CONNOR CLARK & CO LTD ET AL
13F-HR/A, 1999-08-20
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Form 13F
Form 13F Cover Page

Report for the Calendar Year or Quarter Ended: June 30,1999


Institutional Investment Manager Filing this Report:

Name:      Connor Clark & Co. Ltd.
Address:   40 King Street West
                 Suite 5110
                 Toronto, Ontario
                  Canada M5H 3Y2

13F File Number:005-36908

The institutional investment manager filing this report and the
person by whom it is signed hereby represent that the person
signing the report is authorized to submit it, that all
information contained herein is true, correct and complete, and
that it is understood that all required items,statements,
schedules,lists and tables are considered integral parts of
this form.

Person Signing this Report on Behalf of Reporting Manager:



Name: John Clark
Title: Chairman and CEO
Phone: (416) 360-0006
Signature, Place and Date of Signing:

John Clark  Toronto, Ontario August 16,1999

Report Type ( check one)
X                    13F Holdings Report
                       13F Notice
                       13F Combination Report

FORM 13F SUMMARY PAGE

Report Summary:

Number of other Included Managers: 0

Form 13F Information Table Entry Total: 102

Form 13F Information Table Value Total: $99,079,000

June 30,1999                             FORM 13F INFORMATION TABLE
NAME OF ISSUER        TITLE  CUSIP  VALUE SHARES/SH/PUTINVSTMTOTHER VOTING
                      CLASS         (X1,0 PRN AMTPRNCALDSCRETNMNGERSAUTHORITY

AT & T CORP            COM  00195710 204         SH     Sole        Sole
ADOBE SYSTEMS          COM  00724f10 329         SH     Sole        Sole
AGNICO EAGLE 3.50% 27J  CV  008474AA11,20 18,367,PRN    Sole        Sole
AIR CANADA CL-A NVS    CL-A 008911306,6271,274,50SH     Sole        Sole
AGRIUM  INC            COM  00891610  657 74,500 SH     Sole        Sole
ALBERTA ENERGY CO LTD  COM  012873101,865 57,718 SH     Sole        Sole
AMAZON.COM INC.        COM  02313510(375) (3,000)SH     Sole        Sole
AMERICAN HOME PRODUCTS COM  026609101,239        SH     Sole        Sole
AMWAY JAPAN LTD        COM  03234J10  60         SH     Sole        Sole
AMWEST  INSURANCE GROU COM  032345101,827      19SH     Sole        Sole
APOLLO GRP INC. CL-A   CL-A 03760410(239)        SH     Sole        Sole
AUTODESK INC.          COM  052769103,069      10SH     Sole        Sole
BCE INC                COM  05534B105,978      12SH     Sole        Sole
BFC CONSTRUCTION CORP  COM  05493810 916       12SH     Sole        Sole
BK OF MNTRL            COM  06367110 454         SH     Sole        Sole
BERKSHIRE HATHAWAY     CL-A 08467010 206         SH     Sole        Sole
BLACKROCK NORTH AMR    COM  09247510 813         SH     Sole        Sole
BRISTOL MYERS SQUIBB   COM  11012210 352         SH     Sole        Sole
CALL-NET ENTRPRS CL-B CL-B N13091020 466         SH     Sole        Sole
CANADIAN PACIFIC LTD   COM  13592310 271         SH     Sole        Sole
CDN IMPERIAL BK COMMER COM  136069101,590        SH     Sole        Sole
CANADIAN OCCIDENTAL PE COM  13642010 249         SH     Sole        Sole
CHEVRON CORPORATION    COM  16675110 619         SH     Sole        Sole
COCA COLA              COM  19121610(788)       (SH     Sole        Sole
COMAIR HOLDINGS        COM  19978910 211         SH     Sole        Sole
COTT CORP              COM  22163N101,431      39SH     Sole        Sole
CROSS A T CO CL-A      CL-A 22747810  64         SH     Sole        Sole
DELL COMPUTER CORP     COM  24702510 681        (SH     Sole        Sole
EBAY INC.              COM  27864210(422)        SH     Sole        Sole
EDPERBRASCAN CORP     CL-A  280905802,350      10SH     Sole        Sole
ENCAL ENERGY LTD       COM  29250D10  66         SH     Sole        Sole
ENBRIDGE               COM  29250N10 978         SH     Sole        Sole
FRENCH FRAGRANCES      COM  35765810 279         SH     Sole        Sole
GTE CORP               COM  36232010 264         SH     Sole        Sole
GENERAL ELECTRIC       COM  36960410 240         SH     Sole        Sole
GLENAYRE TECHS INC     COM  37789910  73         SH     Sole        Sole
GOLDCORP INC CL-A SVS CL A N38095610 154         SH     Sole        Sole
GOLDCORP INC. CL-B MV  CL-B 38095620 103         SH     Sole        Sole
GRUPO MEX DESARROLL ADADR B 40048G10   0         SH     Sole        Sole
GRUPO MEX DESARROLL ADADR L 40048G20   0         SH     Sole        Sole
HANOVER DIRECT INC     COM  41078310  70         SH     Sole        Sole
HUBBELL INC CL B       CL B 44351020 817         SH     Sole        Sole
IMPERIAL OIL LIMITED   COM  45303840 635         SH     Sole        Sole
INCO LTD               COM  45325840 547         SH     Sole        Sole
INCO LTD 7.75% US CV 1  CV  453258AH 100       11PRN    Sole        Sole
INTEL CORPORATION      COM  45814010(1,02       (SH     Sole        Sole
INPUT/OUTPUT           COM  457652101,639      21SH     Sole        Sole
INTERTAN INC           COM  46112010 546         SH     Sole        Sole
IPSCO INC              COM  462622101,733        SH     Sole        Sole
JANNOCK LTD            COM  47088880 292         SH     Sole        Sole
KELLY SERVICES INC CL- CL-A 488152209,758      30SH     Sole        Sole
LAIDLAW INC            COM  50730K503,330      45SH     Sole        Sole
LANDS END INC          COM  515086105,087      10SH     Sole        Sole
LASALLE HLDGS. INC     COM  G5383Q104,905      28SH     Sole        Sole
LEHMAN BROS HLDGS      COM  52490810 311         SH     Sole        Sole
LILLIAN VERNON CORP    COM  532430104,248      32SH     Sole        Sole
LUCENT TECH INC.       COM  54946310 418         SH     Sole        Sole
MACKENZIE FINANCIAL CO COM  55453110(350)       (SH     Sole        Sole
MAGNA INTL INC. CL-A   CL-A 55922240(596)       (SH     Sole        Sole
MEDTRONIC INC          COM  58505510 779         SH     Sole        Sole
MICROSOFT              COM  59491810(1,71       (SH     Sole        Sole
MIRAMAR MINING CORP    COM  60466E10  49         SH     Sole        Sole
MOORE CORP             COM  615785101,757      20SH     Sole        Sole
NEWCOURT CREDIT GRP IN COM  65090510(1,00       (SH     Sole        Sole
NORDSTROM INC          COM  65566410 302         SH     Sole        Sole
NORTHERN TRUST CORP    COM  66585910(243)        SH     Sole        Sole
NOVA CHEMICALS CORP    COM  66977W10 292         SH     Sole        Sole
OCELOT ENGY CL-B SV    CL-B 67551T204,161   2,485SH     Sole        Sole
OCCIDENTAL PETE $3 CV   CV  67459979 220         SH     Sole        Sole
OLSTEN CORP            COM  68138510 111         SH     Sole        Sole
PLD TELEKOM INC        COM  69340T10  63         SH     Sole        Sole
PETRO-CDA VAR/VTG      COM  71644E10 248         SH     Sole        Sole
PHILIP MORRIS COS INC  COM  718154103,803        SH     Sole        Sole
PIER ONE IMPORTS       COM  72027910 253         SH     Sole        Sole
PRECISION DRILLING COR COM  74022D10  295        SH     Sole        Sole
PROCTOR & GAMBLE CO    COM  74271810 286         SH     Sole        Sole
RALSTON PURINA GROUP   COM  75127730(203)        SH     Sole        Sole
RAYTHEON CO CL-B       CL-B 75511140 211         SH     Sole        Sole
REDWOOD TRUST INC      COM  758075401,786      10SH     Sole        Sole
RIO ALGOM LTD.         COM  76688910 245         SH     Sole        Sole
ROBERT HALF INTL INC.  COM  77032310(520)       (SH     Sole        Sole
ROYAL BANK OF CANADA   COM  780087101,607        SH     Sole        Sole
STAND & POORS DEP RCPT COM  78462F101,582        SH     Sole        Sole
SEAGRAM CO LTD         COM  81185010 227         SH     Sole        Sole
SPIEGEL INC CL-A       COM  84845710 287         SH     Sole        Sole
SUNCOR INC             COM  86722910 326         SH     Sole        Sole
SWIFT ENERGY 6.25% 15N  CV  870738AB 579       75PRN    Sole        Sole
TVX GOLD INC.          COM  87308K10  19         SH     Sole        Sole
TELEBRAS HOLDINGS CO   COM  87928730 577         SH     Sole        Sole
THERMO TECH TECHN INC. COM  88360H10  22       32SH     Sole        Sole
TD BANK                COM  891160501,140        SH     Sole        Sole
TRANSCANADA PIPELINES  COM  893526101,881      13SH     Sole        Sole
WTS-TRIZEC HAHN -A 26J WTS  89693811 538       22SH     Sole        Sole
USX-US STEEL GROUP     COM  90337T10 257         SH     Sole        Sole
UNTD ASSET MANAGEMENT  COM  90942010(330)       (SH     Sole        Sole
US BANCORP -DEL-       COM  90297310 539         SH     Sole        Sole
UNITED HEALTHCARE CORP COM  910581101,403        SH     Sole        Sole
VLSI TECH 8.25% 01OCT0  CV  918270AB 333       32PRN    Sole        Sole
WACHOVIA CORP          COM  92977110 214         SH     Sole        Sole
WAL MART STORES INC    COM  93114210 290         SH     Sole        Sole
WEYERHAEUSER CO        COM  96216610 206         SH     Sole        Sole
WIND RIVER SYS INC.    COM  97314910(321)       (SH     Sole        Sole

FINAL TOTAL (All Pages)             99,07 28,191,807




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