OHIO NATIONAL LIFE INSURANCE CO
13F-HR, 2000-02-11
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[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
December 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    11  day of   February, 2000.

Name of Institutional Investment Manager:
Chris Carlson

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:        137
Table Value Total:      $348,032

Name of Reporting Manager
THE OHIO NATIONAL LIFE INSURANCE COMPANY

<TABLE>
                                                                     Item 6:                         Item 8:
Item 1:                                      Item 4:  Item 5:       Investment                       Voting
Name of Issuer         Item 2:   Item 3:      Fair    Shares        Discretion         Item 7:     Auhtority
                        Title                Market     of                      (c)   Managers     (shares)
                         of       CUSIP      Value   Principal  (a)     (b)    Shared    See    (a)  (b)   (c)
                        Class    Number        $      Amount    Sole   Shared  Other   Instr.V Sole Shared None
<S>                      <C>   <C>          <C>          <C>     <C>     <C>     <C>      <C>    <C>   <C>  <C>
A D C                    COM   000886 10 1  3,265,313    45,000   X                        1      X
TELECOMMUNICATIONS
AT & T CORP              COM   001957 10 9  1,827,000    36,000   X                        1      X
ABBOTT LABS              COM   002824 10 0  2,033,500    56,000   X                        1      X
ALTERA CORP              COM   021441 10 0    247,813     5,000   X                        1      X
AMERICA ONLINE INC       COM   02364J 10 4    942,969    12,500   X                        1      X
AMERICAN EXPRESS CO      COM   025816 10 9  4,256,000    25,600   X                        1      X
AMERICAN INTL GROUP      COM   026874 10 7  6,960,439    64,374   X                        1      X
INC
AMERICAN PWR             COM   029066 10 7  1,239,625    47,000   X                        1      X
CONVERSION CORP
AMGEN INC                COM   031162 10 0  1,297,350    21,600   X                        1      X
AMSOUTH                  COM   032165 10 2  2,890,656   149,678   X                               X
BANCORPORATION
ANALOG DEVICES INC       COM   032654 10 5  3,099,969    33,333   X                        1      X
APACHE CORP              COM   037411 10 5    221,625     6,000   X                        1      X
APPLIED MALS INC         COM   038222 10 5  1,684,944    13,300   X                        1      X
ASSOCIATED GROUP INC    CL B   045651 20 5  1,840,000    20,000   X                        1      X
ASSOCIATES FIRST CAP    CL A   046008 10 8  3,141,868   114,510   X                        1      X
CORP
AXA FINANCIAL INC        COM   002451 10 2  1,693,750    50,000   X                        1      X
BANK ONE CORP            COM   06423A 10 3  1,324,181    41,300   X                        1      X
BANK AMERICA CORP        COM   060505 10 4  2,260,947    45,050   X                        1      X
BAXTER INTL INC          COM   071813 10 9  2,104,219    33,500   X                        1      X
BELL ATLANTIC CORP       COM   077853 10 9  3,121,219    50,700   X                        1      X
BIOVAIL INTL             COM   09097K 10 6    234,375     2,500   X                        1      X
BOEING CO                COM   097023 10 5  1,192,844    28,700   X                        1      X
BOSTON SCIENTIFIC        COM   101137 10 7  1,080,625    49,400   X                        1      X
CORP
CBS CORP                 COM   12490K 10 7 13,107,188   205,000   X                               X
CBS CORP                 COM   12490K 10 7  2,595,863    40,600   X                        1      X
CNF TRANSN INC           COM   12612W 10 4    828,000    24,000   X                        1      X
CAMPBELL SOUP CO         COM   134429 10 9    657,688    17,000   X                        1      X
CATALYTICA INC           COM   148885 10 6  1,220,625    90,000   X                        1      X
CHASE MANHATTAN CORP     COM   16161A 10 8  4,940,925    63,600   X                        1      X
CIRCUITY CITY STORE      COM   172737 10 8    581,306    12,900   X                        1      X
INC
CISCO SYS INC            COM   17275R 10 2 23,663,913   220,900   X                        1      X
CINTAS CORP              COM   172908 10 5  8,659,375   163,000   X                               X
CITIGROUP INC            COM   172967 10 1    750,094    13,500   X                        1      X
CITRIX SYS INC           COM   177376 10 0    774,900     6,300   X                        1      X
CLAYTON HOMES INC        COM   184190 10 6  1,284,238   139,781   X                        1      X
COASTAL CORP             COM   190441 10 5    248,063     7,000   X                        1      X
COCA COLA CO             COM   191216 10 0  1,864,000    32,000   X                        1      X
COMMERCIAL NET LEASE     COM   202218 10 3    477,000    48,000   X                        1      X
RLTY INC
COMPUTER ASSOC INTL      COM   204912 10 9  4,825,688    69,000   X                        1      X
INC
CONAGRA CAPITAL INC     PFD C  20588V 40 6    670,500    28,000   X                        1      X
CONSUMERS ENERGY      PFD 8.20%21052A 20 9    907,500    44,000   X                        1      X
CYMER INC                COM   232572 10 7    573,528    12,468   X                               X
CTS CORP                 COM   126501 10 5    731,138     9,700   X                        1      X
DAYTON HUDSON CORP       COM   239753 10 6  3,238,594    44,100   X                        1      X
DELL COMPUTER CORP       COM   247025 10 9  5,334,600   104,600   X                        1      X
DISNEY WALT CO           COM   254687 10 6  1,959,750    67,000   X                        1      X
DUKE ENERGY CORP         COM   264399 10 6  1,002,500    20,000   X                        1      X
E M C CORP MASS          COM   268648 10 2  5,167,525    47,300   X                        1      X
EATON CORP               COM   278058 10 2  1,525,125    21,000   X                        1      X
EDISON INTL              COM   281020 10 7    858,950    32,800   X                        1      X
EXXON MOBIL CORP         COM   30231G 10 2  2,964,700    36,800   X                        1      X
FIFITH THIRD BANCORP     COM   316773 10 0  1,401,463    19,100   X                        1      X
FIRSTAR CORP             COM   33763V 10 9  1,995,045    94,440   X                        1      X
FIRSTAR CORP             COM   33763V 10 9 15,210,000   720,000   X                               X
FLAGSTAR CAPITAL      PFD 8.5% 33847R 20 7    937,500    50,000   X                        1      X
FLEET BOSTON             COM   339030 10 8  1,368,549    39,312   X                               X
FINANCIAL CORP
FLEET BOSTON             COM   339030 10 8  1,496,938    43,000   X                        1      X
FINANCIAL CORP
FORD MTR CO              COM   345370 10 0  4,263,083    79,777   X                        1      X
FREEPORT MCMORAN GOLD   CL B   35671D 85 7    633,750    30,000   X                               X
& COPPER
FURRS BISHOPS INC        COM   361115 50 4    563,035   183,848   X                               X
GTE CORP                 COM   362320 10 3    951,465    13,484   X                               X
GTE CORP DELAWAR      PFD 8.75%36232E 30 1    990,000    40,000   X                        1      X
                        SER B
GAP INC                  COM   364760 10 8    761,300    16,550   X                        1      X
GENERAL ELEC CO          COM   369604 10 3  9,563,550    61,800   X                        1      X
GILLETTE CO              COM   375766 10 2    494,250    12,000   X                        1      X
GLOBALSTAR               COM   G3930H 10 4  1,944,800    44,200   X                        1      X
TELECOMMUNICATIONS
HALLIBURTON CO           COM   406216 10 1    201,250     5,000   X                        1      X
HEWLETT PACKARD CO       COM   428236 10 3  6,334,925    55,600   X                        1      X
HOME DEPOT INC.          COM   437076 10 2  3,897,778    56,850   X                        1      X
HONEYWELL INTL INC       COM   438516 10 6  4,095,813    71,000   X                        1      X
INFINITY BROADCASTING   CL A   45662S 10 2  1,881,750    52,000   X                        1      X
CORP
INTEL CORP               COM   458140 10 0  8,659,275   105,200   X                        1      X
IBM                      COM   459200 10 1  5,443,200    50,400   X                        1      X
JDN RLTY CORP            COM   465917 10 2    806,250    50,000   X                        1      X
JOHNSON & JOHNSON        COM   478160 10 4  3,389,750    36,400   X                        1      X
KERR MCGEE CORP          COM   492386 10 7    396,800     6,400   X                        1      X
KROGER CO                COM   501044 10 1    468,100    24,800   X                        1      X
LCA-VISION INC           COM   501803 20 9     93,750    20,000   X                        1      X
LEHMAN BROS HLDGS INC    COM   524908 10 0  1,227,969    14,500   X                        1      X
LILLY ELI & CO           COM   532457 10 8  1,995,000    30,000   X                        1      X
MCI WORLDCOM INC         COM   55268B 10 6  5,094,000    96,000   X                        1      X
MGIC INVT CORP WIS       COM   552848 10 3  3,009,375    50,000   X                        1      X
MANPOWER INC             COM   56418H 10 0  2,389,187    63,500   X                        1      X
MAPINFO CORP             COM   565105 10 3    275,625     7,500   X                        1      X
MASTEC INC               COM   576323 10 9    208,572     4,687   X                        1      X
MCDONALDS CORP           COM   580135 10 1    616,781    15,300   X                        1      X
MCLEOD USA INC           COM   582266 10 2  3,757,049    63,814   X                               X
MCLEOD USA INC           COM   582266 10 2    294,375     5,000   X                        1      X
MEDIAONE GROUP INC       COM   58440J 10 4  3,663,956    47,700   X                        1      X
MEDIMUNNE INC            COM   584699 10 2    215,638     1,300   X                        1      X
MERCK & CO INC           COM   589331 10 7  5,123,575    76,400   X                        1      X
MICROSOFT CORP           COM   594918 10 4 11,114,600    95,200   X                        1      X
MONSANTO CO              COM   611662 10 7  2,625,562    73,700   X                        1      X
NASDAQ 100 SHARES        COM   631100 10 4  5,683,525    31,100   X                        1      X
NCR CORP                 COM   62886E 10 8  1,742,250    46,000   X                        1      X
NATIONAL AUSTRALIA BK CAPS UTS 632525 30 9    939,250    34,000   X                        1      X
LTD                    EXCHBL
NOKIA CORP           SPONSORED 654902 20 4    665,000     3,500   X                        1      X
                         ADR
NORFOLK SOUTHERN CORP    COM   655844 10 8    369,000    18,000   X                        1      X
NORTHERN TELECOM LTD     COM   665815 10 6  3,954,150    39,150   X                               X
OCCIDENTAL PETE CORP     COM   674599 10 5  1,900,254    87,873   X                               X
ORACLE CORP              COM   68389X 10 5  4,661,800    41,600   X                        1      X
QUALCOMM INC             COM   747525 10 3  2,256,000    12,800   X                        1      X
PHILLIP MORRIS COS       COM   718154 10 7    556,500    24,000   X                        1      X
INC
PROCTER & GAMBLE CO      COM   742718 10 9  2,246,031    20,500   X                        1      X
PROVIDENT CAPITAL TR     PFD   74386E 20 7    600,000    30,000   X                        1      X
II                     7.875%
                         SUB
REYNOLDS & REYNOLDS     CL A   761695 10 5  1,507,500    67,000   X                        1      X
CO
ROHN IND.                COM   775381 10 6    367,868   127,954   X                               X
ROYAL DUTCH PETE CO    NY REG  780257 80 4  2,006,525    33,200   X                        1      X
                       GLD1.25
SBC COMMUNICATIONS       COM   78387G 10 3  4,684,875    96,100   X                        1      X
INC
SPDR TR               UNIT SER 78462F 10 3  6,704,844    45,650   X                        1      X
                          1
SARA LEE CORP            COM   803111 10 3    871,469    39,500   X                        1      X
SCHEING PLOUGH CORP      COM   806605 10 1  1,244,531    29,500   X                        1      X
SCHLUMBERGER LTD         COM   806857 10 8  3,939,188    70,030   X                        1      X
SOLECTRON CORP           COM   834182 10 7    456,600     4,800   X                        1      X
SOVEREIGN BANCORP INC    COM   845905 10 8    447,187    60,000   X                        1      X
SOVEREIGN BANCORP INC    PFD    845905306   1,259,375    25,000   X                        1      X
                      INCOME EQ
                         RED
SPRINT CORP              COM   852061 10 0  1,678,100    24,930   X                               X
SUIZA FOODS CORP         COM   865077 10 1  3,149,672    79,487   X                               X
SUN MICROSYSTEMS INC     COM   866810 10 4  6,272,437    81,000   X                        1      X
TESORO PETE CORP         COM   881609 10 1  1,098,437    95,000   X                        1      X
TEXAS INSTRS INC         COM   882508 10 4  7,507,813    77,500   X                        1      X
THOMAS & BETTS CORP      COM   884315 10 2  1,029,563    32,300   X                        1      X
TRANSOCEAN SEDCO         COM   G90078 10 9    457,672    13,584   X                        1      X
FOREX INC
TYCO INTL LTD            COM   902124 10 6  3,421,000    88,000   X                        1      X
USX-MARATHON GROUP       COM   902905 82 7    765,312    31,000   X                        1      X
UNISYS CORP              COM   909214 10 8  1,855,321    58,092   X                        1      X
UNITED POSTAL            COM   911312 10 6  1,518,000    22,000   X                        1      X
SERVICES Cl B
USEC INC                 COM   90333E 10 8  1,645,000   235,000   X                        1      X
WAL MART STORES INC      COM   931142 10 3  1,866,375    27,000   X                        1      X
WARNACO GROUP INC       CL A   934390 10 5    714,125    58,000   X                        1      X
WARNER LAMBERT CO        COM   934488 10 7  2,089,406    25,500   X                        1      X
WATSON                   COM   942683 10 3  1,898,063    53,000   X                        1      X
PHARMACEUTICALS INC
WEYERHARUSER CO          COM   962166 10 4    574,500     8,000   X                        1      X
WHITNEY HLDG CORP        COM   966612 10 3    833,906    22,500   X                               X
WILLIAMS COMM GROUP      COM   969455 10 4    520,875    18,000   X                        1      X
INC
WILLIAMS COS INC         COM   969457 10 0    519,563    17,000   X                        1      X
XEROX CORP               COM   984121 10 3    324,431    14,300   X                        1      X
AGGREGATE TOTAL                           348,032,427


</TABLE>


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