ALLSTATE INSURANCE CO
13F-HR, 2000-12-07
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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 SEPTEMBER 30, 2000

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

IF AMENDED REPORT CHECK HERE: |_|


ALLSTATE INSURANCE COMPANY
--------------------------------------------------------------------------------
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 6 DAY OF AUGUST, 1999.


                                      ALLSTATE INSURANCE COMPANY
                                      ------------------------------------------
                                      (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
-------------------------------------------------------------- ---------------

The following companies have elected to file a separate 13F report:

   ALLSTATE LIFE INSURANCE COMPANY                             28-35

   ALLSTATE PENSION PLAN                                       28-35

   ALLSTATE RETIREMENT PLAN                                    28-35

<PAGE>

                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
A D C TELECOM                 COMMON STOCK   000886101        2,621,834          97,500        X              1     X
AFLAC CORP                    COMMON STOCK   001055102        1,479,844          23,100        X              1     X
AES CORP                      COMMON STOCK   00130H105        4,829,250          70,500        X              1     X
AMB PROPERTY CORP             COMMON STOCK   00163T109       15,474,375         630,000        X              1     X
A M R                         COMMON STOCK   001765106        3,075,894          94,100        X              1     X
AT & T                        COMMON STOCK   001957109       30,075,330       1,023,841        X              1     X
AT&T CORP - LIBERTY MEDIA -A  COMMON STOCK   001957208        3,227,400         179,300        X              1     X
ABBOTT LABS                   COMMON STOCK   002824100       42,121,350         885,600        X              1     X
ADELPHIA COMMUNICATIONS CORP  NON-REDEEM
                                P/S          006848402        2,007,500          20,000        X              1     X
ADOBE SYSTEMS INC             COMMON STOCK   00724F101        1,599,075          10,300        X              1     X
AEROFLEX INC                  COMMON STOCK   007768104          206,656           4,250        X              1     X
ADVANCED MICRO DEVICES        COMMON STOCK   007903107        1,786,050          75,600        X              1     X
AETNA INC                     COMMON STOCK   008117103          719,975          12,400        X              1     X
AGILENT TECHNOLOGIES          COMMON STOCK   00846U101        2,676,490          54,692        X              1     X
AIR PRODUCTS & CHEMICALS      COMMON STOCK   009158106        3,481,200          96,700        X              1     X
ALBERTSON'S                   COMMON STOCK   013104104          770,343          36,683        X              1     X
ALCAN ALUMINUM                COMMON STOCK
                                FOREIGN      013716105          784,206          27,100        X              1     X
ALUMINUM CO OF AMERICA        COMMON STOCK   013817101        4,732,931         186,980        X              1     X
ALLEGHENY ENERGY              COMMON STOCK   017361106       10,050,950         263,200        X              1     X
ALLERGAN                      COMMON STOCK   018490102          962,588          11,400        X              1     X
ALLIED WASTE INDUSTRIES INC   COMMON STOCK   019589308          150,675          16,400        X              1     X
ALLAMERICA FINC. CORP         COMMON STOCK   019754100        4,181,513          65,400        X              1     X
ALLSTATE CORP                 COMMON STOCK   020002101        1,302,117          37,471        X              1     X
ALLTEL                        COMMON STOCK   020039103        1,419,500          27,200        X              1     X
ALPHA INDUSTRIES              COMMON STOCK   020753109          218,000           6,400        X              1     X
ALPHARMA INC                  COMMON STOCK   020813101        1,039,125          17,000        X              1     X
ALTERA                        COMMON STOCK   021441100        1,556,650          32,600        X              1     X
ALZA  CL A                    COMMON STOCK   022615108          761,200           8,800        X              1     X
AMAZON.COM INC                COMMON STOCK   023135106          841,781          21,900        X              1     X
AMERADA HESS                  COMMON STOCK   023551104          528,806           7,900        X              1     X
AMEREN CORPORATION            COMMON STOCK   023608102          498,313          11,900        X              1     X
AMERICA ON-LINE               COMMON STOCK   02364J104       15,179,000         282,400        X              1     X
AMERICAN ELEC PWR             COMMON STOCK   025537101          657,300          16,800        X              1     X
AMERN EAGLE OUTFITTERS INC    COMMON STOCK   02553E106        7,878,150         250,100        X              1     X
AMERICAN EXPRESS              COMMON STOCK   025816109       10,685,925         175,900        X              1     X
AMERICAN FINANCIAL            COMMON STOCK   025932104        3,364,506         145,100        X              1     X
AMERICAN GENERAL              COMMON STOCK   026351106        1,669,200          21,400        X              1     X
AMERICAN HOME PRODUCTS        COMMON STOCK   026609107        9,609,969         169,900        X              1     X
AMERICAN INTL                 COMMON STOCK   026874107       43,338,017         452,912        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
AMERICAN POWER CONVERSION     COMMON STOCK   029066107          328,106          17,100        X              1     X
AMERICAN STANDARD COMPANIES   COMMON STOCK   029712106        8,016,525         180,400        X              1     X
AMERICREDIT CORP              COMMON STOCK   03060R101          325,581          11,300        X              1     X
AMGEN                         COMMON STOCK   031162100       16,493,397         236,200        X              1     X
AMSOUTH                       COMMON STOCK   032165102          423,125          33,850        X              1     X
ANADARKO PETROLEUM            COMMON STOCK   032511107          804,166          12,100        X              1     X
ANALOG DEVICES                COMMON STOCK   032654105       13,622,813         165,000        X              1     X
AON                           COMMON STOCK   037389103          869,388          22,150        X              1     X
APACHE                        COMMON STOCK   037411105       12,079,238         204,300        X              1     X
APACHE CORP                   NON-REDEEM
                                P/S          037411600        1,154,531          22,500        X              1     X
APARTMENT INVT & MGMT CO CL A COMMON STOCK   03748R101       13,818,750         300,000        X              1     X
APPLE COMPUTER                COMMON STOCK   037833100        1,846,275          71,700        X              1     X
APPLIED MATERIALS             COMMON STOCK   038222105        5,533,856          93,300        X              1     X
APROPOS TECHNOLOGY INC        COMMON STOCK   038334108       10,668,861       1,185,429        X              1     X
ARCHER-DANIELS-MIDLAND        COMMON STOCK   039483102          476,307          55,224        X              1     X
ARCHSTONE COMMUNITIES TRUST   COMMON STOCK   039581103       61,474,092       2,502,762        X              1     X
ARDEN REALTY INC              COMMON STOCK   039793104        6,703,125         250,000        X              1     X
ASHLAND INC.                  COMMON STOCK   044204105          208,863           6,200        X              1     X
ASSOCIATES FIRST CAPITAL CRP  COMMON STOCK   046008108        2,420,600          63,700        X              1     X
AUTOMATIC DATA PROCESSING     COMMON STOCK   053015103        3,631,313          54,300        X              1     X
AUTOZONE INC                  COMMON STOCK   053332102          272,250          12,000        X              1     X
AVALON BAY
  COMMUNITIES, COMMON         COMMON STOCK   053484101       40,656,837         852,568        X              1     X
AVERY DENNISON                COMMON STOCK   053611109          454,475           9,800        X              1     X
AVON PRODUCTS                 COMMON STOCK   054303102          858,375          21,000        X              1     X
BB&T CORPORATION              COMMON STOCK   054937107          906,763          30,100        X              1     X
BISYS GROUP                   COMMON STOCK   055472104          378,831           4,900        X              1     X
BJ'S WHOLESALE CLUB           COMMON STOCK   05548J106        7,330,050         214,800        X              1     X
BANKAMERICA REALTY INVESTORS  COMMON STOCK   05564E106        3,200,000         100,000        X              1     X
BMC SOFTWARE                  COMMON STOCK   055921100          405,450          21,200        X              1     X
BAKER HUGHES                  COMMON STOCK   057224107        1,202,850          32,400        X              1     X
BANK OF AMERICA CORP          COMMON STOCK   060505104       22,259,846         425,009        X              1     X
BANK OF NEW YORK              COMMON STOCK   064057102        6,357,488         113,400        X              1     X
BANK ONE CORPORATION          COMMON STOCK   06423A103        3,839,325          99,400        X              1     X
BARRICK GOLD                  COMMON STOCK
                                FOREIGN      067901108          733,525          48,100        X              1     X
BARR LABS INC                 COMMON STOCK   068306109          417,769           6,300        X              1     X
BARRETT RES                   COMMON STOCK   068480201          200,406           5,300        X              1     X
BAXTER INTL                   COMMON STOCK   071813109       11,453,094         143,500        X              1     X
BEAR STEARNS                  COMMON STOCK   073902108          616,392           9,784        X              1     X
BECKMAN COULTER INC           COMMON STOCK   075811109        9,416,963         122,100        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
BECTON DICKINSON              COMMON STOCK   075887109          576,338          21,800        X              1     X
BED BATH & BEYOND INC         COMMON STOCK   075896100        2,492,719         102,200        X              1     X
BELLSOUTH                     COMMON STOCK   079860102        8,404,200         208,800        X              1     X
BEST BUY                      COMMON STOCK   086516101        4,504,650          70,800        X              1     X
BESTFOODS INC                 COMMON STOCK   08658U101        1,760,550          24,200        X              1     X
BETHLEHEM STEEL               COMMON STOCK   087509105           34,200          11,400        X              1     X
BIOGEN                        COMMON STOCK   090597105          793,000          13,000        X              1     X
BIOMET                        COMMON STOCK   090613100          514,500          14,700        X              1     X
BIOVAIL CORP                  NON-REDEEM
                                P/S          09067J208        2,700,000          36,000        X              1     X
BLACK & DECKER                COMMON STOCK   091797100          256,406           7,500        X              1     X
BLOCK (H & R)                 COMMON STOCK   093671105          315,031           8,500        X              1     X
BOEING                        COMMON STOCK   097023105       13,560,372         215,244        X              1     X
BOOKHAM TECHNOLOGY PLC        COMMON STOCK
                                FOREIGN      09856Q108        1,843,625          43,000        X              1     X
BOSTON PROPERTIES INC         COMMON STOCK   101121101       12,881,250         300,000        X              1     X
BOSTON SCIENTIFIC CORP        COMMON STOCK   101137107          590,106          35,900        X              1     X
BRINKER INT'L                 COMMON STOCK   109641100        6,772,100         224,800        X              1     X
BRISTOL-MYERS-SQUIBB          COMMON STOCK   110122108       37,559,687         657,500        X              1     X
BROADCOM CORP CL A            COMMON STOCK   111320107        5,386,875          22,100        X              1     X
BURLINGTON NORTHERN           COMMON STOCK   12189T104          853,875          39,600        X              1     X
BURLINGTON RESOURCES          COMMON STOCK   122014103          732,569          19,900        X              1     X
C & D TECHNOLOGIES            COMMON STOCK   124661109          215,650           3,800        X              1     X
C I G N A                     COMMON STOCK   125509109        3,225,960          30,900        X              1     X
CIT GROUP INC                 COMMON STOCK   125577106          407,750          23,300        X              1     X
C M S ENERGY                  COMMON STOCK   125896100          269,375          10,000        X              1     X
C P & L ENERGY INC.           COMMON STOCK   12614C106          575,288          13,800        X              1     X
C S X                         COMMON STOCK   126408103          412,256          18,900        X              1     X
C T S                         COMMON STOCK   126501105          237,938           4,700        X              1     X
CVS CORP                      COMMON STOCK   126650100        1,569,994          33,900        X              1     X
CABLETRON                     COMMON STOCK   126920107          464,125          15,800        X              1     X
CADENCE DESIGNS SYS INC       COMMON STOCK   127387108        1,148,231          44,700        X              1     X
CALLON PETRO CO
  CONVERTIBLE SERIES          NON-REDEEM
                                P/S          13123X201          835,313          22,500        X              1     X
CALPINE CORP                  COMMON STOCK   131347106       15,113,500         144,800        X              1     X
CAMPBELL SOUP                 COMMON STOCK   134429109          954,788          36,900        X              1     X
CANADIAN PACIFIC              COMMON STOCK
                                FOREIGN      135923100          941,200          36,200        X              1     X
CAPITAL ONE FINANCIAL         COMMON STOCK   14040H105        1,198,069          17,100        X              1     X
CARDINAL HEALTH               COMMON STOCK   14149Y108       11,781,850         133,600        X              1     X
CARNIVAL CRUISE LINES         COMMON STOCK   143658102        2,452,650          99,600        X              1     X
CARRAMERICA REALTY CORP       COMMON STOCK   144418100        4,537,500         150,000        X              1     X
CASEYS GENERAL STORES         COMMON STOCK   147528103          133,900          10,300        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
CATALINA MARKETING            COMMON STOCK   148867104          372,488           9,900        X              1     X
CATERPILLAR                   COMMON STOCK   149123101        1,039,500          30,800        X              1     X
CENDANT COPORATION            COMMON STOCK   151313103        3,454,988         317,700        X              1     X
CENTERPOINT PROPERTIES CORP   COMMON STOCK   151895109        4,606,250         100,000        X              1     X
CENTURYTEL INC                COMMON STOCK   156700106          329,725          12,100        X              1     X
CEPHALON INC                  COMMON STOCK   156708109          252,200           5,200        X              1     X
CERIDIAN CORP                 COMMON STOCK   15677T106          350,781          12,500        X              1     X
CERNER CORP                   COMMON STOCK   156782104          260,050           5,600        X              1     X
CHARTER ONE FINL              COMMON STOCK   160903100          458,128          18,795        X              1     X
CHASE MANHATTAN CORP NEW      COMMON STOCK   16161A108        6,212,126         134,498        X              1     X
CHATEAU COMMUNITIES           COMMON STOCK   161726104        5,884,861         219,482        X              1     X
CHEESECAKE FACTORY INC        COMMON STOCK   163072101          246,525           5,700        X              1     X
CHEVRON                       COMMON STOCK   166751107        6,913,775          81,100        X              1     X
CHIQUITA BRANDS               COMMON STOCK   170032106           35,938          11,500        X              1     X
CHIRON                        COMMON STOCK   170040109        1,035,000          23,000        X              1     X
CHUBB                         COMMON STOCK   171232101        1,202,700          15,200        X              1     X
CINCINNATI FINL CORP          COMMON STOCK   172062101          504,100          14,200        X              1     X
CINERGY                       COMMON STOCK   172474108        5,524,744         167,100        X              1     X
CIRCUIT CITY STORES           COMMON STOCK   172737108          404,800          17,600        X              1     X
CISCO SYSTEMS, INC.           COMMON STOCK   17275R102       71,764,225       1,298,900        X              1     X
CITIGROUP INC                 COMMON STOCK   172967101       59,506,433       1,100,697        X              1     X
CITIZEN COMMUNICATIONS CO.    COMMON STOCK   17453B101          153,188          11,400        X              1     X
CITRIX SYSTEMS INC            COMMON STOCK   177376100          310,969          15,500        X              1     X
CLEAR CHANNEL COMMUNICATIONS  COMMON STOCK   184502102        8,537,150         151,100        X              1     X
CLOROX                        COMMON STOCK   189054109          811,031          20,500        X              1     X
COASTAL                       COMMON STOCK   190441105        1,371,313          18,500        X              1     X
COCA-COLA                     COMMON STOCK   191216100       17,199,000         312,000        X              1     X
COCA-COLA ENTERPRISES         COMMON STOCK   191219104          588,094          36,900        X              1     X
COGNEX CORP                   COMMON STOCK   192422103          276,063           7,000        X              1     X
COHERENT                      COMMON STOCK   192479103          326,400           4,800        X              1     X
COLGATE-PALMOLIVE             COMMON STOCK   194162103        3,167,120          67,100        X              1     X
COLONIAL PROPERTY TRUST       COMMON STOCK   195872106        2,568,750         100,000        X              1     X
COLUMBIA ENERGY GROUP         COMMON STOCK   197648108          497,000           7,000        X              1     X
COMCAST CLASS A SPECIAL       COMMON STOCK   200300200        9,190,469         224,500        X              1     X
COMERICA                      COMMON STOCK   200340107        8,397,469         143,700        X              1     X
COMMERCE BANCORP INC          COMMON STOCK   200519106          263,589           4,530        X              1     X
COMMERCIAL FEDERAL CORP       COMMON STOCK   201647104          200,813          10,500        X              1     X
COMPAQ COMPUTER               COMMON STOCK   204493100        7,443,842         269,900        X              1     X
COMPUTER ASSOCIATES INTL      COMMON STOCK   204912109        1,183,812          47,000        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
COMPUTER SCIENCES             COMMON STOCK   205363104       22,668,525         305,300        X              1     X
COMPUWARE                     COMMON STOCK   205638109          261,300          31,200        X              1     X
COMVERSE TECHNOLOGY           COMMON STOCK   205862402        6,728,400          62,300        X              1     X
CONAGRA FOODS INC             COMMON STOCK   205887102          856,669          42,700        X              1     X
CONDUCTUS INC                 COMMON STOCK   206784100        2,777,425         188,300        X              1     X
CONEXANT SYSTEMS INC          COMMON STOCK   207142100          778,875          18,600        X              1     X
CONOCO INC.                   COMMON STOCK   208251405        1,463,003          54,311        X              1     X
CONSECO                       COMMON STOCK   208464107          215,788          28,300        X              1     X
CONSOLIDATED EDISON           COMMON STOCK   209115104          651,788          19,100        X              1     X
CONSTELLATION ENERGY GROUP    COMMON STOCK   210371100        2,701,425          54,300        X              1     X
CONVERGYS CORP                COMMON STOCK   212485106          501,488          12,900        X              1     X
COOPER INDUSTRIES             COMMON STOCK   216669101          289,050           8,200        X              1     X
COR THERAPEUTICS INC          COMMON STOCK   217753102          510,963           8,200        X              1     X
CORNING                       COMMON STOCK   219350105       19,423,800          65,400        X              1     X
COSTO WHOLESALE CORP          COMMON STOCK   22160K105        1,345,094          38,500        X              1     X
COUNTRYWIDE CREDIT INDUSTRIES COMMON STOCK   222372104        3,076,625          81,500        X              1     X
COUSINS PROPERTY              COMMON STOCK   222795106        4,306,250         100,000        X              1     X
CROSS TIMBERS OIL CO          COMMON STOCK   227573102          229,521          11,962        X              1     X
CROWN CORK & SEAL             COMMON STOCK   228255105          119,700          11,200        X              1     X
CULLEN FROST BANKERS          COMMON STOCK   229899109          308,750           9,500        X              1     X
CYPRESS SEMICONDUCTOR         COMMON STOCK   232806109        4,484,594         107,900        X              1     X
DMC STRATEX NETWORKS          COMMON STOCK   23322L106          179,900          11,200        X              1     X
DETROIT EDISON                COMMON STOCK   233331107          481,950          12,600        X              1     X
INTERRA FINANCIAL INC         COMMON STOCK   233856103          232,500           2,500        X              1     X
DALLAS SEMICONDUCTOR          COMMON STOCK   235204104          335,325          10,200        X              1     X
DANA                          COMMON STOCK   235811106          307,450          14,300        X              1     X
DANAHER                       COMMON STOCK   235851102          611,925          12,300        X              1     X
DARDEN RESTAURANTS            COMMON STOCK   237194105          231,019          11,100        X              1     X
DEERE                         COMMON STOCK   244199105        1,945,125          58,500        X              1     X
DELL COMPUTER                 COMMON STOCK   247025109        8,741,506         283,700        X              1     X
DELPHI AUTOMOTIVE SYSTEMS     COMMON STOCK   247126105          740,278          48,944        X              1     X
DELTA AIR LINES               COMMON STOCK   247361108          497,000          11,200        X              1     X
DEVELOPERS DIVER REALTY CORP  COMMON STOCK   251591103        2,575,000         200,000        X              1     X
DEVON ENERGY CORP             COMMON STOCK   25179M103          655,635          10,900        X              1     X
DIAL CORP.                    COMMON STOCK   25247D101        4,991,775         429,400        X              1     X
DIEBOLD                       COMMON STOCK   253651103        2,029,375          76,400        X              1     X
DISNEY (WALT)                 COMMON STOCK   254687106       10,254,825         268,100        X              1     X
DOLLAR GENERAL                COMMON STOCK   256669102          478,414          28,562        X              1     X
DOMINION RESOURCES            COMMON STOCK   25746U109        1,196,088          20,600        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
DONNELLEY & SONS              COMMON STOCK   257867101          270,188          11,000        X              1     X
DOVER                         COMMON STOCK   260003108          826,100          17,600        X              1     X
DOW CHEMICAL                  COMMON STOCK   260543103        6,064,800         243,200        X              1     X
DOW JONES                     COMMON STOCK   260561105          471,900           7,800        X              1     X
DOWNEY FINANCIAL CORP         COMMON STOCK   261018105          203,504           5,152        X              1     X
DU PONT DE NEMOURS            COMMON STOCK   263534109        4,921,325         118,765        X              1     X
DUKE ENERGY CORP              COMMON STOCK   264399106        8,806,525         102,700        X              1     X
DUKE-WEEKS REALTY CORP.       COMMON STOCK   264411505        9,650,000         400,000        X              1     X
DURA PHARMACEUTICALS          COMMON STOCK   26632S109          247,625           7,000        X              1     X
DYCOM INDUSTRIES INC          COMMON STOCK   267475101          239,344           5,750        X              1     X
DYNEGY INC                    COMMON STOCK   26816Q101       20,890,500         366,500        X              1     X
E M C                         COMMON STOCK   268648102       50,811,475         512,600        X              1     X
EASTMAN CHEMICAL              COMMON STOCK   277432100          251,175           6,800        X              1     X
EASTMAN KODAK                 COMMON STOCK   277461109        1,115,888          27,300        X              1     X
EATON                         COMMON STOCK   278058102        1,059,950          17,200        X              1     X
EATON VANCE CORP              COMMON STOCK   278265103          280,500           5,500        X              1     X
ECHO STAR COMMUNICATIONS      NON-REDEEM
                                P/S          278762307        2,050,000           2,500        X              1     X
ECOLAB                        COMMON STOCK   278865100          403,900          11,200        X              1     X
EDISON INTL                   COMMON STOCK   281020107        3,935,888         203,800        X              1     X
EL PASO ENERGY CAPITAL
  TRUST I, 4.75%,             NON-REDEEM
                                P/S          283678209        2,343,750          30,000        X              1     X
EL PASO ENERGY CORP DELAWARE  COMMON STOCK   283905107       14,149,593         229,608        X              1     X
ELAN CORP. PLC                COMMON STOCK
                                FOREIGN      284131208        3,202,875          58,500        X              1     X
ELECTRONIC DATA SYSTEMS       COMMON STOCK   285661104        2,431,900          58,600        X              1     X
EMERSON ELEC                  COMMON STOCK   291011104        8,033,300         119,900        X              1     X
ENGELHARD                     COMMON STOCK   292845104          177,125          10,900        X              1     X
ENRON                         COMMON STOCK   293561106       13,634,450         155,600        X              1     X
ENTERGY                       COMMON STOCK   29364G103          797,150          21,400        X              1     X
EQUIFAX                       COMMON STOCK   294429105          331,331          12,300        X              1     X
EQUITY OFFICE
  PROPERTIES TRUST            COMMON STOCK   294741103       90,487,485       2,913,078        X              1     X
EQUITY RESIDENTIAL PROP TR    COMMON STOCK   29476L107       14,059,200         292,900        X              1     X
ESSEX PROPERTY                COMMON STOCK   297178105          963,525          17,400        X              1     X
ETHAN ALLEN INTERIORS         COMMON STOCK   297602104        2,058,319          72,700        X              1     X
EXCEL LEGACY CORPORATION
  SERIES B LIQUID             NON-REDEEM
                                P/S          300665106        4,750,000       2,000,000        X              1     X
EXODUS COMMUNICATIONS INC     COMMON STOCK   302088109        3,861,125          78,200        X              1     X
EXPEDITORS INTL WASHINGTON    COMMON STOCK   302130109          387,537           8,600        X              1     X
EXXON                         COMMON STOCK   30231G102       61,046,525         684,954        X              1     X
F P L GROUP                   COMMON STOCK   302571104        1,019,125          15,500        X              1     X
FREDDIE MAC                   COMMON STOCK   313400301       26,831,219         496,300        X              1     X
FEDERAL NAT'L MORT. ASSOC     COMMON STOCK   313586109       11,125,400         155,600        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
FEDERATED DEPARTMENT STORES   COMMON STOCK   31410H101          475,475          18,200        X              1     X
FEDEX CORP                    COMMON STOCK   31428X106        1,112,934          25,100        X              1     X
FELCOR LODGING TRUST INC      COMMON STOCK   31430F101        2,541,438         109,900        X              1     X
FIDELITY NAT FINL CORP        COMMON STOCK   316326107          262,350          10,600        X              1     X
FIFTH THIRD BANCORP           COMMON STOCK   316773100        2,157,694          40,050        X              1     X
FIRST AMERICAN CORP           COMMON STOCK   318522307          218,144          10,450        X              1     X
FIRST DATA                    COMMON STOCK   319963104        1,417,969          36,300        X              1     X
FIRST INDUSTRIAL REALTY TRUST COMMON STOCK   32054K103        3,075,000         100,000        X              1     X
FIRST MIDWEST BANCORP         COMMON STOCK   320867104          209,006           7,850        X              1     X
FIRST UNION                   COMMON STOCK   337358105        2,755,250          85,600        X              1     X
FIRSTAR CORPORATION           COMMON STOCK   33763V109        9,471,338         423,300        X              1     X
FISERV INC.                   COMMON STOCK   337738108        4,781,019          79,850        X              1     X
FIRSTENERGY CORP              COMMON STOCK   337932107          544,138          20,200        X              1     X
FLEET BOSTON FINANCIAL CORP   COMMON STOCK   339030108       20,185,776         517,584        X              1     X
FLORIDA PROGRESS              COMMON STOCK   341109106          449,969           8,500        X              1     X
JAMES RIVER                   COMMON STOCK   347471104          571,519          18,700        X              1     X
FRANKLIN RESOURCES            COMMON STOCK   354613101          955,245          21,500        X              1     X
FREEPORT MCMORAN B            COMMON STOCK   35671D857          346,331          39,300        X              1     X
FREMONT GENERAL CORP          COMMON STOCK   357288109           42,281          12,300        X              1     X
GPU INC                       COMMON STOCK   36225X100          347,081          10,700        X              1     X
GABLES RESIDENTIAL TRUST      COMMON STOCK   362418105        4,817,625         177,200        X              1     X
GALLAGHER (ARTHUR J & CO)     COMMON STOCK   363576109          407,963           6,900        X              1     X
GANNETT                       COMMON STOCK   364730101        1,277,300          24,100        X              1     X
GAP STORES                    COMMON STOCK   364760108        1,482,206          73,650        X              1     X
GATEWAY INC                   COMMON STOCK   367626108       14,403,675         308,100        X              1     X
GENERAL DYNAMICS              COMMON STOCK   369550108        8,259,844         131,500        X              1     X
GENERAL ELECTRIC              COMMON STOCK   369604103      124,276,181       2,154,300        X              1     X
GENERAL GROWTH PROPERTIES     COMMON STOCK   370021107        9,076,875         282,000        X              1     X
GENERAL MILLS                 COMMON STOCK   370334104          926,550          26,100        X              1     X
GENERAL MOTORS                COMMON STOCK   370442105        9,490,000         146,000        X              1     X
GENERAL MOTORS CL H           COMMON STOCK   370442832       12,429,274         334,300        X              1     X
GENTEX CORP                   COMMON STOCK   371901109          315,000          12,600        X              1     X
GENUINE PARTS                 COMMON STOCK   372460105          293,563          15,400        X              1     X
GEORGIA-PACIFIC               COMMON STOCK   373298108          347,800          14,800        X              1     X
GILLETTE                      COMMON STOCK   375766102        3,766,750         122,000        X              1     X
GOLDEN STATE BANCORP          COMMON STOCK   381197102        1,266,300          53,600        X              1     X
GOLDEN WEST FINL              COMMON STOCK   381317106        2,091,375          39,000        X              1     X
BF GOODRICH                   COMMON STOCK   382388106          372,281           9,500        X              1     X
GOODYEAR TIRE & RUBBER        COMMON STOCK   382550101          243,000          13,500        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
GRAINGER                      COMMON STOCK   384802104          213,131           8,100        X              1     X
GUIDANT                       COMMON STOCK   401698105        1,965,113          27,800        X              1     X
COLUMBIA HEALTHCARE           COMMON STOCK   404119109        1,945,350          52,400        X              1     X
HNC SOFTWARE                  COMMON STOCK   40425P107          343,613           4,200        X              1     X
HALLIBURTON                   COMMON STOCK   406216101        3,406,050          69,600        X              1     X
HARCOURT GENERAL              COMMON STOCK   41163G101          365,800           6,200        X              1     X
HARLEY DAVIDSON               COMMON STOCK   412822108        1,254,325          26,200        X              1     X
HARMAN INTERNATIONAL          COMMON STOCK   413086109          203,320           5,200        X              1     X
HARRAH'S ENTERTAINMENT        COMMON STOCK   413619107          305,250          11,100        X              1     X
HARTFORD FINANCIAL
  SERVICES GROUP              COMMON STOCK   416515104        1,400,400          19,200        X              1     X
HASBRO                        COMMON STOCK   418056107          192,722          16,850        X              1     X
HEALTHSOUTH                   COMMON STOCK   421924101          272,188          33,500        X              1     X
HEINZ                         COMMON STOCK   423074103        1,137,819          30,700        X              1     X
HENRY JACK & ASSOCIATES       COMMON STOCK   426281101          290,613           6,700        X              1     X
HERSHEY FOODS                 COMMON STOCK   427866108          649,500          12,000        X              1     X
HEWLETT-PACKARD               COMMON STOCK   428236103       20,631,900         212,700        X              1     X
HILTON HOTELS                 COMMON STOCK   432848109          948,125          82,000        X              1     X
HOME DEPOT                    COMMON STOCK   437076102       25,116,975         473,347        X              1     X
HOMESTAKE MINING              COMMON STOCK   437614100          225,656          43,500        X              1     X
HONEYWELL INTERNATIONAL INC   COMMON STOCK   438516106        3,313,125          93,000        X              1     X
HOST MARRIOTT                 COMMON STOCK   44107P104        6,921,000         615,200        X              1     X
HOUSEHOLD INTL                COMMON STOCK   441815107       12,582,075         222,200        X              1     X
HUDSON UNITED BANCORP         COMMON STOCK   444165104          210,613           7,624        X              1     X
HUMANA                        COMMON STOCK   444859102          155,875          14,500        X              1     X
HUNTINGTON BANCSHARES         COMMON STOCK   446150104          319,409          21,747        X              1     X
IDEC PHARMECEUTICALS CORP     COMMON STOCK   449370105          263,039           1,500        X              1     X
IMS HEALTH INC                COMMON STOCK   449934108          554,025          26,700        X              1     X
ITXC CORP                     COMMON STOCK   45069F109          900,900          61,600        X              1     X
ITT                           COMMON STOCK   450911102          246,525           7,600        X              1     X
ILLINOIS TOOL WORKS           COMMON STOCK   452308109        2,726,700          48,800        X              1     X
INCO                          COMMON STOCK
                                FOREIGN      453258402          507,938          31,500        X              1     X
INGERSOLL-RAND                COMMON STOCK   456866102          481,025          14,200        X              1     X
INNKEEPERS TRUST              COMMON STOCK   4576J0104        1,334,550         130,200        X              1     X
INSURANCE AUTO AUCTIONS,INC   COMMON STOCK   457875102       26,984,563       1,667,000        X              1     X
INTEGRATED DEVISE TECHNOLOGY  COMMON STOCK   458118106        5,366,650          59,300        X              1     X
INTEL                         COMMON STOCK   458140100       50,914,063       1,225,000        X              1     X
INTERMEDIA COMMUNICATIONS     COMMON STOCK   458801107          288,156           9,768        X              1     X
INTL BUSINESS MACHINES        COMMON STOCK   459200101       25,222,500         224,200        X              1     X
INTL PAPER                    COMMON STOCK   460146103        1,029,824          35,898        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
INTERPUBLIC GROUP OF COS      COMMON STOCK   460690100        8,110,281         238,100        X              1     X
INTIMATE BRANDS               COMMON STOCK   461156101        2,235,025         119,600        X              1     X
INTUIT INC                    COMMON STOCK   461202103        5,500,500          96,500        X              1     X
IVAX CORP                     COMMON STOCK   465823102       11,587,400         251,900        X              1     X
JDS UNIPHASE CORP             COMMON STOCK   46612J101       17,772,844         187,700        X              1     X
JACOBS ENGINEERING GRP        COMMON STOCK   469814107        1,108,594          27,500        X              1     X
JEFFERSON-PILOT               COMMON STOCK   475070108          617,663           9,100        X              1     X
JOHNSON & JOHNSON             COMMON STOCK   478160104       38,129,231         405,900        X              1     X
JOHNSON CONTROLS              COMMON STOCK   478366107          393,588           7,400        X              1     X
KLA-TENCOR CORP               COMMON STOCK   482480100          654,881          15,900        X              1     X
K MART                        COMMON STOCK   482584109          253,200          42,200        X              1     X
KANSAS CITY SOUTHERN
  INDUSTRIES                  COMMON STOCK   485170302        2,758,498         317,525        X              1     X
KELLOGG                       COMMON STOCK   487836108          848,981          35,100        X              1     X
KEMET CORP                    COMMON STOCK   488360108          375,700          13,600        X              1     X
KERR-MCGEE                    COMMON STOCK   492386107        2,464,500          37,200        X              1     X
KEYCORP                       COMMON STOCK   493267108          979,594          38,700        X              1     X
KEYSPAN CORP                  COMMON STOCK   49337W100          449,400          11,200        X              1     X
KILROY REALTY CORPORATION     COMMON STOCK   49427F108        4,003,125         150,000        X              1     X
KIMBERLY-CLARK                COMMON STOCK   494368103        4,900,338          87,800        X              1     X
KIMCO REALTY CORP             COMMON STOCK   49446R109        8,450,000         200,000        X              1     X
K N ENERGY                    COMMON STOCK   49455P101        9,513,875         232,400        X              1     X
KNIGHT-RIDDER                 COMMON STOCK   499040103        4,832,269          95,100        X              1     X
KOHLS CORP                    COMMON STOCK   500255104        1,626,788          28,200        X              1     X
KROGER                        COMMON STOCK   501044101        1,631,269          72,300        X              1     X
L S I LOGIC                   COMMON STOCK   502161102          754,650          25,800        X              1     X
LASALLE HOTELS                COMMON STOCK   517942108          904,475          59,800        X              1     X
LATTICE SEMICONDUCTOR         COMMON STOCK   518415104        1,252,375          23,300        X              1     X
LEGGETT & PLATT               COMMON STOCK   524660107          268,813          17,000        X              1     X
LEGG MASON                    COMMON STOCK   524901105        6,713,438         115,500        X              1     X
LEHMAN BROS HOLDING           COMMON STOCK   524908100        8,658,150          58,600        X              1     X
LEXMARK INTERNATIONAL INC.    COMMON STOCK   529771107        1,417,500          37,800        X              1     X
LILLY (ELI)                   COMMON STOCK   532457108       26,507,107         326,744        X              1     X
LIMITED                       COMMON STOCK   532716107          819,798          37,158        X              1     X
LINCOLN NATIONAL              COMMON STOCK   534187109       17,570,438         365,100        X              1     X
LINEAR TECH                   COMMON STOCK   535678106        1,683,500          26,000        X              1     X
LITTON INDUSTRIES             COMMON STOCK   538021106       10,881,406         243,500        X              1     X
LOCKHEED MARTIN               COMMON STOCK   539830109        2,758,752          83,700        X              1     X
LOUIS DREYFUS NATURAL CORP    COMMON STOCK   546011107          261,525           6,600        X              1     X
LOWE'S                        COMMON STOCK   548661107        1,485,363          33,100        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
LUCENT TECHNOLOGIES INC       COMMON STOCK   549463107       19,800,007         647,853        X              1     X
MBNA CORP                     COMMON STOCK   55262L100        2,675,750          69,500        X              1     X
MGIC INVESTMENT               COMMON STOCK   552848103          562,350           9,200        X              1     X
MACERICH COMPANY              COMMON STOCK   554382101        5,675,875         267,100        X              1     X
MACK-CALI REALTY CORP         COMMON STOCK   554489104        4,932,813         175,000        X              1     X
MALLINCKRODT GRP              COMMON STOCK   561232109          269,188           5,900        X              1     X
MANUFACTURED HOME COMMUNITIES COMMON STOCK   564682102        7,453,775         298,151        X              1     X
MARINE DRILLING CO INC        COMMON STOCK   568240204        1,442,406          50,500        X              1     X
MARSH & MC LENNAN             COMMON STOCK   571748102        5,774,625          43,500        X              1     X
MARSHALL & ILSLEY             COMMON STOCK   571834100        6,255,600         124,800        X              1     X
MARRIOTT INTERNATIONAL INC    COMMON STOCK   571903202          787,050          21,600        X              1     X
MASCO                         COMMON STOCK   574599106        3,285,450         176,400        X              1     X
MATTEL                        COMMON STOCK   577081102          408,344          36,500        X              1     X
MAXIM INTEGRATED PRODUCTS     COMMON STOCK   57772K101        1,882,238          23,400        X              1     X
MAY DEPARTMENT STORES         COMMON STOCK   577778103          590,400          28,800        X              1     X
MAYTAG                        COMMON STOCK   578592107          226,756           7,300        X              1     X
MCDONALD'S                    COMMON STOCK   580135101        4,682,081         155,100        X              1     X
MCGRAW-HILL                   COMMON STOCK   580645109        2,777,681          43,700        X              1     X
MCKESSON HBOC INC             COMMON STOCK   58155Q103          745,725          24,400        X              1     X
MEAD                          COMMON STOCK   582834107          208,038           8,900        X              1     X
MEDICIS PHARMACEUTICAL CORP   COMMON STOCK   584690309          295,200           4,800        X              1     X
MEDIMMUNE INC                 COMMON STOCK   584699102        1,328,700          17,200        X              1     X
MEDTRONICS                    COMMON STOCK   585055106        8,611,238         166,200        X              1     X
MELLON BANK                   COMMON STOCK   58551A108        2,045,138          44,100        X              1     X
MERCK                         COMMON STOCK   589331107       52,054,144         699,300        X              1     X
MERCURY INTERACTIVE CORP.     COMMON STOCK   589405109        1,034,550           6,600        X              1     X
MERISTAR HOSPITALITY CORP     COMMON STOCK   58984Y103        1,782,000          88,000        X              1     X
MERRILL LYNCH                 COMMON STOCK   590188108       13,774,200         208,700        X              1     X
METHODE ELECTRONICS CLASS A   COMMON STOCK   591520200          283,600           6,400        X              1     X
MICHAEL'S STORES INC          COMMON STOCK   594087108          204,000           5,100        X              1     X
MICROSOFT                     COMMON STOCK   594918104       66,434,219       1,101,500        X              1     X
MICRON TECH                   COMMON STOCK   595112103        2,884,200          62,700        X              1     X
MILLENNIUM
  PHARMACEUTICALS INC         COMMON STOCK   599902103        9,640,125          66,000        X              1     X
MILLS CORP                    COMMON STOCK   601148109        2,840,625         150,000        X              1     X
MINNESOTA MNG & MFG           COMMON STOCK   604059105        4,702,050          51,600        X              1     X
MOLEX                         COMMON STOCK   608554101          925,438          17,000        X              1     X
MONSANTO COMPANY              NON-REDEEM
                                P/S          611662305        3,168,688          60,500        X              1     X
MORGAN (J.P.)                 COMMON STOCK   616880100        8,201,425          50,200        X              1     X
MORGAN STANLEY
  DEAN WITTER & CO            COMMON STOCK   617446448       11,228,525         122,800        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
MOTOROLA                      COMMON STOCK   620076109        8,794,225         311,300        X              1     X
NBTY INC                      COMMON STOCK   628782104           71,844          11,000        X              1     X
NCR CORP                      COMMON STOCK   62886E108          317,625           8,400        X              1     X
NABISCO GROUP HOLDINGS        COMMON STOCK   62952P102          806,550          28,300        X              1     X
NABORS INDUSTRIES             COMMON STOCK   629568106       10,846,800         207,000        X              1     X
NATIONAL AUSTRALIA
  BANK 7.875% CONVERTIB       NON-REDEEM
                                P/S          632525309          898,594          35,500        X              1     X
NATIONAL CITY                 COMMON STOCK   635405103        1,181,475          53,400        X              1     X
NATIONAL INSTRUMENTS CORP     COMMON STOCK   636518102          379,475           8,600        X              1     X
NATIONAL SEMICONDUCTOR        COMMON STOCK   637640103          599,725          14,900        X              1     X
NATIONWIDE FINANCIAL          COMMON STOCK   638612101       13,141,050         351,600        X              1     X
NETWORK APPLIANCE INC         COMMON STOCK   64120L104        4,496,338          35,300        X              1     X
NEW YORK TIMES                COMMON STOCK   650111107          581,825          14,800        X              1     X
NEWELL RUBBERMAID INC         COMMON STOCK   651229106          555,918          24,369        X              1     X
NEWFIELD EXPLORATION CORP     COMMON STOCK   651290108          322,144           6,900        X              1     X
NEWMONT MINING                COMMON STOCK   651639106          246,500          14,500        X              1     X
NEXTEL COMMUNICATIONS INC     COMMON STOCK   65332V103        8,751,600         187,200        X              1     X
NIAGARA MOHAWK HOLDINGS INC   COMMON STOCK   653520106          255,150          16,200        X              1     X
NIKE CL B                     COMMON STOCK   654106103          957,494          23,900        X              1     X
99 CENTS ONLY STORES          COMMON STOCK   65440K106          276,032           5,500        X              1     X
NORDSTROM                     COMMON STOCK   655664100          182,081          11,700        X              1     X
NORFOLK SOUTHERN              COMMON STOCK   655844108          484,088          33,100        X              1     X
NORTEL NETWORKS CORP          COMMON STOCK
                                FOREIGN      656568102       27,398,750         460,000        X              1     X
NORTHERN TRUST                COMMON STOCK   665859104        1,715,288          19,300        X              1     X
NORTHROP GRUMMAN              COMMON STOCK   666807102          545,250           6,000        X              1     X
NOVELL                        COMMON STOCK   670006105          281,231          28,300        X              1     X
NOVELLUS SYSTEM INC           COMMON STOCK   670008101          507,531          10,900        X              1     X
NSTAR                         COMMON STOCK   67019E107        3,389,050          84,200        X              1     X
NUCOR                         COMMON STOCK   670346105          400,663          13,300        X              1     X
NUVEEN MUNI VALUE FUND        COMMON STOCK   670928100       28,818,175       3,317,200        X              1     X
OCCIDENTAL PETROLEUM          COMMON STOCK   674599105          693,638          31,800        X              1     X
OCEAN ENERGY INC              COMMON STOCK   67481E106        6,753,906         437,500        X              1     X
OFFICE DEPOT INC              COMMON STOCK   676220106          222,656          28,500        X              1     X
OGDEN                         COMMON STOCK   676346109        3,680,863         271,400        X              1     X
OLD KENT FINANCIAL            COMMON STOCK   679833103          322,074          11,130        X              1     X
OMNICOM GROUP                 COMMON STOCK   681919106        2,210,006          30,300        X              1     X
ORACLE SYSTEMS                COMMON STOCK   68389X105       46,116,000         585,600        X              1     X
ORTHODONTIC CENTERS
  OF AMERICA                  COMMON STOCK   68750P103          303,144           9,100        X              1     X
OWENS-ILLINOIS                COMMON STOCK   690768403          120,250          13,000        X              1     X
P-COM INC                     COMMON STOCK   693262107           69,563          10,500        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
PECO ENERGY CO                COMMON STOCK   693304107       11,367,581         187,700        X              1     X
PG & E CORP                   COMMON STOCK   69331C108        5,074,538         209,800        X              1     X
PE CORP - PE
  BIOSYSTEMS GROUP            COMMON STOCK   69332S102       16,461,450         141,300        X              1     X
THE PMI GROUP                 COMMON STOCK   69344M101       13,136,928         193,903        X              1     X
PNC FINANCIAL
  SERVICES GROUP              COMMON STOCK   693475105        4,543,500          69,900        X              1     X
P P G INDUSTRIES              COMMON STOCK   693506107          349,250           8,800        X              1     X
PPL CORPORATION               COMMON STOCK   69351T106        5,765,675         138,100        X              1     X
PACCAR                        COMMON STOCK   693718108          252,025           6,800        X              1     X
PAINE WEBBER GROUP            COMMON STOCK   695629105          844,750          12,400        X              1     X
PALL                          COMMON STOCK   696429307          213,331          10,700        X              1     X
PALM INC                      COMMON STOCK   696642107        2,638,987          49,851        X              1     X
PAN PACIFIC REALTY            COMMON STOCK   69806L104        3,000,000         150,000        X              1     X
PARAMETRIC TECHNOLOGY CORP    COMMON STOCK   699173100          260,313          23,800        X              1     X
PARKER-HANNIFIN               COMMON STOCK   701094104          327,375           9,700        X              1     X
PATTERSON DENTAL CO           COMMON STOCK   703412106          258,750          11,500        X              1     X
PAYCHEX                       COMMON STOCK   704326107       22,854,563         435,325        X              1     X
PENNEY (J.C.)                 COMMON STOCK   708160106          266,963          22,600        X              1     X
PEOPLESOFT INC                COMMON STOCK   712713106          650,944          23,300        X              1     X
PEPSICO                       COMMON STOCK   713448108        9,200,000         200,000        X              1     X
EG & G                        COMMON STOCK   714046109          427,938           4,100        X              1     X
PFIZER                        COMMON STOCK   717081103       70,249,670       1,563,275        X              1     X
PHELPS DODGE                  COMMON STOCK   717265102          371,993           8,910        X              1     X
PHILLIPS PETROLEUM            COMMON STOCK   718507106       14,645,850         233,400        X              1     X
PIER 1                        COMMON STOCK   720279108          232,258          17,125        X              1     X
PINNACLE WEST CAPITAL         COMMON STOCK   723484101          371,388           7,300        X              1     X
PITNEY BOWES                  COMMON STOCK   724479100       26,675,525         676,400        X              1     X
PLACER DOME                   COMMON STOCK
                                FOREIGN      725906101          266,138          28,200        X              1     X
PLANTRONICS INC               COMMON STOCK   727493108          273,600           7,200        X              1     X
PLEXUS CORP                   COMMON STOCK   729132100          408,900           5,800        X              1     X
POST PROPERTIES, INC.         COMMON STOCK   737464107       14,745,906         338,500        X              1     X
PRAXAIR                       COMMON STOCK   74005P104          515,775          13,800        X              1     X
PRECISION CASTPARTS           COMMON STOCK   740189105        8,200,738         213,700        X              1     X
PRENTISS PROPERTIES TRUST     COMMON STOCK   740706106        3,686,238         141,100        X              1     X
PRICE T ROWE & ASSOC INC      COMMON STOCK   741477103          488,150          10,400        X              1     X
PRIDE INTL                    COMMON STOCK   741932107          214,650           8,100        X              1     X
PRIORITY HEALTHCARE CORP      COMMON STOCK   74264T102          253,455           3,324        X              1     X
PROCTER & GAMBLE              COMMON STOCK   742718109       11,014,800         164,400        X              1     X
PROGRESSIVE CORP.             COMMON STOCK   743315103          515,813           6,300        X              1     X
PROLOGIS TRUST                COMMON STOCK   743410102       54,455,520       2,292,864        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
PROTECTIVE LIFE CORP          COMMON STOCK   743674103        6,360,388         212,900        X              1     X
PROTEIN DESIGN LABS INC       COMMON STOCK   74369L103          747,100           6,200        X              1     X
PROVIDIAN FINANCIAL CORP      COMMON STOCK   74406A102       12,407,900          97,700        X              1     X
PUBLIC SVC ENTERPRISE GROUP   COMMON STOCK   744573106          844,594          18,900        X              1     X
PUBLIC STORAGE INC            COMMON STOCK   74460D109        3,590,625         150,000        X              1     X
QUAKER OATS                   COMMON STOCK   747402105          917,850          11,600        X              1     X
QUALCOM                       COMMON STOCK   747525103        6,120,375          85,900        X              1     X
QUANTUM                       COMMON STOCK   747906204        5,154,388         342,200        X              1     X
QUINTILES                     COMMON STOCK   748767100          159,375          10,000        X              1     X
QWEST COMMUNICATIONS INTL     COMMON STOCK   749121109       22,642,244         471,100        X              1     X
RSA SECURITY INC              COMMON STOCK   749719100          267,375           6,200        X              1     X
RADIAN GROUP INC              COMMON STOCK   750236101          411,750           6,100        X              1     X
RADIOSHACK CORP               COMMON STOCK   750438103        6,966,575         107,800        X              1     X
RALSTON-RALSTON PURINA        COMMON STOCK   751277302        1,335,975          56,400        X              1     X
RATIONAL SOFTWARE CORP        COMMON STOCK   75409P202        9,108,938         131,300        X              1     X
RAYMOND JAMES FINANCIAL INC   COMMON STOCK   754730109          289,027           8,775        X              1     X
RAYTHEON                      COMMON STOCK   755111408          833,219          29,300        X              1     X
READERS DIGEST                COMMON STOCK   755267101        7,027,188         199,000        X              1     X
READERS DIGEST, 8.25%,
  CONVERTIBLE                 NON-REDEEM
                                P/S          755271202        1,860,000          60,000        X              1     X
REGENCY REALTY                COMMON STOCK   758939102        2,293,750         100,000        X              1     X
REGIONS FINANCIAL             COMMON STOCK   758940100          428,794          18,900        X              1     X
RELIANT ENERGY INC            COMMON STOCK   75952J108        1,190,400          25,600        X              1     X
REMEC INCORPORATED            COMMON STOCK   759543101          419,484          14,250        X              1     X
ROCKWELL INTL                 COMMON STOCK   773903109          496,100          16,400        X              1     X
ROHM & HAAS                   COMMON STOCK   775371107        3,167,406         108,986        X              1     X
ROLLINS TRUCK LEASING         COMMON STOCK   775741101           73,856          11,700        X              1     X
ROUSE CO                      COMMON STOCK   779273101        4,987,500         200,000        X              1     X
ROWAN                         COMMON STOCK   779382100          348,000          12,000        X              1     X
ROYAL DUTCH PETROLEUM         COMMON STOCK
                                FOREIGN      780257804       15,116,237         252,200        X              1     X
RUBY TUESDAY INC              COMMON STOCK   781182100          137,250          12,200        X              1     X
SBC COMMUNICATIONS            COMMON STOCK   78387G103       31,575,950         631,519        X              1     X
SL GREEN REALTY CORP          COMMON STOCK   78440X101        4,209,375         150,000        X              1     X
S3 INC                        COMMON STOCK   784849101          128,906          12,500        X              1     X
SABRE HOLDINGS CORP           COMMON STOCK   785905100          342,099          11,822        X              1     X
SAFECO                        COMMON STOCK   786429100          307,925          11,300        X              1     X
SAFEWAY INC                   COMMON STOCK   786514208        2,922,638          62,600        X              1     X
ST JUDE MEDICAL               COMMON STOCK   790849103          372,300           7,300        X              1     X
ST. PAUL                      COMMON STOCK   792860108        2,243,719          45,500        X              1     X
SANMINA CORP                  COMMON STOCK   800907107        1,067,325          11,400        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
SAPIENT CORP                  COMMON STOCK   803062108          382,463           9,400        X              1     X
SARA LEE                      COMMON STOCK   803111103        1,598,594          78,700        X              1     X
SCHERING-PLOUGH               COMMON STOCK   806605101        9,792,900         210,600        X              1     X
SCHLUMBERGER                  COMMON STOCK   806857108       14,561,081         176,900        X              1     X
SCHWAB CHARLES CORP NEW       COMMON STOCK   808513105        5,248,675         147,850        X              1     X
SCIENTIFIC-ATLANTA            COMMON STOCK   808655104          865,300          13,600        X              1     X
SEAGATE TECH                  COMMON STOCK   811804103        1,290,300          18,700        X              1     X
SEALED AIR                    COMMON STOCK   81211K100          325,800           7,200        X              1     X
SEALED AIR CORP., $2.00,
  CONVERTIBLE                 NON-REDEEM
                                P/S          81211K209        5,675,940         126,132        X              1     X
SEARS ROEBUCK                 COMMON STOCK   812387108        1,060,134          32,700        X              1     X
SECURITY CAPITAL GROUP INC.   COMMON STOCK   81413P105       36,234,900          38,142        X              1     X
SEMPRA ENERGY                 COMMON STOCK   816851109          368,381          17,700        X              1     X
SENSORMATIC ELECTRONICS       COMMON STOCK   817265101        1,600,500         106,700        X              1     X
SENSOMATIC ELECTRONICS        NON-REDEEM
                                P/S          817265804        1,710,000          80,000        X              1     X
SEPRACOR INC                  COMMON STOCK   817315104        9,765,925          79,600        X              1     X
SHERWIN-WILLIAMS              COMMON STOCK   824348106          307,800          14,400        X              1     X
SIEBEL SYSTEMS INC            COMMON STOCK   826170102        7,502,463          67,400        X              1     X
SIGMA-ALDRICH                 COMMON STOCK   826552101          287,100           8,700        X              1     X
SIMON PROPERTY GROUP INC      COMMON STOCK   828806109       12,928,125         551,600        X              1     X
SKYWEST INC                   COMMON STOCK   830879102          225,500           4,400        X              1     X
SOLECTRON CORP                COMMON STOCK   834182107        2,366,213          51,300        X              1     X
SOUTHERN                      COMMON STOCK   842587107       14,551,463         448,600        X              1     X
SOUTHTRUST                    COMMON STOCK   844730101          455,844          14,500        X              1     X
SOUTHWEST AIRLINES            COMMON STOCK   844741108        1,058,513          43,650        X              1     X
SOUTHWEST BANCORP             COMMON STOCK   84476R109          215,738           6,600        X              1     X
SOVEREIGN BANCORP             COMMON STOCK   845905108        3,744,400         404,800        X              1     X
INTERIM SERVICES INC          COMMON STOCK   848420105          140,863          11,800        X              1     X
SPIEKER PROPERTIES            COMMON STOCK   848497103        5,756,250         100,000        X              1     X
SPRINT                        COMMON STOCK   852061100        2,213,094          75,500        X              1     X
SPRINT CORP (PCS GROUP)       COMMON STOCK   852061506        3,373,013          96,200        X              1     X
STAPLES                       COMMON STOCK   855030102          577,431          40,700        X              1     X
STARBUCKS, CORP               COMMON STOCK   855244109        3,549,538          88,600        X              1     X
STARWOOD HOTELS &
  RESORTS TRUST               COMMON STOCK   85590A203       26,390,625         844,500        X              1     X
STATE STREET CORP             COMMON STOCK   857477103        1,807,000          13,900        X              1     X
STORAGE TECH                  COMMON STOCK   862111200        3,984,663         293,800        X              1     X
SUIZA FOODS CORP              COMMON STOCK   865077101        2,524,238          49,800        X              1     X
SUMMIT BANCORP                COMMON STOCK   866005101        6,713,700         194,600        X              1     X
SUN COMMUNITIES               COMMON STOCK   866674104        3,624,225         114,600        X              1     X
SUN MICROSYSTEMS              COMMON STOCK   866810104       42,552,340         364,474        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
SUNGARD DATA SYSTEMS          COMMON STOCK   867363103        5,488,563         128,200        X              1     X
SUN CO.                       COMMON STOCK   86764P109       10,201,231         378,700        X              1     X
SUNTRUST BANKS                COMMON STOCK   867914103        1,379,806          27,700        X              1     X
SUPER VALU STORES             COMMON STOCK   868536103          181,714          12,064        X              1     X
SYBASE INC                    COMMON STOCK   871130100       14,363,500         624,500        X              1     X
SYBRON CORP                   COMMON STOCK   87114F106        7,521,600         313,400        X              1     X
SYMANTEC CORP.                COMMON STOCK   871503108        4,457,200         101,300        X              1     X
SYNOVUS FINANCIAL CORP        COMMON STOCK   87161C105          512,738          24,200        X              1     X
SYSCO                         COMMON STOCK   871829107        1,324,538          28,600        X              1     X
TJX                           COMMON STOCK   872540109          605,250          26,900        X              1     X
T R W                         COMMON STOCK   872649108        6,959,063         171,300        X              1     X
TXU CORPORATION (HLDG)        COMMON STOCK   873168108       13,912,338         351,100        X              1     X
TALBOTS                       COMMON STOCK   874161102        1,106,375          16,700        X              1     X
TARGET CORP                   COMMON STOCK   87612E106        3,556,750         138,800        X              1     X
TAUBMAN CENTERS INC           COMMON STOCK   876664103        3,468,750         300,000        X              1     X
TECHNE CORP                   COMMON STOCK   878377100          369,600           3,300        X              1     X
TECHNITROL INC                COMMON STOCK   878555101          323,200           3,200        X              1     X
TEKTRONIX                     COMMON STOCK   879131100          314,931           4,100        X              1     X
TELECOM CORP OF NEW ZEALAND   COMMON STOCK
                                FOREIGN      879278208          466,000          23,300        X              1     X
TELLABS                       COMMON STOCK   879664100        2,334,975          48,900        X              1     X
TENET HEALTHCARE              COMMON STOCK   88033G100        8,551,763         235,100        X              1     X
TERADYNE                      COMMON STOCK   880770102          518,000          14,800        X              1     X
TEXACO                        COMMON STOCK   881694103        2,604,000          49,600        X              1     X
TEXAS INSTRUMENTS             COMMON STOCK   882508104       16,534,500         350,400        X              1     X
TEXTRON                       COMMON STOCK   883203101          595,013          12,900        X              1     X
THERMO ELECTRON               COMMON STOCK   883556102          356,200          13,700        X              1     X
3 COM                         COMMON STOCK   885535104       10,092,625         526,000        X              1     X
TIFFANY & CO                  COMMON STOCK   886547108          485,888          12,600        X              1     X
TIMBERLAND CO  - CL A         COMMON STOCK   887100105          311,600           7,600        X              1     X
TIME WARNER                   COMMON STOCK   887315109       31,628,650         404,200        X              1     X
TIME WARNER TELECOM INC       COMMON STOCK   887319101          608,738          12,600        X              1     X
TOLL BROTHERS INC             COMMON STOCK   889478103          237,188           6,900        X              1     X
TORCHMARK                     COMMON STOCK   891027104       17,107,469         615,100        X              1     X
TOSCO                         COMMON STOCK   891490302          389,844          12,500        X              1     X
TOYS R US                     COMMON STOCK   892335100          338,000          20,800        X              1     X
TRANSWITCH CORPORATION        COMMON STOCK   894065101        4,347,750          68,200        X              1     X
TRICON GLOBAL RESTAURANTS     COMMON STOCK   895953107          401,188          13,100        X              1     X
TRIBUNE                       COMMON STOCK   896047107          898,675          20,600        X              1     X
TRUE NORTH COMMUNICATION      COMMON STOCK   897844106          293,150           8,200        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
TYCO INTERNATIONAL            COMMON STOCK   902124106       18,369,664         354,114        X              1     X
USX-MARATHON GROUP            COMMON STOCK   902905827          763,288          26,900        X              1     X
US BANCORP                    COMMON STOCK   902973106        1,485,575          65,300        X              1     X
USA NETWORKS                  COMMON STOCK   902984103        2,737,800         124,800        X              1     X
US ONCOLOGY INC               COMMON STOCK   90338W103           58,454          12,900        X              1     X
USA EDUCATION INC.            COMMON STOCK   90390U102       11,458,988         237,800        X              1     X
UNILEVER N.V.                 COMMON STOCK
                                FOREIGN      904784709       13,331,819         276,307        X              1     X
UNICOM                        COMMON STOCK   904911104        1,056,325          18,800        X              1     X
UNION CARBIDE                 COMMON STOCK   905581104          437,900          11,600        X              1     X
UNION PACIFIC                 COMMON STOCK   907818108          835,813          21,500        X              1     X
UNION PLANTERS                COMMON STOCK   908068109        3,967,500         120,000        X              1     X
UNISYS                        COMMON STOCK   909214108          302,625          26,900        X              1     X
UNITED DOMINION               COMMON STOCK   910197102        1,087,500         100,000        X              1     X
UNITED TECH                   COMMON STOCK   913017109        9,030,200         130,400        X              1     X
UNITEDHEALTH GROUP INC        COMMON STOCK   91324P102        1,451,625          14,700        X              1     X
UNIVERSAL HEALTH SERVICES INC COMMON STOCK   913903100          445,250           5,200        X              1     X
UNOCAL                        COMMON STOCK   915289102          744,188          21,000        X              1     X
UNUM PROVIDENT                COMMON STOCK   91529Y106          566,800          20,800        X              1     X
V F                           COMMON STOCK   918204108          251,813          10,200        X              1     X
VALENCE TECHNOLOGY INC        COMMON STOCK   918914102        1,274,775          73,900        X              1     X
VALERO ENERGY CORP            COMMON STOCK   91913Y100       13,811,094         392,500        X              1     X
VARIAN ASSOC                  COMMON STOCK   92220P105          216,900           4,800        X              1     X
VERITAS SOFTWARE CORP         COMMON STOCK   923436109       14,292,300         100,650        X              1     X
VERIZON COMMUNICATIONS        COMMON STOCK   92343V104       16,504,303         340,734        X              1     X
VERTEX PHARMACEUTICALS        COMMON STOCK   92532F100          777,400           9,200        X              1     X
VIACOM -CL B                  COMMON STOCK   925524308       20,344,662         347,772        X              1     X
VIAD CORP                     COMMON STOCK   92552R109        7,522,500         283,200        X              1     X
VICOR CORP                    COMMON STOCK   925815102          406,875           7,500        X              1     X
VINTAGE PETE INC              COMMON STOCK   927460105          238,875          10,500        X              1     X
VOICESTREAM WIRELESS CORP     COMMON STOCK   928615103        2,872,547          24,750        X              1     X
VORNADO                       COMMON STOCK   929042109       14,850,000         400,000        X              1     X
VORNADO OPERATING CO          COMMON STOCK   92904N103           99,531          17,500        X              1     X
VULCAN MATERIALS              COMMON STOCK   929160109          349,631           8,700        X              1     X
WACHOVIA CORP                 COMMON STOCK   929771103          997,700          17,600        X              1     X
WAL-MART STORES               COMMON STOCK   931142103       50,718,937       1,053,900        X              1     X
WALGREEN                      COMMON STOCK   931422109        4,453,863         117,400        X              1     X
WASHINGTON GROUP
  INTERNATIONAL               COMMON STOCK   938862109          132,675          11,600        X              1     X
WASHINGTON MUTUAL             COMMON STOCK   939322103        3,829,963          96,200        X              1     X
WASTE MANAGEMENT INC          COMMON STOCK   94106L109        4,341,938         249,000        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
WATSON PHARMACEUTICALS INC    COMMON STOCK   942683103        1,381,838          21,300        X              1     X
WEATHERFORD INTERNATIONAL     COMMON STOCK   947074100        5,289,000         123,000        X              1     X
WELLPOINT HEALTH              COMMON STOCK   94973H108          528,000           5,500        X              1     X
WELLS FARGO & CO (NEW)        COMMON STOCK   949746101       20,791,313         452,600        X              1     X
WENDY'S INTL                  COMMON STOCK   950590109          208,650          10,400        X              1     X
WESTERN RESOURCES INC         COMMON STOCK   959425109        1,643,500          76,000        X              1     X
WESTVACO                      COMMON STOCK   961548104          232,181           8,700        X              1     X
WEYERHAEUSER                  COMMON STOCK   962166104          819,613          20,300        X              1     X
WHIRLPOOL                     COMMON STOCK   963320106          248,800           6,400        X              1     X
WHOLE FOODS MARKET INC        COMMON STOCK   966837106          252,331           4,700        X              1     X
WILLAMETTE INDUSTRIES         COMMON STOCK   969133107          271,600           9,700        X              1     X
WILLIAMS                      COMMON STOCK   969457100        1,677,325          39,700        X              1     X
WINN-DIXIE STORES             COMMON STOCK   974280109          182,563          12,700        X              1     X
WORLDCOM INC.                 COMMON STOCK   98157D106        9,756,450         321,200        X              1     X
WRIGLEY                       COMMON STOCK   982526105        6,229,600          83,200        X              1     X
XCEL ENERGY INC               COMMON STOCK   98389B100          368,500          13,400        X              1     X
XILINX, INC.                  COMMON STOCK   983919101        4,332,625          50,600        X              1     X
XEROX                         COMMON STOCK   984121103          866,094          57,500        X              1     X
YAHOO INC                     COMMON STOCK   984332106        6,470,100          71,100        X              1     X
YOUNG AND REUBICAM INC        COMMON STOCK   987425105          297,000           6,000        X              1     X
ZALE CORP.                    COMMON STOCK   988858106          207,600           6,400        X              1     X
ZEBRA TECHNOLOGIES            COMMON STOCK   989207105          230,700           4,800        X              1     X
TRANSOCEAN SEDCO FOREX INC    COMMON STOCK   G90078109        2,982,957          50,882        X              1     X
                                                          3,643,530,985      89,062,985
ADT OPERATIONS INC CONV       DEBT           000945AC9     3,603,468.75    1,275,000.00        X              1     X
ADVANCED ENERGY IND           DEBT           007973AA8     2,084,062.50    2,250,000.00        X              1     X
AETHER SYSTEMS INC            DEBT           00808VAA3     5,155,312.50    6,750,000.00        X              1     X
AFFILIATED COMPUTER INC.,
  CONVERTIBLE                 DEBT           008190AD2     6,198,000.00    4,800,000.00        X              1     X
AKAMAI TECHNOLOGIES INC       DEBT           00971TAA9     3,432,000.00    4,800,000.00        X              1     X
ALKERMES INC.                 DEBT           01642TAA6     5,889,000.00    7,800,000.00        X              1     X
ALZA CORP                     DEBT           02261WAA7    15,468,750.00   22,500,000.00        X              1     X
AMAZON.COM                    DEBT           023135AD8     1,995,000.00    3,000,000.00        X              1     X
AMERICA ONLINE                DEBT           02364JAC8     3,544,875.00    6,900,000.00        X              1     X
AMERICAN
  INTERNATIONAL GROUP         DEBT           026874AN7     6,742,500.00    6,000,000.00        X              1     X
AMERICAN TOWER CORP           DEBT           029912AE2     8,550,000.00    9,000,000.00        X              1     X
AMERICAN TOWER                DEBT           029912AF9     6,127,500.00    6,450,000.00        X              1     X
AMKOR TECHNOLOGIES INC        DEBT           031652AF7       954,000.00    1,200,000.00        X              1     X
ANADARKO PETROLEUM CORP       DEBT           032511AP2       985,500.00    1,200,000.00        X              1     X
ANALOG DEVICES                DEBT           032654AC9     9,757,125.00    9,450,000.00        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
AMTEL CORP CONV               DEBT           049513AB0     4,103,625.00    4,650,000.00        X              1     X
AVON PRODUCTS INC             DEBT           054303AN2     1,440,000.00    3,000,000.00        X              1     X
BEA SYSTEMS                   DEBT           073325AC6    15,294,562.50    6,450,000.00        X              1     X
BERKSHIRE HATHAWAY
  INC DEL CONV                DEBT           084670AF5     4,615,218.75    1,425,000.00        X              1     X
BURR-BROWN CORP               DEBT           122574AD8     1,195,875.00      900,000.00        X              1     X
CUC INTL INC                  DEBT           126545AD4     2,737,500.00    3,000,000.00        X              1     X
CELESTICA INC                 DEBT           15101QAA6    10,463,625.00   21,300,000.00        X              1     X
CENTOCOR INC.                 DEBT           152342AE1     3,527,718.75    2,775,000.00        X              1     X
CLEAR CHANNEL COMM., INC.,
  CONVERTIBLE                 DEBT           184502AB8    10,815,750.00    9,900,000.00        X              1     X
CLEAR CHANNEL
  COMMUNICATIONS              DEBT           184502AE2    11,793,750.00   12,750,000.00        X              1     X
COMMSCOPE INC                 DEBT           203372AA5     1,276,875.00    1,500,000.00        X              1     X
CONEXANT SYSTEMS              DEBT           207142AB6     3,161,812.50    1,650,000.00        X              1     X
CONEXANT SYSTEMS              DEBT           207142AD2     7,494,375.00   10,500,000.00        X              1     X
CONEXANT SYSTEMS              DEBT           207142AF7     2,141,250.00    3,000,000.00        X              1     X
COR THERAPEUTICS              DEBT           217753AC6     8,654,625.00    4,410,000.00        X              1     X
COSTCO                        DEBT           22160QAC6     3,875,025.00    4,620,000.00        X              1     X
COVAD COMM GROUP              DEBT           222814AN5     4,173,750.00    4,500,000.00        X              1     X
CRITICAL PATH                 DEBT           22674VAA8     3,960,000.00    4,500,000.00        X              1     X
CRITICAL PATH INC             DEBT           22674VAB6     2,244,000.00    2,550,000.00        X              1     X
CYMER                         DEBT           232572AC1     4,235,625.00    4,500,000.00        X              1     X
CYPRESS SEMICONDUCTOR         DEBT           232806AE9     3,551,625.00    3,150,000.00        X              1     X
CYPRESS SEMICONDUCTOR         DEBT           232806AF6     8,730,375.00    9,300,000.00        X              1     X
DEVON ENERGY CORP             DEBT           25179MAA1     6,327,750.00    6,600,000.00        X              1     X
DEVON ENERGY CORP.            DEBT           25179MAB9     8,858,790.00    9,192,000.00        X              1     X
DIAMOND OFFSHORE CONV         DEBT           25271CAA0     5,893,125.00    5,250,000.00        X              1     X
DIAMOND OFFSHORE              DEBT           25271CAB8     7,500,000.00   15,000,000.00        X              1     X
DUPONT PHOTOMASK              DEBT           26613XAC5     4,286,250.00    4,500,000.00        X              1     X
ECHOSTAR COMMUNICATIONS       DEBT           278762AB5     5,940,000.00    4,500,000.00        X              1     X
ECHOSTAR COMMUNICATIONS       DEBT           278762AD1     3,960,000.00    3,000,000.00        X              1     X
EFFICIENT NETWORKS INC        DEBT           282056AA8     4,733,437.50    7,425,000.00        X              1     X
ELAN INTL FIN CONV            DEBT           284129AA1    12,075,000.00   15,000,000.00        X              1     X
GENZYME CORP                  DEBT           372917AF1     7,343,812.50    3,975,000.00        X              1     X
GILAT SATELLITE               DEBT           375255AC0     3,369,375.00    4,500,000.00        X              1     X
GLOBAL MARINE                 DEBT           379352AM9     4,567,500.00    9,000,000.00        X              1     X
HEALTH MANAGEMENT ASSOC       DEBT           421933AA0     7,166,250.00   10,500,000.00        X              1     X
HEWLETT PACKARD CO CONV       DEBT           428236AC7    10,270,687.50   13,950,000.00        X              1     X
HILTON HOTELS CORP CONV       DEBT           432848AL3     6,093,000.00    7,200,000.00        X              1     X
HUMAN GENOME SCIENCES         DEBT           444903AH1     9,881,250.00   10,200,000.00        X              1     X
IDEC PHARMACEUTICALS          DEBT           449370AA3     2,483,250.00    1,050,000.00        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
IMCLONE SYSTEMS               DEBT           45245WAA7     7,630,875.00    6,300,000.00        X              1     X
INHALE THERAPEUTICS           DEBT           457191AD6     2,375,625.00    1,500,000.00        X              1     X
INTERNATIONAL RECTIFIER CORP  DEBT           460254AD7     6,862,500.00    7,500,000.00        X              1     X
INTERPUBLIC GROUP             DEBT           460690AG5    11,315,625.00   12,750,000.00        X              1     X
INVITROGEN CORP               DEBT           46185RAB6     3,934,125.00    3,900,000.00        X              1     X
I2 TECHNOLOGIES               DEBT           465754AD1    10,500,900.00    4,080,000.00        X              1     X
IVAX CORP.                    DEBT           465823AB8     2,592,000.00    1,800,000.00        X              1     X
JMH FINANCE LIMITED           DEBT           46621WAA9     1,533,750.00    1,500,000.00        X              1     X
JUNIPER NETWORKS              DEBT           48203RAA2    17,527,125.00   11,550,000.00        X              1     X
KERR-MCGEE                    DEBT           492386AP2     9,691,500.00    7,800,000.00        X              1     X
KOHL'S CORP.                  DEBT           500255AG9     2,101,500.00    3,600,000.00        X              1     X
KULICKE & SOFFA IND INC       DEBT           501242AC5     2,638,125.00    3,150,000.00        X              1     X
LSI LOGIC                     DEBT           502161AE2    12,335,625.00   15,300,000.00        X              1     X
LAM RESH CORP CONV            DEBT           512807AC2     3,739,500.00    3,600,000.00        X              1     X
LAMAR ADVERTISING CO          DEBT           512815AF8     4,483,125.00    4,500,000.00        X              1     X
LEVEL 3 COMMUNICATIONS        DEBT           52729NAS9    20,183,062.50   23,850,000.00        X              1     X
LIBERTY MEDIA GROUP           DEBT           530715AF8    18,908,437.50   20,250,000.00        X              1     X
LIBERTY MEDIA / AT&T CORP     DEBT           530715AG6     3,361,500.00    3,600,000.00        X              1     X
LIBERTY MEDIA                 DEBT           530715AK7     5,765,625.00    7,500,000.00        X              1     X
MAGNA INTL INC CONV           DEBT           559222AE4     8,428,125.00    8,700,000.00        X              1     X
MERCURY INTERACTIVE CORP      DEBT           589405AA7     9,292,500.00    6,000,000.00        X              1     X
MERRILL LYNCH - J&J           DEBT           590188A40     5,925,000.00    6,000,000.00        X              1     X
MILLENNIUM PHARMACEUTICALS    DEBT           599902AA1     6,978,712.50    3,690,000.00        X              1     X
MILLENNIUM PHARMACEUTICALS    DEBT           599902AB9     1,985,812.50    1,050,000.00        X              1     X
NABORS INDS INC               DEBT           629568AD8     3,116,250.00    4,500,000.00        X              1     X
NETWORK ASSOCIATES INC.       DEBT           640938AA4     5,096,250.00   13,500,000.00        X              1     X
NEWS CORP                     DEBT           652478AS7    10,057,404.00    8,925,000.00        X              1     X
NEXTEL                        DEBT           65332VAW3    35,859,375.00   38,250,000.00        X              1     X
PROTEIN DESIGN                DEBT           74369LAB9     4,203,000.00    2,400,000.00        X              1     X
PROVIDIAN FINANCIAL CORP      DEBT           74406AAA0     6,712,500.00    6,000,000.00        X              1     X
RF MICRO DEVICES INC          DEBT           749941AA8     3,501,562.50    3,750,000.00        X              1     X
RADISYS CORP                  DEBT           750459AA7     2,898,750.00    3,000,000.00        X              1     X
RATIONAL SOFTWARE CORP        DEBT           75409PAA1    13,196,250.00    6,375,000.00        X              1     X
REDBACK NETWORKS              DEBT           757209AA9     8,325,000.00    7,500,000.00        X              1     X
ROBBINS & MYERS INC CONV      DEBT           770196AA1     2,789,437.50    2,850,000.00        X              1     X
ROCHE HLDGS INC., CONVERTIBLE DEBT           771196AC6    12,150,000.00   22,500,000.00        X              1     X
ROCHE HLDGS/GENENTECH         DEBT           771196AG7    16,508,250.00   17,400,000.00        X              1     X
SCI SYSTEMS INC               DEBT           783890AF3     5,678,625.00    5,700,000.00        X              1     X
S3                            DEBT           784849AC5     4,947,750.00    5,400,000.00        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
SANMINA CORP.                 DEBT           800907AC1    12,511,125.00   29,700,000.00        X              1     X
SEACOR HLDGS INC.,
  CONVERTIBLE                 DEBT           811904AE1     5,304,000.00    4,800,000.00        X              1     X
SEMTECH CORP                  DEBT           816850AB7     5,343,750.00    4,500,000.00        X              1     X
SEPRACOR                      DEBT           817315AH7     8,988,187.50    4,350,000.00        X              1     X
SEPRACOR                      DEBT           817315AJ3     8,311,125.00    5,550,000.00        X              1     X
SOLECTRON CORP.               DEBT           834182AG2    10,160,250.00   13,800,000.00        X              1     X
SOLECTRON                     DEBT           834182AJ6     3,975,750.00    5,400,000.00        X              1     X
SOLECTRON CORP                DEBT           834182AK3    17,085,000.00   25,500,000.00        X              1     X
TEKELEC                       DEBT           879101AA1     4,348,125.00    2,250,000.00        X              1     X
TERAYON COMMUN.               DEBT           880775AA9     3,982,500.00    6,000,000.00        X              1     X
THERMO INSTR SYS INC.,
  CONVERTIBLE                 DEBT           883556AH5     5,906,250.00    6,750,000.00        X              1     X
THERMO INSTR SYS INC CONV     DEBT           883559AC0     5,602,500.00    6,000,000.00        X              1     X
TIMES MIRROR CO.              DEBT           887364AE7     6,079,875.00    9,300,000.00        X              1     X
TRANSOCEAN SEDCO FOREX        DEBT           893830AA7     2,619,750.00    4,200,000.00        X              1     X
TRANSWITCH CORP.              DEBT           894065AA9     9,206,250.00    7,500,000.00        X              1     X
UNITED PARCEL                 DEBT           911312AB2     6,082,500.00    6,000,000.00        X              1     X
VERTEX PHARMACEUTICALS        DEBT           92532FAC4    11,825,625.00   10,500,000.00        X              1     X
VITESSE SEMICONDUCTOR         DEBT           928497AA4     8,424,000.00    8,100,000.00        X              1     X
WELLPOINT                     DEBT           94973HAA6     7,065,000.00    9,000,000.00        X              1     X
WHOLE FOODS MKT               DEBT           966837AC0     5,551,875.00   14,100,000.00        X              1     X
WIND RIV SYS INC.,
  CONVERTIBLE                 DEBT           973149AC1     4,225,125.00    2,850,000.00        X              1     X
YOUNG & RUBICAM               DEBT           987425AA3     5,895,000.00    6,000,000.00        X              1     X
TECNOST INTL                  DEBT           EC1437234         1,054.50        1,044.00        X              1     X

AES CORP                      COMMON STOCK   00130H105          253,450           3,700        X              1     X
AT & T                        COMMON STOCK   001957109        1,081,793          36,827        X              1     X
ABBOTT LABS                   COMMON STOCK   002824100        1,640,906          34,500        X              1     X
ALLEGHENY ENERGY              COMMON STOCK   017361106          271,131           7,100        X              1     X
AMERICA ON-LINE               COMMON STOCK   02364J104          451,500           8,400        X              1     X
AMERICAN EXPRESS              COMMON STOCK   025816109          364,500           6,000        X              1     X
AMERICAN HOME PRODUCTS        COMMON STOCK   026609107          294,125           5,200        X              1     X
AMERICAN INTL                 COMMON STOCK   026874107        1,449,666          15,150        X              1     X
AMGEN                         COMMON STOCK   031162100          572,590           8,200        X              1     X
ANALOG DEVICES                COMMON STOCK   032654105          379,788           4,600        X              1     X
APACHE                        COMMON STOCK   037411105          478,913           8,100        X              1     X
BANK OF AMERICA CORP          COMMON STOCK   060505104          674,642          12,881        X              1     X
BANK OF NEW YORK              COMMON STOCK   064057102          280,313           5,000        X              1     X
BAXTER INTL                   COMMON STOCK   071813109          478,875           6,000        X              1     X
BECKMAN COULTER INC           COMMON STOCK   075811109          323,925           4,200        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
BOEING                        COMMON STOCK   097023105          478,800           7,600        X              1     X
BRISTOL-MYERS-SQUIBB          COMMON STOCK   110122108        1,382,425          24,200        X              1     X
CALPINE CORP                  COMMON STOCK   131347106          448,813           4,300        X              1     X
CARDINAL HEALTH               COMMON STOCK   14149Y108          529,125           6,000        X              1     X
CENDANT COPORATION            COMMON STOCK   151313103          118,538          10,900        X              1     X
CHEVRON                       COMMON STOCK   166751107          204,600           2,400        X              1     X
CINERGY                       COMMON STOCK   172474108          211,600           6,400        X              1     X
CISCO SYSTEMS, INC.           COMMON STOCK   17275R102        2,176,850          39,400        X              1     X
CITIGROUP INC                 COMMON STOCK   172967101        2,023,650          37,432        X              1     X
COCA-COLA                     COMMON STOCK   191216100          518,175           9,400        X              1     X
COMCAST CLASS A SPECIAL       COMMON STOCK   200300200          249,719           6,100        X              1     X
COMERICA                      COMMON STOCK   200340107          321,406           5,500        X              1     X
COMPAQ COMPUTER               COMMON STOCK   204493100          325,444          11,800        X              1     X
COMPUTER SCIENCES             COMMON STOCK   205363104          772,200          10,400        X              1     X
CONSTELLATION ENERGY GROUP    COMMON STOCK   210371100          203,975           4,100        X              1     X
CORNING                       COMMON STOCK   219350105          653,400           2,200        X              1     X
DIEBOLD                       COMMON STOCK   253651103          204,531           7,700        X              1     X
DISNEY (WALT)                 COMMON STOCK   254687106          340,425           8,900        X              1     X
DOW CHEMICAL                  COMMON STOCK   260543103          229,425           9,200        X              1     X
DUKE ENERGY CORP              COMMON STOCK   264399106          257,250           3,000        X              1     X
DYNEGY INC                    COMMON STOCK   26816Q101          604,200          10,600        X              1     X
E M C                         COMMON STOCK   268648102        1,695,038          17,100        X              1     X
EL PASO ENERGY CORP DELAWARE  COMMON STOCK   283905107          375,913           6,100        X              1     X
EMERSON ELEC                  COMMON STOCK   291011104          335,000           5,000        X              1     X
ENRON                         COMMON STOCK   293561106          420,600           4,800        X              1     X
EXXON                         COMMON STOCK   30231G102        1,987,844          22,304        X              1     X
FREDDIE MAC                   COMMON STOCK   313400301        1,129,906          20,900        X              1     X
FEDERAL NAT'L MORT. ASSOC     COMMON STOCK   313586109          471,900           6,600        X              1     X
FIRSTAR CORPORATION           COMMON STOCK   33763V109          319,963          14,300        X              1     X
FLEET BOSTON FINANCIAL CORP   COMMON STOCK   339030108          826,800          21,200        X              1     X
GATEWAY INC                   COMMON STOCK   367626108          621,775          13,300        X              1     X
GENERAL DYNAMICS              COMMON STOCK   369550108          402,000           6,400        X              1     X
GENERAL ELECTRIC              COMMON STOCK   369604103        4,026,588          69,800        X              1     X
GENERAL MOTORS                COMMON STOCK   370442105          351,000           5,400        X              1     X
GENERAL MOTORS CL H           COMMON STOCK   370442832          412,698          11,100        X              1     X
HEWLETT-PACKARD               COMMON STOCK   428236103          688,700           7,100        X              1     X
HOME DEPOT                    COMMON STOCK   437076102          835,734          15,750        X              1     X
HOUSEHOLD INTL                COMMON STOCK   441815107          339,750           6,000        X              1     X
INTEL                         COMMON STOCK   458140100        1,554,438          37,400        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
NTL BUSINESS MACHINES        COMMON STOCK   459200101          798,750           7,100        X              1     X
INTERPUBLIC GROUP OF COS      COMMON STOCK   460690100          306,563           9,000        X              1     X
IVAX CORP                     COMMON STOCK   465823102          230,000           5,000        X              1     X
JDS UNIPHASE CORP             COMMON STOCK   46612J101          558,656           5,900        X              1     X
JOHNSON & JOHNSON             COMMON STOCK   478160104        1,296,338          13,800        X              1     X
KANSAS CITY SOUTHERN
  INDUSTRIES                  COMMON STOCK   485170302          115,544          13,300        X              1     X
KIMBERLY-CLARK                COMMON STOCK   494368103          206,506           3,700        X              1     X
K N ENERGY                    COMMON STOCK   49455P101          200,594           4,900        X              1     X
LEHMAN BROS HOLDING           COMMON STOCK   524908100          295,500           2,000        X              1     X
LILLY (ELI)                   COMMON STOCK   532457108          941,050          11,600        X              1     X
LINCOLN NATIONAL              COMMON STOCK   534187109          548,625          11,400        X              1     X
LITTON INDUSTRIES             COMMON STOCK   538021106          290,469           6,500        X              1     X
LUCENT TECHNOLOGIES INC       COMMON STOCK   549463107          684,600          22,400        X              1     X
MARSH & MC LENNAN             COMMON STOCK   571748102          265,500           2,000        X              1     X
MEDTRONICS                    COMMON STOCK   585055106          316,056           6,100        X              1     X
MERCK                         COMMON STOCK   589331107        1,816,275          24,400        X              1     X
MERRILL LYNCH                 COMMON STOCK   590188108          514,800           7,800        X              1     X
MICROSOFT                     COMMON STOCK   594918104        2,135,063          35,400        X              1     X
MILLENNIUM
  PHARMACEUTICALS INC         COMMON STOCK   599902103          204,488           1,400        X              1     X
MORGAN (J.P.)                 COMMON STOCK   616880100          245,063           1,500        X              1     X
MORGAN STANLEY
  DEAN WITTER & CO            COMMON STOCK   617446448          219,450           2,400        X              1     X
MOTOROLA                      COMMON STOCK   620076109          361,600          12,800        X              1     X
NABORS INDUSTRIES             COMMON STOCK   629568106          230,560           4,400        X              1     X
NATIONWIDE FINANCIAL          COMMON STOCK   638612101          489,613          13,100        X              1     X
NEXTEL COMMUNICATIONS INC     COMMON STOCK   65332V103          350,625           7,500        X              1     X
NORTEL NETWORKS CORP          COMMON STOCK
                                FOREIGN      656568102          690,925          11,600        X              1     X
ORACLE SYSTEMS                COMMON STOCK   68389X105        1,425,375          18,100        X              1     X
PECO ENERGY CO                COMMON STOCK   693304107          375,488           6,200        X              1     X
PE CORP - PE
  BIOSYSTEMS GROUP            COMMON STOCK   69332S102          559,200           4,800        X              1     X
THE PMI GROUP                 COMMON STOCK   69344M101          406,500           6,000        X              1     X
PNC FINANCIAL
  SERVICES GROUP              COMMON STOCK   693475105          292,500           4,500        X              1     X
PPL CORPORATION               COMMON STOCK   69351T106          221,275           5,300        X              1     X
PAYCHEX                       COMMON STOCK   704326107          892,500          17,000        X              1     X
PEPSICO                       COMMON STOCK   713448108          312,800           6,800        X              1     X
PFIZER                        COMMON STOCK   717081103        2,270,467          50,525        X              1     X
PHILLIPS PETROLEUM            COMMON STOCK   718507106          665,150          10,600        X              1     X
PITNEY BOWES                  COMMON STOCK   724479100          934,669          23,700        X              1     X
PROCTER & GAMBLE              COMMON STOCK   742718109          314,900           4,700        X              1     X
PROVIDIAN FINANCIAL CORP      COMMON STOCK   74406A102          419,100           3,300        X              1     X
</TABLE>


<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
QWEST COMMUNICATIONS INTL     COMMON STOCK   749121109          880,265          18,315        X              1     X
RADIOSHACK CORP               COMMON STOCK   750438103          368,363           5,700        X              1     X
RATIONAL SOFTWARE CORP        COMMON STOCK   75409P202          208,125           3,000        X              1     X
ROYAL DUTCH PETROLEUM         COMMON STOCK
                                 FOREIGN     780257804          365,619           6,100        X              1     X
SBC COMMUNICATIONS            COMMON STOCK   78387G103          907,400          18,148        X              1     X
SCHERING-PLOUGH               COMMON STOCK   806605101          353,400           7,600        X              1     X
SCHLUMBERGER                  COMMON STOCK   806857108          395,100           4,800        X              1     X
SENSORMATIC ELECTRONICS       COMMON STOCK   817265101          159,000          10,600        X              1     X
SEPRACOR INC                  COMMON STOCK   817315104          208,569           1,700        X              1     X
SOUTHERN                      COMMON STOCK   842587107          639,019          19,700        X              1     X
SOVEREIGN BANCORP             COMMON STOCK   845905108          158,175          17,100        X              1     X
SUN MICROSYSTEMS              COMMON STOCK   866810104        1,350,564          11,568        X              1     X
SUN CO.                       COMMON STOCK   86764P109          519,894          19,300        X              1     X
SYBASE INC                    COMMON STOCK   871130100          519,800          22,600        X              1     X
TXU CORPORATION (HLDG)        COMMON STOCK   873168108          467,575          11,800        X              1     X
TEXAS INSTRUMENTS             COMMON STOCK   882508104          462,438           9,800        X              1     X
3 COM                         COMMON STOCK   885535104          212,981          11,100        X              1     X
TIME WARNER                   COMMON STOCK   887315109        1,126,800          14,400        X              1     X
TORCHMARK                     COMMON STOCK   891027104          534,000          19,200        X              1     X
TYCO INTERNATIONAL            COMMON STOCK   902124106          622,500          12,000        X              1     X
USA EDUCATION INC.            COMMON STOCK   90390U102          448,144           9,300        X              1     X
UNILEVER N.V.                 COMMON STOCK
                                FOREIGN      904784709          458,375           9,500        X              1     X
UNITED TECH                   COMMON STOCK   913017109          415,500           6,000        X              1     X
VALERO ENERGY CORP            COMMON STOCK   91913Y100          383,544          10,900        X              1     X
VERIZON COMMUNICATIONS        COMMON STOCK   92343V104          516,828          10,670        X              1     X
VIACOM -CL B                  COMMON STOCK   925524308          708,786          12,116        X              1     X
WAL-MART STORES               COMMON STOCK   931142103        1,694,000          35,200        X              1     X
WELLS FARGO & CO (NEW)        COMMON STOCK   949746101          670,688          14,600        X              1     X
WORLDCOM INC.                 COMMON STOCK   98157D106          226,658           7,462        X              1     X
WRIGLEY                       COMMON STOCK   982526105          232,113           3,100        X              1     X
XILINX, INC.                  COMMON STOCK   983919101          205,500           2,400        X              1     X
YAHOO INC                     COMMON STOCK   984332106          236,600           2,600        X              1     X

ACM GOVT INCOME FD INC        COMMON STOCK   000912105        1,852,813         245,000        X              1     X
BARCLAYS BNK PLC              REDEEMABLE
                                P/S          06738C836        2,902,500         120,000        X              1     X
BETHLEHEM STEEL               REDEEMABLE
                                P/S          087509402          641,250          38,000        X              1     X
ENTERPRISE OIL                REDEEMABLE
                                P/S          293779203        2,530,688          99,000        X              1     X
FIRST UNION                   COMMON STOCK   337358105        2,011,719          62,500        X              1     X
NATL WESTMINSTER              REDEEMABLE
                                P/S          638539700        1,421,250          60,000        X              1     X

</TABLE>

<PAGE>


                                 FORM 13F REPORT
              NAME OF REPORTING MANAGER: ALLSTATE INSURANCE COMPANY

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR          SHARES OR     (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP          MARKET        PRINCIPAL     SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE           AMOUNT                     OTHER        SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                           <C>            <C>          <C>             <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
NATL WESTMINSTER              REDEEMABLE
                                P/S          638539882        1,417,500          60,000        X              1     X
ROYAL BANK OF SCOTLAND        REDEEMABLE
                                P/S          780097705        2,588,888         105,400        X              1     X
WINN-DIXIE STORES             COMMON STOCK   974280109        1,437,500         100,000        X              1     X

SUN CO I                      DEBT           866762AG2     1,821,750.00    2,100,000.00        X              1     X
THERMO ELECTRON CORP CONV     DEBT           883556AF9     1,415,625.00    1,500,000.00 #      X              1     X
</TABLE>



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