9,000   X                       1      X                
ANALOG DEVICES       COM    032654 10 5   3,867  129,999   X                       1      X                
INC
APPLIED              COM    037939 10 5   1,771  161,000   X                       1      X                
ANALYTICAL INDS
ASSOCIATED GROUP  COM CL B  045651 20 5   2,425   50,000   X                       1      X                
INC
ASSOCIATES FIRST     COM    046008 10 8   8,903  197,848   X                       1      X                
CAP CORP
ATLAS AIR INC        COM    049164 10 6   3,158  109,600   X                       1      X                
BANDO MCGLOCKLIN     COM    060003 10 0     419   41,400   X                       1      X                
CAP CORP
BANK AMERICA CORP    COM    06605F 10 2   5,228   74,024   X                       1      X                
BANKBOSTON CORP      COM    06605R 10 6   1,438   33,192   X                              X                
BANKBOSTON CORP      COM    06605R 10 6   1,126   26,000   X                       1      X                
BAXTER INTL INC      COM    071813 10 9   4,620   70,000   X                       1      X                
BELL ATLANTIC        COM    077853 10 9   5,236  101,300   X                       1      X                
CORP
BOEING CO            COM    097023 10 5     853   25,000   X                       1      X                
BOSTON SCIENTIFIC    COM    101137 10 7   1,136   28,000   X                       1      X                
CORP
BUFFETS INC          COM    119882 10 8   1,578  159,800   X                       1      X                
BURLINGTON NORTHN    COM    12189T 10 4   5,424  165,000   X                       1      X                
SANTA FE CP
CNF TRANSN INC       COM    12612W 10 4   2,836   75,000   X                       1      X                
CABLE DESIGN         COM    126924 10 9     112   10,200   X                       1      X                
TECHNOLOGIES CORP
CAMPBELL SOUP CO     COM    134429 10 9     610   15,000   X                       1      X                
CARDINAL HEALTH      COM    14149Y 10 8   6,346   96,148   X                       1      X                
INC
CATERPILLAR INC      COM    149123 10 1     303    6,600   X                       1      X                
DEL
CEDAR FAIR L P    DEPOSITRY 150185 10 6   4,070  162,000   X                       1      X                
                    UNIT
CENTOCOR INC         COM    152342 10 1   2,664   72,000   X                       1      X                
CHARTER ONE FINL     COM    160903 10 0   6,352  220,107   X                       1      X                
INC
CHASE MANHATTAN      COM    16161A 10 8   1,952   24,000   X                       1      X                
CORP
CHEVRON              COM    166751 10 7   4,422   50,000   X                       1      X                
CORPORATION
CISCO SYS INC        COM    17275R 10 2  25,912  236,500   X                       1      X                
CINTAS CORP          COM    172908 10 5  10,656  163,000   X                              X                
CLAYTON HOMES INC    COM    184190 10 6   5,100  460,981   X                       1      X                
COCA COLA CO         COM    191216 10 0   1,657   27,000   X                       1      X                
COMMERCIAL NET       COM    202218 10 3     651   58,200   X                       1      X                
LEASE RLTY INC
COMPAQ COMPUTER      COM    204493 10 0   1,619   51,100   X                       1      X                
CORP
COMPUTER ASSOC       COM    204912 10 9   3,734  105,000   X                       1      X                
INTL INC
COMPUTER SCIENCES    COM    205363 10 4   4,868   88,200   X                       1      X                
CORP
CONAGRA CAPITAL     PFD C   20588V 40 6     513   20,000   X                       1      X                
INC
CONSOLIDATED         COM    209798 10 7   3,622  206,250   X                       1      X                
PRODS INC
CONSUMERS ENERGY  PFD 8.20% 21052A 20 9   1,122   44,000   X                       1      X                
CYMER INC            COM    232572 10 7     248   12,468   X                              X                
DAYTON HUDSON        COM    239753 10 6     893   13,400   X                       1      X                
CORP
DELL COMPUTER        COM    247025 10 9   1,251   30,600   X                       1      X                
CORP
DISNEY WALT CO       COM    254687 10 6   1,276   41,000   X                       1      X                
DUKE ENERGY CORP     COM    264399 10 6     710   13,000   X                       1      X                
EATON CORP           COM    278058 10 2   2,674   37,400   X                       1      X                
EDISON INTL          COM    281020 10 7     690   31,000   X                       1      X                
ELECTRONIC           COM    285798 10 4     152   19,300   X                       1      X                
PROCESSING INC.
EQUITABLE COS INC    COM    29444G 10 7   5,950   85,000   X                       1      X                
EXXON CORP           COM    302290 10 1   1,806   25,600   X                       1      X                
FPL GROUP INC        COM    302571 10 4   1,065   20,000   X                              X                
FEDERAL SIGNAL       COM    313855 10 8   1,286   61,616   X                       1      X                
CORP
FIFITH THIRD         COM    316773 10 0   1,055   16,000   X                       1      X                
BANCORP
FIRST AMER CORP      COM    318900 10 7   2,950   79,999   X                              X                
TENN
FIRST DATA CORP      COM    319963 10 4   7,054  165,000   X                       1      X                
FIRST UN CORP        COM    337358 10 5   4,567   85,456   X                       1      X                
FISTAR CORP          COM    33763V 10 9   6,426   71,800   X                       1      X                
FIRSTAR CORP         COM    33763V 10 9  21,480  240,000   X                              X                
FLAGSTAR BANCORP     COM     3379301 01   1,110   46,000   X                       1      X                
INC
FOOD LION INC       CL B    344775 10 1   2,313  257,000   X                       1      X                
FOOD LION INC       CL A    344775 20 0   1,288  140,000   X                       1      X                
FORD MTR CO          COM    345370 10 0   7,517  132,461   X                       1      X                
FOUNDATION HEALTH    COM    350404 10 9   1,399  114,800   X                       1      X                
SYS INC
FREEPORT MCMORAN  PFD SER C 35671D 60 0   1,291   84,300   X                       1      X                
COPPER & GOLD
FREEPORT MCMORAN    CL B    35671D 85 7     326   30,000   X                              X                
GOLD & COPPER
FURRS BISHOP INC     COM    361115 50 4     977  919,240   X                              X                
GTE CORP             COM    362320 10 3     816   13,484   X                              X                
GTE CORP DELAWAR  PFD 8.75% 36232E 30 1   1,023   40,000   X                       1      X                
                    SER B
GENERAL ELEC CO      COM    369604 10 3  13,839  125,100   X                       1      X                
GILLETTE CO          COM    375766 10 2     594   10,000   X                       1      X                
HANSON PLC           COM    411352 40 4   2,888   65,625   X                       1      X                
HEALTHSOUTH CORP     COM    421924 10 1   2,698  260,000   X                       1      X                
HERCULES INC         COM    427056 10 6   1,894   75,000   X                       1      X                
HEWLETT PACKARD CO   COM    428236 10 3   6,713   99,000   X                       1      X
HOME DEPOT INC.      COM    437076 10 2   1,525   24,500   X                       1      X                
HONEYWELL INC        COM    438506 10 7   1,327   17,500   X                       1      X                
HUMANA INC           COM    444859 10 2   3,593  208,300   X                       1      X                
INTEL CORP           COM    458140 10 0  11,865   99,600   X                       1      X                
INTERNATIONAL        COM    459200 10 1   1,595    9,000   X                       1      X                
BUSINESS MACHS
JDN RLTY CORP        COM    465917 10 2   1,988  100,000   X                       1      X                
JOHNSON & JOHNSON    COM    478160 10 4   2,623   28,000   X                       1      X                
KENDLE               COM    48880L 10 7   2,968  147,500   X                       1      X                
INTERNATIONAL INC
KMART FING I      PFD TR CV 498778 20 8     998   16,500   X                       1      X                
                    7.75%
KROGER CO            COM    501044 10 1     575    9,600   X                       1      X                
LEHMAN BROS HLDS     COM    524908 10 0     657   11,000   X                       1      X                
INC
LILLY ELI & CO       COM    532457 10 8   4,244   60,000   X                       1      X                
LO-JACK CORP         COM    539451 10 4     154   20,100   X                       1      X                
LOUIS DREYFUS NAT    COM    546011 10 7   3,637  250,800   X                       1      X                
GAS CORP
MGIC INVT CORP       COM    552848 10 3   4,839  138,000   X                       1      X                
WIS
MANPOWER INC         COM    56418H 10 0   4,126  176,500   X                       1      X                
MAPINFO CORP         COM    565105 10 3     346   24,600   X                       1      X                
MASTEC INC           COM    576323 10 9     891   38,749   X                       1      X                
MCDONALDS CORP       COM    580135 10 1     566   12,500   X                       1      X                
MCLEOD USA INC       COM    582266 10 2   1,340   31,907   X                              X                
MELLON BK CORP       COM    585509 10 2   4,750   67,500   X                       1      X                
MERCK & CO INC       COM    589331 10 7   2,951   36,800   X                       1      X                
MICROSOFT CORP       COM    594918 10 4  15,236  170,000   X                       1      X                
MINERALS             COM    603158 10 6   3,062   63,800   X                       1      X                
TECHNOLOGIES INC
MIRAGE RESORTS       COM    60462E 10 4   2,125  100,000   X                       1      X                
INC
MONSANTO CO          COM    611662 10 7   5,779  125,800   X                       1      X                
MOTOROLA INC         COM    620076 10 9     535    7,300   X                       1      X                
MYLAN LABS INC       COM    628530 10 7   4,198  153,000   X                       1      X                
NCR CORP             COM    62886E 10 8   2,130   42,600   X                       1      X                
NATIONAL          CAPS UTS  632525 30 9   2,004   64,000   X                       1      X                
AUSTRALIA BK LTD   EXCHBL
NATIONAL HEALTH      COM    63633D 10 4     613   28,500   X                       1      X                
INVS INC
NEWELL CO            COM    651192 10 6   4,299   90,500   X                       1      X                
NORFOLK SOUTHERN     COM    655844 10 8     290   11,000   X                       1      X                
CORP
SEIM INDUSTRIES      COM    656673 10 1     114   16,000   X                       1      X                
INC (NOREX)
NORTHERN TELECOM     COM    665815 10 6   1,216   19,575   X                              X                
LTD
OCCIDENTAL PETE      COM    674599 10 5   1,582   87,873   X                              X                
CORP
ORACLE CORP          COM    68389X 10 5   1,886   71,500   X                       1      X                
OWENS ILL INC        COM    690768 40 3   5,750  230,000   X                       1      X                
PALL CORP            COM    696429 30 7   1,573   95,000   X                       1      X                
PHILLIP MORRIS       COM    718154 10 7     721   20,500   X                       1      X                
COS INC
PROCTER & GAMBLE     COM    742718 10 9   1,557   15,900   X                       1      X                
CO
RAYTHEON CO          COM    755111 40 8   5,018   85,600   X                       1      X                
REGAL BELOIT CORP    COM    758750 10 3   1,293   71,600   X                       1      X                
REYNOLDS &          CL A    761695 10 5   3,680  193,700   X                       1      X                
REYNOLDS CO
ROYAL DUTCH PETE   NY REG   780257 80 4   1,430   27,500   X                       1      X                
CO                 GLD1.25
SBC                  COM    78387G 10 3   1,951   41,400   X                       1      X                
COMMUNICATIONS INC
SPDR TR           UNIT SER1 78462F 10 3   3,932   30,600   X                       1      X                
SANTA FE ENERGY      COM    802012 10 4     170   23,200   X                       1      X                
RES INC
SARA LEE CORP        COM    803111 10 3     792   32,000   X                       1      X                
SCHEING PLOUGH CORP  COM    806605 10 1   1,388   25,100   X                       1      X 
SCHLUMBERGER LTD     COM    806857 10 8   9,040  150,200   X                       1      X                
SEAGATE              COM    811804 10 3   2,782   94,116   X                       1      X              
TECHNOLOGY
SOLECTRON CORP       COM    834182 10 7   4,516   92,984   X                       1      X                
SOURCE INFORMATION   COM    836151 20 9     250   20,500   X                       1      X                
MGMT CO
SPRINT CORP          COM    852061 10 0   1,223   12,465   X                              X                
SUIZA FOODS CORP     COM    865077 10 1   2,678   79,487   X                              X                
SUN MICROSYSTEMS     COM    866810 10 4  14,993  120,000   X                       1      X                
INC
SYMBOL               COM    871508 10 7   3,105   69,000   X                       1      X                
TECHNOLOGIES INC
TESORO PETE CORP     COM    881609 10 1   2,989  271,700   X                       1      X                
TEXAS INSTRS INC     COM    882508 10 4  12,506  126,000   X                       1      X                
THRONBUTG MTG        COM    885218 10 7     138   16,000   X                       1      X                
ASSET CORP
3COM CORP            COM    885535 10 4   2,017   86,500   X                       1      X                
TRANSOCEAN           COM    893817 10 6   4,287  148,800   X                       1      X                
OFFSHORE INC
TYCO INTL LTD        COM    902124 10 6     366    5,100   X                       1      X                
USX-MARATHON         COM    902905 82 7     523   19,000   X                       1      X                
GROUP
UNISYS CORP       PFD A CV  909214 20 7     876   16,883   X                       1      X                
                    $3.75
UNITED HEALTHCARE    COM    910581 10 7   5,263  100,000   X                       1      X                
CORP
WAL MART STORES      COM    931142 10 3   1,051   11,400   X                       1      X                
INC
WALBRO  CAP TR    PFD CONV  931152 20 1     181   10,000   X                       1      X                
                    TR 8%
WARNACO GROUP INC   CL A    934390 10 5   3,950  160,000   X                       1      X                
WARNER LAMBERT CO    COM    934488 10 7     953   14,400   X                       1      X                
WASHINGTON MUT INC   COM    939322 10 3   4,088  100,000   X                       1      X 
WATSON               COM    942683 10 3   4,413  100,000   X                       1      X                
PHARMACEUTICAL INC
WEYERHARUSER CO      COM    962166 10 4     333    6,000   X                       1      X                
WHITNEY HLDG CORP    COM    966612 10 3   1,438   22,500   X                              X                
WILLIAMS COS INC     COM    969457 10 0   6,893  174,500   X                       1      X                
WISCONSIN CENT       COM    976592 10 5     217  200,000   X                       1      X                
TRANSN CORP
WORTHINGTON INDS     COM    981811 10 2   1,763  150,000   X                       1      X                
INC
XEROX CORP           COM    984121 10 3   7,259  136,000   X                       1      X                
ZEBRA               CL A    989207 10 5   1,632   68,700   X                       1      X                
TECHNOLOGIES CORP
DAIMLERCHRYSLER      COM    D1668R 12 3   4,767   55,549   X                       1      X 
AGGREGATE TOTAL                          518,129                                                            
</TABLE>
                          




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