BERNSTEIN SANFORD C & CO INC
13F-HR/A, 2000-01-19
Previous: FIRST STATE BANCORPORATION, SC 13G/A, 2000-01-19
Next: FINLAY FINE JEWELRY CORP, 8-K, 2000-01-19




<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: December 31, 1999

Check here if Amendment [X]; Amendment Number: 2
  This Amendment (Check only one.): [X] 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
January 19, 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: 517
Form 13F Information Table Value Total (thousands): $52,853,663

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>


         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                          For Quarter End: 12/31/99

<TABLE>
<CAPTION>
                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER               CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------    -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                          <C>    <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
***ALCAN ALUMINUM LTD        COM    013716105    888,033  21,560,743  SH        SOLE               11,730,112  2,482,433   7,348,198
***BP AMOCO P L C            COM    055622104      4,505      75,955  SH        SOLE                   57,809      2,513      15,633
***CANADIAN PACIFIC LTD      COM    135923100    595,836  27,632,997  SH        SOLE               14,077,477  3,805,657   9,749,863
***ESG RE LTD                COM    G31215109      4,053     584,220  SH        SOLE                  433,250      8,220     142,750
***FRESH DEL MONTE PRODU     COM    G36738105     11,010   1,223,355  SH        SOLE                  981,025     27,985     214,345
***INCO LTD                  COM    453258402      2,310      98,300  SH        SOLE                   98,300
***MADGE NV                  COM    N5424G106      1,828     250,000  SH        SOLE                                         250,000
***MANULIFE FINANCIAL CO     COM    56501R106        249      19,606  SH        SOLE                                          19,606
***MILLENNIUM CHEMICALS      COM    599903101    211,456  10,706,631  SH        SOLE                6,164,035  1,029,408   3,513,188
***NORTEL NETWORKS CORP      COM    656569100     57,801     572,288  SH        SOLE                  498,086        600      73,602
***PARTNERRE HOLDINGS LT     COM    G6852T105     14,134     435,715  SH        SOLE                  352,350      8,290      75,075
***ROYAL DUTCH PETROLEUM     COM    780257804    110,857   1,834,237  SH        SOLE                1,333,147     24,940     476,150
***SCHLUMBERGER LTD          COM    806857108        940      14,960  SH        SOLE                    1,100        525      13,335
***SCOTTISH POWER PLC        COM    81013T705      5,599     199,978  SH        SOLE                                         199,978
***UNITED DOMINION INDUS     COM    909914103        909      45,600  SH        SOLE                   43,000                  2,600
***VODAFONE GROUP PLC        COM    92857T107        988      19,950  SH        SOLE                               1,500      18,450
***WESCAST INDUSTRIES IN     COM    950813105        291      13,690  SH        SOLE                   13,690
**MAS EQUITY PORTFOLIO       OTHER  552913105        950      54,797  SH        SOLE                                          54,797
A O SMITH CORP CL B          COM    831865209      2,290     104,675  SH        SOLE                   91,200                 13,475
ABBOTT LABORATORIES          COM    002824100     44,236   1,218,204  SH        SOLE                  707,206      1,118     509,880
ADAPTEC INC                  COM    00651F108    158,679   3,181,542  SH        SOLE                1,027,640    167,660   1,986,242
ADOBE SYSTEMS INC            COM    00724F101      1,009      15,000  SH        SOLE                   11,600                  3,400
ADVANCED MICRO DEVICES I     COM    007903107        741      25,610  SH        SOLE                   21,650                  3,960
AES CORP                     COM    00130H105      2,631      35,200  SH        SOLE                   34,800        400
AETNA INC                    COM    008117103    698,979  12,523,694  SH        SOLE                6,554,526  1,394,863   4,574,305
AGCO CORP                    COM    001084102      4,428     329,500  SH        SOLE                  285,300                 44,200
AIR PRODUCTS & CHEMICALS     COM    009158106     68,092   2,028,822  SH        SOLE                  518,300    153,140   1,357,382
ALBANY INTL CORP CL A NE     COM    012348108     13,577     875,940  SH        SOLE                  717,320     13,427     145,193
ALBERTSONS INC               COM    013104104      4,419     137,027  SH        SOLE                  127,306        615       9,106
ALCOA INC                    COM    013817101     27,364     329,686  SH        SOLE                  121,561     34,268     173,857
ALEXANDER & BALDWIN INC      COM    014482103     14,169     621,101  SH        SOLE                  492,775     16,215     112,111
ALLEGHENY ENERGY INC         COM    017361106    120,679   4,479,973  SH        SOLE                2,139,885    216,090   2,123,998
ALLEGHENY TECHNOLOGIES I     COM    01741R102     14,112     628,956  SH        SOLE                   76,700      9,469     542,787
ALLIANT CORP                 COM    018802108     44,959   1,634,886  SH        SOLE                  744,985     15,401     874,500
ALLSTATE CORP                COM    020002101    107,541   4,480,882  SH        SOLE                1,493,063     10,306   2,977,513
ALLTEL CORP                  COM    020039103     10,390     125,650  SH        SOLE                  123,100                  2,550
ALLTRISTA CORP               COM    020040101     14,044     634,755  SH        SOLE                  545,625     10,305      78,825
AMAZON COM INC               COM    023135106        916      12,030  SH        SOLE                                          12,030
AMBAC INC                    COM    023139108    209,667   4,017,576  SH        SOLE                2,096,074    406,318   1,515,184
AMER INTERNATIONAL GROUP     COM    026874107    179,892   1,663,742  SH        SOLE                  753,219      1,634     908,889
AMEREN CORP                  COM    023608102    117,071   3,574,695  SH        SOLE                1,349,330    230,705   1,994,660
AMERICA ONLINE INC-DEL       COM    02364J104     82,958   1,099,691  SH        SOLE                  817,558      1,170     280,963

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                          For Quarter End: 12/31/99


<TABLE>
<CAPTION>
                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER               CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------    -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                          <C>    <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
AMERICA WEST HOLDING COR     COM    023657208      1,620      78,075  SH        SOLE                   73,000                  5,075
AMERICAN ELECTRIC POWER      COM    025537101    545,622  16,984,332  SH        SOLE               10,335,142  1,420,506   5,228,684
AMERICAN EXPRESS CO          COM    025816109     21,810     131,190  SH        SOLE                   79,440      2,300      49,450
AMERICAN FREIGHTWAYS COR     COM    02629V108      7,976     492,750  SH        SOLE                  424,900                 67,850
AMERICAN GENERAL CORP        COM    026351106    507,750   6,691,927  SH        SOLE                2,934,466    944,386   2,813,075
AMERICAN GREETINGS CORP      COM    026375105        910      38,530  SH        SOLE                   17,100     10,075      11,355
AMERICAN HOME PRODUCTS C     COM    026609107     19,777     501,468  SH        SOLE                  368,613      1,500     131,355
AMERICAN MGMT SYSTEMS IN     COM    027352103        702      22,375  SH        SOLE                                          22,375
AMERICAN NATIONAL INSURA     COM    028591105     13,685     214,666  SH        SOLE                  169,135      4,960      40,571
AMERICAN SOFTWARE INC CL     COM    029683109      1,538     150,000  SH        SOLE                                         150,000
AMERICAN STANDARD COMPAN     COM    029712106    378,025   8,240,317  SH        SOLE                4,087,475  1,011,359   3,141,483
AMERISOURCE DISTRIBUTION     COM    03071P102     11,390     749,930  SH        SOLE                  643,600                106,330
AMERITRADE HOLDING CORP-     COM    03072H109        260      12,000  SH        SOLE                                          12,000
AMGEN                        COM    031162100     11,727     195,250  SH        SOLE                  176,300      1,600      17,350
AMR CORP-DEL- W/RTS TO P     COM    001765106      4,542      67,790  SH        SOLE                   59,600                  8,190
ANDREW CORP                  COM    034425108     75,130   3,967,273  SH        SOLE                2,509,640     65,031   1,392,602
ANHEUSER-BUSCH COS INC-W     COM    035229103     32,480     458,274  SH        SOLE                  245,475        600     212,199
AON CORP                     COM    037389103     17,548     438,700  SH        SOLE                  310,075        600     128,025
APPLE COMPUTER INC           COM    037833100     93,330     907,765  SH        SOLE                  525,550        550     381,665
APPLIED MATERIALS INC        COM    038222105     18,045     142,440  SH        SOLE                  126,275      1,530      14,635
ARCHER-DANIELS-MIDLAND C     COM    039483102    111,469   9,146,167  SH        SOLE                3,237,580      8,537   5,900,050
ARDEN REALTY INC             COM    039793104     35,974   1,793,100  SH        SOLE                              28,400   1,764,700
ARGONAUT GROUP INC           COM    040157109      7,537     379,204  SH        SOLE                  315,650      6,350      57,204
ARKANSAS BEST CORP-DEL       COM    040790107      3,580     298,360  SH        SOLE                  257,300                 41,060
ARMSTRONG WORLD IND INC-     COM    042476101     29,615     887,350  SH        SOLE                  369,475        925     516,950
ARROW ELECTRONICS INC        COM    042735100    352,367  13,886,400  SH        SOLE                7,351,270  1,591,049   4,944,081
ARVIN INDUSTRIES INC         COM    043339100      1,623      57,195  SH        SOLE                   52,200                  4,995
ASHLAND INC                  COM    044204105    173,253   5,260,067  SH        SOLE                2,862,073    269,184   2,128,810
ASSOCIATES FIRST CAPITAL     COM    046008108      7,715     281,189  SH        SOLE                  124,950      2,116     154,123
AT&T CORP                    COM    001957109    364,732   7,186,842  SH        SOLE                2,391,278     16,036   4,779,528
AT&T CORP LIBERTY MEDIA      COM    001957208      7,274     128,179  SH        SOLE                   65,125                 63,054
ATLANTIC RICHFIELD CO        COM    048825103    501,066   5,792,665  SH        SOLE                2,880,060    891,065   2,021,540
AUTOLIV INC                  COM    052800109      1,344      45,961  SH        SOLE                   45,961
AUTOMATIC DATA PROCESSIN     COM    053015103     71,033   1,318,484  SH        SOLE                              17,000   1,301,484
AUTOZONE INC                 COM    053332102      1,065      32,950  SH        SOLE                   29,350                  3,600
AVALONBAY COMMUNITIES IN     COM    053484101     14,667     427,450  SH        SOLE                  346,125      9,225      72,100
AVIS RENT A CAR INC          COM    053790101      8,762     342,750  SH        SOLE                  295,700                 47,050
AVNET INC                    COM    053807103    335,818   5,550,707  SH        SOLE                3,179,308    616,700   1,754,699
B F GOODRICH CO              COM    382388106    386,406  14,051,118  SH        SOLE                7,335,091  1,422,556   5,293,471
BALL CORP-W/RTS TO PUR P     COM    058498106      2,094      53,175  SH        SOLE                   43,650        200       9,325
BANK OF AMER CORP            COM    060505104  1,462,025  29,131,250  SH        SOLE               14,709,566  3,068,436  11,353,248
BANK OF NEW YORK CO INC-     COM    064057102    162,181   4,054,529  SH        SOLE                    1,150     60,200   3,993,179

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                          For Quarter End: 12/31/99


<TABLE>
<CAPTION>

                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER               CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------    -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                          <C>    <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
BANK ONE CORP                COM    06423A103  1,028,618  32,081,638  SH        SOLE               16,169,725  3,327,863  12,584,050
BAUSCH & LOMB INC            COM    071707103      9,439     137,915  SH        SOLE                   84,800        300      52,815
BAXTER INTERNATIONAL INC     COM    071813109     47,359     753,976  SH        SOLE                  461,931        605     291,440
BB&T CORP                    COM    054937107        288      10,506  SH        SOLE                               6,786       3,720
BEAR STEARNS COMPANIES I     COM    073902108     34,296     802,254  SH        SOLE                  503,432        210     298,612
BECKMAN COULTER INC          COM    075811109     18,461     362,875  SH        SOLE                  298,875      7,200      56,800
BECTON DICKINSON & CO        COM    075887109     12,265     458,516  SH        SOLE                  371,000      7,680      79,836
BELL ATLANTIC CORP           COM    077853109    114,619   1,861,830  SH        SOLE                  823,169      1,025   1,037,636
BELLSOUTH CORP               COM    079860102     87,005   1,858,595  SH        SOLE                  683,546        900   1,174,149
BEMIS CO INC                 COM    081437105      1,010      28,950  SH        SOLE                   28,325                    625
BERGEN BRUNSWIG CORP CLA     COM    083739102    136,901  16,469,331  SH        SOLE                8,424,944  1,604,630   6,439,757
BESTFOODS                    COM    08658U101      5,508     104,790  SH        SOLE                    7,800        200      96,790
BINDLEY WESTERN INDUSTRY     COM    090324104      3,716     246,688  SH        SOLE                  211,020                 35,668
BIO-RAD LABORATORIES INC     COM    090572207      5,085     217,540  SH        SOLE                  143,750      4,240      69,550
BIO-TECHNOLOGY GENERAL C     COM    090578105      1,906     125,000  SH        SOLE                                         125,000
BJS WHOLESALE CLUB INC       COM    05548J106        637      17,460  SH        SOLE                   13,500                  3,960
BLACK & DECKER CORP          COM    091797100     70,229   1,344,100  SH        SOLE                  199,450     18,950   1,125,700
BLOCK DRUG CO INC CLASS      COM    093644102     14,063     453,648  SH        SOLE                  367,726      6,747      79,175
BOEING CO                    COM    097023105     90,860   2,186,097  SH        SOLE                1,453,563    158,450     574,084
BOISE CASCADE CP-W/RTS T     COM    097383103     61,930   1,529,124  SH        SOLE                  772,810      2,510     753,804
BORG WARNER AUTOMOTIVE I     COM    099724106     22,778     562,420  SH        SOLE                  465,025      9,000      88,395
BOWATER INC                  COM    102183100        918      16,906  SH        SOLE                   15,750                  1,156
BRIGGS & STRATTON CORP       COM    109043109     34,658     646,310  SH        SOLE                  411,935        850     233,525
BRISTOL MYERS SQUIBB CO      COM    110122108     98,477   1,534,215  SH        SOLE                1,047,291      8,218     478,706
BROWNING-FERRIS INDUSTRI     COM    115885105      1,629      36,200  SH        SOLE                                          36,200
BRUNSWICK CORP               COM    117043109        227      10,219  SH        SOLE                    9,775        444
BRUSH WELLMAN INC            COM    117421107      6,813     405,225  SH        SOLE                  304,750      5,750      94,725
BURLINGTON NORTHERN SANT     COM    12189T104    167,915   6,924,328  SH        SOLE                2,196,204    194,203   4,533,921
C I G N A CORP               COM    125509109  1,166,791  14,483,049  SH        SOLE                6,817,757  1,941,439   5,723,853
CABOT CORP                   COM    127055101    121,095   5,943,306  SH        SOLE                2,255,042    780,708   2,907,556
CADENCE DESIGN SYSTEMS I     COM    127387108        350      14,600  SH        SOLE                                          14,600
CDW COMPUTER CENTERS INC     COM    125129106      1,179      15,000  SH        SOLE                   11,600                  3,400
CENTEX CORP-W/RTS TO PUR     COM    152312104     85,149   3,449,075  SH        SOLE                1,306,775    416,340   1,725,960
CENTRAL & SOUTH WEST COR     COM    152357109    365,819  18,290,965  SH        SOLE                8,586,470  2,164,399   7,540,096
CENTRAL VERMONT PUB SVC      COM    155771108     11,221   1,056,120  SH        SOLE                  838,600     31,120     186,400
CENTURA SOFTWARE CORP        COM    15640W103        816     150,000  SH        SOLE                                         150,000
CENTURYTEL INC               COM    156700106      1,350      28,500  SH        SOLE                   21,050                  7,450
CERIDIAN CORP                COM    15677T106        320      14,850  SH        SOLE                   11,500                  3,350
CHAMPION INTERNATIONAL C     COM    158525105    843,952  13,625,865  SH        SOLE                7,242,616  1,490,046   4,893,203
CHARMING SHOPPES INC         COM    161133103        265      40,000  SH        SOLE                                          40,000
CHASE MANHATTAN CORP NEW     COM    16161A108    125,668   1,617,610  SH        SOLE                  740,479     83,812     793,319
CHEVRON CORP                 COM    166751107     50,306     580,738  SH        SOLE                  391,595        470     188,673

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                          For Quarter End: 12/31/99


<TABLE>
<CAPTION>
                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER               CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------    -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                          <C>    <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
CHUBB CORP                   COM    171232101    544,912   9,676,568  SH        SOLE                5,078,701    951,981   3,645,886
CINERGY CORP                 COM    172474108    282,794  11,722,050  SH        SOLE                5,079,325  1,417,471   5,225,254
CISCO SYSTEMS INC            COM    17275R102    252,500   2,357,059  SH        SOLE                1,713,844      4,658     638,557
CITIGROUP INC                COM    172967101    543,227   9,776,862  SH        SOLE                2,205,614     64,107   7,507,141
CITIZENS UTILITIES CO SE     COM    177342201        575      40,531  SH        SOLE                              30,505      10,026
CK WITCO CORP                COM    12562C108     16,003   1,196,464  SH        SOLE                  941,711     17,964     236,789
CLECO CORP HLDGS NEW         COM    12561W105        651      20,300  SH        SOLE                   15,700      2,700       1,900
CMP GROUP INC                COM    125887109     22,257     807,510  SH        SOLE                  635,825     21,860     149,825
CNH GLOBAL N.V.              COM    N20935107        799      60,000  SH        SOLE                                          60,000
COCA COLA ENTERPRISES IN     COM    191219104      3,575     177,625  SH        SOLE                  169,975        800       6,850
COCA-COLA CO                 COM    191216100     93,466   1,604,570  SH        SOLE                1,034,695      8,265     561,610
COLUMBIA GAS SYSTEM INC      COM    197648108      4,934      78,000  SH        SOLE                   78,000
COMPAQ COMPUTER CORP         COM    204493100        426      15,741  SH        SOLE                    1,500        490      13,751
COMPUSA INC                  COM    204932107        650     126,850  SH        SOLE                                 350     126,500
COMPUTER ASSOCIATES INTL     COM    204912109     10,114     144,610  SH        SOLE                  133,450                 11,160
CONAGRA INC-W/RTS TO PUR     COM    205887102    483,306  21,420,768  SH        SOLE               10,737,338  1,632,021   9,051,409
CONMED CORP                  COM    207410101      1,580      61,065  SH        SOLE                   50,200                 10,865
CONOCO INC                   COM    208251306    114,860   4,640,809  SH        SOLE                1,770,786    979,381   1,890,642
CONOCO INC-CL B              COM    208251405     38,446   1,545,561  SH        SOLE                  884,569     59,645     601,347
CONSECO INC                  COM    208464107      1,932     108,088  SH        SOLE                    6,285    101,660         143
CONSOLIDATED EDISON INC      COM    209115104    121,478   3,521,093  SH        SOLE                1,261,975    257,670   2,001,448
CONSOLIDATED PAPERS INC      COM    209759109    260,945   8,202,604  SH        SOLE                3,877,019  1,028,613   3,296,972
CONSTELLATION ENERGY GRO     COM    210371100        571      19,683  SH        SOLE                    6,650      1,600      11,433
COOPER INDUSTRIES INC        COM    216669101    410,041  10,140,116  SH        SOLE                4,977,527    997,761   4,164,828
COOPER TIRE & RUBBER CO      COM    216831107    137,009   8,803,801  SH        SOLE                4,930,569    905,471   2,967,761
CORDANT TECHNOLOGIES INC     COM    218412104     19,190     581,528  SH        SOLE                  474,000     12,600      94,928
CORIXA CORP                  COM    21887F100        697      41,000  SH        SOLE                                          41,000
CORN PRODUCTS INTERNATIO     COM    219023108     26,924     822,120  SH        SOLE                  678,075     14,925     129,120
COUNTRYWIDE CREDIT INDS      COM    222372104     18,264     723,345  SH        SOLE                  444,940        550     277,855
CROWN CORK & SEAL CO INC     COM    228255105    300,749  13,441,297  SH        SOLE                7,073,093  1,393,528   4,974,676
CSX CORP                     COM    126408103    892,891  28,458,686  SH        SOLE               15,803,260  2,715,259   9,940,167
CUBIC CORP                   COM    229669106      1,253      57,298  SH        SOLE                   55,236      1,950         112
CUMMINS ENGINE CO INC-W/     COM    231021106     31,855     659,363  SH        SOLE                  363,250        700     295,413
CURTISS-WRIGHT CORP          COM    231561101      3,966     107,550  SH        SOLE                   83,425      1,225      22,900
CYTEC INDUSTRIES INC         COM    232820100     15,664     677,367  SH        SOLE                  543,425     15,800     118,142
DALLAS SEMICONDUCTOR COR     COM    235204104     23,349     362,350  SH        SOLE                  300,225      8,750      53,375
DANA CORP-W/RTS TO PUR P     COM    235811106    188,679   6,302,438  SH        SOLE                2,614,193    692,049   2,996,196
DAYTON-HUDSON CORP           COM    239753106      8,056     109,700  SH        SOLE                   97,125      2,100      10,475
DEERE & CO                   COM    244199105      4,058      93,555  SH        SOLE                   17,700                 75,855
DELL COMPUTER CORP           COM    247025109     66,666   1,307,185  SH        SOLE                  908,770      1,400     397,015
DELPHI AUTOMOTIVE SYS CO     COM    247126105    113,679   7,217,707  SH        SOLE                3,092,018      5,306   4,120,383
DIGENE CORP                  COM    253752109        232      13,328  SH        SOLE                                          13,328

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                         For Quarter End: 12/31/99


<TABLE>
<CAPTION>
                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER               CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------    -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                          <C>    <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
DILLARDS INC-CL A            COM    254067101    185,415   9,184,636  SH        SOLE                4,757,107    767,312   3,660,217
DOLLAR THRIFTY AUTOMOTIV     COM    256743105      8,087     337,850  SH        SOLE                  286,500                 51,350
DONNELLY CORP CL A           COM    257870105        329      23,500  SH        SOLE                   23,500
DOW CHEMICAL CO              COM    260543103  2,080,621  15,570,598  SH        SOLE                7,748,331  2,147,535   5,674,732
DTE ENERGY CO                COM    233331107      2,057      65,575  SH        SOLE                   62,475                  3,100
DUKE REALTY INVESTMENTS      COM    264411505     12,675     649,994  SH        SOLE                  529,155     10,862     109,977
DUN & BRADSTREET CORP DE     COM    26483B106     16,517     559,904  SH        SOLE                  396,595        700     162,609
E I DU PONT DE NEMOURS &     COM    263534109     76,366   1,159,251  SH        SOLE                  738,235     34,244     386,772
EASTMAN CHEMICAL CO          COM    277432100    424,135   8,894,046  SH        SOLE                5,341,882    808,295   2,743,869
EATON CORP- WITH RTS TO      COM    278058102    121,545   1,673,594  SH        SOLE                  852,607    199,218     621,769
EL PASO ENERGY CORP          COM    283905107      1,307      33,685  SH        SOLE                   32,000         20       1,665
ELECTRONIC DATA SYSTEMS      COM    285661104     10,818     161,614  SH        SOLE                  158,400        190       3,024
ELI LILLY & CO               COM    532457108     23,105     347,443  SH        SOLE                  228,999        282     118,162
EMC CORP-MASS                COM    268648102     52,221     477,992  SH        SOLE                  402,905        450      74,637
EMERSON ELECTRIC CO          COM    291011104     10,321     179,885  SH        SOLE                  142,980      1,180      35,725
EMPIRE DISTRICT ELECTRIC     COM    291641108      8,913     393,930  SH        SOLE                  308,775     10,405      74,750
ENHANCE FINANCIAL SERVIC     COM    293310108      8,400     516,950  SH        SOLE                  404,775     15,825      96,350
ENRON CORP                   COM    293561106        615      13,856  SH        SOLE                    7,150      4,010       2,696
ESTERLINE CORP               COM    297425100     12,120   1,048,245  SH        SOLE                  853,050     15,095     180,100
EVEREST REINSURANCE HOLD     COM    299808105     11,669     522,967  SH        SOLE                  423,850      9,950      89,167
EXAR CORP                    COM    300645108     25,597     434,775  SH        SOLE                  356,825     10,300      67,650
EXXON MOBIL CORP             COM    30231G102    492,029   6,107,417  SH        SOLE                2,567,079     21,894   3,518,444
EZENIA INC                   COM    302311105      1,349     170,000  SH        SOLE                                         170,000
FDX CORP                     COM    31304N107     15,453     377,469  SH        SOLE                  131,864     86,971     158,634
FEDERAL HOME LOAN            COM    313400301     63,483   1,348,901  SH        SOLE                  264,345     13,002   1,071,554
FEDERAL NATIONAL MORTGAG     COM    313586109    204,299   3,272,059  SH        SOLE                1,444,580     81,716   1,745,763
FEDERATED DEPARTMENT         COM    31410H101    930,073  18,394,529  SH        SOLE                8,894,942  2,303,400   7,196,187
FELCOR LODGING TRUST INC     COM    31430F101      8,451     482,900  SH        SOLE                  408,050      9,850      65,000
FIFTH THIRD BANCORP          COM    316773100     16,165     220,300  SH        SOLE                                         220,300
FINLAY ENTERPRISES INC       COM    317884203        880      60,680  SH        SOLE                   58,800                  1,880
FIRST DATA CORP              COM    319963104      7,380     149,655  SH        SOLE                  144,305        950       4,400
FIRST UNION CORP             COM    337358105    316,740   9,653,023  SH        SOLE                4,372,137    701,855   4,579,031
FIRSTENERGY CORP             COM    337932107    291,267  12,838,206  SH        SOLE                5,491,441  1,392,139   5,954,626
FLEET BOSTON CORP            COM    33901A108        364      10,537  SH        SOLE                   10,537
FLEETBOSTON FINL CORP        COM    339030108    313,740   9,012,291  SH        SOLE                4,265,304    403,974   4,343,013
FLEETWOOD ENTERPRISES IN     COM    339099103      6,878     333,500  SH        SOLE                  264,450        350      68,700
FLUOR CORP                   COM    343861100    120,633   2,629,601  SH        SOLE                  961,423    242,929   1,425,249
FMC CORP-NEW                 COM    302491303    213,547   3,726,012  SH        SOLE                2,335,989    281,116   1,108,907
FORD MOTOR CO                COM    345370100    167,847   3,140,991  SH        SOLE                1,541,318     51,009   1,548,664
FORT JAMES CORPORATION       COM    347471104    168,148   6,142,395  SH        SOLE                2,684,945    629,950   2,827,500
FORTUNE BRANDS INC           COM    349631101     28,985     876,685  SH        SOLE                  606,935        550     269,200
FOUNDATION HEALTH SYSTEM     COM    350404109     98,043   9,865,950  SH        SOLE                6,407,260    575,158   2,883,532

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                         For Quarter End: 12/31/99


<TABLE>
<CAPTION>
                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER               CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------    -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                          <C>    <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
GAP INC                      COM    364760108      4,967     107,985  SH        SOLE                   99,500                  8,485
GBC BANCORP-CALIF            COM    361475106     11,143     577,000  SH        SOLE                  505,900     16,550      54,550
GENERAL ELECTRIC CO          COM    369604103    654,597   4,230,029  SH        SOLE                1,885,396     24,639   2,319,994
GENERAL MAGIC INC            COM    370253106        779     201,000  SH        SOLE                                         201,000
GENERAL MILLS INC-W/RTS      COM    370334104      3,231      90,366  SH        SOLE                   88,350                  2,016
GENERAL MOTORS CORP          COM    370442105     12,395     170,520  SH        SOLE                   88,873      2,264      79,383
GENERAL SEMICONDUCTOR        COM    370787103     31,167   2,196,780  SH        SOLE                1,796,450     45,300     355,030
GENUINE PARTS CO             COM    372460105    322,428  12,994,565  SH        SOLE                6,036,196  1,362,237   5,596,132
GEO A HORMEL & CO            COM    440452100     22,015     541,913  SH        SOLE                  262,250     76,624     203,039
GEON CO                      COM    37246W105        813      25,000  SH        SOLE                                          25,000
GEORGIA PACIFIC CORP         COM    373298108    156,863   3,090,900  SH        SOLE                1,420,650     73,515   1,596,735
GOLDEN STATE BANCORP INC     COM    381197102        633      36,682  SH        SOLE                                          36,682
GOLDEN WEST FINL CORP-DE     COM    381317106    183,238   5,469,777  SH        SOLE                2,245,873    335,142   2,888,762
GOODYEAR TIRE & RUBBER C     COM    382550101    498,677  17,691,408  SH        SOLE                9,983,629  1,830,268   5,877,511
GPU INC                      COM    36225X100     77,748   2,597,006  SH        SOLE                1,158,870     25,694   1,412,442
GREAT ATLANTIC&PAC TEA C     COM    390064103      4,325     155,150  SH        SOLE                  150,825        200       4,125
GREAT LAKES CHEMICAL COR     COM    390568103     39,668   1,038,768  SH        SOLE                  322,600      8,250     707,918
GT INTERACTIVE SOFTWARE      COM    36236E109        248     150,000  SH        SOLE                                         150,000
GTE CORP                     COM    362320103     71,712   1,016,295  SH        SOLE                  598,947      4,799     412,549
GYMBOREE CORP                COM    403777105        353      62,800  SH        SOLE                                          62,800
H J HEINZ CO                 COM    423074103     32,201     808,827  SH        SOLE                  509,124      3,407     296,296
HANNAFORD BROS CO            COM    410550107    140,181   2,022,451  SH        SOLE                               6,200   2,016,251
HARLEYSVILLE GROUP INC       COM    412824104     11,427     801,910  SH        SOLE                  652,400     16,285     133,225
HARMAN INTERNATIONAL         COM    413086109     17,687     315,130  SH        SOLE                  263,830      8,750      42,550
HARRAHS ENTERTAINMENT IN     COM    413619107     23,216     878,131  SH        SOLE                  460,450        575     417,106
HARRIS CORP-W/RTS TO PUR     COM    413875105     28,097   1,052,820  SH        SOLE                  236,960        250     815,610
HARTFORD FINANCIAL SERVI     COM    416515104     12,404     261,819  SH        SOLE                  231,375      3,500      26,944
HASBRO INC                   COM    418056107        517      27,100  SH        SOLE                   13,400      2,250      11,450
HEALTHSOUTH REHABILITATI     COM    421924101      5,380   1,000,900  SH        SOLE                  642,800                358,100
HELMERICH & PAYNE INC-W/     COM    423452101     17,858     818,725  SH        SOLE                  466,975        500     351,250
HERCULES INC                 COM    427056106     13,129     470,990  SH        SOLE                  306,375      3,555     161,060
HERSHEY FOODS CORP           COM    427866108        665      14,000  SH        SOLE                   12,000      2,000
HERTZ CORP-CL A              COM    428040109      7,208     143,800  SH        SOLE                  122,300                 21,500
HEWLETT PACKARD CO           COM    428236103    201,047   1,764,535  SH        SOLE                1,200,856      9,480     554,199
HEXCEL CORP NEW              COM    428291108      8,725   1,568,505  SH        SOLE                1,280,020     27,485     261,000
HIBERNIA CORP-CL A           COM    428656102     15,461   1,455,150  SH        SOLE                1,190,950     30,600     233,600
HOME DEPOT INC               COM    437076102     66,187     965,347  SH        SOLE                  759,400        975     204,972
HONEYWELL INTL INC           COM    438516106      5,302      91,915  SH        SOLE                   86,968      1,550       3,397
HOUSEHOLD INTERNATIONAL      COM    441815107      2,834      76,079  SH        SOLE                   76,019                     60
HUMANA INC                   COM    444859102        825     100,750  SH        SOLE                   16,450        800      83,500
HUSSMAN INTERNATIONAL IN     COM    448110106     15,799   1,048,914  SH        SOLE                  834,900     30,224     183,790
HUTCHINSON TECHNOLOGY IN     COM    448407106     14,870     699,780  SH        SOLE                  580,975     13,055     105,750

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                         For Quarter End: 12/31/99


<TABLE>
<CAPTION>
                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER               CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------    -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                          <C>    <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
IBP INC                      COM    449223106     19,412   1,078,443  SH        SOLE                  165,625        141     912,677
IDACORP INC                  COM    451107106     15,681     584,850  SH        SOLE                  482,850      8,800      93,200
INAMED CORP                  COM    453235103        603      13,750  SH        SOLE                                          13,750
INDUS INTERNATIONAL INC      COM    45578L100      2,691     220,800  SH        SOLE                                         220,800
INDUSTRI MATEMATIK INTL      COM    455792101        466      76,000  SH        SOLE                                          76,000
INGRAM MICRO INC-CL A        COM    457153104     88,439   6,738,192  SH        SOLE                3,971,755    510,300   2,256,137
INPRISE CORP                 COM    45766C102        564      51,000  SH        SOLE                                          51,000
INTEL CORP                   COM    458140100    241,076   2,928,785  SH        SOLE                2,030,875      5,950     891,960
INTERGRAPH CORP              COM    458683109      1,172     250,000  SH        SOLE                                         250,000
INTERNATIONAL PAPER CO-W     COM    460146103  1,605,306  28,443,958  SH        SOLE               15,454,742  3,033,750   9,955,466
INTL BUSINESS MACHINES C     COM    459200101    348,012   3,222,332  SH        SOLE                1,544,334    333,610   1,344,388
INTL FLAVORS & FRAGRANCE     COM    459506101        758      20,071  SH        SOLE                    8,050      4,290       7,731
ITT INDUSTRIES INC           COM    450911102      8,297     248,125  SH        SOLE                   92,100        625     155,400
J C PENNEY CO INC-W/RTS      COM    708160106    318,054  15,952,536  SH        SOLE               10,217,477  1,038,922   4,696,137
J P MORGAN & CO INC          COM    616880100     98,906     781,090  SH        SOLE                  416,340      3,100     361,650
JEFFERSON PILOT CORP         COM    475070108      7,075     103,665  SH        SOLE                   39,825      3,347      60,493
JOHNSON & JOHNSON            COM    478160104    182,011   1,954,476  SH        SOLE                1,179,488      7,705     767,283
K MART CORP                  COM    482584109      2,032     201,950  SH        SOLE                  199,600        450       1,900
KAISER ALUMINUM CORP         COM    483007100     18,697   2,432,095  SH        SOLE                1,936,700     42,445     452,950
KAMAN CORP CLASS A           COM    483548103     15,638   1,214,566  SH        SOLE                1,003,500     26,049     185,017
KELLWOOD CO                  COM    488044108     14,956     769,454  SH        SOLE                  604,225     17,005     148,224
KERR MCGEE CORP-W/RTS TO     COM    492386107      1,955      31,533  SH        SOLE                   19,375                 12,158
KEY ENERGY GROUP INC         COM    492914106        207      39,850  SH        SOLE                                          39,850
KEYCORP NEW                  COM    493267108     45,439   2,053,743  SH        SOLE                1,104,016     52,225     897,502
KIMBERLY CLARK CORP          COM    494368103      5,642      86,469  SH        SOLE                   12,375     31,006      43,088
KIMCO REALTY CORP-DEP SH     PFD    49446R604        551      28,800  SH        SOLE                                          28,800
KIMCO REALTY CORP-DEP SH     PFD    49446R307        795      45,600  SH        SOLE                                          45,600
KLA INSTRUMENTS CORP W/R     COM    482480100      3,708      33,294  SH        SOLE                   31,800        170       1,324
KONINKLIJKE PHILIPS ELEC     COM    500472204     10,315      76,410  SH        SOLE                   71,116                  5,294
LANIER WORLDWIDE INC         COM    51589L105        929     239,750  SH        SOLE                               1,800     237,950
LEAR CORP                    COM    521865105      6,392     199,750  SH        SOLE                   95,850                103,900
LEHMAN BROTHERS HOLDINGS     COM    524908100     53,897     636,427  SH        SOLE                  383,825        750     251,852
LIBERTY PROPERTY TRUST       COM    531172104     15,196     626,650  SH        SOLE                  506,850     15,300     104,500
LIMITED INC                  COM    532716107      6,995     161,497  SH        SOLE                  155,200                  6,297
LINCOLN ELEC CO HOLDINGS     COM    533900106      1,423      69,000  SH        SOLE                   53,150      3,500      12,350
LINCOLN NATIONAL CORP-W/     COM    534187109      7,829     195,715  SH        SOLE                  112,775     27,620      55,320
LITTON INDUSTRIES INC        COM    538021106    181,411   3,637,319  SH        SOLE                2,157,280    248,292   1,231,747
LIZ CLAIBORNE INC            COM    539320101        437      11,619  SH        SOLE                    7,900        300       3,419
LOCKHEED MARTIN CORP         COM    539830109    267,457  12,226,614  SH        SOLE                6,203,606    762,505   5,260,503
LOEWS CORP                   COM    540424108      6,704     110,473  SH        SOLE                   89,203        250      21,020
LOWES COMPANIES INC          COM    548661107        982      16,441  SH        SOLE                   13,700                  2,741
LSI LOGIC CORP-W/RTS TO      COM    502161102      3,417      50,625  SH        SOLE                   48,550                  2,075

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                         For Quarter End: 12/31/99


<TABLE>
<CAPTION>
                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER               CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------    -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                          <C>    <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
LUBRIZOL CORP                COM    549271104    234,463   7,593,957  SH        SOLE                4,369,917    888,622   2,335,418
LUCENT TECHNOLOGIES INC      COM    549463107    153,184   2,047,577  SH        SOLE                1,387,190      4,660     655,727
LYONDELL PETROCHEMICAL C     COM    552078107    108,372   8,499,746  SH        SOLE                5,181,751    599,868   2,718,127
M & F WORLDWIDE CORP         COM    552541104        852     168,269  SH        SOLE                  163,700                  4,569
MALLINCKRODT INC (NEW)       COM    561232109     48,909   1,537,430  SH        SOLE                  961,383      1,200     574,847
MANOR CARE INC NEW           COM    564055101     27,986   1,749,100  SH        SOLE                1,122,500        900     625,700
MARK IV INDUSTRIES INC       COM    570387100      8,250     466,450  SH        SOLE                  389,200     24,650      52,600
MATTEL INC-W/RTS TO PUR      COM    577081102     98,201   7,481,994  SH        SOLE                3,191,880    236,462   4,053,652
MAY DEPARTMENT STORES CO     COM    577778103    605,603  18,778,375  SH        SOLE                8,884,675  2,241,442   7,652,258
MAYTAG CO-W/RTS TO PUR C     COM    578592107      1,218      25,380  SH        SOLE                   22,580                  2,800
MBIA INC                     COM    55262C100    402,846   7,627,858  SH        SOLE                3,803,048    642,896   3,181,914
MBNA CORP                    COM    55262L100      1,156      42,434  SH        SOLE                   11,100                 31,334
MCDONALDS CORP- W/RTS TO     COM    580135101      5,949     147,579  SH        SOLE                  130,100      5,744      11,735
MCI WORLDCOM INC             COM    55268B106    110,219   2,077,142  SH        SOLE                1,422,481      2,115     652,546
MEAD CORP-W/RTS TO PUR C     COM    582834107    377,042   8,680,103  SH        SOLE                4,946,017    882,170   2,851,916
MEDIAONE GROUP INC           COM    58440J104      3,046      39,659  SH        SOLE                   29,150                 10,509
MERCK & CO INC               COM    589331107    112,999   1,684,985  SH        SOLE                1,126,382      2,965     555,638
MERITOR AUTOMOTIVE INC       COM    59000G100        284      14,679  SH        SOLE                      933                 13,746
MERRILL LYNCH & CO INC       COM    590188108      3,145      37,665  SH        SOLE                   36,450        519         696
MGIC INVESTMENT CORP-WIS     COM    552848103     92,028   1,529,022  SH        SOLE                  964,100      1,400     563,522
MICHAEL FOODS INC NEW        COM    594079105     25,208   1,023,690  SH        SOLE                  829,875     25,715     168,100
MICRO WAREHOUSE INC          COM    59501B105        740      40,000  SH        SOLE                                          40,000
MICRON TECHNOLOGY INC        COM    595112103     38,147     490,638  SH        SOLE                  317,000      1,350     172,288
MICROSOFT CORP               COM    594918104    517,834   4,435,409  SH        SOLE                2,987,654      5,591   1,442,164
MINNESOTA MINING & MFG C     COM    604059105    164,355   1,679,230  SH        SOLE                  339,608     36,850   1,302,772
MIRAGE RESORTS INC           COM    60462E104        901      58,827  SH        SOLE                   55,350                  3,477
MODINE MANUFACTURING CO      COM    607828100     16,503     660,100  SH        SOLE                  538,800     14,100     107,200
MOOG INC CL A                COM    615394202     15,867     587,675  SH        SOLE                  484,375      9,650      93,650
MORGAN STANLEY DEAN WITT     COM    617446448     54,039     378,559  SH        SOLE                  181,025      1,100     196,434
MOTOROLA INC                 COM    620076109     55,333     375,775  SH        SOLE                  333,395      1,585      40,795
NABISCO GROUP HLDG CORP      COM    62952P102     21,311   2,005,695  SH        SOLE                1,393,848     77,956     533,891
NATIONAL CITY CORP           COM    635405103    117,159   4,946,024  SH        SOLE                1,676,655    187,024   3,082,345
NATIONAL SEMICONDUCTOR C     COM    637640103     51,335   1,199,055  SH        SOLE                   96,962    436,263     665,830
NATIONAL SERVICE INDS IN     COM    637657107     14,707     498,550  SH        SOLE                  259,150        700     238,700
NEIMAN-MARCUS GROUP INC      COM    640204301        448      16,614  SH        SOLE                   13,169                  3,445
NETMANAGE INC                COM    641144100        370      75,000  SH        SOLE                                          75,000
NETWORK EQUIPMENT            COM    641208103        591      50,000  SH        SOLE                                          50,000
NEW CENTURY ENERGIES INC     COM    64352U103    268,516   8,840,048  SH        SOLE                3,798,215    901,820   4,140,013
NEW PLAN EXCEL REALTY TR     COM    648053106     11,771     744,400  SH        SOLE                  611,150     15,750     117,500
NEW YORK TIMES CLASS A       COM    650111107        967      19,687  SH        SOLE                   18,400        255       1,032
NEWELL RUBBERMAID INC        COM    651229106     27,281     940,720  SH        SOLE                   31,300     20,658     888,762
NIAGARA MOHAWK HOLDINGS      COM    653520106        209      15,000  SH        SOLE                   14,700                    300

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                         For Quarter End: 12/31/99


<TABLE>
<CAPTION>
                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER               CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------    -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                          <C>    <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
NIKE INC CL B                COM    654106103      1,233      24,875  SH        SOLE                   24,800                     75
NORDSTROM INC                COM    655664100      1,467      56,000  SH        SOLE                   55,300                    700
NORFOLK SOUTHERN CORP        COM    655844108    696,898  33,995,040  SH        SOLE               17,183,980  3,871,660  12,939,400
NORTHERN STATES POWER CO     COM    665772109     55,845   2,863,830  SH        SOLE                1,539,745    343,927     980,158
NORTHROP CORP                COM    666807102     80,274   1,484,838  SH        SOLE                  567,475      1,795     915,568
NUCOR CORP                   COM    670346105    139,568   2,546,284  SH        SOLE                  893,158    101,990   1,551,136
NVR INC                      COM    62944T105     14,417     301,927  SH        SOLE                  237,875      6,315      57,737
OCCIDENTAL PETROLEUM COR     COM    674599105    953,061  44,072,187  SH        SOLE               22,157,513  5,084,431  16,830,243
OFFICE DEPOT INC             COM    676220106     52,028   4,756,800  SH        SOLE                3,105,800      4,400   1,646,600
OLD REPUBLIC INTERNATION     COM    680223104    158,690  11,646,938  SH        SOLE                5,312,415  1,416,569   4,917,954
OMNICARE INC                 COM    681904108      1,202     100,157  SH        SOLE                                         100,157
ONEIDA LTD                   COM    682505102     24,798   1,140,142  SH        SOLE                  934,708     20,655     184,779
ORACLE SYSTEMS CORP          COM    68389X105     89,245     796,383  SH        SOLE                  670,925      1,218     124,240
OSHKOSH TRUCK CORP CL B      COM    688239201     14,710     501,821  SH        SOLE                  424,121     10,725      66,975
OWENS CORNING                COM    69073F103    119,391   6,182,043  SH        SOLE                3,315,612    516,023   2,350,408
OWENS ILLINOIS INC NEW       COM    690768403    332,404  13,263,010  SH        SOLE                5,708,849  1,627,066   5,927,095
OXFORD HEALTH PLANS INC      COM    691471106      1,280     100,925  SH        SOLE                                         100,925
P N C FINANCIAL CORP         COM    693475105     47,021   1,056,657  SH        SOLE                  695,650     30,139     330,868
P P & L RESOURCES INC        COM    693499105      6,046     264,320  SH        SOLE                   92,800        600     170,920
PACCAR INC -DEL-             COM    693718108     34,272     773,413  SH        SOLE                  444,775        950     327,688
PACIFIC CENTURY FINANCIA     COM    694058108      7,372     394,500  SH        SOLE                  320,350      9,250      64,900
PACIFICARE HEALTH SYSTEM     COM    695112102    197,143   3,719,675  SH        SOLE                2,084,627    334,436   1,300,612
PALL CORP                    COM    696429307        601      27,850  SH        SOLE                   22,150                  5,700
PARK PLACE ENTERTAINMENT     COM    700690100      4,316     345,250  SH        SOLE                  323,500                 21,750
PE CORP                      COM    69332S102      3,497      29,070  SH        SOLE                   28,900                    170
PENN ENGINEERING & MFG C     COM    707389300     15,101     649,485  SH        SOLE                  551,000     17,735      80,750
PEPSICO INC-NORTH CAROLI     COM    713448108      2,051      58,177  SH        SOLE                   27,441     26,850       3,886
PFIZER INC                   COM    717081103     74,699   2,302,868  SH        SOLE                1,453,046     16,550     833,272
PG&E CORP                    COM    69331C108    375,165  18,300,743  SH        SOLE               10,028,234  1,614,133   6,658,376
PHARMACIA & UPJOHN INC       COM    716941109      5,947     132,151  SH        SOLE                  127,450      1,740       2,961
PHILIP MORRIS COS INC        COM    718154107    648,270  27,957,746  SH        SOLE               13,636,782  2,992,573  11,328,391
PHILLIPS PETROLEUM CO-W/     COM    718507106    739,777  15,739,931  SH        SOLE                7,949,796  1,453,524   6,336,611
PHOENIX TECHNOLOGIES LTD     COM    719153108     27,189   1,719,450  SH        SOLE                1,403,150     39,450     276,850
PICTURETEL CORP NEW          COM    720035302      1,402     325,000  SH        SOLE                                         325,000
PITNEY BOWES INC-W/RTS T     COM    724479100     70,002   1,448,948  SH        SOLE                              24,700   1,424,248
PLAYTEX PRODUCTS INC         COM    72813P100      1,751     113,901  SH        SOLE                                         113,901
POST PROPERTIES INC          COM    737464107     14,349     375,150  SH        SOLE                  302,250      9,150      63,750
POTLATCH CORP                COM    737628107     16,513     370,029  SH        SOLE                  171,350                198,679
POTOMAC ELECTRIC POWER C     COM    737679100      6,098     265,869  SH        SOLE                  103,250                162,619
PPG INDUSTRIES INC-W/RTS     COM    693506107      1,379      22,043  SH        SOLE                   17,668      2,000       2,375
PRAXAIR INC                  COM    74005P104    691,374  13,741,591  SH        SOLE                6,295,487  1,885,187   5,560,917
PROCTER & GAMBLE CO          COM    742718109     88,662     809,239  SH        SOLE                  555,534      1,030     252,675

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                         For Quarter End: 12/31/99


<TABLE>
<CAPTION>
                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------  -------   -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                          <C>    <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
PUBLIC SVC CO OF NEW MEX     COM    744499104     14,721     905,891  SH        SOLE                  732,925     20,900     152,066
PUGET SOUND ENERGY INC       COM    745332106    134,148   6,923,751  SH        SOLE                4,047,999    704,235   2,171,517
PULTE CORP                   COM    745867101     29,852   1,326,755  SH        SOLE                  848,985     21,815     455,955
QUALCOMM INC                 COM    747525103     10,215      57,960  SH        SOLE                   57,840                    120
QUANTUM CORP DSSG COM        COM    747906204    346,021  22,877,409  SH        SOLE               12,883,480  2,622,044   7,371,885
QUANTUM CORP HDDG COM        COM    747906303     79,708  11,489,411  SH        SOLE                6,454,631  1,342,657   3,692,123
QUORUM HEALTH GROUP INC      COM    749084109      8,669     930,925  SH        SOLE                  796,425                134,500
R R DONNELLEY & SONS CO      COM    257867101      7,023     283,039  SH        SOLE                  271,600      2,200       9,239
RADIAN GROUP INC             COM    750236101      1,579      33,065  SH        SOLE                                          33,065
RAYONIER INC                 COM    754907103     19,755     408,899  SH        SOLE                  334,950      9,937      64,012
RAYTHEON CO-CL B             COM    755111408      9,309     350,470  SH        SOLE                  248,775        525     101,170
REEBOK INTL LTD              COM    758110100      4,829     589,800  SH        SOLE                  299,650        400     289,750
REGAL-BELOIT CORP            COM    758750103     10,997     533,200  SH        SOLE                  452,975     12,200      68,025
REGIONS FINANCIAL CORP       COM    758940100      1,630      64,875  SH        SOLE                   30,800      4,950      29,125
RELIANCE STEEL & ALUMINU     COM    759509102      6,314     269,385  SH        SOLE                  232,048      5,200      32,137
REPUBLIC NEW YORK CORP       COM    760719104      2,925      40,626  SH        SOLE                                 100      40,526
REYNOLDS METALS CO           COM    761763101     64,453     841,149  SH        SOLE                  135,825     57,295     648,029
REYNOLDS R J TOB HOLDING     COM    76182K105     86,155   4,888,238  SH        SOLE                3,233,053    338,926   1,316,259
ROBOTIC VISION SYSTEMS I     COM    771074101        899      97,200  SH        SOLE                                          97,200
ROCK-TENN CO-CL A            COM    772739207     20,288   1,375,440  SH        SOLE                1,130,500     22,150     222,790
ROCKWELL INTERNATIONAL C     COM    773903109      3,025      63,183  SH        SOLE                   61,575        495       1,113
ROSS STORES INC              COM    778296103        335      18,700  SH        SOLE                   14,500                  4,200
ROWAN COMPANIES INC          COM    779382100      3,310     152,600  SH        SOLE                  150,700                  1,900
RTI INTERNATIONAL METALS     COM    74973W107     13,769   1,835,900  SH        SOLE                1,547,350     34,500     254,050
RUSS BERRIE & CO INC         COM    782233100     19,662     749,020  SH        SOLE                  601,450     18,570     129,000
RUSSELL CORP                 COM    782352108     25,865   1,544,155  SH        SOLE                1,032,725     15,930     495,500
RYDER SYSTEM INC-W/RTS T     COM    783549108    123,881   5,069,294  SH        SOLE                3,069,149    389,133   1,611,012
RYERSON TULL INC-NEW         COM    78375P107     21,359   1,098,875  SH        SOLE                  938,158     23,223     137,494
SAFECO CORP                  COM    786429100     34,538   1,388,465  SH        SOLE                  883,955      2,125     502,385
SAKS INC                     COM    79377W108     25,832   1,659,904  SH        SOLE                  180,230              1,479,674
SARA LEE CORP                COM    803111103      1,299      58,877  SH        SOLE                   52,050      6,400         427
SBC COMMUNICATIONS INC       COM    78387G103    154,462   3,168,453  SH        SOLE                1,457,512      7,366   1,703,575
SCHERING PLOUGH CORP         COM    806605101     14,040     332,799  SH        SOLE                  283,375        374      49,050
SCHULER HOMES INC            COM    808188106      4,908     755,143  SH        SOLE                  594,725     28,818     131,600
SCHWEITZER MAUDUIT INTL      COM    808541106     15,671   1,166,210  SH        SOLE                  946,200     26,610     193,400
SCI SYSTEMS INC              COM    783890106        859      10,450  SH        SOLE                               5,245       5,205
SCIENTIFIC GAMES HOLDING     COM    808747109     15,311     924,450  SH        SOLE                  755,950     13,200     155,300
SEAGATE TECHNOLOGY           COM    811804103    978,207  21,008,480  SH        SOLE               11,270,599  2,005,400   7,732,481
SEARS ROEBUCK & CO           COM    812387108    944,909  31,044,229  SH        SOLE               17,086,451  3,479,478  10,478,300
SEMPRA ENERGY                COM    816851109     10,314     593,600  SH        SOLE                  234,350     75,825     283,425
SHARED MEDICAL SYSTEMS C     COM    819486101      5,644     110,800  SH        SOLE                   16,350        150      94,300
SHERWIN WILLIAMS CO          COM    824348106     98,147   4,673,647  SH        SOLE                1,699,765    460,250   2,513,632

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                         For Quarter End: 12/31/99


<TABLE>
<CAPTION>

                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------   -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                         <C>     <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
SHOPKO STORES INC            COM    824911101      6,829     296,920  SH        SOLE                  265,900                 31,020
SICOR INC                    COM    825846108        636      82,000  SH        SOLE                                          82,000
SIERRA HEALTH SERVICES I     COM    826322109        268      40,000  SH        SOLE                                          40,000
SIGMA-ALDRICH CORP           COM    826552101     27,983     930,825  SH        SOLE                  511,300      1,075     418,450
SILICON VALLEY BANCSHARE     COM    827064106      1,765      35,650  SH        SOLE                    3,250     13,600      18,800
SILICON VALLEY GROUP INC     COM    827066101     20,545   1,157,450  SH        SOLE                  933,500     24,650     199,300
SMITHFIELD FOODS INC         COM    832248108      1,683      70,115  SH        SOLE                   65,300                  4,815
SMURFIT-STONE CONTAINER      COM    832727101    229,670   9,374,267  SH        SOLE                3,754,482    640,460   4,979,325
SNAP-ON TOOLS CORP           COM    833034101     13,181     496,243  SH        SOLE                  394,925        850     100,468
SOLA INTERNATIONAL INC       COM    834092108     16,603   1,196,625  SH        SOLE                1,000,375     22,350     173,900
SOLECTRON CORP               COM    834182107      6,141      64,562  SH        SOLE                   61,427                  3,135
SONOCO PRODUCTS CO           COM    835495102    126,311   5,552,135  SH        SOLE                1,932,370    571,548   3,048,217
SOUTHERN CO                  COM    842587107     36,451   1,551,107  SH        SOLE                1,010,725      9,400     530,982
SOUTHTRUST CORP              COM    844730101      1,652      43,700  SH        SOLE                   43,150                    550
SOUTHWESTERN ENERGY CO       COM    845467109     11,365   1,731,855  SH        SOLE                1,401,900     31,155     298,800
SPRINT CORP                  COM    852061100     13,133     195,109  SH        SOLE                  165,275                 29,834
ST PAUL COMPANIES INC        COM    792860108    655,452  19,456,820  SH        SOLE               10,823,409  2,338,633   6,294,778
STMICROELECTRONICS N V       COM    861012102      1,514      10,000  SH        SOLE                                          10,000
SUMMIT BANCORP               COM    866005101     36,168   1,181,004  SH        SOLE                  725,740      8,775     446,489
SUN MICROSYSTEMS INC         COM    866810104     72,063     930,600  SH        SOLE                  655,640      6,700     268,260
SUNOCO INC                   COM    86764P109     66,053   2,810,775  SH        SOLE                1,614,819    132,900   1,063,056
SUNTRUST BANKS INC           COM    867914103      1,563      22,707  SH        SOLE                   22,000                    707
SUPERTEX INC                 COM    868532102     15,339     759,850  SH        SOLE                  623,200     17,050     119,600
SUPERVALU INC                COM    868536103    204,999  10,249,969  SH        SOLE                4,705,832  1,108,156   4,435,981
SYBASE INC                   COM    871130100        680      40,000  SH        SOLE                                          40,000
SYMANTEC CORP                COM    871503108      2,944      50,220  SH        SOLE                   46,125                  4,095
TECH DATA CORP               COM    878237106    205,053   7,559,551  SH        SOLE                4,313,027    792,666   2,453,858
TEKTRONIX INC                COM    879131100     24,159     621,450  SH        SOLE                  506,600     12,000     102,850
TELLABS INC                  COM    879664100      1,770      27,571  SH        SOLE                   25,500                  2,071
TEMPLE-INLAND INC            COM    879868107    257,126   3,899,534  SH        SOLE                1,998,672    340,841   1,560,021
TENET HEALTHCARE CORP        COM    88033G100     78,228   3,328,834  SH        SOLE                1,921,818    376,345   1,030,671
TERADYNE INC                 COM    880770102     41,412     627,459  SH        SOLE                  261,250    140,003     226,206
TESORO PETROLEUM CORP        COM    881609101      6,396     553,200  SH        SOLE                  455,900     10,500      86,800
TEXACO INC W/RTS TO PUR      COM    881694103     15,310     281,886  SH        SOLE                  214,921        730      66,235
TEXAS BIOTECHNOLOGY CORP     COM    88221T104      1,060     133,540  SH        SOLE                                         133,540
TEXAS INSTRUMENTS INC        COM    882508104     28,970     299,049  SH        SOLE                  259,465        265      39,319
TEXAS UTILITIES CO           COM    882848104     31,088     874,172  SH        SOLE                  735,620      1,225     137,327
THE PEPSI BOTTLING GROUP     COM    713409100     14,671     885,775  SH        SOLE                  652,375      1,650     231,750
THOMAS & BETTS CORP          COM    884315102     95,233   2,987,688  SH        SOLE                1,407,576    196,273   1,383,839
TIME WARNER INC              COM    887315109     19,108     263,788  SH        SOLE                  167,578      2,860      93,350
TJX COMPANIES INC NEW        COM    872540109      5,608     274,400  SH        SOLE                  270,550                  3,850
TORCHMARK CORP               COM    891027104     64,093   2,205,336  SH        SOLE                  793,085     18,970   1,393,281

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                         For Quarter End: 12/31/99


<TABLE>
<CAPTION>

                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------   -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                         <C>     <C>        <C>        <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
TOSCO CORP NEW               COM    891490302     75,545   2,778,677  SH        SOLE                  754,105        700   2,023,872
TOTAL RENAL CARE HOLDING     COM    89151A107        875     130,799  SH        SOLE                                         130,799
TOTAL RESEARCH CORP          COM    891511107        227      30,000  SH        SOLE                                          30,000
TOYS R US                    COM    892335100     36,755   2,568,040  SH        SOLE                1,460,200      1,650   1,106,190
TRAVELERS PROPERTY CASUA     COM    893939108      9,720     283,786  SH        SOLE                  123,330        500     159,956
TRIGON HEALTHCARE INC        COM    89618L100     28,423     963,495  SH        SOLE                  827,050        700     135,745
TRW INC-W/RTS TO PUR COM     COM    872649108     99,961   1,924,647  SH        SOLE                  714,130      1,500   1,209,017
TUPPERWARE CORP              COM    899896104      1,790     105,690  SH        SOLE                   95,800                  9,890
TYCO INTERNATIONAL LTD N     COM    902124106     11,606     298,557  SH        SOLE                  266,961      1,100      30,496
TYSON FOODS INC CL A         COM    902494103    196,683  12,103,543  SH        SOLE                5,094,285  1,109,226   5,900,032
U S BANCORP-DEL              COM    902973106        729      30,621  SH        SOLE                   27,830                  2,791
U S WEST INC NEW             COM    91273H101      4,381      60,849  SH        SOLE                   53,500        105       7,244
UCAR INTERNATIONAL INC       COM    90262K109     15,896     892,410  SH        SOLE                  731,750     15,300     145,360
ULTRAMAR DIAMOND             COM    904000106     26,266   1,157,716  SH        SOLE                  159,015                998,701
UNICOM CORP                  COM    904911104     63,077   1,882,895  SH        SOLE                1,002,550     66,120     814,225
UNION CARBIDE CORP           COM    905581104  1,259,202  18,864,450  SH        SOLE               10,072,154  2,315,733   6,476,563
UNION PACIFIC CORP           COM    907818108    691,379  15,848,233  SH        SOLE                7,847,717  1,637,767   6,362,749
UNION PACIFIC RESOURCES      COM    907834105        299      23,446  SH        SOLE                    5,200      2,846      15,400
UNION PLANTERS CORP W/RT     COM    908068109        565      14,333  SH        SOLE                   13,675                    658
UNIONBANCAL CORP             COM    908906100      1,742      44,179  SH        SOLE                   39,200                  4,979
UNISYS CORP                  COM    909214108        366      11,453  SH        SOLE                                          11,453
UNITED HEALTHCARE CORP       COM    910581107     64,705   1,217,972  SH        SOLE                  245,825    162,474     809,673
UNITRIN INC                  COM    913275103      1,586      42,140  SH        SOLE                              42,140
UNIVERSAL HEALTH SERVICE     COM    913903100      3,306      91,830  SH        SOLE                   77,700                 14,130
UNOCAL CORP                  COM    915289102     29,507     879,175  SH        SOLE                  474,000     65,250     339,925
URS CORP NEW                 COM    903236107      2,975     137,190  SH        SOLE                  128,700                  8,490
V F CORP                     COM    918204108    402,532  13,417,743  SH        SOLE                6,676,373  1,488,199   5,253,171
VALERO ENERGY CORP NEW       COM    91913Y100     16,163     813,250  SH        SOLE                  667,950     16,945     128,355
VIACOM INC-NON VTG           COM    925524308      5,761      95,314  SH        SOLE                   95,300                     14
VISHAY INTERTECHNOLOGY I     COM    928298108     18,418     582,400  SH        SOLE                  511,900                 70,500
VULCAN MATERIALS CO          COM    929160109     36,278     908,377  SH        SOLE                              17,800     890,577
WACHOVIA CORP NEW            COM    929771103      1,128      16,588  SH        SOLE                   14,200      1,700         688
WAL-MART STORES INC          COM    931142103    243,335   3,520,221  SH        SOLE                2,399,565      4,100   1,116,556
WALT DISNEY CO               COM    254687106     62,783   2,146,424  SH        SOLE                  448,094     36,615   1,661,715
WARNER-LAMBERT CO            COM    934488107      3,542      43,233  SH        SOLE                   30,125         50      13,058
WASHINGTON FEDERAL INC       COM    938824109     15,120     765,572  SH        SOLE                  631,090      8,867     125,615
WASHINGTON MUTUAL INC        COM    939322103    118,962   4,575,449  SH        SOLE                1,658,734      3,915   2,912,800
WELLMAN INC                  COM    949702104     25,005   1,342,531  SH        SOLE                1,097,300     29,725     215,506
WELLS FARGO & CO-NEW         COM    949746101     32,736     809,557  SH        SOLE                  575,475      4,955     229,127
WENDYS INTERNATIONAL INC     COM    950590109        988      47,900  SH        SOLE                   47,900
WESTERN DIGITAL CORP         COM    958102105        314      75,000  SH        SOLE                                          75,000
WESTERN RESOURCES INC        COM    959425109      4,004     235,530  SH        SOLE                  122,280                113,250

</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>

         Name of Reporting Manager: Sanford C. Bernstein & Co., Inc.
                         For Quarter End: 12/31/99


<TABLE>
<CAPTION>
                                                            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     SH/ PUTT/ INVESTMENT  OTHER
NAME OF ISSUER              CLASS    CUSIP     (X$1000)  PRN AMOUNT  PRN CALL  DISCRETION  MGRS.   SOLE        SHARED *    NONE
- -------------------------   -------  -----     --------  ----------  --- ----- ----------  -----   ----        --------    ----
<S>                         <C>     <C>       <C>         <C>         <C> <C>   <C>         <C>    <C>         <C>         <C>
WESTVACO CORP                COM    961548104    414,350  12,700,379  SH        SOLE                6,695,464  1,390,144   4,614,771
WEYERHAEUSER CO              COM    962166104      8,542     118,952  SH        SOLE                  102,025                 16,927
WHIRLPOOL CORP               COM    963320106    461,469   7,092,701  SH        SOLE                3,204,499    765,270   3,122,932
WILLAMETTE INDUSTRIES IN     COM    969133107    148,270   3,192,895  SH        SOLE                1,000,057    347,056   1,845,782
WISCONSIN ENERGY CORP        COM    976657106    195,110  10,135,604  SH        SOLE                5,913,414  1,034,357   3,187,833
WOLVERINE TUBE INC           COM    978093102     16,808   1,189,950  SH        SOLE                  971,050     25,400     193,500
WORTHINGTON INDUSTRIES I     COM    981811102      3,511     212,000  SH        SOLE                  212,000
WPS RESOURCES CORP           COM    92931B106     16,146     642,620  SH        SOLE                  530,625     10,545     101,450
XEROX CORP                   COM    984121103      4,121     181,620  SH        SOLE                  164,970                 16,650
XL CAPITAL LTD-CL A          COM    G98255105      5,960     114,895  SH        SOLE                   96,700                 18,195
YAHOO INC                    COM    984332106     29,499      68,176  SH        SOLE                   53,630         90      14,456
3COM CORP                    COM    885535104        606      12,895  SH        SOLE                                          12,895
3DO CO                       COM    88553W105        364      40,000  SH        SOLE                                          40,000

Total # issues: 517                           52,853,663

</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.




© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission