VARIABLE INSURANCE PRODUCTS FUND
NSAR-B, 1999-03-01
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<PAGE>      PAGE  1
000 B000000 12/31/98
000 C000000 0000356494
000 D000000 N
000 E000000 NF
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000 I000000 3.0.a
000 J000000 A
001 A000000 VARIABLE INSURANCE PRODUCTS FUND
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002 A000000 82 DEVONSHIRE STREET
002 B000000 BOSTON
002 C000000 MA
002 D010000 02109
003  000000 N
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007 C010100  1
007 C020100 MONEY MARKET PORTFOLIO
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007 C010200  2
007 C020200 HIGH INCOME PORTFOLIO
007 C030200 N
007 C010300  3
007 C020300 EQUITY-INCOME PORTFOLIO
007 C030300 N
007 C010400  4
007 C020400 GROWTH PORTFOLIO
007 C030400 N
007 C010500  5
007 C020500 OVERSEAS PORTFOLIO
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<PAGE>      PAGE  2
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011 A00AA01 FIDELITY DISTRIBUTORS CORPORATION
011 B00AA01 8-8775
011 C01AA01 BOSTON
011 C02AA01 MA
011 C03AA01 02109
012 A00AA01 FIDELITY INVESTMENTS INST'L. OPERATIONS CO.
012 B00AA01 84-00216
012 C01AA01 BOSTON
012 C02AA01 MA
012 C03AA01 02109
012 C02AA04 .
014 A00AA01 FIDELITY BROKERAGE SERVICES, INC.
014 B00AA01 8-23292
014 A00AA02 FIDELITY DISTRIBUTORS CORPORATION
014 B00AA02 8-8775
014 A00AA03 FIDELITY BROKERAGE SERVICES, LTD.
014 B00AA03 8-0000
014 A00AA04 FIDELITY INVESTMENTS INSTITUTIONAL SVCS. CO.
014 B00AA04 8-0000
014 A00AA05 NATIONAL FINANCIAL SERVICES CORPORATION
014 B00AA05 8-26740
018  00AA00 Y
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020 A000001 FIDELITY BROKERAGE SERVICES, INC
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020 A000002 GOLDMAN SACHS & CO.
020 B000002 13-5108880
020 C000002   1981
020 A000003 MERRILL LYNCH, PIERCE, FENNER & SMITH, INC.
020 B000003 13-5674085
020 C000003   1523
020 A000004 MORGAN STANLEY & CO., INC.
020 B000004 13-2655998
020 C000004   1513
020 A000005 CREDIT SUISSE FIRST BOSTON CORP.
020 B000005 13-5659485
020 C000005   1243
<PAGE>      PAGE  3
020 A000006 NATIONSBANC MONTGOMERY SECURITIES CORP.
020 B000006 75-0520130
020 C000006   1203
020 A000007 BT ALEX BROWN, INC.
020 B000007 52-0256630
020 C000007   1127
020 A000008 DONALDSON LUFKIN & JENRETTE SECURITIES CORP.
020 B000008 13-2741729
020 C000008   1102
020 A000009 SCHRODER & CO., INC
020 B000009 13-2697272
020 C000009   1079
020 A000010 DEUTSCHE BANK SECURITIES INC.
020 B000010 13-2730828
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022 A000001 TAXABLE CENTRAL CASH FUND
022 B000001 04-3331103
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022 A000002 GOLDMAN SACHS & CO.
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022 C000004   1156063
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022 A000005 DONALDSON, LUFKIN & JENRETTE SECURITIES CORP.
022 B000005 13-2741729
022 C000005    716548
022 D000005    459738
022 A000006 SMITH BARNEY INC.
022 B000006 13-1912900
022 C000006    554783
022 D000006    428506
022 A000007 LEHMAN BROTHERS INC.
022 B000007 13-2518466
022 C000007    766245
022 D000007    158314
022 A000008 CONTRAFUND INC.
022 B000008 04-6056833
022 C000008    490983
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022 A000009 DEUTSCH BANK SECURITIES INC.
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022 C000009    554114
<PAGE>      PAGE  4
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<PAGE>      PAGE  6
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<PAGE>      PAGE  7
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<PAGE>      PAGE  8
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<PAGE>      PAGE  9
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<PAGE>      PAGE  10
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<PAGE>      PAGE  11
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008 D030201 02109
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008 A000203 FIDELITY MANAGEMENT & RESEARCH (FAR EAST) INC
008 B000203 S
008 C000203 801-28774
008 D010203 TOKYO
008 D050203 JAPAN
013 A000201 PRICEWATERHOUSECOOPERS LLP
013 B010201 BOSTON
013 B020201 MA
013 B030201 02109
015 A000201 THE BANK OF NEW YORK
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015 C020201 NY
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<PAGE>      PAGE  12
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013 A000301 PRICEWATERHOUSECOOPERS LLP
013 B010301 BOSTON
013 B020301 MA
013 B030301 02109
015 A000301 THE CHASE MANHATTAN BANK, N.A.
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<PAGE>      PAGE  16
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<PAGE>      PAGE  17
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070 R020300 N
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072 A000300 12
072 B000300    26134
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<PAGE>      PAGE  19
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076  000300     0.00
008 A000401 FIDELITY MANAGEMENT & RESEARCH COMPANY
008 B000401 A
<PAGE>      PAGE  20
008 C000401 801-7884
008 D010401 BOSTON
008 D020401 MA
008 D030401 02109
013 A000401 PRICEWATERHOUSECOOPERS LLP
013 B010401 BOSTON
013 B020401 MA
013 B030401 02109
015 A000401 BROWN BROTHERS HARRIMAN & CO.
015 B000401 C
015 C010401 BOSTON
015 C020401 MA
015 C030401 02109
015 E010401 X
024  000400 Y
025 A000401 TAXABLE CENTRAL CASH FUND
025 B000401 04-3331103
025 C000401 D
025 D000401  976066
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025 D000403       0
025 D000404       0
025 D000405       0
025 D000406       0
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025 D000408       0
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028 D030400         0
028 D040400    196145
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028 E040400     88163
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028 F040400    207931
028 G010400   1418828
<PAGE>      PAGE  21
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042 C000400 100
042 D000400   0
042 E000400   0
042 F000400   0
042 G000400   0
042 H000400   0
043  000400     50
044  000400   4961
049  000400 N
050  000400 N
051  000400 N
052  000400 Y
053 A000400 Y
053 B000400 Y
053 C000400 N
055 A000400 N
055 B000400 N
056  000400 Y
057  000400 N
058 A000400 N
059  000400 Y
060 A000400 Y
060 B000400 Y
061  000400        0
062 A000400 N
062 B000400   0.0
062 C000400   0.0
062 D000400   0.0
062 E000400   0.0
062 F000400   0.0
062 G000400   0.0
062 H000400   0.0
062 I000400   0.0
062 J000400   0.0
062 K000400   0.0
062 L000400   0.0
062 M000400   0.0
062 N000400   0.0
062 O000400   0.0
062 P000400   0.0
062 Q000400   0.0
062 R000400   0.0
066 A000400 Y
066 B000400 N
066 C000400 N
<PAGE>      PAGE  22
066 D000400 Y
066 E000400 N
066 F000400 N
066 G000400 N
067  000400 N
068 A000400 N
068 B000400 N
069  000400 N
070 A010400 Y
070 A020400 Y
070 B010400 Y
070 B020400 N
070 C010400 Y
070 C020400 N
070 D010400 Y
070 D020400 N
070 E010400 Y
070 E020400 N
070 F010400 Y
070 F020400 N
070 G010400 Y
070 G020400 N
070 H010400 Y
070 H020400 N
070 I010400 Y
070 I020400 N
070 J010400 Y
070 J020400 N
070 K010400 Y
070 K020400 Y
070 L010400 Y
070 L020400 Y
070 M010400 Y
070 M020400 Y
070 N010400 Y
070 N020400 N
070 O010400 Y
070 O020400 Y
070 P010400 Y
070 P020400 Y
070 Q010400 N
070 Q020400 N
070 R010400 N
070 R020400 N
071 A000400  10779838
071 B000400  10692641
071 C000400   8700409
071 D000400  123
072 A000400 12
072 B000400    17425
072 C000400    61125
<PAGE>      PAGE  23
072 D000400        0
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072 F000400    53413
072 G000400        0
072 H000400        0
072 I000400     6023
072 J000400      206
072 K000400        0
072 L000400        0
072 M000400       33
072 N000400       60
072 O000400        0
072 P000400        3
072 Q000400      822
072 R000400       48
072 S000400      106
072 T000400       50
072 U000400        0
072 V000400        0
072 W000400      865
072 X000400    61629
072 Y000400     2051
072 Z000400    18972
072AA000400  1259813
072BB000400        0
072CC010400  1830052
072CC020400        0
072DD010400    39525
072DD020400       28
072EE000400  1034612
073 A010400   0.1900
073 A020400   0.1900
073 B000400   4.9700
073 C000400   0.0000
074 A000400        0
074 B000400        0
074 C000400   979066
074 D000400        0
074 E000400        0
074 F000400 10493134
074 G000400        0
074 H000400        0
074 I000400        0
074 J000400    27137
074 K000400        0
074 L000400    18173
074 M000400        0
074 N000400 11517510
074 O000400    97812
074 P000400     5279
074 Q000400        0
<PAGE>      PAGE  24
074 R010400        0
074 R020400        0
074 R030400        0
074 R040400    34453
074 S000400        0
074 T000400 11379966
074 U010400   250571
074 U020400     3037
074 V010400    44.87
074 V020400    44.82
074 W000400   0.0000
074 X000400      139
074 Y000400        0
075 A000400        0
075 B000400  9078106
076  000400     0.00
008 A000501 FIDELITY MANAGEMENT & RESEARCH COMPANY
008 B000501 A
008 C000501 801-7884
008 D010501 BOSTON
008 D020501 MA
008 D030501 02109
008 A000502 FIDELITY MANAGEMENT & RESEARCH (U.K.) INC.
008 B000502 S
008 C000502 801-28773
008 D010502 LONDON
008 D050502 ENGLAND
008 A000503 FIDELITY MANAGEMENT & RESEARCH (FAR EAST) INC
008 B000503 S
008 C000503 801-28774
008 D010503 TOKYO
008 D050503 JAPAN
008 A000504 FIDELITY INT'L INVESTMENT ADVISORS
008 B000504 S
008 C000504 801-0000
008 D010504 PEMBROKE
008 D050504 BERMUDA
008 A000505 FIDELITY INT'L INVESTMENT ADVISORS (UK) LTD.
008 B000505 S
008 C000505 801-0000
008 D010505 KENT
008 D050505 ENGLAND
013 A000501 PRICEWATERHOUSECOOPERS LLP
013 B010501 BOSTON
013 B020501 MA
013 B030501 02109
015 A000501 THE CHASE MANHATTAN BANK, N.A.
015 B000501 C
015 C010501 NEW YORK
015 C020501 NY
015 C030501 11245
<PAGE>      PAGE  25
015 E010501 X
024  000500 Y
025 A000501 TAXABLE CENTRAL CASH FUND
025 B000501 04-3331103
025 C000501 D
025 D000501  224039
025 A000502 CREDIT SUISSE GROUP
025 B000502 13-5659485
025 C000502 E
025 D000502   10039
025 D000503       0
025 D000504       0
025 D000505       0
025 D000506       0
025 D000507       0
025 D000508       0
028 A010500    149234
028 A020500         0
028 A030500         0
028 A040500    192545
028 B010500    108294
028 B020500         0
028 B030500         0
028 B040500    144384
028 C010500    168589
028 C020500         0
028 C030500         0
028 C040500    177580
028 D010500    182044
028 D020500         0
028 D030500         0
028 D040500    143946
028 E010500     82425
028 E020500         0
028 E030500         0
028 E040500    135096
028 F010500    163412
028 F020500         0
028 F030500         0
028 F040500    153610
028 G010500    853998
028 G020500         0
028 G030500         0
028 G040500    947161
028 H000500         0
042 A000500   0
042 B000500   0
042 C000500 100
042 D000500   0
042 E000500   0
042 F000500   0
<PAGE>      PAGE  26
042 G000500   0
042 H000500   0
043  000500     16
044  000500   1057
049  000500 N
050  000500 N
051  000500 N
052  000500 Y
053 A000500 Y
053 B000500 Y
053 C000500 N
055 A000500 N
055 B000500 N
056  000500 Y
057  000500 N
058 A000500 N
059  000500 Y
060 A000500 Y
060 B000500 Y
061  000500        0
062 A000500 N
062 B000500   0.0
062 C000500   0.0
062 D000500   0.0
062 E000500   0.0
062 F000500   0.0
062 G000500   0.0
062 H000500   0.0
062 I000500   0.0
062 J000500   0.0
062 K000500   0.0
062 L000500   0.0
062 M000500   0.0
062 N000500   0.0
062 O000500   0.0
062 P000500   0.0
062 Q000500   0.0
062 R000500   0.0
066 A000500 Y
066 B000500 N
066 C000500 N
066 D000500 Y
066 E000500 N
066 F000500 N
066 G000500 N
067  000500 N
068 A000500 N
068 B000500 Y
069  000500 N
070 A010500 Y
070 A020500 Y
<PAGE>      PAGE  27
070 B010500 Y
070 B020500 N
070 C010500 Y
070 C020500 N
070 D010500 Y
070 D020500 N
070 E010500 Y
070 E020500 N
070 F010500 Y
070 F020500 Y
070 G010500 Y
070 G020500 N
070 H010500 Y
070 H020500 N
070 I010500 Y
070 I020500 N
070 J010500 Y
070 J020500 Y
070 K010500 Y
070 K020500 Y
070 L010500 Y
070 L020500 Y
070 M010500 Y
070 M020500 Y
070 N010500 Y
070 N020500 N
070 O010500 Y
070 O020500 N
070 P010500 Y
070 P020500 N
070 Q010500 N
070 Q020500 N
070 R010500 N
070 R020500 N
071 A000500   1610330
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<PAGE>      PAGE  28
072 N000500        9
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072 S000500       24
072 T000500       16
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072 Y000500      589
072 Z000500    24821
072AA000500    46470
072BB000500        0
072CC010500   174010
072CC020500        0
072DD010500    37874
072DD020500       40
072EE000500   111746
073 A010500   0.3800
073 A020500   0.3800
073 B000500   1.1200
073 C000500   0.0000
074 A000500      353
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074 C000500   224039
074 D000500    54062
074 E000500    54875
074 F000500  1809365
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074 L000500     7949
074 M000500        0
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074 T000500  2109563
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074 V010500    20.06
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<PAGE>      PAGE  29
074 W000500   0.0000
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076  000500     0.00
061  002600        0
SIGNATURE   JOHN H. COSTELLO                             
TITLE       ASSISTANT TREASURER 
 


<TABLE> <S> <C>

<ARTICLE>	6 

<CIK>	0000356494

<NAME>	Variable Insurance Products Fund

<SERIES>

	<NUMBER>	11

	<NAME>	Money Market Portfolio

<MULTIPLIER>	1,000

       

<S>

<C>

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<PERIOD-END>
DEC-31-1998
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1,509,642
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14,553
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0
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0
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7,070
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0
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9,636
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16,706
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0
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1,507,518
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1,507,503
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1,020,838
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0
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0
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0
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0
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77,393
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0
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4,063
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73,330
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30
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73,360
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0
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73,314
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486,695
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0
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0
<OVERDIST-NET-GAINS-PRIOR>
0
<GROSS-ADVISORY-FEES>
2,768
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0
<GROSS-EXPENSE>
4,063
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1,375,920
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1.000
<PER-SHARE-NII>
 .053
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0
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 .053
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0
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1.000
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30
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0
<AVG-DEBT-PER-SHARE>
0

        



</TABLE>

<TABLE> <S> <C>

<ARTICLE>	6 

<CIK>	0000356494

<NAME>	Variable Insurance Products Fund

<SERIES>

	<NUMBER>	21

	<NAME>	High Income Portfolio Initial Class

<MULTIPLIER>	1,000

       

<S>

<C>

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<PERIOD-END>
DEC-31-1998
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2,432,809
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64,625
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483
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0
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2,497,917
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16,095
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0
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3,281
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19,376
<SENIOR-EQUITY>
0
<PAID-IN-CAPITAL-COMMON>
2,505,839
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203,653
<SHARES-COMMON-PRIOR>
171,543
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228,599
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0
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6,658
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0
<ACCUM-APPREC-OR-DEPREC>
(262,555)
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2,478,541
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47,560
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200,243
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0
<EXPENSES-NET>
17,698
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230,105
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6,912
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(342,140)
<NET-CHANGE-FROM-OPS>
(105,123)
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0
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96,027
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22,841
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146,106
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171,323
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111,227
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0
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0
<GROSS-ADVISORY-FEES>
14,704
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2
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17,782
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2,449,619
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13.580
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1.111
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 .970
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70
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0
<AVG-DEBT-PER-SHARE>
0

        



</TABLE>

<TABLE> <S> <C>

<ARTICLE>	6 

<CIK>	0000356494

<NAME>	Variable Insurance Products Fund

<SERIES>

	<NUMBER>	22

	<NAME>	High Income Portfolio Service Class

<MULTIPLIER>	1,000

       

<S>

<C>

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<PERIOD-END>
DEC-31-1998
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2,432,809
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64,625
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483
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0
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19,376
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0
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2,505,839
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11,254
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215
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228,599
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0
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0
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(262,555)
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47,560
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0
<EXPENSES-NET>
17,698
<NET-INVESTMENT-INCOME>
230,105
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6,912
<APPREC-INCREASE-CURRENT>
(342,140)
<NET-CHANGE-FROM-OPS>
(105,123)
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0
<DISTRIBUTIONS-OF-INCOME>
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<DISTRIBUTIONS-OF-GAINS>
384
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0
<NUMBER-OF-SHARES-SOLD>
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<NUMBER-OF-SHARES-REDEEMED>
752
<SHARES-REINVESTED>
81
<NET-CHANGE-IN-ASSETS>
146,106
<ACCUMULATED-NII-PRIOR>
171,323
<ACCUMULATED-GAINS-PRIOR>
111,227
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0
<OVERDIST-NET-GAINS-PRIOR>
0
<GROSS-ADVISORY-FEES>
14,704
<INTEREST-EXPENSE>
2
<GROSS-EXPENSE>
17,782
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66,593
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13.570
<PER-SHARE-NII>
1.082
<PER-SHARE-GAIN-APPREC>
(1.562)
<PER-SHARE-DIVIDEND>
 .970
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 .600
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0
<PER-SHARE-NAV-END>
11.520
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82
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0
<AVG-DEBT-PER-SHARE>
0

        



</TABLE>

<TABLE> <S> <C>

<ARTICLE>	6 

<CIK>	0000356494

<NAME>	Variable Insurance Products Fund

<SERIES>

	<NUMBER>	31

	<NAME>	Equity-Income PortfolioIntial Class

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<S>

<C>

<PERIOD-TYPE>
YEAR
<FISCAL-YEAR-END>
DEC-31-1998
<PERIOD-END>
DEC-31-1998
<INVESTMENTS-AT-COST>
8,746,069
<INVESTMENTS-AT-VALUE>
11,625,500
<RECEIVABLES>
64,763
<ASSETS-OTHER>
0
<OTHER-ITEMS-ASSETS>
0
<TOTAL-ASSETS>
11,690,263
<PAYABLE-FOR-SECURITIES>
39,376
<SENIOR-LONG-TERM-DEBT>
0
<OTHER-ITEMS-LIABILITIES>
15,830
<TOTAL-LIABILITIES>
55,206
<SENIOR-EQUITY>
0
<PAID-IN-CAPITAL-COMMON>
8,215,650
<SHARES-COMMON-STOCK>
448,879
<SHARES-COMMON-PRIOR>
416,258
<ACCUMULATED-NII-CURRENT>
172,285
<OVERDISTRIBUTION-NII>
0
<ACCUMULATED-NET-GAINS>
367,593
<OVERDISTRIBUTION-GAINS>
0
<ACCUM-APPREC-OR-DEPREC>
2,879,529
<NET-ASSETS>
11,635,057
<DIVIDEND-INCOME>
212,486
<INTEREST-INCOME>
26,134
<OTHER-INCOME>
0
<EXPENSES-NET>
63,502
<NET-INVESTMENT-INCOME>
175,118
<REALIZED-GAINS-CURRENT>
377,422
<APPREC-INCREASE-CURRENT>
617,114
<NET-CHANGE-FROM-OPS>
1,169,654
<EQUALIZATION>
0
<DISTRIBUTIONS-OF-INCOME>
143,190
<DISTRIBUTIONS-OF-GAINS>
509,590
<DISTRIBUTIONS-OTHER>
0
<NUMBER-OF-SHARES-SOLD>
64,329
<NUMBER-OF-SHARES-REDEEMED>
59,593
<SHARES-REINVESTED>
27,885
<NET-CHANGE-IN-ASSETS>
1,522,987
<ACCUMULATED-NII-PRIOR>
140,172
<ACCUMULATED-GAINS-PRIOR>
500,938
<OVERDISTRIB-NII-PRIOR>
0
<OVERDIST-NET-GAINS-PRIOR>
0
<GROSS-ADVISORY-FEES>
54,109
<INTEREST-EXPENSE>
3
<GROSS-EXPENSE>
64,380
<AVERAGE-NET-ASSETS>
10,951,685
<PER-SHARE-NAV-BEGIN>
24.280
<PER-SHARE-NII>
 .380
<PER-SHARE-GAIN-APPREC>
2.310
<PER-SHARE-DIVIDEND>
 .340
<PER-SHARE-DISTRIBUTIONS>
1.210
<RETURNS-OF-CAPITAL>
0
<PER-SHARE-NAV-END>
25.420
<EXPENSE-RATIO>
58
<AVG-DEBT-OUTSTANDING>
0
<AVG-DEBT-PER-SHARE>
0

        



</TABLE>

<TABLE> <S> <C>

<ARTICLE>	6 

<CIK>	0000356494

<NAME>	Variable Insurance Products Fund

<SERIES>

	<NUMBER>	32

	<NAME>	Equity-Income PortfolioService Class

<MULTIPLIER>	1,000

       

<S>

<C>

<PERIOD-TYPE>
YEAR
<FISCAL-YEAR-END>
DEC-31-1998
<PERIOD-END>
DEC-31-1998
<INVESTMENTS-AT-COST>
8,746,069
<INVESTMENTS-AT-VALUE>
11,625,500
<RECEIVABLES>
64,763
<ASSETS-OTHER>
0
<OTHER-ITEMS-ASSETS>
0
<TOTAL-ASSETS>
11,690,263
<PAYABLE-FOR-SECURITIES>
39,376
<SENIOR-LONG-TERM-DEBT>
0
<OTHER-ITEMS-LIABILITIES>
15,830
<TOTAL-LIABILITIES>
55,206
<SENIOR-EQUITY>
0
<PAID-IN-CAPITAL-COMMON>
8,215,650
<SHARES-COMMON-STOCK>
8,867
<SHARES-COMMON-PRIOR>
219
<ACCUMULATED-NII-CURRENT>
172,285
<OVERDISTRIBUTION-NII>
0
<ACCUMULATED-NET-GAINS>
367,593
<OVERDISTRIBUTION-GAINS>
0
<ACCUM-APPREC-OR-DEPREC>
2,879,529
<NET-ASSETS>
11,635,057
<DIVIDEND-INCOME>
212,486
<INTEREST-INCOME>
26,134
<OTHER-INCOME>
0
<EXPENSES-NET>
63,502
<NET-INVESTMENT-INCOME>
175,118
<REALIZED-GAINS-CURRENT>
377,422
<APPREC-INCREASE-CURRENT>
617,114
<NET-CHANGE-FROM-OPS>
1,169,654
<EQUALIZATION>
0
<DISTRIBUTIONS-OF-INCOME>
218
<DISTRIBUTIONS-OF-GAINS>
775
<DISTRIBUTIONS-OTHER>
0
<NUMBER-OF-SHARES-SOLD>
8,704
<NUMBER-OF-SHARES-REDEEMED>
98
<SHARES-REINVESTED>
42
<NET-CHANGE-IN-ASSETS>
1,522,987
<ACCUMULATED-NII-PRIOR>
140,172
<ACCUMULATED-GAINS-PRIOR>
500,938
<OVERDISTRIB-NII-PRIOR>
0
<OVERDIST-NET-GAINS-PRIOR>
0
<GROSS-ADVISORY-FEES>
54,109
<INTEREST-EXPENSE>
3
<GROSS-EXPENSE>
64,380
<AVERAGE-NET-ASSETS>
111,650
<PER-SHARE-NAV-BEGIN>
24.270
<PER-SHARE-NII>
 .360
<PER-SHARE-GAIN-APPREC>
2.310
<PER-SHARE-DIVIDEND>
 .340
<PER-SHARE-DISTRIBUTIONS>
1.210
<RETURNS-OF-CAPITAL>
0
<PER-SHARE-NAV-END>
25.390
<EXPENSE-RATIO>
68
<AVG-DEBT-OUTSTANDING>
0
<AVG-DEBT-PER-SHARE>
0

        



</TABLE>

<TABLE> <S> <C>

<ARTICLE>	6 

<CIK>	0000356494

<NAME>	Variable Insurance Products Fund

<SERIES>

	<NUMBER>	41

	<NAME>	Growth Portfolio Initial Class

<MULTIPLIER>	1,000

       

<S>

<C>

<PERIOD-TYPE>
YEAR
<FISCAL-YEAR-END>
DEC-31-1998
<PERIOD-END>
DEC-31-1998
<INVESTMENTS-AT-COST>
8,075,681
<INVESTMENTS-AT-VALUE>
11,472,200
<RECEIVABLES>
45,310
<ASSETS-OTHER>
0
<OTHER-ITEMS-ASSETS>
0
<TOTAL-ASSETS>
11,517,510
<PAYABLE-FOR-SECURITIES>
97,812
<SENIOR-LONG-TERM-DEBT>
0
<OTHER-ITEMS-LIABILITIES>
39,732
<TOTAL-LIABILITIES>
137,544
<SENIOR-EQUITY>
0
<PAID-IN-CAPITAL-COMMON>
6,730,837
<SHARES-COMMON-STOCK>
250,571
<SHARES-COMMON-PRIOR>
208,267
<ACCUMULATED-NII-CURRENT>
18,973
<OVERDISTRIBUTION-NII>
0
<ACCUMULATED-NET-GAINS>
1,233,605
<OVERDISTRIBUTION-GAINS>
0
<ACCUM-APPREC-OR-DEPREC>
3,396,551
<NET-ASSETS>
11,379,966
<DIVIDEND-INCOME>
61,125
<INTEREST-INCOME>
17,425
<OTHER-INCOME>
0
<EXPENSES-NET>
59,578
<NET-INVESTMENT-INCOME>
18,972
<REALIZED-GAINS-CURRENT>
1,259,813
<APPREC-INCREASE-CURRENT>
1,830,052
<NET-CHANGE-FROM-OPS>
3,108,837
<EQUALIZATION>
0
<DISTRIBUTIONS-OF-INCOME>
39,525
<DISTRIBUTIONS-OF-GAINS>
1,033,887
<DISTRIBUTIONS-OTHER>
0
<NUMBER-OF-SHARES-SOLD>
59,666
<NUMBER-OF-SHARES-REDEEMED>
49,261
<SHARES-REINVESTED>
31,899
<NET-CHANGE-IN-ASSETS>
3,650,819
<ACCUMULATED-NII-PRIOR>
39,932
<ACCUMULATED-GAINS-PRIOR>
1,008,023
<OVERDISTRIB-NII-PRIOR>
0
<OVERDIST-NET-GAINS-PRIOR>
0
<GROSS-ADVISORY-FEES>
53,413
<INTEREST-EXPENSE>
3
<GROSS-EXPENSE>
61,629
<AVERAGE-NET-ASSETS>
9,027,494
<PER-SHARE-NAV-BEGIN>
37.100
<PER-SHARE-NII>
 .080
<PER-SHARE-GAIN-APPREC>
12.850
<PER-SHARE-DIVIDEND>
 .190
<PER-SHARE-DISTRIBUTIONS>
4.970
<RETURNS-OF-CAPITAL>
0
<PER-SHARE-NAV-END>
44.870
<EXPENSE-RATIO>
68
<AVG-DEBT-OUTSTANDING>
0
<AVG-DEBT-PER-SHARE>
0

        



</TABLE>

<TABLE> <S> <C>

<ARTICLE>	6 

<CIK>	0000356494

<NAME>	Variable Insurance Products Fund

<SERIES>

	<NUMBER>	42

	<NAME>	Growth Portfolio Service Class

<MULTIPLIER>	1,000

       

<S>

<C>

<PERIOD-TYPE>
YEAR
<FISCAL-YEAR-END>
DEC-31-1998
<PERIOD-END>
DEC-31-1998
<INVESTMENTS-AT-COST>
8,075,681
<INVESTMENTS-AT-VALUE>
11,472,200
<RECEIVABLES>
45,310
<ASSETS-OTHER>
0
<OTHER-ITEMS-ASSETS>
0
<TOTAL-ASSETS>
11,517,510
<PAYABLE-FOR-SECURITIES>
97,812
<SENIOR-LONG-TERM-DEBT>
0
<OTHER-ITEMS-LIABILITIES>
39,732
<TOTAL-LIABILITIES>
137,544
<SENIOR-EQUITY>
0
<PAID-IN-CAPITAL-COMMON>
6,730,837
<SHARES-COMMON-STOCK>
3,037
<SHARES-COMMON-PRIOR>
54
<ACCUMULATED-NII-CURRENT>
18,973
<OVERDISTRIBUTION-NII>
0
<ACCUMULATED-NET-GAINS>
1,233,605
<OVERDISTRIBUTION-GAINS>
0
<ACCUM-APPREC-OR-DEPREC>
3,396,551
<NET-ASSETS>
11,379,966
<DIVIDEND-INCOME>
61,125
<INTEREST-INCOME>
17,425
<OTHER-INCOME>
0
<EXPENSES-NET>
59,578
<NET-INVESTMENT-INCOME>
18,972
<REALIZED-GAINS-CURRENT>
1,259,813
<APPREC-INCREASE-CURRENT>
1,830,052
<NET-CHANGE-FROM-OPS>
3,108,837
<EQUALIZATION>
0
<DISTRIBUTIONS-OF-INCOME>
28
<DISTRIBUTIONS-OF-GAINS>
724
<DISTRIBUTIONS-OTHER>
0
<NUMBER-OF-SHARES-SOLD>
3,032
<NUMBER-OF-SHARES-REDEEMED>
72
<SHARES-REINVESTED>
22
<NET-CHANGE-IN-ASSETS>
3,650,819
<ACCUMULATED-NII-PRIOR>
39,932
<ACCUMULATED-GAINS-PRIOR>
1,008,023
<OVERDISTRIB-NII-PRIOR>
0
<OVERDIST-NET-GAINS-PRIOR>
0
<GROSS-ADVISORY-FEES>
53,413
<INTEREST-EXPENSE>
3
<GROSS-EXPENSE>
61,629
<AVERAGE-NET-ASSETS>
50,612
<PER-SHARE-NAV-BEGIN>
37.090
<PER-SHARE-NII>
 .060
<PER-SHARE-GAIN-APPREC>
12.830
<PER-SHARE-DIVIDEND>
 .190
<PER-SHARE-DISTRIBUTIONS>
4.970
<RETURNS-OF-CAPITAL>
0
<PER-SHARE-NAV-END>
44.820
<EXPENSE-RATIO>
80
<AVG-DEBT-OUTSTANDING>
0
<AVG-DEBT-PER-SHARE>
0

        



</TABLE>

<TABLE> <S> <C>

<ARTICLE>	6 

<CIK>	0000356494

<NAME>	Variable Insurance Products Fund

<SERIES>

	<NUMBER>	51

	<NAME>	Overseas Portfolio Initial Class

<MULTIPLIER>	1,000

       

<S>

<C>

<PERIOD-TYPE>
YEAR
<FISCAL-YEAR-END>
DEC-31-1998
<PERIOD-END>
DEC-31-1998
<INVESTMENTS-AT-COST>
1,718,753
<INVESTMENTS-AT-VALUE>
2,159,140
<RECEIVABLES>
8,577
<ASSETS-OTHER>
353
<OTHER-ITEMS-ASSETS>
0
<TOTAL-ASSETS>
2,168,070
<PAYABLE-FOR-SECURITIES>
43,687
<SENIOR-LONG-TERM-DEBT>
0
<OTHER-ITEMS-LIABILITIES>
14,820
<TOTAL-LIABILITIES>
58,507
<SENIOR-EQUITY>
0
<PAID-IN-CAPITAL-COMMON>
1,611,432
<SHARES-COMMON-STOCK>
103,446
<SHARES-COMMON-PRIOR>
100,321
<ACCUMULATED-NII-CURRENT>
15,374
<OVERDISTRIBUTION-NII>
0
<ACCUMULATED-NET-GAINS>
45,095
<OVERDISTRIBUTION-GAINS>
0
<ACCUM-APPREC-OR-DEPREC>
437,662
<NET-ASSETS>
2,109,563
<DIVIDEND-INCOME>
38,881
<INTEREST-INCOME>
8,754
<OTHER-INCOME>
(4,288)
<EXPENSES-NET>
18,526
<NET-INVESTMENT-INCOME>
24,821
<REALIZED-GAINS-CURRENT>
46,471
<APPREC-INCREASE-CURRENT>
174,010
<NET-CHANGE-FROM-OPS>
245,302
<EQUALIZATION>
0
<DISTRIBUTIONS-OF-INCOME>
37,874
<DISTRIBUTIONS-OF-GAINS>
111,629
<DISTRIBUTIONS-OTHER>
0
<NUMBER-OF-SHARES-SOLD>
83,667
<NUMBER-OF-SHARES-REDEEMED>
88,486
<SHARES-REINVESTED>
7,944
<NET-CHANGE-IN-ASSETS>
182,309
<ACCUMULATED-NII-PRIOR>
16,642
<ACCUMULATED-GAINS-PRIOR>
122,131
<OVERDISTRIB-NII-PRIOR>
0
<OVERDIST-NET-GAINS-PRIOR>
0
<GROSS-ADVISORY-FEES>
15,441
<INTEREST-EXPENSE>
0
<GROSS-EXPENSE>
19,116
<AVERAGE-NET-ASSETS>
2,073,287
<PER-SHARE-NAV-BEGIN>
19.200
<PER-SHARE-NII>
 .230
<PER-SHARE-GAIN-APPREC>
2.130
<PER-SHARE-DIVIDEND>
 .380
<PER-SHARE-DISTRIBUTIONS>
1.120
<RETURNS-OF-CAPITAL>
0
<PER-SHARE-NAV-END>
20.060
<EXPENSE-RATIO>
91
<AVG-DEBT-OUTSTANDING>
0
<AVG-DEBT-PER-SHARE>
0

        



</TABLE>

<TABLE> <S> <C>

<ARTICLE>	6 

<CIK>	0000356494

<NAME>	Variable Insurance Products Fund

<SERIES>

	<NUMBER>	52

	<NAME>	Overseas Portfolio Service Class

<MULTIPLIER>	1,000

       

<S>

<C>

<PERIOD-TYPE>
YEAR
<FISCAL-YEAR-END>
DEC-31-1998
<PERIOD-END>
DEC-31-1998
<INVESTMENTS-AT-COST>
1,718,753
<INVESTMENTS-AT-VALUE>
2,159,140
<RECEIVABLES>
8,577
<ASSETS-OTHER>
353
<OTHER-ITEMS-ASSETS>
0
<TOTAL-ASSETS>
2,168,070
<PAYABLE-FOR-SECURITIES>
43,687
<SENIOR-LONG-TERM-DEBT>
0
<OTHER-ITEMS-LIABILITIES>
14,820
<TOTAL-LIABILITIES>
58,507
<SENIOR-EQUITY>
0
<PAID-IN-CAPITAL-COMMON>
1,611,432
<SHARES-COMMON-STOCK>
1,733
<SHARES-COMMON-PRIOR>
48
<ACCUMULATED-NII-CURRENT>
15,374
<OVERDISTRIBUTION-NII>
0
<ACCUMULATED-NET-GAINS>
45,095
<OVERDISTRIBUTION-GAINS>
0
<ACCUM-APPREC-OR-DEPREC>
437,662
<NET-ASSETS>
2,109,563
<DIVIDEND-INCOME>
38,881
<INTEREST-INCOME>
8,754
<OTHER-INCOME>
(4,288)
<EXPENSES-NET>
18,526
<NET-INVESTMENT-INCOME>
24,821
<REALIZED-GAINS-CURRENT>
46,471
<APPREC-INCREASE-CURRENT>
174,010
<NET-CHANGE-FROM-OPS>
245,302
<EQUALIZATION>
0
<DISTRIBUTIONS-OF-INCOME>
40
<DISTRIBUTIONS-OF-GAINS>
117
<DISTRIBUTIONS-OTHER>
0
<NUMBER-OF-SHARES-SOLD>
1,951
<NUMBER-OF-SHARES-REDEEMED>
275
<SHARES-REINVESTED>
8
<NET-CHANGE-IN-ASSETS>
182,309
<ACCUMULATED-NII-PRIOR>
16,642
<ACCUMULATED-GAINS-PRIOR>
122,131
<OVERDISTRIB-NII-PRIOR>
0
<OVERDIST-NET-GAINS-PRIOR>
0
<GROSS-ADVISORY-FEES>
15,441
<INTEREST-EXPENSE>
0
<GROSS-EXPENSE>
19,116
<AVERAGE-NET-ASSETS>
15,900
<PER-SHARE-NAV-BEGIN>
19.200
<PER-SHARE-NII>
 .150
<PER-SHARE-GAIN-APPREC>
2.190
<PER-SHARE-DIVIDEND>
 .380
<PER-SHARE-DISTRIBUTIONS>
1.120
<RETURNS-OF-CAPITAL>
0
<PER-SHARE-NAV-END>
20.040
<EXPENSE-RATIO>
101
<AVG-DEBT-OUTSTANDING>
0
<AVG-DEBT-PER-SHARE>
0

        



</TABLE>


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