| Filed | As-Of/On | Form | Fullname | Symbol | Country | Industry | Shares | Activity | Shares Change | Shares Pct. Change | Hypothetical Old Value | Hypothetical New Value | Hypothetical Value Chg. | Hypothetical Return | Hypothetical Results |
Director |
Other |
Ten Pct |
Officer |
Officer Title |
News Article |
History |
|---|
| 2008-08-25 | 2008-06-30 | N-CSRS | Unitedhealth Group Inc | UNH | US | Medical-Hmo | 32,400 | Sold Some | -27,400 | -45.81 % | $949,644 | $925,344 | $-24,300 | -2.55 % | $20,550 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Unitedhealth Group Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Cisco Systems Inc | CSCO | US | Networking Products | 29,200 | Sold Some | -24,100 | -45.21 % | $706,932 | $685,032 | $-21,900 | -3.09 % | $18,075 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Cisco Systems Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Axis Capital Holdings Ltd | AXS | BM | Reinsurance | 78,400 | No Change | 0 | 0 % | $2,574,656 | $2,274,384 | $-300,272 | -11.66 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Axis Capital Holdings Ltd |
| 2008-08-25 | 2008-06-30 | N-CSRS | Sun Microsystems Inc | JAVA | US | Computers | 130,025 | Sold Some | -36,300 | -21.82 % | $1,254,741 | $1,119,515 | $-135,226 | -10.77 % | $37,752 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Sun Microsystems Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | United Technologies Corp | UTX | US | Aerospace/Defense-Equip | 37,300 | Sold Some | -7,800 | -17.29 % | $2,423,008 | $2,535,281 | $112,273 | 4.63 % | $-23,478 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of United Technologies Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Eastman Chemical Co | EMN | US | Chemicals-Specialty | 5,400 | No Change | 0 | 0 % | $323,838 | $317,304 | $-6,534 | -2.01 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Eastman Chemical Co |
| 2008-08-25 | 2008-06-30 | N-CSRS | Willis Group Holdings Ltd | WSH | BM | Insurance Brokers | 2,000 | Sold Some | -1,900 | -48.71 % | $66,400 | $55,380 | $-11,020 | -16.59 % | $10,469 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Willis Group Holdings Ltd |
| 2008-08-25 | 2008-06-30 | N-CSRS | Honeywell International Inc | HON | US | Diversified Manufact Op | 47,300 | Added More | 12,300 | 35.14 % | $2,296,415 | $1,799,292 | $-497,123 | -21.64 % | $-129,273 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Honeywell International Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Baker Hughes Inc | BHI | US | Oil-Field Services | 10 | Sold Some | -11,300 | -99.91 % | $798 | $405 | $-393 | -49.22 % | $443,638 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Baker Hughes Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Tyco Electronics Ltd | TEL | BM | Electronic Compo-Misc | 35,600 | Added More | 5,600 | 18.66 % | $1,142,760 | $848,704 | $-294,056 | -25.73 % | $-46,256 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Tyco Electronics Ltd |
| 2008-08-25 | 2008-06-30 | N-CSRS | Franklin Resources Inc | BEN | US | Invest Mgmnt/Advis Serv | 1,600 | Sold Some | -10,100 | -86.32 % | $159,952 | $178,176 | $18,224 | 11.39 % | $-115,039 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Franklin Resources Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Emerson Electric Co | EMR | US | Electric Products-Misc | 19,670 | Sold Some | -33,630 | -63.09 % | $927,441 | $819,846 | $-107,595 | -11.60 % | $183,956 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Emerson Electric Co |
| 2008-08-25 | 2008-06-30 | N-CSRS | Bank Of New York Mellon Corpthe | BK | US | Unknown | 15,120 | Sold Some | -3,000 | -16.55 % | $511,358 | $395,993 | $-115,366 | -22.56 % | $22,890 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Bank Of New York Mellon Corpthe |
| 2008-08-25 | 2008-06-30 | N-CSRS | Expedia Inc | EXPE | US | Unknown | 7,900 | New Holding | 7,900 | 100 % | $145,202 | $197,105 | $51,903 | 35.74 % | $51,903 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Expedia Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Centurytel Inc | CTL | US | Telephone-Integrated | 56,900 | Added More | 39,500 | 227.01 % | $2,129,767 | $2,026,209 | $-103,558 | -4.86 % | $-71,890 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Centurytel Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Ametek Inc | AME | US | Electric Products-Misc | 0 | Sold All | -20,000 | -100 % | - | - | - | -23.48 % | $225,200 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Ametek Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Adobe Systems Inc | ADBE | US | Electronic Forms | 13,200 | No Change | 0 | 0 % | $576,444 | $472,692 | $-103,752 | -17.99 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Adobe Systems Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Nvidia Corp | NVDA | US | Electronic Compo-Semicon | 10,300 | Sold Some | -54,700 | -84.15 % | $138,123 | $132,870 | $-5,253 | -3.80 % | $27,897 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Nvidia Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Microsoft Corp | MSFT | US | Applications Software | 78,200 | No Change | 0 | 0 % | $2,163,012 | $2,316,284 | $153,272 | 7.08 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Microsoft Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Wells Fargo And Co | WFC | US | Unknown | 29,500 | No Change | 0 | 0 % | $845,765 | $822,165 | $-23,600 | -2.79 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Wells Fargo And Co |
| 2008-08-25 | 2008-06-30 | N-CSRS | Hj Heinz Co | HNZ | BE | Food-Misc/Diversified | 0 | Sold All | -13,700 | -100 % | - | - | - | -17.60 % | $123,574 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Hj Heinz Co |
| 2008-08-25 | 2008-06-30 | N-CSRS | Prudential Financial Inc | PRU | US | Life/Health Insurance | 5,200 | New Holding | 5,200 | 100 % | $363,584 | $247,884 | $-115,700 | -31.82 % | $-115,700 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Prudential Financial Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Safeway Inc | SWY | US | Food-Retail | 62,200 | Sold Some | -5,200 | -7.71 % | $1,581,124 | $1,406,964 | $-174,160 | -11.01 % | $14,560 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Safeway Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Exxon Mobil Corp | XOM | US | Oil Comp-Integrated | 53,800 | No Change | 0 | 0 % | $4,234,598 | $4,001,644 | $-232,954 | -5.50 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Exxon Mobil Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Raytheon Co | RTN | US | Aerospace/Defense | 29,890 | New Holding | 29,890 | 100 % | $1,788,319 | $1,512,135 | $-276,184 | -15.44 % | $-276,184 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Raytheon Co |
| 2008-08-25 | 2008-06-30 | N-CSRS | Dow Chemical Cothe | DOW | US | Chemicals-Diversified | 46,400 | Added More | 4,500 | 10.73 % | $1,559,968 | $1,295,952 | $-264,016 | -16.92 % | $-25,605 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Dow Chemical Cothe |
| 2008-08-25 | 2008-06-30 | N-CSRS | Hewlett-Packard Co | HPQ | US | Computers | 9,400 | No Change | 0 | 0 % | $440,014 | $470,376 | $30,362 | 6.90 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Hewlett-Packard Co |
| 2008-08-25 | 2008-06-30 | N-CSRS | Federal National Mortgage Association | FNM | US | Finance-Mtge Loan/Banker | 80,900 | New Holding | 80,900 | 100 % | $419,871 | $82,518 | $-337,353 | -80.34 % | $-337,353 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Federal National Mortgage Association |
| 2008-08-25 | 2008-06-30 | N-CSRS | Dun And Bradstreet Corp | DNB | US | Data Processing/Mgmt | 0 | Sold All | -3,200 | -100 % | - | - | - | -12.72 % | $37,280 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Dun And Bradstreet Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Cameron International Corp | CAM | US | Oil Field Mach And Equip | 0 | Sold All | -7,000 | -100 % | - | - | - | -20.42 % | $67,340 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Cameron International Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Citigroup Inc | C | US | Finance-Invest Bnkr/Brkr | 26,100 | Sold Some | -39,600 | -60.27 % | $459,621 | $109,620 | $-350,001 | -76.14 % | $531,036 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Citigroup Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Eli Lilly And Co | LLY | US | Medical-Drugs | 73,000 | Sold Some | -3,300 | -4.32 % | $3,468,960 | $2,671,070 | $-797,890 | -23.00 % | $36,069 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Eli Lilly And Co |
| 2008-08-25 | 2008-06-30 | N-CSRS | Lockheed Martin Corp | LMT | US | Aerospace/Defense | 32,700 | No Change | 0 | 0 % | $3,736,302 | $2,488,470 | $-1,247,832 | -33.39 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Lockheed Martin Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Marathon Oil Corp | MRO | US | Oil Comp-Integrated | 21,000 | No Change | 0 | 0 % | $931,140 | $693,420 | $-237,720 | -25.52 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Marathon Oil Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Johnson And Johnson | JNJ | US | Medical Products | 25,410 | New Holding | 25,410 | 100 % | $1,799,028 | $1,583,297 | $-215,731 | -11.99 % | $-215,731 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Johnson And Johnson |
| 2008-08-25 | 2008-06-30 | N-CSRS | Gannett Co Inc | GCI | US | Publishing-Newspapers | 22,400 | Sold Some | -13,800 | -38.12 % | $386,400 | $232,512 | $-153,888 | -39.82 % | $94,806 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Gannett Co Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Conocophillips | COP | US | Oil Comp-Integrated | 47,400 | No Change | 0 | 0 % | $3,878,268 | $2,468,592 | $-1,409,676 | -36.34 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Conocophillips |
| 2008-08-25 | 2008-06-30 | N-CSRS | Goldman Sachs Group Incthe | GS | US | Finance-Invest Bnkr/Brkr | 8,100 | Added More | 6,500 | 406.25 % | $1,261,251 | $1,377,081 | $115,830 | 9.18 % | $92,950 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Goldman Sachs Group Incthe |
| 2008-08-25 | 2008-06-30 | N-CSRS | Hartford Financial Services Group Inc | HIG | US | Multi-Line Insurance | 36,200 | Added More | 8,200 | 29.28 % | $2,173,448 | $905,000 | $-1,268,448 | -58.36 % | $-287,328 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Hartford Financial Services Group Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Time Warner Inc | TWX | US | Multimedia | 88,400 | Added More | 29,700 | 50.59 % | $1,385,228 | $2,796,976 | $1,411,748 | 101.91 % | $474,309 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Time Warner Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Verizon Communications Inc | VZ | US | Telephone-Integrated | 48,000 | Sold Some | -2,000 | -4.00 % | $1,654,080 | $1,460,640 | $-193,440 | -11.69 % | $8,060 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Verizon Communications Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Merck And Co Incnj | MRK | US | Medical-Drugs | 87,400 | Added More | 5,700 | 6.97 % | $3,059,000 | $3,186,604 | $127,604 | 4.17 % | $8,322 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Merck And Co Incnj |
| 2008-08-25 | 2008-06-30 | N-CSRS | Noble Energy Inc | NBL | US | Oil Comp-Explor And Prodtn | 17,900 | Sold Some | -3,600 | -16.74 % | $1,283,609 | $1,159,383 | $-124,226 | -9.67 % | $24,984 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Noble Energy Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Firstenergy Corp | FE | US | Electric-Integrated | 0 | Sold All | -3,900 | -100 % | - | - | - | -42.83 % | $122,616 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Firstenergy Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Philip Morris International Inc | PM | US | Tobacco | 25,000 | Sold Some | -1,300 | -4.94 % | $1,371,750 | $1,243,250 | $-128,500 | -9.36 % | $6,682 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Philip Morris International Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | International Business Machines Corp | IBM | US | Computers | 0 | Sold All | -11,200 | -100 % | - | - | - | 3.33 % | $-45,920 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of International Business Machines Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Omnicom Group Inc | OMC | US | Advertising Agencies | 11,000 | Sold Some | -1,000 | -8.33 % | $465,740 | $397,540 | $-68,200 | -14.64 % | $6,200 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Omnicom Group Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Loews Corp | L | US | Multi-Line Insurance | 0 | Sold All | -23,300 | -100 % | - | - | - | -14.14 % | $136,305 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Loews Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Lehman Brothers Holdings Inc | LEH | CH | Finance-Invest Bnkr/Brkr | 12,900 | No Change | 0 | 0 % | $173,505 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Lehman Brothers Holdings Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Metlife Inc | MET-A | US | Multi-Line Insurance | 9,100 | New Holding | 9,100 | 100 % | - | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Metlife Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Garmin Ltd | GRMN | KY | Electronic Compo-Misc | 2,300 | Sold Some | -13,000 | -84.96 % | $80,914 | $70,978 | $-9,936 | -12.27 % | $56,160 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Garmin Ltd |
| 2008-08-25 | 2008-06-30 | N-CSRS | Chubb Corp | CB | US | Property/Casualty Ins | 6,200 | New Holding | 6,200 | 100 % | $290,966 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Chubb Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Total Sa | TOT | FR | Oil Comp-Integrated | 44,000 | Sold Some | -1,000 | -2.22 % | $3,133,240 | $2,724,040 | $-409,200 | -13.05 % | $9,300 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Total Sa |
| 2008-08-25 | 2008-06-30 | N-CSRS | Chevron Corp | CVX | BE | Oil Comp-Integrated | 35,000 | No Change | 0 | 0 % | $2,992,850 | $2,686,950 | $-305,900 | -10.22 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Chevron Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Applied Materials Inc | AMAT | US | Semiconductor Equipment | 0 | Sold All | -21,300 | -100 % | - | - | - | -32.22 % | $124,392 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Applied Materials Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Euro Disney Sca | EUDSF.OB | FR | Resorts/Theme Parks | 30,500 | New Holding | 30,500 | 100 % | $370,575 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Euro Disney Sca |
| 2008-08-25 | 2008-06-30 | N-CSRS | Altria Group Inc | MO | US | Tobacco | 26,300 | No Change | 0 | 0 % | $547,040 | $499,174 | $-47,866 | -8.75 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Altria Group Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Aetna Inc | AET | US | Medical-Hmo | 39,300 | Added More | 7,300 | 22.81 % | $1,636,059 | $1,116,120 | $-519,939 | -31.77 % | $-96,579 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Aetna Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | At And T Inc | T | US | Telephone-Integrated | 72,500 | No Change | 0 | 0 % | $2,212,700 | $1,886,450 | $-326,250 | -14.74 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of At And T Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Bjs Wholesale Club Inc | BJ | US | Retail-Discount | 26,900 | New Holding | 26,900 | 100 % | $1,011,709 | $938,272 | $-73,437 | -7.25 % | $-73,437 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Bjs Wholesale Club Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Bank Of America Corp | BAC | US | Super-Regional Banks-Us | 36,600 | No Change | 0 | 0 % | $1,059,936 | $588,894 | $-471,042 | -44.44 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Bank Of America Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | American Express Co | AXP | US | Finance-Credit Card | 0 | Sold All | -3,000 | -100 % | - | - | - | 8.25 % | $-9,360 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of American Express Co |
| 2008-08-25 | 2008-06-30 | N-CSRS | American International Group Inc | AIG | US | Multi-Line Insurance | 18,700 | Sold Some | -57,300 | -75.39 % | $351,186 | $656,370 | $305,184 | 86.90 % | $-935,136 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of American International Group Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Jpmorgan Chase And Co | JPM | US | Finance-Invest Bnkr/Brkr | 74,400 | Sold Some | -23,200 | -23.77 % | $2,688,072 | $3,159,024 | $470,952 | 17.52 % | $-146,856 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Jpmorgan Chase And Co |
| 2008-08-25 | 2008-06-30 | N-CSRS | Integrated Device Technology Inc | IDTI | US | Semicon Compo-Intg Circu | 44,100 | No Change | 0 | 0 % | $487,305 | $263,277 | $-224,028 | -45.97 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Integrated Device Technology Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Intel Corp | INTC | US | Electronic Compo-Semicon | 15,000 | No Change | 0 | 0 % | $344,550 | $288,600 | $-55,950 | -16.23 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Intel Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Wellpoint Inc | WLP | US | Medical-Hmo | 41,800 | Sold Some | -12,200 | -22.59 % | $2,197,008 | $2,179,452 | $-17,556 | -0.79 % | $5,124 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Wellpoint Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Directv Group Incthe | DTV | US | Cable Tv | 39,100 | New Holding | 39,100 | 100 % | $1,087,371 | $1,233,214 | $145,843 | 13.41 % | $145,843 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Directv Group Incthe |
| 2008-08-25 | 2008-06-30 | N-CSRS | General Electric Co | GE | US | Diversified Manufact Op | 35,240 | Sold Some | -2,100 | -5.62 % | $997,997 | $549,392 | $-448,605 | -44.95 % | $26,733 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of General Electric Co |
| 2008-08-25 | 2008-06-30 | N-CSRS | Ace Ltd | ACE | BE | Multi-Line Insurance | 60,900 | Sold Some | -5,000 | -7.58 % | $3,100,419 | $3,028,557 | $-71,862 | -2.31 % | $5,900 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Ace Ltd |
| 2008-08-25 | 2008-06-30 | N-CSRS | Wyeth | WYE | US | Medical-Drugs | 22,500 | Sold Some | -1,000 | -4.25 % | $950,625 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Wyeth |
| 2008-08-25 | 2008-06-30 | N-CSRS | Schering-Plough Corp | SGP | US | Medical-Drugs | 107,300 | Sold Some | -27,700 | -20.51 % | $2,081,620 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Schering-Plough Corp |
| 2008-08-25 | 2008-06-30 | N-CSRS | Pfizer Inc | PFE | US | Medical-Drugs | 0 | Sold All | -52,800 | -100 % | - | - | - | -5.89 % | $60,720 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Pfizer Inc |
| 2008-08-25 | 2008-06-30 | N-CSRS | Procter And Gamble Co | PG | CH | Cosmetics And Toiletries | 26,000 | No Change | 0 | 0 % | $1,823,380 | $1,606,800 | $-216,580 | -11.87 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Procter And Gamble Co |
| 2008-05-30 | 2008-03-31 | N-Q | Marathon Oil Corp | MRO | US | Oil Comp-Integrated | 21,000 | Added More | 10,700 | 103.88 % | $1,079,190 | $693,420 | $-385,770 | -35.74 % | $-196,559 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Marathon Oil Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Procter And Gamble Co | PG | CH | Cosmetics And Toiletries | 26,000 | Sold Some | -14,100 | -35.16 % | $1,717,300 | $1,606,800 | $-110,500 | -6.43 % | $59,925 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Procter And Gamble Co |
| 2008-05-30 | 2008-03-31 | N-Q | Unitedhealth Group Inc | UNH | US | Medical-Hmo | 59,800 | Sold Some | -5,400 | -8.28 % | $2,045,758 | $1,707,888 | $-337,870 | -16.51 % | $30,510 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Unitedhealth Group Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Gannett Co Inc | GCI | US | Publishing-Newspapers | 36,200 | New Holding | 36,200 | 100 % | $1,042,922 | $375,756 | $-667,166 | -63.97 % | $-667,166 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Gannett Co Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Walgreen Co | WAG | US | Retail-Drug Store | 0 | Sold All | -31,700 | -100 % | - | - | - | 8.18 % | $-93,515 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Walgreen Co |
| 2008-05-30 | 2008-03-31 | N-Q | Conocophillips | COP | US | Oil Comp-Integrated | 47,400 | Added More | 38,300 | 420.87 % | $4,412,940 | $2,468,592 | $-1,944,348 | -44.06 % | $-1,571,066 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Conocophillips |
| 2008-05-30 | 2008-03-31 | N-Q | Altria Group Inc | MO | US | Tobacco | 26,300 | Sold Some | -30,300 | -53.53 % | $585,438 | $499,174 | $-86,264 | -14.73 % | $99,384 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Altria Group Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Goldman Sachs Group Incthe | GS | US | Finance-Invest Bnkr/Brkr | 1,600 | Sold Some | -3,900 | -70.90 % | $282,256 | $272,016 | $-10,240 | -3.62 % | $24,960 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Goldman Sachs Group Incthe |
| 2008-05-30 | 2008-03-31 | N-Q | Wellpoint Inc | WLP | US | Medical-Hmo | 54,000 | Added More | 1,100 | 2.07 % | $3,014,280 | $2,815,560 | $-198,720 | -6.59 % | $-4,048 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Wellpoint Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Merrill Lynch And Co Inc | MER | US | Finance-Invest Bnkr/Brkr | 0 | Sold All | -38,600 | -100 % | - | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Merrill Lynch And Co Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Cisco Systems Inc | CSCO | US | Networking Products | 53,300 | Added More | 30,300 | 131.73 % | $1,424,176 | $1,250,418 | $-173,758 | -12.20 % | $-98,778 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Cisco Systems Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Hartford Financial Services Group Inc | HIG | US | Multi-Line Insurance | 28,000 | New Holding | 28,000 | 100 % | $1,989,960 | $700,000 | $-1,289,960 | -64.82 % | $-1,289,960 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Hartford Financial Services Group Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Axis Capital Holdings Ltd | AXS | BM | Reinsurance | 78,400 | Added More | 25,700 | 48.76 % | $2,747,920 | $2,274,384 | $-473,536 | -17.23 % | $-155,228 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Axis Capital Holdings Ltd |
| 2008-05-30 | 2008-03-31 | N-Q | Aetna Inc | AET | US | Medical-Hmo | 32,000 | Added More | 9,900 | 44.79 % | $1,509,120 | $908,800 | $-600,320 | -39.77 % | $-185,724 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Aetna Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Sun Microsystems Inc | JAVA | US | Computers | 166,325 | Sold Some | -398,975 | -70.57 % | $2,153,909 | $1,432,058 | $-721,851 | -33.51 % | $1,731,552 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Sun Microsystems Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Time Warner Inc | TWX | US | Multimedia | 58,700 | Sold Some | -63,900 | -52.12 % | $932,156 | $1,857,268 | $925,112 | 99.24 % | $-1,007,064 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Time Warner Inc |
| 2008-05-30 | 2008-03-31 | N-Q | United Technologies Corp | UTX | US | Aerospace/Defense-Equip | 45,100 | Added More | 18,100 | 67.03 % | $3,203,904 | $3,065,447 | $-138,457 | -4.32 % | $-55,567 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of United Technologies Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Schering-Plough Corp | SGP | US | Medical-Drugs | 135,000 | Added More | 113,600 | 530.84 % | $2,754,000 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Schering-Plough Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Forest Laboratories Inc | FRX | US | Medical-Drugs | 0 | Sold All | -18,800 | -100 % | - | - | - | -17.65 % | $119,192 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Forest Laboratories Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Eastman Chemical Co | EMN | US | Chemicals-Specialty | 5,400 | New Holding | 5,400 | 100 % | $413,694 | $317,304 | $-96,390 | -23.29 % | $-96,390 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Eastman Chemical Co |
| 2008-05-30 | 2008-03-31 | N-Q | Verizon Communications Inc | VZ | US | Telephone-Integrated | 50,000 | Added More | 20,300 | 68.35 % | $1,923,500 | $1,521,500 | $-402,000 | -20.89 % | $-163,212 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Verizon Communications Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Danaher Corp | DHR | US | Diversified Manufact Op | 0 | Sold All | -9,400 | -100 % | - | - | - | -8.31 % | $61,100 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Danaher Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Willis Group Holdings Ltd | WSH | BM | Insurance Brokers | 3,900 | New Holding | 3,900 | 100 % | $139,737 | $107,991 | $-31,746 | -22.71 % | $-31,746 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Willis Group Holdings Ltd |
| 2008-05-30 | 2008-03-31 | N-Q | At And T Inc | T | US | Telephone-Integrated | 72,500 | Added More | 16,000 | 28.31 % | $2,892,750 | $1,886,450 | $-1,006,300 | -34.78 % | $-222,080 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of At And T Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Honeywell International Inc | HON | US | Diversified Manufact Op | 35,000 | New Holding | 35,000 | 100 % | $2,086,700 | $1,331,400 | $-755,300 | -36.19 % | $-755,300 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Honeywell International Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Pepsico Incnc | PEP | US | Beverages-Non-Alcoholic | 0 | Sold All | -16,200 | -100 % | - | - | - | -9.10 % | $100,764 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Pepsico Incnc |
| 2008-05-30 | 2008-03-31 | N-Q | Baker Hughes Inc | BHI | US | Oil-Field Services | 11,310 | Added More | 3,500 | 44.81 % | $1,002,292 | $457,942 | $-544,350 | -54.31 % | $-168,455 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Baker Hughes Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Merck And Co Incnj | MRK | US | Medical-Drugs | 81,700 | Added More | 52,600 | 180.75 % | $3,183,032 | $2,978,782 | $-204,250 | -6.41 % | $-131,500 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Merck And Co Incnj |
| 2008-05-30 | 2008-03-31 | N-Q | Tyco Electronics Ltd | TEL | BM | Electronic Compo-Misc | 30,000 | New Holding | 30,000 | 100 % | $1,203,600 | $715,200 | $-488,400 | -40.57 % | $-488,400 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Tyco Electronics Ltd |
| 2008-05-30 | 2008-03-31 | N-Q | Nabors Industries Ltd | NBR | BM | Oil And Gas Drilling | 0 | Sold All | -39,100 | -100 % | - | - | - | -52.83 % | $868,411 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Nabors Industries Ltd |
| 2008-05-30 | 2008-03-31 | N-Q | Franklin Resources Inc | BEN | US | Invest Mgmnt/Advis Serv | 11,700 | No Change | 0 | 0 % | $1,184,274 | $1,302,912 | $118,638 | 10.01 % | $0 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Franklin Resources Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Noble Energy Inc | NBL | US | Oil Comp-Explor And Prodtn | 21,500 | Added More | 5,600 | 35.22 % | $2,095,175 | $1,392,555 | $-702,620 | -33.53 % | $-183,008 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Noble Energy Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Emerson Electric Co | EMR | US | Electric Products-Misc | 53,300 | Sold Some | -24,100 | -31.13 % | $3,100,994 | $2,221,544 | $-879,450 | -28.36 % | $397,650 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Emerson Electric Co |
| 2008-05-30 | 2008-03-31 | N-Q | Wachovia Corp | WB | US | Super-Regional Banks-Us | 0 | Sold All | -7,000 | -100 % | - | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Wachovia Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Janus Capital Group Inc | JNS | US | Invest Mgmnt/Advis Serv | 0 | Sold All | -12,300 | -100 % | - | - | - | -54.44 % | $194,217 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Janus Capital Group Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Kohls Corp | KSS | US | Retail-Regnl Dept Store | 0 | Sold All | -28,400 | -100 % | - | - | - | 20.44 % | $-260,144 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Kohls Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Bank Of New York Mellon Corpthe | BK | US | Unknown | 18,120 | Added More | 1,800 | 11.02 % | $806,884 | $474,563 | $-332,321 | -41.18 % | $-33,012 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Bank Of New York Mellon Corpthe |
| 2008-05-30 | 2008-03-31 | N-Q | Firstenergy Corp | FE | US | Electric-Integrated | 3,900 | New Holding | 3,900 | 100 % | $306,969 | $163,605 | $-143,364 | -46.70 % | $-143,364 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Firstenergy Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Becton Dickinson And Co | BDX | US | Medical Products | 0 | Sold All | -20,600 | -100 % | - | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Becton Dickinson And Co |
| 2008-05-30 | 2008-03-31 | N-Q | Bank Of America Corp | BAC | US | Super-Regional Banks-Us | 36,600 | Sold Some | -28,900 | -44.12 % | $1,244,766 | $588,894 | $-655,872 | -52.69 % | $517,888 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Bank Of America Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Centurytel Inc | CTL | US | Telephone-Integrated | 17,400 | New Holding | 17,400 | 100 % | $616,134 | $619,614 | $3,480 | 0.56 % | $3,480 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Centurytel Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Philip Morris International Inc | PM | US | Tobacco | 26,300 | New Holding | 26,300 | 100 % | $1,384,958 | $1,307,899 | $-77,059 | -5.56 % | $-77,059 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Philip Morris International Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Ametek Inc | AME | US | Electric Products-Misc | 20,000 | New Holding | 20,000 | 100 % | $1,026,000 | $733,800 | $-292,200 | -28.47 % | $-292,200 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Ametek Inc |
| 2008-05-30 | 2008-03-31 | N-Q | General Electric Co | GE | US | Diversified Manufact Op | 37,340 | Sold Some | -2,700 | -6.74 % | $1,147,085 | $582,131 | $-564,954 | -49.25 % | $40,851 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of General Electric Co |
| 2008-05-30 | 2008-03-31 | N-Q | Air Products And Chemicals Inc | APD | US | Industrial Gases | 0 | Sold All | -19,200 | -100 % | - | - | - | -19.21 % | $375,936 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Air Products And Chemicals Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Adobe Systems Inc | ADBE | US | Electronic Forms | 13,200 | New Holding | 13,200 | 100 % | $581,592 | $472,692 | $-108,900 | -18.72 % | $-108,900 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Adobe Systems Inc |
| 2008-05-30 | 2008-03-31 | N-Q | International Business Machines Corp | IBM | US | Computers | 11,200 | Sold Some | -10,300 | -47.90 % | $1,449,616 | $1,421,952 | $-27,664 | -1.90 % | $25,441 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of International Business Machines Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Fiserv Inc | FISV | US | Data Processing/Mgmt | 0 | Sold All | -15,000 | -100 % | - | - | - | -9.75 % | $76,650 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Fiserv Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Nvidia Corp | NVDA | US | Electronic Compo-Semicon | 65,000 | New Holding | 65,000 | 100 % | $1,605,500 | $838,500 | $-767,000 | -47.77 % | $-767,000 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Nvidia Corp |
| 2008-05-30 | 2008-03-31 | N-Q | American Express Co | AXP | US | Finance-Credit Card | 3,000 | New Holding | 3,000 | 100 % | $139,050 | $122,790 | $-16,260 | -11.69 % | $-16,260 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of American Express Co |
| 2008-05-30 | 2008-03-31 | N-Q | Microsoft Corp | MSFT | US | Applications Software | 78,200 | Sold Some | -8,500 | -9.80 % | $2,214,624 | $2,316,284 | $101,660 | 4.59 % | $-11,050 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Microsoft Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Omnicom Group Inc | OMC | US | Advertising Agencies | 12,000 | New Holding | 12,000 | 100 % | $588,120 | $433,680 | $-154,440 | -26.25 % | $-154,440 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Omnicom Group Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Wells Fargo And Co | WFC | US | Unknown | 29,500 | Sold Some | -24,000 | -44.85 % | $813,315 | $822,165 | $8,850 | 1.08 % | $-7,200 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Wells Fargo And Co |
| 2008-05-30 | 2008-03-31 | N-Q | Pfizer Inc | PFE | US | Medical-Drugs | 52,800 | New Holding | 52,800 | 100 % | $1,022,208 | $969,408 | $-52,800 | -5.16 % | $-52,800 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Pfizer Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Hj Heinz Co | HNZ | BE | Food-Misc/Diversified | 13,700 | Sold Some | -14,000 | -50.54 % | $683,767 | $578,551 | $-105,216 | -15.38 % | $107,520 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Hj Heinz Co |
| 2008-05-30 | 2008-03-31 | N-Q | Loews Corp | L | US | Multi-Line Insurance | 23,300 | Added More | 2,500 | 12.01 % | $1,154,981 | $827,150 | $-327,831 | -28.38 % | $-35,175 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Loews Corp |
| 2008-05-30 | 2008-03-31 | N-Q | American International Group Inc | AIG | US | Multi-Line Insurance | 76,000 | Sold Some | -7,500 | -8.98 % | $2,736,000 | $2,667,600 | $-68,400 | -2.50 % | $6,750 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of American International Group Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Safeway Inc | SWY | US | Food-Retail | 67,400 | New Holding | 67,400 | 100 % | $2,148,038 | $1,524,588 | $-623,450 | -29.02 % | $-623,450 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Safeway Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Lehman Brothers Holdings Inc | LEH | CH | Finance-Invest Bnkr/Brkr | 12,900 | Sold Some | -8,900 | -40.82 % | $474,849 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Lehman Brothers Holdings Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Exxon Mobil Corp | XOM | US | Oil Comp-Integrated | 53,800 | Added More | 1,500 | 2.86 % | $4,775,288 | $4,001,644 | $-773,644 | -16.20 % | $-21,570 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Exxon Mobil Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Ace Ltd | ACE | BE | Multi-Line Insurance | 65,900 | Added More | 11,300 | 20.69 % | $3,958,613 | $3,277,207 | $-681,406 | -17.21 % | $-116,842 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Ace Ltd |
| 2008-05-30 | 2008-03-31 | N-Q | Jpmorgan Chase And Co | JPM | US | Finance-Invest Bnkr/Brkr | 97,600 | Sold Some | -20,000 | -17.00 % | $4,196,800 | $4,144,096 | $-52,704 | -1.25 % | $10,800 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Jpmorgan Chase And Co |
| 2008-05-30 | 2008-03-31 | N-Q | Dow Chemical Cothe | DOW | US | Chemicals-Diversified | 41,900 | Added More | 33,600 | 404.81 % | $1,692,760 | $1,170,267 | $-522,493 | -30.86 % | $-418,992 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Dow Chemical Cothe |
| 2008-05-30 | 2008-03-31 | N-Q | Garmin Ltd | GRMN | KY | Electronic Compo-Misc | 15,300 | New Holding | 15,300 | 100 % | $744,345 | $472,158 | $-272,187 | -36.56 % | $-272,187 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Garmin Ltd |
| 2008-05-30 | 2008-03-31 | N-Q | Northern Trust Corp | NTRS | US | Fiduciary Banks | 0 | Sold All | -29,300 | -100 % | - | - | - | -37.84 % | $842,668 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Northern Trust Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Hewlett-Packard Co | HPQ | US | Computers | 9,400 | Added More | 1,000 | 11.90 % | $442,364 | $470,376 | $28,012 | 6.33 % | $2,980 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Hewlett-Packard Co |
| 2008-05-30 | 2008-03-31 | N-Q | Qualcomm Inc | QCOM | US | Wireless Equipment | 0 | Sold All | -23,600 | -100 % | - | - | - | -7.08 % | $81,184 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Qualcomm Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Federal National Mortgage Association | FNM | US | Finance-Mtge Loan/Banker | 0 | Sold All | -43,000 | -100 % | - | - | - | -96.22 % | $1,118,000 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Federal National Mortgage Association |
| 2008-05-30 | 2008-03-31 | N-Q | Integrated Device Technology Inc | IDTI | US | Semicon Compo-Intg Circu | 44,100 | Sold Some | -3,200 | -6.76 % | $497,448 | $263,277 | $-234,171 | -47.07 % | $16,992 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Integrated Device Technology Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Dun And Bradstreet Corp | DNB | US | Data Processing/Mgmt | 3,200 | New Holding | 3,200 | 100 % | $293,184 | $255,584 | $-37,600 | -12.82 % | $-37,600 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Dun And Bradstreet Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Total Sa | TOT | FR | Oil Comp-Integrated | 45,000 | New Holding | 45,000 | 100 % | $3,926,700 | $2,785,950 | $-1,140,750 | -29.05 % | $-1,140,750 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Total Sa |
| 2008-05-30 | 2008-03-31 | N-Q | Cameron International Corp | CAM | US | Oil Field Mach And Equip | 7,000 | New Holding | 7,000 | 100 % | $372,610 | $262,360 | $-110,250 | -29.58 % | $-110,250 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Cameron International Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Wyeth | WYE | US | Medical-Drugs | 23,500 | Sold Some | -19,300 | -45.09 % | $1,045,045 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Wyeth |
| 2008-05-30 | 2008-03-31 | N-Q | Campbell Soup Co | CPB | US | Food-Misc/Diversified | 0 | Sold All | -25,300 | -100 % | - | - | - | 1.91 % | $-16,192 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Campbell Soup Co |
| 2008-05-30 | 2008-03-31 | N-Q | Citigroup Inc | C | US | Finance-Invest Bnkr/Brkr | 65,700 | Sold Some | -25,800 | -28.19 % | $1,438,173 | $275,940 | $-1,162,233 | -80.81 % | $456,402 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Citigroup Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Chevron Corp | CVX | BE | Oil Comp-Integrated | 35,000 | Added More | 3,000 | 9.37 % | $3,470,250 | $2,686,950 | $-783,300 | -22.57 % | $-67,140 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Chevron Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Laboratory Corp Of America Holdings | LH | US | Medical Labs And Testing Srv | 0 | Sold All | -29,000 | -100 % | - | - | - | -0.17 % | $3,770 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Laboratory Corp Of America Holdings |
| 2008-05-30 | 2008-03-31 | N-Q | Eli Lilly And Co | LLY | US | Medical-Drugs | 76,300 | Added More | 38,200 | 100.26 % | $3,673,082 | $2,791,817 | $-881,265 | -23.99 % | $-441,210 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Eli Lilly And Co |
| 2008-05-30 | 2008-03-31 | N-Q | Intel Corp | INTC | US | Electronic Compo-Semicon | 15,000 | Added More | 1,100 | 7.91 % | $347,700 | $288,600 | $-59,100 | -16.99 % | $-4,334 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Intel Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Lockheed Martin Corp | LMT | US | Aerospace/Defense | 32,700 | New Holding | 32,700 | 100 % | $3,578,688 | $2,488,470 | $-1,090,218 | -30.46 % | $-1,090,218 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Lockheed Martin Corp |
| 2008-05-30 | 2008-03-31 | N-Q | Applied Materials Inc | AMAT | US | Semiconductor Equipment | 21,300 | Sold Some | -31,600 | -59.73 % | $421,953 | $261,564 | $-160,389 | -38.01 % | $237,948 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Applied Materials Inc |
| 2008-05-30 | 2008-03-31 | N-Q | Lowes Cos Inc | LOW | US | Retail-Building Products | 0 | Sold All | -10,900 | -100 % | - | - | - | -11.04 % | $28,885 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Balanced Shares Portfolio Ownership Of Lowes Cos Inc |