ALLSTATE LIFE INSURANCE CO
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 LIFE INSURANCE COMPANY
--------------------------------------------------------------------------------
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 11 DAY OF FEBRUARY, 2000.


                                      ALLSTATE LIFE INSURANCE COMPANY
                                      ------------------------------------------
                                      (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 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>
3 COM                        COMMON STOCK    885535104       299,650           5,200           X              1     X
ABBOTT LABS                  COMMON STOCK    002824100     1,091,781          24,500           X              1     X
ADOBE SYSTEMS INC            COMMON STOCK    00724F101       234,000           1,800           X              1     X
AES CORP                     COMMON STOCK    00130H105       392,375           8,600           X              1     X
ALBERTSON'S                  COMMON STOCK    013104104       208,378           6,267           X              1     X
ALLAMERICA FINC. CORP        COMMON STOCK    019754100       288,063           5,500           X              1     X
ALLTEL                       COMMON STOCK    020039103       408,788           6,600           X              1     X
ALTERA                       COMMON STOCK    021441100       295,619           2,900           X              1     X
ALUMINUM CO OF AMERICA       COMMON STOCK    013817101       448,688          15,472           X              1     X
AMERICA ON-LINE              COMMON STOCK    02364J104     2,310,450          43,800           X              1     X
AMERICAN EXPRESS             COMMON STOCK    025816109     1,334,400          25,600           X              1     X
AMERICAN FINANCIAL           COMMON STOCK    025932104       295,269          11,900           X              1     X
AMERICAN GENERAL             COMMON STOCK    026351106       603,900           9,900           X              1     X
AMERICAN HOME PRODUCTS       COMMON STOCK    026609107     1,415,875          24,100           X              1     X
AMERICAN INTL                COMMON STOCK    026874107     3,258,980          27,736           X              1     X
AMERICAN STANDARD COMPANI    COMMON STOCK    029712106       598,600          14,600           X              1     X
AMGEN                        COMMON STOCK    031162100     1,412,025          20,100           X              1     X
ANALOG DEVICES               COMMON STOCK    032654105       539,600           7,100           X              1     X
APPLE COMPUTER               COMMON STOCK    037833100       382,338           7,300           X              1     X
APPLIED MATERIALS            COMMON STOCK    038222105     1,277,813          14,100           X              1     X
APPLIED MICRO CIRCUITS CO    COMMON STOCK    03822W109       227,125           2,300           X              1     X
ARCHER-DANIELS-MIDLAND       COMMON STOCK    039483102       192,276          19,595           X              1     X
ASSOCIATES FIRST CAPITAL     COMMON STOCK    046008108       361,641          16,208           X              1     X
AT & T                       COMMON STOCK    001957109     2,094,840          66,240           X              1     X
ATMEL CORP                   COMMON STOCK    049513104       324,500           8,800           X              1     X
AUTOMATIC DATA PROCESSING    COMMON STOCK    053015103       498,131           9,300           X              1     X
BANK OF AMERICA CORP         COMMON STOCK    060505104     1,300,062          30,234           X              1     X
BANK OF NEW YORK             COMMON STOCK    064057102       716,100          15,400           X              1     X
BANK ONE CORPORATION         COMMON STOCK    06423A103       451,563          17,000           X              1     X
BARNES & NOBLE               COMMON STOCK    067774109       482,825          21,700           X              1     X
BAXTER INTL                  COMMON STOCK    071813109       447,994           6,371           X              1     X
BELLSOUTH                    COMMON STOCK    079860102     1,368,263          32,100           X              1     X
BEST BUY                     COMMON STOCK    086516101       278,300           4,400           X              1     X
BESTFOODS INC                COMMON STOCK    08658U101       283,925           4,100           X              1     X
BJ SERVICES                  COMMON STOCK    055482103       812,500          13,000           X              1     X
BOEING                       COMMON STOCK    097023105       744,263          17,800           X              1     X
BP AMOCO PLC                 COMMON STOCK    055622104     4,219,563          74,600           X              1     X
                              FOREIGN
BRISTOL-MYERS-SQUIBB         COMMON STOCK    110122108     2,149,425          36,900           X              1     X
BURLINGTON RESOURCES         COMMON STOCK    122014103       623,475          16,300           X              1     X
</TABLE>
<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>
C I G N A                    COMMON STOCK    125509109       448,800           4,800           X              1     X
CARDINAL HEALTH              COMMON STOCK    14149Y108       466,200           6,300           X              1     X
CENDANT COPORATION           COMMON STOCK    151313103       149,800          10,700           X              1     X
CHASE MANHATTAN CORP NEW     COMMON STOCK    16161A108     1,121,622          24,350           X              1     X
CHEVRON                      COMMON STOCK    166751107     1,000,788          11,800           X              1     X
CINCINNATI FINL CORP         COMMON STOCK    172062101     1,741,638          55,400           X              1     X
CISCO SYSTEMS, INC.          COMMON STOCK    17275R102     7,754,626         122,000           X              1     X
CITIGROUP INC                COMMON STOCK    172967101     3,592,406          59,625           X              1     X
CITIZENS UTILITIES 5.0% C    REDEEMABLE P/S  177351202     5,435,478          80,675           X              1     X
CLEAR CHANNEL COMMUNICATI    COMMON STOCK    184502102       442,500           5,900           X              1     X
COCA-COLA                    COMMON STOCK    191216100     2,624,894          45,700           X              1     X
COLGATE-PALMOLIVE            COMMON STOCK    194162103       616,713          10,300           X              1     X
COLUMBIA HEALTHCARE          COMMON STOCK    404119109     1,319,855          43,452           X              1     X
COMCAST CLASS A SPECIAL      COMMON STOCK    200300200       595,350          14,700           X              1     X
COMPAQ COMPUTER              COMMON STOCK    204493100       812,888          31,800           X              1     X
COMPUTER ASSOCIATES INTL     COMMON STOCK    204912109       435,094           8,500           X              1     X
COMVERSE TECHNOLOGY          COMMON STOCK    205862402       344,100           3,700           X              1     X
CORNING                      COMMON STOCK    219350105     9,499,600          35,200           X              1     X
CVS CORP                     COMMON STOCK    126650100       232,000           5,800           X              1     X
CYPRESS SEMICONDUCTOR        COMMON STOCK    232806109       240,825           5,700           X              1     X
DEERE                        COMMON STOCK    244199105       259,000           7,000           X              1     X
DELL COMNPUTER               COMMON STOCK    247025109     2,233,857          45,300           X              1     X
DISNEY (WALT)                COMMON STOCK    254687106     1,509,806          38,900           X              1     X
DOW CHEMICAL                 COMMON STOCK    260543103       362,250          12,000           X              1     X
DU PONT DE NEMOURS           COMMON STOCK    263534109       801,850          18,328           X              1     X
DUKE ENERGY CORP             COMMON STOCK    264399106       304,425           5,400           X              1     X
E M C                        COMMON STOCK    268648102     2,908,238          37,800           X              1     X
EASTMAN KODAK                COMMON STOCK    277461109       273,700           4,600           X              1     X
EDWARDS (AG)                 COMMON STOCK    281760108       374,400           9,600           X              1     X
EL PASO ENERGY CAPITAL TR    NON-REDEEM P/S  283678209     7,525,438         116,900           X              1     X
ELECTRONIC DATA SYSTEMS      COMMON STOCK    285661104       350,625           8,500           X              1     X
EMERSON ELEC                 COMMON STOCK    291011104       531,300           8,800           X              1     X
ENRON                        COMMON STOCK    293561106     4,540,800          70,400           X              1     X
EVI INC 5.0% CONVERTIBLE     REDEEMABLE P/S  268939402     8,280,000         180,000           X              1     X
EXXON                        COMMON STOCK    30231G102     4,920,223          62,678           X              1     X
FAMILY DOLLAR STORES         COMMON STOCK    307000109     1,060,288          54,200           X              1     X
FEDERAL NAT'L MORT. ASSOC    COMMON STOCK    313586109       934,156          17,900           X              1     X
FEDERATED DEPARTMENT STOR    COMMON STOCK    31410H101       205,875           6,100           X              1     X
FIFTH THIRD BANCORP          COMMON STOCK    316773100       290,950           4,600           X              1     X
</TABLE>
<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>
FIRST DATA                   COMMON STOCK    319963104       506,175          10,200           X              1     X
FIRST UNION                  COMMON STOCK    337358105       364,744          14,700           X              1     X
FIRSTAR CORPORATION          COMMON STOCK    33763V109       366,488          17,400           X              1     X
FLEET BOSTON FINANCIAL CO    COMMON STOCK    339030108       512,856          15,084           X              1     X
FORD MOTOR                   COMMON STOCK    345370100       924,500          21,500           X              1     X
FOREST LABS                  COMMON STOCK    345838106       727,200           7,200           X              1     X
FREDDIE MAC                  COMMON STOCK    313400301       506,250          12,500           X              1     X
G T E                        COMMON STOCK    362320103       728,325          11,700           X              1     X
GANNETT                      COMMON STOCK    364730101       245,231           4,100           X              1     X
GAP STORES                   COMMON STOCK    364760108       393,750          12,600           X              1     X
GATEWAY INC                  COMMON STOCK    367626108       357,525           6,300           X              1     X
GENERAL ELECTRIC             COMMON STOCK    369604103     9,296,200         175,400           X              1     X
GENERAL MOTORS               COMMON STOCK    370442105       574,819           9,900           X              1     X
GILLETTE                     COMMON STOCK    375766102       653,331          18,700           X              1     X
GLOBAL CROSSING LTD          COMMON STOCK    G3921A100       325,354          12,365           X              1     X
GLOBAL MARINE                COMMON STOCK    379352404       893,544          31,700           X              1     X
GUIDANT                      COMMON STOCK    401698105       232,650           4,700           X              1     X
HALLIBURTON                  COMMON STOCK    406216101       330,313           7,000           X              1     X
HEINZ                        COMMON STOCK    423074103       227,500           5,200           X              1     X
HELMERICH & PAYNE            COMMON STOCK    423452101       399,913          10,700           X              1     X
HEWLETT-PACKARD              COMMON STOCK    428236103     2,235,263          17,900           X              1     X
HOME DEPOT                   COMMON STOCK    437076102     2,072,406          41,500           X              1     X
HONEYWELL INTERNATIONAL I    COMMON STOCK    438516106       526,771          15,637           X              1     X
HOUSEHOLD INTL               COMMON STOCK    441815107       290,938           7,000           X              1     X
HUBBELL, CL B                COMMON STOCK    443510201       374,850          14,700           X              1     X
ICN PHARMACEUTICALS          COMMON STOCK    448924100       447,781          16,100           X              1     X
ILLINOIS TOOL WORKS          COMMON STOCK    452308109       376,200           6,600           X              1     X
INCYTE GENOMICS INC.         COMMON STOCK    45337C102       452,031           5,500           X              1     X
INTEL                        COMMON STOCK    458140100     7,874,194          58,900           X              1     X
INTL BUSINESS MACHINES       COMMON STOCK    459200101     3,506,000          32,000           X              1     X
INTL PAPER                   COMMON STOCK    460146103       202,636           6,797           X              1     X
INTUIT INC                   COMMON STOCK    461202103       388,925           9,400           X              1     X
IVAX CORP                    COMMON STOCK    465823102       522,900          12,600           X              1     X
JABIL CIRCUIT INC            COMMON STOCK    466313103       535,950          10,800           X              1     X
JOHNSON & JOHNSON            COMMON STOCK    478160104     2,689,500          26,400           X              1     X
KEEBLER FOODS CO             COMMON STOCK    487256109     1,754,305          47,254           X              1     X
KIMBERLY-CLARK               COMMON STOCK    494368103       671,288          11,700           X              1     X
KLA-TENCOR CORP              COMMON STOCK    482480100       228,394           3,900           X              1     X
KOHLS CORP                   COMMON STOCK    500255104       272,563           4,900           X              1     X
</TABLE>
<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>
KROGER                       COMMON STOCK    501044101       282,400          12,800           X              1     X
L S I LOGIC                  COMMON STOCK    502161102       259,800           4,800           X              1     X
LEGG MASON                   COMMON STOCK    524901105       560,000          11,200           X              1     X
LEHMAN BROS HOLDING          COMMON STOCK    524908100       765,956           8,100           X              1     X
LEXMARK INTERNATIONAL INC    COMMON STOCK    529771107       221,925           3,300           X              1     X
LILLY (ELI)                  COMMON STOCK    532457108     1,887,638          18,900           X              1     X
LINEAR TECH                  COMMON STOCK    535678106       287,719           4,500           X              1     X
LITTON INDUSTRIES            COMMON STOCK    538021106       579,600          13,800           X              1     X
LOCKHEED MARTIN              COMMON STOCK    539830109       287,825          11,600           X              1     X
LOWE'S                       COMMON STOCK    548661107       234,056           5,700           X              1     X
LUCENT TECHNOLOGIES INC      COMMON STOCK    549463107     3,431,878          57,922           X              1     X
MARSH & MC LENNAN            COMMON STOCK    571748102       616,181           5,900           X              1     X
MAXIM INTEGRATED PRODUCTS    COMMON STOCK    57772K101       278,544           4,100           X              1     X
MBNA CORP                    COMMON STOCK    55262L100       444,850          16,400           X              1     X
MCDONALD'S                   COMMON STOCK    580135101       800,381          24,300           X              1     X
MEDIAONE GROUP               COMMON STOCK    58440J104       306,475           4,600           X              1     X
MEDIMMUNE INC                COMMON STOCK    584699102       799,200          10,800           X              1     X
MEDTRONICS                   COMMON STOCK    585055106     1,075,950          21,600           X              1     X
MELLON BANK                  COMMON STOCK    58551A108       269,638           7,400           X              1     X
MERCK                        COMMON STOCK    589331107     3,333,188          43,500           X              1     X
MERRILL LYNCH                COMMON STOCK    590188108       805,000           7,000           X              1     X
MICRON TECH                  COMMON STOCK    595112103       713,306           8,100           X              1     X
MICROSOFT                    COMMON STOCK    594918104     7,504,000          93,800           X              1     X
MINNESOTA MNG & MFG          COMMON STOCK    604059105       618,750           7,500           X              1     X
MORGAN (J.P.)                COMMON STOCK    616880100       264,300           2,400           X              1     X
MORGAN STANLEY DEAN WITTE    COMMON STOCK    617446448     1,673,325          20,100           X              1     X
MOTOROLA                     COMMON STOCK    620076109     2,439,971          83,956           X              1     X
NABORS INDUSTRIES            COMMON STOCK    629568106       764,750          18,400           X              1     X
NATIONAL AUSTRALIA BANK 7    NON-REDEEM P/S  632525309     1,132,500          40,000           X              1     X
NATIONWIDE FINANCIAL         COMMON STOCK    638612101       279,438           8,500           X              1     X
NEXTEL COMMUNICATIONS INC    COMMON STOCK    65332V103       777,081          12,700           X              1     X
NIAGARA MOHAWK HOLDINGS I    COMMON STOCK    653520106       153,313          11,000           X              1     X
NOBLE AFFILIATES             COMMON STOCK    654894104       566,200          15,200           X              1     X
NOBLE DRILLING               COMMON STOCK    655042109       333,619           8,100           X              1     X
NORTEL NETWORKS CORP         COMMON STOCK    656568102     3,528,525          51,700           X              1     X
                              FOREIGN
NORTHERN TRUST               COMMON STOCK    665859104       214,706           3,300           X              1     X
OCEAN ENERGY INC             COMMON STOCK    67481E106       598,713          42,200           X              1     X
OMNICOM GROUP                COMMON STOCK    681919106       418,594           4,700           X              1     X
ORACLE SYSTEMS               COMMON STOCK    68389X105     4,203,125          50,000           X              1     X
</TABLE>
<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>
PARKER DRILLING              COMMON STOCK    701081101       180,056          29,100           X              1     X
PAYCHEX                      COMMON STOCK    704326107       229,950           5,475           X              1     X
PE CORP - PE BIOSYSTEMS G    COMMON STOCK    69332S102       270,088           4,100           X              1     X
PECO ENERGY CO               COMMON STOCK    693304107       225,750           5,600           X              1     X
PEPSICO                      COMMON STOCK    713448108     1,253,137          28,200           X              1     X
PFIZER                       COMMON STOCK    717081103     5,395,200         112,400           X              1     X
PNC FINANCIAL SERVICES GR    COMMON STOCK    693475105       398,438           8,500           X              1     X
PRECISION CASTPARTS          COMMON STOCK    740189105       325,800           7,200           X              1     X
PROCTER & GAMBLE             COMMON STOCK    742718109     1,374,000          24,000           X              1     X
PROTECTIVE LIFE CORP         COMMON STOCK    743674103       431,325          16,200           X              1     X
QUALCOM                      COMMON STOCK    747525103       774,000          12,900           X              1     X
RATIONAL SOFTWARE CORP       COMMON STOCK    75409P202       594,800           6,400           X              1     X
READERS DIGEST               COMMON STOCK    755267101     1,415,100          35,600           X              1     X
REYNOLDS & REYNOLDS          COMMON STOCK    761695105       379,600          20,800           X              1     X
ROYAL DUTCH PETROLEUM        COMMON STOCK    780257804     2,364,000          38,400           X              1     X
                              FOREIGN
S C I SYSTEMS                COMMON STOCK    783890106       301,744           7,700           X              1     X
SAFEWAY INC                  COMMON STOCK    786514208       428,688           9,500           X              1     X
SARA LEE                     COMMON STOCK    803111103       254,925          13,200           X              1     X
SBC COMMUNICATIONS           COMMON STOCK    78387G103     2,529,001          58,474           X              1     X
SCHERING-PLOUGH              COMMON STOCK    806605101     1,484,700          29,400           X              1     X
SCHLUMBERGER                 COMMON STOCK    806857108       694,013           9,300           X              1     X
SCHWAB CHARLES CORP NEW      COMMON STOCK    808513105       770,013          22,900           X              1     X
SCIENTIFIC-ATLANTA           COMMON STOCK    808655104       275,650           3,700           X              1     X
SEARS ROEBUCK                COMMON STOCK    812387108       411,075          12,600           X              1     X
SEPRACOR INC                 COMMON STOCK    817315104       494,563           4,100           X              1     X
SIEBEL SYSTEMS INC           COMMON STOCK    826170102       474,331           2,900           X              1     X
SIMON PROPERTY GROUP 6.5%    NON-REDEEM P/S  828806406     3,331,250          50,000           X              1     X
SNAP-ON                      COMMON STOCK    833034101       694,913          26,100           X              1     X
SOLECTRON CORP               COMMON STOCK    834182107       372,688           8,900           X              1     X
SOUTHERN                     COMMON STOCK    842587107       352,019          15,100           X              1     X
SPDR S&P DEP RCPT TRADES     COMMON STOCK    78462F103    37,773,138         260,000           X              1     X
SPRINT                       COMMON STOCK    852061100       765,000          15,000           X              1     X
SPRINT CORP (PCS GROUP)      COMMON STOCK    852061506       910,350          15,300           X              1     X
STATE STREET CORP            COMMON STOCK    857477103       413,644           3,900           X              1     X
STRYKER                      COMMON STOCK    863667101       678,125          15,500           X              1     X
SUN MICROSYSTEMS             COMMON STOCK    866810104     2,504,783          27,544           X              1     X
SUNTRUST BANKS               COMMON STOCK    867914103       210,163           4,600           X              1     X
SUPER VALU STORES            COMMON STOCK    868536103       501,458          26,306           X              1     X
SYMBOL TECH                  COMMON STOCK    871508107       307,800           5,700           X              1     X
</TABLE>
<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>
SYSCO                        COMMON STOCK    871829107       206,413           4,900           X              1     X
TARGET CORP                  COMMON STOCK    87612E106       504,600           8,700           X              1     X
TELLABS                      COMMON STOCK    879664100       568,031           8,300           X              1     X
TENET HEALTHCARE             COMMON STOCK    88033G100       672,300          24,900           X              1     X
TEXACO                       COMMON STOCK    881694103       633,675          11,900           X              1     X
TEXAS INSTRUMENTS            COMMON STOCK    882508104     1,964,463          28,600           X              1     X
TIME WARNER                  COMMON STOCK    887315109     1,672,000          22,000           X              1     X
TORCHMARK                    COMMON STOCK    891027104       501,156          20,300           X              1     X
TYCO INTERNATIONAL           COMMON STOCK    902124106     1,418,881          29,950           X              1     X
UNILEVER N.V.                COMMON STOCK    904784709       400,975           9,325           X              1     X
                              FOREIGN
UNITED TECH                  COMMON STOCK    913017109       571,088           9,700           X              1     X
UNITEDHEALTH GROUP INC       COMMON STOCK    91324P102       205,800           2,400           X              1     X
US BANCORP                   COMMON STOCK    902973106       213,675          11,100           X              1     X
US WEST                      COMMON STOCK    91273H101       728,875           8,500           X              1     X
USX-MARATHON GROUP           COMMON STOCK    902905827       245,613           9,800           X              1     X
UTILICORP UNITED             COMMON STOCK    918005109       473,025          23,800           X              1     X
VERITAS SOFTWARE CORP        COMMON STOCK    923436109       779,808           6,900           X              1     X
VERIZON COMMUNICATIONS       COMMON STOCK    92343V104     1,351,104          26,590           X              1     X
VIACOM -CL B                 COMMON STOCK    925524308     1,860,087          27,279           X              1     X
VIAD CORP                    COMMON STOCK    92552R109       667,625          24,500           X              1     X
VITESSE SEMICONDUCTOR        COMMON STOCK    928497106       662,063           9,000           X              1     X
WADDELL & REED FINANCIAL     COMMON STOCK    930059100       600,469          18,300           X              1     X
WALGREEN                     COMMON STOCK    931422109       624,438          19,400           X              1     X
WAL-MART STORES              COMMON STOCK    931142103     4,569,663          79,300           X              1     X
WASHINGTON MUTUAL            COMMON STOCK    939322103       401,363          13,900           X              1     X
WEATHERFORD INTERNATIONAL    COMMON STOCK    947074100       477,750          12,000           X              1     X
WELLS FARGO & CO (NEW)       COMMON STOCK    949746101     1,030,750          26,600           X              1     X
WILLIAMS                     COMMON STOCK    969457100       279,306           6,700           X              1     X
WORLDCOM INC.                COMMON STOCK    98157D106     2,265,124          49,376           X              1     X
XEROX                        COMMON STOCK    984121103     1,021,938          49,250           X              1     X
XILINX, INC.                 COMMON STOCK    983919101       561,425           6,800           X              1     X

ADT OPERATIONS INC CONV      DEBT            000945AC9    15,041,813       5,850,000           X              1     X
ALZA CORP CONV               DEBT            022615AD0    71,946,394      46,305,000           X              1     X
AMERICAN GEN DEL CONV        DEBT            02637G200    22,629,000      29,775,000           X              1     X
AMERICAN INTERNATIONAL GR    DEBT            026874AN7    18,045,000      18,000,000           X              1     X
ANADARKO PETROLEUM CORP      DEBT            032511AP2    15,600,000      24,000,000           X              1     X
ATHENA NEUROSCIENCES INC.    DEBT            046854AA3     4,207,500       3,000,000           X              1     X
ATHENA                       DEBT            046854AB1    11,781,000       8,400,000           X              1     X
</TABLE>
<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>
AUTOMATIC DATA PROCESSING    DEBT            053015AC7    15,535,313      10,950,000           X              1     X
BELL ATLANTIC FINL SVCS I    DEBT            07785GAB6     5,223,750       5,250,000           X              1     X
BELL ATLANTIC FINL SVCS I    DEBT            07785GAC4     3,892,500       3,000,000           X              1     X
BERKSHIRE HATHAWAY INC DE    DEBT            084670AF5    15,075,188       5,550,000           X              1     X
CUC INTL INC                 DEBT            126545AD4    29,865,000      33,000,000           X              1     X
CENTOCOR INC.                DEBT            152342AE1    28,323,750      21,000,000           X              1     X
CHIRON CORP CONV             DEBT            170040AB5    22,224,375      13,500,000           X              1     X
CLEAR CHANNEL COMM., INC.    DEBT            184502AB8    44,354,438      34,350,000           X              1     X
CLEAR CHANNEL COMMUNICATI    DEBT            184502AE2    41,827,500      42,900,000           X              1     X
COSTCO                       DEBT            22160QAC6    30,789,094      37,605,000           X              1     X
COX COMMUNICATIONS           DEBT            224044AW7    10,906,875      10,500,000           X              1     X
Cox Comm.                    DEBT            224044AX5    49,530,000      95,250,000           X              1     X
DEUTSCHE BANK FINANCIAL      DEBT            25153EBE0    49,252,500      33,000,000           X              1     X
DEVON ENERGY CORP            DEBT            25179MAA1     7,765,875       8,100,000           X              1     X
DEVON ENERGY CORP.           DEBT            25179MAB9    39,983,108      41,922,000           X              1     X
DEVON ENERGY                 DEBT            25179MAC7    14,561,250      33,000,000           X              1     X
DIAMOND OFFSHORE CONV        DEBT            25271CAA0    53,223,750      51,300,000           X              1     X
DIAMOND OFFSHORE             DEBT            25271CAB8    18,086,250      39,000,000           X              1     X
ELAN INTL FIN CONV           DEBT            284129AA1    43,800,000      60,000,000           X              1     X
ELAN FINANCE                 DEBT            284129AC7    23,652,000      32,400,000           X              1     X
GLOBAL MARINE                DEBT            379352AM9    13,297,500      27,000,000           X              1     X
GOLDMAN SACHS / WELLS FAR    DEBT            38141GAB0     5,415,000       6,000,000           X              1     X
GOLDMAN SACHS  GIN-GIP       DEBT            38141GAG9     8,602,920       9,000,000           X              1     X
HD EXCHANGEABLE TRUST        DEBT            40414EAA3     5,527,500       6,000,000           X              1     X
HEALTH CARE PPTY INVS INC    DEBT            421915AC3    15,736,875      16,500,000           X              1     X
HEWLETT PACKARD CO CONV      DEBT            428236AC7    94,689,000     100,200,000           X              1     X
INTERPUBLIC GROUP            DEBT            460690AG5     7,961,250       8,250,000           X              1     X
INTERPUBLIC GROUP            DEBT            460690AJ9    13,461,750      13,950,000           X              1     X
KERR-MCGEE CORP              DEBT            492386AL1    18,445,391      19,239,000           X              1     X
KERR-MCGEE                   DEBT            492386AP2    36,955,125      32,100,000           X              1     X
KOHL'S CORP.                 DEBT            500255AG9     9,747,000      17,100,000           X              1     X
LEVEL ONE COMMUNICATIONS,    DEBT            527295AC3    27,274,388       6,330,000           X              1     X
LIBERTY MEDIA GROUP          DEBT            530715AF8    46,842,750      32,700,000           X              1     X
LIBERTY MEDIA                DEBT            530715AK7    42,168,750      39,000,000           X              1     X
LIEBERT CONV                 DEBT            531735AA6     3,368,438         750,000           X              1     X
MAGNA INTL INC CONV          DEBT            559222AE4    43,221,750      42,900,000           X              1     X
MOTOROLA CONV LIQUID YIEL    DEBT            620076AJ8     5,940,000       6,000,000           X              1     X
NABORS INDUSTRIES INC        DEBT            629568AC0     9,093,750      15,000,000           X              1     X
NEWS CORP                    DEBT            652478AS7    61,653,936      55,890,000           X              1     X
</TABLE>
<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>
OMNICOM GROUP INC            DEBT            681919AG1    48,464,063      26,250,000           X              1     X
POTOMAC ELEC PWR CO          DEBT            737679BT6     8,392,500       9,000,000           X              1     X
SCI SYSTEMS INC              DEBT            783890AF3    32,175,000      33,000,000           X              1     X
ST PAUL CAPITAL CONV.        DEBT            792856205    15,953,250      26,700,000           X              1     X
SOLECTRON CORP.              DEBT            834182AG2    43,962,188      65,250,000           X              1     X
SOLECTRON                    DEBT            834182AJ6    18,696,563      27,750,000           X              1     X
SOLECTRON CORP               DEBT            834182AK3   101,115,000     160,500,000           X              1     X
THERMO ELECTRON CORP CONV    DEBT            883556AF9    22,739,063      24,750,000           X              1     X
THERMO INSTR SYS INC CONV    DEBT            883559AC0    13,331,250      15,000,000           X              1     X
THERMO INSTR SYS INC., CO    DEBT            883559AE6     9,016,875      10,500,000           X              1     X
TIMES MIRROR CO.             DEBT            887364AE7    17,521,875      31,500,000           X              1     X
TRANSOCEAN SEDCO FOREX       DEBT            893830AA7    23,740,500      39,900,000           X              1     X
U S CELLULAR CORP CONV       DEBT            911684AA6    25,195,380      42,168,000           X              1     X
UNIVERSAL HEALTH SERVICES    DEBT            913903AJ9     9,460,500      20,400,000           X              1     X
WEATHERFORD INTERNATIONAL    DEBT            947074AA8    13,642,500      25,500,000           X              1     X
WELLPOINT                    DEBT            94973HAA6    18,389,625      26,700,000           X              1     X
XEROX CREDIT CORP., CONVE    DEBT            984121AY9     1,890,000       3,600,000           X              1     X
XEROX                        DEBT            984121BB8    13,623,750      25,950,000           X              1     X
YOUNG & RUBICAM              DEBT            987425AA3     6,082,500       6,000,000           X              1     X
SWISS LIFE FIN.              DEBT            CP5026911     5,947,800       6,000,000           X              1     X
TECNOST INTL                 DEBT            EC1437234         3,325           3,306           X              1     X
SWISS LIFE FINANCE LTD       DEBT            VV3084256     9,016,650       9,000,000           X              1     X
</TABLE>


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