ALLIANCE VARIABLE PRODUCTS SERIES FUND INC
NSAR-B, 1998-02-27
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<PAGE>      PAGE  1
000 B000000 12/31/97
000 C000000 0000825316
000 D000000 N
000 E000000 NF
000 F000000 Y
000 G000000 N
000 H000000 N
000 I000000 2.2
000 J000000 A
001 A000000 ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
001 B000000 811-05398
001 C000000 2013194104
002 A000000 500 PLAZA DRIVE
002 B000000 SECAUCUS
002 C000000 NJ
002 D010000 07094
003  000000 N
004  000000 N
005  000000 N
006  000000 N
007 A000000 Y
007 B000000 19
007 C010100  1
007 C020100 SHORT TERM MULTI MARKET PORTFOLIO
007 C030100 N
007 C010200  2
007 C020200 GROWTH AND INCOME PORTFOLIO
007 C030200 N
007 C010300  3
007 C020300 GLOBAL BOND PORTFOLIO
007 C030300 N
007 C010400  4
007 C020400 PREMIER GROWTH PORTFOLIO
007 C030400 N
007 C010500  5
007 C020500 U.S. GOVERNMENT/HIGH GRADE SECURITIES PORT
007 C030500 N
007 C010600  6
007 C020600 TOTAL RETURN PORTFOLIO
007 C030600 N
007 C010700  7
007 C020700 INTERNATIONAL PORTFOLIO
007 C030700 N
007 C010800  8
007 C020800 MONEY MARKET PORTFOLIO
007 C030800 N
007 C010900  9
007 C020900 NORTH AMERICAN GOVERNMENT INCOME PORTFOLIO
007 C030900 N
007 C011000 10
007 C021000 UTILITY INCOME PORTFOLIO
<PAGE>      PAGE  2
007 C031000 N
007 C011100 11
007 C021100 GLOBAL DOLLAR GOVERNMENT PORTFOLIO
007 C031100 N
007 C011200 12
007 C021200 GROWTH PORTFOLIO
007 C031200 N
007 C011300 13
007 C021300 WORLDWIDE PRIVATIZATION PORTFOLIO
007 C031300 N
007 C011400 14
007 C021400 CONSERVATIVE INVESTORS PORTFOLIO
007 C031400 N
007 C011500 15
007 C021500 GROWTH INVESTORS PORTFOLIO
007 C031500 N
007 C011600 16
007 C021600 TECHNOLOGY PORTFOLIO
007 C031600 N
007 C011700 17
007 C021700 QUASAR PORTFOLIO
007 C031700 N
007 C011800 18
007 C021800 REAL ESTATE INVESTMENT PORTFOLIO
007 C031800 N
007 C011900 19
007 C021900 HIGH YIELD PORTFOLIO
007 C031900 N
011 A00AA01 ALLIANCE FUND DISTRIBUTORS, INC.
011 B00AA01 8-30851
011 C01AA01 NEW YORK
011 C02AA01 NY
011 C03AA01 10105
012 A00AA01 ALLIANCE FUND SERVICES, INC.
012 B00AA01 84-0001187
012 C01AA01 SECAUCUS
012 C02AA01 NJ
012 C03AA01 07096
012 C04AA01 1520
013 A00AA01 ERNST & YOUNG LLP
013 B01AA01 NEW YORK
013 B02AA01 NY
013 B03AA01 10019
014 A00AA01 DONALDSON LUFKIN & JENRETTE SECURITIES CORP.
014 B00AA01 8-00017574
015 A00AA01 STATE STREET BANK AND TRUST COMPANY
015 B00AA01 C
015 C01AA01 BOSTON
015 C02AA01 MA
015 C03AA01 02110
015 E01AA01 X
<PAGE>      PAGE  3
015 A00AA02 STANDARD CHARTERED BANK
015 B00AA02 S
015 C01AA02 BANGKOK
015 D01AA02 THAILAND
015 E04AA02 X
015 A00AA03 CITIBANK, N.A.
015 B00AA03 S
015 C01AA03 ISTANBUL
015 D01AA03 TURKEY
015 E04AA03 X
015 A00AA04 STATE STREET BANK AND TRUST COMPANY
015 B00AA04 S
015 C01AA04 LONDON
015 D01AA04 UNITED KINGDOM
015 E04AA04 X
015 A00AA05 CITIBANK, N.A.
015 B00AA05 S
015 C01AA05 MONTE-VIDEO
015 D01AA05 URUGUAY
015 E04AA05 X
015 A00AA06 CITIBANK, N.A.
015 B00AA06 S
015 C01AA06 CARACAS
015 D01AA06 VENEZUELA
015 E04AA06 X
015 A00AA07 BARCLAYS BANK OF ZAMBIA LIMITED
015 B00AA07 S
015 C01AA07 LUSAKA
015 D01AA07 ZAMBIA
015 E04AA07 X
015 A00AA08 BARCLAYS BANK OF ZIMBABWE LIMITED
015 B00AA08 S
015 C01AA08 HARARE
015 D01AA08 ZIMBABWE
015 E04AA08 X
015 A00AA09 EUROCLEAR/STATE STREET LONDON LIMITED
015 B00AA09 S
015 C01AA09 LONDON
015 D01AA09 UNITED KINGDOM
015 E04AA09 X
015 A00AA10 CEDEL/STATE STREET LONDON LIMITED
015 B00AA10 S
015 C01AA10 LONDON
015 D01AA10 UNITED KINGDOM
015 E04AA10 X
015 A00AA11 CITIBANK POLAND S.A.
015 B00AA11 S
015 C01AA11 WARSAW
015 D01AA11 POLAND
015 E04AA11 X
015 A00AA12 BANCO COMERCIAL POTUGUES
<PAGE>      PAGE  4
015 B00AA12 S
015 C01AA12 LISBON
015 D01AA12 PORTUGAL
015 E04AA12 X
015 A00AA13 THE DEVELOPMENT BANK OF SINGAPORE LTD
015 B00AA13 S
015 C01AA13 SINGAPORE
015 D01AA13 SINGAPORE
015 E04AA13 X
015 A00AA14 CESKOSLOVENSKA OBCHODNA BANKA A.S.
015 B00AA14 S
015 C01AA14 SLOVAK REPUBLIC
015 D01AA14 SLOVAK REPUBLIC
015 E04AA14 X
015 A00AA15 STANDARD BANK OF SOUTH AFRICA LIMITED
015 B00AA15 S
015 C01AA15 WALES TERRACE PARK
015 D01AA15 SOUTH AFRICA
015 E04AA15 X
015 A00AA16 BANCO SANTANDER, S.A.
015 B00AA16 S
015 C01AA16 MADRID
015 D01AA16 SPAIN
015 E04AA16 X
015 A00AA17 THE HONGKONG AND SHANGHAI BANKING CORP LTD
015 B00AA17 S
015 C01AA17 SRI LANKA
015 D01AA17 SRI LANKA
015 E04AA17 X
015 A00AA18 BARCLAYS BANK OF SWAZILAND LIMITED
015 B00AA18 S
015 C01AA18 MBABANE
015 D01AA18 SWAZILAND
015 E04AA18 X
015 A00AA19 SKANDINAVISKA ENSKILDA BANKEN
015 B00AA19 S
015 C01AA19 STOCKHOLM
015 D01AA19 SWEDEN
015 E04AA19 X
015 A00AA20 UNION BANK OF SWITZERLAND
015 B00AA20 S
015 C01AA20 ZURICH
015 D01AA20 SWITZERLAND
015 E04AA20 X
015 A00AA21 CENTRAL TRUST OF CHINA
015 B00AA21 S
015 C01AA21 TAIWAN
015 D01AA21 TAIWAN
015 E04AA21 X
015 A00AA22 BARCLAYS BANK OF KENYA LIMITED
015 B00AA22 S
<PAGE>      PAGE  5
015 C01AA22 NAIROBE
015 D01AA22 KENYA
015 E04AA22 X
015 A00AA23 SEOULBANK
015 B00AA23 S
015 C01AA23 SEOUL
015 D01AA23 REPUBLIC OF KOREA
015 E04AA23 X
015 A00AA24 STANDARD CHARTERED BANK MALAYSIA BERHAD
015 B00AA24 S
015 C01AA24 KUALATUMPUI
015 D01AA24 MALAYSIA
015 E04AA24 X
015 A00AA25 THE HONGKONG AND SHANGHAI BANKING CORP
015 B00AA25 S
015 C01AA25 CUREPIPE
015 D01AA25 MAURITIUS
015 E04AA25 X
015 A00AA26 CITIBANK MEXICO, S.A.
015 B00AA26 S
015 C01AA26 MEXICO CITY
015 D01AA26 MEXICO
015 E04AA26 X
015 A00AA27 BANQUE COMMERCIALE DU MAROC
015 B00AA27 S
015 C01AA27 MOROCCO
015 D01AA27 MOROCCO
015 E04AA27 X
015 A00AA28 MEESPIERSON N.V.
015 B00AA28 S
015 C01AA28 AMSTERDAM
015 D01AA28 NETHERLANDS
015 E04AA28 X
015 A00AA29 ANZ BANKING GROUP (NEW ZEALAND) LTD
015 B00AA29 S
015 C01AA29 AUCKLAND
015 D01AA29 NEW ZEALAND
015 E04AA29 X
015 A00AA30 CHRISTIANIA BANK OG KREDITKASSE
015 B00AA30 S
015 C01AA30 OSLO
015 D01AA30 NORWAY
015 E04AA30 X
015 A00AA31 DEUTSCHE BANK AG
015 B00AA31 S
015 C01AA31 PAKISTAN
015 D01AA31 PAKISTAN
015 E04AA31 X
015 A00AA32 CITIBANK, N.A.
015 B00AA32 S
015 C01AA32 LIMA
<PAGE>      PAGE  6
015 D01AA32 PERU
015 E04AA32 X
015 A00AA33 STANDARD CHARTERED BANK
015 B00AA33 S
015 C01AA33 MAKATI CITY
015 D01AA33 PHILIPPINES
015 E04AA33 X
015 A00AA34 BARCLAYS BANK OF GHANA LTD
015 B00AA34 S
015 C01AA34 ACCRA
015 D01AA34 GHANA
015 E04AA34 X
015 A00AA35 NATIONAL BANK OF GREECE
015 B00AA35 S
015 C01AA35 ATHENS
015 D01AA35 GREECE
015 E04AA35 X
015 A00AA36 STANDARD CHARTERED BANK
015 B00AA36 S
015 C01AA36 HONG KONG
015 D01AA36 HONK KONG
015 E04AA36 X
015 A00AA37 CITIBANK BUDAPEST RT
015 B00AA37 S
015 C01AA37 BUDAPEST
015 D01AA37 HUNGARY
015 E04AA37 X
015 A00AA38 DEUTSCHE BANK AG
015 B00AA38 S
015 C01AA38 BOMBAY
015 D01AA38 INDIA
015 E04AA38 X
015 A00AA39 STANDARD CHARTERED BANK
015 B00AA39 S
015 C01AA39 JAKARTA
015 D01AA39 INDONESIA
015 E04AA39 X
015 A00AA40 BANK OF IRELAND
015 B00AA40 S
015 C01AA40 DUBLIN
015 D01AA40 IRELAND
015 E04AA40 X
015 A00AA41 BANK HAPOALIM B.M.
015 B00AA41 S
015 C01AA41 TEL AVIV
015 D01AA41 ISREAL
015 E04AA41 X
015 A00AA42 CITIBANK N.A.
015 B00AA42 S
015 C01AA42 LIMA
015 D01AA42 PERU
<PAGE>      PAGE  7
015 E04AA42 X
015 A00AA43 THE DAIWA BANK, LTD
015 B00AA43 S
015 C01AA43 TOKYO
015 D01AA43 JAPAN
015 E04AA43 X
015 A00AA44 THE SUMITOMO TRUST & BANKING CO., LTD
015 B00AA44 S
015 C01AA44 TOKYO
015 D01AA44 JAPAN
015 E04AA44 X
015 A00AA45 THE BRITISH BANK OF THE MIDDLE EAST
015 B00AA45 S
015 C01AA45 JORDAN
015 D01AA45 JORDAN
015 E04AA45 X
015 A00AA46 CITIBANK, N.A.
015 B00AA46 S
015 C01AA46 SANTIAGO
015 D01AA46 CHILE
015 E04AA46 X
015 A00AA47 THE HONGKONG AND SHANGHAI BANKING CORP LTS
015 B00AA47 S
015 C01AA47 SHANGHAI
015 D01AA47 CHINA
015 E04AA47 X
015 A00AA48 CITITRUST COL0MBIA S.A. SOCIEDAD FIDUCIARIA
015 B00AA48 S
015 C01AA48 SANTA FE' DE BOGOTA
015 D01AA48 COLOMBIA
015 E04AA48 X
015 A00AA49 BARCLAYS BANK PLC
015 B00AA49 S
015 C01AA49 NICOSIA
015 D01AA49 CYPRUS
015 E04AA49 X
015 A00AA50 CESKOSLOVENSKA OBCHODNI BANKA A.S.
015 B00AA50 S
015 C01AA50 CZECH REUBLIC
015 D01AA50 CZECH REPUBLIC
015 E04AA50 X
015 A00AA51 DEN DANSKE BANK
015 B00AA51 S
015 C01AA51 COPEHAGEN
015 D01AA51 DENMARK
015 E04AA51 X
015 A00AA52 NATIONAL BANK OF EGYPT
015 B00AA52 S
015 C01AA52 CAIRO
015 D01AA52 EGYPT
015 E04AA52 X
<PAGE>      PAGE  8
015 A00AA53 MERITA BANK LIMITED
015 B00AA53 S
015 C01AA53 HELSINKI
015 D01AA53 FINLAND
015 E04AA53 X
015 A00AA54 BANQUE PAIBAS
015 B00AA54 S
015 C01AA54 PARIS
015 D01AA54 FRANCE
015 E04AA54 X
015 A00AA55 CITIBANK BUDAPEST RT
015 B00AA55 S
015 C01AA55 BUDAPEST
015 D01AA55 HUNGARY
015 E04AA55 X
015 A00AA56 CITIBANK, N.A.
015 B00AA56 S
015 C01AA56 BUENOS ARIES
015 D01AA56 ARGENTINA
015 E04AA56 X
015 A00AA57 WESTPAC BANKING CORPORATION
015 B00AA57 S
015 C01AA57 SYDNEY
015 D01AA57 AUSTRLIA
015 E04AA57 X
015 A00AA58 GIROCREDIT BANK AKTIENGESELLSHAFT DER SPARKAS
015 B00AA58 S
015 C01AA58 VIENNA
015 D01AA58 AUSTRIA
015 E04AA58 X
015 A00AA59 STANDARD CHARTERED BANK
015 B00AA59 S
015 C01AA59 BANGLADESH
015 D01AA59 BANGLADESH
015 E04AA59 X
015 A00AA60 GENERALE BANK
015 B00AA60 S
015 C01AA60 BRUSSELS
015 D01AA60 BELGIUM
015 E04AA60 X
015 A00AA61 BARCLAYS BANK OF BOTSWANA LTD
015 B00AA61 S
015 C01AA61 GABORONE'
015 D01AA61 BOTSWANA
015 E04AA61 X
015 A00AA62 CITIBANK N.A.
015 B00AA62 S
015 C01AA62 SAO PAULL
015 D01AA62 BRAZIL
015 E04AA62 X
015 A00AA63 CANADA TRUSTCO MORTGAGE COMPANY
<PAGE>      PAGE  9
015 B00AA63 S
015 C01AA63 TORONTO
015 D01AA63 CANADA
015 E04AA63 X
015 A00AA64 CREDIT SUISSE FIRST BOSTON
015 B00AA64 S
015 C01AA64 MOSCOW
015 D01AA64 RUSSIA
015 D02AA64 103009
015 E04AA64 X
015 A00AA65 CITIBANK MEXICO, S.A.
015 B00AA65 S
015 C01AA65 MEXICO CITY
015 D01AA65 MEXICO
015 E04AA65 X
015 A00AA66 CITIBANK, N.A.
015 B00AA66 S
015 C01AA66 ISTANBUL
015 D01AA66 TURKEY
015 E04AA66 X
015 A00AA67 STATE STREET BANK AND TRUST COMPANY
015 B00AA67 S
015 C01AA67 LONDON
015 D01AA67 UNITED KINGDOM
015 E04AA67 X
015 A00AA68 BANQUE PARIBAS
015 B00AA68 S
015 C01AA68 MILAN
015 D01AA68 ITALY
015 E04AA68 X
015 A00AA69 SOCIETE GENERALE DE BANQUES EN COTE D'IVOIRE
015 B00AA69 S
015 C01AA69 ABIDJAN
015 D01AA69 IVORY COAST
015 E04AA69 X
015 A00AA70 THE FUJI BANK, LIMITED
015 B00AA70 S
015 C01AA70 TOKYO
015 D01AA70 JAPAN
015 E04AA70 X
015 A00AA71 THE BRITISH BANK OF THE MIDDLE EAST
015 B00AA71 S
015 C01AA71 BEIRUT
015 D01AA71 LEBANON
015 E04AA71 X
015 A00AA72 THE BRITISH BANK OF THE MIDDLE EAST
015 B00AA72 S
015 C01AA72 MUSCAT
015 D01AA72 OMAN
015 E04AA72 X
015 A00AA73 THER BRITISH BANK OF THE MIDDLE EAST
<PAGE>      PAGE  10
015 B00AA73 S
015 C01AA73 MANAMA
015 D01AA73 BAHRAIN
015 E04AA73 X
015 A00AA74 THE BANK OF BERMUDA LIMITED
015 B00AA74 S
015 C01AA74 HAMILTON
015 D01AA74 BERMUDA
015 E04AA74 X
015 A00AA75 CITIBANK N.A.
015 B00AA75 S
015 C01AA75 SANTIAGO
015 D01AA75 CHILE
015 E04AA75 X
015 A00AA76 CITIBANK N.A.
015 B00AA76 S
015 C01AA76 QUITO
015 D01AA76 EQUADOR
015 E04AA76 X
015 A00AA77 THE HONG KONG SHANGHAI BANKING CORP. LTD.
015 B00AA77 S
015 C01AA77 MUMBAI
015 D01AA77 INDIA
015 E04AA77 X
015 A00AA78 CITIBANK, N.A.
015 B00AA78 S
015 C01AA78 MONTEVIDEO
015 D01AA78 URUGUAY
015 E04AA78 X
015 A00AA79 CITIBANK, N.A.
015 B00AA79 S
015 C01AA79 CARACAS
015 D01AA79 VENEZUELA
015 E04AA79 X
015 A00AA80 CITIBANK, N.A.
015 B00AA80 S
015 C01AA80 BUENOS AIRES
015 D01AA80 ARGENTINA
015 E04AA80 X
015 A00AA81 CITIBANK, N.A.
015 B00AA81 S
015 C01AA81 SAO PAULO
015 D01AA81 BRAZIL
015 E04AA81 X
015 A00AA82 CITITRUST COLOMBIA S.A. SOCIEDAD FIDUCIARA
015 B00AA82 S
015 C01AA82 BOGOTA
015 D01AA82 COLUMBIA
015 E04AA82 X
018  00AA00 Y
019 A00AA00 Y
<PAGE>      PAGE  11
019 B00AA00   52
019 C00AA00 ALLIANCECA
020 A000001 MERRILL LYNCH, PIERCE, FENNER & SMITH
020 B000001 13-5674085
020 C000001    203
020 A000002 MORGAN STANLEY & CO., INC.
020 B000002 13-2655998
020 C000002    135
020 A000003 SALOMON BROTHERS INC.
020 B000003 13-3082694
020 C000003    127
020 A000004 LEHMAN BROTHERS INC.
020 B000004 13-2518466
020 C000004    112
020 A000005 GOLDMAN, SACHS & CO.
020 B000005 13-5108880
020 C000005    111
020 A000006 PAINEWEBBER INC.
020 B000006 13-2638166
020 C000006     93
020 A000007 SMITH BARNEY INC.
020 B000007 13-1912900
020 C000007     76
020 A000008 NATWEST SECURITIES CORP.
020 C000008     65
020 A000009 C.J. LAWRENCE
020 C000009     64
020 A000010 BROWN (ALEX.) & SONS INC.
020 B000010 52-1319768
020 C000010     53
021  000000     1920
022 A000001 STATE STREET BANK & TRUST CO.
022 B000001 04-1867445
022 C000001   6350467
022 D000001         0
022 A000002 AUBREY LANSTON
022 B000002 13-5552129
022 C000002   3635374
022 D000002      9277
022 A000003 GENERAL ELECTRIC CAPITAL CORP.
022 B000003 13-5409205
022 C000003   2281788
022 D000003       899
022 A000004 PRUDENTIAL SECURITIES, INC.
022 B000004 22-2347336
022 C000004    887360
022 D000004      4568
022 A000005 FORD MOTOR CREDIT CORP.
022 B000005 38-1012444
022 C000005    658420
022 D000005     13562
<PAGE>      PAGE  12
022 A000006 GOLDMAN, SACHS & CO.
022 B000006 13-5108880
022 C000006    419002
022 D000006     45799
022 A000007 MERRILL LYNCH, PIERCE, FENNER & SMITH
022 B000007 13-5674085
022 C000007    338906
022 D000007     36122
022 A000008 LEHMAN BROTHERS INC.
022 B000008 13-2518466
022 C000008    247474
022 D000008     27707
022 A000009 AMERICAN EXPRESS FINANCIAL ADVISORS INC.
022 B000009 41-0884926
022 C000009    209488
022 D000009      5337
022 A000010 MORGAN (J.P.) SECURITIES INC.
022 B000010 13-3224016
022 C000010    183115
022 D000010     25747
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<PAGE>      PAGE  13
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050  00AA00 N
051  00AA00 N
052  00AA00 N
053 A00AA00 Y
053 B00AA00 Y
053 C00AA00 N
054 A00AA00 N
054 B00AA00 N
054 C00AA00 N
054 D00AA00 N
054 E00AA00 N
054 F00AA00 N
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054 H00AA00 N
054 I00AA00 N
054 J00AA00 N
054 K00AA00 N
054 L00AA00 N
054 M00AA00 N
054 N00AA00 N
054 O00AA00 N
055 A00AA00 N
055 B00AA00 N
056  00AA00 Y
057  00AA00 N
058 A00AA00 N
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060 A00AA00 Y
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<PAGE>      PAGE  14
077 Q010000 Y
077 Q020000 N
077 Q030000 N
078  000000 N
080 A00AA00 ICI MUTUAL INSURANCE CO
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008 A000101 ALLIANCE CAPITAL MANAGEMENT L.P.
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008 D020101 NY
008 D030101 10105
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<PAGE>      PAGE  15
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<PAGE>      PAGE  16
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<PAGE>      PAGE  17
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<PAGE>      PAGE  18
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<PAGE>      PAGE  19
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<PAGE>      PAGE  21
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<PAGE>      PAGE  22
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<PAGE>      PAGE  23
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<PAGE>      PAGE  24
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<PAGE>      PAGE  25
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<PAGE>      PAGE  26
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<PAGE>      PAGE  27
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<PAGE>      PAGE  28
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<PAGE>      PAGE  29
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<PAGE>      PAGE  30
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<PAGE>      PAGE  31
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<PAGE>      PAGE  32
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<PAGE>      PAGE  33
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<PAGE>      PAGE  34
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<PAGE>      PAGE  35
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<PAGE>      PAGE  36
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<PAGE>      PAGE  37
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<PAGE>      PAGE  38
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<PAGE>      PAGE  39
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<PAGE>      PAGE  40
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<PAGE>      PAGE  41
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<PAGE>      PAGE  42
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<PAGE>      PAGE  43
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008 D030801 10105
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<PAGE>      PAGE  44
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<PAGE>      PAGE  46
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<PAGE>      PAGE  48
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<PAGE>      PAGE  50
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<PAGE>      PAGE  51
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<PAGE>      PAGE  52
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062 D001000   0.0
062 E001000   0.0
062 F001000   0.0
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062 H001000   0.0
062 I001000   0.0
062 J001000   0.0
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062 L001000   0.0
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062 O001000   0.0
062 P001000   0.0
062 Q001000   0.0
062 R001000   0.0
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063 B001000  0.0
066 A001000 Y
066 B001000 N
066 C001000 N
066 D001000 N
066 E001000 N
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067  001000 N
068 A001000 N
068 B001000 N
069  001000 N
070 A011000 Y
070 A021000 N
070 B011000 Y
070 B021000 N
070 C011000 N
<PAGE>      PAGE  54
070 C021000 N
070 D011000 Y
070 D021000 N
070 E011000 Y
070 E021000 N
070 F011000 Y
070 F021000 N
070 G011000 Y
070 G021000 N
070 H011000 Y
070 H021000 N
070 I011000 Y
070 I021000 N
070 J011000 Y
070 J021000 Y
070 K011000 Y
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070 L011000 Y
070 L021000 Y
070 M011000 Y
070 M021000 Y
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070 O011000 N
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070 P011000 N
070 P021000 N
070 Q011000 N
070 Q021000 N
070 R011000 N
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<PAGE>      PAGE  55
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<PAGE>      PAGE  56
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008 A001101 ALLIANCE CAPITAL MANAGEMENT L.P.
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<PAGE>      PAGE  57
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063 B001100 15.6
064 A001100 N
066 A001100 N
067  001100 N
068 A001100 N
068 B001100 Y
069  001100 N
070 A011100 Y
070 A021100 N
070 B011100 N
<PAGE>      PAGE  58
070 B021100 N
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070 D021100 N
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070 F011100 Y
070 F021100 N
070 G011100 Y
070 G021100 N
070 H011100 Y
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070 I011100 N
070 I021100 N
070 J011100 Y
070 J021100 Y
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070 L021100 Y
070 M011100 N
070 M021100 N
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070 P011100 N
070 P021100 N
070 Q011100 N
070 Q021100 N
070 R011100 N
070 R021100 N
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<PAGE>      PAGE  59
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<PAGE>      PAGE  60
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008 D031201 10105
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<PAGE>      PAGE  61
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048 I021200 0.000
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063 B001200  0.0
066 A001200 Y
066 B001200 N
066 C001200 N
066 D001200 Y
<PAGE>      PAGE  62
066 E001200 N
066 F001200 N
066 G001200 N
067  001200 N
068 A001200 N
068 B001200 N
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070 A011200 Y
070 A021200 N
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070 B021200 N
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070 E021200 N
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070 F021200 N
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070 G021200 N
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070 H021200 N
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070 J021200 Y
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070 K021200 Y
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070 L021200 Y
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070 N021200 N
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070 O021200 N
070 P011200 N
070 P021200 N
070 Q011200 N
070 Q021200 N
070 R011200 N
070 R021200 N
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<PAGE>      PAGE  63
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<PAGE>      PAGE  64
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008 A001301 ALLIANCE CAPITAL MANAGEMENT L.P.
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008 D011301 NEW YORK
008 D021301 NY
008 D031301 10105
024  001300 N
025 D001301       0
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<PAGE>      PAGE  65
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<PAGE>      PAGE  66
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066 E001300 N
066 F001300 N
066 G001300 N
067  001300 N
068 A001300 N
068 B001300 N
069  001300 N
070 A011300 Y
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070 B011300 Y
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070 C021300 N
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070 D021300 N
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070 E021300 N
070 F011300 Y
070 F021300 N
070 G011300 Y
070 G021300 N
070 H011300 Y
070 H021300 N
070 I011300 N
070 I021300 N
070 J011300 Y
070 J021300 Y
070 K011300 N
070 K021300 N
070 L011300 Y
070 L021300 Y
070 M011300 Y
070 M021300 Y
070 N011300 Y
070 N021300 N
070 O011300 Y
070 O021300 N
070 P011300 N
070 P021300 N
070 Q011300 N
070 Q021300 N
070 R011300 N
070 R021300 N
071 A001300     36175
<PAGE>      PAGE  67
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<PAGE>      PAGE  68
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<PAGE>      PAGE  69
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<PAGE>      PAGE  70
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066 D001400 N
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066 F001400 N
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070 E021400 N
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070 G021400 N
070 H011400 Y
070 H021400 N
070 I011400 N
070 I021400 N
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070 J021400 Y
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<PAGE>      PAGE  71
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<PAGE>      PAGE  72
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<PAGE>      PAGE  73
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<PAGE>      PAGE  74
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<PAGE>      PAGE  75
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<PAGE>      PAGE  76
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<PAGE>      PAGE  77
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<PAGE>      PAGE  78
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067  001600 N
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069  001600 N
070 A011600 Y
<PAGE>      PAGE  79
070 A021600 N
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<PAGE>      PAGE  80
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<PAGE>      PAGE  81
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<PAGE>      PAGE  82
045  001700 Y
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<PAGE>      PAGE  83
066 F001700 N
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<PAGE>      PAGE  84
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<PAGE>      PAGE  85
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<PAGE>      PAGE  86
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<PAGE>      PAGE  87
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<PAGE>      PAGE  88
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<PAGE>      PAGE  89
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<PAGE>      PAGE  90
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048 H011900        0
048 H021900 0.000
048 I011900        0
048 I021900 0.000
048 J011900        0
048 J021900 0.000
048 K011900        0
048 K021900 0.000
062 A001900 Y
062 B001900   0.0
062 C001900   0.0
062 D001900   0.0
062 E001900   0.0
062 F001900   0.0
062 G001900   0.0
062 H001900   0.0
062 I001900   0.0
062 J001900  18.4
062 K001900   0.0
<PAGE>      PAGE  91
062 L001900   0.0
062 M001900   0.0
062 N001900   0.0
062 O001900   0.0
062 P001900  77.6
062 Q001900   0.0
062 R001900   0.0
063 A001900   0
063 B001900  7.4
066 A001900 N
070 A011900 Y
070 A021900 N
070 B011900 Y
070 B021900 N
070 C011900 Y
070 C021900 N
070 D011900 Y
070 D021900 N
070 E011900 Y
070 E021900 N
070 F011900 Y
070 F021900 N
070 G011900 Y
070 G021900 N
070 H011900 Y
070 H021900 N
070 I011900 N
070 I021900 N
070 J011900 Y
070 J021900 Y
070 K011900 Y
070 K021900 N
070 L011900 Y
070 L021900 N
070 M011900 N
070 M021900 N
070 N011900 Y
070 N021900 N
070 O011900 Y
070 O021900 N
070 P011900 Y
070 P021900 N
070 Q011900 N
070 Q021900 N
070 R011900 Y
070 R021900 N
071 A001900       909
071 B001900        35
071 C001900       430
071 D001900    8
072 A001900  3
<PAGE>      PAGE  92
072 B001900        9
072 C001900        0
072 D001900        0
072 E001900        0
072 F001900        1
072 G001900        0
072 H001900        0
072 I001900        0
072 J001900        5
072 K001900        0
072 L001900        0
072 M001900        1
072 N001900        0
072 O001900        0
072 P001900        0
072 Q001900        0
072 R001900        1
072 S001900        0
072 T001900        0
072 U001900        0
072 V001900        0
072 W001900        1
072 X001900        9
072 Y001900        8
072 Z001900        8
072AA001900        0
072BB001900        0
072CC011900       12
072CC021900        0
072DD011900        0
072DD021900        0
072EE001900        0
073 A011900   0.0000
073 A021900   0.0000
073 B001900   0.0000
073 C001900   0.0000
074 A001900        0
074 B001900        0
074 C001900      210
074 D001900      885
074 E001900        0
074 F001900        0
074 G001900        0
074 H001900        0
074 I001900        0
074 J001900        0
074 K001900        7
074 L001900       43
074 M001900        0
074 N001900     1145
074 O001900        0
<PAGE>      PAGE  93
074 P001900        1
074 Q001900        0
074 R011900        0
074 R021900        0
074 R031900        0
074 R041900        3
074 S001900        0
074 T001900     1141
074 U011900      110
074 U021900        0
074 V011900    10.33
074 V021900     0.00
074 W001900   0.0000
074 X001900        1
074 Y001900        0
075 A001900        0
075 B001900      608
076  001900     0.00
SIGNATURE   CATHY WHITE                                  
TITLE       VICE PRESIDENT      
 


[DESCRIPTION]Report of 10f-3 Transactions
Securities Purchases in Underwritings Involving
Transactions with Donaldson, Lufkin, & Jenrette Securities Co
Subject to Rule 10f-3 Under the Investment Company Act of 1940
ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC. - GROWTH PORTFOLIO
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD JANUARY 1, 1997 THROUGH FEBRUARY 28, 1997
<CAPTION>
                                                                         Total
                                                              Shares     Shares  % of Issue                       Shares
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets (1Share    Fund Group (000)   By Group (Broker(s)              02/28/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Spieker Properties, Inc.  01/21/97 22,000   0.51%    $34.50   46,500     8,000   0.58%     Goldman Sachs          22,000
Kilroy Realty Corp.       01/28/97 44,500   0.68%    $23.00   179,600    11,300  1.59%     Smith Barney           10,000
AmerUS Life Holdings, Inc.01/28/97 29,800   0.33%    $16.50   102,900    4,663   2.21%     Goldman Sachs          0
Trigon Healthcare         01/30/97 13,000   0.11%    $13.00   75,000     11,540  0.65%     Merrill Lynch          13,000
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD MAY 1, 1997 THROUGH JULY 31, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              07/31/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Qwest Communications      06/24/97 26,500   0.32%    $22.00   51,500     13,500  0.38%     Salomon Brothers       0
Hanover Compressor        07/01/97 42,000   0.44%    $19.50   42,000     6,613   0.64%     Goldman Sachs          0
Equity Office             07/08/97 900      0.02%    $21.00   85,900     25,000  0.34%     Everen Securities      36,100
Arden Realty              07/17/97 35,600   0.46%    $26.125  49,900     12,000  0.42%     Lehman Brothers        75,600
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD AUGUST 1, 1997 THROUGH OCTOBER 5, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              10/05/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
SL Green Realty           08/15/97 30,000   0.31%    $21.00   284,800    10,100  2.82%     Lehman Brothers        14,200
</TABLE>
1-Purchase may not exceed 3% of Fund's Total Assets.
2-Purchases by all Alliance Funds may not exceed the greater of (i) 4% of
the principal amount of the offering or (ii) $500,000 in principal amount,
but in no event may exeed 10% of the principal amount of the offering.
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD OCTOBER 6, 1997 THROUGH OCTOBER 31, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bOffered Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              10/31/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Paula Financial           10/23/97 5,000             $18.50   5,000      2,500   0.20%     Goldman Sachs          0
Spieker Properties        10/29/97 56,000            $38.875  325,600    10,000  3.26%     Goldman Sachs          56,000
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD NOVEMBER 1, 1997 THROUGH DECEMBER 31, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bOffered Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              12/31/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Teleport Communications Gr11/06/97 43,000            $45.00   134,200    15,000  0.89%     Merrill Lynch          50,200
CIT Group                 11/13/97 52,000            $27.00   66,400     31,500  0.21%     JP Morgan Sec.         52,000
Autozone Inc.             11/20/97 2,500             $28.50   60,000     9,170   0.65%     Blackford Sec.         62,100
Autozone Inc.             11/20/97 57,500            $28.50   60,000     9,170   0.65%     Goldman Sachs          62,100
Electric Lightwave Inc.   11/24/97 90,000            $16.00   90,000     8,000   1.13%     Lehman Brothers        90,000
</TABLE>
* Unless otherwise indicated, the securities were part of an issue registered
under the Securities Act of 1933 and offered to the public.
**Indicates the puchase of an Eligible Rule 144A Security.
1) Purchases by all Alliance Funds, including the Fund, may not exceed: (a) if
purchased in an offering than an Eligible Rule 144A Offering, 25% of the
principal amount of the offering of such class; or (b) if purchased in an
Eligible Rule 144A Offering, 25% of the total of (i) the principal amount
of the offering of such class sold by the underwriters or members of the
selling syndicate to qualified institutional buyers, plus (ii) the principal 
amount of the offering of such class in any concurrent public offering.


[DESCRIPTION]Report of 10f-3 Transactions
Securities Purchases in Underwritings Involving
Transactions with Donaldson, Lufkin, & Jenrette Securities Co
Subject to Rule 10f-3 Under the Investment Company Act of 1940
ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC. - WORLDWIDE PRIVATIZATION PORTFOLIO
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD OCTOBER 6, 1997 THROUGH OCTOBER 31, 1997
<CAPTION>
                                                                         Total
                                                              Shares     Shares  % of Issue                       Shares
                          Date     Shares            Price perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchased         Share    Fund Group (000)   By Group (Broker(s)              10/31/97
<C>                       <C>      <C>               <C>      <C>        <C>     <C>       <C>                    <C>
Banco Rio De La Plata ADS 10/09/97 2,300             $15.00   36,100     32,800  0.11%     Merrill Lynch          2,300
</TABLE>
* Unless otherwise indicated, the securities were part of an issue registered
under the Securities Act of 1933 and offered to the public.
**Indicates the puchase of an Eligible Rule 144A Security.
1) Purchases by all Alliance Funds, including the Fund, may not exceed: (a) if
purchased in an offering than an Eligible Rule 144A Offering, 25% of the
principal amount of the offering of such class; or (b) if purchased in an
Eligible Rule 144A Offering, 25% of the total of (i) the principal amount
of the offering of such class sold by the underwriters or members of the
selling syndicate to qualified institutional buyers, plus (ii) the principal 
amount of the offering of such class in any concurrent public offering.


[DESCRIPTION]Report of 10f-3 Transactions
Securities Purchases in Underwritings Involving
Transactions with Donaldson, Lufkin, & Jenrette Securities Co
Subject to Rule 10f-3 Under the Investment Company Act of 1940
ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC. - CONSERVATIVE INVESTORS PORTFOLIO
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD JANUARY 1, 1997 THROUGH FEBRUARY 28, 1997
<CAPTION>
                                                                         Total
                                                              Shares     Shares  % of Issue                       Shares
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets (1Share    Fund Group (000)   By Group (Broker(s)              02/28/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Circuit City Stores, Inc. 02/04/97 100      0.01%    $20.00   675,000    21,860  3.09%     Morgan Stanley         1,030
</TABLE>
1-Purchase may not exceed 3% of Fund's Total Assets.
2-Purchases by all Alliance Funds may not exceed the greater of (i) 4% of
the principal amount of the offering or (ii) $500,000 in principal amount,
but in no event may exeed 10% of the principal amount of the offering.


[DESCRIPTION]Report of 10f-3 Transactions
Securities Purchases in Underwritings Involving
Transactions with Donaldson, Lufkin, & Jenrette Securities Co
Subject to Rule 10f-3 Under the Investment Company Act of 1940
ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC. - GROWTH INVESTORS PORTFOLIO
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD JANUARY 1, 1997 THROUGH FEBRUARY 28, 1997
<CAPTION>
                                                                         Total
                                                              Shares     Shares  % of Issue                       Shares
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets (1Share    Fund Group (000)   By Group (Broker(s)              02/28/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Circuit City Stores, Inc. 02/04/97 100      0.02%    $20.00   675,000    21,860  3.09%     Morgan Stanley         1,330
</TABLE>
1-Purchase may not exceed 3% of Fund's Total Assets.
2-Purchases by all Alliance Funds may not exceed the greater of (i) 4% of
the principal amount of the offering or (ii) $500,000 in principal amount,
but in no event may exeed 10% of the principal amount of the offering.


[DESCRIPTION]Report of 10f-3 Transactions
Securities Purchases in Underwritings Involving
Transactions with Donaldson, Lufkin, & Jenrette Securities Co
Subject to Rule 10f-3 Under the Investment Company Act of 1940
ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC. - TECHNOLOGY INVESTORS PORTFOLIO
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD JANUARY 1, 1997 THROUGH FEBRUARY 28, 1997
<CAPTION>
                                                                         Total
                                                              Shares     Shares  % of Issue                       Shares
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets (1Share    Fund Group (000)   By Group (Broker(s)              02/28/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
ILOG S.A.                 02/14/97 600      0.02%    $11.00   28,000     2,500   1.12%     Cowen & Co.            0
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD MARCH 1, 1997 THROUGH APRIL 30, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              04/30/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Neo Magic Corp.           03/14/97 800      0.01%    $12.00   32,600     3,000   1.09%     Morgan Stanley         0
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD MAY 31, 1997 THROUGH JULY 31, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              07/31/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Peritus Software          07/01/97 600      0.02%    $16.00   34,300     3,500   0.98%     Montgomery Securities  0
</TABLE>
1-Purchase may not exceed 3% of Fund's Total Assets.
2-Purchases by all Alliance Funds may not exceed the greater of (i) 4% of
the principal amount of the offering or (ii) $500,000 in principal amount,
but in no event may exeed 10% of the principal amount of the offering.
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD NOVEMBER 1, 1997 THROUGH DECEMBER 31, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bOffered Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              12/31/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Tech Data Corp.           11/10/97 9,300             $42.00   283,700    3,500   8.11%     Goldman Sachs          14,800
</TABLE>
* Unless otherwise indicated, the securities were part of an issue registered
under the Securities Act of 1933 and offered to the public.
**Indicates the puchase of an Eligible Rule 144A Security.
1) Purchases by all Alliance Funds, including the Fund, may not exceed: (a) if
purchased in an offering than an Eligible Rule 144A Offering, 25% of the
principal amount of the offering of such class; or (b) if purchased in an
Eligible Rule 144A Offering, 25% of the total of (i) the principal amount
of the offering of such class sold by the underwriters or members of the
selling syndicate to qualified institutional buyers, plus (ii) the principal 
amount of the offering of such class in any concurrent public offering.


[DESCRIPTION]Report of 10f-3 Transactions
Securities Purchases in Underwritings Involving
Transactions with Donaldson, Lufkin, & Jenrette Securities Co
Subject to Rule 10f-3 Under the Investment Company Act of 1940
ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC. - QUASAR PORTFOLIO
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD JANUARY 1, 1997 THROUGH FEBRUARY 28, 1997
<CAPTION>
                                                                         Total
                                                              Shares     Shares  % of Issue                       Shares
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets (1Share    Fund Group (000)   By Group (Broker(s)              02/28/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Doncasters PLC            01/29/97 1,700    0.21%    $16.50   125,000    5,600   2.23%     CS First Boston Corp.  8,100
Vail Resorts Inc.         02/03/97 5,400    0.86%    $22.00   300,000    12,100  2.48%     BT Securities          0
Silgan Holdings Inc.      02/13/97 2,100    0.28%    $20.00   113,700    3,700   3.07%     Goldman Sachs          7,500
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD MAY 1, 1997 THROUGH JULY 31, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              07/31/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Jacor Communications      05/16/97 1,300    0.01%    $31.00   47,500     6,650   0.71%     Merrill Lynch          6,200
LHS Group                 05/15/97 1,100    0.01%    $16.00   40,800     4,800   0.85%     Goldman Sachs          0
Rental Service Corp.      05/30/97 4,900    0.01%    $19.88   160,000    5,280   3.03%     Blair Williams         0
Arm Financial             06/18/97 3,000    0.01%    $15.00   178,900    8,000   2.24%     Morgan Stanley         0
RWD Technologies          06/19/97 200      0.01%    $13.00   5,500      3,000   0.18%     Blair Williams         0
Cal Dive International    07/01/97 4,000    0.01%    $15.00   126,700    3,600   3.52%     Simmons & Co.          0
Peritus Software          07/01/97 400      0.01%    $16.00   34,300     3,500   0.98%     Montgomery Securities  0
CCA Prison Realty         07/15/97 1,200    0.01%    $21.00   46,000     18,500  0.25%     JC Bradford & Co.      7,000
Friede Goldman            07/21/97 5,600    0.01%    $17.00   150,000    4,665   3.22%     Jefferies & Co.        9,000
Novel Denim               07/24/97 24,700   0.01%    $18.00   96,500     4,250   2.27%     Kemper Financial       25,200
CHS Electronics           07/25/97 6,900    0.01%    $31.75   183,200    13,000  1.41%     Raymond James          8,200
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD AUGUST 1, 1997 THROUGH OCTOBER 5, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              10/05/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Trendwest Resort          08/14/97 3,900    0.17%    $18.00   105,000    2,875   3.65%     Montgomery Securities  0
Steel Dynamics            08/13/97 7,100    0.44%    $25.00   216,700    8,400   2.58%     Morgan Stanley & Co.   12,200
Carrizo Oil & Gas         08/06/97 3,700    0.10%    $11.00   100,000    2,500   4.00%     Schroder Securities    0
Network Solutions         09/26/97 400      0.01%    $18.00   29,000     3,300   0.88%     Lewco Securities Agent 0
Avis Rent A Car           09/23/97 6,600    0.22%    $17.00   188,300    19,500  0.97%     Bear Stearns Securities26,700
Peterson Companies Inc.   10/01/97 2,400    0.08%    $17.50   3,800      7,000   0.05%     Morgan Stanley & Co.   0
Ivex Packing Corp.        10/01/97 3,200    0.10%    $16.00   87,500     8,400   1.04%     Merrill Lynch          22,500
</TABLE>
1-Purchase may not exceed 3% of Fund's Total Assets.
2-Purchases by all Alliance Funds may not exceed the greater of (i) 4% of
the principal amount of the offering or (ii) $500,000 in principal amount,
but in no event may exeed 10% of the principal amount of the offering.
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD OCTOBER 6, 1997 THROUGH OCTOBER 31, 1997
<CAPTION>
                                                                         Total
                          Date     Shares            Price perPurchased bOffered Purchased                        Held
Security                  PurchasedPurchased         Share    Fund Group (000)   By Group  Broker(s)              10/31/97
<C>                       <C>      <C>               <C>      <C>        <C>     <C>       <C>                    <C>
Trimeris Inc.             10/07/97 5,400             $12.00   150,000    2,075   7.23%     UBS Securities         0
American Disposal Services10/22/97 3,300             $30.50   75,000     6,000   1.25%     Oppenheimer & Co. Inc. 17,900
Metromedia Fiber Network-A10/28/97 2,500             $16.00   101,700    7,092   1.43%     Salomon Brothers Inc.  2,500
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD NOVEMBER 1, 1997 THROUGH DECEMBER 31, 1997
<CAPTION>
                                                                         Total
                          Date     Shares            Price perPurchased bOffered Purchased                        Held
Security                  PurchasedPurchased         Share    Fund Group (000)   By Group  Broker(s)              12/31/97
<C>                       <C>      <C>               <C>      <C>        <C>     <C>       <C>                    <C>
IRI International Corp.   11/13/97 5,400             $18.00   131,300    12,000  1.09%     Lehman Brothers Inc.   0
Rayovac Corp.             11/20/97 14,500            $14.00   350,000    6,700   5.22%     Merrill Lynch          0
Meadowcraft Inc.          11/25/97 6,600             $13.00   168,000    3,125   5.38%     Edwards AG & Sons      0
Meadowcraft Inc.          11/25/97 300               $13.00   168,000    3,125   5.38%     Credit Lyonnais Securit0
United Rentals Inc.       12/18/97 10,100            $13.50   249,500    7,000   3.56%     Lehman Brothers Inc.   10,100
Princeton Video Image Inc.12/16/97 12,100            $7.00    299,400    4,000   7.49%     Allen & Company Inc.   12,100
</TABLE>
* Unless otherwise indicated, the securities were part of an issue registered
under the Securities Act of 1933 and offered to the public.
**Indicates the puchase of an Eligible Rule 144A Security.
1) Purchases by all Alliance Funds, including the Fund, may not exceed: (a) if
purchased in an offering than an Eligible Rule 144A Offering, 25% of the
principal amount of the offering of such class; or (b) if purchased in an
Eligible Rule 144A Offering, 25% of the total of (i) the principal amount
of the offering of such class sold by the underwriters or members of the
selling syndicate to qualified institutional buyers, plus (ii) the principal 
amount of the offering of such class in any concurrent public offering.


[DESCRIPTION]Report of 10f-3 Transactions
Securities Purchases in Underwritings Involving
Transactions with Donaldson, Lufkin, & Jenrette Securities Co
Subject to Rule 10f-3 Under the Investment Company Act of 1940
ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC. - REAL ESTATE INVESTMENT PORTFOLIO
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD JANUARY 1, 1997 THROUGH FEBRUARY 28, 1997
<CAPTION>
                                                                         Total
                                                              Shares     Shares  % of Issue                       Shares
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets (1Share    Fund Group (000)   By Group (Broker(s)              02/28/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Kilroy Realty Corp.       01/28/97 100      0.56%    $23.00   179,600    11,300  1.59%     Smith Barney           300
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD MARCH 1, 1997 THROUGH APRIL 30, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              04/30/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Beacon Properties Corp.   04/10/97 400      0.38%    $32.13   26,800     7,000   0.38%     Merrill Lynch          4,000
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD MAY 31, 1997 THROUGH JULY 31, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              07/31/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Equity Office             07/08/97 900      0.38%    $21.00   85,900     25,000  0.34%     Merrill Lynch          3,800
CCA Prison Realty         07/15/97 200      0.09%    $21.00   46,000     18,500  0.25%     JC Bradford & Co.      0
Arden Realty              07/17/97 300      0.16%    $26.125  49,900     12,000  0.42%     Lehman Brothers        5,700
Brandywine Realty         07/22/97 500      0.20%    $20.75   15,500     10,000  0.16%     Smith Barney           8,400
</TABLE>
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD AUGUST 1, 1997 THROUGH OCTOBER 5, 1997
<CAPTION>
                                                                         Total
                          Date     Shares   % of FundPrice perPurchased bIssued  Purchased                        Held
Security                  PurchasedPurchasedAssets   Share    Fund Group (000)   By Group  Broker(s)              10/05/97
<C>                       <C>      <C>      <C>      <C>      <C>        <C>     <C>       <C>                    <C>
Pan Pacific Retail Propert08/07/97 3,400    1.12%    $19.50   157,600    7,000   2.25%     Prudential Securities  15,900
SL Green Realty           08/15/97 1,600    0.55%    $21.00   284,800    10,100  2.82%     Lehman Brothers        14,200
Highwood Properties       09/25/97 1,300    0.57%    $35.00   59,000     7,500   0.79%     Merrill Lynch          9,400
</TABLE>
1-Purchase may not exceed 3% of Fund's Total Assets.
2-Purchases by all Alliance Funds may not exceed the greater of (i) 4% of
the principal amount of the offering or (ii) $500,000 in principal amount,
but in no event may exeed 10% of the principal amount of the offering.
<TABLE>
10f-3 TRANSACTIONS FOR THE PERIOD OCTOBER 6, 1997 THROUGH OCTOBER 31, 1997
<CAPTION>
                                                                         Total
                          Date     Shares            Price perPurchased bOffered Purchased                        Held
Security                  PurchasedPurchased         Share    Fund Group (000)   By Group  Broker(s)              10/31/97
<C>                       <C>      <C>               <C>      <C>        <C>     <C>       <C>                    <C>
Sunstone Hotel Investors  10/08/97 4,700             $17.25   194,000    9,000   2.16%     Merrill Lynch          5,700
Cali Realty Corp.         10/09/97 5,100             $39.8125 211,700    13,000  1.63%     Prudential Securities  6,100
Spieker Properties        10/29/97 600               $38.875  325,600    10,000  3.26%     Goldman Sachs          7,900
</TABLE>
* Unless otherwise indicated, the securities were part of an issue registered
under the Securities Act of 1933 and offered to the public.
**Indicates the puchase of an Eligible Rule 144A Security.
1) Purchases by all Alliance Funds, including the Fund, may not exceed: (a) if
purchased in an offering than an Eligible Rule 144A Offering, 25% of the
principal amount of the offering of such class; or (b) if purchased in an
Eligible Rule 144A Offering, 25% of the total of (i) the principal amount
of the offering of such class sold by the underwriters or members of the
selling syndicate to qualified institutional buyers, plus (ii) the principal 
amount of the offering of such class in any concurrent public offering.


Report of Independent Auditors

To the Shareholders and Board of Directors of
Alliance Variable Products Series Fund, Inc.

In planning and performing our audit of the financial statements of 
Alliance Variable Products Series Fund, Inc. (comprising, 
respectively, the Premier Growth, Global Bond, Growth and Income, 
Short-Term Multi-Market, U.S. Government/High Grade Securities, Total 
Return, International, Money Market, Global Dollar Government, North 
American Government Income, Utility Income, Growth, Worldwide 
Privatization, Conservative Investors, Growth Investors, Technology, 
Quasar, Real Estate Investment and High Yield Portfolios) for the 
year ended December 31, 1997, we considered its internal control, 
including control activities for safeguarding securities, in order to 
determine our auditing procedures for the purpose of expressing our 
opinion on the financial statements and to comply with the 
requirements of Form N-SAR, not to provide assurance on the internal 
control.

The management of Alliance Variable Products Series Fund, Inc. is 
responsible for establishing and maintaining internal control.  In 
fulfilling this responsibility, estimates and judgments by management 
are required to assess the expected benefits and related costs of 
controls.  Generally, controls that are relevant to an audit pertain 
to the entity's objective of preparing financial statements for 
external purposes that are fairly presented in conformity with 
generally accepted accounting principles.  Those controls include the 
safeguarding of assets against unauthorized acquisition, use or 
disposition.

Because of inherent limitations in internal control, errors or fraud 
may occur and not be detected.  Also, projection of any evaluation of 
internal control to future periods is subject to the risk that it may 
become inadequate because of changes in conditions or that the 
effectiveness of the design and operation may deteriorate.

Our consideration of the internal control would not necessarily 
disclose all matters in the internal control that might be material 
weaknesses under standards established by the American Institute of 
Certified Public Accountants.  A material weakness is a condition in 
which the design or operation of one or more of the internal control 
components does not reduce to a relatively low level the risk that 
errors or fraud in amounts that would be material in relation to the 
financial statements being audited may occur and not be detected 
within a timely period by employees in the normal course of 
performing their assigned functions.  However, we noted no matters 
involving the internal control and its operation, including controls 
for safeguarding securities, that we consider to be material 
weaknesses as defined above at December 31, 1997.

This report is intended solely for the information and use of the 
board of directors and management of Alliance Variable Products 
Series Fund, Inc. and the Securities and Exchange Commission.



	ERNST & YOUNG LLP

January 30, 1998


<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
<SERIES>
   <NUMBER> 01
   <NAME> SHORT TERM MULTI MARKET PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                        6,242,555
<INVESTMENTS-AT-VALUE>                       5,961,640
<RECEIVABLES>                                  175,496
<ASSETS-OTHER>                                 366,417
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                               6,503,553
<PAYABLE-FOR-SECURITIES>                             0
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                       14,121
<TOTAL-LIABILITIES>                             14,121
<SENIOR-EQUITY>                                    614
<PAID-IN-CAPITAL-COMMON>                     7,269,654
<SHARES-COMMON-STOCK>                          613,666
<SHARES-COMMON-PRIOR>                          662,827
<ACCUMULATED-NII-CURRENT>                      473,715
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                    (1,130,586)
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                     (123,965)
<NET-ASSETS>                                 6,489,432
<DIVIDEND-INCOME>                                    0
<INTEREST-INCOME>                              463,113
<OTHER-INCOME>                                       0
<EXPENSES-NET>                                (67,771)
<NET-INVESTMENT-INCOME>                        395,342
<REALIZED-GAINS-CURRENT>                       111,719
<APPREC-INCREASE-CURRENT>                    (181,535)
<NET-CHANGE-FROM-OPS>                          325,526
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                    (412,899)
<DISTRIBUTIONS-OF-GAINS>                             0
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                        366,280
<NUMBER-OF-SHARES-REDEEMED>                  (455,606)
<SHARES-REINVESTED>                             40,165
<NET-CHANGE-IN-ASSETS>                       (622,872)
<ACCUMULATED-NII-PRIOR>                        346,901
<ACCUMULATED-GAINS-PRIOR>                  (1,097,934)
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                           40,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                102,000
<AVERAGE-NET-ASSETS>                         7,183,874
<PER-SHARE-NAV-BEGIN>                            10.73
<PER-SHARE-NII>                                   0.59
<PER-SHARE-GAIN-APPREC>                         (0.11)
<PER-SHARE-DIVIDEND>                            (0.64)
<PER-SHARE-DISTRIBUTIONS>                         0.00
<RETURNS-OF-CAPITAL>                              0.00
<PER-SHARE-NAV-END>                              10.57
<EXPENSE-RATIO>                                   0.94
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCT SERIES FUND, INC.
<SERIES>
   <NUMBER> 02
   <NAME> GROWTH AND INCOME PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
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<INVESTMENTS-AT-COST>                      220,961,778
<INVESTMENTS-AT-VALUE>                     249,328,049
<RECEIVABLES>                                2,296,568
<ASSETS-OTHER>                                     515
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                             251,625,132
<PAYABLE-FOR-SECURITIES>                     1,137,929
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                      285,608
<TOTAL-LIABILITIES>                          1,423,537
<SENIOR-EQUITY>                                 12,553
<PAID-IN-CAPITAL-COMMON>                   191,694,750
<SHARES-COMMON-STOCK>                       12,552,817
<SHARES-COMMON-PRIOR>                        7,727,283
<ACCUMULATED-NII-CURRENT>                    2,192,351
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                     27,935,656
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                    28,366,282
<NET-ASSETS>                               250,201,595
<DIVIDEND-INCOME>                            3,122,096
<INTEREST-INCOME>                              425,839
<OTHER-INCOME>                                       0
<EXPENSES-NET>                             (1,352,601)
<NET-INVESTMENT-INCOME>                      2,195,334
<REALIZED-GAINS-CURRENT>                    27,933,671
<APPREC-INCREASE-CURRENT>                   15,634,977
<NET-CHANGE-FROM-OPS>                       45,765,982
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                  (1,272,246)
<DISTRIBUTIONS-OF-GAINS>                   (9,150,387)
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                      4,651,201
<NUMBER-OF-SHARES-REDEEMED>                  (411,208)
<SHARES-REINVESTED>                            585,541
<NET-CHANGE-IN-ASSETS>                     123,472,190
<ACCUMULATED-NII-PRIOR>                      1,269,248
<ACCUMULATED-GAINS-PRIOR>                    9,149,428
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                        1,180,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                              1,353,000
<AVERAGE-NET-ASSETS>                       188,848,790
<PER-SHARE-NAV-BEGIN>                            16.40
<PER-SHARE-NII>                                   0.21
<PER-SHARE-GAIN-APPREC>                           4.39
<PER-SHARE-DIVIDEND>                            (0.13)
<PER-SHARE-DISTRIBUTIONS>                       (0.94)
<RETURNS-OF-CAPITAL>                                 0
<PER-SHARE-NAV-END>                              19.93
<EXPENSE-RATIO>                                    .72
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
<SERIES>
   <NUMBER> 03
   <NAME> GLOBAL BOND PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       21,876,330
<INVESTMENTS-AT-VALUE>                      21,763,934
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<ASSETS-OTHER>                                 167,795
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                              22,364,611
<PAYABLE-FOR-SECURITIES>                             0
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                      170,266
<TOTAL-LIABILITIES>                            170,266
<SENIOR-EQUITY>                                  1,999
<PAID-IN-CAPITAL-COMMON>                    21,846,305
<SHARES-COMMON-STOCK>                        1,999,231
<SHARES-COMMON-PRIOR>                        1,542,961
<ACCUMULATED-NII-CURRENT>                      229,154
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                        108,075
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                         8,812
<NET-ASSETS>                                22,194,345
<DIVIDEND-INCOME>                                    0
<INTEREST-INCOME>                            1,116,903
<OTHER-INCOME>                                       0
<EXPENSES-NET>                               (182,300)
<NET-INVESTMENT-INCOME>                        934,603
<REALIZED-GAINS-CURRENT>                     (551,283)
<APPREC-INCREASE-CURRENT>                    (187,415)
<NET-CHANGE-FROM-OPS>                          195,905
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                    (945,935)
<DISTRIBUTIONS-OF-GAINS>                     (219,946)
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                        615,554
<NUMBER-OF-SHARES-REDEEMED>                  (266,344)
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<NET-CHANGE-IN-ASSETS>                       4,077,255
<ACCUMULATED-NII-PRIOR>                        920,567
<ACCUMULATED-GAINS-PRIOR>                      199,223
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                          126,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                200,000
<AVERAGE-NET-ASSETS>                        19,444,855
<PER-SHARE-NAV-BEGIN>                            11.74
<PER-SHARE-NII>                                   0.54
<PER-SHARE-GAIN-APPREC>                         (0.48)
<PER-SHARE-DIVIDEND>                            (0.57)
<PER-SHARE-DISTRIBUTIONS>                       (0.13)
<RETURNS-OF-CAPITAL>                              0.00
<PER-SHARE-NAV-END>                              11.10
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<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCT SERIES FUND, INC.
<SERIES>
   <NUMBER> 04
   <NAME> PREMIER GROWTH PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                      379,845,622
<INVESTMENTS-AT-VALUE>                     469,955,845
<RECEIVABLES>                                2,909,430
<ASSETS-OTHER>                                     668
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                             472,865,943
<PAYABLE-FOR-SECURITIES>                             0
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                      539,838
<TOTAL-LIABILITIES>                            539,838
<SENIOR-EQUITY>                                 22,504
<PAID-IN-CAPITAL-COMMON>                   389,213,455
<SHARES-COMMON-STOCK>                       22,504,318
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<ACCUMULATED-NII-CURRENT>                      594,942
<OVERDISTRIBUTION-NII>                               0
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<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                    90,110,223
<NET-ASSETS>                               472,326,105
<DIVIDEND-INCOME>                            2,517,129
<INTEREST-INCOME>                              769,879
<OTHER-INCOME>                                       0
<EXPENSES-NET>                             (2,691,477)
<NET-INVESTMENT-INCOME>                        595,531
<REALIZED-GAINS-CURRENT>                   (6,667,622)
<APPREC-INCREASE-CURRENT>                   72,666,731
<NET-CHANGE-FROM-OPS>                       66,594,640
<EQUALIZATION>                                       0
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<DISTRIBUTIONS-OTHER>                                0
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<NUMBER-OF-SHARES-REDEEMED>                (2,038,212)
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<NET-CHANGE-IN-ASSETS>                     375,891,797
<ACCUMULATED-NII-PRIOR>                        323,427
<ACCUMULATED-GAINS-PRIOR>                    (947,397)
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                        2,833,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                              3,126,000
<AVERAGE-NET-ASSETS>                       283,320,677
<PER-SHARE-NAV-BEGIN>                            15.70
<PER-SHARE-NII>                                   0.04
<PER-SHARE-GAIN-APPREC>                           5.27
<PER-SHARE-DIVIDEND>                            (0.02)
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<RETURNS-OF-CAPITAL>                                 0
<PER-SHARE-NAV-END>                              20.99
<EXPENSE-RATIO>                                    .95
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
<SERIES>
   <NUMBER> 05
   <NAME> U.S. GOVERNMENT/HIGH GRADE PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       35,016,067
<INVESTMENTS-AT-VALUE>                      35,677,712
<RECEIVABLES>                                  576,697
<ASSETS-OTHER>                                     201
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                              36,254,610
<PAYABLE-FOR-SECURITIES>                             0
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                       56,832
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<SENIOR-EQUITY>                                  3,034
<PAID-IN-CAPITAL-COMMON>                    33,468,495
<SHARES-COMMON-STOCK>                        3,033,854
<SHARES-COMMON-PRIOR>                        2,531,426
<ACCUMULATED-NII-CURRENT>                    1,821,509
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                        204,479
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                       661,645
<NET-ASSETS>                                36,197,778
<DIVIDEND-INCOME>                                4,725
<INTEREST-INCOME>                            2,119,415
<OTHER-INCOME>                                       0
<EXPENSES-NET>                               (264,131)
<NET-INVESTMENT-INCOME>                      1,860,009
<REALIZED-GAINS-CURRENT>                       242,976
<APPREC-INCREASE-CURRENT>                      558,819
<NET-CHANGE-FROM-OPS>                        2,661,804
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                  (1,409,036)
<DISTRIBUTIONS-OF-GAINS>                      (54,796)
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                        870,507
<NUMBER-OF-SHARES-REDEEMED>                  (497,164)
<SHARES-REINVESTED>                            129,085
<NET-CHANGE-IN-ASSETS>                       7,047,874
<ACCUMULATED-NII-PRIOR>                      1,370,536
<ACCUMULATED-GAINS-PRIOR>                       54,933
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                          190,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                264,000
<AVERAGE-NET-ASSETS>                        31,590,513
<PER-SHARE-NAV-BEGIN>                            11.52
<PER-SHARE-NII>                                   0.68
<PER-SHARE-GAIN-APPREC>                           0.29
<PER-SHARE-DIVIDEND>                            (0.54)
<PER-SHARE-DISTRIBUTIONS>                       (0.02)
<RETURNS-OF-CAPITAL>                              0.00
<PER-SHARE-NAV-END>                              11.93
<EXPENSE-RATIO>                                   0.84
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCT SERIES FUND, INC.
<SERIES>
   <NUMBER> 06
   <NAME> TOTAL RETURN PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       39,116,803
<INVESTMENTS-AT-VALUE>                      42,625,882
<RECEIVABLES>                                  473,061
<ASSETS-OTHER>                                     182
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                              43,099,125
<PAYABLE-FOR-SECURITIES>                       124,155
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                       55,001
<TOTAL-LIABILITIES>                            179,156
<SENIOR-EQUITY>                                  2,537
<PAID-IN-CAPITAL-COMMON>                    34,796,439
<SHARES-COMMON-STOCK>                        2,536,298
<SHARES-COMMON-PRIOR>                        1,768,899
<ACCUMULATED-NII-CURRENT>                      822,392
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                      3,789,522
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                     3,509,079
<NET-ASSETS>                                42,919,969
<DIVIDEND-INCOME>                              354,398
<INTEREST-INCOME>                              760,827
<OTHER-INCOME>                                       0
<EXPENSES-NET>                               (293,213)
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<REALIZED-GAINS-CURRENT>                     3,789,362
<APPREC-INCREASE-CURRENT>                    1,754,576
<NET-CHANGE-FROM-OPS>                        6,365,950
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                    (480,826)
<DISTRIBUTIONS-OF-GAINS>                   (1,019,434)
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                        880,572
<NUMBER-OF-SHARES-REDEEMED>                  (210,529)
<SHARES-REINVESTED>                             97,356
<NET-CHANGE-IN-ASSETS>                      17,044,619
<ACCUMULATED-NII-PRIOR>                        481,043
<ACCUMULATED-GAINS-PRIOR>                    1,019,757
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                          209,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                294,000
<AVERAGE-NET-ASSETS>                        33,441,362
<PER-SHARE-NAV-BEGIN>                            14.63
<PER-SHARE-NII>                                   0.39
<PER-SHARE-GAIN-APPREC>                           2.62
<PER-SHARE-DIVIDEND>                            (0.23)
<PER-SHARE-DISTRIBUTIONS>                       (0.49)
<RETURNS-OF-CAPITAL>                                 0
<PER-SHARE-NAV-END>                              16.92
<EXPENSE-RATIO>                                    .88
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
<SERIES>
   <NUMBER> 07
   <NAME> INTERNATIONAL PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       58,656,226
<INVESTMENTS-AT-VALUE>                      59,500,779
<RECEIVABLES>                                  322,229
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<OTHER-ITEMS-ASSETS>                                 0
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<PAYABLE-FOR-SECURITIES>                             0
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                      452,564
<TOTAL-LIABILITIES>                            452,564
<SENIOR-EQUITY>                                  4,042
<PAID-IN-CAPITAL-COMMON>                    57,503,795
<SHARES-COMMON-STOCK>                        4,042,053
<SHARES-COMMON-PRIOR>                        2,976,776
<ACCUMULATED-NII-CURRENT>                      242,000
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                      1,419,480
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                     1,541,081
<NET-ASSETS>                                60,710,398
<DIVIDEND-INCOME>                              807,702
<INTEREST-INCOME>                              193,058
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<NET-CHANGE-FROM-OPS>                        1,898,209
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                    (523,610)
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<NUMBER-OF-SHARES-SOLD>                      5,433,762
<NUMBER-OF-SHARES-REDEEMED>                (4,454,018)
<SHARES-REINVESTED>                             85,533
<NET-CHANGE-IN-ASSETS>                      16,386,302
<ACCUMULATED-NII-PRIOR>                        462,109
<ACCUMULATED-GAINS-PRIOR>                      776,481
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                          550,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                780,000
<AVERAGE-NET-ASSETS>                        55,023,128
<PER-SHARE-NAV-BEGIN>                            14.89
<PER-SHARE-NII>                                   0.13
<PER-SHARE-GAIN-APPREC>                           0.39
<PER-SHARE-DIVIDEND>                            (0.15)
<PER-SHARE-DISTRIBUTIONS>                       (0.24)
<RETURNS-OF-CAPITAL>                              0.00
<PER-SHARE-NAV-END>                              15.02
<EXPENSE-RATIO>                                   0.95
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCT SERIES FUND, INC.
<SERIES>
   <NUMBER> 08
   <NAME> MONEY MARKET PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       67,142,921
<INVESTMENTS-AT-VALUE>                      67,142,921
<RECEIVABLES>                                  955,717
<ASSETS-OTHER>                                  55,023
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                              68,153,661
<PAYABLE-FOR-SECURITIES>                             0
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                      569,840
<TOTAL-LIABILITIES>                            569,840
<SENIOR-EQUITY>                                 67,583
<PAID-IN-CAPITAL-COMMON>                    67,515,833
<SHARES-COMMON-STOCK>                       67,584,219
<SHARES-COMMON-PRIOR>                       64,769,391
<ACCUMULATED-NII-CURRENT>                        1,046
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                          (641)
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                             0
<NET-ASSETS>                                67,583,821
<DIVIDEND-INCOME>                                    0
<INTEREST-INCOME>                            3,890,830
<OTHER-INCOME>                                       0
<EXPENSES-NET>                               (438,647)
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<REALIZED-GAINS-CURRENT>                         (298)
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<NET-CHANGE-FROM-OPS>                        3,451,885
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                  (3,452,183)
<DISTRIBUTIONS-OF-GAINS>                             0
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<NUMBER-OF-SHARES-SOLD>                    260,121,111
<NUMBER-OF-SHARES-REDEEMED>              (260,758,466)
<SHARES-REINVESTED>                          3,452,183
<NET-CHANGE-IN-ASSETS>                       2,814,530
<ACCUMULATED-NII-PRIOR>                          1,046
<ACCUMULATED-GAINS-PRIOR>                        (343)
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                          345,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                439,000
<AVERAGE-NET-ASSETS>                        69,062,655
<PER-SHARE-NAV-BEGIN>                             1.00
<PER-SHARE-NII>                                   0.05
<PER-SHARE-GAIN-APPREC>                              0
<PER-SHARE-DIVIDEND>                            (0.05)
<PER-SHARE-DISTRIBUTIONS>                            0
<RETURNS-OF-CAPITAL>                                 0
<PER-SHARE-NAV-END>                               1.00
<EXPENSE-RATIO>                                    .64
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
<SERIES>
   <NUMBER> 09
   <NAME> NORTH AMERICAN GOVERNMENT INCOME PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       29,501,391
<INVESTMENTS-AT-VALUE>                      30,410,686
<RECEIVABLES>                                  279,837
<ASSETS-OTHER>                                  10,557
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                              30,701,080
<PAYABLE-FOR-SECURITIES>                             0
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                      194,579
<TOTAL-LIABILITIES>                            194,579
<SENIOR-EQUITY>                                  2,353
<PAID-IN-CAPITAL-COMMON>                    27,237,510
<SHARES-COMMON-STOCK>                        2,352,683
<SHARES-COMMON-PRIOR>                        1,349,031
<ACCUMULATED-NII-CURRENT>                    2,082,356
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                        271,275
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                       913,007
<NET-ASSETS>                                30,506,501
<DIVIDEND-INCOME>                                    0
<INTEREST-INCOME>                            2,326,884
<OTHER-INCOME>                                       0
<EXPENSES-NET>                               (238,003)
<NET-INVESTMENT-INCOME>                      2,088,881
<REALIZED-GAINS-CURRENT>                       292,939
<APPREC-INCREASE-CURRENT>                    (243,915)
<NET-CHANGE-FROM-OPS>                        2,137,905
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                  (1,103,754)
<DISTRIBUTIONS-OF-GAINS>                             0
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                      1,306,695
<NUMBER-OF-SHARES-REDEEMED>                  (391,062)
<SHARES-REINVESTED>                             88,019
<NET-CHANGE-IN-ASSETS>                      13,810,851
<ACCUMULATED-NII-PRIOR>                      1,077,786
<ACCUMULATED-GAINS-PRIOR>                      (2,290)
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                          163,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                261,000
<AVERAGE-NET-ASSETS>                        25,052,913
<PER-SHARE-NAV-BEGIN>                            12.38
<PER-SHARE-NII>                                   1.07
<PER-SHARE-GAIN-APPREC>                           0.10
<PER-SHARE-DIVIDEND>                            (0.58)
<PER-SHARE-DISTRIBUTIONS>                         0.00
<RETURNS-OF-CAPITAL>                              0.00
<PER-SHARE-NAV-END>                              12.97
<EXPENSE-RATIO>                                   0.95
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCT SERIES FUND, INC.
<SERIES>
   <NUMBER> 10
   <NAME> UTILITY INCOME PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       15,967,299
<INVESTMENTS-AT-VALUE>                      20,305,384
<RECEIVABLES>                                   60,446
<ASSETS-OTHER>                                  26,610
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                              20,392,440
<PAYABLE-FOR-SECURITIES>                             0
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                       45,434
<TOTAL-LIABILITIES>                             45,434
<SENIOR-EQUITY>                                  1,298
<PAID-IN-CAPITAL-COMMON>                    15,333,594
<SHARES-COMMON-STOCK>                        1,298,346
<SHARES-COMMON-PRIOR>                        1,170,361
<ACCUMULATED-NII-CURRENT>                      461,439
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                        212,592
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                     4,338,083
<NET-ASSETS>                                20,347,006
<DIVIDEND-INCOME>                              554,341
<INTEREST-INCOME>                               63,761
<OTHER-INCOME>                                       0
<EXPENSES-NET>                               (155,252)
<NET-INVESTMENT-INCOME>                        462,850
<REALIZED-GAINS-CURRENT>                       258,014
<APPREC-INCREASE-CURRENT>                    3,238,860
<NET-CHANGE-FROM-OPS>                        3,959,724
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                    (289,532)
<DISTRIBUTIONS-OF-GAINS>                             0
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                      4,795,124
<NUMBER-OF-SHARES-REDEEMED>                (3,264,635)
<SHARES-REINVESTED>                            289,532
<NET-CHANGE-IN-ASSETS>                       5,490,213
<ACCUMULATED-NII-PRIOR>                        289,028
<ACCUMULATED-GAINS-PRIOR>                     (46,408)
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                          123,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                177,000
<AVERAGE-NET-ASSETS>                        16,342,451
<PER-SHARE-NAV-BEGIN>                            12.69
<PER-SHARE-NII>                                   0.38
<PER-SHARE-GAIN-APPREC>                           2.84
<PER-SHARE-DIVIDEND>                            (0.24)
<PER-SHARE-DISTRIBUTIONS>                       (0.00)
<RETURNS-OF-CAPITAL>                                 0
<PER-SHARE-NAV-END>                              15.67
<EXPENSE-RATIO>                                    .95
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
<SERIES>
   <NUMBER> 11
   <NAME> GLOBAL DOLLAR GOVERNMENT PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       15,312,083
<INVESTMENTS-AT-VALUE>                      15,239,598
<RECEIVABLES>                                  692,771
<ASSETS-OTHER>                                   4,652
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                              15,937,021
<PAYABLE-FOR-SECURITIES>                       525,850
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                       32,727
<TOTAL-LIABILITIES>                            558,577
<SENIOR-EQUITY>                                  1,050
<PAID-IN-CAPITAL-COMMON>                    13,698,404
<SHARES-COMMON-STOCK>                        1,050,053
<SHARES-COMMON-PRIOR>                          617,736
<ACCUMULATED-NII-CURRENT>                    1,013,027
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                        738,448
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                      (72,485)
<NET-ASSETS>                                15,378,444
<DIVIDEND-INCOME>                                3,343
<INTEREST-INCOME>                            1,139,769
<OTHER-INCOME>                                       0
<EXPENSES-NET>                               (123,090)
<NET-INVESTMENT-INCOME>                      1,020,022
<REALIZED-GAINS-CURRENT>                       739,413
<APPREC-INCREASE-CURRENT>                    (463,672)
<NET-CHANGE-FROM-OPS>                        1,295,763
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                    (489,948)
<DISTRIBUTIONS-OF-GAINS>                     (742,125)
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                        567,148
<NUMBER-OF-SHARES-REDEEMED>                  (225,116)
<SHARES-REINVESTED>                             90,285
<NET-CHANGE-IN-ASSETS>                       6,531,038
<ACCUMULATED-NII-PRIOR>                        482,953
<ACCUMULATED-GAINS-PRIOR>                      741,160
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                           97,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                168,000
<AVERAGE-NET-ASSETS>                        12,956,576
<PER-SHARE-NAV-BEGIN>                            14.32
<PER-SHARE-NII>                                   1.17
<PER-SHARE-GAIN-APPREC>                           0.70
<PER-SHARE-DIVIDEND>                            (0.61)
<PER-SHARE-DISTRIBUTIONS>                       (0.93)
<RETURNS-OF-CAPITAL>                              0.00
<PER-SHARE-NAV-END>                              14.65
<EXPENSE-RATIO>                                   0.95
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCT SERIES FUND, INC.
<SERIES>
   <NUMBER> 12
   <NAME> GROWTH PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                      189,215,765
<INVESTMENTS-AT-VALUE>                     243,072,486
<RECEIVABLES>                                  492,977
<ASSETS-OTHER>                                 366,915
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<TOTAL-ASSETS>                             243,932,378
<PAYABLE-FOR-SECURITIES>                     7,660,848
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                      396,545
<TOTAL-LIABILITIES>                          8,057,393
<SENIOR-EQUITY>                                 10,521
<PAID-IN-CAPITAL-COMMON>                   165,726,908
<SHARES-COMMON-STOCK>                       10,521,215
<SHARES-COMMON-PRIOR>                        7,739,999
<ACCUMULATED-NII-CURRENT>                      684,284
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                     15,596,551
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                    53,856,721
<NET-ASSETS>                               235,874,985
<DIVIDEND-INCOME>                            1,599,093
<INTEREST-INCOME>                              647,161
<OTHER-INCOME>                                       0
<EXPENSES-NET>                             (1,558,615)
<NET-INVESTMENT-INCOME>                        687,639
<REALIZED-GAINS-CURRENT>                    15,669,717
<APPREC-INCREASE-CURRENT>                   33,639,619
<NET-CHANGE-FROM-OPS>                       49,996,975
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                    (265,892)
<DISTRIBUTIONS-OF-GAINS>                   (6,564,799)
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                      3,011,243
<NUMBER-OF-SHARES-REDEEMED>                  (589,726)
<SHARES-REINVESTED>                            359,699
<NET-CHANGE-IN-ASSETS>                      97,187,094
<ACCUMULATED-NII-PRIOR>                        262,537
<ACCUMULATED-GAINS-PRIOR>                    6,484,948
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                        1,393,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                              1,559,000
<AVERAGE-NET-ASSETS>                       185,764,161
<PER-SHARE-NAV-BEGIN>                            17.92
<PER-SHARE-NII>                                   0.07
<PER-SHARE-GAIN-APPREC>                           5.18
<PER-SHARE-DIVIDEND>                            (0.03)
<PER-SHARE-DISTRIBUTIONS>                       (0.72)
<RETURNS-OF-CAPITAL>                                 0
<PER-SHARE-NAV-END>                              22.42
<EXPENSE-RATIO>                                    .84
<AVG-DEBT-OUTSTANDING>                               0
<AVG-DEBT-PER-SHARE>                                 0
        

</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCT SERIES FUND, INC.
<SERIES>
   <NUMBER> 13
   <NAME> WORLDWIDE PRIVATIZATION PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       40,869,970
<INVESTMENTS-AT-VALUE>                      41,769,107
<RECEIVABLES>                                  461,828
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<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                              42,284,410
<PAYABLE-FOR-SECURITIES>                       416,006
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                       50,439
<TOTAL-LIABILITIES>                            466,445
<SENIOR-EQUITY>                                  2,945
<PAID-IN-CAPITAL-COMMON>                    38,366,321
<SHARES-COMMON-STOCK>                        2,944,708
<SHARES-COMMON-PRIOR>                        1,432,879
<ACCUMULATED-NII-CURRENT>                      502,310
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                      2,052,094
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                       894,375
<NET-ASSETS>                                41,817,965
<DIVIDEND-INCOME>                              707,801
<INTEREST-INCOME>                              168,207
<OTHER-INCOME>                                       0
<EXPENSES-NET>                               (306,743)
<NET-INVESTMENT-INCOME>                        569,265
<REALIZED-GAINS-CURRENT>                     2,030,990
<APPREC-INCREASE-CURRENT>                    (439,024)
<NET-CHANGE-FROM-OPS>                        2,161,231
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                    (348,486)
<DISTRIBUTIONS-OF-GAINS>                     (421,270)
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                      1,621,182
<NUMBER-OF-SHARES-REDEEMED>                  (162,366)
<SHARES-REINVESTED>                             53,013
<NET-CHANGE-IN-ASSETS>                      23,011,152
<ACCUMULATED-NII-PRIOR>                        308,447
<ACCUMULATED-GAINS-PRIOR>                      415,378
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                          323,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                501,000
<AVERAGE-NET-ASSETS>                        32,288,842
<PER-SHARE-NAV-BEGIN>                            13.13
<PER-SHARE-NII>                                   0.25
<PER-SHARE-GAIN-APPREC>                           1.17
<PER-SHARE-DIVIDEND>                            (0.16)
<PER-SHARE-DISTRIBUTIONS>                       (0.19)
<RETURNS-OF-CAPITAL>                                 0
<PER-SHARE-NAV-END>                              14.20
<EXPENSE-RATIO>                                    .95
<AVG-DEBT-OUTSTANDING>                               0
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</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
<SERIES>
   <NUMBER> 14
   <NAME> CONSERVATIVE INVESTORS PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       28,753,388
<INVESTMENTS-AT-VALUE>                      29,946,673
<RECEIVABLES>                                  198,230
<ASSETS-OTHER>                                  95,487
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                              30,240,390
<PAYABLE-FOR-SECURITIES>                            50
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                       43,959
<TOTAL-LIABILITIES>                             44,009
<SENIOR-EQUITY>                                  2,305
<PAID-IN-CAPITAL-COMMON>                    26,776,245
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<SHARES-COMMON-PRIOR>                        1,800,117
<ACCUMULATED-NII-CURRENT>                      973,022
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                      1,252,054
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                     1,192,755
<NET-ASSETS>                                30,196,381
<DIVIDEND-INCOME>                               80,090
<INTEREST-INCOME>                            1,145,503
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<EXPENSES-NET>                               (242,457)
<NET-INVESTMENT-INCOME>                        983,136
<REALIZED-GAINS-CURRENT>                     1,295,033
<APPREC-INCREASE-CURRENT>                      469,660
<NET-CHANGE-FROM-OPS>                        2,747,829
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<DISTRIBUTIONS-OF-GAINS>                             0
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<NUMBER-OF-SHARES-SOLD>                        780,780
<NUMBER-OF-SHARES-REDEEMED>                  (325,161)
<SHARES-REINVESTED>                             48,986
<NET-CHANGE-IN-ASSETS>                       8,467,188
<ACCUMULATED-NII-PRIOR>                        607,910
<ACCUMULATED-GAINS-PRIOR>                     (52,673)
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<PER-SHARE-NAV-BEGIN>                            12.07
<PER-SHARE-NII>                                   0.48
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<EXPENSE-RATIO>                                   0.95
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</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
<SERIES>
   <NUMBER> 15
   <NAME> GROWTH INVESTORS PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       15,407,619
<INVESTMENTS-AT-VALUE>                      16,483,770
<RECEIVABLES>                                   60,035
<ASSETS-OTHER>                                  78,169
<OTHER-ITEMS-ASSETS>                                 0
<TOTAL-ASSETS>                              16,621,974
<PAYABLE-FOR-SECURITIES>                             0
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                       22,064
<TOTAL-LIABILITIES>                             22,064
<SENIOR-EQUITY>                                  1,155
<PAID-IN-CAPITAL-COMMON>                    13,976,715
<SHARES-COMMON-STOCK>                        1,154,452
<SHARES-COMMON-PRIOR>                          840,388
<ACCUMULATED-NII-CURRENT>                      202,165
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                      1,343,830
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<ACCUM-APPREC-OR-DEPREC>                     1,076,045
<NET-ASSETS>                                16,599,910
<DIVIDEND-INCOME>                               94,064
<INTEREST-INCOME>                              257,948
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<REALIZED-GAINS-CURRENT>                     1,347,406
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<NET-CHANGE-FROM-OPS>                        1,908,996
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<NUMBER-OF-SHARES-REDEEMED>                  (150,934)
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<NET-CHANGE-IN-ASSETS>                       5,890,574
<ACCUMULATED-NII-PRIOR>                        177,700
<ACCUMULATED-GAINS-PRIOR>                      175,410
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
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<INTEREST-EXPENSE>                                   0
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<AVERAGE-NET-ASSETS>                        13,190,645
<PER-SHARE-NAV-BEGIN>                            12.74
<PER-SHARE-NII>                                   0.23
<PER-SHARE-GAIN-APPREC>                           1.83
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<EXPENSE-RATIO>                                   0.95
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</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCT SERIES FUND, INC.
<SERIES>
   <NUMBER> 16
   <NAME> TECHNOLOGY PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       63,250,321
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<PAYABLE-FOR-SECURITIES>                             0
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<OTHER-ITEMS-LIABILITIES>                       82,837
<TOTAL-LIABILITIES>                             82,837
<SENIOR-EQUITY>                                  5,910
<PAID-IN-CAPITAL-COMMON>                    66,298,076
<SHARES-COMMON-STOCK>                        5,910,211
<SHARES-COMMON-PRIOR>                        2,543,479
<ACCUMULATED-NII-CURRENT>                       86,218
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                    (2,541,620)
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<ACCUM-APPREC-OR-DEPREC>                     5,391,249
<NET-ASSETS>                                69,239,833
<DIVIDEND-INCOME>                               33,141
<INTEREST-INCOME>                              543,765
<OTHER-INCOME>                                       0
<EXPENSES-NET>                               (491,987)
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<REALIZED-GAINS-CURRENT>                   (2,186,460)
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<NET-CHANGE-FROM-OPS>                        1,229,914
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                    (141,660)
<DISTRIBUTIONS-OF-GAINS>                             0
<DISTRIBUTIONS-OTHER>                                0
<NUMBER-OF-SHARES-SOLD>                      3,792,319
<NUMBER-OF-SHARES-REDEEMED>                  (437,863)
<SHARES-REINVESTED>                             12,276
<NET-CHANGE-IN-ASSETS>                      41,156,402
<ACCUMULATED-NII-PRIOR>                        142,959
<ACCUMULATED-GAINS-PRIOR>                    (355,160)
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<OVERDIST-NET-GAINS-PRIOR>                           0
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<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                617,000
<AVERAGE-NET-ASSETS>                        51,788,136
<PER-SHARE-NAV-BEGIN>                            11.04
<PER-SHARE-NII>                                   0.02
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</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCT SERIES FUND, INC.
<SERIES>
   <NUMBER> 17
   <NAME> QUASAR PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-01-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       58,583,335
<INVESTMENTS-AT-VALUE>                      58,810,689
<RECEIVABLES>                                1,339,551
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<PAYABLE-FOR-SECURITIES>                     1,003,660
<SENIOR-LONG-TERM-DEBT>                              0
<OTHER-ITEMS-LIABILITIES>                       52,807
<TOTAL-LIABILITIES>                          1,056,467
<SENIOR-EQUITY>                                  4,701
<PAID-IN-CAPITAL-COMMON>                    53,776,345
<SHARES-COMMON-STOCK>                        4,700,876
<SHARES-COMMON-PRIOR>                          830,749
<ACCUMULATED-NII-CURRENT>                       45,520
<OVERDISTRIBUTION-NII>                               0
<ACCUMULATED-NET-GAINS>                      5,223,248
<OVERDISTRIBUTION-GAINS>                             0
<ACCUM-APPREC-OR-DEPREC>                       227,354
<NET-ASSETS>                                59,277,168
<DIVIDEND-INCOME>                              102,551
<INTEREST-INCOME>                              284,496
<OTHER-INCOME>                                       0
<EXPENSES-NET>                               (327,779)
<NET-INVESTMENT-INCOME>                         59,268
<REALIZED-GAINS-CURRENT>                     5,195,196
<APPREC-INCREASE-CURRENT>                       79,213
<NET-CHANGE-FROM-OPS>                        5,333,677
<EQUALIZATION>                                       0
<DISTRIBUTIONS-OF-INCOME>                     (22,104)
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<NUMBER-OF-SHARES-REDEEMED>                  (246,062)
<SHARES-REINVESTED>                              1,959
<NET-CHANGE-IN-ASSETS>                      50,435,351
<ACCUMULATED-NII-PRIOR>                         11,162
<ACCUMULATED-GAINS-PRIOR>                       25,330
<OVERDISTRIB-NII-PRIOR>                              0
<OVERDIST-NET-GAINS-PRIOR>                           0
<GROSS-ADVISORY-FEES>                          345,000
<INTEREST-EXPENSE>                                   0
<GROSS-EXPENSE>                                474,000
<AVERAGE-NET-ASSETS>                        34,503,052
<PER-SHARE-NAV-BEGIN>                            10.64
<PER-SHARE-NII>                                   0.02
<PER-SHARE-GAIN-APPREC>                           1.96
<PER-SHARE-DIVIDEND>                            (0.01)
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<EXPENSE-RATIO>                                    .95
<AVG-DEBT-OUTSTANDING>                               0
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</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCT SERIES FUND, INC.
<SERIES>
   <NUMBER> 18
   <NAME> REAL ESTATE INVESTMENT PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             JAN-09-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                       12,703,771
<INVESTMENTS-AT-VALUE>                      13,736,232
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<SHARES-COMMON-STOCK>                        1,110,131
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<NET-INVESTMENT-INCOME>                        287,942
<REALIZED-GAINS-CURRENT>                        79,169
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<NET-CHANGE-FROM-OPS>                        1,399,572
<EQUALIZATION>                                       0
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<NUMBER-OF-SHARES-SOLD>                      1,182,129
<NUMBER-OF-SHARES-REDEEMED>                   (71,998)
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<ACCUMULATED-NII-PRIOR>                              0
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<OVERDIST-NET-GAINS-PRIOR>                           0
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<AVERAGE-NET-ASSETS>                         5,398,699
<PER-SHARE-NAV-BEGIN>                            10.00
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</TABLE>

<TABLE> <S> <C>

<ARTICLE> 6
<CIK> 0000825316
<NAME> ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
<SERIES>
   <NUMBER> 19
   <NAME> HIGH YIELD PORTFOLIO
       
<S>                             <C>
<PERIOD-TYPE>                   12-MOS
<FISCAL-YEAR-END>                          DEC-31-1997
<PERIOD-START>                             OCT-27-1997
<PERIOD-END>                               DEC-31-1997
<INVESTMENTS-AT-COST>                        1,083,805
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</TABLE>


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