-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, OBn1hJcbw2maC1bbvexqfJzTpwzD5UejznerbAkoAFZT26jg+DddjtQS2DDAMrY8 J5dyDNnModXiaG64lE7v0g== /in/edgar/work/20000815/0001010521-00-000385/0001010521-00-000385.txt : 20000922 0001010521-00-000385.hdr.sgml : 20000921 ACCESSION NUMBER: 0001010521-00-000385 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20000630 FILED AS OF DATE: 20000815 FILER: COMPANY DATA: COMPANY CONFORMED NAME: HANCOCK JOHN FINANCIAL SERVICES INC CENTRAL INDEX KEY: 0000736260 STANDARD INDUSTRIAL CLASSIFICATION: [6311 ] FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: SEC FILE NUMBER: 028-05551 FILM NUMBER: 703186 BUSINESS ADDRESS: STREET 1: JOHN HANCOCK PLACE STREET 2: 200 CLARENDON STREET CITY: BOSTON STATE: MA ZIP: 02117 MAIL ADDRESS: STREET 1: JOHN HANCOCK PLACE STREET 2: 200 CLARENDON STREET CITY: BOSTON STATE: MA ZIP: 02117 13F-HR 1 0001.txt JOHN HANCOCK FINANCIAL SERVICES, INC.
File Number 28-630 FORM 13F INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT TO SECTION 13(F) OF THE SECURITIES EXCHANGE ACT OF 1934 AND RULES THEREUNDER Securities and Exchange Commission Washington, D. C. 20549 (Adopted in Release No. 34-14852 (81,610), June 15, 1978. 43 F. R. -.) Report for the Calendar Year or Quarter Ended June 30, 2000 ------------------ If amended report check here: ___________ Name of Institutional Investment Manager: John Hancock Financial Services, Inc. Business Address : P.O. Box 111, John Hancock Place, Boston, MA 02117 Name, Phone No., and Title of Person Duly Authorized to Submit This Report: Eileen Bruckner, Investment Analyst (617)572-9610 - -------------------------------------------------------------------------------- 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 this 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 its behalf in the City of Boston and State of Massachusetts on the 15th day of February, 2000. John Hancock Financial Services, Inc. By: /s/Eileen Bruckner ------------------------------------------------------------------------- Title: Eileen Bruckner, Portfolio Analyst, John Hancock Life Insurance Company Name and 13F file numbers of ALL Institutional Investment Managers with respect to which this schedule is filed (Other than the one filling this report). (List in alphabetical order). Name: 13F File No.: 1. John Hancock Financial Services, Inc. ----------------------------------------------------- 2. John Hancock Life Insurance Company ----------------------------------------------------- 3. Maritime life Assurance ----------------------------------------------------- 4. Venture Capital Management ----------------------------------------------------- 5. Capital Growth Management ----------------------------------------------------- 6. ----------------------------------------------------- 7. ----------------------------------------------------- 8. ----------------------------------------------------- John Hancock Financial Services, Inc. (Effective February 1, 2000, John Hancock Mutual Life Insurance Company was renamed John Hancock Life Insurance Company and became the direct, wholly-owned subsidiary of John Hancock Financial Services, Inc.) June 30, 2000 Item 1 Item 2 Item 3 Item 4 Item 5 Item 6 Item 7 Item 8 - ------------------------------------------------------------------------------------------------------------------------------------ Fair Principal Investment Direction: Manager Voting Authority-Shares Name of Issuer Class Cusip Market or # Sole Shared/ Shared/ Sole Shared None Value of Shares Aff Oth Aber Resources, LTD COM 002916-10-4 76,545 8,100 X 3 8,100 Abitibi Cons COM 003924-10-7 913,921 66,467 X 3 66,467 Able Telecom COM 003712-30-4 591,222 286,653 X 1 286,653 Agnico Eagle Mines, Ltd. COM 008474-10-8 77,190 8,300 X 3 8,300 Agrium Inc COM 008916-10-8 213,512 16,812 X 3 16,812 Air Canada CL A NVTG 008911-30-7 109,613 6,228 X 3 6,228 Alberta Energy Co. COM 012873-10-5 925,181 21,147 X 3 21,147 Alcan Aluminium, ltd COM 013716-10-5 1,395,233 32,900 X 3 32,900 Alliance Atlantis COM 01853E-20-4 51,975 2,700 X 3 2,700 Alliance Forst. Prod. COM 01859J-10-8 81,000 4,500 X 3 4,500 Ampex Corp. COM 032092-10-8 314,624 186,411 X 1 186,411 Architel Sys Corp. COM 039917-10-9 89,470 2,300 X 3 2,300 Ballard Power Systems COM 05858H-10-4 1,970,000 13,300 X 3 13,300 Bank of Montreal COM 06367-11-01 4,112,500 65,800 X 3 65,800 Barrick Gold Corp COM 06790-11-08 1,593,177 59,558 X 3 59558 Beard Company COM 07384R-10-1 565,573 312,040 X 1 312,040 BCE, Inc. COM 05534B-10-9 4,612,140 131,400 X 3 131,400 Bell Canada Intl. COM 077914-10-9 133,300 3,100 X 3 3,100 Bema Gold Corp. COM 08135F-10-7 16,224 20,800 X 3 20,800 Benton Oil & Gas COM 083288-10-0 1,054,688 375,000 X 1 375,000 Bid.Com COM 088788-10-4 30,856 7,600 X 3 7,600 Biochem Pharma COM 09058T-10-8 550,240 15,200 X 3 15,200 Biomira, Inc. COM 09161R-10-6 97,200 7,200 X 3 7,200 Brookfield PPTYS COM 112900-10-5 184,710 9,400 X 3 9,400 Budget Group, Inc. COM 119003-10-1 5,406,551 1,310,679 X 1 1310679 Call-Net Enterprises Cl B NV 130910-20-1 9,984 2,600 X 3 2,600 Cambior, Inc. COM 13201L-10-3 7,420 10,600 X 3 10,600 Cameco Corp. COM 13321L-10-8 153,850 8,500 X 3 8,500 Canadian 88 Energy COM 13566G-50-9 60,085 19,700 X 3 19,700 Canadian Nat'l Railway COM 136375-10-2 2,719,610 63,100 X 3 63,100 Canadian Pacific LTD COM 135923-10-0 2,425,050 63,400 X 3 63,400 Canadian Occidental Petroleum COM 136420-10-6 714,670 17,800 X 3 17,800 Canyon Resources COM 138869-10-2 41,000 217,201 X 1 217,201 CGI Group Inc. COM 39945C-10-9 330,000 10,600 X 3 10,600 Celestica, Inc. Sub VTG 15101Q-10-8 1,766,450 24,500 X 3 24,500 Chieftan Interl, Inc. COM 16867C-10-1 68,640 2,400 X 3 2,400 Cinar Corp. Sub VTG 171905-30-0 52,785 5,100 X 3 5,100 Cinram, Ltd. COM 17252T-10-5 78,960 8,400 X 3 8,400 Clearnet Comm. COM 184902-10-4 241,900 5,900 X 3 3400 Coastal Corp COM 190441-10-5 43,221 710 X 1 710 Cognicase Inc. COM 192423-10-1 65,040 2,400 X 3 2,400 Coinstar Inc. COM 19259P-30-0 352,188 35,000 X 1 35000 Cominco COM 200435-10-5 146,520 7,200 X 3 7,200 Concord Comm. COM 206186-10-8 132,744 3,329 X 1 3329 Corel Corp. COM 21868Q-10-9 56,925 9,900 X 3 9,900 Cott COM 22163N-10-6 80,100 9,000 X 3 9,000 Counsel Corp. COM 22226R-10-2 13,340 2,900 X 3 2,900 Cytex COM 232946-10-3 55,617 1,042 X 1 1042 Delta & Pine Land COM 247357-10-6 103,283,509 4,128,764 X 1 4128764 Descartes Systems COM 249906-10-8 281,600 6,400 X 3 6,400 Dia Met Minerals Cl B ML VTG 25243K-30-7 60,795 6,300 X 3 6300 Domtar Inc. COM 257561-10-0 239,181 17,395 X 3 17,395 Dorel Industries COM 25822C-20-5 139,000 4,300 X 3 4,300 Echo Bay Mines COM 278751-10-2 3,052 21,200 X 3 21,200 Enbridge Inc. COM 29250N-10-5 2,036,880 65,600 X 3 65,600 Encal Energy Ltd COM 29250D10-7 109,040 11,600 X 3 11,600 Evergreen Resources COM 299900-30-8 59,438,859 2,006,375 X 1 2006375 Excite At Home COM 300904-10-9 23,546 8,372 X 3 8372 Extendicare Inc. COM 30224T-87-1 17,664 9,200 X 3 9,200 Fahnestock Viner Hld COM 302921-10-1 49,680 1,800 X 3 1,800 Fed. Agri. Mtg. Corps. COM 313148-10-8 685,000 40,000 X 1 40000 Federated Dept Stores COM 31410H-10-1 1,206,376 35,547 X 1 35547 Federated Dept Stores warr cl d 31410H-12-7 292,541 8,620 X 1 8620 Four Seasons Hotels sub vtg shs 35100E10-4 9,579 3,406 X 3 3,406 Furr's/Bishop's COM 361115-50-4 4,451,000 1,095,598 X 1 1095598 Glamis Gold, Ltd. COM 376775-10-2 20,344 10,500 X 3 10500 Golden State Vintners COM 38121K-20-8 1,852,298 658,595 X 1 658595 GTE COM 362320-10-3 193,916 68,948 X 1 68948 Guidant Corp. COM 401698-10-5 126,000 2,468 X 1 2468 Gulf Cda Resources Ordinary 40218L-30-5 362,960 52,603 X 3 52,603 Hollinger COM 43556c-60-6 23,850 1,800 X 3 1,800 Hummingbird Commun COM 44544R-10-1 156,600 2,700 X 3 2,700 IMAX Corp. COM 45245E-10-9 99,900 3,000 X 3 3,000 Imperial Oil, LTD COM 453038-40-8 706,551 19,545 X 3 19,545 Inco Ltd. COM 453258-40-2 621,980 27,400 X 3 27,400 Inco Ltd. CL VBN 453258-70-9 16,247 2,425 X 3 2,425 Informix Corp. COM 456779-10-7 218,000 25,538 X 4 25,538 Intertape Plymr Grp COM 460919-10-3 108,150 4,200 X 3 4,200 Intrawest Corp. COM 460915-20-0 183,300 6,500 X 3 6,500 IPSCO Inc. COM 462622-10-1 112,545 6,100 X 3 6,100 K-Swiss, Inc COM 482686-10-2 3,187,500 200,000 X 1 200,000 Kinross Gold Corp COM 496902-10-7 59,268 44,900 X X 1/3 121,737 39,100 LTV Corp COM 501921-10-0 339,371 62,413 X 1 62413 Laidlaw, Inc. COM 50730K-50-3 26,014 49,084 X 3 49,084 Eli Lilly & Co. COM 532457-10-8 90,119 1,404 X 1 1404 LodgeNet Entertainment COM 540211-10-9 2,040,000 80,000 X 1 80000 Loewen Group, Inc. COM 54042L-10-0 9,184 11,200 X 3 11,200 MDC Comm. COM 55267W-30-9 34,840 2,600 X 3 2,600 MacKenzie Financial COM 554531-10-3 359,000 19,200 X 3 19,200 Macmillan Bloedel COM 554783-20-9 427,200 19,700 X 3 19,700 Magna Intl. Inc. CL A SV 559222-40-1 813,735 11,700 X 3 11,700 MediaOne COM 58440J-10-4 326,000 4,787 X 1 4787 Meridian Gold Inc. COM 589975-10-1 99,900 11,100 X 3 11,100 Methanex COM 59151K-10-8 94,050 19,000 X 3 19,000 Mitel Corporation COM 606711-10-9 528,390 17,100 X 3 17,100 Moore Corp, LTD COM 615785-10-2 50,806 13,300 X 3 13,300 Nabors Industries, Inc. COM 629568-10-6 29,045,850 699,900 X 1 699900 Nortel Networks COM 656569-10-0 8,724,000 445,910 X 3 445910 Nova Chemicals COM 66977W-10-9 668,494 21,495 X 3 21495 Numac Energy COM 67052A-10-3 55,000 11,000 X 3 11000 Ocean Energy, Inc. COM 674812-20-1 17,393,549 1,225,977 X 1 1225977 Open Text Corp. COM 683715-10-6 99,975 3,100 X 3 3,100 Pan American Silver COM 697900-10-8 27,300 5,200 X 3 5,200 Penny J. C. COM 708160-10-6 1,822,657 9,453 X 1 9453 Petro-Canada COM 71644E-10-2 2,098,635 75,900 X 3 75,900 Placer Dome Inc. COM 725906-10-1 685,270 49,300 X 3 49,300 Potash Corp of Sask COM 73755L-10-7 631,800 7,800 X 3 7,800 Precision Drilling COM 74022D-10-0 413,899 7,236 X 3 7,236 Premdor Inc. COM 74046P-10-5 413,899 7,200 X 3 7,200 PSC, Inc. COM 69361E-10-7 3,380,000 422,500 X 1 422500 QLT Phototherapeut COM 746927-10-2 1,150,000 10,000 X 3 10,000 Quebecor Printing COM 748203106 310,400 12,800 X 3 12800 R&B Falcon Corp. COM 74912E-10-1 38,097,072 1,621,152 X 1 1621152 RH Phillips COM 749573-10-1 3,787,841 1,346,788 X 1 1346788 Ranger Oil, Ltd. COM 752805-10-1 150,084 18,998 X 3 18,998 Research In Motion COM 760975-10-2 248,000 7,600 X 3 7,600 Rio Algom, Ltd. COM 766889-10-9 157,430 9,100 X 3 9,100 Rogers Cantel MOB COM 775102-20-5 132,975 2,700 X 3 2,700 Rogers Comm. COM 775109-20-0 780,270 18,600 X 3 18,600 Royal Bank CDA COM 780087-10-2 5,461,575 72,100 X 3 72,100 Royal Group Tech COM 779915-10-7 362,560 10,300 X 3 10,300 Seagrams LTD COM 811850-10-6 4,297,800 49,400 X 3 49,400 Shaw Corp. CL B NVT 82028K-20-0 986,303 27,022 X 3 27,022 Simon Property COM 828806-10-9 106,948 38,026 X 1 38026 Snyder Oil Corp. COM 80218K105 1,978,307 703,398 X 1 703398 Speciality Equip. Corp. COM 847497-20-3 1,195,313 425,000 X 1 425000 Steinway Musical Inst. COM 858495-10-4 4,341,243 1,543,553 X 1 1543553 Suncor Inc. COM 867229-10-6 1,138,860 33,300 X 3 33,300 Suiza Foods Corp. COM 865077-10-1 4,846,629 1,723,246 X 1 1723246 Talisman Energy Inc. COM 87425E-10-3 1,020,632 20,808 X 3 20,808 Tangram Enterprise COM 875924-10-2 1,155 770 X 1 770 Teleglobe Inc. COM 87941V-10-0 597,830 19,100 X 3 19,100 Telesystem Intl. Sub VTG 879946-10-1 332,000 11,400 X 3 11,400 Tesco Corp. COM 88157K-10-1 72,480 4,800 X 3 4,800 Toronto-Dominion Bk COM 891160-50-9 5,745,600 159,600 X 3 159,600 TransCanada Pipelines COM 893526-10-3 3,882,374 343,573 X 3 343,573 Trizec Hahn Corp COM 896938-10-7 63,636 22,626 X 3 22626 TVX Gold, Inc. COM 83708K-10-1 41,000 29,900 X 3 29,900 United Dominion Inds. COM 909914-10-3 147,999 5,873 X 3 5,873 U.S. West COM 91273H-10-1 257,000 4,369 X 1 4369 Walker Interactive Systems COM 931664-10-6 122,819 43,669 X 1 43669 Westcoast Energy Inc. COM 95751D-10-2 829,920 36,400 X 3 36400 Western Star Truck COM 95960H-10-0 39,845 1,300 X 3 1300 TOTALS 368,354,491 23,804,406
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