ALLSTATE PENSION PLAN
13F-HR, 2000-08-14
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F


       INFORMATION REQUIRED OF INSTITUTIONAL INVESTMENT MANAGERS PURSUANT
  TO SECTION 13(f) OF THE SECURITIES EXCHANGE ACT OF 1934 AND RULES THEREUNDER


           REPORT FOR THE CALENDAR YEAR OR QUARTER ENDED JUNE 30, 2000

--------------------------------------------------------------------------------
                (PLEASE READ INSTRUCTIONS BEFORE PREPARING FORM.)
--------------------------------------------------------------------------------

IF AMENDED REPORT CHECK HERE: |_|


ALLSTATE PENSION PLAN
--------------------------------------------------------------------------------
NAME OF INSTITUTIONAL INVESTMENT MANAGER

3075  SANDERS ROAD SUITE G4A            NORTHBROOK        ILLINOIS    60062-7127
--------------------------------------------------------------------------------
BUSINESS ADDRESS         (STREET)       (CITY)            (STATE)     (ZIP)

DOUG WELCH (847)402-7581 ASSISTANT VICE PRESIDENT, INVESTMENT OPERATIONS
--------------------------------------------------------------------------------
NAME, PHONE NO., AND TITLE OF PERSON DULY AUTHORIZED TO SUBMIT THIS REPORT.


------------------------------------ATTENTION-----------------------------------
           INTENTIONAL MISSTATEMENTS OR OMISSIONS OF FACTS CONSTITUTE
                          FEDERAL CRIMINAL VIOLATIONS.
                    SEE 18 U.S.C. 1001 AND 15 U.S.C. 78FF(A).
--------------------------------------------------------------------------------

     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 ON THE  THE 8 DAY OF NOVEMBER, 1999.


                                      ALLSTATE PENSION PLAN
                                      ------------------------------------------
                                      (NAME OF INSTITUTIONAL INVESTMENT MANAGER)


                                      /S/ DOUG WELCH
                                      ------------------------------------------
                                      (MANUAL    SIGNATURE    OF   PERSON   DULY
                                      AUTHORIZED TO SUBMIT THIS REPORT)


NAME AND 13F FILE NUMBERS OF ALL INSTITUTIONAL  INVESTMENT MANAGERS WITH RESPECT
TO WHICH THIS SCHEDULE IS FILED (OTHER THAN THE ONE FILING THIS  REPORT):  (LIST
IN ALPHABETICAL ORDER).

13F FILE NUMBERS WILL BE ASSIGNED TO  INSTITUTIONAL  INVESTMENT  MANAGERS  AFTER
THEY FILE THEIR FIRST REPORT.


NAME:                                                          13F FILE NO.:
-------------------------------------------------------------- ---------------
1. ALLSTATE INSURANCE COMPANY                                  28-35
-------------------------------------------------------------- ---------------
2.
-------------------------------------------------------------- ---------------
3.
-------------------------------------------------------------- ---------------
4.
-------------------------------------------------------------- ---------------
5.
-------------------------------------------------------------- ---------------

<PAGE>

                                 FORM 13F REPORT
                 NAME OF REPORTING MANAGER: AGENTS PENSION PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>            <C>         <C>          <C>         <C>    <C>     <C>     <C>     <C>  <C>    <C>
3 COM                            COMMON STOCK   885535104      339,988     5,900            X               1       X
ABBOTT LABS                      COMMON STOCK   002824100    1,537,406    34,500            X               1       X
ADOBE SYSTEMS INC                COMMON STOCK   00724F101      260,000     2,000            X               1       X
ADVANCED MICRO DEVICES           COMMON STOCK   007903107      200,850     2,600            X               1       X
AES CORP                         COMMON STOCK   00130H105      999,188    21,900            X               1       X
AFLAC CORP                       COMMON STOCK   001055102      206,719     4,500            X               1       X
ALBERTSON'S                      COMMON STOCK   013104104      236,075     7,100            X               1       X
ALCAN ALUMINUM                   COMMON STOCK   013716105      244,900     7,900            X               1       X
                                  FOREIGN
ALLAMERICA FINC. CORP            COMMON STOCK   019754100      497,563     9,500            X               1       X
ALLEGHENY ENERGY                 COMMON STOCK   017361106      251,850     9,200            X               1       X
ALLTEL                           COMMON STOCK   020039103      991,000    16,000            X               1       X
ALTERA                           COMMON STOCK   021441100      346,588     3,400            X               1       X
ALUMINUM CO OF AMERICA           COMMON STOCK   013817101      861,068    29,692            X               1       X
AMB PROPERTY CORP                COMMON STOCK   00163T109    1,095,000    48,000            X               1       X
AMERICA ON-LINE                  COMMON STOCK   02364J104    4,969,050    94,200            X               1       X
AMERICAN EXPRESS                 COMMON STOCK   025816109    2,767,838    53,100            X               1       X
AMERICAN FINANCIAL               COMMON STOCK   025932104      511,138    20,600            X               1       X
AMERICAN GENERAL                 COMMON STOCK   026351106      915,000    15,000            X               1       X
AMERICAN HOME PRODUCTS           COMMON STOCK   026609107    2,820,000    48,000            X               1       X
AMERICAN INTL                    COMMON STOCK   026874107    6,174,038    52,545            X               1       X
AMERICAN STANDARD COMPANIES      COMMON STOCK   029712106    1,037,300    25,300            X               1       X
AMGEN                            COMMON STOCK   031162100    2,999,675    42,700            X               1       X
ANALOG DEVICES                   COMMON STOCK   032654105    1,231,200    16,200            X               1       X
ANHEUSER BUSCH                   COMMON STOCK   035229103    1,135,250    15,200            X               1       X
APACHE                           COMMON STOCK   037411105      629,294    10,700            X               1       X
APARTMENT INVT & MGMT CO CL      COMMON STOCK   03748R101    2,127,900    49,200            X               1       X
APPLE COMPUTER                   COMMON STOCK   037833100    1,031,788    19,700            X               1       X
APPLIED MATERIALS                COMMON STOCK   038222105    2,501,250    27,600            X               1       X
APPLIED MICRO CIRCUITS CORP      COMMON STOCK   03822W109      395,000     4,000            X               1       X
ARCHER-DANIELS-MIDLAND           COMMON STOCK   039483102      687,856    70,100            X               1       X
ARCHSTONE COMMUNITIES TRUST      COMMON STOCK   039581103      840,394    39,900            X               1       X
ARDEN REALTY INC                 COMMON STOCK   039793104      940,000    40,000            X               1       X
ASSOCIATES FIRST CAPITAL CRP     COMMON STOCK   046008108      537,910    24,108            X               1       X
AT & T                           COMMON STOCK   001957109    3,864,512   122,198            X               1       X
ATMEL CORP                       COMMON STOCK   049513104      560,500    15,200            X               1       X
AUTOMATIC DATA PROCESSING        COMMON STOCK   053015103      567,763    10,600            X               1       X
AVNET                            COMMON STOCK   053807103      254,775     4,300            X               1       X
BAKER HUGHES                     COMMON STOCK   057224107      204,800     6,400            X               1       X
BANK OF AMERICA CORP             COMMON STOCK   060505104    2,458,224    57,168            X               1       X
BANK OF NEW YORK                 COMMON STOCK   064057102    1,776,300    38,200            X               1       X
BANK ONE CORPORATION             COMMON STOCK   06423A103      512,656    19,300            X               1       X
BANKAMERICA REALTY INVESTORS     COMMON STOCK   05564E106    1,617,000    56,000            X               1       X
BARNES & NOBLE                   COMMON STOCK   067774109      700,875    31,500            X               1       X
BARRICK GOLD                     COMMON STOCK   067901108      252,806    13,900            X               1       X
                                  FOREIGN
BAXTER INTL                      COMMON STOCK   071813109    1,021,833    14,533            X               1       X
BELLSOUTH                        COMMON STOCK   079860102    2,348,638    55,100            X               1       X
</TABLE>
<PAGE>

                                 FORM 13F REPORT
                 NAME OF REPORTING MANAGER: AGENTS PENSION PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>            <C>         <C>          <C>         <C>    <C>     <C>     <C>     <C>  <C>    <C>
BEST BUY                         COMMON STOCK   086516101      714,725    11,300            X               1       X
BESTFOODS INC                    COMMON STOCK   08658U101      318,550     4,600            X               1       X
BJ SERVICES                      COMMON STOCK   055482103    1,218,750    19,500            X               1       X
BOEING                           COMMON STOCK   097023105    1,723,762    41,226            X               1       X
BOSTON PROPERTIES INC            COMMON STOCK   101121101    2,008,500    52,000            X               1       X
BRISTOL-MYERS-SQUIBB             COMMON STOCK   110122108    4,013,425    68,900            X               1       X
BURLINGTON RESOURCES             COMMON STOCK   122014103    1,005,975    26,300            X               1       X
C I G N A                        COMMON STOCK   125509109    1,505,350    16,100            X               1       X
CAMPBELL SOUP                    COMMON STOCK   134429109      206,788     7,100            X               1       X
CARDINAL HEALTH                  COMMON STOCK   14149Y108    1,235,800    16,700            X               1       X
CARNIVAL CRUISE LINES            COMMON STOCK   143658102      198,900    10,200            X               1       X
CENDANT COPORATION               COMMON STOCK   151313103      169,400    12,100            X               1       X
CENTERPOINT PROPERTIES CORP      COMMON STOCK   151895109      652,000    16,000            X               1       X
CHASE MANHATTAN CORP NEW         COMMON STOCK   16161A108    2,520,172    54,712            X               1       X
CHATEAU COMMUNITIES              COMMON STOCK   161726104    1,839,697    65,122            X               1       X
CHEVRON                          COMMON STOCK   166751107    1,857,394    21,900            X               1       X
CITIGROUP INC                    COMMON STOCK   172967101    6,719,080   111,520            X               1       X
CLEAR CHANNEL COMMUNICATIONS     COMMON STOCK   184502102      825,000    11,000            X               1       X
COASTAL                          COMMON STOCK   190441105      219,150     3,600            X               1       X
COCA-COLA                        COMMON STOCK   191216100    5,157,888    89,800            X               1       X
COLGATE-PALMOLIVE                COMMON STOCK   194162103    1,107,688    18,500            X               1       X
COLUMBIA HEALTHCARE              COMMON STOCK   404119109      285,525     9,400            X               1       X
COMCAST CLASS A SPECIAL          COMMON STOCK   200300200      882,900    21,800            X               1       X
COMDISCO                         COMMON STOCK   200336105      258,825    11,600            X               1       X
COMMSCOPE INC                    COMMON STOCK   203372107      549,400    13,400            X               1       X
COMPAQ COMPUTER                  COMMON STOCK   204493100    1,689,681    66,100            X               1       X
COMPUTER ASSOCIATES INTL         COMMON STOCK   204912109      506,756     9,900            X               1       X
COMPUTER SCIENCES                COMMON STOCK   205363104      209,125     2,800            X               1       X
COMVERSE TECHNOLOGY              COMMON STOCK   205862402      957,900    10,300            X               1       X
CONOCO INC.                      COMMON STOCK   208251405      695,733    28,325            X               1       X
CONSTELLATION ENERGY GROUP       COMMON STOCK   210371100      514,488    15,800            X               1       X
CORN PRODUCTS INTL INC           COMMON STOCK   219023108      257,050     9,700 X          X               1       X
CORNING                          COMMON STOCK   219350105    3,049,588    11,300            X               1       X
CVS CORP                         COMMON STOCK   126650100      264,000     6,600            X               1       X
CYPRESS SEMICONDUCTOR            COMMON STOCK   232806109      418,275     9,900            X               1       X
DEERE                            COMMON STOCK   244199105      873,200    23,600            X               1       X
DEVELOPERS DIVER REALTY CORP     COMMON STOCK   251591103      298,750    20,000            X               1       X
DIEBOLD                          COMMON STOCK   253651103      894,788    32,100            X               1       X
DISNEY (WALT)                    COMMON STOCK   254687106    3,139,931    80,900            X               1       X
DOW CHEMICAL                     COMMON STOCK   260543103      751,669    24,900            X               1       X
DU PONT DE NEMOURS               COMMON STOCK   263534109    1,420,388    32,466            X               1       X
DUKE ENERGY CORP                 COMMON STOCK   264399106      349,525     6,200            X               1       X
DUKE-WEEKS REALTY CORP.          COMMON STOCK   264411505    1,342,500    60,000            X               1       X
E M C                            COMMON STOCK   268648102    5,331,769    69,300            X               1       X
EASTMAN KODAK                    COMMON STOCK   277461109      309,400     5,200            X               1       X
EATON                            COMMON STOCK   278058102      455,600     6,800            X               1       X
</TABLE>
<PAGE>

                                 FORM 13F REPORT
                 NAME OF REPORTING MANAGER: AGENTS PENSION PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>            <C>         <C>          <C>         <C>    <C>     <C>     <C>     <C>  <C>    <C>
EDWARDS (AG)                     COMMON STOCK   281760108      651,300    16,700            X               1       X
EL PASO ENERGY CORP DELAWARE     COMMON STOCK   283905107      224,125     4,400            X               1       X
ELECTRONIC DATA SYSTEMS          COMMON STOCK   285661104      709,500    17,200            X               1       X
EMERSON ELEC                     COMMON STOCK   291011104    1,237,688    20,500            X               1       X
ENRON                            COMMON STOCK   293561106    1,973,571    30,598            X               1       X
EQUITY OFFICE PROPERTIES TRU     COMMON STOCK   294741103    3,611,211   131,019            X               1       X
EQUITY RESIDENTIAL PROP TR       COMMON STOCK   29476L107    2,074,600    45,100            X               1       X
ETHAN ALLEN INTERIORS            COMMON STOCK   297602104      500,400    20,850            X               1       X
EXXON                            COMMON STOCK   30231G102    9,085,590   115,740            X               1       X
FAMILY DOLLAR STORES             COMMON STOCK   307000109    1,834,963    93,800            X               1       X
FEDERAL NAT'L MORT. ASSOC        COMMON STOCK   313586109    1,711,750    32,800            X               1       X
FEDERATED DEPARTMENT STORES      COMMON STOCK   31410H101      681,750    20,200            X               1       X
FIFTH THIRD BANCORP              COMMON STOCK   316773100      328,900     5,200            X               1       X
FIRST DATA                       COMMON STOCK   319963104    1,493,713    30,100            X               1       X
FIRST INDUSTRIAL REALTY TRUS     COMMON STOCK   32054K103    1,180,000    40,000            X               1       X
FIRST UNION                      COMMON STOCK   337358105      409,406    16,500            X               1       X
FIRSTAR CORPORATION              COMMON STOCK   33763V109      684,531    32,500            X               1       X
FISERV INC.                      COMMON STOCK   337738108      325,456     7,525            X               1       X
FLEET BOSTON FINANCIAL CORP      COMMON STOCK   339030108      829,600    24,400            X               1       X
FORD MOTOR                       COMMON STOCK   345370100    2,094,100    48,700            X               1       X
FOREST LABS                      COMMON STOCK   345838106    1,191,800    11,800            X               1       X
FREDDIE MAC                      COMMON STOCK   313400301      980,100    24,200            X               1       X
FREEPORT MCMORAN B               COMMON STOCK   35671D857      144,300    15,600            X               1       X
G T E                            COMMON STOCK   362320103    1,120,500    18,000            X               1       X
GANNETT                          COMMON STOCK   364730101      269,156     4,500            X               1       X
GAP STORES                       COMMON STOCK   364760108      446,875    14,300            X               1       X
GATEWAY INC                      COMMON STOCK   367626108      828,550    14,600            X               1       X
GENERAL ELECTRIC                 COMMON STOCK   369604103   17,336,300   327,100            X               1       X
GENERAL GROWTH PROPERTIES        COMMON STOCK   370021107      504,825    15,900            X               1       X
GENERAL MOTORS                   COMMON STOCK   370442105    1,114,800    19,200            X               1       X
GEORGIA-PACIFIC                  COMMON STOCK   373298108      267,750    10,200            X               1       X
GILLETTE                         COMMON STOCK   375766102    1,138,963    32,600            X               1       X
GLOBAL CROSSING LTD              COMMON STOCK   G3921A100      390,083    14,825            X               1       X
GLOBAL MARINE                    COMMON STOCK   379352404    1,871,650    66,400            X               1       X
GUIDANT                          COMMON STOCK   401698105      267,300     5,400            X               1       X
HALLIBURTON                      COMMON STOCK   406216101      386,938     8,200            X               1       X
HARRIS                           COMMON STOCK   413875105      618,975    18,900            X               1       X
HARTFORD FINANCIAL SERVICES      COMMON STOCK   416515104      201,375     3,600            X               1       X
HEINZ                            COMMON STOCK   423074103      258,125     5,900            X               1       X
HELMERICH & PAYNE                COMMON STOCK   423452101      695,175    18,600            X               1       X
HEWLETT-PACKARD                  COMMON STOCK   428236103    4,208,288    33,700            X               1       X
HOME DEPOT                       COMMON STOCK   437076102    3,912,603    78,350            X               1       X
HOMESTAKE MINING                 COMMON STOCK   437614100      104,500    15,200            X               1       X
HONEYWELL INTERNATIONAL INC      COMMON STOCK   438516106    1,172,325    34,800            X               1       X
HOST MARRIOTT                    COMMON STOCK   44107P104      330,938    35,300            X               1       X
HOUSEHOLD INTL                   COMMON STOCK   441815107      332,500     8,000            X               1       X
</TABLE>
<PAGE>

                                 FORM 13F REPORT
                 NAME OF REPORTING MANAGER: AGENTS PENSION PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>            <C>         <C>          <C>         <C>    <C>     <C>     <C>     <C>  <C>    <C>
HUBBELL, CL B                    COMMON STOCK   443510201      691,050    27,100            X               1       X
ICN PHARMACEUTICALS              COMMON STOCK   448924100      773,188    27,800            X               1       X
ILLINOIS TOOL WORKS              COMMON STOCK   452308109      969,000    17,000            X               1       X
INCO                             COMMON STOCK   453258402      167,588    10,900            X               1       X
                                  FOREIGN
INCYTE GENOMICS INC.             COMMON STOCK   45337C102      780,781     9,500            X               1       X
INGERSOLL-RAND                   COMMON STOCK   456866102      495,075    12,300            X               1       X
INTEGRATED DEVISE TECHNOLOGY     COMMON STOCK   458118106      844,238    14,100            X               1       X
INTEL                            COMMON STOCK   458140100   14,384,775   107,600            X               1       X
INTERPUBLIC GROUP OF COS         COMMON STOCK   460690100      219,300     5,100            X               1       X
INTL BUSINESS MACHINES           COMMON STOCK   459200101    6,858,613    62,600            X               1       X
INTL PAPER                       COMMON STOCK   460146103      241,481     8,100            X               1       X
INTUIT INC                       COMMON STOCK   461202103      662,000    16,000            X               1       X
IVAX CORP                        COMMON STOCK   465823102      875,650    21,100            X               1       X
JABIL CIRCUIT INC                COMMON STOCK   466313103      923,025    18,600            X               1       X
JOHNSON & JOHNSON                COMMON STOCK   478160104    5,511,438    54,100            X               1       X
KEEBLER FOODS CO                 COMMON STOCK   487256109    3,439,817    92,655            X               1       X
KELLOGG                          COMMON STOCK   487836108      202,300     6,800            X               1       X
KERR-MCGEE                       COMMON STOCK   492386107      577,588     9,800            X               1       X
KIMBERLY-CLARK                   COMMON STOCK   494368103    1,549,125    27,000            X               1       X
KIMCO REALTY CORP                COMMON STOCK   49446R109      565,800    13,800            X               1       X
KLA-TENCOR CORP                  COMMON STOCK   482480100      544,631     9,300            X               1       X
KOHLS CORP                       COMMON STOCK   500255104      305,938     5,500            X               1       X
KROGER                           COMMON STOCK   501044101      330,938    15,000            X               1       X
L S I LOGIC                      COMMON STOCK   502161102      378,875     7,000            X               1       X
LEGG MASON                       COMMON STOCK   524901105      970,000    19,400            X               1       X
LEHMAN BROS HOLDING              COMMON STOCK   524908100    1,219,856    12,900            X               1       X
LEXMARK INTERNATIONAL INC.       COMMON STOCK   529771107      652,325     9,700            X               1       X
LILLY (ELI)                      COMMON STOCK   532457108    3,056,175    30,600            X               1       X
LINCOLN NATIONAL                 COMMON STOCK   534187109      614,125    17,000            X               1       X
LINEAR TECH                      COMMON STOCK   535678106      332,475     5,200            X               1       X
LITTON INDUSTRIES                COMMON STOCK   538021106    1,323,000    31,500            X               1       X
LOCKHEED MARTIN                  COMMON STOCK   539830109      982,575    39,600            X               1       X
LOWE'S                           COMMON STOCK   548661107      262,800     6,400            X               1       X
LUCENT TECHNOLOGIES INC          COMMON STOCK   549463107    6,600,924   111,408            X               1       X
MACERICH COMPANY                 COMMON STOCK   554382101      441,250    20,000            X               1       X
MACK-CALI REALTY CORP            COMMON STOCK   554489104    1,078,875    42,000            X               1       X
MANUFACTURED HOME COMMUNITIE     COMMON STOCK   564682102    2,071,886    86,554            X               1       X
MARINE DRILLING CO INC           COMMON STOCK   568240204      484,400    17,300            X               1       X
MARSH & MC LENNAN                COMMON STOCK   571748102    1,597,894    15,300            X               1       X
MAXIM INTEGRATED PRODUCTS        COMMON STOCK   57772K101      326,100     4,800            X               1       X
MAYTAG                           COMMON STOCK   578592107      490,438    13,300            X               1       X
MBNA CORP                        COMMON STOCK   55262L100    1,052,450    38,800            X               1       X
MCDONALD'S                       COMMON STOCK   580135101    1,538,181    46,700            X               1       X
MCLEOD INC -CL A                 COMMON STOCK   582266102      405,475    19,600            X               1       X
MEDIAONE GROUP                   COMMON STOCK   58440J104      346,450     5,200            X               1       X
MEDIMMUNE INC                    COMMON STOCK   584699102    1,228,400    16,600            X               1       X
</TABLE>
<PAGE>

                                 FORM 13F REPORT
                 NAME OF REPORTING MANAGER: AGENTS PENSION PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>            <C>         <C>          <C>         <C>    <C>     <C>     <C>     <C>  <C>    <C>
MEDTRONICS                       COMMON STOCK   585055106    2,057,256    41,300            X               1       X
MELLON BANK                      COMMON STOCK   58551A108      302,431     8,300            X               1       X
MERCK                            COMMON STOCK   589331107    6,500,252    84,832            X               1       X
MERRILL LYNCH                    COMMON STOCK   590188108    1,656,000    14,400            X               1       X
MICROCHIP TECHNOLOGY INC         COMMON STOCK   595017104      314,634     5,400            X               1       X
MICRON TECH                      COMMON STOCK   595112103      818,981     9,300            X               1       X
MICROSOFT                        COMMON STOCK   594918104   14,184,000   177,300            X               1       X
MILLENNIUM PHARMACEUTICALS I     COMMON STOCK   599902103    1,622,188    14,500            X               1       X
MINNESOTA MNG & MFG              COMMON STOCK   604059105    1,278,750    15,500            X               1       X
MONTANA PWR                      COMMON STOCK   612085100      699,188    19,800            X               1       X
MORGAN (J.P.)                    COMMON STOCK   616880100      297,338     2,700            X               1       X
MORGAN STANLEY DEAN WITTER &     COMMON STOCK   617446448    3,221,775    38,700            X               1       X
MOTOROLA                         COMMON STOCK   620076109    2,384,607    82,051            X               1       X
NABORS INDUSTRIES                COMMON STOCK   629568106    1,280,125    30,800            X               1       X
NATIONAL CITY                    COMMON STOCK   635405103      174,038    10,200            X               1       X
NATIONWIDE FINANCIAL             COMMON STOCK   638612101      535,863    16,300            X               1       X
NEXTEL COMMUNICATIONS INC        COMMON STOCK   65332V103    1,395,075    22,800            X               1       X
NIAGARA MOHAWK HOLDINGS INC      COMMON STOCK   653520106      708,025    50,800            X               1       X
NOBLE AFFILIATES                 COMMON STOCK   654894104      979,675    26,300            X               1       X
NOBLE DRILLING                   COMMON STOCK   655042109      576,625    14,000            X               1       X
NORTEL NETWORKS CORP             COMMON STOCK   656568102    6,599,775    96,700            X               1       X
                                  FOREIGN
NORTHERN TRUST                   COMMON STOCK   665859104      240,731     3,700            X               1       X
OCEAN ENERGY INC                 COMMON STOCK   67481E106    1,041,363    73,400            X               1       X
OMNICOM GROUP                    COMMON STOCK   681919106    1,309,219    14,700            X               1       X
ORACLE SYSTEMS                   COMMON STOCK   68389X105    7,838,828    93,250            X               1       X
P P G INDUSTRIES                 COMMON STOCK   693506107      221,563     5,000            X               1       X
PAN PACIFIC REALTY               COMMON STOCK   69806L104      201,250    10,000            X               1       X
PARKER DRILLING                  COMMON STOCK   701081101      312,469    50,500            X               1       X
PAYCHEX                          COMMON STOCK   704326107      260,400     6,200            X               1       X
PE CORP - PE BIOSYSTEMS GROU     COMMON STOCK   69332S102      652,163     9,900            X               1       X
PECO ENERGY CO                   COMMON STOCK   693304107      790,125    19,600            X               1       X
PEPSICO                          COMMON STOCK   713448108    2,626,257    59,100            X               1       X
PFIZER                           COMMON STOCK   717081103    9,764,400   203,425            X               1       X
PHILIP MORRIS                    COMMON STOCK   718154107    2,156,875    81,200            X               1       X
PHILLIPS PETROLEUM               COMMON STOCK   718507106      217,956     4,300            X               1       X
PNC FINANCIAL SERVICES GROUP     COMMON STOCK   693475105    1,312,500    28,000            X               1       X
POST PROPERTIES, INC.            COMMON STOCK   737464107      932,800    21,200            X               1       X
PRECISION CASTPARTS              COMMON STOCK   740189105      556,575    12,300            X               1       X
PROCTER & GAMBLE                 COMMON STOCK   742718109    2,673,575    46,700            X               1       X
PROLOGIS TRUST                   COMMON STOCK   743410102      852,500    40,000            X               1       X
PROTECTIVE LIFE CORP             COMMON STOCK   743674103      745,500    28,000            X               1       X
PROVIDIAN FINANCIAL CORP         COMMON STOCK   74406A102      216,000     2,400            X               1       X
PUBLIC STORAGE INC               COMMON STOCK   74460D109      937,500    40,000            X               1       X
QUALCOM                          COMMON STOCK   747525103    1,434,000    23,900            X               1       X
QWEST COMMUNICATIONS INTL        COMMON STOCK   749121109      322,969     6,500            X               1       X
R & B FALCON CORP                COMMON STOCK   74912E101      560,788    23,800            X               1       X
</TABLE>
<PAGE>

                                 FORM 13F REPORT
                 NAME OF REPORTING MANAGER: AGENTS PENSION PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>            <C>         <C>          <C>         <C>    <C>     <C>     <C>     <C>  <C>    <C>
RALSTON-RALSTON PURINA           COMMON STOCK   751277302      418,688    21,000            X               1       X
RATIONAL SOFTWARE CORP           COMMON STOCK   75409P202    1,022,313    11,000            X               1       X
READERS DIGEST                   COMMON STOCK   755267101    2,392,950    60,200            X               1       X
REGENCY REALTY                   COMMON STOCK   758939102      475,000    20,000            X               1       X
REYNOLDS & REYNOLDS              COMMON STOCK   761695105      636,925    34,900            X               1       X
ROUSE CO                         COMMON STOCK   779273101      371,250    15,000            X               1       X
ROYAL DUTCH PETROLEUM            COMMON STOCK   780257804    4,346,313    70,600            X               1       X
                                  FOREIGN
S C I SYSTEMS                    COMMON STOCK   783890106      513,356    13,100            X               1       X
SAFECO                           COMMON STOCK   786429100      371,663    18,700            X               1       X
SAFEWAY INC                      COMMON STOCK   786514208      830,300    18,400            X               1       X
SANMINA CORP                     COMMON STOCK   800907107      213,750     2,500            X               1       X
SANTA FE INTERNATIONAL CORP      COMMON STOCK   G7805C108      419,250    12,000            X               1       X
SARA LEE                         COMMON STOCK   803111103      281,963    14,600            X               1       X
SBC COMMUNICATIONS               COMMON STOCK   78387G103    4,372,661   101,102            X               1       X
SCHERING-PLOUGH                  COMMON STOCK   806605101    3,206,750    63,500            X               1       X
SCHLUMBERGER                     COMMON STOCK   806857108    1,089,525    14,600            X               1       X
SCHWAB CHARLES CORP NEW          COMMON STOCK   808513105    1,529,938    45,500            X               1       X
SCIENTIFIC-ATLANTA               COMMON STOCK   808655104      767,350    10,300            X               1       X
SEAGATE TECH                     COMMON STOCK   811804103      209,000     3,800            X               1       X
SEAGRAM                          COMMON STOCK   811850106      893,200    15,400            X               1       X
                                  FOREIGN
SEARS ROEBUCK                    COMMON STOCK   812387108    1,533,375    47,000            X               1       X
SENSORMATIC ELECTRONICS          COMMON STOCK   817265101      874,431    55,300            X               1       X
SEPRACOR INC                     COMMON STOCK   817315104      856,438     7,100            X               1       X
SIEBEL SYSTEMS INC               COMMON STOCK   826170102      556,113     3,400            X               1       X
SIMON PROPERTY GROUP INC         COMMON STOCK   828806109      916,344    41,300            X               1       X
SNAP-ON                          COMMON STOCK   833034101    1,198,125    45,000            X               1       X
SOLECTRON CORP                   COMMON STOCK   834182107      418,750    10,000            X               1       X
SOUTHERN                         COMMON STOCK   842587107      951,150    40,800            X               1       X
SPRINT                           COMMON STOCK   852061100    1,305,600    25,600            X               1       X
SPRINT CORP (PCS GROUP)          COMMON STOCK   852061506    1,576,750    26,500            X               1       X
ST. PAUL                         COMMON STOCK   792860108      580,125    17,000            X               1       X
STARWOOD HOTELS & RESORTS TR     COMMON STOCK   85590A203      579,613    17,800            X               1       X
STATE STREET CORP                COMMON STOCK   857477103    1,198,506    11,300            X               1       X
STRYKER                          COMMON STOCK   863667101    1,159,375    26,500            X               1       X
SUMMIT PROPERTIES INC            COMMON STOCK   866239106    1,386,000    66,000            X               1       X
SUN CO.                          COMMON STOCK   86764P109      447,450    15,200            X               1       X
SUN MICROSYSTEMS                 COMMON STOCK   866810104    4,447,571    48,908            X               1       X
SUNTRUST BANKS                   COMMON STOCK   867914103      233,006     5,100            X               1       X
SUPER VALU STORES                COMMON STOCK   868536103      846,375    44,400            X               1       X
SYMBOL TECH                      COMMON STOCK   871508107      540,000    10,000            X               1       X
SYSCO                            COMMON STOCK   871829107      235,900     5,600            X               1       X
TARGET CORP                      COMMON STOCK   87612E106    1,160,000    20,000            X               1       X
TELECOM CORP OF NEW ZEALAND      COMMON STOCK   879278208      362,813    12,900            X               1       X
                                  FOREIGN
TELLABS                          COMMON STOCK   879664100    1,355,063    19,800            X               1       X
TENET HEALTHCARE                 COMMON STOCK   88033G100      966,600    35,800            X               1       X
TERADYNE                         COMMON STOCK   880770102      213,150     2,900            X               1       X
</TABLE>
<PAGE>

                                 FORM 13F REPORT
                 NAME OF REPORTING MANAGER: AGENTS PENSION PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                              <C>            <C>         <C>          <C>         <C>    <C>     <C>     <C>     <C>  <C>    <C>
TEXACO                           COMMON STOCK   881694103    1,586,797    29,799            X               1       X
TEXAS INSTRUMENTS                COMMON STOCK   882508104    3,509,931    51,100            X               1       X
THE PMI GROUP                    COMMON STOCK   69344M101      703,000    14,800            X               1       X
TIME WARNER                      COMMON STOCK   887315109    2,796,800    36,800            X               1       X
TORCHMARK                        COMMON STOCK   891027104    1,234,375    50,000            X               1       X
TRANSOCEAN SEDCO FOREX INC       COMMON STOCK   G90078109      208,406     3,900            X               1       X
TYCO INTERNATIONAL               COMMON STOCK   902124106    2,591,413    54,700            X               1       X
UNILEVER N.V.                    COMMON STOCK   904784709      625,349    14,543            X               1       X
                                  FOREIGN
UNITED TECH                      COMMON STOCK   913017109    1,348,238    22,900            X               1       X
UNITEDHEALTH GROUP INC           COMMON STOCK   91324P102      231,525     2,700            X               1       X
UNIVISION COMMUNICATION INC      COMMON STOCK   914906102    1,066,050    10,300            X               1       X
US BANCORP                       COMMON STOCK   902973106      244,475    12,700            X               1       X
US WEST                          COMMON STOCK   91273H101    1,209,075    14,100            X               1       X
USX-MARATHON GROUP               COMMON STOCK   902905827      842,100    33,600            X               1       X
UTILICORP UNITED                 COMMON STOCK   918005109      818,850    41,200            X               1       X
VALENCE TECHNOLOGY INC           COMMON STOCK   918914102      407,469    22,100            X               1       X
VERITAS SOFTWARE CORP            COMMON STOCK   923436109    1,537,012    13,600            X               1       X
VERIZON COMMUNICATIONS           COMMON STOCK   92343V104    2,322,131    45,700            X               1       X
VIACOM -CL B                     COMMON STOCK   925524308    3,549,296    52,052            X               1       X
VIACOM INTERNATIONAL             COMMON STOCK   925524100      307,688     4,500            X               1       X
VIAD CORP                        COMMON STOCK   92552R109    1,144,500    42,000            X               1       X
VISHAY INTERTECH. INC            COMMON STOCK   928298108      325,788     8,588            X               1       X
VITESSE SEMICONDUCTOR            COMMON STOCK   928497106    1,302,056    17,700            X               1       X
WADDELL & REED FINANCIAL         COMMON STOCK   930059100    1,040,156    31,700            X               1       X
WALGREEN                         COMMON STOCK   931422109    1,361,531    42,300            X               1       X
WAL-MART STORES                  COMMON STOCK   931142103    8,591,888   149,100            X               1       X
WASHINGTON MUTUAL                COMMON STOCK   939322103    1,175,213    40,700            X               1       X
WASTE MANAGEMENT INC             COMMON STOCK   94106L109      199,500    10,500            X               1       X
WATSON PHARMACEUTICALS INC       COMMON STOCK   942683103      446,125     8,300            X               1       X
WEATHERFORD INTERNATIONAL        COMMON STOCK   947074100      792,269    19,900            X               1       X
WELLS FARGO & CO (NEW)           COMMON STOCK   949746101    1,615,875    41,700            X               1       X
WESTERN RESOURCES INC            COMMON STOCK   959425109      415,400    26,800            X               1       X
WILLIAMS                         COMMON STOCK   969457100      320,994     7,700            X               1       X
WORLDCOM INC.                    COMMON STOCK   98157D106    3,973,096    86,607            X               1       X
XEROX                            COMMON STOCK   984121103      425,375    20,500            X               1       X
XILINX, INC.                     COMMON STOCK   983919101    1,403,563    17,000            X               1       X
YAHOO INC                        COMMON STOCK   984332106    1,994,388    16,100            X               1       X
                                                                                            X               1       X
TECNOST INTL                     DEBT           EC1437234        2,713     2,697            X               1       X
</TABLE>


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