BERNSTEIN SANFORD C & CO INC
13F-HR, 2000-04-11
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<PAGE>

                                UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C. 20549

                                   Form 13F

                             Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2000

Check here if Amendment [ ]; Amendment Number:
  This Amendment (Check only one.): [ ] is a restatement.
                                    [ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name: Sanford C. Bernstein and Co., Inc.
Address: 1 North Lexington Avenue, White Plains, NY 10601
Form 13F File Number: 28-979

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: Michael Borgia
Title: Senior Vice President
Phone: 914-993-2300

Signature, Place, and Date of Signing:
/s/ Michael Borgia
White Plains, NY
April 11, 2000

Report Type (Check only one.):
[x] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
    are reported in this report.)

<PAGE>
                            Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 637
Form 13F Information Table Value Total (x1000): $50,386,863

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

                                     NONE

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
*** SCITEX CORP LTD ORD   COM       809090103     3,113      200,000   SH        SOLE                                        200,000
***ALCAN ALUMINUM LTD     COM       013716105   650,172   19,193,273   SH        SOLE                10,274,724 2,150,923  6,767,626
***ASIA PULP & PAPER CO   COM       04516V100       601       81,500   SH        SOLE                                         81,500
***BARRICK GOLD CORP      COM       067901108       299       19,075   SH        SOLE                                         19,075
***BP AMOCO P L C         COM       055622104     3,496       65,886   SH        SOLE                    53,315               12,571
***CANADIAN PACIFIC LTD   COM       135923100   569,795   25,465,698   SH        SOLE                12,871,247 3,404,893  9,189,558
***COMPANIA CERVECERIAS   COM       204429104     1,269       51,000   SH        SOLE                                         51,000
***CONTROLADORA COMERCIA  COM       21238A206       875       32,400   SH        SOLE                                         32,400
***CREATIVE TECHNOLOGY L  COM       Y1775U107     1,334       42,000   SH        SOLE                     2,000               40,000
***CRISTALERIAS DE CHILE  COM       226714103       875       47,000   SH        SOLE                                         47,000
***ELECTROBRAS-SPONSORED  COM       15234Q207     1,261      142,000   SH        SOLE                                        142,000
***EVEREST RE GROUP LTD   COM       G3223R108    16,941      519,250   SH        SOLE                   419,650     9,250     90,350
***FRESH DEL MONTE PRODU  COM       G36738105    10,350    1,217,660   SH        SOLE                   973,875    27,385    216,400
***GENER SA-SPONSORED AD  COM       368731105       968       71,700   SH        SOLE                                         71,700
***HELLENIC TELECOMMUNIC  COM       423325307     1,140       78,600   SH        SOLE                                         78,600
***HUANENG POWER INTL IN  COM       443304100       690       86,300   SH        SOLE                                         86,300
***INCO LTD               COM       453258402     2,077      113,414   SH        SOLE                    98,300               15,114
***KOOR INDUSTRIES LTD    COM       500507108       465       26,000   SH        SOLE                                         26,000
***MANULIFE FINANCIAL CO  COM       56501R106       288       19,606   SH        SOLE                                         19,606
***MILLENNIUM CHEMICALS   COM       599903101   207,596   10,379,787   SH        SOLE                 5,925,400 1,011,277  3,443,110
***NORTEL NETWORKS CORP   COM       656569100    94,841      752,704   SH        SOLE                   528,986     1,900    221,818
***PANAMERICAN BEVERAGES  COM       P74823108       617       35,000   SH        SOLE                                         35,000
***PARTNERRE HOLDINGS LT  COM       G6852T105    15,973      433,915   SH        SOLE                   350,950     7,890     75,075
***ROYAL DUTCH PETROLEUM  COM       780257804   114,152    1,983,095   SH        SOLE                 1,425,322     8,765    549,008
***SCHLUMBERGER LTD       COM       806857108     3,890       50,847   SH        SOLE                    16,400       150     34,297
***SEAGRAM CO LTD         COM       811850106     1,727       29,022   SH        SOLE                     6,300               22,722
***TECNOMATIX TECHNOLOGI  COM       M8743P105       889       20,500   SH        SOLE                                         20,500
***TELEFONOS DE MEXICO S  COM       879403780     3,234       48,270   SH        SOLE                                         48,270
***TOMMY HILFIGER CORP-O  COM       G8915Z102     1,457      100,500   SH        SOLE                                        100,500
***UNITED DOMINION INDUS  COM       909914103       829       45,600   SH        SOLE                    42,100                3,500
***VODAFONE GROUP PLC     COM       92857T107       585       10,520   SH        SOLE                                         10,520
A O SMITH CORP CL B       COM       831865209     1,884      104,675   SH        SOLE                    89,250               15,425
ABBOTT LABORATORIES       COM       002824100    53,578    1,522,636   SH        SOLE                   914,289     4,404    603,943
ADAPTEC INC               COM       00651F108   113,951    2,950,192   SH        SOLE                 1,032,545   153,435  1,764,212
ADC TELECOMMUNICATIONS I  COM       000886101       927       17,198   SH        SOLE                                         17,198
ADOBE SYSTEMS INC         COM       00724F101     2,252       20,230   SH        SOLE                    11,725                8,505
ADVANCED MICRO DEVICES I  COM       007903107    10,401      182,275   SH        SOLE                   119,100               63,175
AES CORP                  COM       00130H105     4,395       55,813   SH        SOLE                    44,050       400     11,363
AETNA INC                 COM       008117103   652,144   11,710,785   SH        SOLE                 6,077,171 1,274,842  4,358,772
AFLAC INC                 COM       001055102       549       12,057   SH        SOLE                                         12,057
AGCO CORP                 COM       001084102     3,748      329,500   SH        SOLE                   279,225               50,275
AIR PRODUCTS & CHEMICALS  COM       009158106    64,505    2,268,302   SH        SOLE                   771,919   199,755  1,296,628
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 1
<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000


                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
ALBANY INTL CORP CL A NE  COM       012348108    10,751      725,828   SH        SOLE                   604,586    10,265    110,977
ALBERTSONS INC            COM       013104104     5,118      165,085   SH        SOLE                   147,698       615     16,772
ALCOA INC                 COM       013817101    14,649      208,528   SH        SOLE                   104,602     2,238    101,688
ALEXANDER & BALDWIN INC   COM       014482103    12,628      612,251   SH        SOLE                   488,275    11,865    112,111
ALLEGHENY ENERGY INC      COM       017361106   123,249    4,471,637   SH        SOLE                 2,096,870   246,946  2,127,821
ALLEGHENY TECHNOLOGIES I  COM       01741R102       328       16,329   SH        SOLE                     5,800     3,596      6,933
ALLIANT CORP              COM       018802108    21,072      692,320   SH        SOLE                   544,600    12,245    135,475
ALLSTATE CORP             COM       020002101   102,518    4,305,199   SH        SOLE                 1,443,563     9,302  2,852,334
ALLTEL CORP               COM       020039103     1,730       27,441   SH        SOLE                    12,800               14,641
ALLTRISTA CORP            COM       020040101    16,601      733,755   SH        SOLE                   603,775    11,355    118,625
AMAZON COM INC            COM       023135106       804       12,000   SH        SOLE                                         12,000
AMBAC INC                 COM       023139108   173,615    3,446,444   SH        SOLE                 1,730,505   352,409  1,363,530
AMER INTERNATIONAL GROUP  COM       026874107   187,318    1,710,670   SH        SOLE                   783,780     2,205    924,685
AMERADA HESS CORP         COM       023551104   240,447    3,720,650   SH        SOLE                 2,095,825   166,295  1,458,530
AMEREN CORP               COM       023608102   225,043    7,274,123   SH        SOLE                 2,976,545   723,685  3,573,893
AMERICA ONLINE INC-DEL    COM       02364J104    76,796    1,141,954   SH        SOLE                   760,798     4,000    377,156
AMERICAN ELECTRIC POWER   COM       025537101   535,403   17,959,015   SH        SOLE                10,155,107 1,896,968  5,906,940
AMERICAN EXPRESS CO       COM       025816109    29,108      195,441   SH        SOLE                    84,380        25    111,036
AMERICAN FREIGHTWAYS COR  COM       02629V108     7,360      492,750   SH        SOLE                   415,825               76,925
AMERICAN GENERAL CORP     COM       026351106   353,164    6,292,459   SH        SOLE                 2,800,230   847,454  2,644,775
AMERICAN GREETINGS CORP   COM       026375105       788       43,155   SH        SOLE                    19,975     9,700     13,480
AMERICAN HOME PRODUCTS C  COM       026609107    28,520      531,847   SH        SOLE                   338,700     1,050    192,097
AMERICAN MGMT SYSTEMS IN  COM       027352103       980       22,375   SH        SOLE                                         22,375
AMERICAN NATIONAL INSURA  COM       028591105    12,223      212,566   SH        SOLE                   167,885     3,910     40,771
AMERICAN STANDARD COMPAN  COM       029712106   274,755    7,425,822   SH        SOLE                 3,597,951   904,301  2,923,570
AMERISOURCE DISTRIBUTION  COM       03071P102    11,288      752,530   SH        SOLE                   630,125              122,405
AMERITRADE HOLDING CORP-  COM       03072H109       251       12,000   SH        SOLE                                         12,000
AMGEN                     COM       031162100    12,317      200,687   SH        SOLE                   132,775               67,912
AMR CORP-DEL- W/RTS TO P  COM       001765106       811       25,433   SH        SOLE                     2,700               22,733
AMSOUTH BANCORPORATION W  COM       032165102     1,421       95,104   SH        SOLE                    47,625               47,479
ANALOG DEVICES INC        COM       032654105     1,644       20,407   SH        SOLE                    10,200               10,207
ANDREW CORP               COM       034425108    78,549    3,433,845   SH        SOLE                 2,246,840    46,720  1,140,285
ANHEUSER-BUSCH COS INC-W  COM       035229103    14,916      239,614   SH        SOLE                   193,048               46,566
AON CORP                  COM       037389103    35,234    1,092,513   SH        SOLE                   832,563     3,600    256,350
APACHE CORP-W/RTS TO PUR  COM       037411105     5,308      106,699   SH        SOLE                    40,200               66,499
APPLE COMPUTER INC        COM       037833100    60,057      442,206   SH        SOLE                   241,039       600    200,567
APPLIED MATERIALS INC     COM       038222105    17,922      190,154   SH        SOLE                   159,305       225     30,624
ARCHER-DANIELS-MIDLAND C  COM       039483102   100,733    9,709,166   SH        SOLE                 3,949,366    17,619  5,742,181
ARDEN REALTY INC          COM       039793104    36,095    1,729,100   SH        SOLE                              30,400  1,698,700
ARGONAUT GROUP INC        COM       040157109     7,609      379,254   SH        SOLE                   312,900     8,550     57,804
ARKANSAS BEST CORP-DEL    COM       040790107     3,133      298,360   SH        SOLE                   251,800               46,560
ARMSTRONG WORLD IND INC-  COM       042476101    14,646      819,340   SH        SOLE                   340,725     1,075    477,540
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 2

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
ARROW ELECTRONICS INC     COM       042735100   491,362   13,939,350   SH        SOLE                 7,546,536 1,544,841  4,847,973
ARVIN INDUSTRIES INC      COM       043339100     1,294       57,195   SH        SOLE                    51,100                6,095
ASHLAND INC               COM       044204105   165,604    4,952,638   SH        SOLE                 2,755,173   238,153  1,959,312
ASSOCIATES FIRST CAPITAL  COM       046008108    31,780    1,482,426   SH        SOLE                   711,873     2,916    767,637
AT&T CORP                 COM       001957109   282,575    5,023,549   SH        SOLE                 2,146,332     6,624  2,870,593
AT&T CORP LIBERTY MEDIA   COM       001957208    15,122      255,224   SH        SOLE                   103,650              151,574
ATLANTIC RICHFIELD CO     COM       048825103   457,527    5,382,667   SH        SOLE                 2,725,165   808,752  1,848,750
AUTOLIV INC               COM       052800109     1,379       45,961   SH        SOLE                    45,961
AUTOMATIC DATA PROCESSIN  COM       053015103    64,618    1,339,238   SH        SOLE                              18,300  1,320,938
AUTOZONE INC              COM       053332102       618       22,260   SH        SOLE                    12,825                9,435
AVALONBAY COMMUNITIES IN  COM       053484101    15,432      421,350   SH        SOLE                   340,875     7,625     72,850
AVIS RENT A CAR INC       COM       053790101     6,041      342,750   SH        SOLE                   289,400               53,350
AVNET INC                 COM       053807103   384,095    6,096,743   SH        SOLE                 3,321,685   617,216  2,157,842
AXA FINL INC              COM       002451102     4,800      133,800   SH        SOLE                    41,100       200     92,500
B F GOODRICH CO           COM       382388106   443,066   15,444,557   SH        SOLE                 8,241,497 1,569,423  5,633,637
BAKER HUGHES INC          COM       057224107     1,699       56,177   SH        SOLE                    15,900               40,277
BALL CORP-W/RTS TO PUR P  COM       058498106     2,814       81,425   SH        SOLE                    68,050       700     12,675
BANK OF AMER CORP         COM       060505104 1,452,136   27,692,703   SH        SOLE                14,015,663 2,840,169 10,836,871
BANK OF NEW YORK CO INC-  COM       064057102   169,760    4,084,449   SH        SOLE                    51,100    60,200  3,973,149
BANK ONE CORP             COM       06423A103 1,075,482   31,286,761   SH        SOLE                15,522,549 3,315,278 12,448,934
BAXTER INTERNATIONAL INC  COM       071813109    44,363      744,026   SH        SOLE                   446,727       400    296,899
BB&T CORP                 COM       054937107       554       19,749   SH        SOLE                     3,200     2,100     14,449
BBV BANCO BHIF            COM       073297103       916       54,900   SH        SOLE                                         54,900
BEAR STEARNS COMPANIES I  COM       073902108    29,672      650,353   SH        SOLE                   529,703       960    119,690
BECKMAN COULTER INC       COM       075811109    23,032      358,825   SH        SOLE                   295,425     5,700     57,700
BECTON DICKINSON & CO     COM       075887109    13,764      523,107   SH        SOLE                   382,933    21,700    118,474
BED BATH & BEYOND INC     COM       075896100       541       13,730   SH        SOLE                                         13,730
BELL ATLANTIC CORP        COM       077853109   110,580    1,809,076   SH        SOLE                   816,342     1,250    991,484
BELLSOUTH CORP            COM       079860102    85,138    1,811,438   SH        SOLE                   692,175     1,175  1,118,088
BEMIS CO INC              COM       081437105     1,681       45,575   SH        SOLE                    42,950       500      2,125
BERGEN BRUNSWIG CORP CLA  COM       083739102   109,536   16,227,523   SH        SOLE                 8,530,374 1,552,560  6,144,589
BEST BUY COMPANY INC      COM       086516101     1,040       12,090   SH        SOLE                                         12,090
BESTFOODS                 COM       08658U101     8,924      190,634   SH        SOLE                    31,450       100    159,084
BETHLEHEM STEEL CORP      COM       087509105     1,134      189,049   SH        SOLE                                        189,049
BINDLEY WESTERN INDUSTRY  COM       090324104     3,346      246,688   SH        SOLE                   206,520               40,168
BIO-RAD LABORATORIES INC  COM       090572207     5,199      190,790   SH        SOLE                   117,900     4,240     68,650
BIO-TECHNOLOGY GENERAL C  COM       090578105       775       50,000   SH        SOLE                                         50,000
BIOMET INC                COM       090613100       451       12,403   SH        SOLE                                         12,403
BJS WHOLESALE CLUB INC    COM       05548J106       672       17,400   SH        SOLE                    13,500                3,900
BLACK & DECKER CORP       COM       091797100    55,113    1,467,245   SH        SOLE                   225,897    23,050  1,218,298
BLOCK DRUG CO INC CLASS   COM       093644102    12,499      453,495   SH        SOLE                   364,973     8,697     79,825
BMC SOFTWARE INC          COM       055921100       745       15,092   SH        SOLE                                         15,092
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 3

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
BOEING CO                 COM       097023105    87,007    2,293,419   SH        SOLE                 1,547,386   131,226    614,807
BOISE CASCADE CP-W/RTS T  COM       097383103    48,127    1,384,939   SH        SOLE                   708,873     2,960    673,106
BORG WARNER AUTOMOTIVE I  COM       099724106    22,072      560,570   SH        SOLE                   462,075     7,650     90,845
BOSTON SCIENTIFIC CORP    COM       101137107       432       20,252   SH        SOLE                                         20,252
BOWATER INC               COM       102183100     1,662       31,131   SH        SOLE                    17,675       150     13,306
BRIGGS & STRATTON CORP    COM       109043109    27,523      669,241   SH        SOLE                   428,279     1,375    239,587
BRISTOL MYERS SQUIBB CO   COM       110122108    99,063    1,715,376   SH        SOLE                 1,148,191     5,843    561,342
BROWNING-FERRIS INDUSTRI  COM       115885105     1,629       36,200   SH        SOLE                                         36,200
BRUNSWICK CORP            COM       117043109     1,949      102,896   SH        SOLE                    80,375       694     21,827
BRUSH WELLMAN INC         COM       117421107     7,081      401,775   SH        SOLE                   302,700     4,350     94,725
BURLINGTON NORTHERN SANT  COM       12189T104   258,348   11,676,743   SH        SOLE                 5,354,008   732,613  5,590,122
C I G N A CORP            COM       125509109   966,664   12,761,244   SH        SOLE                 5,941,344 1,704,684  5,115,216
C R BARD INC-W/RTS TO PU  COM       067383109       592       15,307   SH        SOLE                     6,950                8,357
CABLETRON SYSTEMS INC     COM       126920107     1,688       57,589   SH        SOLE                    17,750       900     38,939
CABOT CORP                COM       127055101   166,457    5,457,610   SH        SOLE                 2,018,660   772,353  2,666,597
CAMPBELL SOUP CO          COM       134429109     1,859       60,468   SH        SOLE                    13,800               46,668
CARDINAL HEALTH INC       COM       14149Y108       530       11,564   SH        SOLE                                         11,564
CAREMARK RX INC           COM       141705103       534      127,573   SH        SOLE                                        127,573
CARNIVAL CRUISE LINES IN  COM       143658102       691       27,859   SH        SOLE                     4,700               23,159
CATERPILLAR INC-W/RTS TO  COM       149123101     2,767       70,170   SH        SOLE                    21,400               48,770
CBS CORP                  COM       12490K107     9,111      160,908   SH        SOLE                    50,700              110,208
CDW COMPUTER CENTERS INC  COM       125129106     1,267       15,000   SH        SOLE                    11,600                3,400
CENDANT CORP              COM       151313103       914       49,424   SH        SOLE                                         49,424
CENTEX CORP-W/RTS TO PUR  COM       152312104    77,997    3,275,474   SH        SOLE                 1,284,095   396,035  1,595,344
CENTRAL & SOUTH WEST COR  COM       152357109   335,122   19,640,844   SH        SOLE                 9,609,771 2,221,768  7,809,305
CENTRAL VERMONT PUB SVC   COM       155771108    11,043    1,058,020   SH        SOLE                   848,600    24,020    185,400
CENTURYTEL INC            COM       156700106     1,194       32,152   SH        SOLE                    21,050               11,102
CERIDIAN CORP             COM       15677T106       419       21,831   SH        SOLE                    11,500               10,331
CHAMPION INTERNATIONAL C  COM       158525105   649,654   12,200,069   SH        SOLE                 6,388,568 1,309,459  4,502,042
CHARMING SHOPPES INC      COM       161133103       228       40,000   SH        SOLE                                         40,000
CHASE MANHATTAN CORP NEW  COM       16161A108    71,661      821,920   SH        SOLE                   361,741     3,775    456,404
CHEVRON CORP              COM       166751107    81,709      883,936   SH        SOLE                   586,020     3,420    294,496
CHUBB CORP                COM       171232101   693,496   10,264,515   SH        SOLE                 5,414,268 1,081,521  3,768,726
CINCINNATI FINANCIAL COR  COM       172062101       697       18,535   SH        SOLE                     3,200               15,335
CINERGY CORP              COM       172474108   315,824   14,689,488   SH        SOLE                 6,881,699 1,801,492  6,006,297
CIRCUIT CITY STORES INC   COM       172737108     2,570       42,211   SH        SOLE                    16,600               25,611
CISCO SYSTEMS INC         COM       17275R102   441,602    5,711,912   SH        SOLE                 3,814,368    14,300  1,883,244
CITIGROUP INC             COM       172967101   565,663    9,536,988   SH        SOLE                 2,131,166    66,442  7,339,380
CITIZENS UTILITIES CO SE  COM       177342201     4,455      272,079   SH        SOLE                    75,200    28,353    168,526
CITRIX SYSTEMS INC        COM       177376100       663       10,005   SH        SOLE                                         10,005
CK WITCO CORP             COM       12562C108    11,265    1,105,785   SH        SOLE                   901,864    20,625    183,296
CLEAR CHANNEL COMMUNICAT  COM       184502102     1,582       22,908   SH        SOLE                     3,800               19,108
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 4

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
CLEVELAND CLIFFS INC      COM       185896107       262       11,000   SH        SOLE                                         11,000
CMP GROUP INC             COM       125887109    23,199      796,535   SH        SOLE                   631,100    15,610    149,825
CMS ENERGY CORP           COM       125896100       369       20,359   SH        SOLE                     7,000               13,359
CNH GLOBAL N.V.           COM       N20935107       593       60,000   SH        SOLE                                         60,000
COASTAL CORP              COM       190441105       856       18,605   SH        SOLE                     1,200               17,405
COCA COLA ENTERPRISES IN  COM       191219104     2,927      135,726   SH        SOLE                   102,750       800     32,176
COCA-COLA CO              COM       191216100    68,981    1,469,640   SH        SOLE                   913,574     3,100    552,966
COLGATE PALMOLIVE CO      COM       194162103     1,968       34,903   SH        SOLE                     7,700               27,203
COLUMBIA/HCA HEALTHCARE   COM       197677107     7,330      289,590   SH        SOLE                   101,300              188,290
COMCAST CORP CL A-SPL     COM       200300200     2,227       51,337   SH        SOLE                                         51,337
COMERICA INC              COM       200340107       692       16,530   SH        SOLE                     5,580       700     10,250
COMPAQ COMPUTER CORP      COM       204493100     4,473      167,996   SH        SOLE                    42,400        50    125,546
COMPUTER ASSOCIATES INTL  COM       204912109    10,026      169,387   SH        SOLE                   132,825               36,562
COMPUTER SCIENCES CORP    COM       205363104     1,004       12,685   SH        SOLE                     3,200                9,485
COMPUWARE CORP            COM       205638109       687       32,627   SH        SOLE                                         32,627
CONAGRA INC-W/RTS TO PUR  COM       205887102   449,320   24,790,085   SH        SOLE                12,687,451 2,035,701 10,066,933
CONEXANT SYSTEMS INC      COM       207142100       789       11,107   SH        SOLE                                         11,107
CONMED CORP               COM       207410101    18,104      722,365   SH        SOLE                   588,725    11,950    121,690
CONOCO INC                COM       208251306    94,259    3,827,788   SH        SOLE                 1,569,936   779,406  1,478,446
CONOCO INC-CL B           COM       208251405   103,734    4,048,138   SH        SOLE                 1,390,519    70,110  2,587,509
CONSECO INC               COM       208464107     1,530      133,796   SH        SOLE                    16,085   101,660     16,051
CONSOLIDATED EDISON INC   COM       209115104   216,747    7,474,041   SH        SOLE                 2,906,685   775,730  3,791,626
CONSOLIDATED PAPERS INC   COM       209759109   288,265    7,499,585   SH        SOLE                 3,699,678   926,683  2,873,224
CONSOLIDATED STORES CORP  COM       210149100       256       22,499   SH        SOLE                                         22,499
CONSTELLATION ENERGY GRO  COM       210371100     5,337      167,447   SH        SOLE                    58,550     1,600    107,297
COOPER INDUSTRIES INC     COM       216669101   379,018   10,829,073   SH        SOLE                 5,385,497 1,063,519  4,380,057
COOPER TIRE & RUBBER CO   COM       216831107   115,310    9,178,878   SH        SOLE                 4,983,922 1,073,186  3,121,770
CORDANT TECHNOLOGIES INC  COM       218412104    32,426      573,278   SH        SOLE                   468,150    10,200     94,928
CORN PRODUCTS INTERNATIO  COM       219023108    19,577      813,570   SH        SOLE                   670,350    12,325    130,895
COSTCO WHOLESALE CORP-NE  COM       22160K105     1,635       31,107   SH        SOLE                     6,400               24,707
COUNTRYWIDE CREDIT INDS   COM       222372104    15,128      555,143   SH        SOLE                   385,184     1,150    168,809
CROWN CORK & SEAL CO INC  COM       228255105   248,149   15,509,321   SH        SOLE                 7,709,246 1,795,198  6,004,877
CSX CORP                  COM       126408103   748,752   31,861,786   SH        SOLE                16,694,582 3,421,933 11,745,271
CUMMINS ENGINE CO INC-W/  COM       231021106    21,291      566,818   SH        SOLE                   337,285       500    229,033
CURTISS-WRIGHT CORP       COM       231561101     3,847      105,050   SH        SOLE                    80,925     1,225     22,900
CYTEC INDUSTRIES INC      COM       232820100    20,455      667,917   SH        SOLE                   538,525    11,250    118,142
DALLAS SEMICONDUCTOR COR  COM       235204104    24,990      711,450   SH        SOLE                   593,600    11,400    106,450
DANA CORP-W/RTS TO PUR P  COM       235811106   379,275   13,455,445   SH        SOLE                 6,087,396 1,737,844  5,630,205
DARDEN RESTAURANTS INC    COM       237194105       406       22,803   SH        SOLE                                         22,803
DEERE & CO                COM       244199105     7,879      207,348   SH        SOLE                    54,725              152,623
DELL COMPUTER CORP        COM       247025109    67,816    1,257,307   SH        SOLE                   742,895     2,978    511,434
DELPHI AUTOMOTIVE SYS CO  COM       247126105   110,119    6,882,450   SH        SOLE                 2,951,035    12,554  3,918,861
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 5

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
DELTA AIR LINES INC-W/RT  COM       247361108       567       10,649   SH        SOLE                                         10,649
DIGENE CORP               COM       253752109       506       11,000   SH        SOLE                                         11,000
DILLARDS INC-CL A         COM       254067101   143,028    8,701,331   SH        SOLE                 4,518,477   723,046  3,459,808
DOLLAR GENERAL CORP       COM       256669102       325       12,089   SH        SOLE                                         12,089
DOLLAR THRIFTY AUTOMOTIV  COM       256743105     5,807      337,850   SH        SOLE                   280,400               57,450
DOMINION RES INC VA NEW   COM       25746U109     8,831      229,750   SH        SOLE                   131,075       550     98,125
DOVER CORP                COM       260003108     2,194       45,829   SH        SOLE                    12,800               33,029
DOW CHEMICAL CO           COM       260543103 1,486,169   13,036,567   SH        SOLE                 6,318,397 1,786,464  4,931,706
DOW JONES & CO INC        COM       260561105     2,408       33,533   SH        SOLE                     9,400               24,133
DPL INC                   COM       233293109     3,601      162,300   SH        SOLE                    50,700              111,600
DTE ENERGY CO             COM       233331107     5,276      181,943   SH        SOLE                   154,945       350     26,648
DUKE POWER CO             COM       264399106     2,012       38,322   SH        SOLE                     8,100               30,222
DUKE REALTY INVESTMENTS   COM       264411505    12,383      647,465   SH        SOLE                   523,968    10,270    113,227
DUN & BRADSTREET CORP DE  COM       26483B106    15,841      553,404   SH        SOLE                   388,345     1,400    163,659
E I DU PONT DE NEMOURS &  COM       263534109    82,302    1,556,536   SH        SOLE                   972,296    37,150    547,090
EASTGROUP PROPERTIES INC  COM       277276101     3,215      149,525   SH        SOLE                   119,325     2,800     27,400
EASTMAN CHEMICAL CO       COM       277432100   397,912    8,745,328   SH        SOLE                 5,192,658   838,462  2,714,208
EASTMAN KODAK CO          COM       277461109     5,089       93,691   SH        SOLE                    28,750       250     64,691
EATON CORP- WITH RTS TO   COM       278058102   110,199    1,412,807   SH        SOLE                   687,891   158,765    566,151
EDISON INTERNATIONAL      COM       281020107       378       22,825   SH        SOLE                                         22,825
EL PASO ENERGY CORP       COM       283905107     1,910       47,315   SH        SOLE                    36,700               10,615
ELECTRONIC DATA SYSTEMS   COM       285661104    17,342      270,182   SH        SOLE                   197,350               72,832
ELI LILLY & CO            COM       532457108    22,034      349,739   SH        SOLE                   198,689       432    150,618
EMC CORP-MASS             COM       268648102    70,379      563,035   SH        SOLE                   384,105     1,225    177,705
EMERSON ELECTRIC CO       COM       291011104    20,237      382,725   SH        SOLE                   279,755     3,120     99,850
EMPIRE DISTRICT ELECTRIC  COM       291641108     7,391      376,630   SH        SOLE                   296,025     6,355     74,250
ENRON CORP                COM       293561106    13,301      177,640   SH        SOLE                    64,975              112,665
ENTERGY CORP NEW          COM       29364G103       381       18,864   SH        SOLE                                         18,864
ESTERLINE CORP            COM       297425100    13,597    1,045,945   SH        SOLE                   847,450    18,395    180,100
ETEC SYSTEMS INC          COM       26922C103     2,793       22,410   SH        SOLE                                         22,410
EXXON MOBIL CORP          COM       30231G102   516,022    6,631,603   SH        SOLE                 2,845,417    17,707  3,768,479
EZENIA INC                COM       302311105     1,439      137,000   SH        SOLE                                        137,000
FEDERAL HOME LOAN MORTGA  COM       313400301    62,319    1,410,339   SH        SOLE                   307,642    15,592  1,087,105
FEDERAL NATIONAL MORTGAG  COM       313586109   186,288    3,300,780   SH        SOLE                 1,467,972    71,016  1,761,792
FEDERATED DEPARTMENT STO  COM       31410H101   744,659   17,836,143   SH        SOLE                 8,690,937 2,179,297  6,965,909
FEDEX CORP                COM       31428X106     6,004      153,960   SH        SOLE                    82,840    22,708     48,412
FELCOR LODGING TRUST INC  COM       31430F101     8,437      477,000   SH        SOLE                   403,200     8,800     65,000
FIFTH THIRD BANCORP       COM       316773100    14,752      234,161   SH        SOLE                                        234,161
FINLAY ENTERPRISES INC    COM       317884203       747       60,680   SH        SOLE                    57,550                3,130
FIRST DATA CORP           COM       319963104     3,835       86,670   SH        SOLE                    30,900               55,770
FIRST UNION CORP          COM       337358105   393,771   10,571,042   SH        SOLE                 4,851,018   869,088  4,850,936
FIRSTAR CORP WIS-NEW      COM       33763V109     1,275       55,593   SH        SOLE                     6,600               48,993
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 6

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
FIRSTENERGY CORP          COM       337932107   413,602   20,053,427   SH        SOLE                 9,003,594 2,500,666  8,549,167
FLEETBOSTON FINL CORP     COM       339030108   331,603    9,085,006   SH        SOLE                 4,398,473   425,454  4,261,079
FLEETWOOD ENTERPRISES IN  COM       339099103     4,881      330,927   SH        SOLE                   265,677       350     64,900
FLORIDA PROGRESS CORP     COM       341109106     1,544       33,661   SH        SOLE                     7,100               26,561
FLUOR CORP                COM       343861100    20,462      660,066   SH        SOLE                   228,207   142,924    288,935
FMC CORP-NEW              COM       302491303   211,999    3,752,195   SH        SOLE                 2,376,809   263,890  1,111,496
FORD MOTOR CO             COM       345370100   150,609    3,278,561   SH        SOLE                 1,618,231    51,247  1,609,083
FORT JAMES CORPORATION    COM       347471104   294,545   13,388,422   SH        SOLE                 6,330,883 1,505,525  5,552,014
FORTUNE BRANDS INC        COM       349631101    45,143    1,805,717   SH        SOLE                 1,172,196     5,425    628,096
FOUNDATION HEALTH SYSTEM  COM       350404109    40,577    5,072,133   SH        SOLE                 3,499,766   133,391  1,438,976
FPL GROUP INC             COM       302571104       542       11,763   SH        SOLE                                         11,763
FRANKLIN RESOURCES INC    COM       354613101     3,237       96,809   SH        SOLE                    38,400               58,409
GANNETT CO INC            COM       364730101     5,674       80,630   SH        SOLE                    28,325               52,305
GAP INC                   COM       364760108     7,011      140,746   SH        SOLE                    91,250       100     49,396
GARDNER DENVER MACHINERY  COM       365558105     3,390      180,200   SH        SOLE                   144,550     2,950     32,700
GATEWAY INC               COM       367626108     1,488       28,069   SH        SOLE                     3,100               24,969
GBC BANCORP-CALIF         COM       361475106    13,228      570,500   SH        SOLE                   502,650    13,700     54,150
GENERAL DYNAMICS CORP     COM       369550108       724       14,550   SH        SOLE                                         14,550
GENERAL ELECTRIC CO       COM       369604103   657,816    4,238,844   SH        SOLE                 1,880,380    24,264  2,334,200
GENERAL MILLS INC-W/RTS   COM       370334104     7,851      216,957   SH        SOLE                   141,400     1,400     74,157
GENERAL MOTORS CORP       COM       370442105    27,175      328,155   SH        SOLE                   138,816       100    189,239
GENERAL SEMICONDUCTOR CO  COM       370787103    33,620    1,949,000   SH        SOLE                 1,588,350    38,350    322,300
GENUINE PARTS CO          COM       372460105   374,496   15,685,684   SH        SOLE                 7,428,161 1,861,952  6,395,571
GEO A HORMEL & CO         COM       440452100    12,592      766,058   SH        SOLE                   506,365    96,984    162,709
GEON CO                   COM       37246W105       538       25,000   SH        SOLE                                         25,000
GEORGIA PACIFIC CORP      COM       373298108   113,975    2,880,878   SH        SOLE                 1,321,367    42,535  1,516,976
GILLETTE CO-W/RTS TO PUR  COM       375766102     1,916       50,832   SH        SOLE                                         50,832
GLOBAL CROSSING LTD       COM       G3921A100     1,544       37,716   SH        SOLE                    11,600               26,116
GOLDEN STATE BANCORP INC  COM       381197102       548       36,682   SH        SOLE                                         36,682
GOLDEN WEST FINL CORP-DE  COM       381317106   134,670    4,318,086   SH        SOLE                 1,525,348   227,528  2,565,210
GOODYEAR TIRE & RUBBER C  COM       382550101   418,178   17,937,921   SH        SOLE                 9,625,129 2,081,232  6,231,560
GPU INC                   COM       36225X100    67,678    2,472,240   SH        SOLE                 1,085,273    26,254  1,360,713
GREAT ATLANTIC&PAC TEA C  COM       390064103     1,318       67,615   SH        SOLE                    54,850       200     12,565
GREAT LAKES CHEMICAL COR  COM       390568103    33,301      979,436   SH        SOLE                   348,623     8,825    621,988
GT INTERACTIVE SOFTWARE   COM       36236E109       234       75,000   SH        SOLE                                         75,000
GTE CORP                  COM       362320103    77,974    1,098,226   SH        SOLE                   613,347     2,531    482,348
GUIDANT CORP              COM       401698105       849       14,442   SH        SOLE                                         14,442
GYMBOREE CORP             COM       403777105       259       62,800   SH        SOLE                                         62,800
H & R BLOCK INC           COM       093671105     2,938       65,659   SH        SOLE                    23,600               42,059
H J HEINZ CO              COM       423074103    39,033    1,119,226   SH        SOLE                   730,574     5,650    383,002
HALLIBURTON CO            COM       406216101       858       20,939   SH        SOLE                                         20,939
HANNAFORD BROS CO         COM       410550107   115,257    1,562,805   SH        SOLE                               4,850  1,557,955
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 7

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
HARLEYSVILLE GROUP INC    COM       412824104    11,512      793,910   SH        SOLE                   646,200    14,485    133,225
HARMAN INTERNATIONAL      COM       413086109    18,482      308,030   SH        SOLE                   259,680     6,050     42,300
HARRAHS ENTERTAINMENT IN  COM       413619107     3,911      210,672   SH        SOLE                   117,475       400     92,797
HARRIS CORP-W/RTS TO PUR  COM       413875105     7,591      219,625   SH        SOLE                   137,175               82,450
HARTFORD FINANCIAL SERVI  COM       416515104    70,264    1,332,021   SH        SOLE                 1,007,959     5,550    318,512
HASBRO INC                COM       418056107     6,735      408,183   SH        SOLE                   339,911     1,300     66,972
HEALTHEON CORP            COM       422209106       247       10,749   SH        SOLE                                         10,749
HEALTHSOUTH REHABILITATI  COM       421924101     5,950    1,069,723   SH        SOLE                   662,500              407,223
HELMERICH & PAYNE INC-W/  COM       423452101    17,545      565,975   SH        SOLE                   412,825     1,200    151,950
HERCULES INC              COM       427056106    22,192    1,376,276   SH        SOLE                   843,645     9,615    523,016
HERSHEY FOODS CORP        COM       427866108       585       12,000   SH        SOLE                    12,000
HERTZ CORP-CL A           COM       428040109     4,898      143,800   SH        SOLE                   119,900               23,900
HEWLETT PACKARD CO        COM       428236103   218,668    1,649,548   SH        SOLE                 1,047,350    11,608    590,590
HEXCEL CORP NEW           COM       428291108     7,719    1,543,855   SH        SOLE                 1,257,970    24,885    261,000
HIBERNIA CORP-CL A        COM       428656102    15,487    1,474,950   SH        SOLE                 1,206,750    29,300    238,900
HOME DEPOT INC            COM       437076102    84,703    1,313,226   SH        SOLE                   836,925     2,975    473,326
HONEYWELL INTL INC        COM       438516106    17,227      326,969   SH        SOLE                   197,550       300    129,119
HOUSEHOLD INTERNATIONAL   COM       441815107     6,961      186,568   SH        SOLE                   113,319               73,249
HUMANA INC                COM       444859102     1,329      181,709   SH        SOLE                    23,750       800    157,159
HUNTINGTON BANCSHARES IN  COM       446150104       233       10,423   SH        SOLE                                         10,423
HUSSMAN INTERNATIONAL IN  COM       448110106       859       67,711   SH        SOLE                    35,375     9,909     22,427
HUTCHINSON TECHNOLOGY IN  COM       448407106    17,119      971,280   SH        SOLE                   790,575    19,255    161,450
IBP INC                   COM       449223106    15,292      970,943   SH        SOLE                   118,125       141    852,677
IDACORP INC               COM       451107106    20,268      583,250   SH        SOLE                   480,850     8,300     94,100
ILLINOIS TOOL WORKS INC   COM       452308109       948       17,154   SH        SOLE                     2,403               14,751
INAMED CORP               COM       453235103       681       13,750   SH        SOLE                                         13,750
INDUS INTERNATIONAL INC   COM       45578L100     1,382      165,000   SH        SOLE                                        165,000
INGRAM MICRO INC-CL A     COM       457153104    97,642    6,350,694   SH        SOLE                 3,577,301   490,300  2,283,093
INTEL CORP                COM       458140100   409,249    3,101,843   SH        SOLE                 2,069,715     8,025  1,024,103
INTERGRAPH CORP           COM       458683109     1,731      195,000   SH        SOLE                                        195,000
INTERNATIONAL GAME TECHN  COM       459902102     1,661       76,600   SH        SOLE                    23,900               52,700
INTERNATIONAL PAPER CO-W  COM       460146103 1,105,546   25,860,726   SH        SOLE                13,989,957 2,737,526  9,133,243
INTERPUBLIC GROUP OF COS  COM       460690100       594       12,579   SH        SOLE                       -17               12,596
INTL BUSINESS MACHINES C  COM       459200101   328,090    2,780,427   SH        SOLE                 1,223,612   150,362  1,406,453
ITT INDUSTRIES INC        COM       450911102     9,916      319,239   SH        SOLE                   161,450       500    157,289
J C PENNEY CO INC-W/RTS   COM       708160106    80,878    5,437,159   SH        SOLE                 3,777,279   175,494  1,484,386
J P MORGAN & CO INC       COM       616880100   103,365      784,556   SH        SOLE                   404,549     2,625    377,382
JEFFERSON PILOT CORP      COM       475070108     3,805       57,164   SH        SOLE                    29,750       800     26,614
JOHNSON & JOHNSON         COM       478160104   153,347    2,188,715   SH        SOLE                 1,195,248    20,055    973,412
JOSTENS INC               COM       481088102     1,913       78,500   SH        SOLE                                         78,500
K MART CORP               COM       482584109     2,184      225,477   SH        SOLE                   199,600               25,877
KAISER ALUMINUM CORP      COM       483007100     8,275    1,838,795   SH        SOLE                 1,428,500    25,345    384,950
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 8

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
KAMAN CORP CLASS A        COM       483548103     9,337      957,616   SH        SOLE                   779,200    14,999    163,417
KELLOGG CO                COM       487836108       972       37,944   SH        SOLE                    18,850               19,094
KELLWOOD CO               COM       488044108    12,935      736,530   SH        SOLE                   597,075    14,605    124,850
KENNAMETAL INC            COM       489170100     9,814      326,450   SH        SOLE                   264,450     7,550     54,450
KERR MCGEE CORP-W/RTS TO  COM       492386107     3,425       59,314   SH        SOLE                    27,950               31,364
KEY ENERGY GROUP INC      COM       492914106       234       20,100   SH        SOLE                                         20,100
KEYCORP NEW               COM       493267108   108,479    5,709,409   SH        SOLE                 1,982,962   211,410  3,515,037
KIMBERLY CLARK CORP       COM       494368103     7,715      137,766   SH        SOLE                    18,400    31,006     88,360
KIMCO REALTY CORP-DEP SH  PFD       49446R604       584       28,300   SH        SOLE                                         28,300
KIMCO REALTY CORP-DEP SH  PFD       49446R307       825       44,300   SH        SOLE                                         44,300
KLA INSTRUMENTS CORP W/R  COM       482480100     6,455       76,618   SH        SOLE                    57,800               18,818
KOHLS CORP                COM       500255104     1,133       11,050   SH        SOLE                                         11,050
KROGER CO-W/RTS TO PUR C  COM       501044101       778       44,321   SH        SOLE                     3,500               40,821
LANIER WORLDWIDE INC      COM       51589L105       408      197,750   SH        SOLE                               1,800    195,950
LEAR CORP                 COM       521865105     2,966      105,475   SH        SOLE                    61,975               43,500
LEGGETT & PLATT INC       COM       524660107    14,310      665,590   SH        SOLE                   609,700     2,500     53,390
LEHMAN BROTHERS HOLDINGS  COM       524908100    96,068      990,387   SH        SOLE                   648,124     2,525    339,738
LIBERTY PROPERTY TRUST    COM       531172104    14,705      614,300   SH        SOLE                   499,200    11,150    103,950
LIMITED INC               COM       532716107    12,837      304,727   SH        SOLE                   205,278               99,449
LINCOLN ELEC CO HOLDINGS  COM       533900106     1,615       66,750   SH        SOLE                    50,900     3,500     12,350
LINCOLN NATIONAL CORP-W/  COM       534187109    26,030      777,005   SH        SOLE                   603,637    29,590    143,778
LITTON INDUSTRIES INC     COM       538021106   183,200    4,145,965   SH        SOLE                 2,526,486   307,723  1,311,756
LIZ CLAIBORNE INC         COM       539320101     1,396       30,477   SH        SOLE                    17,900       300     12,277
LOCKHEED MARTIN CORP      COM       539830109    41,908    2,050,551   SH        SOLE                 1,317,086     2,766    730,699
LOEWS CORP                COM       540424108     5,622      112,430   SH        SOLE                    87,303       250     24,877
LOWES COMPANIES INC       COM       548661107     3,239       55,492   SH        SOLE                     4,100     2,700     48,692
LSI LOGIC CORP-W/RTS TO   COM       502161102    10,147      139,718   SH        SOLE                    93,550               46,168
LUBRIZOL CORP             COM       549271104   220,868    7,665,684   SH        SOLE                 4,467,134   834,963  2,363,587
LUCENT TECHNOLOGIES INC   COM       549463107   144,775    2,383,124   SH        SOLE                 1,380,021    13,750    989,353
LYONDELL PETROCHEMICAL C  COM       552078107   122,393    8,297,816   SH        SOLE                 4,986,266   556,645  2,754,905
M & F WORLDWIDE CORP      COM       552541104       736      168,269   SH        SOLE                   160,200                8,069
MALLINCKRODT INC (NEW)    COM       561232109    44,288    1,540,439   SH        SOLE                 1,013,916     6,775    519,748
MANOR CARE INC NEW        COM       564055101    20,832    1,543,136   SH        SOLE                 1,027,300     1,000    514,836
MARK IV INDUSTRIES INC    COM       570387100    10,070      456,450   SH        SOLE                   384,350    19,500     52,600
MARRIOTT INTERNATIONAL I  COM       571903202       403       12,788   SH        SOLE                                         12,788
MARSH & MCLENNAN COS INC  COM       571748102    10,716       97,140   SH        SOLE                    29,700               67,440
MARSHALL & ILSLEY CORP    COM       571834100     1,236       21,400   SH        SOLE                     6,500               14,900
MASCO CORP                COM       574599106     3,056      149,088   SH        SOLE                   125,400               23,688
MATTEL INC-W/RTS TO PUR   COM       577081102    10,503    1,006,278   SH        SOLE                   789,224     4,950    212,104
MAY DEPARTMENT STORES CO  COM       577778103   667,710   23,428,411   SH        SOLE                11,006,553 3,106,269  9,315,589
MAYTAG CO-W/RTS TO PUR C  COM       578592107     7,812      235,823   SH        SOLE                   201,450     1,250     33,123
MBIA INC                  COM       55262C100   392,199    7,533,234   SH        SOLE                 3,772,799   626,129  3,134,306
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 9

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
MBNA CORP                 COM       55262L100     2,111       82,780   SH        SOLE                    11,275     2,400     69,105
MCDONALDS CORP- W/RTS TO  COM       580135101     8,791      234,030   SH        SOLE                   124,700       364    108,966
MCGRAW HILL INC-W/RTS TO  COM       580645109       640       14,070   SH        SOLE                                         14,070
MCI WORLDCOM INC          COM       55268B106    91,405    2,017,223   SH        SOLE                 1,315,417     5,525    696,281
MCKESSON HBOC INC         COM       58155Q103       234       11,153   SH        SOLE                                         11,153
MEAD CORP-W/RTS TO PUR C  COM       582834107   285,200    8,163,141   SH        SOLE                 4,700,054   791,662  2,671,425
MEDIAONE GROUP INC        COM       58440J104    17,920      221,233   SH        SOLE                    80,340              140,893
MEDTRONIC INC             COM       585055106     3,066       59,611   SH        SOLE                     2,900       600     56,111
MELLON FINL CORP          COM       58551A108     3,304      112,014   SH        SOLE                    33,600               78,414
MERCK & CO INC            COM       589331107   110,720    1,782,213   SH        SOLE                 1,152,160     4,193    625,860
MERITOR AUTOMOTIVE INC    COM       59000G100       232       14,679   SH        SOLE                       933               13,746
MERRILL LYNCH & CO INC    COM       590188108    18,095      172,332   SH        SOLE                    82,300               90,032
MGIC INVESTMENT CORP-WIS  COM       552848103    73,431    1,683,240   SH        SOLE                 1,095,988     4,575    582,677
MICHAEL FOODS INC NEW     COM       594079105    22,505    1,071,690   SH        SOLE                   873,975    18,715    179,000
MICROAGE INC              COM       594928103       352      150,000   SH        SOLE                                        150,000
MICRON TECHNOLOGY INC     COM       595112103     8,137       64,580   SH        SOLE                    15,025       900     48,655
MICROSOFT CORP            COM       594918104   486,390    4,577,790   SH        SOLE                 2,987,385    11,908  1,578,497
MINNESOTA MINING & MFG C  COM       604059105   100,538    1,135,216   SH        SOLE                   359,408    29,755    746,053
MIRAGE RESORTS INC        COM       60462E104     5,483      283,006   SH        SOLE                    96,000     2,500    184,506
MODINE MANUFACTURING CO   COM       607828100    16,562      659,200   SH        SOLE                   539,100    11,450    108,650
MONSANTO CO-W/RTS TO PUR  COM       611662107     1,530       29,709   SH        SOLE                     5,900               23,809
MOOG INC CL A             COM       615394202    10,772      586,225   SH        SOLE                   481,175    10,600     94,450
MORGAN STANLEY DEAN WITT  COM       617446448    72,652      890,750   SH        SOLE                   338,485       425    551,840
MOTOROLA INC              COM       620076109   107,564      755,497   SH        SOLE                   421,925       770    332,802
NABISCO GROUP HLDG CORP   COM       62952P102     7,168      597,292   SH        SOLE                   279,297       500    317,495
NATIONAL CITY CORP        COM       635405103   211,861   10,272,054   SH        SOLE                 4,411,329   842,745  5,017,980
NATIONAL SEMICONDUCTOR C  COM       637640103     3,614       59,619   SH        SOLE                    17,815     5,200     36,604
NATIONAL SERVICE INDS IN  COM       637657107    11,001      522,289   SH        SOLE                   280,450       500    241,339
NEIMAN-MARCUS GROUP INC   COM       640204301       454       16,509   SH        SOLE                    13,064                3,445
NETWORK APPLIANCE INC     COM       64120L104     1,677       20,260   SH        SOLE                                         20,260
NETWORK EQUIPMENT         COM       641208103       500       50,000   SH        SOLE                                         50,000
NEW CENTURY ENERGIES INC  COM       64352U103   270,255    8,989,771   SH        SOLE                 3,948,412   945,739  4,095,620
NEW YORK TIMES CLASS A    COM       650111107     4,440      103,410   SH        SOLE                    48,800               54,610
NEWELL RUBBERMAID INC     COM       651229106    65,690    2,647,460   SH        SOLE                 1,043,634    89,233  1,514,593
NEXTEL COMMUNICATIONS IN  COM       65332V103     2,888       19,481   SH        SOLE                                         19,481
NIAGARA MOHAWK HOLDINGS   COM       653520106       326       24,172   SH        SOLE                    14,700                9,472
NICOR INC                 COM       654086107       441       13,377   SH        SOLE                     8,375                5,002
NIKE INC CL B             COM       654106103       600       15,136   SH        SOLE                     1,600               13,536
NORDSTROM INC             COM       655664100     1,570       53,230   SH        SOLE                    39,990               13,240
NORFOLK SOUTHERN CORP     COM       655844108   511,462   35,579,987   SH        SOLE                17,827,786 4,269,305 13,482,896
NORTHEAST UTILITIES       COM       664397106     4,214      196,013   SH        SOLE                    55,600              140,413
NORTHERN STATES POWER CO  COM       665772109   113,198    5,695,503   SH        SOLE                 2,777,753   839,182  2,078,568
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 10

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
NORTHROP CORP             COM       666807102    87,200    1,647,232   SH        SOLE                   735,933     4,965    906,334
NOVELL INC                COM       670006105       561       19,596   SH        SOLE                                         19,596
NUCOR CORP                COM       670346105   101,245    2,024,899   SH        SOLE                   701,893    58,170  1,264,836
NVR INC                   COM       62944T105    15,917      294,752   SH        SOLE                   234,075     4,840     55,837
OCCIDENTAL PETROLEUM COR  COM       674599105   999,653   48,176,059   SH        SOLE                24,199,782 5,674,327 18,301,950
OFFICE DEPOT INC          COM       676220106    51,366    4,442,505   SH        SOLE                 2,869,648    10,700  1,562,157
OLD REPUBLIC INTERNATION  COM       680223104   154,072   11,205,204   SH        SOLE                 5,045,537 1,383,485  4,776,182
OMNICARE INC              COM       681904108     1,206      100,000   SH        SOLE                                        100,000
ONEIDA LTD                COM       682505102    21,865    1,128,492   SH        SOLE                   927,158    16,805    184,529
ONEOK INC NEW             COM       682680103       375       15,005   SH        SOLE                     9,900                5,105
ORACLE SYSTEMS CORP       COM       68389X105   138,147    1,769,698   SH        SOLE                 1,159,350     4,000    606,348
OSHKOSH TRUCK CORP CL B   COM       688239201    15,281      491,946   SH        SOLE                   416,871     8,400     66,675
OWENS CORNING             COM       69073F103   132,142    6,820,219   SH        SOLE                 3,711,722   631,326  2,477,171
OWENS ILLINOIS INC NEW    COM       690768403   215,951   12,797,068   SH        SOLE                 5,595,727 1,566,893  5,634,448
OXFORD HEALTH PLANS INC   COM       691471106     1,530      100,350   SH        SOLE                                        100,350
P N C FINANCIAL CORP      COM       693475105    50,322    1,116,711   SH        SOLE                   770,519    30,569    315,623
PACCAR INC -DEL-          COM       693718108    34,102      682,035   SH        SOLE                   407,740     1,250    273,045
PACIFIC CENTURY FINANCIA  COM       694058108    19,831      976,300   SH        SOLE                   799,850    17,650    158,800
PACIFICARE HEALTH SYSTEM  COM       695112102   175,805    3,524,922   SH        SOLE                 1,979,052   305,574  1,240,296
PAINE WEBBER GROUP INC    COM       695629105     3,642       82,773   SH        SOLE                    26,100               56,673
PALL CORP                 COM       696429307       797       35,525   SH        SOLE                    11,900               23,625
PARAMETRIC TECHNOLOGY CO  COM       699173100       362       17,199   SH        SOLE                                         17,199
PARK PLACE ENTERTAINMENT  COM       700690100     6,893      596,150   SH        SOLE                   395,900              200,250
PAYCHEX INC               COM       704326107       868       16,574   SH        SOLE                                         16,574
PE CORP                   COM       69332S102     3,176       32,914   SH        SOLE                    23,400                9,514
PECO ENERGY CO            COM       693304107     3,712      100,677   SH        SOLE                    35,300               65,377
PENN ENGINEERING & MFG C  COM       707389300    15,674      639,735   SH        SOLE                   543,600    13,885     82,250
PEOPLES ENERGY CORP       COM       711030106       291       10,620   SH        SOLE                     3,450       681      6,489
PEOPLESOFT INC            COM       712713106       359       17,925   SH        SOLE                                         17,925
PEPSICO INC-NORTH CAROLI  COM       713448108     3,147       91,042   SH        SOLE                       200    20,600     70,242
PERSISTENCE SOFTWARE INC  COM       715329108     1,456       73,250   SH        SOLE                                         73,250
PFIZER INC                COM       717081103    87,511    2,393,460   SH        SOLE                 1,532,756     4,450    856,254
PG&E CORP                 COM       69331C108   402,253   19,154,914   SH        SOLE                10,418,048 1,694,332  7,042,534
PHARMACIA & UPJOHN INC    COM       716941109    15,718      265,289   SH        SOLE                   171,250               94,039
PHILIP MORRIS COS INC     COM       718154107   591,226   27,987,016   SH        SOLE                13,714,012 2,963,719 11,309,285
PHILLIPS PETROLEUM CO-W/  COM       718507106   805,244   17,410,674   SH        SOLE                 9,229,177 1,588,604  6,592,893
PHOENIX TECHNOLOGIES LTD  COM       719153108    32,032    1,516,300   SH        SOLE                 1,240,800    27,700    247,800
PICTURETEL CORP NEW       COM       720035302       656       75,000   SH        SOLE                                         75,000
PITNEY BOWES INC-W/RTS T  COM       724479100    66,616    1,490,705   SH        SOLE                              25,500  1,465,205
PLAYTEX PRODUCTS INC      COM       72813P100     1,481      113,901   SH        SOLE                                        113,901
POLICY MANAGEMENT SYSTEM  COM       731108106     1,500      125,000   SH        SOLE                                        125,000
POST PROPERTIES INC       COM       737464107    14,837      368,050   SH        SOLE                   297,350     6,750     63,950
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 11

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
POTLATCH CORP             COM       737628107    16,075      373,827   SH        SOLE                   169,150              204,677
POTOMAC ELECTRIC POWER C  COM       737679100     2,247       99,302   SH        SOLE                    38,683       100     60,519
PPG INDUSTRIES INC-W/RTS  COM       693506107     2,446       46,748   SH        SOLE                    22,975       200     23,573
PPL CORPORATION           COM       69351T106     7,062      337,267   SH        SOLE                   258,694     1,400     77,173
PRAXAIR INC               COM       74005P104   514,962   12,371,468   SH        SOLE                 5,637,932 1,626,157  5,107,379
PRECISION CASTPARTS CORP  COM       740189105    12,496      342,350   SH        SOLE                   287,700     5,150     49,500
PROCTER & GAMBLE CO       COM       742718109    42,227      750,702   SH        SOLE                   459,950     1,125    289,627
PUBLIC SERVICE ENTERPRIS  COM       744573106     1,078       36,373   SH        SOLE                     7,700     3,200     25,473
PUBLIC SVC CO OF NEW MEX  COM       744499104    14,136      897,541   SH        SOLE                   726,575    17,700    153,266
PUGET SOUND ENERGY INC    COM       745332106   144,639    6,518,960   SH        SOLE                 3,808,094   638,287  2,072,579
PULTE CORP                COM       745867101    25,832    1,237,442   SH        SOLE                   797,678    18,475    421,289
QUAKER OATS CO            COM       747402105     2,887       47,618   SH        SOLE                    13,200               34,418
QUALCOMM INC              COM       747525103    47,295      316,752   SH        SOLE                   202,145       763    113,844
QUANTUM CORP DSSG COM     COM       747906204   253,280   21,217,149   SH        SOLE                11,952,632 2,393,504  6,871,013
QUANTUM CORP HDDG COM     COM       747906303    31,687    2,816,578   SH        SOLE                 1,368,444   471,244    976,890
QUORUM HEALTH GROUP INC   COM       749084109    10,132    1,006,925   SH        SOLE                   779,825              227,100
R & B FALCON CORP         COM       74912E101     3,042      154,500   SH        SOLE                    40,700              113,800
R R DONNELLEY & SONS CO   COM       257867101     5,833      278,596   SH        SOLE                   257,350     7,600     13,646
RADIAN GROUP INC          COM       750236101     1,808       37,965   SH        SOLE                                         37,965
RALSTON-RALSTON PURINA G  COM       751277302     2,539       92,753   SH        SOLE                    23,700               69,053
RAYONIER INC              COM       754907103    19,633      402,724   SH        SOLE                   330,350     8,362     64,012
RAYTHEON CO-CL B          COM       755111408     6,831      384,846   SH        SOLE                   235,456              149,390
REEBOK INTL LTD           COM       758110100     5,525      597,277   SH        SOLE                   287,150       200    309,927
REGAL-BELOIT CORP         COM       758750103    13,822      789,850   SH        SOLE                   686,425    14,150     89,275
REGIONS FINANCIAL CORP    COM       758940100    17,287      757,772   SH        SOLE                   144,582    20,025    593,165
RELIANCE STEEL & ALUMINU  COM       759509102     6,054      270,585   SH        SOLE                   235,998     2,450     32,137
RELIANT ENERGY INC        COM       75952J108     7,128      304,122   SH        SOLE                   143,850              160,272
REPUBLIC SERVICES INC     COM       760759100       820       75,000   SH        SOLE                                         75,000
REYNOLDS METALS CO        COM       761763101     8,450      126,362   SH        SOLE                    43,900    13,925     68,537
REYNOLDS R J TOB HOLDING  COM       76182K105     6,742      396,583   SH        SOLE                   243,026       804    152,753
ROCK-TENN CO-CL A         COM       772739207    13,345    1,368,740   SH        SOLE                 1,116,550    19,050    233,140
ROCKWELL INTERNATIONAL C  COM       773903109     4,562      109,106   SH        SOLE                    77,675               31,431
ROHM & HAAS CO            COM       775371107     1,819       40,772   SH        SOLE                    13,800               26,972
ROSS STORES INC           COM       778296103     1,261       52,400   SH        SOLE                    39,800               12,600
ROWAN COMPANIES INC       COM       779382100     5,750      195,340   SH        SOLE                   159,350               35,990
RTI INTERNATIONAL METALS  COM       74973W107    20,591    2,336,600   SH        SOLE                 1,915,300    42,300    379,000
RUSS BERRIE & CO INC      COM       782233100    13,668      738,820   SH        SOLE                   596,200    13,620    129,000
RUSSELL CORP              COM       782352108    21,429    1,497,208   SH        SOLE                 1,028,603    15,105    453,500
RYDER SYSTEM INC-W/RTS T  COM       783549108    14,058      619,646   SH        SOLE                   365,898       783    252,965
RYERSON TULL INC-NEW      COM       78375P107    16,828    1,085,709   SH        SOLE                   931,291    16,924    137,494
SABRE GROUP HOLDINGS INC  COM       785905100       679       18,375   SH        SOLE                     1,950               16,425
SAFECO CORP               COM       786429100    34,567    1,301,328   SH        SOLE                   847,613     2,300    451,415
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 12

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
SAFEWAY INC               COM       786514208     1,292       28,560   SH        SOLE                     4,900               23,660
SAKS INC                  COM       79377W108    20,833    1,436,789   SH        SOLE                   122,325            1,314,464
SARA LEE CORP             COM       803111103     9,562      531,231   SH        SOLE                   440,700    12,150     78,381
SBC COMMUNICATIONS INC    COM       78387G103   148,503    3,535,794   SH        SOLE                 1,590,121     3,975  1,941,698
SCHERING PLOUGH CORP      COM       806605101    13,921      378,793   SH        SOLE                   266,570       950    111,273
SCHULER HOMES INC         COM       808188106     4,369      713,343   SH        SOLE                   562,225    20,818    130,300
SCHWAB CHARLES CORP NEW   COM       808513105     1,320       23,242   SH        SOLE                     2,400       200     20,642
SCHWEITZER MAUDUIT INTL   COM       808541106    16,648    1,286,810   SH        SOLE                 1,036,700    23,860    226,250
SCI SYSTEMS INC           COM       783890106     2,034       37,800   SH        SOLE                     9,300     7,600     20,900
SCIENTIFIC ATLANTA INC    COM       808655104     1,324       20,878   SH        SOLE                     5,200               15,678
SCIENTIFIC GAMES HOLDING  COM       808747109    15,267      925,300   SH        SOLE                   749,150    16,850    159,300
SEAGATE TECHNOLOGY        COM       811804103   899,585   14,930,866   SH        SOLE                 7,853,403 1,656,735  5,420,728
SEARS ROEBUCK & CO        COM       812387108   924,115   29,930,863   SH        SOLE                16,383,581 3,373,166 10,174,116
SEMPRA ENERGY             COM       816851109    13,622      813,281   SH        SOLE                   369,634    69,550    374,097
SHERWIN WILLIAMS CO       COM       824348106   165,113    7,526,535   SH        SOLE                 3,342,695   869,847  3,313,993
SHOPKO STORES INC         COM       824911101     5,577      314,220   SH        SOLE                   260,225               53,995
SHOREWOOD PACKAGING       COM       825229107       731       34,100   SH        SOLE                                         34,100
SICOR INC                 COM       825846108       591       57,000   SH        SOLE                                         57,000
SIERRA HEALTH SERVICES I  COM       826322109       617      125,000   SH        SOLE                                        125,000
SIGMA-ALDRICH CORP        COM       826552101    20,533      764,000   SH        SOLE                   442,300     1,350    320,350
SILICON GRAPHICS INC      COM       827056102       220       20,829   SH        SOLE                                -864     21,693
SILICON VALLEY GROUP INC  COM       827066101    31,496    1,145,300   SH        SOLE                   923,150    21,450    200,700
SMITHFIELD FOODS INC      COM       832248108     1,399       69,950   SH        SOLE                    63,900                6,050
SMURFIT-STONE CONTAINER   COM       832727101   160,484    9,475,097   SH        SOLE                 3,927,857   719,030  4,828,210
SNAP-ON TOOLS CORP        COM       833034101    19,636      749,817   SH        SOLE                   479,874     2,550    267,393
SOLECTRON CORP            COM       834182107     2,232       55,718   SH        SOLE                    23,200               32,518
SONOCO PRODUCTS CO        COM       835495102   143,096    6,089,212   SH        SOLE                 2,066,949   715,890  3,306,373
SOUTHERN CO               COM       842587107    50,212    2,308,601   SH        SOLE                 1,441,359    64,925    802,317
SOUTHTRUST CORP           COM       844730101     4,963      195,093   SH        SOLE                   164,814     3,700     26,579
SOUTHWEST AIRLINES CO-W/  COM       844741108       514       24,701   SH        SOLE                                         24,701
SOUTHWESTERN ENERGY CO    COM       845467109    11,374    1,716,855   SH        SOLE                 1,385,900    32,155    298,800
SPRINT CORP               COM       852061100    25,484      404,502   SH        SOLE                   203,450              201,052
SPRINT CORP PCS SER 1     COM       852061506     6,378       97,650   SH        SOLE                    17,800               79,850
ST JUDE MEDICAL INC       COM       790849103       406       15,742   SH        SOLE                     7,300                8,442
ST PAUL COMPANIES INC     COM       792860108   647,057   18,961,385   SH        SOLE                10,509,487 2,317,462  6,134,436
STANLEY WORKS-W/RTS TO P  COM       854616109     2,965      112,413   SH        SOLE                    40,250               72,163
STAPLES INC               COM       855030102       636       31,820   SH        SOLE                                         31,820
STERLING COMMERCE INC     COM       859205106     6,098      138,200   SH        SOLE                                        138,200
STMICROELECTRONICS N V    COM       861012102     1,872       10,000   SH        SOLE                                         10,000
SUMMIT BANCORP            COM       866005101    74,320    2,831,255   SH        SOLE                 1,089,135    89,275  1,652,845
SUN MICROSYSTEMS INC      COM       866810104    92,575      987,962   SH        SOLE                   669,240     2,425    316,297
SUNOCO INC                COM       86764P109    73,840    2,697,344   SH        SOLE                 1,614,104   130,955    952,285
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 13

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
SUNTRUST BANKS INC        COM       867914103     5,197       89,989   SH        SOLE                    42,800               47,189
SUPERTEX INC              COM       868532102    21,979      735,700   SH        SOLE                   601,350    14,750    119,600
SUPERVALU INC             COM       868536103   185,008    9,769,421   SH        SOLE                 4,551,354 1,050,827  4,167,240
SYMANTEC CORP             COM       871503108     3,756       50,000   SH        SOLE                    45,150                4,850
SYNOVUS FINANCIAL CORP    COM       87161C105       260       13,759   SH        SOLE                                         13,759
SYSCO CORP                COM       871829107       502       14,072   SH        SOLE                                         14,072
T ROWE PRICE ASSOCIATES   COM       741477103       913       23,122   SH        SOLE                    10,300               12,822
TARGET CORP               COM       87612E106     6,773       90,604   SH        SOLE                    63,700       100     26,804
TECH DATA CORP            COM       878237106   251,088    7,637,673   SH        SOLE                 4,316,984   830,685  2,490,004
TEKTRONIX INC             COM       879131100    33,685      601,525   SH        SOLE                   488,975    10,800    101,750
TELLABS INC               COM       879664100     2,972       47,181   SH        SOLE                    25,500               21,681
TEMPLE-INLAND INC         COM       879868107   179,410    3,601,703   SH        SOLE                 1,866,863   309,274  1,425,566
TENET HEALTHCARE CORP     COM       88033G100     2,334      101,475   SH        SOLE                    28,600               72,875
TERADYNE INC              COM       880770102     8,295      100,856   SH        SOLE                    52,850     8,780     39,226
TESORO PETROLEUM CORP     COM       881609101     6,331      550,550   SH        SOLE                   452,650    11,100     86,800
TEXACO INC W/RTS TO PUR   COM       881694103   158,210    2,950,294   SH        SOLE                 1,191,830    25,825  1,732,639
TEXAS BIOTECHNOLOGY CORP  COM       88221T104     1,721      120,250   SH        SOLE                                        120,250
TEXAS INSTRUMENTS INC     COM       882508104    63,381      396,133   SH        SOLE                   269,140       810    126,183
TEXAS UTILITIES CO        COM       882848104    64,856    2,184,612   SH        SOLE                 1,485,125     5,775    693,712
TEXTRON INC-W/RTS TO PUR  COM       883203101       782       12,850   SH        SOLE                     1,825       600     10,425
THE PEPSI BOTTLING GROUP  COM       713409100    34,944    1,747,200   SH        SOLE                 1,362,900     4,600    379,700
THOMAS & BETTS CORP       COM       884315102   149,888    5,305,763   SH        SOLE                 2,595,737   544,658  2,165,368
TIME WARNER INC           COM       887315109    36,058      360,582   SH        SOLE                   202,378       925    157,279
TIMES MIRROR CO NEW-SER   COM       887364107     2,098       22,570   SH        SOLE                     8,200               14,370
TIMKEN CO                 COM       887389104       692       42,572   SH        SOLE                    33,225       175      9,172
TJX COMPANIES INC NEW     COM       872540109    10,542      475,146   SH        SOLE                   407,582     4,500     63,064
TORCHMARK CORP            COM       891027104    68,845    2,977,071   SH        SOLE                 1,246,634    23,370  1,707,067
TOSCO CORP NEW            COM       891490302    83,667    2,748,827   SH        SOLE                   818,374     4,000  1,926,453
TOTAL RENAL CARE HOLDING  COM       89151A107     2,469      790,000   SH        SOLE                                        790,000
TOYS R US                 COM       892335100    34,371    2,320,387   SH        SOLE                 1,400,100       500    919,787
TRAVELERS PROPERTY CASUA  COM       893939108     9,986      242,086   SH        SOLE                   101,930       300    139,856
TRICON GLOBAL RESTAURANT  COM       895953107     3,672      118,218   SH        SOLE                    35,900     2,560     79,758
TRIGON HEALTHCARE INC     COM       89618L100    36,434    1,019,130   SH        SOLE                   825,429              193,701
TRW INC-W/RTS TO PUR COM  COM       872649108    28,112      480,544   SH        SOLE                   304,506     3,200    172,838
TYCO INTERNATIONAL LTD N  COM       902124106    18,760      376,143   SH        SOLE                   268,527       925    106,691
TYSON FOODS INC CL A      COM       902494103   128,959   11,591,840   SH        SOLE                 4,813,354 1,070,504  5,707,982
U S BANCORP-DEL           COM       902973106    12,909      590,103   SH        SOLE                   382,584    34,075    173,444
U S FOODSERVICE           COM       90331R101     1,707       66,300   SH        SOLE                                         66,300
U S WEST INC NEW          COM       91273H101    13,246      182,394   SH        SOLE                    80,650              101,744
UCAR INTERNATIONAL INC    COM       90262K109    14,672    1,112,600   SH        SOLE                   906,500    20,350    185,750
ULTRAMAR DIAMOND SHAMROC  COM       904000106    28,310    1,115,665   SH        SOLE                   137,315              978,350
UNICOM CORP               COM       904911104    15,823      433,500   SH        SOLE                   184,255    53,300    195,945
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 14

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
UNILEVER N V              COM       904784709     1,464       30,427   SH        SOLE                     8,357               22,070
UNION CARBIDE CORP        COM       905581104 1,035,510   17,757,941   SH        SOLE                 9,397,248 2,176,449  6,184,244
UNION PACIFIC CORP        COM       907818108   673,371   17,210,757   SH        SOLE                 8,375,532 1,936,029  6,899,196
UNION PACIFIC RESOURCES   COM       907834105     3,054      210,590   SH        SOLE                    62,600              147,990
UNION PLANTERS CORP W/RT  COM       908068109    12,788      415,012   SH        SOLE                   324,117    10,425     80,470
UNIONBANCAL CORP          COM       908906100     3,122      113,279   SH        SOLE                    61,000               52,279
UNISYS CORP               COM       909214108       801       31,407   SH        SOLE                     3,900               27,507
UNITED HEALTHCARE CORP    COM       910581107    39,694      665,724   SH        SOLE                   168,722    20,895    476,107
UNITED TECHS CORP W/RTS   COM       913017109     2,084       32,981   SH        SOLE                     5,900               27,081
UNITED WATER RESOURCES I  COM       913190104     1,157       33,300   SH        SOLE                                         33,300
UNIVERSAL HEALTH SERVICE  COM       913903100     2,937       59,930   SH        SOLE                    49,450               10,480
UNOCAL CORP               COM       915289102    46,781    1,572,483   SH        SOLE                   878,951   128,975    564,557
UNUMPROVIDENT CORP        COM       91529Y106     1,525       89,729   SH        SOLE                                         89,729
URS CORP NEW              COM       903236107     1,801      137,190   SH        SOLE                   125,950               11,240
UST INC                   COM       902911106     2,772      177,389   SH        SOLE                     1,800              175,589
USX-MARATHON GROUP        COM       902905827       660       25,317   SH        SOLE                    16,900                8,417
V F CORP                  COM       918204108   332,483   13,817,469   SH        SOLE                 6,842,060 1,620,194  5,355,215
VALERO ENERGY CORP NEW    COM       91913Y100    24,573      802,375   SH        SOLE                   658,275    12,870    131,230
VENATOR GROUP INC         COM       922944103     3,293      368,400   SH        SOLE                   114,400              254,000
VIACOM INC-NON VTG        COM       925524308     8,810      167,020   SH        SOLE                   107,300               59,720
VISHAY INTERTECHNOLOGY I  COM       928298108    30,227      543,400   SH        SOLE                   445,375               98,025
VULCAN MATERIALS CO       COM       929160109    40,373      881,258   SH        SOLE                              18,600    862,658
WACHOVIA CORP NEW         COM       929771103     2,773       41,043   SH        SOLE                    19,500       800     20,743
WAL-MART STORES INC       COM       931142103   195,282    3,518,600   SH        SOLE                 2,334,185     8,761  1,175,654
WALGREEN CO-W/RTS TO PUR  COM       931422109     1,223       47,493   SH        SOLE                                         47,493
WALT DISNEY CO            COM       254687106    66,221    1,600,505   SH        SOLE                   565,344    14,325  1,020,836
WARNER-LAMBERT CO         COM       934488107    16,496      169,188   SH        SOLE                   104,290       475     64,423
WASHINGTON FEDERAL INC    COM       938824109    14,690      770,622   SH        SOLE                   626,380    12,627    131,615
WASHINGTON MUTUAL INC     COM       939322103   123,293    4,652,560   SH        SOLE                 1,773,838     9,415  2,869,307
WASTE MANAGEMENT INC DEL  COM       94106L109       431       31,454   SH        SOLE                                         31,454
WELLMAN INC               COM       949702104    25,893    1,306,881   SH        SOLE                 1,069,650    24,525    212,706
WELLS FARGO & CO-NEW      COM       949746101    42,867    1,047,124   SH        SOLE                   590,650     4,455    452,019
WESTERN DIGITAL CORP      COM       958102105       372       50,000   SH        SOLE                                         50,000
WESTERN RESOURCES INC     COM       959425109     4,734      299,355   SH        SOLE                   128,605              170,750
WESTVACO CORP             COM       961548104   422,544   12,660,501   SH        SOLE                 6,800,161 1,342,457  4,517,883
WEYERHAEUSER CO           COM       962166104     7,260      127,372   SH        SOLE                    84,550               42,822
WHIRLPOOL CORP            COM       963320106   402,998    6,874,173   SH        SOLE                 3,160,554   708,524  3,005,095
WILLAMETTE INDUSTRIES IN  COM       969133107    98,847    2,463,472   SH        SOLE                   721,682   213,941  1,527,849
WILLIAMS COS-W/RTS TO PU  COM       969457100       997       22,687   SH        SOLE                     1,732               20,955
WISCONSIN ENERGY CORP     COM       976657106   211,968   10,631,609   SH        SOLE                 6,073,408 1,186,103  3,372,098
WOLVERINE TUBE INC        COM       978093102    15,135    1,181,300   SH        SOLE                   965,650    20,350    195,300
WORTHINGTON INDUSTRIES I  COM       981811102     2,887      233,262   SH        SOLE                   212,000               21,262
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 15

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                        For Quarter End: 03/31/2000

                                                         SEC13F Information Table
      Column 1            Column 2  Column 3    Column 4         Column 5        Column 6   Column 7            Column 8
- -----------------------   --------  ---------   --------  ---------------------- ---------- -------- -------------------------------
                                                                                                            Voting Authority
                                                                                                     -------------------------------
                          Title of                Value   Shrs or Prn  SH/ PUTT/ Investment Other
Name of Issuer             Class     Cusip      (x$1000)  Amount       PRN  CALL Discretion Managers  Sole      Shared *    None
- -----------------------   --------  ---------   --------  ----------   --- ----- ---------- -------- ---------  ---------  ---------
<S>                       <C>       <C>      <C>          <C>          <C> <C>   <C>        <C>      <C>        <C>        <C>
WPS RESOURCES CORP        COM       92931B106    16,638      641,470   SH        SOLE                   525,675    11,545    104,250
XEROX CORP                COM       984121103     6,249      240,347   SH        SOLE                   167,551               72,796
XILINX INC                COM       983919101     1,656       19,999   SH        SOLE                                         19,999
XL CAPITAL LTD-CL A       COM       G98255105     6,362      114,895   SH        SOLE                    94,625               20,270
YAHOO INC                 COM       984332106    29,585      172,634   SH        SOLE                   116,660       400     55,574
3COM CORP                 COM       885535104     3,512       63,132   SH        SOLE                    18,050       125     44,957
3DO CO                    COM       88553W105       388       40,000   SH        SOLE                                         40,000
TOTAL # ISSUES = 637                         50,386,863
</TABLE>

*Shares owned by Sanford C. Bernstein and Co., Inc. clients who have appointed
an independent voting agent with instructions to vote shares in the same manner
as Sanford C. Bernstein and Co., Inc.
                                     Page 16



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