ALLSTATE RETIREMENT PLAN
13F-HR, 2000-11-14
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F


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


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

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

IF AMENDED REPORT CHECK HERE: |_|


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

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

DOUGLAS B. WELCH (847)402-6046 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 11 DAY OF FEBRUARY, 2000.


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


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


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

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


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

<PAGE>


                                 FORM 13F REPORT
               NAME OF REPORTING MANAGER: ALLSTATE RETIREMENT PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>             <C>           <C>            <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
A D C TELECOM                COMMON STOCK    000886101      1,379,488       51,300             X              1     X
AES CORP                     COMMON STOCK    00130H105      2,657,800       38,800             X              1     X
AMB PROPERTY CORP            COMMON STOCK    00163T109      1,768,500       72,000             X              1     X
A M R                        COMMON STOCK    001765106      1,173,481       35,900             X              1     X
AT & T                       COMMON STOCK    001957109     11,529,805      392,504             X              1     X
AT&T CORP - LIBERTY
  MEDIA -A                   COMMON STOCK    001957208      1,422,000       79,000             X              1     X
ABBOTT LABS                  COMMON STOCK    002824100     17,588,613      369,800             X              1     X
AGILENT TECHNOLOGIES         COMMON STOCK    00846U101        815,250       16,659             X              1     X
AIR PRODUCTS & CHEMICALS     COMMON STOCK    009158106      1,220,400       33,900             X              1     X
ALCAN ALUMINUM               COMMON STOCK
                               FOREIGN       013716105        260,438        9,000             X              1     X
ALUMINUM CO OF AMERICA       COMMON STOCK    013817101      1,753,650       69,280             X              1     X
ALLEGHENY ENERGY             COMMON STOCK    017361106      4,506,125      118,000             X              1     X
ALLAMERICA FINC. CORP        COMMON STOCK    019754100      1,687,950       26,400             X              1     X
ALPHARMA INC                 COMMON STOCK    020813101        201,713        3,300             X              1     X
AMAZON.COM INC               COMMON STOCK    023135106        949,406       24,700             X              1     X
AMERICA ON-LINE              COMMON STOCK    02364J104      5,138,500       95,600             X              1     X
AMERN EAGLE
  OUTFITTERS INC             COMMON STOCK    02553E106      3,250,800      103,200             X              1     X
AMERICAN EXPRESS             COMMON STOCK    025816109      4,045,950       66,600             X              1     X
AMERICAN FINANCIAL           COMMON STOCK    025932104      1,361,106       58,700             X              1     X
AMERICAN HOME PRODUCTS       COMMON STOCK    026609107      3,444,656       60,900             X              1     X
AMERICAN INTL                COMMON STOCK    026874107     15,677,344      163,839             X              1     X
AMERICAN STANDARD
  COMPANIES                  COMMON STOCK    029712106      3,226,163       72,600             X              1     X
AMERICREDIT CORP             COMMON STOCK    03060R101        216,094        7,500             X              1     X
AMGEN                        COMMON STOCK    031162100      6,207,718       88,900             X              1     X
ANALOG DEVICES               COMMON STOCK    032654105      5,036,313       61,000             X              1     X
ANHEUSER BUSCH               COMMON STOCK    035229103      1,404,775       33,200             X              1     X
APACHE                       COMMON STOCK    037411105      4,990,150       84,400             X              1     X
APARTMENT INVT &
  MGMT CO CL A               COMMON STOCK    03748R101      1,583,859       34,385             X              1     X
APPLE COMPUTER               COMMON STOCK    037833100      1,284,925       49,900             X              1     X
APPLIED MATERIALS            COMMON STOCK    038222105      1,773,444       29,900             X              1     X
ARCHSTONE COMMUNITIES TRUST  COMMON STOCK    039581103      1,756,219       71,500             X              1     X
ARDEN REALTY INC             COMMON STOCK    039793104      1,608,750       60,000             X              1     X
AVALON BAY
  COMMUNITIES, COMMON        COMMON STOCK    053484101      1,897,963       39,800             X              1     X
BISYS GROUP                  COMMON STOCK    055472104        247,400        3,200             X              1     X
BJ'S WHOLESALE CLUB          COMMON STOCK    05548J106      3,013,238       88,300             X              1     X
BANKAMERICA REALTY
  INVESTORS                  COMMON STOCK    05564E106        912,000       28,500             X              1     X
BANK OF AMERICA CORP         COMMON STOCK    060505104      7,280,335      139,004             X              1     X
BANK OF NEW YORK             COMMON STOCK    064057102      3,122,681       55,700             X              1     X
BARRICK GOLD                 COMMON STOCK
                               FOREIGN       067901108        234,850       15,400             X              1     X
</TABLE>

<PAGE>


                                 FORM 13F REPORT
               NAME OF REPORTING MANAGER: ALLSTATE RETIREMENT PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>             <C>           <C>            <C>           <C>    <C>     <C>    <C>    <C>  <C>    <C>
BARR LABS INC                COMMON STOCK    068306109        278,513        4,200             X              1      X
BAXTER INTL                  COMMON STOCK    071813109      5,100,019       63,900             X              1      X
BECKMAN COULTER INC          COMMON STOCK    075811109      4,056,775       52,600             X              1      X
BED BATH & BEYOND INC        COMMON STOCK    075896100      2,141,495       87,800             X              1      X
BELLSOUTH                    COMMON STOCK    079860102      2,044,700       50,800             X              1      X
BEST BUY                     COMMON STOCK    086516101      1,488,825       23,400             X              1      X
BOEING                       COMMON STOCK    097023105      5,090,274       80,798             X              1      X
BOOKHAM TECHNOLOGY PLC       COMMON STOCK
                               FOREIGN       09856Q108        763,175       17,800             X              1      X
BOSTON PROPERTIES INC        COMMON STOCK    101121101      3,349,125       78,000             X              1      X
BRINKER INT'L                COMMON STOCK    109641100      2,783,550       92,400             X              1      X
BRISTOL-MYERS-SQUIBB         COMMON STOCK    110122108     14,774,810      258,640             X              1      X
BROADCOM CORP CL A           COMMON STOCK    111320107      1,072,500        4,400             X              1      X
C I G N A                    COMMON STOCK    125509109      1,889,640       18,100             X              1      X
CADENCE DESIGNS SYS INC      COMMON STOCK    127387108      1,297,219       50,500             X              1      X
CALPINE CORP                 COMMON STOCK    131347106      7,149,688       68,500             X              1      X
CANADIAN PACIFIC             COMMON STOCK
                               FOREIGN       135923100      1,063,400       40,900             X              1      X
CARDINAL HEALTH              COMMON STOCK    14149Y108      5,661,638       64,200             X              1      X
CARNIVAL CRUISE LINES        COMMON STOCK    143658102      1,282,963       52,100             X              1      X
CATALINA MARKETING           COMMON STOCK    148867104        248,325        6,600             X              1      X
CENDANT COPORATION           COMMON STOCK    151313103      1,231,050      113,200             X              1      X
CENTERPOINT PROPERTIES CORP  COMMON STOCK    151895109      1,105,500       24,000             X              1      X
CHASE MANHATTAN CORP NEW     COMMON STOCK    16161A108      1,195,517       25,884             X              1      X
CHATEAU COMMUNITIES          COMMON STOCK    161726104        600,493       22,396             X              1      X
CHEVRON                      COMMON STOCK    166751107      2,225,025       26,100             X              1      X
CINERGY                      COMMON STOCK    172474108      2,251,556       68,100             X              1      X
CISCO SYSTEMS, INC.          COMMON STOCK    17275R102     23,569,650      426,600             X              1      X
CITIGROUP INC                COMMON STOCK    172967101     21,905,828      405,195             X              1      X
CITIZEN COMMUNICATIONS CO.   COMMON STOCK    17453B101        146,469       10,900             X              1      X
CLEAR CHANNEL
  COMMUNICATIONS             COMMON STOCK    184502102      1,988,800       35,200             X              1      X
COCA-COLA                    COMMON STOCK    191216100      5,755,050      104,400             X              1      X
COHERENT                     COMMON STOCK    192479103        217,600        3,200             X              1      X
COLGATE-PALMOLIVE            COMMON STOCK    194162103        854,320       18,100             X              1      X
COLONIAL PROPERTY TRUST      COMMON STOCK    195872106        205,500        8,000             X              1      X
COMCAST CLASS A SPECIAL      COMMON STOCK    200300200      2,603,625       63,600             X              1      X
COMERICA                     COMMON STOCK    200340107      3,360,156       57,500             X              1      X
COMPAQ COMPUTER              COMMON STOCK    204493100      3,803,282      137,900             X              1      X
COMPUTER SCIENCES            COMMON STOCK    205363104      9,251,550      124,600             X              1      X
CONDUCTUS INC                COMMON STOCK    206784100      1,280,300       86,800             X              1      X
CONSTELLATION ENERGY GROUP   COMMON STOCK    210371100      2,303,425       46,300             X              1      X
</TABLE>

<PAGE>


                                 FORM 13F REPORT
               NAME OF REPORTING MANAGER: ALLSTATE RETIREMENT PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>             <C>           <C>            <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
COR THERAPEUTICS INC         COMMON STOCK    217753102        336,488        5,400             X              1     X
CORNING                      COMMON STOCK    219350105      7,128,000       24,000             X              1     X
COUNTRYWIDE CREDIT
  INDUSTRIES                 COMMON STOCK    222372104      1,102,300       29,200             X              1     X
COUSINS PROPERTY             COMMON STOCK    222795106        915,078       21,250             X              1     X
CULLEN FROST BANKERS         COMMON STOCK    229899109        208,000        6,400             X              1     X
CYPRESS SEMICONDUCTOR        COMMON STOCK    232806109      2,103,063       50,600             X              1     X
DALLAS SEMICONDUCTOR         COMMON STOCK    235204104        220,263        6,700             X              1     X
DEERE                        COMMON STOCK    244199105      1,409,800       42,400             X              1     X
DELL COMPUTER                COMMON STOCK    247025109      2,116,819       68,700             X              1     X
DEVELOPERS DIVER
  REALTY CORP                COMMON STOCK    251591103        386,250       30,000             X              1     X
DIAL CORP.                   COMMON STOCK    25247D101      2,064,600      177,600             X              1     X
DIEBOLD                      COMMON STOCK    253651103      2,273,750       85,600             X              1     X
DISNEY (WALT)                COMMON STOCK    254687106      3,790,575       99,100             X              1     X
DOW CHEMICAL                 COMMON STOCK    260543103      2,483,775       99,600             X              1     X
DU PONT DE NEMOURS           COMMON STOCK    263534109      1,332,381       32,154             X              1     X
DUKE ENERGY CORP             COMMON STOCK    264399106      2,683,975       31,300             X              1     X
DUKE-WEEKS REALTY CORP.      COMMON STOCK    264411505      2,171,250       90,000             X              1     X
DYNEGY INC                   COMMON STOCK    26816Q101      8,664,000      152,000             X              1     X
E M C                        COMMON STOCK    268648102     18,120,050      182,800             X              1     X
EATON                        COMMON STOCK    278058102        745,663       12,100             X              1     X
EDISON INTL                  COMMON STOCK    281020107      1,477,406       76,500             X              1     X
EL PASO ENERGY CORP
  DELAWARE                   COMMON STOCK    283905107      3,937,838       63,900             X              1     X
ELAN CORP. PLC (ADR)         COMMON STOCK
                               FOREIGN       284131208      1,385,175       25,300             X              1     X
ELECTRONIC DATA SYSTEMS      COMMON STOCK    285661104        825,850       19,900             X              1     X
EMERSON ELEC                 COMMON STOCK    291011104      3,631,400       54,200             X              1     X
ENRON                        COMMON STOCK    293561106      4,609,075       52,600             X              1     X
EQUITY OFFICE
  PROPERTIES TRUST           COMMON STOCK    294741103      4,883,708      157,222             X              1     X
EQUITY RESIDENTIAL PROP TR   COMMON STOCK    29476L107      3,424,800       71,350             X              1     X
ESSEX PROPERTY               COMMON STOCK    297178105        718,491       12,975             X              1     X
ETHAN ALLEN INTERIORS        COMMON STOCK    297602104      2,231,025       78,800             X              1     X
EXPEDITORS INTL WASHINGTON   COMMON STOCK    302130109        256,856        5,700             X              1     X
EXXON                        COMMON STOCK    30231G102     21,423,511      240,376             X              1     X
FREDDIE MAC                  COMMON STOCK    313400301     12,088,375      223,600             X              1     X
FEDERAL NAT'L MORT. ASSOC    COMMON STOCK    313586109      5,333,900       74,600             X              1     X
FELCOR LODGING TRUST INC     COMMON STOCK    31430F101        304,094       13,150             X              1     X
FIRST INDUSTRIAL
  REALTY TRUST               COMMON STOCK    32054K103      1,845,000       60,000             X              1     X
FIRSTAR CORPORATION          COMMON STOCK    33763V109      3,336,113      149,100             X              1     X
FISERV INC.                  COMMON STOCK    337738108      1,927,975       32,200             X              1     X
FLEET BOSTON FINANCIAL CORP  COMMON STOCK    339030108      8,825,700      226,300             X              1     X
</TABLE>

<PAGE>


                                 FORM 13F REPORT
               NAME OF REPORTING MANAGER: ALLSTATE RETIREMENT PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>             <C>           <C>            <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
FREEPORT MCMORAN B           COMMON STOCK    35671D857        245,869       27,900             X              1     X
GABLES RESIDENTIAL TRUST     COMMON STOCK    362418105        217,228        7,990             X              1     X
GALLAGHER (ARTHUR J & CO)    COMMON STOCK    363576109        271,975        4,600             X              1     X
GATEWAY INC                  COMMON STOCK    367626108      6,591,750      141,000             X              1     X
GENERAL DYNAMICS             COMMON STOCK    369550108      4,390,594       69,900             X              1     X
GENERAL ELECTRIC             COMMON STOCK    369604103     43,225,244      749,300             X              1     X
GENERAL GROWTH PROPERTIES    COMMON STOCK    370021107        730,656       22,700             X              1     X
GENERAL MOTORS               COMMON STOCK    370442105      3,698,500       56,900             X              1     X
GENERAL MOTORS CL H          COMMON STOCK    370442832      4,294,290      115,500             X              1     X
GENTEX CORP                  COMMON STOCK    371901109        210,000        8,400             X              1     X
GILLETTE                     COMMON STOCK    375766102      1,003,438       32,500             X              1     X
GOLDEN STATE BANCORP         COMMON STOCK    381197102      1,429,313       60,500             X              1     X
GOLDEN WEST FINL             COMMON STOCK    381317106      1,469,325       27,400             X              1     X
HNC SOFTWARE                 COMMON STOCK    40425P107        237,256        2,900             X              1     X
HEWLETT-PACKARD              COMMON STOCK    428236103      7,507,800       77,400             X              1     X
HOME DEPOT                   COMMON STOCK    437076102      8,994,094      169,500             X              1     X
HOMESTAKE MINING             COMMON STOCK    437614100        120,869       23,300             X              1     X
HONEYWELL
  INTERNATIONAL INC          COMMON STOCK    438516106        961,875       27,000             X              1     X
HOST MARRIOTT                COMMON STOCK    44107P104        932,175       82,860             X              1     X
HOUSEHOLD INTL               COMMON STOCK    441815107      3,539,063       62,500             X              1     X
ITXC CORP                    COMMON STOCK    45069F109      1,017,900       69,600             X              1     X
ILLINOIS TOOL WORKS          COMMON STOCK    452308109      1,424,813       25,500             X              1     X
INCO                         COMMON STOCK
                               FOREIGN       453258402        266,063       16,500             X              1     X
INTEGRATED DEVISE TECHNOLOGY COMMON STOCK    458118106      2,162,950       23,900             X              1     X
INTEL                        COMMON STOCK    458140100     16,712,282      402,100             X              1     X
INTL BUSINESS MACHINES       COMMON STOCK    459200101      8,988,750       79,900             X              1     X
INTERPUBLIC GROUP OF COS     COMMON STOCK    460690100      3,212,094       94,300             X              1     X
INTIMATE BRANDS              COMMON STOCK    461156101        994,175       53,200             X              1     X
INTUIT INC                   COMMON STOCK    461202103      2,211,600       38,800             X              1     X
IVAX CORP                    COMMON STOCK    465823102      4,360,800       94,800             X              1     X
JDS UNIPHASE CORP            COMMON STOCK    46612J101      5,917,969       62,500             X              1     X
JACOBS ENGINEERING GRP       COMMON STOCK    469814107      1,253,719       31,100             X              1     X
JOHNSON & JOHNSON            COMMON STOCK    478160104     13,752,450      146,400             X              1     X
KANSAS CITY SOUTHERN
  INDUSTRIES                 COMMON STOCK    485170302      1,208,648      139,125             X              1     X
KEMET CORP                   COMMON STOCK    488360108        254,150        9,200             X              1     X
KERR-MCGEE                   COMMON STOCK    492386107      2,159,750       32,600             X              1     X
KILROY REALTY CORPORATION    COMMON STOCK    49427F108      1,601,250       60,000             X              1     X
KIMBERLY-CLARK               COMMON STOCK    494368103      2,327,381       41,700             X              1     X
KIMCO REALTY CORP            COMMON STOCK    49446R109        895,700       21,200             X              1     X
</TABLE>

<PAGE>


                                 FORM 13F REPORT
               NAME OF REPORTING MANAGER: ALLSTATE RETIREMENT PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>             <C>           <C>            <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
K N ENERGY                   COMMON STOCK    49455P101      3,897,250       95,200             X              1     X
KNIGHT-RIDDER                COMMON STOCK    499040103      1,544,700       30,400             X              1     X
LEGG MASON                   COMMON STOCK    524901105      2,702,813       46,500             X              1     X
LEHMAN BROS HOLDING          COMMON STOCK    524908100      3,147,075       21,300             X              1     X
LEXMARK INTERNATIONAL INC.   COMMON STOCK    529771107      1,121,250       29,900             X              1     X
LIBERTY PROPERTY TRUST       COMMON STOCK    531172104        412,500       15,000             X              1     X
LILLY (ELI)                  COMMON STOCK    532457108      9,954,038      122,700             X              1     X
LINCOLN NATIONAL             COMMON STOCK    534187109      7,281,313      151,300             X              1     X
LITTON INDUSTRIES            COMMON STOCK    538021106      4,853,063      108,600             X              1     X
LOCKHEED MARTIN              COMMON STOCK    539830109      1,829,280       55,500             X              1     X
LUCENT TECHNOLOGIES INC      COMMON STOCK    549463107      7,358,227      240,760             X              1     X
MACERICH COMPANY             COMMON STOCK    554382101        637,500       30,000             X              1     X
MANUFACTURED HOME
  COMMUNITIES                COMMON STOCK    564682102        266,150       10,646             X              1     X
MARINE DRILLING CO INC       COMMON STOCK    568240204      1,528,094       53,500             X              1     X
MARSH & MC LENNAN            COMMON STOCK    571748102      3,106,350       23,400             X              1     X
MARSHALL & ILSLEY            COMMON STOCK    571834100      2,235,575       44,600             X              1     X
MASCO                        COMMON STOCK    574599106      1,132,400       60,800             X              1     X
MCDONALD'S                   COMMON STOCK    580135101      1,264,856       41,900             X              1     X
MCGRAW-HILL                  COMMON STOCK    580645109      1,919,588       30,200             X              1     X
MEDTRONICS                   COMMON STOCK    585055106      3,455,894       66,700             X              1     X
MERCK                        COMMON STOCK    589331107     19,433,994      261,078             X              1     X
MERISTAR HOSPITALITY CORP    COMMON STOCK    58984Y103        312,863       15,450             X              1     X
MERRILL LYNCH                COMMON STOCK    590188108      5,557,200       84,200             X              1     X
MICROSOFT                    COMMON STOCK    594918104     22,997,156      381,300             X              1     X
MICRON TECH                  COMMON STOCK    595112103        823,400       17,900             X              1     X
MILLENNIUM
  PHARMACEUTICALS INC        COMMON STOCK    599902103      3,870,656       26,500             X              1     X
MINNESOTA MNG & MFG          COMMON STOCK    604059105      1,749,600       19,200             X              1     X
MORGAN (J.P.)                COMMON STOCK    616880100      2,532,313       15,500             X              1     X
MORGAN STANLEY
  DEAN WITTER & CO.          COMMON STOCK    617446448      2,605,969       28,500             X              1     X
MOTOROLA                     COMMON STOCK    620076109      4,019,975      142,300             X              1     X
NABORS INDUSTRIES            COMMON STOCK    629568106      4,317,760       82,400             X              1     X
NATIONAL INSTRUMENTS CORP    COMMON STOCK    636518102        251,513        5,700             X              1     X
NATIONWIDE FINANCIAL         COMMON STOCK    638612101      5,823,025      155,800             X              1     X
NETWORK APPLIANCE INC        COMMON STOCK    64120L104      1,311,963       10,300             X              1     X
NEWFIELD EXPLORATION CORP    COMMON STOCK    651290108        214,763        4,600             X              1     X
NEXTEL COMMUNICATIONS INC    COMMON STOCK    65332V103      3,894,275       83,300             X              1     X
NORTEL NETWORKS CORP         COMMON STOCK
                               FOREIGN       656568102      7,755,038      130,200             X              1     X
NSTAR                        COMMON STOCK    67019E107      1,400,700       34,800             X              1     X
OCEAN ENERGY INC             COMMON STOCK    67481E106      2,710,825      175,600             X              1     X
</TABLE>

<PAGE>


                                 FORM 13F REPORT
               NAME OF REPORTING MANAGER: ALLSTATE RETIREMENT PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>             <C>           <C>            <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
OGDEN                        COMMON STOCK    676346109      1,510,863      111,400             X              1     X
ORACLE SYSTEMS               COMMON STOCK    68389X105     15,353,100      194,960             X              1     X
ORTHODONTIC CENTERS
  OF AMERICA                 COMMON STOCK    68750P103        203,206        6,100             X              1     X
PECO ENERGY CO               COMMON STOCK    693304107      5,668,650       93,600             X              1     X
PG & E CORP                  COMMON STOCK    69331C108      1,763,269       72,900             X              1     X
PE CORP - PE
  BIOSYSTEMS GROUP           COMMON STOCK    69332S102      5,825,000       50,000             X              1     X
THE PMI GROUP                COMMON STOCK    69344M101      5,470,813       80,750             X              1     X
PNC FINANCIAL
  SERVICES GROUP             COMMON STOCK    693475105      3,211,000       49,400             X              1     X
PPL CORPORATION              COMMON STOCK    69351T106      2,333,825       55,900             X              1     X
PAN PACIFIC REALTY           COMMON STOCK    69806L104        250,000       12,500             X              1     X
PAYCHEX                      COMMON STOCK    704326107      9,313,500      177,400             X              1     X
PEPSICO                      COMMON STOCK    713448108      3,473,000       75,500             X              1     X
PFIZER                       COMMON STOCK    717081103     24,374,100      542,400             X              1     X
PHILIP MORRIS                COMMON STOCK    718154107      5,248,706      178,300             X              1     X
PHILLIPS PETROLEUM           COMMON STOCK    718507106      7,071,925      112,700             X              1     X
PIER 1                       COMMON STOCK    720279108        153,934       11,350             X              1     X
PITNEY BOWES                 COMMON STOCK    724479100     11,137,150      282,400             X              1     X
PLEXUS CORP                  COMMON STOCK    729132100        282,000        4,000             X              1     X
POST PROPERTIES, INC.        COMMON STOCK    737464107        781,947       17,950             X              1     X
PRECISION CASTPARTS          COMMON STOCK    740189105      3,284,900       85,600             X              1     X
PRENTISS PROPERTIES TRUST    COMMON STOCK    740706106      1,525,700       58,400             X              1     X
PROCTER & GAMBLE             COMMON STOCK    742718109      3,544,300       52,900             X              1     X
PROLOGIS TRUST               COMMON STOCK    743410102      1,425,000       60,000             X              1     X
PROTECTIVE LIFE CORP         COMMON STOCK    743674103      3,038,288      101,700             X              1     X
PROTEIN DESIGN LABS INC      COMMON STOCK    74369L103        506,100        4,200             X              1     X
PROVIDIAN FINANCIAL CORP     COMMON STOCK    74406A102      4,394,200       34,600             X              1     X
PUBLIC STORAGE INC           COMMON STOCK    74460D109      1,436,250       60,000             X              1     X
QUALCOM                      COMMON STOCK    747525103      1,759,875       24,700             X              1     X
QUANTUM                      COMMON STOCK    747906204      1,845,156      122,500             X              1     X
QWEST COMMUNICATIONS INTL    COMMON STOCK    749121109      9,550,932      198,719             X              1     X
RADIAN GROUP INC             COMMON STOCK    750236101        270,000        4,000             X              1     X
RADIOSHACK CORP              COMMON STOCK    750438103      3,961,513       61,300             X              1     X
RALSTON-RALSTON PURINA       COMMON STOCK    751277302        814,850       34,400             X              1     X
RATIONAL SOFTWARE CORP       COMMON STOCK    75409P202      3,649,125       52,600             X              1     X
READERS DIGEST               COMMON STOCK    755267101      2,842,656       80,500             X              1     X
REGENCY REALTY               COMMON STOCK    758939102        688,125       30,000             X              1     X
REMEC INCORPORATED           COMMON STOCK    759543101        466,584       15,850             X              1     X
ROHM & HAAS                  COMMON STOCK    775371107      1,153,781       39,700             X              1     X
ROUSE CO                     COMMON STOCK    779273101        423,938       17,000             X              1     X
</TABLE>

<PAGE>


                                 FORM 13F REPORT
               NAME OF REPORTING MANAGER: ALLSTATE RETIREMENT PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>             <C>           <C>            <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
ROYAL DUTCH PETROLEUM        COMMON STOCK
                               FOREIGN       780257804      4,015,813       67,000             X              1     X
SBC COMMUNICATIONS           COMMON STOCK    78387G103      9,783,500      195,670             X              1     X
SAFEWAY INC                  COMMON STOCK    786514208        933,750       20,000             X              1     X
ST. PAUL                     COMMON STOCK    792860108      1,434,994       29,100             X              1     X
SCHERING-PLOUGH              COMMON STOCK    806605101      3,906,000       84,000             X              1     X
SCHLUMBERGER                 COMMON STOCK    806857108      4,486,031       54,500             X              1     X
SCHWAB CHARLES CORP NEW      COMMON STOCK    808513105      1,719,975       48,450             X              1     X
SEAGRAM                      COMMON STOCK
                               FOREIGN       811850106      1,005,156       17,500             X              1     X
SENSORMATIC ELECTRONICS      COMMON STOCK    817265101      1,789,500      119,300             X              1     X
SEPRACOR INC                 COMMON STOCK    817315104      3,987,344       32,500             X              1     X
SIEBEL SYSTEMS INC           COMMON STOCK    826170102        601,088        5,400             X              1     X
SIMON PROPERTY GROUP INC     COMMON STOCK    828806109      1,338,281       57,100             X              1     X
SOUTHERN                     COMMON STOCK    842587107      6,896,213      212,600             X              1     X
SOVEREIGN BANCORP            COMMON STOCK    845905108      1,652,975      178,700             X              1     X
SPIEKER PROPERTIES           COMMON STOCK    848497103        863,438       15,000             X              1     X
SPRINT CORP (PCS GROUP)      COMMON STOCK    852061506        837,994       23,900             X              1     X
STARBUCKS, CORP              COMMON STOCK    855244109      1,290,013       32,200             X              1     X
STARWOOD HOTELS &
  RESORTS TRUST              COMMON STOCK    85590A203      1,809,063       57,890             X              1     X
STORAGE TECH                 COMMON STOCK    862111200      1,605,800      118,400             X              1     X
SUIZA FOODS CORP             COMMON STOCK    865077101      1,023,888       20,200             X              1     X
SUMMIT BANCORP               COMMON STOCK    866005101      2,515,050       72,900             X              1     X
SUMMIT PROPERTIES INC        COMMON STOCK    866239106        261,319       10,860             X              1     X
SUN COMMUNITIES              COMMON STOCK    866674104        221,375        7,000             X              1     X
SUN MICROSYSTEMS             COMMON STOCK    866810104     14,360,951      123,006             X              1     X
SUNGARD DATA SYSTEMS         COMMON STOCK    867363103      2,470,281       57,700             X              1     X
SUN CO.                      COMMON STOCK    86764P109      5,584,144      207,300             X              1     X
SYBASE INC                   COMMON STOCK    871130100      6,203,100      269,700             X              1     X
SYBRON CORP                  COMMON STOCK    87114F106      3,112,800      129,700             X              1     X
SYMANTEC CORP.               COMMON STOCK    871503108      1,812,800       41,200             X              1     X
T R W                        COMMON STOCK    872649108      2,721,875       67,000             X              1     X
TXU CORPORATION (HLDG)       COMMON STOCK    873168108      5,610,900      141,600             X              1     X
TALBOTS                      COMMON STOCK    874161102      1,113,000       16,800             X              1     X
TARGET CORP                  COMMON STOCK    87612E106      1,819,375       71,000             X              1     X
TAUBMAN CENTERS INC          COMMON STOCK    876664103        179,219       15,500             X              1     X
TECHNE CORP                  COMMON STOCK    878377100        246,400        2,200             X              1     X
TECHNITROL INC               COMMON STOCK    878555101        212,100        2,100             X              1     X
TELECOM CORP OF
  NEW ZEALAND                COMMON STOCK
                               FOREIGN       879278208        378,000       18,900             X              1     X
TELLABS                      COMMON STOCK    879664100        759,225       15,900             X              1     X
TENET HEALTHCARE             COMMON STOCK    88033G100      3,048,225       83,800             X              1     X
</TABLE>

<PAGE>


                                 FORM 13F REPORT
               NAME OF REPORTING MANAGER: ALLSTATE RETIREMENT PLAN

<TABLE>
<CAPTION>
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>             <C>           <C>            <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
TEXAS INSTRUMENTS            COMMON STOCK    882508104      4,926,375      104,400             X              1     X
3 COM                        COMMON STOCK    885535104      4,098,450      213,600             X              1     X
TIMBERLAND CO  - CL A        COMMON STOCK    887100105        205,000        5,000             X              1     X
TIME WARNER                  COMMON STOCK    887315109     11,886,175      151,900             X              1     X
TIME WARNER TELECOM INC      COMMON STOCK    887319101        686,038       14,200             X              1     X
TORCHMARK                    COMMON STOCK    891027104      7,943,250      285,600             X              1     X
TRANSWITCH CORPORATION       COMMON STOCK    894065101      2,033,625       31,900             X              1     X
TYCO INTERNATIONAL           COMMON STOCK    902124106      6,525,875      125,800             X              1     X
USA NETWORKS                 COMMON STOCK    902984103      1,208,756       55,100             X              1     X
USA EDUCATION INC.           COMMON STOCK    90390U102      4,833,206      100,300             X              1     X
UNILEVER N.V.                COMMON STOCK
                               FOREIGN       904784709      3,860,000       80,000             X              1     X
UNION PLANTERS               COMMON STOCK    908068109      1,474,588       44,600             X              1     X
UNITED TECH                  COMMON STOCK    913017109      4,480,475       64,700             X              1     X
UNIVERSAL HEALTH
  SERVICES INC               COMMON STOCK    913903100        291,125        3,400             X              1     X
VALENCE TECHNOLOGY INC       COMMON STOCK    918914102      1,388,625       80,500             X              1     X
VALERO ENERGY CORP           COMMON STOCK    91913Y100      6,502,650      184,800             X              1     X
VERITAS SOFTWARE CORP        COMMON STOCK    923436109      1,562,000       11,000             X              1     X
VERIZON COMMUNICATIONS       COMMON STOCK    92343V104      5,734,806      118,396             X              1     X
VERTEX PHARMACEUTICALS       COMMON STOCK    92532F100        507,000        6,000             X              1     X
VIACOM -CL B                 COMMON STOCK    925524308      7,542,171      128,926             X              1     X
VIAD CORP                    COMMON STOCK    92552R109      3,017,500      113,600             X              1     X
VICOR CORP                   COMMON STOCK    925815102        265,825        4,900             X              1     X
VORNADO                      COMMON STOCK    929042109      1,596,375       43,000             X              1     X
WAL-MART STORES              COMMON STOCK    931142103     18,172,000      377,600             X              1     X
WALGREEN                     COMMON STOCK    931422109      1,259,525       33,200             X              1     X
WASHINGTON MUTUAL            COMMON STOCK    939322103      2,066,269       51,900             X              1     X
WASTE MANAGEMENT INC         COMMON STOCK    94106L109      1,503,113       86,200             X              1     X
WATSON PHARMACEUTICALS INC   COMMON STOCK    942683103        947,175       14,600             X              1     X
WEATHERFORD INTERNATIONAL    COMMON STOCK    947074100      2,085,500       48,500             X              1     X
WELLS FARGO & CO (NEW)       COMMON STOCK    949746101      7,193,813      156,600             X              1     X
WESTERN RESOURCES INC        COMMON STOCK    959425109      1,879,213       86,900             X              1     X
WORLDCOM INC.                COMMON STOCK    98157D106      2,528,415       83,240             X              1     X
WRIGLEY                      COMMON STOCK    982526105      1,931,775       25,800             X              1     X
XILINX, INC.                 COMMON STOCK    983919101      2,157,750       25,200             X              1     X
YAHOO INC                    COMMON STOCK    984332106      2,593,500       28,500             X              1     X
TRANSOCEAN SEDCO FOREX INC   COMMON STOCK    G90078109      1,881,863       32,100             X              1     X

TECNOST INTL                 DEBT            EC1437234       2,636.22     2,610.00             X              1     X
</TABLE>



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