-----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, JcC0h8TP4kdTwmRRMkxnLAvjSbUuP0OHS2aUaKgeJYmuPhSOk1S+LMRY59m0v4zV RgXjyIr80GsGqPjOdrEa+Q== 0001010521-01-500031.txt : 20010516 0001010521-01-500031.hdr.sgml : 20010516 ACCESSION NUMBER: 0001010521-01-500031 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20010330 FILED AS OF DATE: 20010515 FILER: COMPANY DATA: COMPANY CONFORMED NAME: HANCOCK JOHN LIFE INSURANCE CO CENTRAL INDEX KEY: 0000917406 STANDARD INDUSTRIAL CLASSIFICATION: LIFE INSURANCE [6311] IRS NUMBER: 041414660 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: SEC FILE NUMBER: 028-03983 FILM NUMBER: 1635692 BUSINESS ADDRESS: STREET 1: CORPORATE LAW DIVISION T-55 STREET 2: P O BOX 111 CITY: BOSTON STATE: MA ZIP: 02117 BUSINESS PHONE: 6175726000 MAIL ADDRESS: STREET 1: CORPORATE LAW DIVISION T-55 STREET 2: P O BOX 111 CITY: BOSTON STATE: MA ZIP: 02117 FORMER COMPANY: FORMER CONFORMED NAME: HANCOCK JOHN MUTUAL LIFE INSURANCE CO / MA DATE OF NAME CHANGE: 19940111 13F-HR 1 file001.txt JOHN HANCOCK LIFE INSURANCE COMPANY
File Number 028-03983 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 March 30, 2001 -------------- If amended report check here: ___________ Name of Institutional Investment Manager: John Hancock Life Insurance Company 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 Life Insurance Company 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.: 0. John Hancock Life Insurance Company --------------------------------------------------------------------------------- 1. Maritime Life Assurance Company --------------------------------------------------------------------------------- 2. Hancock Venture Partners, Inc. (formerly John Hancock Venture Capital Management) --------------------------------------------------------------------------------- 3. --------------------------------------------------------------------------------- 4. --------------------------------------------------------------------------------- 5. --------------------------------------------------------------------------------- 6. --------------------------------------------------------------------------------- 7. --------------------------------------------------------------------------------- John Hancock Life Insurance Company (Effective February 1, 2000, John Hancock Mutual Life Insurance Company was renamed John Hancock Life Insurance Company and became the parent, wholly- owned subsidiary of John Hancock Financial Services, Inc.) March 30, 2001 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 Diamond Corp common 002893-10-5 193,200 16,300 X 1 16,300 Agnico Eagle Mines, Ltd. common 008474-10-8 165,990 15,500 X 1 15,500 Air Canada CL A NVTG 008911-30-7 89,747 12,128 X 1 12,128 Alliance Atlantis common 01853E-20-4 101,775 5,900 X 1 5,900 Alliance Forst. Prod. common 01859J-10-8 147,600 9,000 X 1 9,000 Ampex Corp. common 032092-10-8 57,787 186,411 X 0 186411 Ballard Power Systems common 05858H-10-4 1,865,889 26,100 X 1 26,100 Bank of Montreal common 06367-11-01 5,117,850 66,900 X 1 66,900 BCE, Inc. common 05534B-10-9 6,310,100 154,470 X 1 154,470 Bell Canada Intl. common 077914-10-9 145,485 6,100 X 1 6,100 Bema Gold Corp. common 08135F-10-7 20,608 44,300 X 1 44,300 Bid.Com common 088788-10-4 18,120 15,100 X 1 15,100 Biomira, Inc. common 09161R-10-6 144,832 14,600 X 1 14,600 Brookfield PPTYS common 112900-10-5 587,380 20,209 X 1 20,209 Budget Group, Inc. common 119003-10-1 2,385,436 1,310,679 X 0 1310679 Call-Net Enterprises Cl B NV 130910-20-1 12,815 15,077 X 1 15,077 Cameco Corp. common 13321L-10-8 480,850 16,300 X 1 16,300 Canadian 88 Energy common 13566G-50-9 121,085 39,700 X 1 39,700 Canadian Pacific LTD common 135923-10-0 2,062,509 49,699 X 1 49,699 CGI Group Inc. common 39945C-10-9 245,700 37,800 X 1 37,800 Celestica, Inc. Sub VTG 15101Q-10-8 2,089,800 25,800 X 1 25,800 Chieftan Interl, Inc. common 16867C-10-1 165,360 4,800 X 1 4,800 Cinar Corp. Sub VTG 171905-30-0 52,785 5,100 X 1 5,100 Cinram, Ltd. common 17252T-10-5 36,900 16,400 X 1 16,400 Coastal Corp common 190441-10-5 62,835 710 X 0 710 Cognicase Inc. common 192423-10-1 52,000 5,000 X 1 5,000 Coinstar Inc. common 19259P-30-0 361,800 35000 X 0 35000 Cominco common 200435-10-5 314,760 12,700 X 1 12,700 Concord Comm. common 206186-10-8 453,802 55,477 X 0 55,477 Corel Corp. common 21868Q-10-9 54,531 21,600 X 1 21,600 Cott common 22163N-10-6 37,128 11,900 X 1 11,900 Counsel Corp. common 22226R-10-2 16,218 5,300 X 1 5,300 Cytex common 232946-10-3 65,125 1,042 X 0 1,042 Delta & Pine Land common 247357-10-6 28,973,141 1,202,205 X 0 1,202,205 Descartes Systems common 249906-10-8 320,850 13,800 X 1 13,800 Devon Energy Corp common 25179M103 9,006,275 154,747 X 0 154,747 Dia Met Minerals Cl B ML VTG 25243K-30-7 100,050 4,600 X 1 4,600 Dorel Industries common 25822C-20-5 158,700 6,900 X 1 6,900 Echo Bay Mines common 278751-10-2 55,328 41,600 X 1 41,600 Enbridge Inc. common 29250N-10-5 2,737,800 67,600 X 1 67,600 Encal Energy Ltd common 29250D10-7 271,425 23,100 X 1 23,100 Evergreen Resources common 299900-30-8 75,861,039 2,006,375 X 0 2,006,375 Extendicare Inc. common 30224T-87-1 72,900 18,000 X 1 18,000 Fahnestock Viner Hld common 302921-10-1 126,000 3,500 X 1 3,500 Federated Dept Stores common 31410H-10-1 1,476,978 35547 X 0 35,547 Federated Dept Stores warrants cl d 31410H-12-7 81,890 8620 X 0 8,620 Four Seasons Hotels sub vtg shs 35100E10-4 533,798 6,706 X 1 6,706 Fusion Medical Tech common 000361-28-1 50840.4 21701 X 2 13036 Glamis Gold, Ltd. common 376775-10-2 49,059 20,700 X 1 20,700 Golden State Vintners common 38121K-20-8 5,104,886 658,695 X 0 658,695 Guidant Corp. common 401698-10-5 19,127 2,468 X 0 2,468 Hollinger common 43556c-60-6 48,450 3,400 X 1 3,400 Hummingbird Commun common 44544R-10-1 240,500 5,400 X 1 5,400 IMAX Corp. common 45245E-10-9 34,510 5,800 X 1 5,800 Informix Corp. common 456779-10-7 76614 25538 X 2 25538 Intertape Plymr Grp common 460919-10-3 128,775 8,300 X 1 8,300 Intrawest Corp. common 460915-20-0 368,940 12,900 X 1 12,900 IPSCO Inc. common 462622-10-1 209,935 12,100 X 1 12,100 K-Swiss, Inc common 482686-10-2 5,124,000 200,000 X 0 200,000 Kinross Gold Corp common 496902-10-7 76,734 88,200 X X 0/1 121,737 39,100 LTV Corp common 501921-10-0 9,924 62,413 X 0 62,413 Eli Lilly & Co. common 532457-10-8 130,660 1,404 X 0 1,404 LodgeNet Entertainment common 540211-10-9 1,169,600 80,000 X 0 80,000 MDC Corporation common 55267W-30-9 56,250 5,000 X 1 5,000 MacKenzie Financial common 554531-10-3 841,771 28,700 X 1 28,700 Mail.com common 530311-10-2 8208 11400 X 2 12370 Meridian Gold Inc. common 589975-10-1 234,330 21,900 X 1 21,900 Methanex common 59151K-10-8 356,215 37,300 X 1 37,300 Moore Corp, LTD common 615785-10-2 161,559 26,100 X 1 26,100 Nabors Industries, Inc. common 629568-10-6 36,287,948 699,999 X 0 699,999 Nambian common 629913-10-4 49,335 14,300 X 1 10,900 Ocean Energy, Inc. common 674812-20-1 21,301,350 1,225,977 X 0 1,225,977 Open Text Corp. common 683715-10-6 270,600 6,000 X 1 6,000 Pan American Silver common 697900-10-8 4,992 10,400 X 1 10,400 Penny J. C. common 708160-10-6 102,801 9,453 X 0 9,453 Petromet Res LTD common 716731-104-1 126,225 15,300 X 1 15,300 Premdor Inc. common 74046P-10-5 51,000 6,800 X 1 6,800 PSC, Inc. common 69361E-10-7 316,875 422,500 X 0 422,500 QLT Phototherapeut common 746927-10-2 903,142 20,200 X 1 20,200 Quebecor Printing common 748203-10-6 530,160 14,100 X 1 14,100 R&B Falcon Corp. common 74912E-10-1 37,286,496 1,621,152 X 0 1,621,152 Research In Motion common 760975-10-2 890,900 17,400 X 1 17,400 Rogers Comm. common 775109-20-0 502,425 23,100 X 1 23,100 Royal Bank CDA common 780087-10-2 6,563,685 140,100 X 1 140,100 Royal Group Tech common 779915-10-7 525,819 21,900 X 1 21,900 Shaw Corp. CL B NVT 82028K-20-0 921,960 30,732 X 1 30,732 Sierra Wireless common 826516-10-6 194,400 4,800 X 1 4,600 4,600 Steinway Musical Inst. common 858495-10-4 25,391,447 1,543,553 X 0 1,543,553 Suiza Foods Corp. common 865077-10-1 82,870,900 1,723,246 X 0 1,723,246 Tangram Enterprise common 875924-10-2 385 770 X 0 770 Telesystem Intl. Sub. VTG 879946-10-1 139,515 22,100 X 1 22,100 Tesco Corp. common 88157K-10-1 87,600 4,800 X 1 4,800 TLC Laser Eye common 87255E-10-8 138,040 11,600 X 1 11,600 TransCanada Pipelines common 893526-10-3 318,410 17,000 X 1 17,000 TVX Gold, Inc. common 83708K-10-1 13,348 5,680 X 1 5,680 TVX Gold, Inc. common 87308K-20-0 12,643 5,000 X 1 5,000 Vasogen common 92232F-10-3 92,400 13,200 X 1 12,600 Walker Interactive Systems common 931664-10-6 169,217 43,669 X 0 43,669 Westaim Corp common 956909-10-5 203,875 23,200 X 1 22,300 Westcoast Energy Inc. common 95751D-10-2 1,371,600 38,100 X 1 38,100 Zi Corporation common 988918-10-8 113,775 11,100 X 1 10,800 TOTALS 382,959,642 15,453,551
-----END PRIVACY-ENHANCED MESSAGE-----