OHIO NATIONAL LIFE INSURANCE CO
13F-HR, 2000-11-02
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                        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       September 30,2000

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      24
day of     October, 2000.

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:        127
Table Value Total:      $333,862


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

                                              Item 4:               Item 6:                    Item 8:
                        Item 2:               Fair      Item 5:    Investment      Item 7:     Voting
                        Title     Item 3:     Market   Shares of   Discretion      Managers  Authority
Item 1:                  of       CUSIP       Value    Principal   (a)  (b) (c)     See      (a)  (b) (c)
Name of Issuer          Class     Number         $       Amount    Sole            Instr.V   Sole

<S>                      <C>    <C>           <C>         <C>       <C> <C> <C>       <C>     <C> <C> <C>
A D C                    COM    000886 10 1   4,454,432    165,650   X                 1       X
TELECOMMUNICATIONS
AT & T CORP              COM    001957 10 9   2,090,031     71,150   X                 1       X
AT & T CORP LIBERTY      COM    001957 20 8   2,183,112    121,284   X                 1       X
MEDIA
ALCOA INC                COM    013817 10 1     232,875      9,200   X                 1       X
AGILENT TECHNOLOGIES     COM    00846U 10 1     300,476      6,140   X                 1       X
ALTERA CORP              COM    021441 10 0   2,946,175     61,700   X                 1       X
AMDOCS LTD               COM    002256 90 8   2,183,125     35,000   X                 1       X
AMERICA ONLINE INC       COM    02364J 10 4   1,263,125     23,500   X                 1       X
AMERICAN EXPRESS CO      COM    025816 10 9   2,533,275     41,700   X                 1       X
AMERICAN INTL GROUP      COM    026874 10 7   9,239,585     96,560   X                 1       X
INC
AMGEN INC                COM    031162 10 0   1,679,366     24,050   X                 1       X
AMSOUTH BANCORPORATION   COM    032165 10 2   1,870,975    149,678   X                         X
ANALOG DEVICES INC       COM    032654 10 5   4,678,487     56,666   X                 1       X
APACHE CORP              COM    037411 10 5     354,750      6,000   X                 1       X
APPLIED MATLS INC        COM    038222 10 5     946,034     15,950   X                 1       X
ASSOCIATES FIRST CAP     CL A   046008 10 8   4,826,380    127,010   X                 1       X
CORP
BANK ONE CORP            COM    06423A 10 3   1,610,663     41,700   X                 1       X
BAXTER INTL INC          COM    071813 10 9   3,791,094     47,500   X                 1       X
BOEING CO                COM    097023 10 5   1,814,400     28,800   X                 1       X
BOSTON SCIENTIFIC CORP   COM    101137 10 7     816,944     49,700   X                 1       X
CTS CORP                 COM    126501 10 5   2,921,063     57,700   X                 1       X
CAMPBELL SOUP CO         COM    134429 10 9     310,500     12,000   X                 1       X
CHASE MANHATTAN CORP     COM    16161A 10 8   5,129,122    111,050   X                 1       X
CISCO SYS INC            COM    17275R 10 2   9,928,425    179,700   X                 1       X
CITADEL COMMUNICATIONS   COM    172853 20 2   1,674,313     62,885   X                         X
CORP
CINTAS CORP              COM    172908 10 5  10,651,154    244,500   X                         X
CITIGROUP INC            COM    172967 10 1   5,355,648     99,064   X                 1       X
COASTAL CORP             COM    190441 10 5     296,500      4,000   X                 1       X
COCA COLA CO             COM    191216 10 0   1,764,000     32,000   X                 1       X
COMPUTER ASSOC INTL      COM    204912 10 9     503,750     20,000   X                 1       X
INC
CONAGRA CAPITAL INC     PFD C   20588V 40 6     500,000     20,000   X                 1       X
CYMER INC                COM    232572 10 7     908,242     53,426   X                         X
DALLAS SEMICONDUCTOR     COM    235204 10 4     328,750     10,000   X                 1       X
CORP
DELL COMPUTER CORP       COM    247025 10 9   1,457,431     47,300   X                 1       X
DISNEY WALT CO           COM    254687 10 6   1,770,975     46,300   X                 1       X
DU PONT E I DE NEMOURS   COM    263534 10 9     733,444     17,700   X                 1       X
& CO
DUKE ENERGY CORP         COM    264399 10 6   1,715,000     20,000   X                 1       X
DYNERGY INC              COM    26816Q 10 1     382,618     12,468   X                         X
E M C CORP MASS          COM    268648 10 2   7,394,725     74,600   X                 1       X
EDISON INTL              COM    281020 10 7     633,450     32,800   X                 1       X
EMERSON ELEC CO          COM    291011 10 4     639,850      9,550   X                 1       X
ENRON CORP               COM    293561 10 6   1,752,500     20,000   X                 1       X
EXXON CORP               COM    302290 10 1   3,279,800     36,800   X                 1       X
FIFITH THIRD BANCORP     COM    316773 10 0   1,543,519     28,650   X                 1       X
FIRSTAR CORP             COM    33763V 10 9     405,435     18,120   X                 1       X
FIRSTAR CORP             COM    33763V 10 9     810,824     14,220   X                         X
FLEET BOSTON FINANCIAL   COM    339030 10 8   1,678,898     39,312   X                         X
CORP
FLEET BOSTON FINANCIAL   COM    339030 10 8   1,103,700     28,300   X                 1       X
CORP
FORD MTR CO              COM    345370 10 0     929,156     36,707   X                 1       X
FREEPORT MCMORAN         CL B   35671D 85 7     264,390     30,000   X                         X
COPPER & GOLD
FURRS BISHOP INC         COM    361115 50 4     295,973     10,097   X                         X
GAP INC                  COM    364760 10 8     333,069     16,550   X                 1       X
GENERAL ELEC CO          COM    369604 10 3   9,864,563    171,000   X                 1       X
GENERAL MTRS CORP        CL H   370442 83 2   5,086,224    136,800   X                 1       X
GILLETTE CO              COM    375766 10 2     370,500     12,000   X                 1       X
HALLIBURTON CO           COM    406216 10 1   2,397,938     49,000   X                 1       X
HEWLETT PACKARD CO       COM    428236 10 3   4,811,200     49,600   X                 1       X
HOME DEPOT INC.          COM    437076 10 2   2,743,331     51,700   X                 1       X
HONEYWELL INTL INC       COM    438516 10 6   2,589,938     72,700   X                 1       X
INFINITY BROADCASTING    CL A   45662S 10 2   2,524,500     76,500   X                 1       X
CORP
INTEL CORP               COM    458140 10 0   7,465,444    179,350   X                 1       X
INTERNATIONAL BUSINESS   COM    459200 10 1   5,636,250     50,100   X                 1       X
MACHS
JDS UNIPHASE CORP        COM    46612J 10 1   1,055,766     11,150   X                 1       X
JOHNSON & JOHNSON        COM    478160 10 4   7,599,544     80,900   X                 1       X
KLA-TENCORP CORP         COM    482480 10 0   1,509,522     36,650   X                 1       X
KROGER CO                COM    501044 10 1     627,238     27,800   X                 1       X
LEHMAN BROS HLDGS INC    COM    524908 10 0   1,699,125     11,500   X                 1       X
LUCENT TECHNOLOGIES      COM    549463 10 7   1,048,294     34,300   X                 1       X
INC
MCDONALDS CORP           COM    580135 10 1     489,038     16,200   X                 1       X
MCLEODUSA INC            COM    582266 10 2  16,110,000    720,000   X                         X
MCLEODUSA INC            COM    582266 10 2   1,952,225    136,400   X                 1       X
MEDTRONIC INC            COM    585055 10 6     637,294     12,300   X                 1       X
MERCK & CO INC           COM    589331 10 7   5,147,353     69,150   X                 1       X
MICROSOFT CORP           COM    594918 10 4   4,677,208     77,630   X                 1       X
MOTOROLA INC             COM    620076 10 9   3,178,125    112,500   X                 1       X
NASDAQ 100 SHARES        COM    631100 10 4     737,437      8,315   X                 1       X
NORFOLK SOUTHERN CORP    COM    655844 10 8     263,250     18,000   X                 1       X
NORTEL NETWORKS CORP     COM    656568 10 2   2,037,038     34,200   X                 1       X
NORTEL NETWORKS CORP     COM    656568 10 2   2,740,109    191,442   X                         X
OCCIDENTAL PETE CORP     COM    674599 10 5   4,727,363     78,300   X                         X
ORACLE CORP              COM    68389X 10 5   3,559,500     45,200   X                 1       X
PFIZER INC               COM    717081 10 3   3,151,242     70,125   X                 1       X
PHARMACIA CORP           COM    71713U 10 2   1,486,631     24,700   X                 1       X
PHILLIP MORRIS COS INC   COM    718154 10 7     759,488     25,800   X                 1       X
PINNACLE HOLDINS INC     COM    72346N 10 1   1,916,774     87,873   X                         X
PROCTER & GAMBLE CO      COM    742718 10 9   1,386,900     20,700   X                 1       X
QUALCOMM INC             COM    747525 10 3   1,175,625     16,500   X                 1       X
RADIO SHACK CORP         COM    750438 10 3   2,132,625     33,000   X                 1       X
RF MICRO DEVICES INC     COM    749941 10 0   1,270,688     40,500   X                 1       X
ROHN IND                 COM    775381 10 6     437,868     12,466   X                         X
ROYAL DUTCH PETE CO     NY REG  780257 80 4   3,158,706     52,700   X                 1       X
                       GLD1.25
SBC COMMUNICATIONS INC   COM    78387G 10 3   3,700,000     74,000   X                 1       X
SPDR TR                UNIT SER 78462F 10 3  10,965,769     76,350   X                 1       X
                          1
SARA LEE CORP            COM    803111 10 3     802,344     39,500   X                 1       X
SCHEING PLOUGH CORP      COM    806605 10 1   1,674,000     36,000   X                 1       X
SCHLUMBERGER LTD         COM    806857 10 8   4,724,738     57,400   X                 1       X
SCIENTIFIC ATLANTA INC   COM    808655 10 4   2,245,963     35,300   X                 1       X
SOLECTRON CORP           COM    834182 10 7   4,594,050     99,600   X                 1       X
SPRINT CORP              COM    852061 10 0   1,042,582    142,787   X                         X
SPRINT CORP PCS GROUP    COM    852061 50 6   4,058,845     79,487   X                         X
SUIZA FOODS CORP         COM    865077 10 1     653,138     13,484   X                         X
SUN MICROSYSTEMS INC     COM    866810 10 4   7,658,800     65,600   X                 1       X
TARGET                   COM    87612E 10 6   1,214,625     47,400   X                 1       X
TELLABS INC              COM    876664 10 0   3,013,025     63,100   X                 1       X
TELEPHONES DE MEXICO S   COM    879403 78 0   3,084,875     58,000   X                 1       X
A
TEXAS INSTRS INC         COM    882508 10 4   4,813,125    102,000   X                 1       X
THERNO ELECTRON CORP   SUBDB CV 883556 AF 9     953,750  1,000,000   X                 1       X
                       144A 03
THOMAS & BETTS CORP      COM    884315 10 2     183,966     10,550   X                 1       X
TRANSWITCH CORP          COM    894065 10 1     318,750      5,000   X                 1       X
TYCO INTL LTD            COM    902124 10 6   6,642,594    128,050   X                 1       X
UNILEVER NV              COM    904784 70 9     294,325      6,100   X                 1       X
USX MARATHON GROUP       COM    902905 82 7   1,021,500     36,000   X                 1       X
USINTERNETWORKING INC    COM    917311 80 5     492,707     73,847   X                 1       X
VERIZON COMMUNICATIONS   COM    92343V 10 4   1,075,313     22,200   X                 1       X
VERIZON COMMUNICATIONS   COM    92343V 10 4     389,736    138,548   X                         X
VIACOM INC               CL B   925524 30 8   3,562,650     60,900   X                 1       X
VIACOM INC               CL B   925524 30 8  13,011,863    222,425   X                         X
VITESSE SEMICONDUCTOR    COM    928497 10 6   1,689,813     19,000   X                 1       X
CORP
WAL MART STORES INC      COM    931142 10 3   1,309,000     27,200   X                 1       X
WELLS FARGO & CO         COM    949746 10 1     831,469     18,100   X                 1       X
WEYERHARUSER CO          COM    962166 10 4     323,000      8,000   X                 1       X
WHITNEY HLDG CORP        COM    966612 10 3     817,043     22,500   X                         X
WILLIAMS COS INC         COM    969457 10 0   2,830,750     67,000   X                 1       X
WORLDCOM INC             COM    98157D 10 6   3,655,631    120,350   X                 1       X
XEROX CORP               COM    984121 10 3     215,394     14,300   X                 1       X
YOUNG & RUBICAM          COM    987425 10 5   2,623,500     53,000   X                 1       X
AGGREGATE TOTAL                             333,862,025  8,622,866
</TABLE>



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