John Hancock Life Insurance Company

John Hancock Life Insurance Company as of June 30, 2002

Portfolio Holdings for John Hancock Life Insurance Company

John Hancock Life Insurance Company holds 80 positions in its portfolio as reported in the June 2002 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Enbridge 8.6 $9.4M 209k 44.73
Bce 7.2 $7.8M 296k 26.39
Devon Energy 7.0 $7.6M 155k 49.28
Brascan 6.5 $7.0M 200k 34.99
Hewlett-packard 6.3 $6.8M 317k 21.60
F5 Networks 4.8 $5.2M 200k 25.98
Luminex 4.3 $4.6M 113k 41.06
Canadian National Ry 4.3 $4.6M 58k 80.03
Volterra Semiconductor Corp 4.2 $4.6M 338k 13.58
Johnson & Johnson 3.9 $4.2M 112k 37.30
Quebecor Printing 3.7 $4.0M 96k 41.71
Verizon Communications 3.1 $3.4M 84k 40.15
Aecom Technology 2.7 $3.0M 79k 37.61
Ingersoll-rand Plc shs g4779 2.3 $2.5M 70k 35.65
Nucor Corp 2.3 $2.5M 43k 57.69
Golden State Vintners 2.1 $2.3M 659k 3.50
Alexion Pharmaceuticals 2.1 $2.3M 160k 14.39
Royal Bank Of Cda 2.1 $2.3M 231k 9.87
Corn Products International 1.9 $2.0M 54k 37.20
Imperial Oil 1.6 $1.8M 57k 31.19
Ebay 1.4 $1.5M 130k 11.87
Four Seasons Hotels sub vtg sh 35100 1.4 $1.5M 18k 84.51
Canadian Imperial Bank 1.3 $1.4M 235k 6.12
Toronto Dominion Bk 1.3 $1.4M 261k 5.34
Royce Value Tr 0.8 $899k 29k 31.31
Coinstar 0.8 $856k 35k 24.46
Canadian National Ry 0.7 $803k 20k 40.35
Gold 0.7 $766k 28k 27.75
Hillenbrand 0.7 $769k 26k 30.16
Sprott Physical Gold Trust etf 85207 0.7 $739k 28k 26.39
Canadian National Ry 0.5 $573k 37k 15.40
Coca Cola Company 0.5 $540k 17k 31.21
Norfolk Southern Corp 0.5 $506k 23k 22.10
Plains All American Pipeline Lp unit ltd partn 72650 0.5 $499k 18k 27.12
Target 0.4 $453k 19k 23.84
Motricity 0.4 $447k 23k 19.69
Methanex 0.4 $423k 28k 15.33
Balchem Corp 0.3 $384k 15k 24.94
Ceva 0.3 $348k 16k 22.03
E M C Corp Mass 0.3 $300k 5.3k 56.60
Potash Corp Sask 0.3 $289k 2.8k 103.21
Enterprise Products Partners Lp unit ltd partn 29379 0.2 $270k 119k 2.28
Amazon 0.2 $267k 6.7k 39.85
Creo 0.2 $273k 16k 16.65
Dorel Industries 0.2 $253k 8.1k 31.23
Alliance Atlantis 0.2 $240k 13k 18.60
Cliffs Natural Res 0.2 $224k 11k 19.82
Canadian National Ry 0.2 $230k 28k 8.30
Coca Cola Company 0.2 $212k 13k 15.94
Chc Helicopter 0.2 $207k 6.0k 34.50
Fnx Mining 0.2 $205k 6.2k 33.06
Bhp Billiton Ltd Adr cl b 08860 0.2 $200k 17k 11.83
Terex Corp 0.1 $163k 11k 14.55
Weight Watchers International 0.1 $159k 5.3k 30.00
Atmel 0.1 $162k 11k 15.00
Firstservice 0.1 $155k 4.4k 35.23
Apple 0.1 $130k 21k 6.22
Cal-Comp Electro 0.1 $124k 26k 4.84
Washington Post Co cl b 93964 0.1 $121k 14k 8.83
Creo 0.1 $124k 45k 2.73
Creo 0.1 $115k 6.8k 16.91
Extendicare 0.1 $112k 21k 5.41
Pepsico 0.1 $102k 12k 8.29
Spdr Trust Series 1 0.1 $96k 15k 6.32
Spdr Trust Series 1 0.1 $100k 1.9k 52.63
Adobe Systems 0.1 $82k 26k 3.14
Leitch 0.1 $90k 9.7k 9.28
Hewlett-packard 0.1 $73k 3.1k 23.55
Atmel 0.1 $77k 7.7k 10.00
Manulife Financial 0.1 $75k 18k 4.24
Itt Corp 0.1 $68k 46k 1.49
Ncr Corp 0.1 $68k 13k 5.40
Hemosaol 0.1 $63k 14k 4.67
Marketaxess Holdings 0.1 $53k 5.6k 9.50
Lions Gate Entmt Cp Newf 0.1 $56k 14k 3.97
Ensco 0.0 $30k 27k 1.12
Mdc Corporation 0.0 $32k 5.3k 6.04
Baidu 0.0 $21k 186k 0.11
Ecolab 0.0 $9.0k 10k 0.88
Gt Group Tele 0.0 $12k 21k 0.57