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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>