ALLSTATE LIFE INSURANCE CO
13F-HR, 1999-08-11
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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, 1999

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

IF AMENDED REPORT CHECK HERE: |_|


ALLSTATE LIFE INSURANCE COMPANY
- --------------------------------------------------------------------------------
NAME OF INSTITUTIONAL INVESTMENT MANAGER

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

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


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

     THE  INSTITUTIONAL   INVESTMENT   MANAGER  SUBMITTING  THIS  FORM  AND  ITS
ATTACHMENTS  AND THE  PERSON  BY WHOM IT IS  SIGNED  REPRESENT  HEREBY  THAT ALL
INFORMATION  CONTAINED THEREIN IS TRUE,  CORRECT AND COMPLETE.  IT IS UNDERSTOOD
THAT ALL REQUIRED ITEMS,  STATEMENTS AND SCHEDULES ARE CONSIDERED INTEGRAL PARTS
OF THIS  FORM AND THAT  THE  SUBMISSION  OF ANY  AMENDMENT  REPRESENTS  THAT ALL
UNAMENDED ITEMS,  STATEMENTS AND SCHEDULES REMAIN TRUE,  CORRECT AND COMPLETE AS
PREVIOUSLY SUBMITTED.

     PURSUANT  TO THE  REQUIREMENTS  OF  SECURITIES  EXCHANGE  ACT OF 1934,  THE
UNDERSIGNED INSTITUTIONAL INVESTMENT MANAGER HAS CAUSED THIS REPORT TO BE SIGNED
ON ITS BEHALF IN ON THE THE 6 DAY OF AUGUST, 1999.


                                      ALLSTATE LIFE INSURANCE COMPANY
                                      ------------------------------------------
                                      (NAME OF INSTITUTIONAL INVESTMENT MANAGER)


                                      /S/ JOSEPH A. HAAS
                                      ------------------------------------------
                                      (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 LIFE INSURANCE COMPANY

<TABLE>
<CAPTION>
- ------------------------------------------------------------------------------------------------------------------------------------
ITEM 1:                      ITEM 2:         ITEM 3:       ITEM 4:       ITEM 5:               ITEM 6:        ITEM 7:    ITEM 8:
                                                                                        INVESTMENT DISCRETION       VOTING AUTHORITY
                                                                                        ---------------------           (SHARES)
                             TITLE                          FAIR         SHARES OR      (A)    (B)     (C)    MANA- ----------------
NAME OF ISSUER                OF             CUSIP         MARKET        PRINCIPAL      SOLE   SHARED  SHARED GERS  (A)  (B)    (C)
                             CLASS           NUMBER         VALUE          AMOUNT                      OTHER        SOLE SHARED NONE
- ------------------------------------------------------------------------------------------------------------------------------------
<S>                          <C>             <C>         <C>             <C>            <C>    <C>     <C>    <C>   <C>  <C>    <C>
A D C TELECOM                COMMON STOCK    000886101      715,331.25       15,700.00         X              1     X
ABBOTT LABS                  COMMON STOCK    002824100    1,255,800.00       27,600.00         X              1     X
AIRTOUCH COMM 4.25% SERIE    REDEEMABLE P/S  00949T308   26,975,121.88      182,650.00         X              1     X
ALLIANT TECHSYSTEMS          COMMON STOCK    018804104      216,250.00        2,500.00         X              1     X
ALLIED-SIGNAL                COMMON STOCK    019512102      699,300.00       11,100.00         X              1     X
ALLTEL                       COMMON STOCK    020039103      328,900.00        4,600.00         X              1     X
ALTERA                       COMMON STOCK    021441100      485,925.00       13,200.00         X              1     X
ALUMINUM CO OF AMERICA       COMMON STOCK    013817101      216,562.50        3,500.00         X              1     X
AMBERCROMBIE & FITCH CL A    COMMON STOCK    002896207      249,600.00        5,200.00         X              1     X
AMERICA ON-LINE              COMMON STOCK    02364J104    2,232,100.00       20,200.00         X              1     X
AMERICAN EXPRESS             COMMON STOCK    025816109    1,027,987.50        7,900.00         X              1     X
AMERICAN HOME PRODUCTS       COMMON STOCK    026609107    1,719,250.00       29,900.00         X              1     X
AMERICAN INTL                COMMON STOCK    026874107    2,468,731.11       21,089.00         X              1     X
AMERICAN POWER CONVERSION    COMMON STOCK    029066107      197,225.00        9,800.00         X              1     X
AMERICAN STANDARD COMPANI    COMMON STOCK    029712106      969,600.00       20,200.00         X              1     X
AMERITECH NEW                COMMON STOCK    030954101    1,006,950.00       13,700.00         X              1     X
AMGEN                        COMMON STOCK    031162100      499,175.00        8,200.00         X              1     X
ANALOG DEVICES               COMMON STOCK    032654105      461,775.19        9,201.00         X              1     X
APPLE COMPUTER               COMMON STOCK    037833100      291,768.75        6,300.00         X              1     X
ARVIN INDUSTRIES             COMMON STOCK    043339100      446,925.00       11,800.00         X              1     X
ASSOCIATED BANC-CORP         COMMON STOCK    045487105      240,700.00        5,800.00         X              1     X
ASSOCIATES FIRST CAPITAL     COMMON STOCK    046008108      944,210.76       21,308.00         X              1     X
AT & T                       COMMON STOCK    001957109    3,138,895.89       56,240.02         X              1     X
ATLANTIC RICHFIELD           COMMON STOCK    048825103      384,387.50        4,600.00         X              1     X
ATMEL CORP                   COMMON STOCK    049513104      366,625.00       14,000.00         X              1     X
AVON PRODUCTS                COMMON STOCK    054303102      477,300.00        8,600.00         X              1     X
BAKER HUGHES                 COMMON STOCK    057224107    2,375,150.00       70,900.00         X              1     X
BANK OF AMERICA CORP         COMMON STOCK    060505104    2,225,181.01       30,352.00         X              1     X
BANK OF NEW YORK             COMMON STOCK    064057102      968,550.00       26,400.00         X              1     X
BANK ONE CORPORATION         COMMON STOCK    06423A103    1,710,278.23       28,714.01         X              1     X
BARRETT RES                  COMMON STOCK    068480201      828,900.00       21,600.00         X              1     X
BAXTER INTL                  COMMON STOCK    071813109      345,562.50        5,700.00         X              1     X
BECTON DICKINSON             COMMON STOCK    075887109      204,000.00        6,800.00         X              1     X
BELL ATLANTIC                COMMON STOCK    077853109    1,771,008.75       27,090.00         X              1     X
BELLSOUTH                    COMMON STOCK    079860102    1,298,437.50       27,700.00         X              1     X
BESTFOODS INC                COMMON STOCK    08658U101      495,000.00       10,000.00         X              1     X
BIOGEN                       COMMON STOCK    090597105      270,112.50        4,200.00         X              1     X
BJ SERVICES                  COMMON STOCK    055482103      506,325.00       17,200.00         X              1     X
BOEING                       COMMON STOCK    097023105      857,237.50       19,400.00         X              1     X
BOISE CASCADE                COMMON STOCK    097383103      360,150.00        8,400.00         X              1     X
BORG-WARNER AUTOMOTIVE IN    COMMON STOCK    099724106      726,000.00       13,200.00         X              1     X
BRISTOL-MYERS-SQUIBB         COMMON STOCK    110122108    2,902,025.00       41,200.00         X              1     X
BURLINGTON RESOURCES         COMMON STOCK    122014103      307,075.00        7,100.00         X              1     X
CABLETRON                    COMMON STOCK    126920107      132,600.00       10,200.00         X              1     X
CADENCE DESIGNS SYS INC      COMMON STOCK    127387108      141,525.00       11,100.00         X              1     X
CAPITAL ONE FINANCIAL        COMMON STOCK    14040H105      723,937.50       13,000.00         X              1     X
CARLISLE                     COMMON STOCK    142339100      250,250.00        5,200.00         X              1     X
CARNIVAL CRUISE LINES        COMMON STOCK    143658102      276,450.00        5,700.00         X              1     X
CATERPILLAR                  COMMON STOCK    149123101      228,000.00        3,800.00         X              1     X
CBS CORPORATION              COMMON STOCK    12490K107      751,468.75       17,300.00         X              1     X
CENDANT COPORATION           COMMON STOCK    151313103      254,200.00       12,400.00         X              1     X
CENTOCOR                     COMMON STOCK    152342101      298,400.00        6,400.00         X              1     X
CENTURYTEL INC               COMMON STOCK    156700106      221,606.25        5,575.00         X              1     X
CHASE MANHATTAN CORP NEW     COMMON STOCK    16161A108    1,871,100.00       21,600.00         X              1     X
CHEVRON                      COMMON STOCK    166751107    1,151,768.75       12,100.00         X              1     X
CIRCUIT CITY STORES          COMMON STOCK    172737108      530,100.00        5,700.00         X              1     X
CISCO SYSTEMS, INC.          COMMON STOCK    17275R102    4,136,887.55       64,200.00         X              1     X
CITIGROUP INC                COMMON STOCK    172967101    3,012,687.50       63,425.00         X              1     X
CITIZENS UTILITIES 5.0% C    REDEEMABLE P/S  177351202    4,934,221.88      101,475.00         X              1     X
CNF TRUST I 5% SERIES A C    REDEEMABLE P/S  12612V205    3,113,312.50       54,500.00         X              1     X
COASTAL                      COMMON STOCK    190441105      536,000.00       13,400.00         X              1     X
COCA-COLA                    COMMON STOCK    191216100    2,068,750.01       33,100.00         X              1     X
COCA-COLA ENTERPRISES        COMMON STOCK    191219104      312,375.00       10,500.00         X              1     X
COLGATE-PALMOLIVE            COMMON STOCK    194162103      513,500.00        5,200.00         X              1     X
COLUMBIA HEALTHCARE          COMMON STOCK    197677107      326,218.75       14,300.00         X              1     X
COMERICA                     COMMON STOCK    200340107      213,975.00        3,600.00         X              1     X
COMPUTER SCIENCES            COMMON STOCK    205363104      221,400.00        3,200.00         X              1     X
COMPUWARE                    COMMON STOCK    205638109      356,300.00       11,200.00         X              1     X
COMVERSE TECHNOLOGY          COMMON STOCK    205862402      739,900.00        9,800.00         X              1     X
CONCORD EFS INC              COMMON STOCK    206197105      803,937.50       19,000.00         X              1     X
CORNING                      COMMON STOCK    219350105      266,475.00        3,800.00         X              1     X
COSTO COMPANIES INC          COMMON STOCK    22160Q102      272,212.50        3,400.00         X              1     X
CRANE                        COMMON STOCK    224399105      600,456.25       19,100.00         X              1     X
CROWN CORK & SEAL CONVERT    NON-REDEEM P/S  228255303    4,944,225.00      184,400.00         X              1     X
CVS CORP                     COMMON STOCK    126650100      294,350.00        5,800.00         X              1     X
DAYTON-HUDSON                COMMON STOCK    239753106      312,000.00        4,800.00         X              1     X
DELL COMPUTER                COMMON STOCK    247025109    1,350,500.00       36,500.00         X              1     X
DELPHI AUTOMOTIVE SYSTEMS    COMMON STOCK    247126105      215,106.34       11,588.22         X              1     X
DISNEY (WALT)                COMMON STOCK    254687106    1,146,225.00       37,200.00         X              1     X
DOLLAR GENERAL               COMMON STOCK    256669102      203,725.00        7,025.00         X              1     X
DOW CHEMICAL                 COMMON STOCK    260543103      532,875.00        4,200.00         X              1     X
DU PONT DE NEMOURS           COMMON STOCK    263534109    1,140,818.75       16,700.00         X              1     X
E M C                        COMMON STOCK    268648102    1,133,000.00       20,600.00         X              1     X
E TRADE GROUP INC            COMMON STOCK    269246104      403,368.75       10,100.00         X              1     X
EASTMAN KODAK                COMMON STOCK    277461109      325,200.00        4,800.00         X              1     X
EATON                        COMMON STOCK    278058102      266,800.00        2,900.00         X              1     X
ECOLAB                       COMMON STOCK    278865100      226,850.00        5,200.00         X              1     X
EL PASO ENERGY CAPITAL TR    NON-REDEEM P/S  283678209    3,217,500.00       65,000.00         X              1     X
EL PASO ENERGY CORP DELAW    COMMON STOCK    283905107      330,762.50        9,400.00         X              1     X
EMERSON ELEC                 COMMON STOCK    291011104      515,575.02        8,200.00         X              1     X
ENGELHARD                    COMMON STOCK    292845104      210,412.50        9,300.00         X              1     X
ENRON                        COMMON STOCK    293561106   18,737,100.00      229,200.00         X              1     X
ETHAN ALLEN INTERIORS        COMMON STOCK    297602104      324,650.00        8,600.00         X              1     X
EVI INC., 5.0%,              REDEEMABLE P/S  268939204    3,937,500.00      100,000.00         X              1     X
EXXON                        COMMON STOCK    302290101    3,046,437.48       39,500.00         X              1     X
F M C                        COMMON STOCK    302491303      232,262.50        3,400.00         X              1     X
FEDERAL NAT'L MORT. ASSOC    COMMON STOCK    313586109    1,169,212.49       17,100.00         X              1     X
FEDERATED DEPARTMENT STOR    COMMON STOCK    31410H101      587,606.25       11,100.00         X              1     X
FINOVA FINANCE 5.5% CONVE    REDEEMABLE P/S  31808E207    2,787,500.00       40,000.00         X              1     X
FIRST DATA                   COMMON STOCK    319963104      357,243.75        7,300.00         X              1     X
FIRST TENNESSEE NATIONAL     COMMON STOCK    337162101      118,768.75        3,100.00         X              1     X
FIRST UNION                  COMMON STOCK    337358105      695,600.00       14,800.00         X              1     X
FIRSTAR CORPORATION          COMMON STOCK    33763V109      481,600.00       17,200.00         X              1     X
FISERV INC.                  COMMON STOCK    337738108      477,515.64       15,250.00         X              1     X
FLEET/NORSTAR FINANCIAL      COMMON STOCK    338915101      532,500.00       12,000.00         X              1     X
FORD MOTOR                   COMMON STOCK    345370100      660,318.74       11,700.00         X              1     X
FOUNDATION HEALTH SYSTEMS    COMMON STOCK    350404109      738,000.00       49,200.00         X              1     X
FREDDIE MAC                  COMMON STOCK    313400301    1,038,200.00       17,900.00         X              1     X
FREMONT GENERAL CORP         COMMON STOCK    357288109      205,737.50       10,900.00         X              1     X
FULLER (H.B.)                COMMON STOCK    359694106      307,687.50        4,500.00         X              1     X
G T E                        COMMON STOCK    362320103    1,325,625.01       17,500.00         X              1     X
GANNETT                      COMMON STOCK    364730101      349,737.50        4,900.00         X              1     X
GAP STORES                   COMMON STOCK    364760108      498,712.50        9,900.00         X              1     X
GENERAL ELECTRIC             COMMON STOCK    369604103    5,661,300.00       50,100.00         X              1     X
GENERAL MOTORS               COMMON STOCK    370442105      726,000.00       11,000.00         X              1     X
GENERAL MOTORS CL H          COMMON STOCK    370442832      292,500.00        5,200.00         X              1     X
GEORGIA-PACIFIC              COMMON STOCK    373298108      293,725.00        6,200.00         X              1     X
GILLETTE                     COMMON STOCK    375766102      393,600.00        9,600.00         X              1     X
GLOBAL MARINE                COMMON STOCK    379352404      373,587.50       24,200.00         X              1     X
GUIDANT                      COMMON STOCK    401698105      437,218.75        8,500.00         X              1     X
HALLIBURTON                  COMMON STOCK    406216101      407,250.00        9,000.00         X              1     X
HARCOURT GENERAL             COMMON STOCK    41163G101      293,906.25        5,700.00         X              1     X
HARSCO                       COMMON STOCK    415864107      332,800.00       10,400.00         X              1     X
HARTFORD LIFE - CL A         COMMON STOCK    416592103      478,887.50        9,100.00         X              1     X
HEINZ                        COMMON STOCK    423074103      273,181.25        5,450.00         X              1     X
HEWLETT-PACKARD              COMMON STOCK    428236103    1,829,100.00       18,200.00         X              1     X
HIBERNIA                     COMMON STOCK    428656102      630,637.50       40,200.00         X              1     X
HOLLYWOOD ENT. CORP          COMMON STOCK    436141105      199,537.50       10,200.00         X              1     X
HOME DEPOT                   COMMON STOCK    437076102    1,482,062.53       23,000.00         X              1     X
HOUSTON INDS INC. 7% CONV    NON-REDEEM P/S  442161204   12,282,750.00      103,000.00         X              1     X
HUNTINGTON BANCSHARES        COMMON STOCK    446150104      336,000.00        9,600.00         X              1     X
HUSSMANN INTERNATIONAL IN    COMMON STOCK    448110106      170,593.75       10,300.00         X              1     X
ILLINOIS TOOL WORKS          COMMON STOCK    452308109      237,800.00        2,900.00         X              1     X
INGERSOLL-RAND               COMMON STOCK    456866102      277,887.50        4,300.00         X              1     X
INTEL                        COMMON STOCK    458140100    3,355,800.01       56,400.00         X              1     X
INTERPUBLIC GROUP OF COS     COMMON STOCK    460690100      259,875.00        3,000.00         X              1     X
INTIMATE BRANDS              COMMON STOCK    461156101      253,693.13        5,355.00         X              1     X
INTL BUSINESS MACHINES       COMMON STOCK    459200101    4,782,250.00       37,000.00         X              1     X
IVAX CORP                    COMMON STOCK    465823102      286,737.50       20,300.00         X              1     X
JOHNSON & JOHNSON            COMMON STOCK    478160104    2,489,199.99       25,400.00         X              1     X
JOSTENS                      COMMON STOCK    481088102      252,750.00       12,000.00         X              1     X
KANSAS CITY SOUTHERN INDU    COMMON STOCK    485170104      223,343.75        3,500.00         X              1     X
KEYCORP                      COMMON STOCK    493267108      430,475.00       13,400.00         X              1     X
KIMBERLY-CLARK               COMMON STOCK    494368103      775,200.00       13,600.00         X              1     X
KNIGHT-RIDDER                COMMON STOCK    499040103      543,881.25        9,900.00         X              1     X
KROGER                       COMMON STOCK    501044101      458,175.00       16,400.00         X              1     X
L S I LOGIC                  COMMON STOCK    502161102      747,225.00       16,200.00         X              1     X
LEAR SEATING CORP            COMMON STOCK    521865105      422,875.00        8,500.00         X              1     X
LEHMAN BROS HOLDING          COMMON STOCK    524908100      329,925.00        5,300.00         X              1     X
LEXMARK INT'L GROUP A        COMMON STOCK    529771107    1,453,375.00       22,000.00         X              1     X
LILLY (ELI)                  COMMON STOCK    532457108    1,482,637.50       20,700.00         X              1     X
LINCOLN NATIONAL             COMMON STOCK    534187109    1,009,631.25       19,300.00         X              1     X
LINEAR TECH                  COMMON STOCK    535678106      363,150.00        5,400.00         X              1     X
LOCKHEED MARTIN              COMMON STOCK    539830109      882,825.00       23,700.00         X              1     X
LOWE'S                       COMMON STOCK    548661107      317,450.00        5,600.00         X              1     X
LUCENT TECHNOLOGIES INC      COMMON STOCK    549463107    4,101,683.62       60,822.00         X              1     X
M. A. HANNA                  COMMON STOCK    410522106      323,818.75       19,700.00         X              1     X
MATTEL                       COMMON STOCK    577081102      385,987.50       14,600.00         X              1     X
MAXIM INTEGRATED PRODUCTS    COMMON STOCK    57772K101      312,550.00        4,700.00         X              1     X
MAYTAG                       COMMON STOCK    578592107      285,718.75        4,100.00         X              1     X
MBNA CORP                    COMMON STOCK    55262L100      370,562.50       12,100.00         X              1     X
MCDONALD'S                   COMMON STOCK    580135101    1,251,768.75       30,300.00         X              1     X
MCI WORLDCOM INC             COMMON STOCK    55268B106    2,663,720.45       30,951.00         X              1     X
MEAD                         COMMON STOCK    582834107      271,375.00        6,500.00         X              1     X
MEDIAONE                     REDEEMABLE P/S  58440J203    3,745,312.50       25,000.00         X              1     X
MEDIAONE GROUP               COMMON STOCK    58440J104      304,937.50        4,100.00         X              1     X
MEDTRONICS                   COMMON STOCK    585055106      887,775.00       11,400.00         X              1     X
MENS WEARHOUSE               COMMON STOCK    587118100      413,100.00       16,200.00         X              1     X
MERCK                        COMMON STOCK    589331107    3,611,200.00       48,800.00         X              1     X
MEREDITH                     COMMON STOCK    589433101      522,837.50       15,100.00         X              1     X
MERITOR AUTOMOTIVE INC       COMMON STOCK    59000G100      441,150.00       17,300.00         X              1     X
MERRILL LYNCH                COMMON STOCK    590188108      855,331.25       10,700.00         X              1     X
MGIC INVESTMENT              COMMON STOCK    552848103      272,300.00        5,600.00         X              1     X
MICROCHIP TECHNOLOGY INC     COMMON STOCK    595017104      274,775.00        5,800.00         X              1     X
MICROSOFT                    COMMON STOCK    594918104    8,621,925.00       95,600.00         X              1     X
MICROSOFT CORP. $2.196 CO    NON-REDEEM P/S  594918203    8,744,531.25       87,500.00         X              1     X
MINNESOTA MNG & MFG          COMMON STOCK    604059105      226,037.50        2,600.00         X              1     X
MOBIL                        COMMON STOCK    607059102    1,831,500.00       18,500.00         X              1     X
MOLEX                        COMMON STOCK    608554101      218,300.00        5,900.00         X              1     X
MONSANTO                     COMMON STOCK    611662107      268,175.00        6,800.00         X              1     X
MORGAN (J.P.)                COMMON STOCK    616880100      379,350.00        2,700.00         X              1     X
MORGAN STANLEY DEAN WITTE    COMMON STOCK    617446448    1,240,250.00       12,100.00         X              1     X
MOTOROLA                     COMMON STOCK    620076109    1,876,050.01       19,800.00         X              1     X
MYLAN LABS                   COMMON STOCK    628530107      665,150.00       25,100.00         X              1     X
NABORS INDUSTRIES            COMMON STOCK    629568106      581,612.50       23,800.00         X              1     X
NATIONAL AUSTRALIA BANK 7    NON-REDEEM P/S  632525309    3,037,500.00      100,000.00         X              1     X
NATIONAL CITY                COMMON STOCK    635405103      373,350.00        5,700.00         X              1     X
NAVISTAR INTL                COMMON STOCK    63934E108      340,000.00        6,800.00         X              1     X
NEW YORK TIMES               COMMON STOCK    650111107      316,587.50        8,600.00         X              1     X
NEWBRIDGE NETWORK            COMMON FOREIGN  650901101      830,875.00       28,900.00         X              1     X
NIAGARA MOHAWK HOLDINGS I    COMMON STOCK    653520106      160,625.00       10,000.00         X              1     X
NIKE CL B                    COMMON STOCK    654106103      227,925.00        3,600.00         X              1     X
NOBLE AFFILIATES             COMMON STOCK    654894104      679,318.75       24,100.00         X              1     X
NORTEL NETWORKS CORP         COMMON FOREIGN  656569100      746,587.50        8,600.00         X              1     X
OCCIDENTAL PETROLEUM CONV    NON-REDEEM P/S  674599790    2,896,875.00       50,000.00         X              1     X
OGDEN                        COMMON STOCK    676346109      336,718.75       12,500.00         X              1     X
ORACLE SYSTEMS               COMMON STOCK    68389X105      889,143.75       23,950.00         X              1     X
OWENS-ILLINOIS               COMMON STOCK    690768403      317,068.75        9,700.00         X              1     X
PENTAIR                      COMMON STOCK    709631105      370,575.00        8,100.00         X              1     X
PEPSI BOTTLING GROUP         COMMON STOCK    713409100      262,912.50       11,400.00         X              1     X
PEPSICO                      COMMON STOCK    713448108    1,698,381.25       43,900.00         X              1     X
PERKIN-ELMER                 COMMON STOCK    69332S102       22,950.00          200.00         X              1     X
PFIZER                       COMMON STOCK    717081103    6,980,100.00       63,600.00         X              1     X
PFIZER                       COMMON STOCK    717081103    2,326,700.00       21,200.00         X              1     X
PHELPS DODGE                 COMMON STOCK    717265102      247,750.00        4,000.00         X              1     X
PREMARK INTL                 COMMON STOCK    740459102      603,750.00       16,100.00         X              1     X
PROCTER & GAMBLE             COMMON STOCK    742718109    2,534,700.00       28,400.00         X              1     X
PROVIDIAN FINANCIAL CORP     COMMON STOCK    74406A102      701,250.00        7,500.00         X              1     X
QUAKER OATS                  COMMON STOCK    747402105      325,237.50        4,900.00         X              1     X
QUALCOM                      COMMON STOCK    747525103      731,850.00        5,100.00         X              1     X
QUANTUM                      COMMON STOCK    747906105      130,275.00        5,400.00         X              1     X
R & B FALCON CORP            COMMON STOCK    74912E101      262,500.00       28,000.00         X              1     X
RADIAN GROUP INC             COMMON STOCK    750236101      507,650.00       10,400.00         X              1     X
RALSTON-RALSTON PURINA       COMMON STOCK    751277302      222,193.75        7,300.00         X              1     X
RAYONIER                     COMMON STOCK    754907103       49,812.50        1,000.00         X              1     X
RAYTHEON                     COMMON STOCK    755111408      330,762.50        4,700.00         X              1     X
READERS DIGEST               COMMON STOCK    755267101      329,925.00        8,300.00         X              1     X
REYNOLDS METALS              COMMON STOCK    761763101    1,162,300.00       19,700.00         X              1     X
ROHM & HAAS                  COMMON STOCK    775371107      233,561.99        5,447.51         X              1     X
ROUSE CO $3 CONVERTIBLE S    NON-REDEEM P/S  779273309    3,306,300.00       82,400.00         X              1     X
ROYAL DUTCH PETROLEUM        COMMON FOREIGN  780257804    2,518,449.99       41,800.00         X              1     X
SBC COMMUNICATIONS           COMMON STOCK    78387G103    1,808,787.99       31,186.00         X              1     X
SCHERING-PLOUGH              COMMON STOCK    806605101    1,425,700.00       26,900.00         X              1     X
SCHLUMBERGER                 COMMON STOCK    806857108      655,981.25       10,300.00         X              1     X
SCHWAB CHARLES CORP NEW      COMMON STOCK    808513105    1,384,425.00       12,600.00         X              1     X
SIEBEL SYSTEMS INC           COMMON STOCK    826170102      490,712.50        7,400.00         X              1     X
SMURFIT-STONE CONTAINER C    COMMON STOCK    832727101      261,143.75       12,700.00         X              1     X
SNYDER COMMUNICATIONS INC    COMMON STOCK    832914105      284,925.00        8,700.00         X              1     X
SONOCO PRODUCTS              COMMON STOCK    835495102      407,150.00       13,600.00         X              1     X
SOUTHTRUST                   COMMON STOCK    844730101      307,000.00        8,000.00         X              1     X
SPRINT                       COMMON STOCK    852061100      823,875.00       15,600.00         X              1     X
SPRINT CONV                  NON-REDEEM P/S  852061407    8,700,000.00      100,000.00         X              1     X
SPRINT CORP (PCS GROUP)      COMMON STOCK    852061506      357,031.25        6,250.00         X              1     X
SPX CORP.                    COMMON STOCK    784635104      359,050.00        4,300.00         X              1     X
ST JUDE MEDICAL              COMMON STOCK    790849103      491,625.00       13,800.00         X              1     X
ST. PAUL                     COMMON STOCK    792860108      343,575.00       10,800.00         X              1     X
STARBUCKS, CORP              COMMON STOCK    855244109      364,356.25        9,700.00         X              1     X
STRYKER                      COMMON STOCK    863667101      216,450.00        3,600.00         X              1     X
SUMMIT BANCORP               COMMON STOCK    866005101      288,506.25        6,900.00         X              1     X
SUN MICROSYSTEMS             COMMON STOCK    866810104      817,684.00       11,872.00         X              1     X
SUNTRUST BANKS               COMMON STOCK    867914103      513,837.50        7,400.00         X              1     X
SYBRON CORP                  COMMON STOCK    87114F106      429,975.00       15,600.00         X              1     X
TELLABS                      COMMON STOCK    879664100      304,031.25        4,500.00         X              1     X
TERADYNE                     COMMON STOCK    880770102      243,950.00        3,400.00         X              1     X
TEXACO                       COMMON STOCK    881694103      818,750.00       13,100.00         X              1     X
TEXAS INSTRUMENTS            COMMON STOCK    882508104    1,058,500.00        7,300.00         X              1     X
TEXTRON                      COMMON STOCK    883203101      452,718.74        5,500.00         X              1     X
THE PMI GROUP                COMMON STOCK    69344M101      163,312.50        2,600.00         X              1     X
TIME WARNER                  COMMON STOCK    887315109    1,506,750.00       20,500.00         X              1     X
TIMES MIRROR                 COMMON STOCK    887364107      237,000.00        4,000.00         X              1     X
TJX                          COMMON STOCK    872540109      389,756.25       11,700.00         X              1     X
TYCO INTERNATIONAL           COMMON STOCK    902124106    2,427,968.75       25,625.00         X              1     X
UNILEVER N.V.                COMMON FOREIGN  904784709      559,743.66        8,025.00         X              1     X
UNION PACIFIC                COMMON STOCK    907818108      501,487.50        8,600.00         X              1     X
UNION PACIFIC RESOURCES G    COMMON STOCK    907834105      163,125.00       10,000.00         X              1     X
UNION PLANTERS               COMMON STOCK    908068109      232,375.00        5,200.00         X              1     X
UNITED TECH                  COMMON STOCK    913017109      473,137.50        6,600.00         X              1     X
UNUM                         COMMON STOCK    903192102      262,800.00        4,800.00         X              1     X
US BANCORP                   COMMON STOCK    902973106      275,400.00        8,100.00         X              1     X
VALASSIS COMMUNICATION       COMMON STOCK    918866104      216,087.50        5,900.00         X              1     X
VERITAS SOFTWARE CORP        COMMON STOCK    923436109      284,812.50        3,000.00         X              1     X
VIACOM -CL B                 COMMON STOCK    925524308      343,195.60        7,799.90         X              1     X
VITESSE SEMICONDUCTOR        COMMON STOCK    928497106      269,750.00        4,000.00         X              1     X
WAL-MART STORES              COMMON STOCK    931142103    3,575,325.00       74,100.00         X              1     X
WARNER-LAMBERT               COMMON STOCK    934488107    1,186,312.50       17,100.00         X              1     X
WASTE MANAGEMENT INC         COMMON STOCK    94106L109      553,625.00       10,300.00         X              1     X
WELLS FARGO & CO (NEW)       COMMON STOCK    949746101    1,278,225.00       29,900.00         X              1     X
WENDYS FINANCING SERIES A    REDEEMABLE P/S  950588202    2,268,750.00       37,500.00         X              1     X
WENDY'S INTL                 COMMON STOCK    950590109      263,306.25        9,300.00         X              1     X
XEROX                        COMMON STOCK    984121103      549,281.25        9,300.00         X              1     X
XILINX, INC.                 COMMON STOCK    983919101      486,625.00        8,500.00         X              1     X
YORK INTERNATIONAL           COMMON STOCK    986670107      655,031.25       15,300.00         X              1     X
ADT OPERATIONS INC CONV      DEBT            000945AC9   16,802,500.00    7,150,000.00         X              1     X
ALZA CORP CONV               DEBT            022615AD0   19,320,000.00   14,000,000.00         X              1     X
AMERICAN GENERAL DEL         DEBT            02637G200   10,810,000.00   11,500,000.00         X              1     X
ATHENA NEUROSCIENCES INC     DEBT            046854AA3    5,512,500.00    5,250,000.00         X              1     X
AUTOMATIC DATA PROCESSING    DEBT            053015AC7    7,222,500.00    6,750,000.00         X              1     X
BAKER HUGHES                 DEBT            057224AH0    3,000,000.00    4,000,000.00         X              1     X
COSTCO                       DEBT            22160QAC6   11,280,000.00   12,000,000.00         X              1     X
DIAMOND OFFSHORE CONV        DEBT            25271CAA0   19,502,000.00   19,900,000.00         X              1     X
FRANCE TELECOM CONV          DEBT            35177QAB1            0.00       95,000.00         X              1     X
HEWLETT PACKARD CO CONV      DEBT            428236AA1    9,100,000.00   14,000,000.00         X              1     X
HEWLETT PACKARD CO CONV      DEBT            428236AC7   11,160,000.00   18,000,000.00         X              1     X
HILTON HOTELS CORP CONV      DEBT            432848AL3    9,476,000.00   10,300,000.00         X              1     X
HOME DEPOT INC CONV          DEBT            437076AE2   44,043,000.00   15,900,000.00         X              1     X
INCO LTD CONV                DEBT            453258AH8    3,631,500.00    4,035,000.00         X              1     X
INCO LTD CONV                DEBT            453258AK1    3,185,000.00    3,500,000.00         X              1     X
INTERPUBLIC GRP              DEBT            460690AG5            0.00    1,000,000.00         X              1     X
KONINKLIJKE AHOL             DEBT            500467AA3    1,983,801.60    1,599,840.00         X              1     X
MAGNA INTL INC CONV          DEBT            559222AE4    5,450,000.00    5,000,000.00         X              1     X
MAGNA INTL INC CONV          DEBT            559222AF1    6,762,000.00    6,900,000.00         X              1     X
MAGNA INTL INC CONV          DEBT            559222AG6    2,205,000.00    2,250,000.00         X              1     X
MUTUAL RISK MGMT LTD CONV    DEBT            628351AA6    5,074,370.00    7,147,000.00         X              1     X
NABORS INDS INC CONV         DEBT            629568AA4    5,092,000.00    3,800,000.00         X              1     X
OFFICE DEPOT                 DEBT            676220AB2    4,920,000.00    6,000,000.00         X              1     X
OGDEN CORP CONV              DEBT            676346AD1    5,580,000.00    6,000,000.00         X              1     X
OMNICOM GROUP CONV           DEBT            681919AC0    2,530,000.00    1,000,000.00         X              1     X
OMNICOM GROUP CONV           DEBT            681919AE6    3,795,000.00    1,500,000.00         X              1     X
POTOMAC ELEC PWR CONV        DEBT            737679BT6    4,557,000.00    4,650,000.00         X              1     X
ROBBINS & MYERS INC CONV     DEBT            770196AA1    1,861,200.00    1,880,000.00         X              1     X
ST PAUL CAPITAL CONV         DEBT            792856205    5,251,000.00    8,900,000.00         X              1     X
THERMO ELECTRON CORP CONV    DEBT            883556AF9    7,425,000.00    8,250,000.00         X              1     X
THERMO INSTR INC CONV        DEBT            883559AC0    4,450,000.00    5,000,000.00         X              1     X
THERMO INSTR INC CONV        DEBT            883559AE6    2,075,000.00    2,500,000.00         X              1     X
THERMO OPTEK CORP CONV       DEBT            883582AA6    1,044,450.00    1,055,000.00         X              1     X
THERMOQUEST CORP CONV        DEBT            883655AA0    1,024,100.00    1,045,000.00         X              1     X
UNITED STATES CELLULAR       DEBT            911684AA6    4,750,000.00    9,500,000.00         X              1     X
WMX TECHNOLOGIES INC CONV    DEBT            92929QAF4   14,660,500.00   13,450,000.00         X              1     X
XEROX CREDIT CONV            DEBT            984121BB8            0.00    3,750,000.00         X              1     X
XEROX CREDIT CORP NEW        DEBT            984121AY9    3,150,000.00    5,000,000.00         X              1     X
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