| 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 |
|---|
| 2006-11-29 | 2006-09-30 | N-Q | Colgate-Palmolive Co | CL | US | Cosmetics And Toiletries | 0 | Sold All | -185,000 | -100 % | - | - | - | 28.90 % | $-3,483,550 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Colgate-Palmolive Co |
| 2006-11-29 | 2006-09-30 | N-Q | Frontier Communications Corp | FTR | US | Telephone-Integrated | 66,700 | New Holding | 66,700 | 100 % | - | $499,583 | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Frontier Communications Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Merrill Lynch And Co Inc | MER | US | Finance-Invest Bnkr/Brkr | 281,500 | Sold Some | -18,500 | -6.16 % | - | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Merrill Lynch And Co Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Cisco Systems Inc | CSCO | US | Networking Products | 1,869,000 | Added More | 1,420,000 | 316.25 % | $50,612,520 | $43,846,740 | $-6,765,780 | -13.36 % | $-5,140,400 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Cisco Systems Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Axis Capital Holdings Ltd | AXS | BM | Reinsurance | 1,355,700 | Sold Some | -84,000 | -5.83 % | $45,361,722 | $39,328,857 | $-6,032,865 | -13.29 % | $373,800 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Axis Capital Holdings Ltd |
| 2006-11-29 | 2006-09-30 | N-Q | Sun Microsystems Inc | JAVA | US | Computers | 11,459,600 | New Holding | 11,459,600 | 100 % | $61,423,456 | $98,667,156 | $37,243,700 | 60.63 % | $37,243,700 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Sun Microsystems Inc |
| 2006-11-29 | 2006-09-30 | N-Q | United Technologies Corp | UTX | US | Aerospace/Defense-Equip | 329,700 | Sold Some | -845,300 | -71.94 % | $21,344,778 | $22,409,709 | $1,064,931 | 4.98 % | $-2,730,319 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of United Technologies Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Westwood One Inc | WON | US | Radio | 423,400 | Sold Some | -326,600 | -43.54 % | $2,802,908 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Westwood One Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Forest Laboratories Inc | FRX | US | Medical-Drugs | 122,000 | Sold Some | -278,000 | -69.50 % | $5,990,200 | $3,607,540 | $-2,382,660 | -39.77 % | $5,429,340 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Forest Laboratories Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Home Depot Inc | HD | US | Retail-Building Products | 1,857,300 | Sold Some | -542,700 | -22.61 % | $69,871,626 | $50,481,414 | $-19,390,212 | -27.75 % | $5,665,788 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Home Depot Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Apache Corp | APA | US | Oil Comp-Explor And Prodtn | 0 | Sold All | -81,000 | -100 % | - | - | - | 39.24 % | $-2,202,390 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Apache Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Illinois Tool Works Inc | ITW | US | Diversified Manufact Op | 489,000 | Added More | 276,900 | 130.55 % | $23,027,010 | $24,210,390 | $1,183,380 | 5.13 % | $670,098 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Illinois Tool Works Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Honeywell International Inc | HON | US | Diversified Manufact Op | 511,000 | New Holding | 511,000 | 100 % | $21,829,920 | $19,438,440 | $-2,391,480 | -10.95 % | $-2,391,480 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Honeywell International Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Baker Hughes Inc | BHI | US | Oil-Field Services | 87,700 | Sold Some | -171,500 | -66.16 % | $6,475,768 | $3,550,973 | $-2,924,795 | -45.16 % | $5,719,525 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Baker Hughes Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Itt Corp | ITT | BE | Diversified Manufact Op | 269,900 | New Holding | 269,900 | 100 % | $14,593,493 | $13,721,716 | $-871,777 | -5.97 % | $-871,777 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Itt Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Emerson Electric Co | EMR | US | Electric Products-Misc | 799,000 | Added More | 239,000 | 42.67 % | $69,265,310 | $33,302,320 | $-35,962,990 | -51.92 % | $-10,757,390 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Emerson Electric Co |
| 2006-11-29 | 2006-09-30 | N-Q | Air Products And Chemicals Inc | APD | US | Industrial Gases | 661,600 | Sold Some | -363,400 | -35.45 % | $46,173,064 | $54,476,144 | $8,303,080 | 17.98 % | $-4,560,670 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Air Products And Chemicals Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Kla-Tencor Corp | KLAC | US | Semiconductor Equipment | 0 | Sold All | -365,200 | -100 % | - | - | - | -37.53 % | $6,997,232 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Kla-Tencor Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Fiserv Inc | FISV | US | Data Processing/Mgmt | 221,700 | Sold Some | -153,300 | -40.88 % | $11,421,984 | $10,475,325 | $-946,659 | -8.28 % | $654,591 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Fiserv Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Nvidia Corp | NVDA | US | Electronic Compo-Semicon | 639,200 | New Holding | 639,200 | 100 % | $23,330,800 | $8,245,680 | $-15,085,120 | -64.65 % | $-15,085,120 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Nvidia Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Oracle Corp | ORCL | US | Enterprise Software/Serv | 0 | Sold All | -1,475,000 | -100 % | - | - | - | 16.65 % | $-4,705,250 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Oracle Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Microsoft Corp | MSFT | US | Applications Software | 2,358,400 | Sold Some | -1,391,600 | -37.10 % | $69,737,888 | $69,855,808 | $117,920 | 0.16 % | $-69,580 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Microsoft Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Cvscaremark Corp | CVS | US | Retail-Drug Store | 158,400 | Added More | 153,700 | 3270.21 % | $4,519,152 | $5,011,776 | $492,624 | 10.90 % | $478,007 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Cvscaremark Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Cvscaremark Corp | CVS | US | Retail-Drug Store | 193,700 | Added More | 189,000 | 4021.27 % | $5,526,261 | $6,128,668 | $602,407 | 10.90 % | $587,790 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Cvscaremark Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Exxon Mobil Corp | XOM | US | Oil Comp-Integrated | 1,040,400 | Sold Some | -11,400 | -1.08 % | $79,101,612 | $77,384,952 | $-1,716,660 | -2.17 % | $18,810 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Exxon Mobil Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Reynolds American Inc | RAI | US | Tobacco | 0 | Sold All | -100,000 | -100 % | - | - | - | -21.65 % | $1,406,000 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Reynolds American Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Allstate Corpthe | ALL | US | Multi-Line Insurance | 416,900 | New Holding | 416,900 | 100 % | $26,377,263 | $12,140,128 | $-14,237,135 | -53.97 % | $-14,237,135 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Allstate Corpthe |
| 2006-11-29 | 2006-09-30 | N-Q | Northern Trust Corp | NTRS | US | Fiduciary Banks | 565,000 | Sold Some | -35,000 | -5.83 % | $32,205,000 | $26,690,600 | $-5,514,400 | -17.12 % | $341,600 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Northern Trust Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Federal National Mortgage Association | FNM | US | Finance-Mtge Loan/Banker | 677,200 | Sold Some | -1,122,800 | -62.37 % | $38,539,452 | $690,744 | $-37,848,708 | -98.20 % | $62,753,292 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Federal National Mortgage Association |
| 2006-11-29 | 2006-09-30 | N-Q | Citigroup Inc | C | US | Finance-Invest Bnkr/Brkr | 1,839,700 | Sold Some | -794,800 | -30.16 % | $91,727,442 | $7,726,740 | $-84,000,702 | -91.57 % | $36,290,568 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Citigroup Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Eli Lilly And Co | LLY | US | Medical-Drugs | 622,000 | Added More | 291,600 | 88.25 % | $33,612,880 | $22,758,980 | $-10,853,900 | -32.29 % | $-5,088,420 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Eli Lilly And Co |
| 2006-11-29 | 2006-09-30 | N-Q | Lowes Cos Inc | LOW | US | Retail-Building Products | 0 | Sold All | -34,400 | -100 % | - | - | - | -29.06 % | $301,000 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Lowes Cos Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Gap Incthe | GPS | US | Retail-Apparel/Shoe | 0 | Sold All | -366,200 | -100 % | - | - | - | 15.10 % | $-1,054,656 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Gap Incthe |
| 2006-11-29 | 2006-09-30 | N-Q | Conocophillips | COP | US | Oil Comp-Integrated | 106,600 | Sold Some | -381,300 | -78.15 % | $7,083,570 | $5,551,728 | $-1,531,842 | -21.62 % | $5,479,281 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Conocophillips |
| 2006-11-29 | 2006-09-30 | N-Q | Goldman Sachs Group Incthe | GS | US | Finance-Invest Bnkr/Brkr | 85,000 | Sold Some | -61,800 | -42.09 % | $16,678,700 | $14,450,850 | $-2,227,850 | -13.35 % | $1,619,778 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Goldman Sachs Group Incthe |
| 2006-11-29 | 2006-09-30 | N-Q | Hartford Financial Services Group Inc | HIG | US | Multi-Line Insurance | 225,400 | New Holding | 225,400 | 100 % | $19,287,478 | $5,635,000 | $-13,652,478 | -70.78 % | $-13,652,478 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Hartford Financial Services Group Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Time Warner Inc | TWX | US | Multimedia | 5,647,300 | Added More | 216,600 | 3.98 % | $114,809,609 | $178,680,572 | $63,870,963 | 55.63 % | $2,449,746 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Time Warner Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Verizon Communications Inc | VZ | US | Telephone-Integrated | 1,116,700 | Added More | 261,000 | 30.50 % | $38,961,663 | $33,981,181 | $-4,980,482 | -12.78 % | $-1,164,060 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Verizon Communications Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Mcdonalds Corp | MCD | US | Retail-Restaurants | 568,800 | Sold Some | -106,500 | -15.77 % | $23,804,280 | $36,386,136 | $12,581,856 | 52.85 % | $-2,355,780 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Mcdonalds Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Merck And Co Incnj | MRK | US | Medical-Drugs | 582,800 | Added More | 182,800 | 45.70 % | $25,969,568 | $21,248,888 | $-4,720,680 | -18.17 % | $-1,480,680 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Merck And Co Incnj |
| 2006-11-29 | 2006-09-30 | N-Q | Noble Energy Inc | NBL | US | Oil Comp-Explor And Prodtn | 776,700 | Sold Some | -80,000 | -9.33 % | $41,250,537 | $50,306,859 | $9,056,322 | 21.95 % | $-932,800 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Noble Energy Inc |
| 2006-11-29 | 2006-09-30 | N-Q | State Street Corp | STT | US | Fiduciary Banks | 0 | Sold All | -29,700 | -100 % | - | - | - | -34.85 % | $648,351 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of State Street Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Firstenergy Corp | FE | US | Electric-Integrated | 255,700 | Sold Some | -194,300 | -43.17 % | $15,257,619 | $10,726,615 | $-4,531,004 | -29.69 % | $3,442,996 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Firstenergy Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Globalsantafe Corp | FE6.BE | KY | Oil And Gas Drilling | 0 | Sold All | -24,000 | -100 % | - | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Globalsantafe Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Hilton Hotels Corp | HLN.BE | US | Hotels And Motels | 831,600 | Sold Some | -668,400 | -44.56 % | $26,469,828 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Hilton Hotels Corp |
| 2006-11-29 | 2006-09-30 | N-Q | International Business Machines Corp | IBM | US | Computers | 349,300 | Sold Some | -701,400 | -66.75 % | $31,967,936 | $44,347,128 | $12,379,192 | 38.72 % | $-24,857,616 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of International Business Machines Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Omnicom Group Inc | OMC | US | Advertising Agencies | 114,100 | New Holding | 114,100 | 100 % | $11,748,877 | $4,123,574 | $-7,625,303 | -64.90 % | $-7,625,303 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Omnicom Group Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Loews Corp | L | US | Multi-Line Insurance | 575,000 | Added More | 15,500 | 2.77 % | $23,172,500 | $20,412,500 | $-2,760,000 | -11.91 % | $-74,400 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Loews Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Loews Corp | L | US | Multi-Line Insurance | 625,800 | Added More | 66,300 | 11.84 % | $25,219,740 | $22,215,900 | $-3,003,840 | -11.91 % | $-318,240 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Loews Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Metlife Inc | MET-A | US | Multi-Line Insurance | 0 | Sold All | -159,700 | -100 % | - | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Metlife Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Chevron Corp | CVX | BE | Oil Comp-Integrated | 719,100 | Sold Some | -80,900 | -10.11 % | $51,092,055 | $55,205,307 | $4,113,252 | 8.05 % | $-462,748 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Chevron Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Applied Materials Inc | AMAT | US | Semiconductor Equipment | 1,706,900 | Added More | 568,000 | 49.87 % | $30,980,235 | $20,960,732 | $-10,019,503 | -32.34 % | $-3,334,160 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Applied Materials Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Check Point Software Technologies | CHKP | IL | Internet Security | 0 | Sold All | -200,000 | -100 % | - | - | - | 41.89 % | $-1,918,000 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Check Point Software Technologies |
| 2006-11-29 | 2006-09-30 | N-Q | Yahoo Inc | YHOO | US | Web Portals/Isp | 741,700 | New Holding | 741,700 | 100 % | $20,055,568 | $11,407,346 | $-8,648,222 | -43.12 % | $-8,648,222 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Yahoo Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Unitedhealth Group Inc | UNH | US | Medical-Hmo | 0 | Sold All | -73,100 | -100 % | - | - | - | -39.94 % | $1,388,900 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Unitedhealth Group Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Altria Group Inc | MO | US | Tobacco | 753,900 | Added More | 203,600 | 36.99 % | $63,576,387 | $14,309,022 | $-49,267,365 | -77.49 % | $-13,305,260 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Altria Group Inc |
| 2006-11-29 | 2006-09-30 | N-Q | At And T Inc | T | US | Telephone-Integrated | 2,112,100 | Added More | 1,412,100 | 201.72 % | $70,755,350 | $54,956,842 | $-15,798,508 | -22.32 % | $-10,562,508 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of At And T Inc |
| 2006-11-29 | 2006-09-30 | N-Q | At And T Inc | T | US | Telephone-Integrated | 2,112,100 | Added More | 134,600 | 6.80 % | $70,755,350 | $54,956,842 | $-15,798,508 | -22.32 % | $-1,006,808 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of At And T Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Advanced Micro Devices Inc | AMD | US | Electronic Compo-Semicon | 0 | Sold All | -143,600 | -100 % | - | - | - | -67.53 % | $2,076,456 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Advanced Micro Devices Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Bank Of America Corp | BAC | US | Super-Regional Banks-Us | 1,817,000 | Added More | 507,000 | 38.70 % | $98,154,340 | $29,235,530 | $-68,918,810 | -70.21 % | $-19,230,510 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Bank Of America Corp |
| 2006-11-29 | 2006-09-30 | N-Q | American Express Co | AXP | US | Finance-Credit Card | 38,900 | New Holding | 38,900 | 100 % | $2,286,153 | $1,592,177 | $-693,976 | -30.35 % | $-693,976 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of American Express Co |
| 2006-11-29 | 2006-09-30 | N-Q | American International Group Inc | AIG | US | Multi-Line Insurance | 1,500,000 | Sold Some | -150,000 | -9.09 % | $105,195,000 | $52,650,000 | $-52,545,000 | -49.95 % | $5,254,500 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of American International Group Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Jpmorgan Chase And Co | JPM | US | Finance-Invest Bnkr/Brkr | 2,108,000 | Sold Some | -642,000 | -23.34 % | $98,380,360 | $89,505,680 | $-8,874,680 | -9.02 % | $2,702,820 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Jpmorgan Chase And Co |
| 2006-11-29 | 2006-09-30 | N-Q | Fortune Brands Inc | FO | US | Consumer Products-Misc | 538,500 | Sold Some | -296,600 | -35.51 % | $43,483,875 | $20,748,405 | $-22,735,470 | -52.28 % | $12,522,452 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Fortune Brands Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Ei Du Pont De Nemours And Co | DD | US | Chemicals-Diversified | 100,000 | Sold Some | -20,100 | -16.73 % | $4,815,000 | $3,451,000 | $-1,364,000 | -28.32 % | $274,164 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Ei Du Pont De Nemours And Co |
| 2006-11-29 | 2006-09-30 | N-Q | Emc Corpmassachusetts | EMC | US | Computers-Memory Devices | 0 | Sold All | -3,064,500 | -100 % | - | - | - | 32.29 % | $-12,748,320 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Emc Corpmassachusetts |
| 2006-11-29 | 2006-09-30 | N-Q | Wellpoint Inc | WLP | US | Medical-Hmo | 1,071,400 | Added More | 79,300 | 7.99 % | $78,276,484 | $55,862,796 | $-22,413,688 | -28.63 % | $-1,658,956 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Wellpoint Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Nabors Industries Ltd | NBR | BM | Oil And Gas Drilling | 773,700 | Added More | 258,700 | 50.23 % | $26,197,482 | $15,342,471 | $-10,855,011 | -41.43 % | $-3,629,561 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Nabors Industries Ltd |
| 2006-11-29 | 2006-09-30 | N-Q | Boston Scientific Corp | BSX | US | Medical Instruments | 0 | Sold All | -418,400 | -100 % | - | - | - | -48.95 % | $3,246,784 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Boston Scientific Corp |
| 2006-11-29 | 2006-09-30 | N-Q | General Electric Co | GE | US | Diversified Manufact Op | 1,477,700 | Sold Some | -747,300 | -33.58 % | $52,236,695 | $23,037,343 | $-29,199,352 | -55.89 % | $14,766,648 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of General Electric Co |
| 2006-11-29 | 2006-09-30 | N-Q | Ace Ltd | ACE | BE | Multi-Line Insurance | 545,200 | Sold Some | -328,400 | -37.59 % | $31,310,836 | $27,112,796 | $-4,198,040 | -13.40 % | $2,528,680 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Ace Ltd |
| 2006-11-29 | 2006-09-30 | N-Q | Wyeth | WYE | US | Medical-Drugs | 835,800 | New Holding | 835,800 | 100 % | $40,193,622 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Wyeth |
| 2006-11-29 | 2006-09-30 | N-Q | Ambac Financial Group Inc | ABK | US | Financial Guarantee Ins | 0 | Sold All | -39,600 | -100 % | - | - | - | -98.95 % | $3,378,672 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Ambac Financial Group Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Bea Systems Inc | BEAS | US | Enterprise Software/Serv | 0 | Sold All | -845,500 | -100 % | - | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Bea Systems Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Union Pacific Corp | UNP.BE | US | Transport-Rail | 202,900 | Sold Some | -37,100 | -15.45 % | $17,997,230 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Union Pacific Corp |
| 2006-11-29 | 2006-09-30 | N-Q | Pfizer Inc | PFE | US | Medical-Drugs | 712,100 | Sold Some | -52,700 | -6.89 % | $19,276,547 | $13,074,156 | $-6,202,391 | -32.17 % | $459,017 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Pfizer Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Procter And Gamble Co | PG | CH | Cosmetics And Toiletries | 1,255,500 | New Holding | 1,255,500 | 100 % | $79,360,155 | $77,589,900 | $-1,770,255 | -2.23 % | $-1,770,255 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Procter And Gamble Co |
| 2006-11-29 | 2006-09-30 | N-Q | Qualcomm Inc | QCOM | US | Wireless Equipment | 870,200 | New Holding | 870,200 | 100 % | $31,892,830 | $39,246,020 | $7,353,190 | 23.05 % | $7,353,190 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Qualcomm Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Motorola Inc | MOT | US | Wireless Equipment | 1,238,600 | Added More | 488,600 | 65.14 % | $27,187,270 | $10,255,608 | $-16,931,662 | -62.27 % | $-6,679,162 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Motorola Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Juniper Networks Inc | JNPR | US | Networking Products | 0 | Sold All | -200,000 | -100 % | - | - | - | 20.63 % | $-862,000 | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Juniper Networks Inc |
| 2006-11-29 | 2006-09-30 | N-Q | Wachovia Corp | WB | US | Super-Regional Banks-Us | 368,500 | Sold Some | -81,500 | -18.11 % | $19,899,000 | - | - | - % | | | | | | | News Article | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth And Income Portfolio Ownership Of Wachovia Corp |
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