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

                                    FORM 13F


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


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

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

IF AMENDED REPORT CHECK HERE: |_|


ALLSTATE 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>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          ITEM 6:                       ITEM 8:
                                                                                        INVESTMENT                 VOTING AUTHORITY
                                                              ITEM 4:     ITEM 5:       DISCRETION                      (SHARES)
                                                 ITEM 3:       FAIR      SHARES OR  ------------------             -----------------
   ITEM 1:                          ITEM 2:       CUSIP       MARKET     PRINCIPAL  (A)    (B)     (C)    ITEM 7:   (A)   (B)   (C)
NAME OF ISSUER                   TITLE CLASS     NUMBER       VALUE       AMOUNT    SOLE  SHARED  OTHER  MANAGERS  SOLE SHARED NONE
------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>             <C>           <C>            <C>           <C>    <C>     <C>    <C>   <C>  <C>    <C>
3 COM                        COMMON STOCK    885535104        749,125      13,000              X              1     X
A D C TELECOM                COMMON STOCK    000886101      1,501,363      17,900              X              1     X
ABBOTT LABS                  COMMON STOCK    002824100      3,453,594      77,500              X              1     X
ADOBE SYSTEMS INC            COMMON STOCK    00724F101        572,000       4,400              X              1     X
ADVANCED MICRO DEVICES       COMMON STOCK    007903107        440,325       5,700              X              1     X
AES CORP                     COMMON STOCK    00130H105      2,244,750      49,200              X              1     X
AETNA INC                    COMMON STOCK    008117103        333,775       5,200              X              1     X
AFLAC CORP                   COMMON STOCK    001055102        450,188       9,800              X              1     X
AIR PRODUCTS & CHEMICALS     COMMON STOCK    009158106        261,906       8,500              X              1     X
ALBERTSON'S                  COMMON STOCK    013104104        522,025      15,700              X              1     X
ALCAN ALUMINUM               COMMON STOCK    013716105        548,700      17,700              X              1     X
                              FOREIGN
ALLAMERICA FINC. CORP        COMMON STOCK    019754100      1,194,150      22,800              X              1     X
ALLEGHENY ENERGY             COMMON STOCK    017361106        577,613      21,100              X              1     X
ALLTEL                       COMMON STOCK    020039103      2,242,138      36,200              X              1     X
ALPHARMA INC                 COMMON STOCK    020813101        205,425       3,300              X              1     X
ALTERA                       COMMON STOCK    021441100        754,338       7,400              X              1     X
ALUMINUM CO OF AMERICA       COMMON STOCK    013817101      1,939,520      66,880              X              1     X
ALZA  CL A                   COMMON STOCK    022615108        224,675       3,800              X              1     X
AMB PROPERTY CORP            COMMON STOCK    00163T109      1,642,500      72,000              X              1     X
AMERADA HESS                 COMMON STOCK    023551104        209,950       3,400              X              1     X
AMERICA ON-LINE              COMMON STOCK    02364J104     11,246,300     213,200              X              1     X
AMERICAN ELEC PWR            COMMON STOCK    025537101        352,538      11,900              X              1     X
AMERICAN EXPRESS             COMMON STOCK    025816109      6,296,700     120,800              X              1     X
AMERICAN FINANCIAL           COMMON STOCK    025932104      1,230,700      49,600              X              1     X
AMERICAN GENERAL             COMMON STOCK    026351106      2,214,300      36,300              X              1     X
AMERICAN HOME PRODUCTS       COMMON STOCK    026609107      6,350,875     108,100              X              1     X
AMERICAN INTL                COMMON STOCK    026874107     14,244,055     121,226              X              1     X
AMERICAN POWER CONVERSION    COMMON STOCK    029066107        293,850       7,200              X              1     X
AMERICAN STANDARD COMPANIE   COMMON STOCK    029712106      2,484,600      60,600              X              1     X
AMGEN                        COMMON STOCK    031162100      6,765,075      96,300              X              1     X
AMSOUTH                      COMMON STOCK    032165102        229,950      14,600              X              1     X
ANADARKO PETROLEUM           COMMON STOCK    032511107        231,769       4,700              X              1     X
ANALOG DEVICES               COMMON STOCK    032654105      2,850,000      37,500              X              1     X
ANHEUSER BUSCH               COMMON STOCK    035229103      2,569,250      34,400              X              1     X
AON                          COMMON STOCK    037389103        295,094       9,500              X              1     X
APACHE                       COMMON STOCK    037411105      1,423,263      24,200              X              1     X
APARTMENT INVT & MGMT CO C   COMMON STOCK    03748R101      2,629,600      60,800              X              1     X
APPLE COMPUTER               COMMON STOCK    037833100      2,309,738      44,100              X              1     X
APPLIED MATERIALS            COMMON STOCK    038222105      5,609,688      61,900              X              1     X
APPLIED MICRO CIRCUITS COR   COMMON STOCK    03822W109        957,875       9,700              X              1     X
ARCHER-DANIELS-MIDLAND       COMMON STOCK    039483102      1,641,631     167,300              X              1     X
ARCHSTONE COMMUNITIES TRUS   COMMON STOCK    039581103      1,265,856      60,100              X              1     X
ARDEN REALTY INC             COMMON STOCK    039793104      1,410,000      60,000              X              1     X
ASSOCIATES FIRST CAPITAL C   COMMON STOCK    046008108        903,969      40,514              X              1     X
</TABLE>
<PAGE>

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

<TABLE>
<CAPTION>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          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>
AT & T                       COMMON STOCK    001957109      8,712,371     275,490              X              1     X
ATMEL CORP                   COMMON STOCK    049513104      1,345,938      36,500              X              1     X
AUTOMATIC DATA PROCESSING    COMMON STOCK    053015103      1,242,650      23,200              X              1     X
AVNET                        COMMON STOCK    053807103        598,425      10,100              X              1     X
AVON PRODUCTS                COMMON STOCK    054303102        391,600       8,800              X              1     X
BAKER HUGHES                 COMMON STOCK    057224107        441,600      13,800              X              1     X
BANK OF AMERICA CORP         COMMON STOCK    060505104      5,547,172     129,004              X              1     X
BANK OF NEW YORK             COMMON STOCK    064057102      4,040,850      86,900              X              1     X
BANK ONE CORPORATION         COMMON STOCK    06423A103      1,128,906      42,500              X              1     X
BANKAMERICA REALTY INVESTO   COMMON STOCK    05564E106      1,992,375      69,000              X              1     X
BARNES & NOBLE               COMMON STOCK    067774109      1,688,775      75,900              X              1     X
BARRICK GOLD                 COMMON STOCK    067901108        567,450      31,200              X              1     X
                              FOREIGN
BAXTER INTL                  COMMON STOCK    071813109      2,311,718      32,878              X              1     X
BB&T CORPORATION             COMMON STOCK    054937107        307,988      12,900              X              1     X
BEA SYSTEMS INC              COMMON STOCK    073325102        617,969      12,500              X              1     X
BECTON DICKINSON             COMMON STOCK    075887109        269,663       9,400              X              1     X
BELLSOUTH                    COMMON STOCK    079860102      5,285,500     124,000              X              1     X
BEST BUY                     COMMON STOCK    086516101      1,631,850      25,800              X              1     X
BESTFOODS INC                COMMON STOCK    08658U101        706,350      10,200              X              1     X
BIOGEN                       COMMON STOCK    090597105        354,750       5,500              X              1     X
BJ SERVICES                  COMMON STOCK    055482103      3,350,000      53,600              X              1     X
BMC SOFTWARE                 COMMON STOCK    055921100        328,360       9,000              X              1     X
BOEING                       COMMON STOCK    097023105      3,905,204      93,398              X              1     X
BOSTON PROPERTIES INC        COMMON STOCK    101121101      3,012,750      78,000              X              1     X
BOSTON SCIENTIFIC CORP       COMMON STOCK    101137107        331,256      15,100              X              1     X
BRISTOL-MYERS-SQUIBB         COMMON STOCK    110122108      9,456,305     162,340              X              1     X
BURLINGTON NORTHERN          COMMON STOCK    12189T104        364,706      15,900              X              1     X
BURLINGTON RESOURCES         COMMON STOCK    122014103      2,375,325      62,100              X              1     X
C I G N A                    COMMON STOCK    125509109      3,468,850      37,100              X              1     X
CALPINE CORP                 COMMON STOCK    131347106      1,196,650      18,200              X              1     X
CAMPBELL SOUP                COMMON STOCK    134429109        457,263      15,700              X              1     X
CAPITAL ONE FINANCIAL        COMMON STOCK    14040H105        325,763       7,300              X              1     X
CARDINAL HEALTH              COMMON STOCK    14149Y108      2,849,000      38,500              X              1     X
CARNIVAL CRUISE LINES        COMMON STOCK    143658102        436,800      22,400              X              1     X
CATERPILLAR                  COMMON STOCK    149123101        436,988      12,900              X              1     X
CBL AND ASSOCIATES           COMMON STOCK    124830100        299,250      12,000              X              1     X
CELESTICA                    COMMON STOCK    15101Q108        962,725      19,400              X              1     X
CENDANT COPORATION           COMMON STOCK    151313103        373,800      26,700              X              1     X
CENTERPOINT PROPERTIES COR   COMMON STOCK    151895109        978,000      24,000              X              1     X
CENTRAL NEWSPAPERS -CL A     COMMON STOCK    154647101      1,239,700      19,600              X              1     X
CEPHALON INC                 COMMON STOCK    156708109        203,575       3,400              X              1     X
CHASE MANHATTAN CORP NEW     COMMON STOCK    16161A108      5,745,560     124,734              X              1     X
CHATEAU COMMUNITIES          COMMON STOCK    161726104      2,553,687      90,396              X              1     X
CHEVRON                      COMMON STOCK    166751107      4,181,256      49,300              X              1     X
</TABLE>
<PAGE>

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

<TABLE>
<CAPTION>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          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>
CHUBB                        COMMON STOCK    171232101        399,750       6,500              X              1     X
CIRCUIT CITY STORES          COMMON STOCK    172737108        248,906       7,500              X              1     X
CISCO SYSTEMS, INC.          COMMON STOCK    17275R102     32,467,726     510,800              X              1     X
CITIGROUP INC                COMMON STOCK    172967101     15,164,262     251,689              X              1     X
CLEAR CHANNEL COMMUNICATIO   COMMON STOCK    184502102      1,867,500      24,900              X              1     X
CLOROX                       COMMON STOCK    189054109        389,869       8,700              X              1     X
COASTAL                      COMMON STOCK    190441105        480,913       7,900              X              1     X
COCA-COLA                    COMMON STOCK    191216100     11,671,300     203,200              X              1     X
COCA-COLA ENTERPRISES        COMMON STOCK    191219104        254,475      15,600              X              1     X
COGNEX CORP                  COMMON STOCK    192422103        243,225       4,700              X              1     X
COHERENT                     COMMON STOCK    192479103        268,400       3,200              X              1     X
COLGATE-PALMOLIVE            COMMON STOCK    194162103      2,502,775      41,800              X              1     X
COLUMBIA HEALTHCARE          COMMON STOCK    404119109        668,250      22,000              X              1     X
COMCAST CLASS A SPECIAL      COMMON STOCK    200300200      1,976,400      48,800              X              1     X
COMDISCO                     COMMON STOCK    200336105        647,063      29,000              X              1     X
COMERICA                     COMMON STOCK    200340107        260,275       5,800              X              1     X
COMMSCOPE INC                COMMON STOCK    203372107      1,283,300      31,300              X              1     X
COMPAQ COMPUTER              COMMON STOCK    204493100      3,819,038     149,400              X              1     X
COMPUTER ASSOCIATES INTL     COMMON STOCK    204912109      1,115,888      21,800              X              1     X
COMPUTER SCIENCES            COMMON STOCK    205363104        463,063       6,200              X              1     X
COMVERSE TECHNOLOGY          COMMON STOCK    205862402      2,185,500      23,500              X              1     X
CONAGRA                      COMMON STOCK    205887102        346,938      18,200              X              1     X
CONSECO                      COMMON STOCK    208464107        117,975      12,100              X              1     X
CONSOLIDATED EDISON          COMMON STOCK    209115104        234,038       7,900              X              1     X
CONSTELLATION ENERGY GROUP   COMMON STOCK    210371100      1,168,994      35,900              X              1     X
CONVERGYS CORP               COMMON STOCK    212485106        295,688       5,700              X              1     X
COR THERAPEUTICS INC         COMMON STOCK    217753102        230,344       2,700              X              1     X
CORN PRODUCTS INTL INC       COMMON STOCK    219023108        622,750      23,500              X              1     X
CORNING                      COMMON STOCK    219350105      7,097,713      26,300              X              1     X
COSTO WHOLESALE CORP         COMMON STOCK    22160K105        547,800      16,600              X              1     X
CSG SYSTEMS INTERNATION      COMMON STOCK    126349109      1,014,731      18,100              X              1     X
CVS CORP                     COMMON STOCK    126650100        580,000      14,500              X              1     X
CYPRESS SEMICONDUCTOR        COMMON STOCK    232806109      1,001,325      23,700              X              1     X
DALLAS SEMICONDUCTOR         COMMON STOCK    235204104        273,025       6,700              X              1     X
DEERE                        COMMON STOCK    244199105      2,001,700      54,100              X              1     X
DELL COMPUTER                COMMON STOCK    247025109      9,260,888     187,800              X              1     X
DELPHI AUTOMOTIVE SYSTEMS    COMMON STOCK    247126105        304,356      20,900              X              1     X
DELTA AIR LINES              COMMON STOCK    247361108        227,531       4,500              X              1     X
DEVELOPERS DIVER REALTY CO   COMMON STOCK    251591103        448,125      30,000              X              1     X
DIEBOLD                      COMMON STOCK    253651103      2,062,750      74,000              X              1     X
DIGITAL MICROWAVE CORP       COMMON STOCK    253859102        282,125       7,400              X              1     X
DISNEY (WALT)                COMMON STOCK    254687106      7,102,688     183,000              X              1     X
DOLLAR GENERAL               COMMON STOCK    256669102        237,900      12,200              X              1     X
DOMINION RESOURCES           COMMON STOCK    25746U109        377,300       8,800              X              1     X
</TABLE>
<PAGE>

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

<TABLE>
<CAPTION>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          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>
DOVER                        COMMON STOCK    260003108        304,219       7,500              X              1     X
DOW CHEMICAL                 COMMON STOCK    260543103      1,672,388      55,400              X              1     X
DOW JONES                    COMMON STOCK    260561105        241,725       3,300              X              1     X
DU PONT DE NEMOURS           COMMON STOCK    263534109      3,200,488      73,154              X              1     X
DUKE ENERGY CORP             COMMON STOCK    264399106        766,700      13,600              X              1     X
DUKE-WEEKS REALTY CORP.      COMMON STOCK    264411505      2,013,750      90,000              X              1     X
E M C                        COMMON STOCK    268648102     12,071,494     156,900              X              1     X
EASTMAN KODAK                COMMON STOCK    277461109        684,250      11,500              X              1     X
EATON                        COMMON STOCK    278058102      1,045,200      15,600              X              1     X
EDISON INTL                  COMMON STOCK    281020107        252,150      12,300              X              1     X
EDWARDS (AG)                 COMMON STOCK    281760108      1,552,200      39,800              X              1     X
EL PASO ENERGY CORP DELAWA   COMMON STOCK    283905107        489,000       9,600              X              1     X
ELECTRONIC DATA SYSTEMS      COMMON STOCK    285661104      1,592,250      38,600              X              1     X
EMERSON ELEC                 COMMON STOCK    291011104      2,843,663      47,100              X              1     X
ENRON                        COMMON STOCK    293561106      4,463,400      69,200              X              1     X
ENTERGY                      COMMON STOCK    29364G103        231,094       8,500              X              1     X
EQUITY OFFICE PROPERTIES T   COMMON STOCK    294741103      4,333,431     157,222              X              1     X
EQUITY RESIDENTIAL PROP TR   COMMON STOCK    29476L107      2,723,200      59,200              X              1     X
ETHAN ALLEN INTERIORS        COMMON STOCK    297602104      1,180,800      49,200              X              1     X
EXPEDITORS INTL WASHINGTON   COMMON STOCK    302130109        270,750       5,700              X              1     X
EXXON                        COMMON STOCK    30231G102     20,463,066     260,676              X              1     X
F P L GROUP                  COMMON STOCK    302571104        326,700       6,600              X              1     X
FAMILY DOLLAR STORES         COMMON STOCK    307000109      4,397,650     224,800              X              1     X
FEDERAL NAT'L MORT. ASSOC    COMMON STOCK    313586109      3,851,437      73,800              X              1     X
FEDERATED DEPARTMENT STORE   COMMON STOCK    31410H101      1,566,000      46,400              X              1     X
FEDEX CORP                   COMMON STOCK    31428X106        406,600      10,700              X              1     X
FIFTH THIRD BANCORP          COMMON STOCK    316773100        727,375      11,500              X              1     X
FIRST DATA                   COMMON STOCK    319963104      3,414,200      68,800              X              1     X
FIRST INDUSTRIAL REALTY TR   COMMON STOCK    32054K103      1,770,000      60,000              X              1     X
FIRST UNION                  COMMON STOCK    337358105        900,694      36,300              X              1     X
FIRSTAR CORPORATION          COMMON STOCK    33763V109      1,537,563      73,000              X              1     X
FIRSTENERGY CORP             COMMON STOCK    337932107        201,025       8,600              X              1     X
FISERV INC.                  COMMON STOCK    337738108        774,175      17,900              X              1     X
FLEET BOSTON FINANCIAL COR   COMMON STOCK    339030108      1,859,800      54,700              X              1     X
FORD MOTOR                   COMMON STOCK    345370100      4,734,300     110,100              X              1     X
FOREST LABS                  COMMON STOCK    345838106      2,969,400      29,400              X              1     X
FRANKLIN RESOURCES           COMMON STOCK    354613101        273,375       9,000              X              1     X
FREDDIE MAC                  COMMON STOCK    313400301      2,215,350      54,700              X              1     X
FREEPORT MCMORAN B           COMMON STOCK    35671D857        331,150      35,800              X              1     X
G T E                        COMMON STOCK    362320103      2,602,050      41,800              X              1     X
GABLES RESIDENTIAL TRUST     COMMON STOCK    362418105        337,325      13,100              X              1     X
GANNETT                      COMMON STOCK    364730101        592,144       9,900              X              1     X
GAP STORES                   COMMON STOCK    364760108        984,375      31,500              X              1     X
GATEWAY INC                  COMMON STOCK    367626108      1,889,775      33,300              X              1     X
</TABLE>
<PAGE>

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

<TABLE>
<CAPTION>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          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>
GENERAL DYNAMICS             COMMON STOCK    369550108        386,650       7,400              X              1     X
GENERAL ELECTRIC             COMMON STOCK    369604103     39,082,200     737,400              X              1     X
GENERAL GROWTH PROPERTIES    COMMON STOCK    370021107        720,725      22,700              X              1     X
GENERAL MILLS                COMMON STOCK    370334104        413,100      10,800              X              1     X
GENERAL MOTORS               COMMON STOCK    370442105      2,519,913      43,400              X              1     X
GENTEX CORP                  COMMON STOCK    371901109        211,050       8,400              X              1     X
GEORGIA-PACIFIC              COMMON STOCK    373298108        614,250      23,400              X              1     X
GILLETTE                     COMMON STOCK    375766102      2,567,906      73,500              X              1     X
GLOBAL CROSSING LTD          COMMON STOCK    G3921A100        859,498      32,665              X              1     X
GLOBAL MARINE                COMMON STOCK    379352404      4,467,719     158,500              X              1     X
GOLDEN WEST FINL             COMMON STOCK    381317106        240,794       5,900              X              1     X
GUIDANT                      COMMON STOCK    401698105        584,100      11,800              X              1     X
HALLIBURTON                  COMMON STOCK    406216101        854,094      18,100              X              1     X
HARLEY DAVIDSON              COMMON STOCK    412822108        435,050      11,300              X              1     X
HARRIS                       COMMON STOCK    413875105      1,431,175      43,700              X              1     X
HARTFORD FINANCIAL SERVICE   COMMON STOCK    416515104        447,500       8,000              X              1     X
HEALTHSOUTH                  COMMON STOCK    421924101        102,781      14,300              X              1     X
HEINZ                        COMMON STOCK    423074103        573,125      13,100              X              1     X
HELMERICH & PAYNE            COMMON STOCK    423452101      1,666,925      44,600              X              1     X
HENRY JACK & ASSOCIATES      COMMON STOCK    426281101        220,550       4,400              X              1     X
HERSHEY FOODS                COMMON STOCK    427866108        257,050       5,300              X              1     X
HEWLETT-PACKARD              COMMON STOCK    428236103      9,502,987      76,100              X              1     X
HILTON HOTELS                COMMON STOCK    432848109        127,500      13,600              X              1     X
HOME DEPOT                   COMMON STOCK    437076102      8,823,956     176,700              X              1     X
HOMESTAKE MINING             COMMON STOCK    437614100        237,875      34,600              X              1     X
HONEYWELL INTERNATIONAL IN   COMMON STOCK    438516106      2,673,507      79,362              X              1     X
HOST MARRIOTT                COMMON STOCK    44107P104        464,063      49,500              X              1     X
HOUSEHOLD INTL               COMMON STOCK    441815107        727,344      17,500              X              1     X
HUBBELL, CL B                COMMON STOCK    443510201      1,644,750      64,500              X              1     X
HUMAN GENOME SCIENCES INC    COMMON STOCK    444903108      1,453,788      10,900              X              1     X
ICN PHARMACEUTICALS          COMMON STOCK    448924100      1,852,313      66,600              X              1     X
ILLINOIS TOOL WORKS          COMMON STOCK    452308109      2,194,500      38,500              X              1     X
IMS HEALTH INC               COMMON STOCK    449934108        198,000      11,000              X              1     X
INCO                         COMMON STOCK    453258402        375,150      24,400              X              1     X
                              FOREIGN
INCYTE GENOMICS INC.         COMMON STOCK    45337C102      1,873,875      22,800              X              1     X
INGERSOLL-RAND               COMMON STOCK    456866102      1,139,075      28,300              X              1     X
INTEGRATED DEVISE TECHNOLO   COMMON STOCK    458118106      2,035,750      34,000              X              1     X
INTEL                        COMMON STOCK    458140100     32,432,589     242,600              X              1     X
INTERNATIONAL RECTIFIER CO   COMMON STOCK    460254105        352,800       6,300              X              1     X
INTERPUBLIC GROUP OF COS     COMMON STOCK    460690100        481,600      11,200              X              1     X
INTL BUSINESS MACHINES       COMMON STOCK    459200101     15,525,006     141,700              X              1     X
INTL PAPER                   COMMON STOCK    460146103        533,644      17,900              X              1     X
INTUIT INC                   COMMON STOCK    461202103      1,605,350      38,800              X              1     X
</TABLE>
<PAGE>

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

<TABLE>
<CAPTION>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          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>
IVAX CORP                    COMMON STOCK    465823102      2,151,775      51,850              X              1     X
JABIL CIRCUIT INC            COMMON STOCK    466313103      2,223,200      44,800              X              1     X
JDS UNIPHASE CORP            COMMON STOCK    46612J101      1,342,600      11,200              X              1     X
JEFFERSON-PILOT              COMMON STOCK    475070108        214,463       3,800              X              1     X
JOHNSON & JOHNSON            COMMON STOCK    478160104     12,500,063     122,700              X              1     X
JONES PHARMA                 COMMON STOCK    480236108        298,533       7,475              X              1     X
K MART                       COMMON STOCK    482584109        121,263      17,800              X              1     X
KANSAS CITY SOUTHERN INDUS   COMMON STOCK    485170302        363,619       4,100              X              1     X
KEEBLER FOODS CO             COMMON STOCK    487256109      8,031,994     216,350              X              1     X
KELLOGG                      COMMON STOCK    487836108        446,250      15,000              X              1     X
KEMET CORP                   COMMON STOCK    488360108        230,575       9,200              X              1     X
KERR-MCGEE                   COMMON STOCK    492386107      1,302,519      22,100              X              1     X
KEYCORP                      COMMON STOCK    493267108        283,763      16,100              X              1     X
KILROY REALTY CORPORATION    COMMON STOCK    49427F108      1,556,250      60,000              X              1     X
KIMBERLY-CLARK               COMMON STOCK    494368103      3,987,563      69,500              X              1     X
KIMCO REALTY CORP            COMMON STOCK    49446R109        869,200      21,200              X              1     X
KLA-TENCOR CORP              COMMON STOCK    482480100      1,241,525      21,200              X              1     X
KOHLS CORP                   COMMON STOCK    500255104        673,063      12,100              X              1     X
KROGER                       COMMON STOCK    501044101        723,650      32,800              X              1     X
L S I LOGIC                  COMMON STOCK    502161102        849,763      15,700              X              1     X
LAM RESEARCH                 COMMON STOCK    512807108        292,500       7,800              X              1     X
LATTICE SEMICONDUCTOR        COMMON STOCK    518415104        394,013       5,700              X              1     X
LEGG MASON                   COMMON STOCK    524901105      2,325,000      46,500              X              1     X
LEHMAN BROS HOLDING          COMMON STOCK    524908100      2,903,069      30,700              X              1     X
LEXMARK INTERNATIONAL INC.   COMMON STOCK    529771107      1,479,500      22,000              X              1     X
LILLY (ELI)                  COMMON STOCK    532457108      6,861,413      68,700              X              1     X
LIMITED                      COMMON STOCK    532716107        343,838      15,900              X              1     X
LINCOLN NATIONAL             COMMON STOCK    534187109      1,412,487      39,100              X              1     X
LINEAR TECH                  COMMON STOCK    535678106        735,281      11,500              X              1     X
LITTON INDUSTRIES            COMMON STOCK    538021106      3,360,000      80,000              X              1     X
LOCKHEED MARTIN              COMMON STOCK    539830109      2,257,938      91,000              X              1     X
LOEWS                        COMMON STOCK    540424108        222,000       3,700              X              1     X
LOWE'S                       COMMON STOCK    548661107        583,088      14,200              X              1     X
LUCENT TECHNOLOGIES INC      COMMON STOCK    549463107     15,131,265     255,380              X              1     X
MACERICH COMPANY             COMMON STOCK    554382101        661,875      30,000              X              1     X
MACK-CALI REALTY CORP        COMMON STOCK    554489104      1,618,313      63,000              X              1     X
MANUFACTURED HOME COMMUNIT   COMMON STOCK    564682102      2,506,879     104,726              X              1     X
MARINE DRILLING CO INC       COMMON STOCK    568240204      1,120,000      40,000              X              1     X
MARRIOTT INTERNATIONAL INC   COMMON STOCK    571903202        320,956       8,900              X              1     X
MARSH & MC LENNAN            COMMON STOCK    571748102      3,582,206      34,300              X              1     X
MASCO                        COMMON STOCK    574599106        299,838      16,600              X              1     X
MATTEL                       COMMON STOCK    577081102        208,363      15,800              X              1     X
MAXIM INTEGRATED PRODUCTS    COMMON STOCK    57772K101        713,344      10,500              X              1     X
MAY DEPARTMENT STORES        COMMON STOCK    577778103        295,200      12,300              X              1     X
MAYTAG                       COMMON STOCK    578592107      1,124,688      30,500              X              1     X
</TABLE>
<PAGE>

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

<TABLE>
<CAPTION>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          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>
MBNA CORP                    COMMON STOCK    55262L100      2,384,288      87,900              X              1     X
MCDONALD'S                   COMMON STOCK    580135101      3,474,906     105,500              X              1     X
MCGRAW-HILL                  COMMON STOCK    580645109        388,800       7,200              X              1     X
MCKESSON HBOC INC            COMMON STOCK    58155Q103        217,750      10,400              X              1     X
MCLEOD INC -CL A             COMMON STOCK    582266102        941,281      45,500              X              1     X
MEDIAONE GROUP               COMMON STOCK    58440J104        819,488      12,300              X              1     X
MEDIMMUNE INC                COMMON STOCK    584699102      2,945,200      39,800              X              1     X
MEDTRONICS                   COMMON STOCK    585055106      4,617,619      92,700              X              1     X
MELLON BANK                  COMMON STOCK    58551A108        663,163      18,200              X              1     X
MERCK                        COMMON STOCK    589331107     14,694,989     191,778              X              1     X
MERRILL LYNCH                COMMON STOCK    590188108      3,749,000      32,600              X              1     X
MICROCHIP TECHNOLOGY INC     COMMON STOCK    595017104        757,453      13,000              X              1     X
MICRON TECH                  COMMON STOCK    595112103      1,814,088      20,600              X              1     X
MICROSOFT                    COMMON STOCK    594918104     31,944,000     399,300              X              1     X
MILLENNIUM PHARMACEUTICALS   COMMON STOCK    599902103      3,870,875      34,600              X              1     X
MINNESOTA MNG & MFG          COMMON STOCK    604059105      2,904,000      35,200              X              1     X
MOLEX                        COMMON STOCK    608554101        351,313       7,300              X              1     X
MONTANA PWR                  COMMON STOCK    612085100      1,613,781      45,700              X              1     X
MORGAN (J.P.)                COMMON STOCK    616880100        660,750       6,000              X              1     X
MORGAN STANLEY DEAN WITTER   COMMON STOCK    617446448      7,259,400      87,200              X              1     X
MOTOROLA                     COMMON STOCK    620076109      5,418,703     186,450              X              1     X
NABISCO GROUP HOLDINGS       COMMON STOCK    62952P102        313,844      12,100              X              1     X
NABORS INDUSTRIES            COMMON STOCK    629568106      3,121,344      75,100              X              1     X
NATIONAL CITY                COMMON STOCK    635405103        383,906      22,500              X              1     X
NATIONAL INSTRUMENTS CORP    COMMON STOCK    636518102        248,663       5,700              X              1     X
NATIONAL SEMICONDUCTOR       COMMON STOCK    637640103        368,875       6,500              X              1     X
NATIONWIDE FINANCIAL         COMMON STOCK    638612101      1,275,550      38,800              X              1     X
NETWORK APPLIANCE INC        COMMON STOCK    64120L104      1,795,150      22,300              X              1     X
NEW YORK TIMES               COMMON STOCK    650111107        248,850       6,300              X              1     X
NEWELL RUBBERMAID INC        COMMON STOCK    651229106        254,925       9,900              X              1     X
NEXTEL COMMUNICATIONS INC    COMMON STOCK    65332V103      3,102,206      50,700              X              1     X
NIAGARA MOHAWK HOLDINGS IN   COMMON STOCK    653520106      1,634,869     117,300              X              1     X
NIKE CL B                    COMMON STOCK    654106103        402,106      10,100              X              1     X
NOBLE AFFILIATES             COMMON STOCK    654894104      2,343,025      62,900              X              1     X
NOBLE DRILLING               COMMON STOCK    655042109      1,383,900      33,600              X              1     X
NORFOLK SOUTHERN             COMMON STOCK    655844108        211,225      14,200              X              1     X
NORTEL NETWORKS CORP         COMMON STOCK    656568102     14,837,550     217,400              X              1     X
                              FOREIGN
NORTHERN TRUST               COMMON STOCK    665859104        533,513       8,200              X              1     X
NOVELL                       COMMON STOCK    670006105        112,850      12,200              X              1     X
NOVELLUS SYSTEM INC          COMMON STOCK    670008101        271,500       4,800              X              1     X
NUCOR                        COMMON STOCK    670346105        331,875      10,000              X              1     X
OCCIDENTAL PETROLEUM         COMMON STOCK    674599105        288,556      13,700              X              1     X
OCEAN ENERGY INC             COMMON STOCK    67481E106      2,491,325     175,600              X              1     X
OFFICE DEPOT INC             COMMON STOCK    676220106         73,125      11,700              X              1     X
</TABLE>
<PAGE>

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

<TABLE>
<CAPTION>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          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>
OMNICOM GROUP                COMMON STOCK    681919106      2,983,594      33,500              X              1     X
ORACLE SYSTEMS               COMMON STOCK    68389X105     17,632,950     209,760              X              1     X
P P G INDUSTRIES             COMMON STOCK    693506107        332,344       7,500              X              1     X
PAINE WEBBER GROUP           COMMON STOCK    695629105        245,700       5,400              X              1     X
PAN PACIFIC REALTY           COMMON STOCK    69806L104        251,563      12,500              X              1     X
PARAMETRIC TECHNOLOGY CORP   COMMON STOCK    699173100        112,200      10,200              X              1     X
PARKER DRILLING              COMMON STOCK    701081101        748,069     120,900              X              1     X
PAYCHEX                      COMMON STOCK    704326107        579,600      13,800              X              1     X
PE CORP - PE BIOSYSTEMS GR   COMMON STOCK    69332S102      1,482,188      22,500              X              1     X
PECO ENERGY CO               COMMON STOCK    693304107      1,801,969      44,700              X              1     X
PEOPLESOFT INC               COMMON STOCK    712713106        170,850      10,200              X              1     X
PEPSICO                      COMMON STOCK    713448108      5,954,625     134,000              X              1     X
PFIZER                       COMMON STOCK    717081103     22,027,200     458,900              X              1     X
PG & E CORP                  COMMON STOCK    69331C108        352,138      14,300              X              1     X
PHELPS DODGE                 COMMON STOCK    717265102        208,250       5,600              X              1     X
PHILIP MORRIS                COMMON STOCK    718154107      4,871,563     183,400              X              1     X
PHILLIPS PETROLEUM           COMMON STOCK    718507106        476,463       9,400              X              1     X
PIER 1                       COMMON STOCK    720279108        110,663      11,350              X              1     X
PITNEY BOWES                 COMMON STOCK    724479100        384,000       9,600              X              1     X
PLACER DOME                  COMMON STOCK    725906101        115,706      12,100              X              1     X
                              FOREIGN
PNC FINANCIAL SERVICES GRO   COMMON STOCK    693475105      2,985,938      63,700              X              1     X
POST PROPERTIES, INC.        COMMON STOCK    737464107      1,245,200      28,300              X              1     X
POWERWAVE TECHNOLOGIES INC   COMMON STOCK    739363109        479,600      10,900              X              1     X
PRECISION CASTPARTS          COMMON STOCK    740189105      1,348,450      29,800              X              1     X
PRENTISS PROPERTIES TRUST    COMMON STOCK    740706106        288,000      12,000              X              1     X
PROCTER & GAMBLE             COMMON STOCK    742718109      6,011,250     105,000              X              1     X
PROLOGIS TRUST               COMMON STOCK    743410102      1,278,750      60,000              X              1     X
PROTECTIVE LIFE CORP         COMMON STOCK    743674103      1,871,738      70,300              X              1     X
PROTEIN DESIGN LABS INC      COMMON STOCK    74369L103        346,402       2,100              X              1     X
PROVIDIAN FINANCIAL CORP     COMMON STOCK    74406A102        477,000       5,300              X              1     X
PUBLIC STORAGE INC           COMMON STOCK    74460D109      1,406,250      60,000              X              1     X
PUBLIC SVC ENTERPRISE GROU   COMMON STOCK    744573106        277,000       8,000              X              1     X
QLOGIC CORP                  COMMON STOCK    747277101      1,334,463      20,200              X              1     X
QUAKER OATS                  COMMON STOCK    747402105        368,113       4,900              X              1     X
QUALCOM                      COMMON STOCK    747525103      3,234,000      53,900              X              1     X
QWEST COMMUNICATIONS INTL    COMMON STOCK    749121109        745,313      15,000              X              1     X
R & B FALCON CORP            COMMON STOCK    74912E101      1,291,225      54,800              X              1     X
RADIAN GROUP INC             COMMON STOCK    750236101        207,000       4,000              X              1     X
RADIOSHACK CORP              COMMON STOCK    750438103        326,888       6,900              X              1     X
RALSTON-RALSTON PURINA       COMMON STOCK    751277302        960,988      48,200              X              1     X
RATIONAL SOFTWARE CORP       COMMON STOCK    75409P202      2,444,256      26,300              X              1     X
RAYTHEON                     COMMON STOCK    755111408        242,550      12,600              X              1     X
READERS DIGEST               COMMON STOCK    755267101      5,843,250     147,000              X              1     X
REGENCY REALTY               COMMON STOCK    758939102        712,500      30,000              X              1     X
</TABLE>
<PAGE>

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

<TABLE>
<CAPTION>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          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>
RELIANT ENERGY INC           COMMON STOCK    75952J108        325,188      11,000              X              1     X
REMEC INCORPORATED           COMMON STOCK    759543101        473,188      11,300              X              1     X
REYNOLDS & REYNOLDS          COMMON STOCK    761695105      1,571,325      86,100              X              1     X
ROCKWELL INTL                COMMON STOCK    773903109        220,500       7,000              X              1     X
ROHM & HAAS                  COMMON STOCK    775371107        279,450       8,100              X              1     X
ROUSE CO                     COMMON STOCK    779273101        495,000      20,000              X              1     X
ROYAL DUTCH PETROLEUM        COMMON STOCK    780257804      9,788,438     159,000              X              1     X
                              FOREIGN
RSA SECURITY INC             COMMON STOCK    749719100        283,925       4,100              X              1     X
S C I SYSTEMS                COMMON STOCK    783890106      1,246,163      31,800              X              1     X
S E I                        COMMON STOCK    784117103        250,819       6,300              X              1     X
SAFECO                       COMMON STOCK    786429100        888,413      44,700              X              1     X
SAFEWAY INC                  COMMON STOCK    786514208      1,845,613      40,900              X              1     X
SANMINA CORP                 COMMON STOCK    800907107        470,250       5,500              X              1     X
SANTA FE INTERNATIONAL COR   COMMON STOCK    G7805C108        960,781      27,500              X              1     X
SARA LEE                     COMMON STOCK    803111103        621,863      32,200              X              1     X
SBC COMMUNICATIONS           COMMON STOCK    78387G103      9,848,717     227,716              X              1     X
SCHERING-PLOUGH              COMMON STOCK    806605101      7,266,950     143,900              X              1     X
SCHLUMBERGER                 COMMON STOCK    806857108      2,440,238      32,700              X              1     X
SCHWAB CHARLES CORP NEW      COMMON STOCK    808513105      3,510,450     104,400              X              1     X
SCIENTIFIC-ATLANTA           COMMON STOCK    808655104      1,735,850      23,300              X              1     X
SEAGATE TECH                 COMMON STOCK    811804103        462,000       8,400              X              1     X
SEAGRAM                      COMMON STOCK    811850106      2,018,400      34,800              X              1     X
                              FOREIGN
SEARS ROEBUCK                COMMON STOCK    812387108      3,539,813     108,500              X              1     X
SENSORMATIC ELECTRONICS      COMMON STOCK    817265101      2,017,675     127,600              X              1     X
SEPRACOR INC                 COMMON STOCK    817315104      2,050,625      17,000              X              1     X
SIEBEL SYSTEMS INC           COMMON STOCK    826170102      1,210,363       7,400              X              1     X
SILICON VY BANCSHARES        COMMON STOCK    827064106        204,600       4,800              X              1     X
SIMON PROPERTY GROUP INC     COMMON STOCK    828806109      1,266,906      57,100              X              1     X
SNAP-ON                      COMMON STOCK    833034101      2,870,175     107,800              X              1     X
SOLECTRON CORP               COMMON STOCK    834182107        925,438      22,100              X              1     X
SOUTHERN                     COMMON STOCK    842587107      2,172,725      93,200              X              1     X
SOUTHWEST AIRLINES           COMMON STOCK    844741108        348,450      18,400              X              1     X
SPRINT                       COMMON STOCK    852061100      2,932,500      57,500              X              1     X
SPRINT CORP (PCS GROUP)      COMMON STOCK    852061506      3,540,250      59,500              X              1     X
ST. PAUL                     COMMON STOCK    792860108      1,330,875      39,000              X              1     X
STARBUCKS, CORP              COMMON STOCK    855244109        259,675       6,800              X              1     X
STARWOOD HOTELS & RESORTS    COMMON STOCK    85590A203        908,494      27,900              X              1     X
STATE STREET CORP            COMMON STOCK    857477103      2,747,019      25,900              X              1     X
STRYKER                      COMMON STOCK    863667101      2,791,250      63,800              X              1     X
STUDENT LOAN MKTG ASSN       COMMON STOCK    78442A109        217,138       5,800              X              1     X
SUMMIT PROPERTIES INC        COMMON STOCK    866239106      2,079,000      99,000              X              1     X
SUN CO.                      COMMON STOCK    86764P109      1,027,369      34,900              X              1     X
SUN COMMUNITIES              COMMON STOCK    866674104        334,375      10,000              X              1     X
SUN MICROSYSTEMS             COMMON STOCK    866810104     10,067,327     110,706              X              1     X
</TABLE>
<PAGE>

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

<TABLE>
<CAPTION>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          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>
SUNTRUST BANKS               COMMON STOCK    867914103        511,700      11,200              X              1     X
SUPER VALU STORES            COMMON STOCK    868536103      2,016,813     105,800              X              1     X
SYMANTEC CORP                COMMON STOCK    871503108        636,463      11,800              X              1     X
SYMBOL TECH                  COMMON STOCK    871508107      1,279,800      23,700              X              1     X
SYNOVUS FINANCIAL CORP       COMMON STOCK    87161C105        185,063      10,500              X              1     X
SYSCO                        COMMON STOCK    871829107        518,138      12,300              X              1     X
TARGET CORP                  COMMON STOCK    87612E106      2,639,000      45,500              X              1     X
TAUBMAN CENTERS INC          COMMON STOCK    876664103        110,000      10,000              X              1     X
TECHNITROL INC               COMMON STOCK    878555101        203,438       2,100              X              1     X
TELECOM CORP OF NEW ZEALAN   COMMON STOCK    879278208        531,563      18,900              X              1     X
                              FOREIGN
TELLABS                      COMMON STOCK    879664100      3,072,844      44,900              X              1     X
TENET HEALTHCARE             COMMON STOCK    88033G100      2,575,800      95,400              X              1     X
TERADYNE                     COMMON STOCK    880770102        470,400       6,400              X              1     X
TEXACO                       COMMON STOCK    881694103      3,620,947      67,999              X              1     X
TEXAS INSTRUMENTS            COMMON STOCK    882508104      7,912,800     115,200              X              1     X
TEXTRON                      COMMON STOCK    883203101        287,856       5,300              X              1     X
THE PMI GROUP                COMMON STOCK    69344M101        890,625      18,750              X              1     X
TIME WARNER                  COMMON STOCK    887315109      6,277,600      82,600              X              1     X
TJX                          COMMON STOCK    872540109        208,125      11,100              X              1     X
TORCHMARK                    COMMON STOCK    891027104      3,053,844     123,700              X              1     X
TRANSOCEAN SEDCO FOREX INC   COMMON STOCK    G90078109        459,563       8,600              X              1     X
TRIBUNE                      COMMON STOCK    896047107        399,000      11,400              X              1     X
TRUE NORTH COMMUNICATION     COMMON STOCK    897844106        237,600       5,400              X              1     X
TXU CORPORATION (HLDG)       COMMON STOCK    873168108        289,100       9,800              X              1     X
TYCO INTERNATIONAL           COMMON STOCK    902124106      5,841,338     123,300              X              1     X
UNICOM                       COMMON STOCK    904911104        255,338       6,600              X              1     X
UNILEVER N.V.                COMMON STOCK    904784709      1,418,527      32,989              X              1     X
                              FOREIGN
UNION CARBIDE                COMMON STOCK    905581104        247,500       5,000              X              1     X
UNION PACIFIC                COMMON STOCK    907818108        342,125       9,200              X              1     X
UNION PACIFIC RESOURCES GR   COMMON STOCK    907834105        204,600       9,300              X              1     X
UNISYS                       COMMON STOCK    909214108        168,925      11,600              X              1     X
UNITED TECH                  COMMON STOCK    913017109      3,055,613      51,900              X              1     X
UNITEDHEALTH GROUP INC       COMMON STOCK    91324P102        514,500       6,000              X              1     X
UNIVERSAL HEALTH SERVICES    COMMON STOCK    913903100        222,700       3,400              X              1     X
UNIVISION COMMUNICATION IN   COMMON STOCK    914906102      2,442,600      23,600              X              1     X
UNOCAL                       COMMON STOCK    915289102        298,125       9,000              X              1     X
US BANCORP                   COMMON STOCK    902973106        537,075      27,900              X              1     X
US WEST                      COMMON STOCK    91273H101      2,718,275      31,700              X              1     X
USX-MARATHON GROUP           COMMON STOCK    902905827      1,949,863      77,800              X              1     X
UTILICORP UNITED             COMMON STOCK    918005109      1,971,600      99,200              X              1     X
VALENCE TECHNOLOGY INC       COMMON STOCK    918914102        953,219      51,700              X              1     X
VERITAS SOFTWARE CORP        COMMON STOCK    923436109      3,435,674      30,400              X              1     X
VERIZON COMMUNICATIONS       COMMON STOCK    92343V104      5,243,850     103,200              X              1     X
VERTEX PHARMACEUTICALS       COMMON STOCK    92532F100        316,125       3,000              X              1     X
</TABLE>
<PAGE>

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

<TABLE>
<CAPTION>
                                                                                                                     ---------------
                                                                                                                     (SEC USE ONLY)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                          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>
VIACOM -CL B                 COMMON STOCK    925524308      8,000,167     117,326              X              1     X
VIACOM INTERNATIONAL         COMMON STOCK    925524100        683,750      10,000              X              1     X
VIAD CORP                    COMMON STOCK    92552R109      2,763,150     101,400              X              1     X
VIGNETTE CORP                COMMON STOCK    926734104        962,289      18,500              X              1     X
VISHAY INTERTECH. INC        COMMON STOCK    928298108        788,152      20,775              X              1     X
VITESSE SEMICONDUCTOR        COMMON STOCK    928497106      3,126,406      42,500              X              1     X
WACHOVIA CORP                COMMON STOCK    929771103        406,875       7,500              X              1     X
WADDELL & REED FINANCIAL     COMMON STOCK    930059100      2,490,469      75,900              X              1     X
WALGREEN                     COMMON STOCK    931422109      3,051,375      94,800              X              1     X
WAL-MART STORES              COMMON STOCK    931142103     19,362,000     336,000              X              1     X
WASHINGTON MUTUAL            COMMON STOCK    939322103      2,685,375      93,000              X              1     X
WASTE MANAGEMENT INC         COMMON STOCK    94106L109        437,000      23,000              X              1     X
WATSON PHARMACEUTICALS INC   COMMON STOCK    942683103      1,032,000      19,200              X              1     X
WEATHERFORD INTERNATIONAL    COMMON STOCK    947074100      1,930,906      48,500              X              1     X
WELLS FARGO & CO (NEW)       COMMON STOCK    949746101      3,627,000      93,600              X              1     X
WESTERN RESOURCES INC        COMMON STOCK    959425109        987,350      63,700              X              1     X
WEYERHAEUSER                 COMMON STOCK    962166104        369,800       8,600              X              1     X
WILLIAMS                     COMMON STOCK    969457100        712,856      17,100              X              1     X
WORLDCOM INC.                COMMON STOCK    98157D106      8,952,231     195,144              X              1     X
WRIGLEY                      COMMON STOCK    982526105        336,788       4,200              X              1     X
XEROX                        COMMON STOCK    984121103        960,725      46,300              X              1     X
XILINX, INC.                 COMMON STOCK    983919101      3,211,681      38,900              X              1     X
YAHOO INC                    COMMON STOCK    984332106      4,496,663      36,300              X              1     X

TECNOST INTL                 DEBT            EC1437234          2,625       2,610              X              1     X
</TABLE>



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