BERNSTEIN SANFORD C & CO INC
13F-HR, 2000-07-13
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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: June 30, 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
July 13, 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: 607
Form 13F Information Table Value Total (x1000): $49,678,013

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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
*** SCITEX CORP LTD ORD    COM        809090103       2,213     200,000 SH         SOLE                                      200,000
***ALCAN ALUMINUM LTD      COM        013716105     499,863  16,124,612 SH         SOLE              9,378,591 2,083,577   4,662,444
***ALUSUISSE LONZA HOLDI   COM        H0192F106      18,420      28,600 SH         SOLE                 24,150                 4,450
***ASIA PULP & PAPER CO    COM        04516V100         413      81,500 SH         SOLE                                       81,500
***BP AMOCO P L C          COM        055622104     100,252   1,772,415 SH         SOLE                752,047   357,773     662,595
***CANADIAN PACIFIC LTD    COM        135923100     565,295  21,586,462 SH         SOLE             11,804,140 3,327,155   6,455,167
***COMPANIA CERVECERIAS    COM        204429104       1,384      61,000 SH         SOLE                                       61,000
***CONTROLADORA COMERCIA   COM        21238A206         591      32,400 SH         SOLE                                       32,400
***CRISTALERIAS DE CHILE   COM        226714103         776      47,000 SH         SOLE                                       47,000
***ELECTROBRAS-SPONSORED   COM        15234Q207       1,444     142,000 SH         SOLE                                      142,000
***FRESH DEL MONTE PRODU   COM        G36738105       8,123   1,181,575 SH         SOLE                946,475    23,250     211,850
***GENER SA-SPONSORED AD   COM        368731105       1,347      91,700 SH         SOLE                                       91,700
***HELLENIC TELECOMMUNIC   COM        423325307         958      78,600 SH         SOLE                                       78,600
***HUANENG POWER INTL IN   COM        443304100       1,149      86,300 SH         SOLE                                       86,300
***KOOR INDUSTRIES LTD     COM        500507108         234      11,000 SH         SOLE                                       11,000
***MCDERMOTT INTL INC-W/   COM        580037109         300      34,000 SH         SOLE                                       34,000
***MILLENNIUM CHEMICALS    COM        599903101     160,766   9,456,834 SH         SOLE              5,602,739 1,013,363   2,840,732
***NORTEL NETWORKS CORP    COM        656568102     117,242   1,717,831 SH         SOLE              1,293,652     4,275     419,904
***PANAMERICAN BEVERAGES   COM        P74823108         523      35,000 SH         SOLE                                       35,000
***PARTNERRE HOLDINGS LT   COM        G6852T105      15,441     435,715 SH         SOLE                353,050     7,290      75,375
***ROYAL DUTCH PETROLEUM   COM        780257804     112,634   1,829,591 SH         SOLE              1,406,822     8,550     414,219
***SCHLUMBERGER LTD        COM        806857108       6,053      81,115 SH         SOLE                 17,375       650      63,090
***TECNOMATIX TECHNOLOGI   COM        M8743P105         211      15,500 SH         SOLE                                       15,500
***TELEFONOS DE MEXICO S   COM        879403780       2,900      50,770 SH         SOLE                                       50,770
***TOMMY HILFIGER CORP-O   COM        G8915Z102       2,629     350,500 SH         SOLE                                      350,500
***TRANSOCEAN SEDCO FORE   COM        G90078109         660      12,358 SH         SOLE                    135                12,223
***UNITED DOMINION INDUS   COM        909914103         775      45,600 SH         SOLE                 42,100                 3,500
***VODAFONE GROUP PLC      COM        92857T107         424      10,240 SH         SOLE                                       10,240
A O SMITH CORP CL B        COM        831865209       2,192     104,675 SH         SOLE                 89,250                15,425
ABBOTT LABORATORIES        COM        002824100      86,429   1,939,494 SH         SOLE              1,299,164    11,800     628,530
ACNIELSEN CORP             COM        004833109       2,369     107,672 SH         SOLE                                      107,672
ADAPTEC INC                COM        00651F108      68,721   3,020,712 SH         SOLE              1,146,920   160,267   1,713,525
ADOBE SYSTEMS INC          COM        00724F101      17,566     135,125 SH         SOLE                 11,725               123,400
ADVANCED MICRO DEVICES I   COM        007903107      12,093     156,545 SH         SOLE                113,325                43,220
AES CORP                   COM        00130H105       7,679     168,300 SH         SOLE                167,500       800
AETNA INC                  COM        008117103     740,432  11,535,456 SH         SOLE              6,485,885 1,311,441   3,738,130
AFLAC INC                  COM        001055102       5,880     128,000 SH         SOLE                                      128,000
AGCO CORP                  COM        001084102       4,098     334,500 SH         SOLE                279,225                55,275
AGILENT TECHNOLOGIES INC   COM        00846U101       3,367      45,661 SH         SOLE                 25,755     4,301      15,605
AIR PRODUCTS & CHEMICALS   COM        009158106      75,432   2,448,111 SH         SOLE                941,869   222,250   1,283,992
ALBANY INTL CORP CL A NE   COM        012348108       1,611     111,080 SH         SOLE                 89,734     1,526      19,820
ALBERTSONS INC             COM        013104104       5,646     169,802 SH         SOLE                148,098       615      21,089
ALCOA INC                  COM        013817101      17,662     609,037 SH         SOLE                253,159     1,260     354,618
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>

ALEXANDER & BALDWIN INC    COM        014482103      13,519     612,751 SH         SOLE                490,275    10,615     111,861
ALLEGHENY ENERGY INC       COM        017361106     122,516   4,475,475 SH         SOLE              2,174,885   250,151   2,050,439
ALLIANT CORP               COM        018802108      17,720     681,520 SH         SOLE                553,950    10,895     116,675
ALLSTATE CORP              COM        020002101      92,899   4,175,215 SH         SOLE              1,360,913     2,600   2,811,702
ALLTEL CORP                COM        020039103         824      13,300 SH         SOLE                 12,800                   500
ALLTRISTA CORP             COM        020040101      15,896     743,655 SH         SOLE                615,275     9,755     118,625
ALTERA CORP                COM        021441100      14,098     138,300 SH         SOLE                                      138,300
ALZA CORP CL A             COM        022615108       7,089     119,900 SH         SOLE                 12,000               107,900
AMAZON COM INC             COM        023135106         436      12,000 SH         SOLE                                       12,000
AMBAC INC                  COM        023139108     177,124   3,231,448 SH         SOLE              1,575,195   340,838   1,315,415
AMER INTERNATIONAL GROUP   COM        026874107     253,649   2,158,714 SH         SOLE              1,024,638     2,880   1,131,196
AMERADA HESS CORP          COM        023551104     349,051   5,652,645 SH         SOLE              3,382,830   355,467   1,914,348
AMEREN CORP                COM        023608102     258,729   7,666,040 SH         SOLE              3,479,525   776,145   3,410,370
AMERICA ONLINE INC-DEL     COM        02364J104      85,208   1,615,321 SH         SOLE                867,963     2,975     744,383
AMERICAN ELECTRIC POWER    COM        025537101     871,917  29,431,786 SH         SOLE             16,483,223 3,529,710   9,418,853
AMERICAN EXPRESS CO        COM        025816109      41,041     787,365 SH         SOLE                372,965        75     414,325
AMERICAN FREIGHTWAYS COR   COM        02629V108       7,145     492,750 SH         SOLE                415,825                76,925
AMERICAN GENERAL CORP      COM        026351106     373,002   6,114,794 SH         SOLE              2,766,781   821,279   2,526,734
AMERICAN GREETINGS CORP    COM        026375105       7,340     386,325 SH         SOLE                296,075     1,300      88,950
AMERICAN HOME PRODUCTS C   COM        026609107      31,901     543,000 SH         SOLE                410,690     1,050     131,260
AMERICAN MGMT SYSTEMS IN   COM        027352103         735      22,375 SH         SOLE                                       22,375
AMERICAN NATIONAL INSURA   COM        028591105      10,925     214,216 SH         SOLE                170,085     3,510      40,621
AMERICAN SOFTWARE INC CL   COM        029683109         641     125,000 SH         SOLE                                      125,000
AMERICAN STANDARD COMPAN   COM        029712106     268,893   6,558,363 SH         SOLE              3,294,906   858,299   2,405,158
AMERISOURCE DISTRIBUTION   COM        03071P102         622      20,070 SH         SOLE                 12,000                 8,070
AMGEN                      COM        031162100      31,663     450,714 SH         SOLE                207,775        88     242,851
AMR CORP-DEL- W/RTS TO P   COM        001765106      75,354   2,850,274 SH         SOLE              2,001,804     5,850     842,620
AMSOUTH BANCORPORATION W   COM        032165102       1,694     107,525 SH         SOLE                 59,625       800      47,100
ANALOG DEVICES INC         COM        032654105         813      10,700 SH         SOLE                 10,700
ANDREW CORP                COM        034425108      80,038   2,384,730 SH         SOLE              1,718,930    23,680     642,120
ANHEUSER-BUSCH COS INC-W   COM        035229103      19,742     264,325 SH         SOLE                154,025               110,300
AON CORP                   COM        037389103      45,133   1,452,963 SH         SOLE                870,363     3,300     579,300
APACHE CORP-W/RTS TO PUR   COM        037411105       8,189     139,235 SH         SOLE                 41,085                98,150
APPLE COMPUTER INC         COM        037833100      50,163     957,758 SH         SOLE                599,028     1,200     357,530
APPLIED MATERIALS INC      COM        038222105      45,647     503,695 SH         SOLE                289,400       250     214,045
ARCHER-DANIELS-MIDLAND C   COM        039483102     109,917  11,201,743 SH         SOLE              4,902,274    16,619   6,282,850
ARDEN REALTY INC           COM        039793104      40,384   1,718,450 SH         SOLE                           39,900   1,678,550
ARGONAUT GROUP INC         COM        040157109       6,452     376,754 SH         SOLE                311,700     7,650      57,404
ARKANSAS BEST CORP-DEL     COM        040790107       2,965     298,360 SH         SOLE                251,800                46,560
ARMSTRONG HOLDINGS INC     COM        042384107       9,150     597,550 SH         SOLE                342,225       900     254,425
ARROW ELECTRONICS INC      COM        042735100     410,444  13,240,122 SH         SOLE              7,499,051 1,604,372   4,136,699
ARVIN INDUSTRIES INC       COM        043339100         994      57,195 SH         SOLE                 51,100                 6,095
ASHLAND INC                COM        044204105     168,667   4,810,453 SH         SOLE              2,771,094   236,397   1,802,962
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>

ASSOCIATES FIRST CAPITAL   COM        046008108      34,110   1,528,728 SH         SOLE                690,748       800     837,180
AT&T CORP                  COM        001957109     186,870   5,908,930 SH         SOLE              2,752,907     6,275   3,149,748
AT&T CORP LIBERTY MEDIA    COM        001957208      14,801     610,348 SH         SOLE                236,700               373,648
AUTODESK INC               COM        052769106       1,977      57,000 SH         SOLE                 57,000
AUTOLIV INC                COM        052800109       1,106      45,961 SH         SOLE                 45,961
AUTOMATIC DATA PROCESSIN   COM        053015103      75,632   1,412,024 SH         SOLE                     75    19,200   1,392,749
AUTOZONE INC               COM        053332102       1,087      49,425 SH         SOLE                 45,225                 4,200
AVALONBAY COMMUNITIES IN   COM        053484101      17,832     427,125 SH         SOLE                347,475     6,800      72,850
AVERY DENNISON CORP        COM        053611109       4,551      67,800 SH         SOLE                                       67,800
AVIS RENT A CAR INC        COM        053790101       6,427     342,750 SH         SOLE                289,400                53,350
AVNET INC                  COM        053807103     364,967   6,159,774 SH         SOLE              3,631,898   648,944   1,878,932
AXA FINL INC               COM        002451102       4,570     134,400 SH         SOLE                 41,100                93,300
B F GOODRICH CO            COM        382388106     479,467  14,076,083 SH         SOLE              7,825,342 1,578,054   4,672,687
BAKER HUGHES INC           COM        057224107         829      25,900 SH         SOLE                 12,400                13,500
BALL CORP-W/RTS TO PUR P   COM        058498106       3,536     109,850 SH         SOLE                 79,875       700      29,275
BANK OF AMER CORP          COM        060505104   1,160,116  26,979,451 SH         SOLE             14,006,023 2,827,705  10,145,723
BANK OF NEW YORK CO INC-   COM        064057102     192,197   4,133,262 SH         SOLE                 57,725    67,750   4,007,787
BANK ONE CORP              COM        06423A103     790,355  29,754,544 SH         SOLE             15,598,730 3,325,814  10,830,000
BAXTER INTERNATIONAL INC   COM        071813109      45,565     648,037 SH         SOLE                376,127       400     271,510
BBV BANCO BHIF             COM        073297103         787      54,300 SH         SOLE                                       54,300
BEAR STEARNS COMPANIES I   COM        073902108      24,561     590,066 SH         SOLE                454,183     1,210     134,673
BECKMAN COULTER INC        COM        075811109      21,171     362,675 SH         SOLE                299,825     5,250      57,600
BECTON DICKINSON & CO      COM        075887109      16,938     590,433 SH         SOLE                445,483    18,900     126,050
BELL ATLANTIC CORP         COM        077853109     102,205   2,011,420 SH         SOLE              1,061,614     1,490     948,316
BELLSOUTH CORP             COM        079860102      89,973   2,110,801 SH         SOLE                907,615     2,535   1,200,651
BEMIS CO INC               COM        081437105       1,506      44,775 SH         SOLE                 42,150       500       2,125
BERGEN BRUNSWIG CORP CLA   COM        083739102      85,105  15,473,654 SH         SOLE              8,575,549 1,561,917   5,336,188
BEST BUY COMPANY INC       COM        086516101       5,835      92,250 SH         SOLE                     50                92,200
BESTFOODS                  COM        08658U101      12,372     178,660 SH         SOLE                 32,250               146,410
BETHLEHEM STEEL CORP       COM        087509105       1,704     478,350 SH         SOLE                 22,550               455,800
BIO-RAD LABORATORIES INC   COM        090572207       4,721     188,850 SH         SOLE                117,900     3,500      67,450
BIO-TECHNOLOGY GENERAL C   COM        090578105         989      75,000 SH         SOLE                                       75,000
BJS WHOLESALE CLUB INC     COM        05548J106         574      17,400 SH         SOLE                 13,500                 3,900
BLACK & DECKER CORP        COM        091797100      65,855   1,675,172 SH         SOLE                271,147    29,150   1,374,875
BLOCK DRUG CO INC CLASS    COM        093644102      19,388     458,212 SH         SOLE                370,773     7,764      79,675
BMC SOFTWARE INC           COM        055921100       3,021      82,800 SH         SOLE                  2,300                80,500
BOEING CO                  COM        097023105     113,379   2,711,607 SH         SOLE              1,883,878   123,833     703,896
BOISE CASCADE CP-W/RTS T   COM        097383103      35,442   1,369,737 SH         SOLE                666,288     2,075     701,374
BORG WARNER AUTOMOTIVE I   COM        099724106      19,927     567,320 SH         SOLE                469,975     6,650      90,695
BOWATER INC                COM        102183100       1,029      23,331 SH         SOLE                 10,025                13,306
BRIGGS & STRATTON CORP     COM        109043109      36,250   1,058,404 SH         SOLE                756,604     5,650     296,150
BRISTOL MYERS SQUIBB CO    COM        110122108     113,019   1,940,240 SH         SOLE              1,355,141     9,608     575,491
BRUNSWICK CORP             COM        117043109       2,604     157,249 SH         SOLE                133,905       994      22,350
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
BRUSH WELLMAN INC          COM        117421107       6,201     396,875 SH         SOLE                298,300     3,850      94,725
BURLINGTON NORTHERN SANT   COM        12189T104     381,902  16,649,692 SH         SOLE              8,449,608 1,189,307   7,010,777
C I G N A CORP             COM        125509109     991,288  10,602,012 SH         SOLE              4,772,760 1,632,725   4,196,527
C&D TECHNOLOGIES INC       COM        124661109         588      10,400 SH         SOLE                    800     2,400       7,200
CABOT CORP                 COM        127055101     194,215   7,127,149 SH         SOLE              3,373,085   811,542   2,942,522
CAMPBELL SOUP CO           COM        134429109       1,282      44,000 SH         SOLE                 13,800                30,200
CAPITAL ONE FINANCIAL CO   COM        14040H105         817      18,300 SH         SOLE                  8,300                10,000
CAREMARK RX INC            COM        141705103         869     127,573 SH         SOLE                                      127,573
CATERPILLAR INC-W/RTS TO   COM        149123101       2,204      65,075 SH         SOLE                 37,075                28,000
CDW COMPUTER CENTERS INC   COM        125129106       1,875      30,000 SH         SOLE                 23,200                 6,800
CENDANT CORP               COM        151313103       1,959     139,950 SH         SOLE                 14,950               125,000
CENTEX COPR                COM        152312104      79,889   3,399,546 SH         SOLE              1,456,370   407,774   1,535,402
CENTRAL VERMONT PUB SVC    COM        155771108      11,964   1,087,620 SH         SOLE                879,600    22,620     185,400
CERIDIAN CORP              COM        15677T106       2,133      88,650 SH         SOLE                 11,500                77,150
CHAMPION INTERNATIONAL C   COM        158525105       4,197      58,236 SH         SOLE                    350     1,105      56,781
CHARMING SHOPPES INC       COM        161133103         382      75,000 SH         SOLE                                       75,000
CHASE MANHATTAN CORP NEW   COM        16161A108      62,577   1,358,525 SH         SOLE                556,819     4,871     796,835
CHEVRON CORP               COM        166751107     116,300   1,371,264 SH         SOLE              1,003,367     3,970     363,927
CHUBB CORP                 COM        171232101     602,166   9,791,324 SH         SOLE              5,166,260 1,105,973   3,519,091
CINCINNATI FINANCIAL COR   COM        172062101         399      12,700 SH         SOLE                  3,200                 9,500
CINERGY CORP               COM        172474108     384,252  15,105,715 SH         SOLE              7,262,368 1,845,721   5,997,626
CIRCUIT CITY STORES INC    COM        172737108       7,358     221,700 SH         SOLE                 19,400               202,300
CISCO SYSTEMS INC          COM        17275R102     463,988   7,299,715 SH         SOLE              4,588,757    16,975   2,693,983
CIT GROUP INC-CL A         COM        125577106         236      14,500 SH         SOLE                 14,500
CITIGROUP INC              COM        172967101     647,424  10,745,627 SH         SOLE              2,960,380    75,122   7,710,125
CITIZENS COMMUNICATIONS    COM        17453B101       4,693     272,079 SH         SOLE                 75,200    28,353     168,526
CLEAR CHANNEL COMMUNICAT   COM        184502102       3,522      46,963 SH         SOLE                  3,425                43,538
CLEVELAND CLIFFS INC       COM        185896107         620      24,000 SH         SOLE                                       24,000
CMP GROUP INC              COM        125887109      23,167     790,358 SH         SOLE                627,100    13,500     149,758
CNH GLOBAL N.V.            COM        N20935107         555      60,000 SH         SOLE                                       60,000
COASTAL CORP               COM        190441105       8,644     142,000 SH         SOLE                  1,200               140,800
COCA COLA ENTERPRISES IN   COM        191219104      10,079     617,875 SH         SOLE                362,100     1,500     254,275
COCA-COLA CO               COM        191216100     105,673   1,839,791 SH         SOLE              1,047,019     3,500     789,272
COLGATE PALMOLIVE CO       COM        194162103       5,989     100,025 SH         SOLE                  7,775                92,250
COMCAST CORP CL A-SPL      COM        200300200         692      17,075 SH         SOLE                 13,600                 3,475
COMERICA INC               COM        200340107       6,578     146,580 SH         SOLE                  8,180       700     137,700
COMPAQ COMPUTER CORP       COM        204493100      45,034   1,761,702 SH         SOLE              1,352,625     2,100     406,977
COMPUTER ASSOCIATES INTL   COM        204912109      20,838     407,100 SH         SOLE                207,450               199,650
COMPUTER SCIENCES CORP     COM        205363104       2,033      27,225 SH         SOLE                 27,225
COMPUTER TASK GROUP INC    COM        205477102       1,519     300,000 SH         SOLE                                      300,000
CONAGRA INC-W/RTS TO PUR   COM        205887102     516,108  27,074,511 SH         SOLE             14,619,445 2,499,251   9,955,815
CONMED CORP                COM        207410101      19,066     736,865 SH         SOLE                604,575    10,600     121,690
CONOCO INC                 COM        208251306     117,371   5,335,038 SH         SOLE              2,885,316   817,069   1,632,653
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
CONOCO INC-CL B            COM        208251405     123,680   5,035,337 SH         SOLE              1,954,073    85,768   2,995,496
CONSECO INC                COM        208464107         995     102,045 SH         SOLE                    185   101,660         200
CONSOLIDATED EDISON INC    COM        209115104     272,103   9,184,913 SH         SOLE              4,451,260   953,240   3,780,413
CONSOLIDATED PAPERS INC    COM        209759109     166,695   4,559,173 SH         SOLE              2,909,529   398,276   1,251,368
CONSTELLATION ENERGY GRO   COM        210371100       4,616     141,753 SH         SOLE                 53,550                88,203
COOPER INDUSTRIES INC      COM        216669101     384,935  11,821,421 SH         SOLE              6,108,477 1,321,220   4,391,724
COOPER TIRE & RUBBER CO    COM        216831107     102,655   9,227,419 SH         SOLE              5,069,553 1,124,956   3,032,910
CORN PRODUCTS INTERNATIO   COM        219023108      21,927     827,420 SH         SOLE                686,100    10,625     130,695
CORNING INC                COM        219350105      23,891      88,528 SH         SOLE                 13,775        28      74,725
COUNTRYWIDE CREDIT INDS    COM        222372104      18,380     606,344 SH         SOLE                384,859     1,150     220,335
CREDENCE SYSTEMS CORP      COM        225302108      17,605     319,000 SH         SOLE                270,000                49,000
CROMPTON CORP              COM        227116100      13,930   1,137,169 SH         SOLE                934,164    18,709     184,296
CROWN CORK & SEAL CO INC   COM        228255105     222,912  14,860,828 SH         SOLE              7,359,524 1,821,115   5,680,189
CSX CORP                   COM        126408103     665,991  31,433,218 SH         SOLE             16,935,979 3,925,660  10,571,579
CUMMINS ENGINE CO INC-W/   COM        231021106      15,369     564,018 SH         SOLE                247,585       500     315,933
CURTISS-WRIGHT CORP        COM        231561101       3,890     104,600 SH         SOLE                 80,925     1,125      22,550
CYTEC INDUSTRIES INC       COM        232820100      16,705     676,675 SH         SOLE                548,225    10,350     118,100
DALLAS SEMICONDUCTOR COR   COM        235204104      28,955     710,550 SH         SOLE                594,100    10,000     106,450
DANA CORP                  COM        235811106     371,409  17,529,608 SH         SOLE              8,428,846 2,265,017   6,835,745
DARDEN RESTAURANTS INC     COM        237194105       1,311      80,700 SH         SOLE                                       80,700
DEERE & CO                 COM        244199105       7,631     206,230 SH         SOLE                127,925                78,305
DELL COMPUTER CORP         COM        247025109      91,212   1,849,673 SH         SOLE              1,005,405     3,025     841,243
DELPHI AUTOMOTIVE SYS CO   COM        247126105     101,894   6,997,042 SH         SOLE              2,923,880    12,209   4,060,953
DIAL CORP NEW              COM        25247D101         546      52,600 SH         SOLE                                       52,600
DIGENE CORP                COM        253752109         444      11,000 SH         SOLE                                       11,000
DILLARDS INC-CL A          COM        254067101     100,564   8,209,277 SH         SOLE              4,495,724   769,323   2,944,230
DOLLAR THRIFTY AUTOMOTIV   COM        256743105      14,604     792,100 SH         SOLE                666,400               125,700
DOMINION RES INC VA NEW    COM        25746U109       9,391     219,023 SH         SOLE                 82,225       675     136,123
DOVER CORP                 COM        260003108       1,673      41,250 SH         SOLE                 14,350                26,900
DOW CHEMICAL CO            COM        260543103   1,094,410  36,253,753 SH         SOLE             17,856,227 5,264,157  13,133,369
DOW JONES & CO INC         COM        260561105       5,058      69,050 SH         SOLE                 48,250                20,800
DPL INC                    COM        233293109       3,587     163,505 SH         SOLE                 50,700               112,805
DTE ENERGY CO              COM        233331107       7,293     238,637 SH         SOLE                192,670       350      45,617
DUKE POWER CO              COM        264399106       7,220     128,066 SH         SOLE                  9,200               118,866
DUKE REALTY INVESTMENTS    COM        264411505      14,636     654,144 SH         SOLE                532,968     8,949     112,227
DUN & BRADSTREET CORP DE   COM        26483B106      15,030     525,055 SH         SOLE                373,970       800     150,285
E I DU PONT DE NEMOURS &   COM        263534109      72,794   1,663,864 SH         SOLE              1,120,749    33,488     509,627
EASTGROUP PROPERTIES INC   COM        277276101       5,289     251,125 SH         SOLE                204,875     6,450      39,800
EASTMAN CHEMICAL CO        COM        277432100     410,904   8,605,313 SH         SOLE              5,541,223   866,292   2,197,798
EASTMAN KODAK CO           COM        277461109       9,358     157,275 SH         SOLE                 29,350       100     127,825
EATON CORP                 COM        278058102      86,478   1,290,713 SH         SOLE                666,071   126,495     498,147
EDISON INTERNATIONAL       COM        281020107       4,416     215,400 SH         SOLE                                      215,400
EL PASO ENERGY CORP        COM        283905107       1,675      32,891 SH         SOLE                 31,450                 1,441
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
ELECTRONIC DATA SYSTEMS    COM        285661104       9,894     239,865 SH         SOLE                139,025               100,840
ELI LILLY & CO             COM        532457108      64,872     649,528 SH         SOLE                332,720     1,407     315,401
EMC CORP-MASS              COM        268648102      96,733   1,257,298 SH         SOLE                982,845     2,650     271,803
EMERSON ELECTRIC CO        COM        291011104      26,118     432,599 SH         SOLE                327,774     3,775     101,050
EMPIRE DISTRICT ELECTRIC   COM        291641108       8,435     382,330 SH         SOLE                302,025     6,055      74,250
ENERGIZER HOLDINGS INC     COM        29266R108       1,766      96,792 SH         SOLE                 44,427                52,365
ENGELHARD CORP             COM        292845104       1,261      73,900 SH         SOLE                    100                73,800
ENRON CORP                 COM        293561106      15,318     237,496 SH         SOLE                 61,900               175,596
ENTERGY CORP NEW           COM        29364G103       1,359      50,000 SH         SOLE                                       50,000
EOG RES INC                COM        26875P101       3,920     117,000 SH         SOLE                 35,200                81,800
ESTERLINE CORP             COM        297425100      18,657   1,254,245 SH         SOLE              1,013,450    19,695     221,100
EXODUS COMMUNICATIONS IN   COM        302088109         737      16,000 SH         SOLE                                       16,000
EXXON MOBIL CORP           COM        30231G102     606,492   7,726,017 SH         SOLE              3,779,071    18,233   3,928,713
EZENIA INC                 COM        302311105       1,223     275,500 SH         SOLE                                      275,500
FEDERAL HOME LOAN MORTGA   COM        313400301      72,159   1,781,695 SH         SOLE                412,792    19,310   1,349,593
FEDERAL NATIONAL MORTGAG   COM        313586109     189,664   3,634,286 SH         SOLE              1,799,846    68,981   1,765,459
FEDERATED DEPARTMENT STO   COM        31410H101     643,435  19,064,732 SH         SOLE             10,039,558 2,335,852   6,689,322
FEDEX CORP                 COM        31428X106       8,057     212,020 SH         SOLE                 98,098       450     113,472
FELCOR LODGING TRUST INC   COM        31430F101       8,867     479,300 SH         SOLE                406,500     7,800      65,000
FIFTH THIRD BANCORP        COM        316773100      13,972     220,900 SH         SOLE                    600               220,300
FINLAY ENTERPRISES INC     COM        317884203         789      60,680 SH         SOLE                 57,550                 3,130
FIRST DATA CORP            COM        319963104       3,255      65,600 SH         SOLE                 29,100                36,500
FIRST UNION CORP           COM        337358105     263,669  10,626,439 SH         SOLE              5,071,631   921,568   4,633,240
FIRSTAR CORP WIS-NEW       COM        33763V109         215      10,191 SH         SOLE                  8,100                 2,091
FIRSTENERGY CORP           COM        337932107     496,191  21,227,427 SH         SOLE             10,341,344 2,709,256   8,176,827
FLEETBOSTON FINL CORP      COM        339030108     316,066   9,296,069 SH         SOLE              4,577,282   450,926   4,267,861
FLEETWOOD ENTERPRISES IN   COM        339099103       4,401     308,827 SH         SOLE                243,577       350      64,900
FLORIDA PROGRESS CORP      COM        341109106       1,092      23,300 SH         SOLE                  7,100                16,200
FLUOR CORP                 COM        343861100      31,868   1,007,672 SH         SOLE                509,967   137,664     360,041
FMC CORP-NEW               COM        302491303     206,643   3,562,804 SH         SOLE              2,350,056   277,009     935,739
FORD MOTOR CO              COM        345370100     156,865   3,648,028 SH         SOLE              2,013,246    41,497   1,593,285
FORT JAMES CORPORATION     COM        347471104     442,588  19,138,958 SH         SOLE              9,865,758 2,132,019   7,141,181
FORTUNE BRANDS INC         COM        349631101      54,513   2,363,721 SH         SOLE              1,600,696     6,425     756,600
FOUNDATION HEALTH SYSTEM   COM        350404109      31,429   2,417,632 SH         SOLE              1,695,793     4,900     716,939
FRANKLIN RESOURCES INC     COM        354613101       2,572      84,675 SH         SOLE                 36,375                48,300
GALILEO INTERNATIONAL IN   COM        363547100         647      31,000 SH         SOLE                                       31,000
GANNETT CO INC             COM        364730101       4,117      68,825 SH         SOLE                 28,925                39,900
GAP INC                    COM        364760108      15,023     480,750 SH         SOLE                 68,300               412,450
GARDNER DENVER MACHINERY   COM        365558105       6,153     344,250 SH         SOLE                291,050     5,950      47,250
GATEWAY INC                COM        367626108       8,905     156,925 SH         SOLE                112,100                44,825
GBC BANCORP-CALIF          COM        361475106      16,773     573,450 SH         SOLE                507,250    12,050      54,150
GENERAL ELECTRIC CO        COM        369604103     791,011  14,924,733 SH         SOLE              6,699,161    83,300   8,142,272
GENERAL MILLS INC-W/RTS    COM        370334104      12,030     314,516 SH         SOLE                115,650     1,000     197,866
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
GENERAL MOTORS CORP        COM        370442105      26,176     450,827 SH         SOLE                148,431               302,396
GENERAL MOTORS CORP-CL H   COM        370442832       4,663      53,136 SH         SOLE                 20,166        26      32,944
GENERAL SEMICONDUCTOR CO   COM        370787103      19,849   1,345,675 SH         SOLE              1,102,675    23,900     219,100
GENUINE PARTS CO           COM        372460105     315,049  15,752,454 SH         SOLE              7,666,721 1,919,619   6,166,114
GEO A HORMEL & CO          COM        440452100      14,665     872,243 SH         SOLE                601,490    93,434     177,319
GEON CO                    COM        37246W105         463      25,000 SH         SOLE                                       25,000
GEORGIA PACIFIC CORP       COM        373298108      73,174   2,787,572 SH         SOLE              1,287,717    30,115   1,469,740
GILLETTE CO-W/RTS TO PUR   COM        375766102       3,416      97,765 SH         SOLE                 13,650                84,115
GLOBAL CROSSING LTD        COM        G3921A100         350      13,300 SH         SOLE                 13,300
GOLDEN STATE BANCORP INC   COM        381197102         660      36,682 SH         SOLE                                       36,682
GOLDEN WEST FINL CORP-DE   COM        381317106     155,198   3,802,710 SH         SOLE              1,291,368   183,629   2,327,713
GOLDMAN SACHS GROUP INC    COM        38141G104       2,850      30,040 SH         SOLE                                       30,040
GOODYEAR TIRE & RUBBER C   COM        382550101     366,162  18,308,092 SH         SOLE             10,577,488 2,302,639   5,427,965
GPU INC                    COM        36225X100      69,627   2,572,826 SH         SOLE              1,187,823    25,749   1,359,254
GREAT ATLANTIC&PAC TEA C   COM        390064103       2,646     159,175 SH         SOLE                154,675       200       4,300
GREAT LAKES CHEMICAL COR   COM        390568103      32,132   1,020,061 SH         SOLE                395,148     9,035     615,878
GTE CORP                   COM        362320103      82,204   1,320,544 SH         SOLE                929,522     2,306     388,716
GUIDANT CORP               COM        401698105      11,736     237,100 SH         SOLE                                      237,100
H & R BLOCK INC            COM        093671105       2,959      91,400 SH         SOLE                 30,500                60,900
H J HEINZ CO               COM        423074103      59,809   1,367,070 SH         SOLE                915,324     4,125     447,621
HALLIBURTON CO             COM        406216101       4,516      95,700 SH         SOLE                                       95,700
HANCOCK JOHN FINL SVCS I   COM        41014S106       5,685     240,000 SH         SOLE                                      240,000
HANNAFORD BROS CO          COM        410550107      79,912   1,111,822 SH         SOLE                            6,550   1,105,272
HARLEYSVILLE GROUP INC     COM        412824104      13,286     793,210 SH         SOLE                647,200    12,785     133,225
HARMAN INTERNATIONAL       COM        413086109      18,970     310,980 SH         SOLE                263,380     5,300      42,300
HARRAHS ENTERTAINMENT IN   COM        413619107       1,859      88,775 SH         SOLE                 39,475                49,300
HARRIS CORP-W/RTS TO PUR   COM        413875105       6,027     184,025 SH         SOLE                136,175                47,850
HARTFORD FINANCIAL SERVI   COM        416515104      68,168   1,218,644 SH         SOLE                836,294     5,950     376,400
HASBRO INC                 COM        418056107      16,600   1,102,072 SH         SOLE                755,361     2,800     343,911
HCA-HEALTHCARE CO          COM        404119109       7,921     260,775 SH         SOLE                 99,375               161,400
HEALTHSOUTH REHABILITATI   COM        421924101       7,390   1,028,200 SH         SOLE                661,000               367,200
HELMERICH & PAYNE INC-W/   COM        423452101       2,153      57,600 SH         SOLE                 18,300       500      38,800
HERCULES INC               COM        427056106      23,126   1,644,545 SH         SOLE              1,080,195     7,750     556,600
HERSHEY FOODS CORP         COM        427866108         584      12,000 SH         SOLE                 12,000
HERTZ CORP-CL A            COM        428040109       4,035     143,800 SH         SOLE                119,900                23,900
HEWLETT PACKARD CO         COM        428236103     227,600   1,822,626 SH         SOLE              1,150,890    14,745     656,991
HEXCEL CORP NEW            COM        428291108      15,359   1,616,755 SH         SOLE              1,332,770    22,985     261,000
HIBERNIA CORP-CL A         COM        428656102      16,286   1,497,550 SH         SOLE              1,228,450    27,200     241,900
HILTON HOTELS CORP         COM        432848109      14,015   1,494,900 SH         SOLE              1,140,300     5,000     349,600
HOME DEPOT INC             COM        437076102      85,172   1,705,571 SH         SOLE                977,810     3,150     724,611
HONEYWELL INTL INC         COM        438516106      29,325     870,493 SH         SOLE                404,575     2,800     463,118
HOUSEHOLD INTERNATIONAL    COM        441815107      22,422     539,474 SH         SOLE                111,119       600     427,755
HUMANA INC                 COM        444859102       1,010     207,250 SH         SOLE                 23,750               183,500
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
HUTCHINSON TECHNOLOGY IN   COM        448407106      17,876   1,254,480 SH         SOLE              1,038,825    23,105     192,550
IBP INC                    COM        449223106      17,969   1,163,992 SH         SOLE                377,925               786,067
IDACORP INC                COM        451107106      19,029     590,050 SH         SOLE                488,200     7,050      94,800
INDUS INTERNATIONAL INC    COM        45578L100       1,113     130,000 SH         SOLE                                      130,000
INFORMIX CORP              COM        456779107       1,121     150,700 SH         SOLE                                      150,700
INGERSOLL RAND CO          COM        456866102       2,159      53,650 SH         SOLE                  4,850                48,800
INGRAM MICRO INC-CL A      COM        457153104      93,403   5,356,419 SH         SOLE              2,793,336   524,460   2,038,623
INPRISE CORP               COM        45766C102         466      76,000 SH         SOLE                                       76,000
INPUT/OUTPUT INC           COM        457652105       5,127     607,600 SH         SOLE                494,700    10,800     102,100
INTEL CORP                 COM        458140100     537,214   4,018,434 SH         SOLE              2,435,234     9,755   1,573,445
INTERGRAPH CORP            COM        458683109       1,513     200,000 SH         SOLE                                      200,000
INTERNATIONAL GAME TECHN   COM        459902102       3,858     145,600 SH         SOLE                 23,900               121,700
INTERNATIONAL PAPER CO     COM        460146103   1,041,386  34,931,180 SH         SOLE             18,878,960 4,259,320  11,792,900
INTERSTATE BAKERIES CORP   COM        46072H108      17,478   1,248,400 SH         SOLE              1,032,300    17,600     198,500
INTL BUSINESS MACHINES C   COM        459200101     328,592   2,999,130 SH         SOLE              1,238,272   103,629   1,657,229
ITT INDUSTRIES INC         COM        450911102      11,430     376,300 SH         SOLE                173,650       800     201,850
J C PENNEY CO INC-W/RTS    COM        708160106      18,821   1,020,827 SH         SOLE                633,207     1,600     386,020
J P MORGAN & CO INC        COM        616880100      97,330     883,814 SH         SOLE                506,009     2,425     375,380
JEFFERSON PILOT CORP       COM        475070108       1,668      29,550 SH         SOLE                 16,625                12,925
JOHNSON & JOHNSON          COM        478160104     247,050   2,425,026 SH         SOLE              1,240,843    21,615   1,162,568
JOHNSON CONTROLS INC       COM        478366107       7,933     154,595 SH         SOLE                 71,800                82,795
K MART CORP                COM        482584109       2,223     326,250 SH         SOLE                199,600               126,650
KAUFMAN & BROAD HOME COR   COM        486168107         908      45,821 SH         SOLE                                       45,821
KELLWOOD CO                COM        488044108      15,880     751,730 SH         SOLE                613,575    13,305     124,850
KENNAMETAL INC             COM        489170100      19,239     897,425 SH         SOLE                734,825    12,150     150,450
KERR MCGEE CORP-W/RTS TO   COM        492386107       9,265     157,200 SH         SOLE                106,000                51,200
KEYCORP NEW                COM        493267108     133,735   7,587,789 SH         SOLE              3,556,862   321,740   3,709,187
KIMBERLY CLARK CORP        COM        494368103       6,516     113,566 SH         SOLE                 18,425    31,406      63,735
KIMCO REALTY CORP-DEP SH   PFD        49446R604         598      27,800 SH         SOLE                                       27,800
KIMCO REALTY CORP-DEP SH   PFD        49446R307         841      41,300 SH         SOLE                                       41,300
KLA INSTRUMENTS CORP W/R   COM        482480100      38,421     656,075 SH         SOLE                476,475               179,600
LAM RESEARCH CORP          COM        512807108       8,621     229,900 SH         SOLE                194,500                35,400
LEAR CORP                  COM        521865105       2,464     123,175 SH         SOLE                 80,675                42,500
LEGATO SYSTEMS INC         COM        524651106       1,134      75,000 SH         SOLE                                       75,000
LEGGETT & PLATT INC        COM        524660107      69,624   4,219,650 SH         SOLE              2,619,250   389,575   1,210,825
LEHMAN BROTHERS HOLDINGS   COM        524908100     102,028   1,078,951 SH         SOLE                735,649     2,425     340,877
LIBERTY PROPERTY TRUST     COM        531172104      16,162     623,100 SH         SOLE                509,300     9,850     103,950
LIMITED INC                COM        532716107       6,800     314,444 SH         SOLE                153,800               160,644
LINCOLN ELEC CO HOLDINGS   COM        533900106       1,463     102,650 SH         SOLE                 83,100     3,750      15,800
LINCOLN NATIONAL CORP-W/   COM        534187109      31,077     860,262 SH         SOLE                707,762    22,590     129,910
LITTON INDUSTRIES INC      COM        538021106     172,619   4,109,975 SH         SOLE              2,468,406   330,576   1,310,993
LIZ CLAIBORNE INC          COM        539320101       1,498      42,500 SH         SOLE                 22,700       300      19,500
LOCKHEED MARTIN CORP       COM        539830109      49,052   1,976,909 SH         SOLE              1,291,955     2,766     682,188
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
LOEWS CORP                 COM        540424108       5,742      95,703 SH         SOLE                 75,003       250      20,450
LOUISIANA PACIFIC CORP     COM        546347105         667      61,300 SH         SOLE                  8,300                53,000
LOWES COMPANIES INC        COM        548661107      15,735     383,200 SH         SOLE                  4,700    14,100     364,400
LSI LOGIC CORP-W/RTS TO    COM        502161102       7,046     130,175 SH         SOLE                128,175                 2,000
LUBRIZOL CORP              COM        549271104     158,605   7,552,618 SH         SOLE              4,610,830   926,070   2,015,718
LUBYS CAFETERIAS INC       COM        549282101         600      75,000 SH         SOLE                                       75,000
LUCENT TECHNOLOGIES INC    COM        549463107     181,353   3,060,805 SH         SOLE              1,611,971    14,800   1,434,034
LYONDELL PETROCHEMICAL C   COM        552078107     125,800   7,510,456 SH         SOLE              4,856,441   559,743   2,094,272
M & F WORLDWIDE CORP       COM        552541104         946     168,265 SH         SOLE                160,200                 8,065
MALLINCKRODT INC (NEW)     COM        561232109      32,672     752,165 SH         SOLE                445,190     2,200     304,775
MANOR CARE INC NEW         COM        564055101      10,564   1,509,200 SH         SOLE              1,014,600     1,000     493,600
MARK IV INDUSTRIES INC     COM        570387100      16,979     813,350 SH         SOLE                684,650    18,650     110,050
MARRIOTT INTERNATIONAL I   COM        571903202       1,483      41,115 SH         SOLE                                       41,115
MARSH & MCLENNAN COS INC   COM        571748102       9,454      90,522 SH         SOLE                 33,375                57,147
MARSHALL & ILSLEY CORP     COM        571834100         888      21,400 SH         SOLE                  6,500                14,900
MASCO CORP                 COM        574599106       5,091     281,880 SH         SOLE                237,650                44,230
MATTEL INC-W/RTS TO PUR    COM        577081102      13,755   1,043,012 SH         SOLE                739,049     4,950     299,013
MAY DEPARTMENT STORES CO   COM        577778103     722,848  30,118,681 SH         SOLE             15,851,135 3,813,491  10,454,055
MAYTAG CO-W/RTS TO PUR C   COM        578592107       9,175     248,815 SH         SOLE                200,465     3,650      44,700
MBIA INC                   COM        55262C100     363,258   7,538,434 SH         SOLE              4,047,464   649,671   2,841,299
MBNA CORP                  COM        55262L100       9,466     348,988 SH         SOLE                 43,775               305,213
MCDONALDS CORP- W/RTS TO   COM        580135101      12,133     368,358 SH         SOLE                103,700               264,658
MEAD CORP                  COM        582834107     200,661   7,946,981 SH         SOLE              4,480,511   771,515   2,694,955
MEDIAONE GROUP INC         COM        58440J104       9,913     148,785 SH         SOLE                 63,915                84,870
MEDTRONIC INC              COM        585055106       2,776      55,720 SH         SOLE                 51,300                 4,420
MELLON FINL CORP           COM        58551A108       3,263      89,550 SH         SOLE                 33,650                55,900
MERCK & CO INC             COM        589331107     209,263   2,731,004 SH         SOLE              1,532,210     7,100   1,191,694
MERRILL LYNCH & CO INC     COM        590188108      35,328     307,197 SH         SOLE                157,700               149,497
METLIFE INC                COM        59156R108         324      15,400 SH         SOLE                 15,400
MGIC INVESTMENT CORP-WIS   COM        552848103      77,302   1,698,935 SH         SOLE              1,130,303     4,925     563,707
MICHAEL FOODS INC NEW      COM        594079105      26,455   1,079,790 SH         SOLE                884,175    16,615     179,000
MICRON TECHNOLOGY INC      COM        595112103       8,390      95,275 SH         SOLE                 82,675                12,600
MICROSOFT CORP             COM        594918104     455,754   5,696,931 SH         SOLE              3,363,830    11,725   2,321,376
MILLIPORE CORP             COM        601073109       2,267      30,075 SH         SOLE                     75                30,000
MINNESOTA MINING & MFG C   COM        604059105     115,022   1,394,204 SH         SOLE                443,083    24,595     926,526
MODINE MANUFACTURING CO    COM        607828100      18,012     667,100 SH         SOLE                548,400    10,050     108,650
MOOG INC CL A              COM        615394202      15,770     597,925 SH         SOLE                493,925     9,550      94,450
MORGAN STANLEY DEAN WITT   COM        617446448      98,722   1,185,854 SH         SOLE                559,180     2,750     623,924
MOTOROLA INC               COM        620076109      77,532   2,667,753 SH         SOLE              1,616,376     3,525   1,047,852
NABISCO GROUP HLDG CORP    COM        62952P102       2,375      91,551 SH         SOLE                 90,200                 1,351
NATIONAL CITY CORP         COM        635405103     199,979  11,720,375 SH         SOLE              5,699,854   947,924   5,072,597
NATIONAL SERVICE INDS IN   COM        637657107       8,326     426,984 SH         SOLE                248,250       500     178,234
NAUTICA ENTERPRISES INC    COM        639089101         802      75,000 SH         SOLE                                       75,000
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
NEIMAN-MARCUS GROUP INC    COM        640204301         458      16,509 SH         SOLE                 13,064                 3,445
NETWORK EQUIPMENT TECHNO   COM        641208103       1,761     175,000 SH         SOLE                                      175,000
NEW CENTURY ENERGIES INC   COM        64352U103     271,802   9,060,063 SH         SOLE              4,189,857   995,658   3,874,548
NEW YORK TIMES CLASS A     COM        650111107      16,781     424,832 SH         SOLE                 49,750               375,082
NEWELL RUBBERMAID INC      COM        651229106     173,573   6,740,690 SH         SOLE              3,587,359   414,858   2,738,473
NEWMONT MINING CORP        COM        651639106         681      31,500 SH         SOLE                                       31,500
NEXTEL COMMUNICATIONS IN   COM        65332V103       2,288      37,400 SH         SOLE                    100                37,300
NIAGARA MOHAWK HOLDINGS    COM        653520106         205      14,700 SH         SOLE                 14,700
NORFOLK SOUTHERN CORP      COM        655844108     561,863  37,772,310 SH         SOLE             19,596,336 4,877,818  13,298,156
NORTHEAST UTILITIES        COM        664397106       3,837     176,400 SH         SOLE                 55,600               120,800
NORTHERN STATES POWER CO   COM        665772109     120,626   5,975,296 SH         SOLE              3,011,878   903,912   2,059,506
NORTHROP CORP              COM        666807102     108,224   1,633,571 SH         SOLE                849,303     3,250     781,018
NOVELL INC                 COM        670006105       1,156     125,000 SH         SOLE                                      125,000
NOVELLUS SYSTEMS INC       COM        670008101       8,490     150,100 SH         SOLE                127,000                23,100
NUCOR CORP                 COM        670346105      67,017   2,019,339 SH         SOLE                745,363    54,285   1,219,691
NVR INC                    COM        62944T105      17,602     308,802 SH         SOLE                248,675     4,490      55,637
OCCIDENTAL PETROLEUM COR   COM        674599105   1,126,251  53,471,878 SH         SOLE             28,445,545 6,875,986  18,150,347
OFFICE DEPOT INC           COM        676220106      29,843   4,774,898 SH         SOLE              2,903,298    18,000   1,853,600
OLD REPUBLIC INTERNATION   COM        680223104     175,831  10,656,402 SH         SOLE              4,774,362 1,380,185   4,501,855
OMNICARE INC               COM        681904108       1,133     125,000 SH         SOLE                                      125,000
ONEIDA LTD                 COM        682505102      20,449   1,152,042 SH         SOLE                948,458    16,205     187,379
ONEOK INC NEW              COM        682680103         262      10,100 SH         SOLE                 10,100
ORACLE SYSTEMS CORP        COM        68389X105     234,033   2,784,038 SH         SOLE              1,467,437     4,400   1,312,201
OSHKOSH TRUCK CORP CL B    COM        688239201      13,630     381,246 SH         SOLE                324,471     5,750      51,025
OWENS CORNING              COM        69073F103      64,619   6,985,831 SH         SOLE              3,711,551   659,020   2,615,260
OWENS ILLINOIS INC NEW     COM        690768403     175,705  15,033,602 SH         SOLE              6,962,122 1,957,336   6,114,144
OXFORD HEALTH PLANS INC    COM        691471106       1,199      50,350 SH         SOLE                                       50,350
P N C FINANCIAL CORP       COM        693475105      50,127   1,069,385 SH         SOLE                750,769    29,961     288,655
PACCAR INC -DEL-           COM        693718108      22,306     562,040 SH         SOLE                363,940     1,250     196,850
PACIFIC CENTURY FINANCIA   COM        694058108      14,314     978,750 SH         SOLE                804,300    15,650     158,800
PACIFICARE HEALTH SYSTEM   COM        695112102     184,876   3,071,661 SH         SOLE              1,812,992   299,928     958,741
PAINE WEBBER GROUP INC     COM        695629105       3,239      71,185 SH         SOLE                 37,750                33,435
PALL CORP                  COM        696429307         898      48,550 SH         SOLE                 33,700                14,850
PARK PLACE ENTERTAINMENT   COM        700690100       5,307     435,450 SH         SOLE                260,150               175,300
PARKER-HANNIFIN CORP       COM        701094104         610      17,813 SH         SOLE                  1,150                16,663
PE CORP                    COM        69332S102       1,785      27,100 SH         SOLE                 27,100
PECO ENERGY CO             COM        693304107       9,217     228,643 SH         SOLE                 32,900               195,743
PENN ENGINEERING & MFG C   COM        707389300      22,782     646,285 SH         SOLE                552,300    12,135      81,850
PEPSICO INC-NORTH CAROLI   COM        713448108      17,619     396,485 SH         SOLE                 85,750    20,600     290,135
PERSISTENCE SOFTWARE INC   COM        715329108       1,203      66,350 SH         SOLE                                       66,350
PFIZER INC                 COM        717081103     285,370   5,945,207 SH         SOLE              3,056,364    10,704   2,878,139
PG&E CORP                  COM        69331C108     430,852  17,496,548 SH         SOLE              9,382,734 1,636,887   6,476,927
PHARMACIA CORP             COM        71713U102      30,603     592,074 SH         SOLE                340,162               251,912
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
PHILIP MORRIS COS INC      COM        718154107     740,408  27,874,200 SH         SOLE             14,377,374 2,995,992  10,500,834
PHILLIPS PETROLEUM CO-W/   COM        718507106   1,168,008  23,043,306 SH         SOLE             13,096,916 2,522,221   7,424,169
PHOENIX TECHNOLOGIES LTD   COM        719153108      24,728   1,515,900 SH         SOLE              1,242,700    24,500     248,700
PICTURETEL CORP NEW        COM        720035302       1,313     500,000 SH         SOLE                                      500,000
PITNEY BOWES INC-W/RTS T   COM        724479100      64,825   1,620,628 SH         SOLE                           31,500   1,589,128
PLAYTEX PRODUCTS INC       COM        72813P100       1,289     113,901 SH         SOLE                                      113,901
POLAROID CORP-W/RTS TO P   COM        731095105       1,447      80,100 SH         SOLE                 66,100                14,000
POLICY MANAGEMENT SYSTEM   COM        731108106       1,153      75,000 SH         SOLE                                       75,000
POST PROPERTIES INC        COM        737464107      16,489     374,750 SH         SOLE                303,500     7,000      64,250
POTLATCH CORP              COM        737628107      11,480     346,579 SH         SOLE                151,350               195,229
PPG INDUSTRIES INC-W/RTS   COM        693506107      10,684     241,100 SH         SOLE                115,025       200     125,875
PPL CORPORATION            COM        69351T106       8,088     368,664 SH         SOLE                307,644     1,400      59,620
PRAXAIR INC                COM        74005P104     405,876  10,841,435 SH         SOLE              4,959,858 1,520,965   4,360,612
PRECISION CASTPARTS CORP   COM        740189105      21,365     472,150 SH         SOLE                393,150     5,800      73,200
PROCTER & GAMBLE CO        COM        742718109      57,926   1,011,803 SH         SOLE                500,845     1,175     509,783
PROVIDIAN FINANCIAL CORP   COM        74406A102       4,865      54,050 SH         SOLE                                       54,050
PUBLIC SVC CO OF NEW MEX   COM        744499104      14,047     909,941 SH         SOLE                740,375    16,300     153,266
PUGET SOUND ENERGY INC     COM        745332106     135,578   6,361,434 SH         SOLE              4,014,666   641,591   1,705,177
PULTE CORP                 COM        745867101      22,990   1,063,138 SH         SOLE                673,978    15,130     374,030
QUAKER OATS CO             COM        747402105       3,170      42,200 SH         SOLE                 13,200                29,000
QUALCOMM INC               COM        747525103      29,952     499,200 SH         SOLE                274,235       700     224,265
QUANTUM CORP DSSG COM      COM        747906204     185,955  19,195,403 SH         SOLE             11,349,129 2,384,803   5,461,471
QUANTUM CORP HDDG COM      COM        747906303       6,172     557,956 SH         SOLE                480,224     6,857      70,875
QUORUM HEALTH GROUP INC    COM        749084109      10,384   1,006,925 SH         SOLE                779,825               227,100
QWEST COMMUNICATIONS       COM        749121109       5,176     104,171 SH         SOLE                                      104,171
R & B FALCON CORP          COM        74912E101       3,617     153,500 SH         SOLE                 40,700               112,800
R R DONNELLEY & SONS CO    COM        257867101       6,102     270,450 SH         SOLE                257,650     6,200       6,600
RADIAN GROUP INC           COM        750236101       1,965      37,965 SH         SOLE                                       37,965
RAYONIER INC               COM        754907103      14,711     410,049 SH         SOLE                338,850     6,712      64,487
RAYTHEON CO-CL B           COM        755111408       7,658     397,806 SH         SOLE                278,956               118,850
REEBOK INTL LTD            COM        758110100       6,026     378,110 SH         SOLE                148,560       200     229,350
REGAL-BELOIT CORP          COM        758750103      15,507     973,000 SH         SOLE                831,775    16,050     125,175
REGIONS FINANCIAL CORP     COM        758940100      30,918   1,555,632 SH         SOLE                849,332    33,175     673,125
RELIANCE STEEL & ALUMINU   COM        759509102       5,110     267,185 SH         SOLE                232,598     2,450      32,137
RELIANT ENERGY INC         COM        75952J108       4,295     145,300 SH         SOLE                 78,600                66,700
REPUBLIC SERVICES INC      COM        760759100       1,200      75,000 SH         SOLE                                       75,000
REYNOLDS R J TOB HOLDING   COM        76182K105      10,503     375,930 SH         SOLE                231,415       498     144,017
ROCK-TENN CO-CL A          COM        772739207      11,870   1,386,290 SH         SOLE              1,136,550    16,600     233,140
ROCKWELL INTERNATIONAL C   COM        773903109       3,191     101,288 SH         SOLE                 77,675                23,613
ROHM & HAAS CO             COM        775371107         831      24,100 SH         SOLE                 17,800     6,300
ROSS STORES INC            COM        778296103         894      52,400 SH         SOLE                 39,800                12,600
ROWAN COMPANIES INC        COM        779382100       5,618     184,950 SH         SOLE                158,950                26,000
RTI INTERNATIONAL METALS   COM        74973W107      26,722   2,349,200 SH         SOLE              1,932,800    37,400     379,000
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
RUSS BERRIE & CO INC       COM        782233100      14,386     747,320 SH         SOLE                606,200    12,120     129,000
RUSSELL CORP               COM        782352108      29,556   1,477,808 SH         SOLE              1,020,003    13,505     444,300
RYDER SYSTEM INC-W/RTS T   COM        783549108      11,904     628,585 SH         SOLE                346,648       600     281,337
RYERSON TULL INC-NEW       COM        78375P107      11,347   1,093,709 SH         SOLE                941,291    14,924     137,494
SABRE GROUP HOLDINGS INC   COM        785905100       1,290      45,256 SH         SOLE                  1,951       800      42,505
SAFECO CORP                COM        786429100      24,525   1,233,948 SH         SOLE                829,013     2,300     402,635
SAKS INC                   COM        79377W108      16,031   1,526,789 SH         SOLE                129,125             1,397,664
SARA LEE CORP              COM        803111103      42,057   2,177,700 SH         SOLE              1,225,300    13,350     939,050
SBC COMMUNICATIONS INC     COM        78387G103     200,904   4,645,188 SH         SOLE              2,089,798     5,983   2,549,407
SCHERING PLOUGH CORP       COM        806605101      26,370     522,175 SH         SOLE                327,770       350     194,055
SCHULER HOMES INC          COM        808188106       4,292     700,703 SH         SOLE                557,225    16,578     126,900
SCHWEITZER MAUDUIT INTL    COM        808541106      16,303   1,304,260 SH         SOLE              1,056,350    20,860     227,050
SCI SYSTEMS INC            COM        783890106       1,176      30,000 SH         SOLE                  9,300                20,700
SCIENTIFIC ATLANTA INC     COM        808655104       5,750      77,175 SH         SOLE                 17,675                59,500
SCIENTIFIC GAMES HOLDING   COM        808747109      22,785     927,650 SH         SOLE                753,400    14,950     159,300
SEAGATE TECHNOLOGY         COM        811804103      66,748   1,213,597 SH         SOLE                191,159   402,353     620,085
SEARS ROEBUCK & CO         COM        812387108     986,042  30,223,505 SH         SOLE             16,598,505 3,792,320   9,832,680
SEMPRA ENERGY              COM        816851109       8,505     500,309 SH         SOLE                277,434    32,800     190,075
SHAW INDUSTRIES INC        COM        820286102       2,351     188,100 SH         SOLE                                      188,100
SHERWIN WILLIAMS CO        COM        824348106     155,869   7,356,643 SH         SOLE              3,262,757   871,651   3,222,235
SHOPKO STORES INC          COM        824911101       7,858     511,120 SH         SOLE                432,125                78,995
SICOR INC                  COM        825846108         456      57,000 SH         SOLE                                       57,000
SIERRA HEALTH SERVICES I   COM        826322109       1,275     400,000 SH         SOLE                                      400,000
SIGMA-ALDRICH CORP         COM        826552101      18,566     634,740 SH         SOLE                322,165     1,750     310,825
SILICON GRAPHICS INC       COM        827056102         844     225,014 SH         SOLE                                      225,014
SILICON VALLEY GROUP INC   COM        827066101      29,408   1,136,550 SH         SOLE                916,550    19,300     200,700
SMITHFIELD FOODS INC       COM        832248108       1,963      69,950 SH         SOLE                 63,900                 6,050
SMURFIT-STONE CONTAINER    COM        832727101     265,408  20,614,225 SH         SOLE             10,366,782 2,174,683   8,072,760
SNAP-ON TOOLS CORP         COM        833034101      22,118     830,717 SH         SOLE                513,424     2,750     314,543
SOLECTRON CORP             COM        834182107         972      23,200 SH         SOLE                 23,200
SOLUTIA INC                COM        834376105         950      69,100 SH         SOLE                                       69,100
SONOCO PRODUCTS CO         COM        835495102     155,197   7,547,581 SH         SOLE              2,857,299   913,499   3,776,783
SOUTHERN CO                COM        842587107      72,914   3,127,658 SH         SOLE              2,101,099    69,400     957,159
SOUTHTRUST CORP            COM        844730101      12,249     541,404 SH         SOLE                349,864    14,450     177,090
SOUTHWESTERN ENERGY CO     COM        845467109      10,925   1,747,955 SH         SOLE              1,419,300    28,855     299,800
SPRINT CORP                COM        852061100      28,871     566,104 SH         SOLE                135,725               430,379
SPRINT CORP PCS SER 1      COM        852061506      11,281     189,590 SH         SOLE                  5,700               183,890
ST PAUL COMPANIES INC      COM        792860108     632,841  18,544,801 SH         SOLE             11,029,259 2,407,180   5,108,362
STANLEY WORKS-W/RTS TO P   COM        854616109       2,259      95,125 SH         SOLE                 37,525                57,600
STAPLES INC                COM        855030102       1,833     119,218 SH         SOLE                                      119,218
STMICROELECTRONICS N V     COM        861012102       1,926      30,000 SH         SOLE                                       30,000
STORAGE TECHNOLOGY CORP    COM        862111200       1,367     125,000 SH         SOLE                                      125,000
SUMMIT BANCORP             COM        866005101      89,063   3,616,774 SH         SOLE              1,749,135   115,352   1,752,287
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
SUMMIT PROPERTIES INC      COM        866239106       4,805     228,800 SH         SOLE                167,400     3,400      58,000
SUN MICROSYSTEMS INC       COM        866810104     105,754   1,162,926 SH         SOLE                818,105     2,625     342,196
SUNOCO INC                 COM        86764P109      90,415   3,071,421 SH         SOLE              1,856,539   138,185   1,076,697
SUNTRUST BANKS INC         COM        867914103       3,473      76,027 SH         SOLE                 42,800       770      32,457
SUPERTEX INC               COM        868532102      28,970     576,525 SH         SOLE                469,675    10,300      96,550
SUPERVALU INC              COM        868536103     214,803  11,268,366 SH         SOLE              5,548,839 1,277,050   4,442,477
SYMANTEC CORP              COM        871503108       2,697      50,000 SH         SOLE                 45,150                 4,850
SYNOPSYS INC               COM        871607107       1,275      36,900 SH         SOLE                                       36,900
T ROWE PRICE ASSOCIATES    COM        741477103         440      10,350 SH         SOLE                 10,350
TARGET CORP                COM        87612E106      14,076     242,690 SH         SOLE                 71,875       100     170,715
TECH DATA CORP             COM        878237106     317,311   7,284,038 SH         SOLE              4,276,257   852,954   2,154,827
TEKTRONIX INC              COM        879131100      39,764     537,350 SH         SOLE                438,325     8,475      90,550
TELLABS INC                COM        879664100       8,481     123,925 SH         SOLE                     25               123,900
TEMPLE-INLAND INC          COM        879868107     155,156   3,694,188 SH         SOLE              1,985,348   311,559   1,397,281
TENET HEALTHCARE CORP      COM        88033G100       2,673      99,000 SH         SOLE                 46,400                52,600
TERADYNE INC               COM        880770102       5,694      77,475 SH         SOLE                 74,850     1,200       1,425
TESORO PETROLEUM CORP      COM        881609101       5,757     568,550 SH         SOLE                471,150    10,600      86,800
TEXACO INC W/RTS TO PUR    COM        881694103     214,164   4,021,859 SH         SOLE              1,837,455    51,925   2,132,479
TEXAS BIOTECHNOLOGY CORP   COM        88221T104       2,285     120,250 SH         SOLE                                      120,250
TEXAS INSTRUMENTS INC      COM        882508104      83,987   1,222,742 SH         SOLE                731,944     1,770     489,028
TEXTRON INC-W/RTS TO PUR   COM        883203101       2,353      43,325 SH         SOLE                  4,825       600      37,900
THE PEPSI BOTTLING GROUP   COM        713409100      50,221   1,720,625 SH         SOLE              1,315,325     5,500     399,800
THOMAS & BETTS CORP        COM        884315102     138,765   7,255,664 SH         SOLE              3,995,937   777,905   2,481,822
TIME WARNER INC            COM        887315109      52,703     693,458 SH         SOLE                312,733     1,025     379,700
TIMKEN CO                  COM        887389104         409      21,975 SH         SOLE                  8,550       175      13,250
TJX COMPANIES INC NEW      COM        872540109       7,807     416,357 SH         SOLE                365,007     4,500      46,850
TORCHMARK CORP             COM        891027104      80,046   3,242,350 SH         SOLE              1,465,634    28,945   1,747,771
TOSCO CORP NEW             COM        891490302      81,182   2,867,352 SH         SOLE                926,849     4,350   1,936,153
TOTAL RENAL CARE HOLDING   COM        89151A107       6,120   1,020,000 SH         SOLE                                    1,020,000
TOYS R US                  COM        892335100      29,004   1,991,680 SH         SOLE              1,243,065       500     748,115
TRICON GLOBAL RESTAURANT   COM        895953107       1,014      35,910 SH         SOLE                            1,800      34,110
TRIGON HEALTHCARE INC      COM        89618L100      20,825     403,875 SH         SOLE                296,300               107,575
TRW INC-W/RTS TO PUR COM   COM        872649108      21,122     486,966 SH         SOLE                310,806     2,550     173,610
TXU CORP                   COM        873168108      74,526   2,526,296 SH         SOLE              1,624,875     6,200     895,221
TYCO INTERNATIONAL LTD N   COM        902124106      18,974     400,509 SH         SOLE                370,054       625      29,830
TYSON FOODS INC CL A       COM        902494103     104,035  11,889,660 SH         SOLE              5,357,054 1,133,657   5,398,949
U S AIR GROUP INC-W/RTS    COM        911905107       1,950      50,000 SH         SOLE                                       50,000
U S BANCORP-DEL            COM        902973106      11,397     592,075 SH         SOLE                412,384    35,375     144,316
U S WEST INC NEW           COM        91273H101      20,833     242,951 SH         SOLE                169,000       280      73,671
UAL CORP NEW               COM        902549500       2,721      46,760 SH         SOLE                 18,700                28,060
UCAR INTERNATIONAL INC     COM        90262K109      18,431   1,410,950 SH         SOLE              1,156,300    22,550     232,100
ULTRAMAR DIAMOND SHAMROC   COM        904000106      26,979   1,087,327 SH         SOLE                138,240               949,087
UNICOM CORP                COM        904911104      16,255     420,150 SH         SOLE                 65,675    51,925     302,550
</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: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
UNION CARBIDE CORP         COM        905581104     796,451  16,089,913 SH         SOLE              9,010,033 2,229,922   4,849,958
UNION PACIFIC CORP         COM        907818108     751,293  20,202,844 SH         SOLE             10,488,307 2,498,499   7,216,038
UNION PACIFIC RESOURCES    COM        907834105       4,286     194,800 SH         SOLE                 58,900               135,900
UNION PLANTERS CORP W/RT   COM        908068109      18,762     671,575 SH         SOLE                548,442    11,950     111,183
UNIONBANCAL CORP           COM        908906100       2,283     122,979 SH         SOLE                 70,700                52,279
UNISYS CORP                COM        909214108         784      53,825 SH         SOLE                 43,275                10,550
UNITED TECHS CORP W/RTS    COM        913017109      19,806     336,400 SH         SOLE                  5,900               330,500
UNITEDHEALTH GROUP INC     COM        91324P102      10,577     123,350 SH         SOLE                 60,100     7,900      55,350
UNIVERSAL HEALTH SERVICE   COM        913903100         827      12,535 SH         SOLE                  9,700                 2,835
UNOCAL CORP                COM        915289102      52,906   1,597,166 SH         SOLE                931,801   102,640     562,725
UNUMPROVIDENT CORP         COM        91529Y106       1,566      78,055 SH         SOLE                                       78,055
URS CORP NEW               COM        903236107       2,092     137,190 SH         SOLE                125,950                11,240
UST INC                    COM        902911106       2,378     161,900 SH         SOLE                  2,150       500     159,250
USX-MARATHON GROUP         COM        902905827         456      18,205 SH         SOLE                 16,975                 1,230
USX-U S STEEL GROUP        COM        90337T101         598      32,220 SH         SOLE                 27,200                 5,020
V F CORP                   COM        918204108     328,949  13,814,137 SH         SOLE              7,229,832 1,680,009   4,904,296
VALERO ENERGY CORP NEW     COM        91913Y100      25,558     804,975 SH         SOLE                662,375    11,570     131,030
VERITAS SOFTWARE CORP      COM        923436109       2,382      21,075 SH         SOLE                 21,075
VIACOM INC-NON VTG         COM        925524308      59,617     874,305 SH         SOLE                344,644               529,661
VISHAY INTERTECHNOLOGY I   COM        928298108       3,067      80,850 SH         SOLE                 22,200                58,650
VISTEON CORP               COM        92839U107       5,785     477,084 SH         SOLE                262,714     5,366     209,004
VULCAN MATERIALS CO        COM        929160109      37,347     874,897 SH         SOLE                    250    20,700     853,947
WACHOVIA CORP NEW          COM        929771103       1,805      33,273 SH         SOLE                 19,500     1,280      12,493
WAL-MART STORES INC        COM        931142103     255,048   4,426,001 SH         SOLE              2,695,143     8,525   1,722,333
WALT DISNEY CO             COM        254687106      52,017   1,340,218 SH         SOLE                869,059     1,800     469,359
WARNACO GROUP INC-CL A     COM        934390105         969     125,000 SH         SOLE                                      125,000
WASHINGTON FEDERAL INC     COM        938824109      14,272     782,042 SH         SOLE                639,280    11,147     131,615
WASHINGTON MUTUAL INC      COM        939322103     150,041   5,196,215 SH         SOLE              2,159,688     8,098   3,028,429
WASTE MANAGEMENT INC DEL   COM        94106L109         942      49,599 SH         SOLE                  8,577                41,022
WELLMAN INC                COM        949702104      21,022   1,298,631 SH         SOLE              1,063,550    22,375     212,706
WELLS FARGO & CO-NEW       COM        949746101      60,526   1,561,960 SH         SOLE                919,520     1,400     641,040
WESTERN DIGITAL CORP       COM        958102105         625     125,000 SH         SOLE                                      125,000
WESTERN RESOURCES INC      COM        959425109       1,598     103,125 SH         SOLE                 69,175                33,950
WESTVACO CORP              COM        961548104     314,402  12,671,098 SH         SOLE              7,537,289 1,479,582   3,654,227
WEYERHAEUSER CO            COM        962166104       4,977     115,739 SH         SOLE                 68,525                47,214
WHIRLPOOL CORP             COM        963320106     286,284   6,140,140 SH         SOLE              3,035,479   692,196   2,412,465
WILLAMETTE INDUSTRIES IN   COM        969133107      68,119   2,499,780 SH         SOLE                732,832   212,785   1,554,163
WILLIAMS COS-W/RTS TO PU   COM        969457100      17,121     410,697 SH         SOLE                    832               409,865
WISCONSIN ENERGY CORP      COM        976657106     219,492  11,078,445 SH         SOLE              6,581,759 1,251,304   3,245,382
WOLVERINE TUBE INC         COM        978093102      21,814   1,283,150 SH         SOLE              1,056,050    20,950     206,150
WORLDCOM INC GA NEW        COM        98157D106     117,263   2,556,145 SH         SOLE              1,410,089     4,175   1,141,881
WORTHINGTON INDUSTRIES I   COM        981811102         362      34,500 SH         SOLE                 34,500
WPS RESOURCES CORP         COM        92931B106      19,522     649,370 SH         SOLE                534,825    10,295     104,250
</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 14

<PAGE>

<TABLE>
<CAPTION>

Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                              For Quarter End: 6/30/00

                                                   SEC13F Information Table


        Column 1           Column 2   Column 3    Column 4          Column 5      Column 6 Column 7             Column 8
 ........................   ........   .........  ..........  .................... ........ ........ ................................
                                                                                  Invest-                   Voting Authority
                           Title                             Shrs                 ment              ................................
Name of Issuer             of         Cusip       Value      or Prn     SH/ PUTT/ Discr-   Other
                           Class                 (x$1000)    Amount     PRN CALL  etion    Managers   Sole     Shared *   None
 ........................   ........   .........  ..........  .......... ... ..... ........ ........ .......... .........  ..........
<S>                        <C>        <C>        <C>         <C>        <C> <C>   <C>      <C>      <C>        <C>        <C>
XEROX CORP                 COM        984121103       4,527     218,151 SH         SOLE                166,851                51,300
XILINX INC                 COM        983919101      10,882     131,800 SH         SOLE                                      131,800
YAHOO INC                  COM        984332106      21,647     174,747 SH         SOLE                145,375       400      28,972
3COM CORP                  COM        885535104       2,731      47,390 SH         SOLE                 20,750                26,640
3DO CO                     COM        88553W105       1,569     200,000 SH         SOLE                                      200,000
                                                 49,678,013
</TABLE>

Total # issues= 607


*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






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