BERNSTEIN SANFORD C & CO INC
13F-HR, 2000-11-20
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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: 9/29/2000

Check here if Amendment: |x|; Amendment Number: ____

This Amendment (Check only one): |x| is a restatement.
                                 |_| adds new holdings
                                     entries.

Institutional Investment Manager Filing this Report:

Name: Sanford C. Bernstein & Co., Inc.
Address: 1 North Lexington Ave.
         White Plains, NY 10601
______________________________________________________________________________


Form 13F File Number: 28-_____________

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:


  Michael Borgia               White Plains, NY                11/20/2000
_____________________     ___________________________      ___________________
    [Signature]                  [City, State]                   [Date]


Report Type (Check one only):

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

[ ]  13F NOTICE. (Check here if no holdings reported are in this report, and all
     holdings are reported by other reporting manager(s).)

[ ]  13F COMBINATION  REPORT.  (Check here if a portion of the holdings for this
     reporting manager are reported in this report and a portion are reported by
     other reporting manager(s).)

List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]

Form 13F File Number               Name
28-___________________________     _______________________________________
[Repeat as necessary.]



<PAGE>

                             Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:            0
                                        _____________

Form 13F Information Table Entry Total:      595
                                        _____________

Form 13F Information Table Value Total: $52,642,242
                                        ____________
                                         (thousands)

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.

[If there are no entries in this list, state "NONE" and omit the column headings
and list entries.]

No.       Form 13F File Number          Name
_______   ___________________________   ________________________________

[Repeat as necessary.]

<TABLE>
<CAPTION>
Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                           For Quarter End: 09/29/2000

                                                      SEC 13F Information Table

          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
*** MATSUSHITA ELEC INDL COM      576879209      2,679         10,200  SH         SOLE                  10,000                   200
*** SCITEX CORP LTD ORD  COM      809090103      2,475        200,000  SH         SOLE                                       200,000
***ALCAN ALUMINUM LTD    COM      013716105    451,577     15,605,243  SH         SOLE               9,241,150  1,875,263  4,488,830
***ALCATEL ALSTHOM       COM      013904305      3,144         50,000  SH         SOLE                  50,000
***ALUSUISSE LONZA HOLDI COM      H0192F106     16,140         27,100  SH         SOLE                  22,850                 4,250
***BANCO FRANCES DEL RIO COM      059591107        249         12,000  SH         SOLE                                        12,000
***BAYER AG-SPONSORED AD COM      072730302        739         20,000  SH         SOLE                  20,000
***BP AMOCO P L C        COM      055622104     14,232        268,534  SH         SOLE                 236,905      2,824     28,805
***CANADIAN PACIFIC LTD  COM      135923100    531,895     20,457,489  SH         SOLE              11,177,300  3,062,536  6,217,653
***COMPANIA CERVECERIAS  COM      204429104      1,373         61,000  SH         SOLE                                        61,000

***CONTROLADORA COMERCIA COM      21238A206        739         32,400  SH         SOLE                                        32,400
***CRISTALERIAS DE CHILE COM      226714103        717         47,000  SH         SOLE                                        47,000
***DORAL FINANCIAL CORP  COM      25811P100        227         14,000  SH         SOLE                                        14,000
***FRESH DEL MONTE PRODU COM      G36738105      2,426        369,625  SH         SOLE                 333,150      4,200     32,275
***GENER SA-SPONSORED AD COM      368731105      1,198         91,700  SH         SOLE                                        91,700
***HELLENIC TELECOMMUNIC COM      423325307      1,310        141,600  SH         SOLE                                       141,600
***HITACHI LTD-ADR-10 CO COM      433578507      1,714         15,000  SH         SOLE                  15,000
***HUANENG POWER INTL IN COM      443304100        608         38,000  SH         SOLE                                        38,000
***KOOR INDUSTRIES LTD   COM      500507108        216         11,000  SH         SOLE                                        11,000
***LORAL SPACE &         COM      G56462107      1,866        304,628  SH         SOLE                                       304,628
***MILLENNIUM CHEMICALS  COM      599903101    138,378      9,341,975  SH         SOLE               5,551,278    950,354  2,840,343
***NIPPON TELEGRAPH &    COM      654624105        980         20,000  SH         SOLE                  20,000
***NORTEL NETWORKS CORP  COM      656568102    106,351      1,785,531  SH         SOLE               1,361,652      4,700    419,179

***PANAMERICAN BEVERAGES COM      P74823108        595         35,000  SH         SOLE                                        35,000
***PARTNERRE HOLDINGS LT COM      G6852T105     20,551        433,215  SH         SOLE                 364,050      5,490     63,675
***PETROLEUM GEO-SERVICE COM      716597109        233         13,500  SH         SOLE                  13,500
***ROYAL DUTCH PETROLEUM COM      780257804    101,468      1,692,899  SH         SOLE               1,289,010      4,350    399,539
***ROYAL GROUP TECHNOLOG COM      779915107        250         12,500  SH         SOLE                  12,500
***SCHLUMBERGER LTD      COM      806857108      6,599         80,175  SH         SOLE                  17,375                62,800
***TELEFONOS DE MEXICO S COM      879403780      2,700         50,770  SH         SOLE                                        50,770
***TOMMY HILFIGER CORP-O COM      G8915Z102      1,449        150,500  SH         SOLE                                       150,500
***VODAFONE GROUP PLC NE COM      92857W100        379         10,240  SH         SOLE                                        10,240
ABBOTT LABORATORIES      COM      002824100    119,773      2,518,214  SH         SOLE               1,499,489     12,095  1,006,630
ADAPTEC INC              COM      00651F108    104,084      5,204,202  SH         SOLE               2,007,115    211,102  2,985,985
ADOBE SYSTEMS INC        COM      00724F101      2,348         15,125  SH         SOLE                   7,525        114      7,486
ADVANCED MICRO DEVICES I COM      007903107      6,920        292,925  SH         SOLE                 220,050                72,875
AES CORP                 COM      00130H105      9,708        141,725  SH         SOLE                 140,900        500        325
AETNA INC                COM      008117103    681,379     11,735,269  SH         SOLE               6,261,998  1,270,430  4,202,841
AFLAC INC                COM      001055102      3,965         61,900  SH         SOLE                                        61,900
AGCO CORP                COM      001084102      2,934        247,100  SH         SOLE                 191,825                55,275
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
AGILENT TECHNOLOGIES INC COM      00846U101      5,781        118,129  SH         SOLE                   9,341        209    108,579
AIR PRODUCTS & CHEMICALS COM      009158106     89,648      2,490,221  SH         SOLE               1,030,419    200,660  1,259,142
ALBERTSONS INC           COM      013104104     13,532        644,358  SH         SOLE                 538,094      1,465    104,799
ALCOA INC                COM      013817101      8,528        336,916  SH         SOLE                 112,442               224,474
ALEXANDER & BALDWIN INC  COM      014482103     15,600        600,001  SH         SOLE                 501,975      8,465     89,561
ALLEGHENY ENERGY INC     COM      017361106     28,476        745,700  SH         SOLE                 309,225    176,425    260,050
ALLIANT CORP             COM      018802108     20,121        684,970  SH         SOLE                 562,400      8,495    114,075
ALLSTATE CORP            COM      020002101     73,223      2,107,134  SH         SOLE               1,338,394      1,800    766,940
ALLTEL CORP              COM      020039103        699         13,400  SH         SOLE                  13,400
ALLTRISTA CORP           COM      020040101     15,602        751,905  SH         SOLE                 628,775      7,305    115,825
AMAZON COM INC           COM      023135106        461         12,000  SH         SOLE                                        12,000
AMBAC INC                COM      023139108    100,409      1,370,768  SH         SOLE                 476,305     59,813    834,650
AMER INTERNATIONAL GROUP COM      026874107    315,998      3,302,393  SH         SOLE               1,575,089      4,519  1,722,785
AMERADA HESS CORP        COM      023551104    477,872      7,139,082  SH         SOLE               4,164,180    508,617  2,466,285
AMEREN CORP              COM      023608102    243,793      5,821,925  SH         SOLE               2,415,900    577,380  2,828,645
AMERICA ONLINE INC-DEL   COM      02364J104    100,305      1,866,138  SH         SOLE                 927,110      3,000    936,028
AMERICAN ELECTRIC POWER  COM      025537101  1,162,113     29,702,578  SH         SOLE              15,847,326  3,405,306 10,449,946
AMERICAN EXPRESS CO      COM      025816109     51,454        846,980  SH         SOLE                 430,215        125    416,640

AMERICAN FREIGHTWAYS COR COM      02629V108      7,822        492,750  SH         SOLE                 415,825                76,925
AMERICAN GENERAL CORP    COM      026351106    359,742      4,612,072  SH         SOLE               2,134,817    496,942  1,980,313
AMERICAN GREETINGS CORP  COM      026375105      9,781        558,930  SH         SOLE                 440,955      1,425    116,550

AMERICAN HOME PRODUCTS C COM      026609107     36,026        636,925  SH         SOLE                 417,715        750    218,460
AMERICAN MGMT SYSTEMS IN COM      027352103        385         22,375  SH         SOLE                                        22,375
AMERICAN NATIONAL INSURA COM      028591105     13,335        208,766  SH         SOLE                 173,235      2,760     32,771
AMERICAN SOFTWARE INC CL COM      029683109        766        225,000  SH         SOLE                                       225,000

AMERICAN STANDARD COMPAN COM      029712106    224,232      5,045,999  SH         SOLE               2,452,013    622,266  1,971,720
AMERISOURCE DISTRIBUTION COM      03071P102        943         20,070  SH         SOLE                   7,400        126     12,544
AMERITRADE HOLDING CORP- COM      03072H109        213         12,000  SH         SOLE                                        12,000
AMGEN                    COM      031162100     28,788        412,275  SH         SOLE                 204,725        418    207,132
AMR CORP-DEL- W/RTS TO P COM      001765106    103,583      3,168,874  SH         SOLE               2,277,579      6,350    884,945
AMSOUTH BANCORPORATION W COM      032165102      2,448        195,825  SH         SOLE                 147,425      1,300     47,100

ANADARKO PETROLEUM CORP  COM      032511107      6,884        103,578  SH         SOLE                  41,444                62,134
ANDREW CORP              COM      034425108     59,605      2,276,080  SH         SOLE               1,644,830     16,225    615,025

ANHEUSER-BUSCH COS INC-W COM      035229103     19,318        456,550  SH         SOLE                 232,850               223,700
AON CORP                 COM      037389103     52,069      1,326,588  SH         SOLE                 898,588      3,300    424,700
APACHE CORP-W/RTS TO PUR COM      037411105      3,615         61,135  SH         SOLE                  23,785                37,350
</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 2
<PAGE>

<TABLE>
<CAPTION>
Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                           For Quarter End: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
APPLE COMPUTER INC       COM      037833100     24,227        940,853  SH         SOLE                 583,328      1,200    356,325
APPLIED MATERIALS INC    COM      038222105     60,918      1,027,069  SH         SOLE                 641,000        725    385,344
ARCHER-DANIELS-MIDLAND C COM      039483102     71,786      8,322,998  SH         SOLE               5,620,600     21,499  2,680,899
ARDEN REALTY INC         COM      039793104     45,186      1,685,250  SH         SOLE                             39,900  1,645,350
ARGONAUT GROUP INC       COM      040157109      5,737        327,854  SH         SOLE                 292,350      6,550     28,954
ARKANSAS BEST CORP-DEL   COM      040790107      4,587        298,360  SH         SOLE                 251,800                46,560
ARMSTRONG HOLDINGS INC   COM      042384107      7,009        587,150  SH         SOLE                 335,675        900    250,575
ARROW ELECTRONICS INC    COM      042735100    483,513     14,194,889  SH         SOLE               7,281,101  1,605,049  5,308,739
ASHLAND INC              COM      044204105    156,356      4,641,377  SH         SOLE               2,743,644    218,202  1,679,531
ASSOCIATES FIRST CAPITAL COM      046008108     59,882      1,575,853  SH         SOLE                 695,523      2,300    878,030
AT&T CORP                COM      001957109    187,306      6,376,363  SH         SOLE               3,049,116      7,388  3,319,859
AT&T CORP LIBERTY MEDIA  COM      001957208     12,345        685,848  SH         SOLE                 222,500               463,348
AUTODESK INC             COM      052769106      1,446         57,000  SH         SOLE                  57,000
AUTOLIV INC              COM      052800109        896         45,961  SH         SOLE                  45,961
AUTOMATIC DATA PROCESSIN COM      053015103    102,843      1,537,838  SH         SOLE                   9,125     19,200  1,509,513
AUTONATION INC DEL       COM      05329W102        652        108,730  SH         SOLE                 108,500                   230
AUTOZONE INC             COM      053332102      5,902        260,150  SH         SOLE                 215,525        250     44,375
AVALONBAY COMMUNITIES IN COM      053484101     20,142        422,375  SH         SOLE                 351,825      5,300     65,250
AVIS RENT A CAR INC      COM      053790101     10,154        342,750  SH         SOLE                 289,400                53,350
AVNET INC                COM      053807103    364,059     12,830,270  SH         SOLE               7,225,550  1,357,080  4,247,640
AXA FINL INC             COM      002451102      5,958        116,961  SH         SOLE                  37,400         61     79,500
B F GOODRICH CO          COM      382388106    546,753     13,952,228  SH         SOLE               7,600,697  1,490,862  4,860,669
BALL CORP-W/RTS TO PUR P COM      058498106      2,771         87,450  SH         SOLE                  77,675        700      9,075
BANK OF AMER CORP        COM      060505104  1,390,453     26,548,032  SH         SOLE              13,563,902  2,672,605 10,311,525
BANK OF NEW YORK CO INC- COM      064057102    229,354      4,091,049  SH         SOLE                  58,975     68,750  3,963,324
BANK ONE CORP            COM      06423A103  1,123,036     29,075,355  SH         SOLE              14,883,788  3,109,176 11,082,391
BAXTER INTERNATIONAL INC COM      071813109     17,808        223,125  SH         SOLE                 180,215                42,910
BBV BANCO BHIF           COM      073297103        791         54,300  SH         SOLE                                        54,300
BEAR STEARNS COMPANIES I COM      073902108     22,579        358,404  SH         SOLE                 282,584      1,125     74,695
BECKMAN COULTER INC      COM      075811109     30,354        393,575  SH         SOLE                 312,325      4,350     76,900
BECTON DICKINSON & CO    COM      075887109     19,507        737,858  SH         SOLE                 547,633      2,850    187,375
BELLSOUTH CORP           COM      079860102     62,256      1,546,737  SH         SOLE                 783,175      2,559    761,003
BEMIS CO INC             COM      081437105      1,368         42,575  SH         SOLE                  39,950        500      2,125

BERGEN BRUNSWIG CORP CLA COM      083739102    166,355     14,233,624  SH         SOLE               7,997,705  1,391,843  4,844,076
BESTFOODS                COM      08658U101     13,138        180,585  SH         SOLE                  34,750               145,835
BETHLEHEM STEEL CORP     COM      087509105      2,045        681,800  SH         SOLE                                       681,800
BIO-RAD LABORATORIES INC COM      090572207      3,705        164,600  SH         SOLE                 114,750      3,500     46,350
BIO-TECHNOLOGY GENERAL C COM      090578105        858         75,000  SH         SOLE                                        75,000
BJS WHOLESALE CLUB INC   COM      05548J106        594         17,400  SH         SOLE                   8,600        132      8,668
BLACK & DECKER CORP      COM      091797100     59,417      1,737,972  SH         SOLE                 264,447     31,050  1,442,475
BLOCK DRUG CO INC CLASS  COM      093644102     19,856        460,420  SH         SOLE                 377,949      6,153     76,318
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
BMC SOFTWARE INC         COM      055921100      1,687         88,200  SH         SOLE                                        88,200
BOEING CO                COM      097023105    107,724      1,709,911  SH         SOLE               1,303,700      4,050    402,161
BOISE CASCADE CP-W/RTS T COM      097383103     34,413      1,295,562  SH         SOLE                 624,638      2,200    668,724

BORG WARNER AUTOMOTIVE I COM      099724106     19,256        581,320  SH         SOLE                 486,975      5,100     89,245
BOSTON SCIENTIFIC CORP   COM      101137107        287         17,430  SH         SOLE                  14,100                 3,330
BOWATER INC              COM      102183100      1,074         23,131  SH         SOLE                   9,825                13,306
BRIGGS & STRATTON CORP   COM      109043109     44,620      1,180,029  SH         SOLE                 866,204      6,275    307,550
BRISTOL MYERS SQUIBB CO  COM      110122108    124,828      2,185,169  SH         SOLE               1,469,516     10,688    704,965
BRUNSWICK CORP           COM      117043109      3,098        169,755  SH         SOLE                 147,155        550     22,050
BRUSH WELLMAN INC        COM      117421107      7,845        362,775  SH         SOLE                 294,000      2,050     66,725

BURLINGTON NORTHERN SANT COM      12189T104    404,245     18,747,600  SH         SOLE               9,161,908  1,374,392  8,211,300
C I G N A CORP           COM      125509109    941,983      9,022,827  SH         SOLE               3,855,700  1,441,065  3,726,062
CABLETRON SYSTEMS INC    COM      126920107      1,383         47,075  SH         SOLE                  16,875                30,200
CABOT CORP               COM      127055101    204,768      6,462,100  SH         SOLE               2,874,926    771,533  2,815,641
CADENCE DESIGN SYSTEMS I COM      127387108        468         18,200  SH         SOLE                  14,400                 3,800

CAMBRIDGE TECHNOLOGY PAR COM      132524109        853        195,000  SH         SOLE                                       195,000
CAMPBELL SOUP CO         COM      134429109        264         10,200  SH         SOLE                   8,800        400      1,000
CAREMARK RX INC          COM      141705103        873         77,573  SH         SOLE                                        77,573
CATERPILLAR INC-W/RTS TO COM      149123101      4,049        119,984  SH         SOLE                  85,250      1,834     32,900

CDW COMPUTER CENTERS INC COM      125129106      2,070         30,000  SH         SOLE                  14,800        228     14,972
CENDANT CORP             COM      151313103      5,428        499,125  SH         SOLE                  61,450               437,675
CENTEX CORP              COM      152312104    110,062      3,426,054  SH         SOLE               1,565,420    381,377  1,479,257
CENTRAL VERMONT PUB SVC  COM      155771108      9,193        902,420  SH         SOLE                 734,660     17,740    150,020
CERIDIAN CORP            COM      15677T106      2,488         88,650  SH         SOLE                   7,100        120     81,430
CHARMING SHOPPES INC     COM      161133103        652        125,000  SH         SOLE                                       125,000
CHARTER ONE FINCL INC W/ COM      160903100     31,790      1,304,204  SH         SOLE                 878,881      1,550    423,773

CHASE MANHATTAN CORP NEW COM      16161A108     47,002      1,017,626  SH         SOLE                 524,057      2,027    491,542
CHEVRON CORP             COM      166751107    143,964      1,688,724  SH         SOLE               1,153,592      4,770    530,362
CHUBB CORP               COM      171232101    733,729      9,273,032  SH         SOLE               4,883,725  1,026,897  3,362,410
CINCINNATI FINANCIAL COR COM      172062101        451         12,700  SH         SOLE                   3,200                 9,500
CINERGY CORP             COM      172474108    453,612     13,719,830  SH         SOLE               6,863,002  1,590,345  5,266,483
CIRCUIT CITY STORES INC  COM      172737108      4,779        207,800  SH         SOLE                   5,500               202,300
CISCO SYSTEMS INC        COM      17275R102    429,585      7,775,293  SH         SOLE               4,702,670     16,200  3,056,423
CITIGROUP INC            COM      172967101    734,215     13,580,854  SH         SOLE               3,848,290    100,915  9,631,649
CITIZENS COMMUNICATIONS  COM      17453B101      2,159        160,679  SH         SOLE                  37,600     28,353     94,726

CLEAR CHANNEL COMMUNICAT COM      184502102      4,679         82,811  SH         SOLE                  17,075                65,736
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
CLEVELAND CLIFFS INC     COM      185896107        549         24,000  SH         SOLE                                        24,000
CNH GLOBAL N.V.          COM      N20935107        600         60,000  SH         SOLE                                        60,000
COCA COLA ENTERPRISES IN COM      191219104     15,973      1,002,225  SH         SOLE                 664,425      1,500    336,300
COCA-COLA CO             COM      191216100    105,497      1,913,784  SH         SOLE               1,090,069      3,675    820,040
COLGATE PALMOLIVE CO     COM      194162103      1,340         28,400  SH         SOLE                   9,700         44     18,656
COMCAST CORP CL A-SPL    COM      200300200     27,622        674,725  SH         SOLE                 452,450        350    221,925
COMERICA INC             COM      200340107      1,168         19,980  SH         SOLE                   8,380        700     10,900
COMPAQ COMPUTER CORP     COM      204493100     69,921      2,535,209  SH         SOLE               1,607,850      2,350    925,009
COMPUTER ASSOCIATES INTL COM      204912109      7,052        279,975  SH         SOLE                  82,425               197,550
COMPUTER SCIENCES CORP   COM      205363104      6,454         86,925  SH         SOLE                  27,225                59,700
COMPUTER TASK GROUP INC  COM      205477102      1,719        550,000  SH         SOLE                                       550,000
COMPUWARE CORP           COM      205638109      1,521        181,600  SH         SOLE                                       181,600
CONAGRA INC-W/RTS TO PUR COM      205887102    713,998     35,588,673  SH         SOLE              17,999,120  3,476,026 14,113,527
CONMED CORP              COM      207410101      9,375        684,900  SH         SOLE                 569,600      8,300    107,000
CONOCO INC               COM      208251306    356,700     13,653,601  SH         SOLE               7,003,841  2,186,554  4,463,206
CONOCO INC-CL B          COM      208251405    186,578      6,926,327  SH         SOLE               2,031,062    603,874  4,291,391
CONSECO INC              COM      208464107        777        101,845  SH         SOLE                     185    101,660
CONSOLIDATED EDISON INC  COM      209115104    349,550     10,243,238  SH         SOLE               4,665,735  1,023,330  4,554,173

CONSTELLATION ENERGY GRO COM      210371100      6,784        136,353  SH         SOLE                  48,150                88,203
COOPER INDUSTRIES INC    COM      216669101    421,421     11,955,213  SH         SOLE               6,029,177  1,282,435  4,643,601
COOPER TIRE & RUBBER CO  COM      216831107     89,704      8,914,654  SH         SOLE               4,972,392  1,070,506  2,871,756
CORN PRODUCTS INTERNATIO COM      219023108     16,951        745,080  SH         SOLE                 618,275      8,225    118,580
CORNING INC              COM      219350105     20,434         68,803  SH         SOLE                  16,960         43     51,800

COSTCO WHOLESALE CORP-NE COM      22160K105        643         18,401  SH         SOLE                   7,875                10,526
COUNTRYWIDE CREDIT INDS  COM      222372104     23,120        612,444  SH         SOLE                 394,059      1,150    217,235
CROMPTON CORP            COM      227116100     18,745      2,380,325  SH         SOLE               1,959,521     29,800    391,004
CROWN CORK & SEAL CO INC COM      228255105    157,941     14,778,151  SH         SOLE               7,343,567  1,759,770  5,674,814
CSX CORP                 COM      126408103    656,079     30,078,140  SH         SOLE              16,222,520  3,714,222 10,141,398
CUMMINS ENGINE CO INC-W/ COM      231021106     15,146        505,918  SH         SOLE                 231,935        500    273,483
CURTISS-WRIGHT CORP      COM      231561101      4,450         94,300  SH         SOLE                  79,525      1,125     13,650
CYTEC INDUSTRIES INC     COM      232820100     22,377        669,225  SH         SOLE                 557,475      8,050    103,700

DALLAS SEMICONDUCTOR COR COM      235204104     23,563        716,750  SH         SOLE                 604,900      8,000    103,850
DANA CORP                COM      235811106    393,506     18,302,599  SH         SOLE               8,526,646  2,278,060  7,497,893
DEERE & CO               COM      244199105      5,406        162,580  SH         SOLE                  83,225                79,355
DELL COMPUTER CORP       COM      247025109     47,352      1,536,765  SH         SOLE                 886,365      2,725    647,675
DELPHI AUTOMOTIVE SYS CO COM      247126105    110,298      7,292,444  SH         SOLE               3,185,580     14,109  4,092,755
DENTSPLY INTERNATIONAL I COM      249030107        664         19,000  SH         SOLE                  19,000

DEVON ENERGY CORPORATIOI COM      25179M103      4,890         81,294  SH         SOLE                  80,750        200        344
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
DIEBOLD INC              COM      253651103        337         12,700  SH         SOLE                   9,700                 3,000
DIGENE CORP              COM      253752109        396         11,000  SH         SOLE                                        11,000
DILLARDS INC-CL A        COM      254067101     82,334      7,749,128  SH         SOLE               4,194,339    719,778  2,835,011
DOLLAR THRIFTY AUTOMOTIV COM      256743105     15,644        792,100  SH         SOLE                 666,400               125,700
DOMINION RES INC VA NEW  COM      25746U109      6,837        117,750  SH         SOLE                  41,250                76,500
DOVER CORP               COM      260003108      1,942         41,375  SH         SOLE                  14,350                27,025
DOW CHEMICAL CO          COM      260543103    948,185     38,022,450  SH         SOLE              18,139,248  5,173,333 14,709,869
DOW JONES & CO INC       COM      260561105      4,187         69,200  SH         SOLE                  48,250                20,950
DPL INC                  COM      233293109      4,620        155,305  SH         SOLE                  42,500               112,805
DTE ENERGY CO            COM      233331107      6,151        160,820  SH         SOLE                 133,345        350     27,125
DUKE POWER CO            COM      264399106      3,106         36,219  SH         SOLE                   9,200         53     26,966
DUKE REALTY INVESTMENTS  COM      264411505     15,852        657,058  SH         SOLE                 540,560      6,671    109,827
DUN & BRADSTREET CORP DE COM      26483B106     18,155        527,180  SH         SOLE                 370,095        800    156,285
E I DU PONT DE NEMOURS & COM      263534109     86,822      2,095,241  SH         SOLE               1,252,680     43,283    799,278
EASTGROUP PROPERTIES INC COM      277276101      5,791        260,275  SH         SOLE                 216,375      4,700     39,200
EASTMAN CHEMICAL CO      COM      277432100    315,985      8,554,574  SH         SOLE               5,366,848    824,495  2,363,231
EASTMAN KODAK CO         COM      277461109      6,431        157,325  SH         SOLE                  29,350        100    127,875
EATON CORP               COM      278058102     81,655      1,325,032  SH         SOLE                 708,046    131,545    485,441
EDISON INTERNATIONAL     COM      281020107      8,105        419,669  SH         SOLE                 153,400      1,350    264,919
EL PASO ENERGY CORP      COM      283905107      2,004         32,516  SH         SOLE                  31,050                 1,466
ELECTRONIC DATA SYSTEMS  COM      285661104      7,572        182,466  SH         SOLE                  83,975                98,491
ELI LILLY & CO           COM      532457108     54,703        674,303  SH         SOLE                 350,145      1,032    323,126
EMC CORP-MASS            COM      268648102    154,530      1,558,937  SH         SOLE               1,021,020      3,050    534,867
EMERSON ELECTRIC CO      COM      291011104     26,498        395,499  SH         SOLE                 302,924      3,775     88,800
EMPIRE DISTRICT ELECTRIC COM      291641108      9,977        380,080  SH         SOLE                 304,425      4,305     71,350
ENERGIZER HOLDINGS INC   COM      29266R108      2,369         96,696  SH         SOLE                  43,330        200     53,166
ENRON CORP               COM      293561106     15,343        175,096  SH         SOLE                  43,525               131,571
EOG RES INC              COM      26875P101      4,548        117,000  SH         SOLE                  35,200                81,800
ESTERLINE CORP           COM      297425100     25,351      1,287,645  SH         SOLE               1,055,450     15,895    216,300
EXODUS COMMUNICATIONS IN COM      302088109        791         16,020  SH         SOLE                                        16,020
EXXON MOBIL CORP         COM      30231G102    690,716      7,749,971  SH         SOLE               3,760,785     16,921  3,972,265
EZENIA INC               COM      302311105        975        400,000  SH         SOLE                                       400,000
FAMILY DOLLAR STORES INC COM      307000109        360         18,700  SH         SOLE                  18,700

FEDERAL HOME LOAN MORTGA COM      313400301    105,425      1,950,049  SH         SOLE                 556,242     18,430  1,375,377
FEDERAL MOGUL CP-W/RTS T COM      313549107        680        125,000  SH         SOLE                                       125,000

FEDERAL NATIONAL MORTGAG COM      313586109    270,854      3,788,164  SH         SOLE               1,858,285     62,726  1,867,153

FEDERATED DEPARTMENT STO COM      31410H101    475,279     18,192,514  SH         SOLE               9,669,600  2,222,975  6,299,939
FEDEX CORP               COM      31428X106      6,504        146,694  SH         SOLE                  34,398        200    112,096
FELCOR LODGING TRUST INC COM      31430F101     11,144        481,900  SH         SOLE                 412,700      6,100     63,100
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
FIRST DATA CORP          COM      319963104      2,514         64,350  SH         SOLE                  28,150                36,200
FIRST UNION CORP         COM      337358105    341,258     10,602,191  SH         SOLE               5,071,496    873,908  4,656,787
FIRSTAR CORP WIS-NEW     COM      33763V109        228         10,191  SH         SOLE                   8,100                 2,091
FIRSTENERGY CORP         COM      337932107    561,072     20,828,641  SH         SOLE              10,154,904  2,584,901  8,088,836
FLEETBOSTON FINL CORP    COM      339030108    348,926      8,946,830  SH         SOLE               4,390,028    406,895  4,149,907
FLEETWOOD ENTERPRISES IN COM      339099103      3,972        292,877  SH         SOLE                 236,927        350     55,600
FLORIDA PROGRESS CORP    COM      341109106      1,096         20,700  SH         SOLE                   4,500                16,200
FLUOR CORP               COM      343861100     30,925      1,030,834  SH         SOLE                 560,938    125,349    344,547
FMC CORP-NEW             COM      302491303    257,394      3,838,114  SH         SOLE               2,437,450    304,049  1,096,615
FORD MOTOR CO DEL        COM      345370860    169,464      6,694,886  SH         SOLE               3,513,139     61,394  3,120,353
FORT JAMES CORPORATION   COM      347471104    578,146     18,916,841  SH         SOLE               9,864,583  2,037,244  7,015,014
FORTUNE BRANDS INC       COM      349631101     68,614      2,589,221  SH         SOLE               1,779,696      6,725    802,800

FOUNDATION HEALTH SYSTEM COM      350404109     39,320      2,365,139  SH         SOLE               1,652,513      4,900    707,726
FRANKLIN RESOURCES INC   COM      354613101      2,087         46,975  SH         SOLE                  33,375                13,600
GANNETT CO INC           COM      364730101      6,210        117,176  SH         SOLE                  28,925        150     88,101
GAP INC                  COM      364760108      4,289        213,100  SH         SOLE                  51,750               161,350

GARDNER DENVER MACHINERY COM      365558105     14,711        905,300  SH         SOLE                 773,900     10,650    120,750
GATEWAY INC              COM      367626108      6,113        130,750  SH         SOLE                  84,300                46,450
GBC BANCORP-CALIF        COM      361475106     19,409        569,800  SH         SOLE                 509,950      8,700     51,150
GENERAL ELECTRIC CO      COM      369604103    886,883     15,373,918  SH         SOLE               6,908,511     85,225  8,380,182
GENERAL MILLS INC-W/RTS  COM      370334104      8,682        244,566  SH         SOLE                  75,700      1,000    167,866
GENERAL MOTORS CORP      COM      370442105     13,249        203,838  SH         SOLE                 122,539                81,299

GENERAL MOTORS CORP-CL H COM      370442832      4,901        131,823  SH         SOLE                  39,573                92,250

GENERAL SEMICONDUCTOR CO COM      370787103     16,631      1,364,625  SH         SOLE               1,131,925     18,850    213,850
GENUINE PARTS CO         COM      372460105    298,702     15,669,636  SH         SOLE               7,552,671  1,836,534  6,280,431
GEO A HORMEL & CO        COM      440452100     15,294        916,480  SH         SOLE                 659,590     79,314    177,576
GEORGIA PACIFIC CORP     COM      373298108    189,876      8,079,811  SH         SOLE               3,279,192    743,565  4,057,054
GILLETTE CO-W/RTS TO PUR COM      375766102      6,074        196,723  SH         SOLE                      50               196,673
GOLDEN STATE BANCORP INC COM      381197102        867         36,682  SH         SOLE                                        36,682
GOLDEN WEST FINL CORP-DE COM      381317106    202,915      3,783,955  SH         SOLE               1,306,143    175,224  2,302,588
GOODYEAR TIRE & RUBBER C COM      382550101    328,857     18,269,844  SH         SOLE              10,268,466  2,234,524  5,766,854
GPU INC                  COM      36225X100    143,931      4,437,166  SH         SOLE               1,936,698    290,489  2,209,979
GREAT ATLANTIC&PAC TEA C COM      390064103        651         58,875  SH         SOLE                  54,375        200      4,300
GREAT LAKES CHEMICAL COR COM      390568103     30,378      1,036,356  SH         SOLE                 412,823      6,085    617,448
GUIDANT CORP             COM      401698105     13,716        194,040  SH         SOLE                                       194,040
GYMBOREE CORP            COM      403777105        341         62,800  SH         SOLE                                        62,800
H & R BLOCK INC          COM      093671105      4,025        108,600  SH         SOLE                  83,325        175     25,100
H J HEINZ CO             COM      423074103     53,234      1,436,333  SH         SOLE                 980,174      4,375    451,784
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
HALLIBURTON CO           COM      406216101      4,683         95,700  SH         SOLE                                        95,700
HARCOURT GENERAL INC     COM      41163G101      2,364         40,075  SH         SOLE                  15,050                25,025
HARLEYSVILLE GROUP INC   COM      412824104     15,049        791,410  SH         SOLE                 650,900      9,985    130,525
HARMAN INTERNATIONAL     COM      413086109     24,702        631,760  SH         SOLE                 540,960      8,600     82,200
HARRAHS ENTERTAINMENT IN COM      413619107      2,582         93,900  SH         SOLE                  45,150                48,750
HARRIS CORP-W/RTS TO PUR COM      413875105      5,272        185,375  SH         SOLE                 137,375        150     47,850
HARTFORD FINANCIAL SERVI COM      416515104     45,961        630,140  SH         SOLE                 482,875      3,775    143,490
HASBRO INC               COM      418056107     13,270      1,160,261  SH         SOLE                 830,661      3,900    325,700
HCA-HEALTHCARE CO        COM      404119109      6,798        183,100  SH         SOLE                  79,450               103,650
HEALTHSOUTH REHABILITATI COM      421924101      8,292      1,020,600  SH         SOLE                 648,900               371,700
HERCULES INC             COM      427056106     24,163      1,710,650  SH         SOLE               1,142,500      8,050    560,100
HERSHEY FOODS CORP       COM      427866108        704         13,000  SH         SOLE                  12,000                 1,000
HERTZ CORP-CL A          COM      428040109      2,515         79,200  SH         SOLE                  56,700                22,500
HEWLETT PACKARD CO       COM      428236103    178,641      1,841,656  SH         SOLE               1,188,640     12,433    640,583
HEXCEL CORP NEW          COM      428291108     21,568      1,612,555  SH         SOLE               1,336,370     18,985    257,200
HIBERNIA CORP-CL A       COM      428656102     18,498      1,510,050  SH         SOLE               1,252,650     21,000    236,400
HILTON HOTELS CORP       COM      432848109     19,050      1,647,600  SH         SOLE               1,286,900      5,700    355,000
HOME DEPOT INC           COM      437076102     91,616      1,726,574  SH         SOLE                 995,575      3,025    727,974
HONEYWELL INTL INC       COM      438516106     43,438      1,219,309  SH         SOLE                 444,025      8,675    766,609
HOUSEHOLD INTERNATIONAL  COM      441815107     14,358        253,558  SH         SOLE                 111,244               142,314
HUBBELL INC CLASS B      COM      443510201      1,570         62,650  SH         SOLE                  35,050                27,600
HUMANA INC               COM      444859102      1,599        148,750  SH         SOLE                  23,750               125,000
HUNTINGTON BANCSHARES IN COM      446150104      1,230         83,760  SH         SOLE                  59,860        500     23,400
HUTCHINSON TECHNOLOGY IN COM      448407106     29,421      1,396,830  SH         SOLE               1,154,225     18,655    223,950
IBP INC                  COM      449223106      9,414        514,092  SH         SOLE                 380,925               133,167
ICN PHARMACEUTICALS INC  COM      448924100        342         10,300  SH         SOLE                  10,300
IDACORP INC              COM      451107106     26,890        581,400  SH         SOLE                 493,950      4,850     82,600
INDUS INTERNATIONAL INC  COM      45578L100        585        120,000  SH         SOLE                                       120,000
INFOGRAMES INC           COM      45665T107        290         40,000  SH         SOLE                                        40,000
INFORMIX CORP            COM      456779107      1,653        400,700  SH         SOLE                                       400,700
INGERSOLL RAND CO        COM      456866102      1,734         51,200  SH         SOLE                   2,200        200     48,800
INGRAM MICRO INC-CL A    COM      457153104     97,397      7,083,404  SH         SOLE               3,720,116    620,191  2,743,097
INPRISE CORP             COM      45766C102        673        126,000  SH         SOLE                                       126,000
INPUT/OUTPUT INC         COM      457652105      5,997        623,100  SH         SOLE                 512,800     10,300    100,000
INTEL CORP               COM      458140100    334,891      8,045,418  SH         SOLE               4,890,965     20,111  3,134,342
INTERGRAPH CORP          COM      458683109      1,438        200,000  SH         SOLE                                       200,000
INTERNATIONAL GAME TECHN COM      459902102      9,210        273,900  SH         SOLE                  31,100               242,800
INTERNATIONAL PAPER CO   COM      460146103  1,078,297     37,587,686  SH         SOLE              19,191,628  4,653,294 13,742,764
INTERSTATE BAKERIES CORP COM      46072H108     20,112      1,375,200  SH         SOLE               1,170,400     15,500    189,300
INTL BUSINESS MACHINES C COM      459200101    314,547      2,795,974  SH         SOLE               1,180,470     31,951  1,583,553
ITT INDUSTRIES INC       COM      450911102     11,967        368,925  SH         SOLE                 166,050        475    202,400
J C PENNEY CO INC-W/RTS  COM      708160106     11,709        991,252  SH         SOLE                 612,557      1,600    377,095
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
J P MORGAN & CO INC      COM      616880100    122,263        748,359  SH         SOLE                 481,409      2,425    264,525
JDS UNIPHASE CORP        COM      46612J101      4,528         47,825  SH         SOLE                  46,525         25      1,275
JEFFERSON PILOT CORP     COM      475070108      1,934         28,500  SH         SOLE                  15,575                12,925
JOHNSON & JOHNSON        COM      478160104    286,984      3,055,052  SH         SOLE               1,368,693     19,301  1,667,058
JOHNSON CONTROLS INC     COM      478366107     12,281        230,895  SH         SOLE                 137,225        175     93,495
K MART CORP              COM      482584109      1,512        252,050  SH         SOLE                                       252,050
KELLOGG CO               COM      487836108        284         11,755  SH         SOLE                   8,200                 3,555
KELLWOOD CO              COM      488044108     14,054        770,080  SH         SOLE                 637,975     10,105    122,000
KENNAMETAL INC           COM      489170100     24,167        938,525  SH         SOLE                 778,825      9,900    149,800

KERR MCGEE CORP-W/RTS TO COM      492386107     64,330        971,025  SH         SOLE                 740,125      2,675    228,225
KEYCORP NEW              COM      493267108    230,026      9,087,462  SH         SOLE               4,074,612    393,065  4,619,785
KIMBERLY CLARK CORP      COM      494368103      3,624         64,936  SH         SOLE                  29,475         74     35,387
KIMCO REALTY CORP-DEP SH PFD      49446R604        653         27,800  SH         SOLE                                        27,800
KIMCO REALTY CORP-DEP SH PFD      49446R307        828         39,100  SH         SOLE                                        39,100
KLA INSTRUMENTS CORP W/R COM      482480100     14,103        342,400  SH         SOLE                 184,400               158,000
LAFARGE CORP             COM      505862102        259         11,900  SH         SOLE                  11,900
LEAR CORP                COM      521865105      2,462        119,750  SH         SOLE                  70,050                49,700
LEGATO SYSTEMS INC       COM      524651106      2,688        200,000  SH         SOLE                                       200,000
LEGGETT & PLATT INC      COM      524660107    109,608      6,931,700  SH         SOLE               3,562,600    605,700  2,763,400

LEHMAN BROTHERS HOLDINGS COM      524908100    142,320        963,251  SH         SOLE                 643,224      2,425    317,602
LEXMARK INTERNATIONAL GR COM      529771107        503         13,400  SH         SOLE                  10,400                 3,000
LIBERTY PROPERTY TRUST   COM      531172104     17,219        626,150  SH         SOLE                 516,900      7,700    101,550
LIMITED INC              COM      532716107      7,985        361,919  SH         SOLE                 205,525        596    155,798
LINCOLN ELEC CO HOLDINGS COM      533900106      1,331        100,000  SH         SOLE                  81,900      3,050     15,050
LINCOLN NATIONAL CORP-W/ COM      534187109     28,867        599,830  SH         SOLE                 524,737      3,975     71,118
LITTON INDUSTRIES INC    COM      538021106    175,538      3,928,112  SH         SOLE               2,352,337    308,478  1,267,297
LIZ CLAIBORNE INC        COM      539320101      1,784         46,325  SH         SOLE                  28,900        300     17,125
LOCKHEED MARTIN CORP     COM      539830109     63,009      1,911,684  SH         SOLE               1,239,155      2,766    669,763
LOEWS CORP               COM      540424108      7,508         90,053  SH         SOLE                  72,303        250     17,500
LOWES COMPANIES INC      COM      548661107     20,295        452,250  SH         SOLE                   7,400     16,600    428,250
LSI LOGIC CORP-W/RTS TO  COM      502161102      3,548        121,300  SH         SOLE                 118,975        200      2,125
LUBRIZOL CORP            COM      549271104    149,194      7,578,122  SH         SOLE               4,487,420    899,479  2,191,223
LUBYS CAFETERIAS INC     COM      549282101      1,195        225,000  SH         SOLE                                       225,000
LUCENT TECHNOLOGIES INC  COM      549463107     88,408      2,892,693  SH         SOLE               1,499,506      5,971  1,387,216
LYONDELL PETROCHEMICAL C COM      552078107     85,912      7,272,986  SH         SOLE               4,729,291    511,893  2,031,802
MALLINCKRODT INC (NEW)   COM      561232109     15,186        332,850  SH         SOLE                  75,000      1,125    256,725
MANOR CARE INC NEW       COM      564055101     17,911      1,141,750  SH         SOLE                 652,000        600    489,150
MARRIOTT INTERNATIONAL I COM      571903202      1,498         41,115  SH         SOLE                                        41,115
MARSH & MCLENNAN COS INC COM      571748102     11,383         85,747  SH         SOLE                  32,675                53,072
MASCO CORP               COM      574599106      7,853        421,650  SH         SOLE                 351,600        500     69,550
</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 9
<PAGE>

<TABLE>
<CAPTION>
Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                           For Quarter End: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
MATTEL INC-W/RTS TO PUR  COM      577081102     11,175        998,848  SH         SOLE                 725,874      4,950    268,024
MAXTOR CORP (NEW)        COM      577729205      1,368        130,300  SH         SOLE                                       130,300

MAY DEPARTMENT STORES CO COM      577778103    609,394     29,726,535  SH         SOLE              15,614,539  3,620,869 10,491,127
MAYTAG CO-W/RTS TO PUR C COM      578592107      6,740        216,973  SH         SOLE                 165,690      3,625     47,658
MBIA INC                 COM      55262C100    521,209      7,328,068  SH         SOLE               3,857,680    628,518  2,841,870
MBNA CORP                COM      55262L100      9,978        259,163  SH         SOLE                  81,200               177,963
MCDONALDS CORP- W/RTS TO COM      580135101     14,788        489,858  SH         SOLE                 150,025               339,833
MEAD CORP                COM      582834107    206,692      8,842,457  SH         SOLE               4,533,966    759,485  3,549,006
MEDTRONIC INC            COM      585055106      7,423        143,270  SH         SOLE                  66,350                76,920
MELLON FINL CORP         COM      58551A108      4,715        101,675  SH         SOLE                  45,650                56,025
MERCK & CO INC           COM      589331107    247,098      3,319,535  SH         SOLE               1,741,360      7,710  1,570,465
MERRILL LYNCH & CO INC   COM      590188108     42,592        645,334  SH         SOLE                 339,110               306,224
MGIC INVESTMENT CORP-WIS COM      552848103    101,937      1,667,685  SH         SOLE               1,115,503      5,100    547,082
MICHAEL FOODS INC NEW    COM      594079105     24,808      1,061,290  SH         SOLE                 893,575     12,965    154,750
MICRON TECHNOLOGY INC    COM      595112103      4,915        106,850  SH         SOLE                  95,450                11,400
MICROSOFT CORP           COM      594918104    337,115      5,595,266  SH         SOLE               3,369,465     11,975  2,213,826
MINNESOTA MINING & MFG C COM      604059105    100,790      1,106,065  SH         SOLE                 438,388     13,202    654,475
MIPS TECHNOLOGIES INC    COM      604567206      1,200         31,181  SH         SOLE                                        31,181
MODINE MANUFACTURING CO  COM      607828100     18,971        673,400  SH         SOLE                 558,550      8,800    106,050
MOOG INC CL A            COM      615394202     18,138        602,075  SH         SOLE                 502,025      7,100     92,950

MORGAN STANLEY DEAN WITT COM      617446448    113,375      1,239,919  SH         SOLE                 608,465      2,969    628,485
MOTOROLA INC             COM      620076109     67,296      2,382,163  SH         SOLE               1,519,776      3,825    858,562
MYLAN LABORATORIES INC   COM      628530107        331         12,300  SH         SOLE                  11,700                   600
NATIONAL CITY CORP       COM      635405103    348,287     15,741,801  SH         SOLE               7,981,329  1,281,912  6,478,560
NATIONAL SEMICONDUCTOR C COM      637640103        451         11,210  SH         SOLE                  10,365                   845
NATIONAL SERVICE INDS IN COM      637657107      8,139        416,050  SH         SOLE                 237,650        500    177,900
NAUTICA ENTERPRISES INC  COM      639089101        970         75,000  SH         SOLE                                        75,000
NBC INTERNET INC         COM      62873D105      1,155        176,000  SH         SOLE                                       176,000
NEIMAN-MARCUS GROUP INC  COM      640204301        464         16,202  SH         SOLE                  12,757                 3,445

NETWORK EQUIPMENT TECHNO COM      641208103      1,870        175,000  SH         SOLE                                       175,000
NEW YORK TIMES CLASS A   COM      650111107      7,244        184,257  SH         SOLE                  49,750               134,507
NEWELL RUBBERMAID INC    COM      651229106    242,707     10,639,199  SH         SOLE               4,442,134    556,221  5,640,844
NORFOLK SOUTHERN CORP    COM      655844108    664,248     45,418,673  SH         SOLE              22,758,846  6,071,788 16,588,039
NORTHEAST UTILITIES      COM      664397106      6,636        306,000  SH         SOLE                  55,600               250,400
NORTHROP CORP            COM      666807102     90,997      1,001,346  SH         SOLE                 704,778      2,950    293,618
NOVELL INC               COM      670006105      1,242        125,000  SH         SOLE                                       125,000
NOVELLUS SYSTEMS INC     COM      670008101      2,732         58,675  SH         SOLE                  58,375                   300
NUCOR CORP               COM      670346105     71,514      2,373,894  SH         SOLE                 883,213     77,375  1,413,306
NVR INC                  COM      62944T105     24,312        300,150  SH         SOLE                 254,025      3,515     42,610
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
OCCIDENTAL PETROLEUM COR COM      674599105  1,163,879     53,358,369  SH         SOLE              27,581,261  6,651,978 19,125,130
OFFICE DEPOT INC         COM      676220106     43,115      5,518,673  SH         SOLE               3,400,173     19,400  2,099,100
OLD REPUBLIC INTERNATION COM      680223104    239,163      9,939,262  SH         SOLE               4,622,847  1,248,042  4,068,373
OMNICARE INC             COM      681904108      1,643        101,900  SH         SOLE                  26,900                75,000
ONEIDA LTD               COM      682505102     16,021      1,154,692  SH         SOLE                 959,158     12,655    182,879
ONEOK INC NEW            COM      682680103        401         10,100  SH         SOLE                  10,100
ORACLE SYSTEMS CORP      COM      68389X105    213,077      2,705,746  SH         SOLE               1,506,887      5,216  1,193,643
OSHKOSH TRUCK CORP CL B  COM      688239201     14,810        382,196  SH         SOLE                 328,096      4,450     49,650
OWENS CORNING            COM      69073F103     16,984      6,470,065  SH         SOLE               3,506,280    596,739  2,367,046
OWENS ILLINOIS INC NEW   COM      690768403    187,855     20,308,644  SH         SOLE              10,041,047  2,342,881  7,924,716
OXFORD HEALTH PLANS INC  COM      691471106      1,236         40,200  SH         SOLE                                        40,200
P N C FINANCIAL CORP     COM      693475105     58,659        902,452  SH         SOLE                 668,719      4,550    229,183
PACCAR INC -DEL-         COM      693718108     20,104        542,440  SH         SOLE                 346,490      1,400    194,550
PACIFIC CENTURY FINANCIA COM      694058108     21,274      1,242,275  SH         SOLE               1,046,975     16,250    179,050
PACIFICARE HEALTH SYSTEM COM      695112102    101,294      2,909,715  SH         SOLE               1,700,029    279,256    930,430
PAINE WEBBER GROUP INC   COM      695629105      4,902         71,960  SH         SOLE                  38,400                33,560
PALL CORP                COM      696429307      2,039        102,275  SH         SOLE                  85,975        250     16,050
PALM INC                 COM      696642107        678         12,800  SH         SOLE                   2,001                10,799
PARK PLACE ENTERTAINMENT COM      700690100      3,851        254,600  SH         SOLE                  79,300               175,300
PARKER-HANNIFIN CORP     COM      701094104      1,712         50,725  SH         SOLE                  46,825                 3,900
PE CORP                  COM      69332S102      2,749         23,600  SH         SOLE                  23,475                   125
PECO ENERGY CO           COM      693304107      4,088         67,500  SH         SOLE                  30,500                37,000
PENN ENGINEERING & MFG C COM      707389300     20,288        645,335  SH         SOLE                 558,900      9,785     76,650
PEP BOYS-MANNY MOE & JAC COM      713278109        625        125,000  SH         SOLE                                       125,000
PEPSICO INC-NORTH CAROLI COM      713448108     19,917        432,985  SH         SOLE                 155,175     20,600    257,210
PERSISTENCE SOFTWARE INC COM      715329108        988         90,375  SH         SOLE                                        90,375
PFIZER INC               COM      717081103    277,359      6,172,101  SH         SOLE               3,526,677     11,450  2,633,974
PG&E CORP                COM      69331C108    372,016     15,380,499  SH         SOLE               8,275,381  1,350,544  5,754,574
PHARMACIA CORP           COM      71713U102     36,139        600,441  SH         SOLE                 348,582        110    251,749
PHILIP MORRIS COS INC    COM      718154107    831,985     28,262,775  SH         SOLE              14,123,198  2,835,056 11,304,521
PHILLIPS PETROLEUM CO-W/ COM      718507106  1,502,601     23,945,828  SH         SOLE              13,098,616  2,772,181  8,075,031
PHOENIX TECHNOLOGIES LTD COM      719153108     23,768      1,491,300  SH         SOLE               1,256,000     19,300    216,000
PICTURETEL CORP NEW      COM      720035302      3,516        500,000  SH         SOLE                                       500,000
PITNEY BOWES INC-W/RTS T COM      724479100     64,834      1,643,978  SH         SOLE                     400     33,000  1,610,578
PLAYTEX PRODUCTS INC     COM      72813P100     15,507      1,312,726  SH         SOLE               1,027,625     20,500    264,601
POLAROID CORP-W/RTS TO P COM      731095105      1,755        130,600  SH         SOLE                 130,600

POLICY MANAGEMENT SYSTEM COM      731108106      1,013         75,000  SH         SOLE                                        75,000
POLYONE CORP             COM      73179P106        366         50,000  SH         SOLE                                        50,000
POST PROPERTIES INC      COM      737464107     16,053        368,500  SH         SOLE                 307,900      4,650     55,950
POTLATCH CORP            COM      737628107     10,515        332,479  SH         SOLE                 138,800               193,679
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
POWER INTEGRATIONS INC   COM      739276103        223         16,000  SH         SOLE                  14,000                 2,000
PPG INDUSTRIES INC-W/RTS COM      693506107     18,214        458,935  SH         SOLE                 267,100     12,585    179,250
PPL CORPORATION          COM      69351T106      1,266         30,314  SH         SOLE                  20,250                10,064
PRAXAIR INC              COM      74005P104    358,002      9,578,658  SH         SOLE               4,598,322  1,179,305  3,801,031
PRECISION CASTPARTS CORP COM      740189105     36,782        958,500  SH         SOLE                 810,500      8,800    139,200
PROCTER & GAMBLE CO      COM      742718109     79,008      1,179,223  SH         SOLE                 546,470      1,025    631,728
PUBLIC SVC CO OF NEW MEX COM      744499104     23,186        896,091  SH         SOLE                 747,525     13,050    135,516
PUGET SOUND ENERGY INC   COM      745332106    165,217      6,511,016  SH         SOLE               3,939,988    622,989  1,948,039
PULTE CORP               COM      745867101     17,333        525,241  SH         SOLE                 278,891        500    245,850
QUAKER OATS CO           COM      747402105      3,339         42,200  SH         SOLE                  13,200                29,000
QUALCOMM INC             COM      747525103     34,949        490,510  SH         SOLE                 267,460        700    222,350
QUANTUM CORP DSSG COM    COM      747906204    272,055     18,061,711  SH         SOLE              10,450,665  2,200,812  5,410,234
QUANTUM CORP HDDG COM    COM      747906303      5,454        548,829  SH         SOLE                 478,724      4,607     65,498
QUORUM HEALTH GROUP INC  COM      749084109     13,090      1,006,925  SH         SOLE                 772,400        202    234,323
QWEST COMMUNICATIONS     COM      749121109     23,596        490,945  SH         SOLE                 240,802         50    250,093
R & B FALCON CORP        COM      74912E101      4,103        147,200  SH         SOLE                  36,900               110,300
R R DONNELLEY & SONS CO  COM      257867101      6,299        256,450  SH         SOLE                 243,700      6,300      6,450
RADIAN GROUP INC         COM      750236101      2,563         37,965  SH         SOLE                                        37,965
RALSTON-RALSTON PURINA G COM      751277302        436         18,400  SH         SOLE                                        18,400
RAYONIER INC             COM      754907103     14,916        415,050  SH         SOLE                 346,850      5,200     63,000
RAYTHEON CO-CL B         COM      755111408     10,862        381,956  SH         SOLE                 262,856               119,100
REEBOK INTL LTD          COM      758110100      5,214        277,160  SH         SOLE                  51,910               225,250
REGAL-BELOIT CORP        COM      758750103     19,267      1,136,000  SH         SOLE                 982,975     15,850    137,175
REGIONS FINANCIAL CORP   COM      758940100     82,248      3,625,257  SH         SOLE               1,743,282     67,550  1,814,425
RELIANCE STEEL & ALUMINU COM      759509102      7,417        352,160  SH         SOLE                 304,373      5,350     42,437
RELIANT ENERGY INC       COM      75952J108      5,761        123,890  SH         SOLE                  56,900                66,990
REPUBLIC SERVICES INC    COM      760759100        984         75,000  SH         SOLE                                        75,000
REYNOLDS R J TOB HOLDING COM      76182K105     12,837        398,045  SH         SOLE                 255,435        498    142,112
ROBOTIC VISION SYSTEMS I COM      771074101        753        126,200  SH         SOLE                                       126,200
ROCK-TENN CO-CL A        COM      772739207     15,783      1,588,190  SH         SOLE               1,346,900     13,250    228,040
ROCKWELL INTERNATIONAL C COM      773903109        506         16,713  SH         SOLE                   9,700                 7,013
ROSS STORES INC          COM      778296103        622         43,300  SH         SOLE                  25,500        142     17,658
ROWAN COMPANIES INC      COM      779382100      4,163        143,550  SH         SOLE                 117,550                26,000
RTI INTERNATIONAL METALS COM      74973W107     33,703      2,334,400  SH         SOLE               1,965,200     29,200    340,000
RUSS BERRIE & CO INC     COM      782233100      8,199        415,145  SH         SOLE                 363,425      3,820     47,900
RUSSELL CORP             COM      782352108     20,473      1,289,608  SH         SOLE                 892,503      8,005    389,100
RYDER SYSTEM INC-W/RTS T COM      783549108     11,038        598,685  SH         SOLE                 336,748        600    261,337
RYERSON TULL INC-NEW     COM      78375P107     10,338      1,095,413  SH         SOLE                 949,711     12,108    133,594
SABRE GROUP HOLDINGS INC COM      785905100        719         24,848  SH         SOLE                  15,657                 9,191
SAFECO CORP              COM      786429100     33,028      1,212,048  SH         SOLE                 807,463      2,300    402,285
SAKS INC                 COM      79377W108      4,200        425,339  SH         SOLE                 126,775               298,564
SARA LEE CORP            COM      803111103     49,328      2,428,450  SH         SOLE               1,405,800     13,950  1,008,700
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
SBC COMMUNICATIONS INC   COM      78387G103    298,564      5,971,270  SH         SOLE               2,110,033     33,037  3,828,200
SCHERING PLOUGH CORP     COM      806605101     25,033        538,340  SH         SOLE                 331,770        750    205,820
SCHULER HOMES INC        COM      808188106      6,631        684,503  SH         SOLE                 548,925     13,578    122,000
SCHWEITZER MAUDUIT INTL  COM      808541106     16,899      1,263,460  SH         SOLE               1,076,600     16,660    170,200
SCI SYSTEMS INC          COM      783890106      1,230         30,000  SH         SOLE                   9,300                20,700
SCIENTIFIC ATLANTA INC   COM      808655104      4,586         72,075  SH         SOLE                  12,475                59,600
SEAGATE TECHNOLOGY       COM      811804103     29,666        429,938  SH         SOLE                 110,150    121,671    198,117
SEARS ROEBUCK & CO       COM      812387108    994,255     30,667,950  SH         SOLE              16,192,792  3,653,095 10,822,063
SEMPRA ENERGY            COM      816851109      4,266        204,990  SH         SOLE                 138,684     25,700     40,606
SHERWIN WILLIAMS CO      COM      824348106    177,656      8,311,380  SH         SOLE               3,316,282    879,236  4,115,862
SICOR INC                COM      825846108        584         57,000  SH         SOLE                                        57,000
SIERRA HEALTH SERVICES I COM      826322109      3,516        750,000  SH         SOLE                                       750,000
SIGMA-ALDRICH CORP       COM      826552101     20,692        627,040  SH         SOLE                 315,465      1,350    310,225
SILICON GRAPHICS INC     COM      827056102        928        225,015  SH         SOLE                                       225,015
SILICON VALLEY GROUP INC COM      827066101     28,960      1,100,600  SH         SOLE                 918,850     15,450    166,300
SMITHFIELD FOODS INC     COM      832248108      1,836         69,950  SH         SOLE                  63,900                 6,050
SMURFIT-STONE CONTAINER  COM      832727101    252,135     21,011,242  SH         SOLE              10,354,797  2,110,303  8,546,142
SNAP-ON TOOLS CORP       COM      833034101     18,524        786,167  SH         SOLE                 504,299      2,750    279,118
SOLECTRON CORP           COM      834182107      1,704         36,950  SH         SOLE                  36,700                   250
SONOCO PRODUCTS CO       COM      835495102    166,665      9,227,130  SH         SOLE               3,200,349  1,044,667  4,982,114
SOUTHERN CO              COM      842587107     34,371      1,059,605  SH         SOLE                 612,225     56,000    391,380
SOUTHTRUST CORP          COM      844730101     20,934        665,879  SH         SOLE                 436,264     21,875    207,740
SOUTHWESTERN ENERGY CO   COM      845467109     15,511      1,772,655  SH         SOLE               1,457,900     22,855    291,900
SPRINT CORP              COM      852061100     12,182        415,595  SH         SOLE                 124,025               291,570
ST PAUL COMPANIES INC    COM      792860108    867,750     17,596,958  SH         SOLE              10,306,535  2,239,477  5,050,946
STANLEY WORKS-W/RTS TO P COM      854616109      2,164         93,825  SH         SOLE                  36,225                57,600
STAPLES INC              COM      855030102      1,799        126,818  SH         SOLE                                       126,818
STATE STREET CORP        COM      857477103      1,901         14,625  SH         SOLE                   9,450                 5,175
STATION CASINOS INC      COM      857689103        213         14,950  SH         SOLE                  14,800                   150
STMICROELECTRONICS N V   COM      861012102      1,429         30,000  SH         SOLE                                        30,000

STORAGE TECHNOLOGY CORP  COM      862111200      1,695        125,000  SH         SOLE                                       125,000
STRIDE RITE CORP         COM      863314100        759        150,000  SH         SOLE                                       150,000
SUMMIT BANCORP           COM      866005101    171,092      4,959,189  SH         SOLE               2,324,915    186,727  2,447,547
SUMMIT PROPERTIES INC    COM      866239106     10,363        430,650  SH         SOLE                 355,100      5,700     69,850
SUN MICROSYSTEMS INC     COM      866810104    138,301      1,184,591  SH         SOLE                 812,174      2,975    369,442
SUNOCO INC               COM      86764P109     78,864      2,927,661  SH         SOLE               1,779,614    124,840  1,023,207
SUNTRUST BANKS INC       COM      867914103      4,204         84,387  SH         SOLE                  48,700      1,120     34,567
SUPERTEX INC             COM      868532102     28,171        559,225  SH         SOLE                 473,075      7,700     78,450
SUPERVALU INC            COM      868536103    183,888     12,208,349  SH         SOLE               6,028,794  1,289,631  4,889,924
SYMANTEC CORP            COM      871503108      2,200         50,000  SH         SOLE                  45,150                 4,850
T ROWE PRICE ASSOCIATES  COM      741477103        844         17,975  SH         SOLE                  17,875                   100
</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>

         Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.

                           For Quarter End: 09/29/2000


                            SEC 13F Information Table

<TABLE>
<CAPTION>

          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
TARGET CORP              COM      87612E106      4,594        179,275  SH         SOLE                 138,350        276     40,649
TECH DATA CORP           COM      878237106    292,775      6,848,541  SH         SOLE               4,013,822    810,273  2,024,446
TEKTRONIX INC            COM      879131100     32,924        428,625  SH         SOLE                 355,425      5,525     67,675
TEMPLE-INLAND INC        COM      879868107    149,864      3,956,803  SH         SOLE               2,034,483    329,522  1,592,798
TENET HEALTHCARE CORP    COM      88033G100      6,459        177,575  SH         SOLE                  72,775               104,800
TERADYNE INC             COM      880770102      2,469         70,550  SH         SOLE                  68,200      1,050      1,300
TESORO PETROLEUM CORP    COM      881609101      5,709        574,450  SH         SOLE                 482,050      8,700     83,700
TEXACO INC W/RTS TO PUR  COM      881694103    263,655      5,022,007  SH         SOLE               2,064,155    176,050  2,781,802

TEXAS BIOTECHNOLOGY CORP COM      88221T104      1,960        120,250  SH         SOLE                                       120,250
TEXAS INSTRUMENTS INC    COM      882508104     57,921      1,227,466  SH         SOLE                 738,405      3,640    485,421
TEXTRON INC-W/RTS TO PUR COM      883203101     14,235        308,625  SH         SOLE                 231,950      2,050     74,625
THE PEPSI BOTTLING GROUP COM      713409100     35,166      1,169,775  SH         SOLE                 889,175      3,900    276,700
THOMAS & BETTS CORP      COM      884315102    128,532      7,370,983  SH         SOLE               3,951,812    766,688  2,652,483
TIME WARNER INC          COM      887315109     53,545        684,283  SH         SOLE                 323,933      1,025    359,325
TJX COMPANIES INC NEW    COM      872540109     97,188      4,319,457  SH         SOLE               1,810,107     38,538  2,470,812
TORCHMARK CORP           COM      891027104    120,655      4,338,172  SH         SOLE               1,442,059     28,605  2,867,508
TOSCO CORP NEW           COM      891490302     48,677      1,560,772  SH         SOLE                 929,469      4,350    626,953
TOTAL RENAL CARE HOLDING COM      89151A107      5,625        750,000  SH         SOLE                                       750,000
TOYS R US                COM      892335100     14,034        863,640  SH         SOLE                 484,675               378,965
TRICON GLOBAL RESTAURANT COM      895953107      1,112         36,310  SH         SOLE                     400      1,800     34,110
TRIGON HEALTHCARE INC    COM      89618L100     20,361        387,375  SH         SOLE                 281,800        258    105,317
TRW INC-W/RTS TO PUR COM COM      872649108     21,179        521,331  SH         SOLE                 358,001      2,750    160,580
TXU CORP                 COM      873168108    103,082      2,601,446  SH         SOLE               1,694,825      6,500    900,121
TYCO INTERNATIONAL LTD N COM      902124106     31,296        603,305  SH         SOLE                 526,270      1,350     75,685
TYSON FOODS INC CL A     COM      902494103    118,512     11,851,212  SH         SOLE               5,309,554  1,082,039  5,459,619
U S AIR GROUP INC-W/RTS  COM      911905107      1,522         50,000  SH         SOLE                                        50,000
U S BANCORP-DEL          COM      902973106     28,144      1,237,100  SH         SOLE                 786,609     39,400    411,091
UCAR INTERNATIONAL INC   COM      90262K109     18,306      1,442,800  SH         SOLE               1,198,600     17,650    226,550

ULTRAMAR DIAMOND SHAMROC COM      904000106     27,416      1,080,432  SH         SOLE                 121,945               958,487
UNICOM CORP              COM      904911104     10,206        181,650  SH         SOLE                  47,100     51,650     82,900
UNIFI INC                COM      904677101        228         22,350  SH         SOLE                  21,600                   750
UNILEVER N V             COM      904784709      1,255         26,007  SH         SOLE                  14,957        600     10,450
UNION CARBIDE CORP       COM      905581104    688,494     18,238,250  SH         SOLE              10,048,926  2,392,667  5,796,657
UNION PACIFIC CORP       COM      907818108    884,955     22,764,118  SH         SOLE              11,641,007  2,785,896  8,337,215
UNION PLANTERS CORP W/RT COM      908068109     27,920        844,475  SH         SOLE                 643,292     14,650    186,533
UNIONBANCAL CORP         COM      908906100      3,252        139,479  SH         SOLE                  95,700                43,779
UNISYS CORP              COM      909214108      2,012        178,825  SH         SOLE                  43,275               135,550
UNITED TECHS CORP W/RTS  COM      913017109     22,148        319,825  SH         SOLE                  32,300               287,525
UNITEDHEALTH GROUP INC   COM      91324P102      9,843         99,675  SH         SOLE                  59,400        400     39,875
UNIVERSAL HEALTH SERVICE COM      913903100      1,073         12,535  SH         SOLE                   6,200         96      6,239
</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: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
UNOCAL CORP              COM      915289102     54,095      1,526,495  SH         SOLE                 991,101     57,054    478,340
UNUMPROVIDENT CORP       COM      91529Y106      1,173         43,055  SH         SOLE                                        43,055
UST INC                  COM      902911106      2,917        127,500  SH         SOLE                   2,350               125,150
USX-MARATHON GROUP       COM      902905827        692         24,405  SH         SOLE                  22,675                 1,730
V F CORP                 COM      918204108    341,924     13,850,070  SH         SOLE               7,113,852  1,633,868  5,102,350
VALERO ENERGY CORP NEW   COM      91913Y100     28,129        799,400  SH         SOLE                 670,175      9,095    120,130
VERITAS SOFTWARE CORP    COM      923436109      3,151         22,190  SH         SOLE                  22,025                   165
VERIZON COMMUNICATIONS   COM      92343V104    162,412      3,353,023  SH         SOLE               1,722,555      4,453  1,626,015
VIACOM INC-NON VTG       COM      925524308     69,223      1,183,300  SH         SOLE                 511,885      1,375    670,040
VIANT CORP               COM      92553N107      1,175        200,000  SH         SOLE                                       200,000
VISHAY INTERTECHNOLOGY I COM      928298108      2,486         80,850  SH         SOLE                  22,200                58,650
VISTEON CORP             COM      92839U107     14,635        967,606  SH         SOLE                 737,994      4,987    224,625
VULCAN MATERIALS CO      COM      929160109     36,669        912,447  SH         SOLE                   6,450     21,600    884,397
WACHOVIA CORP NEW        COM      929771103      1,345         23,723  SH         SOLE                  20,000      1,455      2,268
WADDELL & REED FINANCIAL COM      930059100      7,535        243,068  SH         SOLE                                       243,068
WADDELL & REED FINANCIAL COM      930059209      8,087        278,869  SH         SOLE                                       278,869
WAL-MART STORES INC      COM      931142103    211,167      4,387,896  SH         SOLE               2,674,983      8,825  1,704,088
WALT DISNEY CO           COM      254687106     60,677      1,586,318  SH         SOLE                 872,384      1,850    712,084
WARNACO GROUP INC-CL A   COM      934390105      2,800        700,000  SH         SOLE                                       700,000
WASHINGTON FEDERAL INC   COM      938824109     18,143        797,507  SH         SOLE                 660,090      8,522    128,895
WASHINGTON MUTUAL INC    COM      939322103    213,241      5,356,123  SH         SOLE               2,296,263      8,448  3,051,412

WASTE MANAGEMENT INC DEL COM      94106L109        715         41,022  SH         SOLE                                        41,022
WEBMD CORP               COM      94769M105      1,314         86,188  SH         SOLE                                        86,188
WELLMAN INC              COM      949702104     18,912      1,309,931  SH         SOLE               1,082,450     18,775    208,706
WELLS FARGO & CO-NEW     COM      949746101     62,629      1,363,349  SH         SOLE                 792,806        500    570,043
WESTERN DIGITAL CORP     COM      958102105      1,028        175,000  SH         SOLE                                       175,000
WESTERN RESOURCES INC    COM      959425109      2,092         96,725  SH         SOLE                  61,375                35,350
WESTVACO CORP            COM      961548104    338,343     12,677,971  SH         SOLE               7,377,984  1,424,803  3,875,184
WEYERHAEUSER CO          COM      962166104      3,146         77,925  SH         SOLE                  36,725        200     41,000
WHIRLPOOL CORP           COM      963320106    267,725      6,886,810  SH         SOLE               3,430,823    694,203  2,761,784
WILLAMETTE INDUSTRIES IN COM      969133107     89,763      3,205,816  SH         SOLE                 844,007    220,980  2,140,829
WILLIAMS COS-W/RTS TO PU COM      969457100      4,128         97,697  SH         SOLE                   5,432                92,265
WISCONSIN ENERGY CORP    COM      976657106    224,950     11,282,759  SH         SOLE               6,579,505  1,210,279  3,492,975
WOLVERINE TUBE INC       COM      978093102     20,829      1,400,300  SH         SOLE               1,180,300     16,500    203,500
WORLDCOM INC GA NEW      COM      98157D106     86,484      2,847,215  SH         SOLE               1,484,995      4,525  1,357,695
WORTHINGTON INDUSTRIES I COM      981811102        218         23,300  SH         SOLE                  22,600                   700
WPS RESOURCES CORP       COM      92931B106     21,192        647,070  SH         SOLE                 546,125      8,295     92,650
XCEL ENERGY INC          COM      98389B100    310,119     11,277,055  SH         SOLE               4,153,688  1,554,556  5,568,811
XEROX CORP               COM      984121103      3,315        220,076  SH         SOLE                 133,376                86,700
YAHOO INC                COM      984332106      7,392         81,232  SH         SOLE                  59,150                22,082
3COM CORP                COM      885535104        675         35,165  SH         SOLE                   8,700                26,465
</TABLE>

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

                                                               Page 15
<PAGE>

<TABLE>
<CAPTION>
Name of Reporting Manager: Sanford C. Bernstein and Co., Inc.                                           For Quarter End: 09/29/2000

                                                      SEC 13F Information Table


          Column 1       Column 2 Column 3   Column 4            Column 5        Column 6  Column 7           Column 8
 ........................ ........ ......... ........... ....................... .......... ........ ................................
                                                                                                           Voting Authority
                         Title of              Value     Shrs or Prn  SH/ PUTT/ Investment Other    ................................
Name of Issuer           Class     Cusip     (x$1000)       Amount    PRN CALL  Discretion Managers    Sole      Shared*     None
 ........................ ........ ......... ........... ............. ... ..... .......... ........ .......... .......... ..........
<S>                      <C>      <C>       <C>         <C>           <C> <C>   <C>        <C>      <C>        <C>        <C>
3DO CO                   COM      88553W105      1,338        200,000  SH         SOLE                                       200,000
Total # issues = 595                        52,642,242
</TABLE>

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

                                                              Page 16


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