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: Jamie Bulnes Title: Compliance Phone: (416) 360-0006 Signature, Place and Date of Signing: Jamie Bulnes 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 INFORM ATION TABLE NAME OF ISSUER TITLE OF CUSIP VALUE SHARES/ SH/PRN PUT/ INVSTMT OTHER VOTING AUTHORI TY CLASS (X1,000) PRN AMT CALL DSCRETN MANAGERS SOLE SHARED NONE AT & T CORP COM 001957109 204 3,650 SH Sole Sole ADOBE SYSTEMS COM 00724f101 329 4,000 SH Sole Sole AGNICO EAGLE 3.50% 27JAN04 CV 008474AA6 11,204 18,367,000 PRN Sole Sole AIR CANADA CL-A NVS CL A NVS 008911307 6,627 1,274,500 SH Sole Sole AGRIUM INC COM 008916108 657 74,500 SH Sole Sole ALBERTA ENERGY CO LTD COM 012873105 1,865 57,718 SH Sole Sole AMAZON.COM INC. COM 023135106 (375) (3,000) SH Sole Sole AMERICAN HOME PRODUCTS COM 026609107 1,239 21,600 SH Sole Sole AMWAY JAPAN LTD COM 03234J100 60 12,000 SH Sole Sole AMWEST INSURANCE GROUP COM 032345100 1,827 197,464 SH Sole Sole APOLLO GRP INC. CL-A CL-A 037604105 (239) (9,000) SH Sole Sole AUTODESK INC. COM 052769106 3,069 103,800 SH Sole Sole BCE INC COM 05534B109 5,978 121,080 SH Sole Sole BFC CONSTRUCTION CORP COM 054938105 916 121,130 SH Sole Sole BK OF MNTRL COM 063671101 454 12,424 SH Sole Sole BERKSHIRE HATHAWAY CL-A 084670108 206 3 SH Sole Sole BLACKROCK NORTH AMR COM 092475102 813 81,300 SH Sole Sole BRISTOL MYERS SQUIBB COM 110122108 352 5,000 SH Sole Sole CALL-NET ENTRPRS CL-B NV CL-B NV 130910201 466 50,100 SH Sole Sole CANADIAN PACIFIC LTD COM 135923100 271 11,700 SH Sole Sole CDN IMPERIAL BK COMMERCE COM 136069101 1,590 45,302 SH Sole Sole CANADIAN OCCIDENTAL PETE LTD COM 136420106 249 15,400 SH Sole Sole CHEVRON CORPORATION COM 166751107 619 6,500 SH Sole Sole COCA COLA COM 191216100 (788) (12,600) SH Sole Sole COMAIR HOLDINGS COM 199789108 211 10,125 SH Sole Sole COTT CORP COM 22163N106 1,431 394,633 SH Sole Sole CROSS A T CO CL-A CL-A 227478104 64 11,500 SH Sole Sole DELL COMPUTER CORP COM 247025109 681 (18,400) SH Sole Sole EBAY INC. COM 278642103 (422) (3,000) SH Sole Sole EDPERBRASCAN CORP CL-A 280905803 2,350 104,680 SH Sole Sole ENCAL ENERGY LTD COM 29250D107 66 13,400 SH Sole Sole ENBRIDGE COM 29250N105 978 28,988 SH Sole Sole FRENCH FRAGRANCES COM 357658103 279 38,143 SH Sole Sole GTE CORP COM 362320103 264 3,481 SH Sole Sole GENERAL ELECTRIC COM 369604103 240 2,125 SH Sole Sole GLENAYRE TECHS INC COM 377899109 73 20,200 SH Sole Sole GOLDCORP INC CL-A SVS CL A NVS 380956102 154 21,200 SH Sole Sole GOLDCORP INC. CL-B MV CL-B 380956201 103 20,000 SH Sole Sole GRUPO MEX DESARROLL ADR B ADR B 40048G104 0 17,900 SH Sole Sole GRUPO MEX DESARROLL ADR-L ADR L 40048G203 0 45,120 SH Sole Sole HANOVER DIRECT INC COM 410783104 70 25,000 SH Sole Sole HUBBELL INC CL B CL B 443510201 817 18,000 SH Sole Sole IMPERIAL OIL LIMITED COM 453038408 635 31,848 SH Sole Sole INCO LTD COM 453258402 547 30,370 SH Sole Sole INCO LTD 7.75% US CV 15MAR16 CV 453258AH8 100 112,000 PRN Sole Sole INTEL CORPORATION COM 458140100 (1,023) (17,200) SH Sole Sole INPUT/OUTPUT COM 457652105 1,639 216,700 SH Sole Sole INTERTAN INC COM 461120107 546 26,804 SH Sole Sole IPSCO INC COM 462622101 1,733 82,050 SH Sole Sole JANNOCK LTD COM 470888801 292 25,000 SH Sole Sole KELLY SERVICES INC CL-A CL-A 488152208 9,758 303,750 SH Sole Sole LAIDLAW INC COM 50730K503 3,330 451,514 SH Sole Sole LANDS END INC COM 515086106 5,087 105,700 SH Sole Sole LASALLE HLDGS. INC COM G5383Q101 4,905 288,500 SH Sole Sole LEHMAN BROS HLDGS COM 524908100 311 5,000 SH Sole Sole LILLIAN VERNON CORP COM 532430105 4,248 326,800 SH Sole Sole LUCENT TECH INC. COM 549463107 418 6,200 SH Sole Sole MACKENZIE FINANCIAL CORP COM 554531103 (350) (31,300) SH Sole Sole MAGNA INTL INC. CL-A CL-A 559222401 (596) (10,500) SH Sole Sole MEDTRONIC INC COM 585055106 779 10,000 SH Sole Sole MICROSOFT COM 594918104 (1,715) (19,020) SH Sole Sole MIRAMAR MINING CORP COM 60466E100 49 81,570 SH Sole Sole MOORE CORP COM 615785102 1,757 209,850 SH Sole Sole NEWCOURT CREDIT GRP INC. COM 650905102 (1,009) (78,050) SH Sole Sole NORDSTROM INC COM 655664100 302 9,000 SH Sole Sole NORTHERN TRUST CORP COM 665859104 (243) (2,500) SH Sole Sole NOVA CHEMICALS CORP COM 66977W109 292 8,450 SH Sole Sole OCELOT ENGY CL-B SV CL-B 67551T207 4,161 2,485,837 SH Sole Sole OCCIDENTAL PETE $3 CV PR CV 674599790 220 3,800 SH Sole Sole OLSTEN CORP COM 681385100 111 17,600 SH Sole Sole PLD TELEKOM INC COM 69340T100 63 20,000 SH Sole Sole PETRO-CDA VAR/VTG COM 71644E102 248 19,000 SH Sole Sole PHILIP MORRIS COS INC COM 718154107 3,803 94,625 SH Sole Sole PIER ONE IMPORTS COM 720279108 253 22,500 SH Sole Sole PRECISION DRILLING CORP. COM 74022D100 295 15,400 SH Sole Sole PROCTOR & GAMBLE CO COM 742718109 286 3,200 SH Sole Sole RALSTON PURINA GROUP COM 751277302 (203) (6,660) SH Sole Sole RAYTHEON CO CL-B CL-B 755111408 211 3,000 SH Sole Sole REDWOOD TRUST INC COM 758075402 1,786 107,850 SH Sole Sole RIO ALGOM LTD. COM 766889109 245 17,352 SH Sole Sole ROBERT HALF INTL INC. COM 770323103 (520) (20,000) SH Sole Sole ROYAL BANK OF CANADA COM 780087102 1,607 36,211 SH Sole Sole STAND & POORS DEP RCPT. COM 78462F103 1,582 11,550 SH Sole Sole SEAGRAM CO LTD COM 811850106 227 4,500 SH Sole Sole SPIEGEL INC CL-A COM 848457107 287 32,300 SH Sole Sole SUNCOR INC COM 867229106 326 7,935 SH Sole Sole SWIFT ENERGY 6.25% 15NOV06 CV 870738AB7 579 750,000 PRN Sole Sole TVX GOLD INC. COM 87308K101 19 19,100 SH Sole Sole TELEBRAS HOLDINGS CO COM 577 6,400 SH Sole Sole THERMO TECH TECHN INC. COM 88360H101 22 320,200 SH Sole Sole TD BANK COM 891160509 1,140 25,050 SH Sole Sole TRANSCANADA PIPELINES LTD COM 893526103 1,881 134,350 SH Sole Sole WTS-TRIZEC HAHN -A 26JUL99 WTS 896938115 538 226,400 SH Sole Sole USX-US STEEL GROUP COM 90337T101 257 9,500 SH Sole Sole UNTD ASSET MANAGEMENT CP COM 909420101 (330) (14,500) SH Sole Sole US BANCORP -DEL- COM 902973106 539 15,855 SH Sole Sole UNITED HEALTHCARE CORP COM 910581107 1,403 22,400 SH Sole Sole VLSI TECH 8.25% 01OCT05 CV 918270AB5 333 326,000 PRN Sole Sole WACHOVIA CORP COM 929771103 214 2,500 SH Sole Sole WAL MART STORES INC COM 931142103 290 6,000 SH Sole Sole WEYERHAEUSER CO COM 962166104 206 3,000 SH Sole Sole WIND RIVER SYS INC. COM 973149107 (321) (20,000) SH Sole Sole FINAL TOTAL (All Pages) 99,079 28,191,807