| 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 |
History |
|---|
| 2010-02-22 | 2009-12-31 | N-CSR | Humana Inc | HUM | US | Medical-Hmo | 0 | Sold All | -98,500 | -100 % | - | - | - | 0.20 % | $-9,850 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Humana Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Renaissancere Holdings Ltd | RNR | US | Reinsurance | 75,480 | Sold Some | -70,400 | -48.25 % | $4,137,814 | $4,226,880 | $89,066 | 2.15 % | $-83,072 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Renaissancere Holdings Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Roche Holding Ag | RHHBY.OB | CH | Medical-Drugs | 0 | Sold All | -8,724 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Roche Holding Ag |
| 2010-02-22 | 2009-12-31 | N-CSR | Softbank Corp | SFTBF.OB | JP | Telephone-Integrated | 0 | Sold All | -88,700 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Softbank Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Euro Disney Sca | EUDSF.OB | FR | Resorts/Theme Parks | 0 | Sold All | -84,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Euro Disney Sca |
| 2010-02-22 | 2009-12-31 | N-CSR | Loreal Sa | LRLCY.OB | US | Cosmetics And Toiletries | 0 | Sold All | -18,774 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Loreal Sa |
| 2010-02-22 | 2009-12-31 | N-CSR | Toshiba Corp | TOSBF.OB | JP | Electric Products-Misc | 0 | Sold All | -414,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Toshiba Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | United Overseas Bank Ltd | UOVEF.OB | US | Commer Banks Non-Us | 0 | Sold All | -205,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of United Overseas Bank Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Cisco Systems Inc | CSCO | US | Networking Products | 259,100 | Added More | 131,500 | 103.05 % | $6,296,130 | $6,705,508 | $409,378 | 6.50 % | $207,770 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cisco Systems Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Publicis Groupe | PGPEF.PK | US | Advertising Services | 0 | Sold All | -52,800 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Publicis Groupe |
| 2010-02-22 | 2009-12-31 | N-CSR | Sun Hung Kai Properties Ltd | SUHJF.PK | HK | Real Estate Oper/Develop | 0 | Sold All | -158,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Sun Hung Kai Properties Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Saipem Spa | SAPMF.PK | US | Oil-Field Services | 0 | Sold All | -68,969 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Saipem Spa |
| 2010-02-22 | 2009-12-31 | N-CSR | Axis Capital Holdings Ltd | AXS | BM | Reinsurance | 822,260 | Sold Some | -367,020 | -30.86 % | $25,753,183 | $26,172,536 | $419,353 | 1.62 % | $-187,180 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Axis Capital Holdings Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | China Resources Power Holdings Co | CRPJF.PK | HK | Electric-Generation | 0 | Sold All | -1,239,200 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of China Resources Power Holdings Co |
| 2010-02-22 | 2009-12-31 | N-CSR | Morgan Stanley | MS | US | Finance-Invest Bnkr/Brkr | 205,700 | Sold Some | -3,600 | -1.72 % | $5,699,947 | $6,152,487 | $452,540 | 7.93 % | $-7,920 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Morgan Stanley |
| 2010-02-22 | 2009-12-31 | N-CSR | Thermo Fisher Scientific Inc | TMO | US | Instruments-Scientific | 202,900 | Sold Some | -216,300 | -51.59 % | $9,759,490 | $10,177,464 | $417,974 | 4.28 % | $-445,578 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Thermo Fisher Scientific Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Salesforcecom Inc | CRM | US | Applications Software | 0 | Sold All | -34,800 | -100 % | - | - | - | 9.66 % | $-232,116 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Salesforcecom Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Heckmann Corp | HEK | US | Specified Purpose Acquis | 0 | Sold All | -435,900 | -100 % | - | - | - | -5.67 % | $156,924 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Heckmann Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Kerry Properties Ltd | KRYPF.PK | BM | Real Estate Oper/Develop | 0 | Sold All | -397,500 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Kerry Properties Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Ngk Insulators Ltd | NGKIF.PK | JP | Electronic Compo-Misc | 0 | Sold All | -79,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Ngk Insulators Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Impala Platinum Holdings Ltd | IMPUF.PK | US | Platinum | 0 | Sold All | -129,436 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Impala Platinum Holdings Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Illumina Inc | ILMN | US | Medical-Biomedical/Gene | 0 | Sold All | -77,800 | -100 % | - | - | - | 11.38 % | $-322,092 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Illumina Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Genomic Health Inc | GHDX | US | Medical-Biomedical/Gene | 0 | Sold All | -95,700 | -100 % | - | - | - | 15.04 % | $-245,949 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Genomic Health Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | United Technologies Corp | UTX | US | Aerospace/Defense-Equip | 137,900 | Sold Some | -7,400 | -5.09 % | $9,432,360 | $9,863,987 | $431,627 | 4.57 % | $-23,162 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of United Technologies Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Shaw Group Incthe | SGR | US | Engineering/R And D Services | 0 | Sold All | -100,500 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Shaw Group Incthe |
| 2010-02-22 | 2009-12-31 | N-CSR | Alnylam Pharmaceuticals Inc | ALNY | US | Therapeutics | 0 | Sold All | -39,500 | -100 % | - | - | - | 7.46 % | $-50,165 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Alnylam Pharmaceuticals Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Forest Laboratories Inc | FRX | US | Medical-Drugs | 288,320 | Added More | 33,600 | 13.19 % | $8,476,608 | $9,012,883 | $536,275 | 6.32 % | $62,496 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Forest Laboratories Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Cf Industries Holdings Inc | CF | US | Agricultural Chemicals | 77,500 | Sold Some | -21,000 | -21.31 % | $8,032,875 | $7,496,575 | $-536,300 | -6.67 % | $145,320 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cf Industries Holdings Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Public Service Enterprise Group Inc | PEG | US | Electric-Integrated | 121,000 | Sold Some | -161,600 | -57.18 % | $3,698,970 | $3,698,970 | $0 | 0.00 % | $0 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Public Service Enterprise Group Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Petroleo Brasileiro Sa | PBR | US | Oil Comp-Integrated | 0 | Sold All | -66,700 | -100 % | - | - | - | 10.64 % | $-302,151 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Petroleo Brasileiro Sa |
| 2010-02-22 | 2009-12-31 | N-CSR | Bp Plc | BP | DE | Oil Comp-Integrated | 370,400 | Added More | 187,300 | 102.29 % | $20,094,200 | $21,060,944 | $966,744 | 4.81 % | $488,853 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Bp Plc |
| 2010-02-22 | 2009-12-31 | N-CSR | Qiagen Nv | QGEN | DE | Medical-Biomedical/Gene | 0 | Sold All | -145,200 | -100 % | - | - | - | 4.04 % | $-127,776 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Qiagen Nv |
| 2010-02-22 | 2009-12-31 | N-CSR | Canadian National Railway Co | CNI | CA | Transport-Rail | 0 | Sold All | -47,400 | -100 % | - | - | - | 7.20 % | $-182,016 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Canadian National Railway Co |
| 2010-02-22 | 2009-12-31 | N-CSR | Home Depot Inc | HD | US | Retail-Building Products | 0 | Sold All | -142,200 | -100 % | - | - | - | 7.02 % | $-302,886 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Home Depot Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Quest Diagnostics Incde | DGX | US | Medical Labs And Testing Srv | 138,300 | Sold Some | -4,600 | -3.21 % | $7,934,271 | $7,740,651 | $-193,620 | -2.44 % | $6,440 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Quest Diagnostics Incde |
| 2010-02-22 | 2009-12-31 | N-CSR | Goodrich Corp | GR | US | Aerospace/Defense-Equip | 125,300 | Sold Some | -159,400 | -55.98 % | $8,144,500 | $9,021,600 | $877,100 | 10.76 % | $-1,115,800 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Goodrich Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Itt Corp | ITT | BE | Diversified Manufact Op | 110,600 | Added More | 30,000 | 37.22 % | $5,691,476 | $5,862,906 | $171,430 | 3.01 % | $46,500 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Itt Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Emerson Electric Co | EMR | US | Electric Products-Misc | 215,800 | New Holding | 215,800 | 100 % | $10,403,718 | $10,377,822 | $-25,896 | -0.24 % | $-25,896 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Emerson Electric Co |
| 2010-02-22 | 2009-12-31 | N-CSR | Rio Tinto Ltd | RTNTF.PK | GB | Metal-Diversified | 0 | Sold All | -79,388 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Rio Tinto Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Yuanta Financial Holding Co Ltd | 2885.TW | TW | Unknown | 0 | Sold All | -3,986,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Yuanta Financial Holding Co Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Kohls Corp | KSS | US | Retail-Regnl Dept Store | 112,400 | New Holding | 112,400 | 100 % | $5,747,012 | $6,032,508 | $285,496 | 4.96 % | $285,496 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Kohls Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Toyota Motor Corp | TM | JP | Auto-Cars/Light Trucks | 0 | Sold All | -37,600 | -100 % | - | - | - | 5.56 % | $-152,656 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Toyota Motor Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Bank Of New York Mellon Corpthe | BK | US | Unknown | 0 | Sold All | -210,100 | -100 % | - | - | - | 3.05 % | $-184,888 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Bank Of New York Mellon Corpthe |
| 2010-02-22 | 2009-12-31 | N-CSR | Yum Brands Inc | YUM | US | Retail-Restaurants | 0 | Sold All | -58,200 | -100 % | - | - | - | 11.25 % | $-220,578 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Yum Brands Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Centurytel Inc | CTL | US | Telephone-Integrated | 108,620 | Sold Some | -196,900 | -64.44 % | $3,814,734 | $3,760,424 | $-54,310 | -1.42 % | $98,450 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Centurytel Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Advance Auto Parts Inc | AAP | US | Retail-Auto Parts | 92,180 | Sold Some | -351,700 | -79.23 % | $3,709,323 | $3,888,152 | $178,829 | 4.82 % | $-682,298 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Advance Auto Parts Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Barrick Gold Corp | ABX | CA | Gold Mining | 0 | Sold All | -49,300 | -100 % | - | - | - | 1.79 % | $-34,017 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Barrick Gold Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Endo Pharmaceuticals Holdings Inc | ENDP | US | Medical-Drugs | 181,675 | No Change | 0 | 0 % | $3,889,662 | $4,327,499 | $437,837 | 11.25 % | $0 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Endo Pharmaceuticals Holdings Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Intercontinentalexchange Inc | ICE | BE | Finance-Other Services | 66,800 | Sold Some | -8,300 | -11.05 % | $6,864,368 | $7,363,364 | $498,996 | 7.26 % | $-62,001 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Intercontinentalexchange Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Sterlite Industries India Ltd | SLT | US | Metal Processors And Fabrica | 0 | Sold All | -99,300 | -100 % | - | - | - | 12.05 % | $-193,635 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Sterlite Industries India Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Dell Inc | DELL | US | Computers | 1,151,600 | New Holding | 1,151,600 | 100 % | $15,385,376 | $16,421,816 | $1,036,440 | 6.73 % | $1,036,440 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Dell Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Ebay Inc | EBAY | US | E-Commerce/Services | 175,900 | Sold Some | -238,400 | -57.54 % | $4,094,952 | $4,568,123 | $473,171 | 11.55 % | $-641,296 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Ebay Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Sei Investments Co | SEIC | US | Data Processing/Mgmt | 345,700 | New Holding | 345,700 | 100 % | $6,063,578 | $6,952,027 | $888,449 | 14.65 % | $888,449 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Sei Investments Co |
| 2010-02-22 | 2009-12-31 | N-CSR | Oracle Corp | ORCL | US | Enterprise Software/Serv | 331,800 | New Holding | 331,800 | 100 % | $8,231,958 | $8,311,590 | $79,632 | 0.96 % | $79,632 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Oracle Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Paccar Inc | PCAR | US | Auto-Med And Heavy Duty Trks | 0 | Sold All | -60,500 | -100 % | - | - | - | 16.94 % | $-362,395 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Paccar Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Wells Fargo And Co | WFC | US | Unknown | 129,500 | New Holding | 129,500 | 100 % | $3,627,295 | $3,837,085 | $209,790 | 5.78 % | $209,790 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Wells Fargo And Co |
| 2010-02-22 | 2009-12-31 | N-CSR | Abb Ltd | ABB | DE | Engineering/R And D Services | 0 | Sold All | -96,200 | -100 % | - | - | - | 5.48 % | $-105,820 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Abb Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Symantec Corp | SYMC | US | Internet Security | 406,900 | Sold Some | -64,000 | -13.59 % | $6,868,472 | $7,108,543 | $240,071 | 3.49 % | $-37,760 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Symantec Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Td Ameritrade Holding Corp | AMTD | US | Finance-Invest Bnkr/Brkr | 0 | Sold All | -472,260 | -100 % | - | - | - | 7.10 % | $-590,325 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Td Ameritrade Holding Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Safeway Inc | SWY | US | Food-Retail | 0 | Sold All | -261,270 | -100 % | - | - | - | 4.37 % | $-271,721 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Safeway Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Wal-Mart Stores Inc | WMT | US | Retail-Discount | 0 | Sold All | -151,900 | -100 % | - | - | - | 0.13 % | $-10,633 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Wal-Mart Stores Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Exxon Mobil Corp | XOM | US | Oil Comp-Integrated | 749,600 | Added More | 106,900 | 16.63 % | $49,023,840 | $50,073,280 | $1,049,440 | 2.14 % | $149,660 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Exxon Mobil Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | L-3 Communications Holdings Inc | LLL | US | Electronics-Military | 72,160 | Sold Some | -167,400 | -69.87 % | $6,589,651 | $6,661,811 | $72,160 | 1.09 % | $-167,400 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of L-3 Communications Holdings Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Raytheon Co | RTN | US | Aerospace/Defense | 548,410 | Sold Some | -160,800 | -22.67 % | $30,628,699 | $31,083,879 | $455,180 | 1.48 % | $-133,464 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Raytheon Co |
| 2010-02-22 | 2009-12-31 | N-CSR | Red Hat Inc | RHT | US | Applications Software | 0 | Sold All | -68,200 | -100 % | - | - | - | 6.03 % | $-119,350 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Red Hat Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Denbury Resources Inc | DNR | US | Oil Comp-Explor And Prodtn | 0 | Sold All | -191,200 | -100 % | - | - | - | 12.08 % | $-330,776 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Denbury Resources Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Gilead Sciences Inc | GILD | US | Therapeutics | 0 | Sold All | -37,500 | -100 % | - | - | - | -0.96 % | $17,250 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Gilead Sciences Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Broadridge Financial Solutions Inc | BR | US | Data Processing/Mgmt | 170,500 | New Holding | 170,500 | 100 % | $3,682,800 | $3,785,100 | $102,300 | 2.77 % | $102,300 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Broadridge Financial Solutions Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Fluor Corp | FLR | US | Engineering/R And D Services | 71,080 | No Change | 0 | 0 % | $3,298,112 | $3,268,969 | $-29,143 | -0.88 % | $0 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Fluor Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Flowserve Corp | FLS | US | Machinery-Pumps | 0 | Sold All | -60,100 | -100 % | - | - | - | 6.08 % | $-362,403 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Flowserve Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Cameron International Corp | CAM | US | Oil Field Mach And Equip | 194,155 | Sold Some | -46,500 | -19.32 % | $8,154,510 | $8,669,021 | $514,511 | 6.30 % | $-123,225 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cameron International Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Cardinal Health Inc | CAH | US | Medical-Whsle Drug Dist | 284,100 | New Holding | 284,100 | 100 % | $9,565,647 | $9,917,931 | $352,284 | 3.68 % | $352,284 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cardinal Health Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Conagra Foods Inc | CAG | US | Food-Misc/Diversified | 177,755 | Sold Some | -218,000 | -55.08 % | $4,372,773 | $4,509,644 | $136,871 | 3.13 % | $-167,860 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Conagra Foods Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Conocophillips | COP | US | Oil Comp-Integrated | 0 | Sold All | -89,620 | -100 % | - | - | - | 6.11 % | $-267,068 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Conocophillips |
| 2010-02-22 | 2009-12-31 | N-CSR | Goldman Sachs Group Incthe | GS | US | Finance-Invest Bnkr/Brkr | 50,700 | Sold Some | -18,900 | -27.15 % | $7,945,197 | $8,870,472 | $925,275 | 11.64 % | $-344,925 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Goldman Sachs Group Incthe |
| 2010-02-22 | 2009-12-31 | N-CSR | Transatlantic Holdings Inc | TRH | US | Reinsurance | 119,800 | New Holding | 119,800 | 100 % | $6,049,900 | $6,312,262 | $262,362 | 4.33 % | $262,362 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Transatlantic Holdings Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Wesco International Inc | WCC | US | Distribution/Wholesale | 0 | Sold All | -102,270 | -100 % | - | - | - | 16.20 % | $-486,805 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Wesco International Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Terra Industries Inc | TRA | US | Agricultural Chemicals | 112,800 | No Change | 0 | 0 % | $4,645,104 | $5,226,024 | $580,920 | 12.50 % | $0 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Terra Industries Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Time Warner Inc | TWX | US | Multimedia | 632,606 | Added More | 49,000 | 8.39 % | $18,351,900 | $19,319,787 | $967,887 | 5.27 % | $74,970 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Time Warner Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Verizon Communications Inc | VZ | US | Telephone-Integrated | 215,319 | No Change | 0 | 0 % | $6,244,251 | $6,401,434 | $157,183 | 2.51 % | $0 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Verizon Communications Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Medco Health Solutions Inc | MHS | US | Pharmacy Services | 314,694 | Sold Some | -183,000 | -36.76 % | $20,354,408 | $20,360,702 | $6,294 | 0.03 % | $-3,660 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Medco Health Solutions Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | National Oilwell Varco Inc | NOV | US | Oil Field Mach And Equip | 0 | Sold All | -61,000 | -100 % | - | - | - | -1.03 % | $28,060 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of National Oilwell Varco Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Shinhan Financial Group Co Ltd | SHG | US | Diversified Finan Serv | 0 | Sold All | -55,240 | -100 % | - | - | - | 4.42 % | $-182,292 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Shinhan Financial Group Co Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Kimberly-Clark Corp | KMB | US | Consumer Products-Misc | 135,500 | New Holding | 135,500 | 100 % | $8,116,450 | $8,140,840 | $24,390 | 0.30 % | $24,390 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Kimberly-Clark Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | State Street Corp | STT | US | Fiduciary Banks | 192,800 | No Change | 0 | 0 % | $9,019,184 | $8,608,520 | $-410,664 | -4.55 % | $0 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of State Street Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Tencent Holdings Ltd | TCEHF.PK | KY | Internet Applic Sftwr | 0 | Sold All | -116,600 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Tencent Holdings Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Netflix Inc | NFLX | US | E-Commerce/Services | 0 | Sold All | -85,500 | -100 % | - | - | - | 7.21 % | $-402,705 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Netflix Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Hitachi Metals Ltd | HMTLF.PK | US | Steel-Specialty | 0 | Sold All | -196,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Hitachi Metals Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Worleyparsons Ltd | WYGPF.PK | AU | Engineering/R And D Services | 0 | Sold All | -78,900 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Worleyparsons Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Philip Morris International Inc | PM | US | Tobacco | 618,300 | Added More | 82,300 | 15.35 % | $30,760,425 | $31,001,562 | $241,137 | 0.78 % | $32,097 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Philip Morris International Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Carnival Corp | CCL | US | Cruise Lines | 0 | Sold All | -63,400 | -100 % | - | - | - | 9.90 % | $-214,292 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Carnival Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Loews Corp | L | US | Multi-Line Insurance | 172,370 | Sold Some | -46,100 | -21.10 % | $6,325,979 | $6,474,217 | $148,238 | 2.34 % | $-39,646 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Loews Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Texas Instruments Inc | TXN | US | Electronic Compo-Semicon | 733,900 | Sold Some | -74,300 | -9.19 % | $18,149,347 | $17,613,600 | $-535,747 | -2.95 % | $54,239 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Texas Instruments Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Occidental Petroleum Corp | OXY | US | Oil Comp-Explor And Prodtn | 366,140 | Sold Some | -169,000 | -31.58 % | $29,294,861 | $29,964,898 | $670,036 | 2.28 % | $-309,270 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Occidental Petroleum Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Monsanto Co | MON | US | Agricultural Chemicals | 0 | Sold All | -30,900 | -100 % | - | - | - | -5.78 % | $137,196 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Monsanto Co |
| 2010-02-22 | 2009-12-31 | N-CSR | Cepheid Inc | CPHD | US | Medical Instruments | 0 | Sold All | -74,200 | -100 % | - | - | - | 24.16 % | $-273,798 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cepheid Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Athenahealth Inc | ATHN | US | Phys Practice Mgmnt | 0 | Sold All | -31,100 | -100 % | - | - | - | -11.67 % | $156,744 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Athenahealth Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Joy Global Inc | JOYG | US | Machinery-Constr And Mining | 68,740 | Sold Some | -50,200 | -42.20 % | $3,434,250 | $3,950,488 | $516,237 | 15.03 % | $-377,002 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Joy Global Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Total Sa | TOT | FR | Oil Comp-Integrated | 230,450 | Sold Some | -164,800 | -41.69 % | $13,379,927 | $13,469,803 | $89,876 | 0.67 % | $-64,272 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Total Sa |
| 2010-02-22 | 2009-12-31 | N-CSR | Schlumberger Ltd | SLB | AN | Oil-Field Services | 0 | Sold All | -48,300 | -100 % | - | - | - | 4.82 % | $-143,451 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Schlumberger Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Chevron Corp | CVX | BE | Oil Comp-Integrated | 530,500 | Added More | 203,400 | 62.18 % | $38,705,280 | $39,108,460 | $403,180 | 1.04 % | $154,584 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Chevron Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Arch Capital Group Ltd | ACGL | BM | Property/Casualty Ins | 224,494 | Sold Some | -54,683 | -19.58 % | $16,318,469 | $16,848,275 | $529,806 | 3.24 % | $-129,052 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Arch Capital Group Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Amazoncom Inc | AMZN | US | E-Commerce/Products | 0 | Sold All | -32,600 | -100 % | - | - | - | 11.70 % | $-450,206 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Amazoncom Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Apple Inc | AAPL | US | Computers | 0 | Sold All | -10,700 | -100 % | - | - | - | 13.06 % | $-280,126 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Apple Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Archer-Daniels-Midland Co | ADM | US | Agricultural Operations | 425,800 | Sold Some | -260,500 | -37.95 % | $12,693,098 | $12,203,428 | $-489,670 | -3.85 % | $299,575 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Archer-Daniels-Midland Co |
| 2010-02-22 | 2009-12-31 | N-CSR | Arrow Electronics Inc | ARW | US | Electronic Parts Distrib | 354,293 | Added More | 229,100 | 182.99 % | $10,132,780 | $10,327,641 | $194,861 | 1.92 % | $126,005 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Arrow Electronics Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Cameco Corp | CCJ | CA | Non-Ferrous Metals | 0 | Sold All | -80,443 | -100 % | - | - | - | -3.55 % | $83,661 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cameco Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Verisign Inc | VRSN | US | Internet Security | 0 | Sold All | -323,200 | -100 % | - | - | - | 9.53 % | $-749,824 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Verisign Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Biogen Idec Inc | BIIB | US | Medical-Biomedical/Gene | 0 | Sold All | -76,800 | -100 % | - | - | - | 5.55 % | $-237,312 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Biogen Idec Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Noble Corp | NE | BE | Oil And Gas Drilling | 231,540 | No Change | 0 | 0 % | $9,933,066 | $10,071,990 | $138,924 | 1.39 % | $0 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Noble Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Unitedhealth Group Inc | UNH | US | Medical-Hmo | 691,000 | Added More | 190,100 | 37.95 % | $22,858,280 | $22,740,810 | $-117,470 | -0.51 % | $-32,317 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Unitedhealth Group Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Aetna Inc | AET | US | Medical-Hmo | 0 | Sold All | -134,700 | -100 % | - | - | - | 8.48 % | $-335,403 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Aetna Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Johnson Controls Inc | JCI | FR | Auto/Trk Prts And Equip-Orig | 0 | Sold All | -72,100 | -100 % | - | - | - | 3.33 % | $-73,542 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Johnson Controls Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Wabco Holdings Inc | WBC | US | Auto/Trk Prts And Equip-Orig | 0 | Sold All | -151,490 | -100 % | - | - | - | 5.22 % | $-219,661 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Wabco Holdings Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Telekomunikasi Indonesia Tbk Pt | TLK | US | Telecom Services | 0 | Sold All | -2,392,500 | -100 % | - | - | - | 1.14 % | $-1,004,850 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Telekomunikasi Indonesia Tbk Pt |
| 2010-02-22 | 2009-12-31 | N-CSR | Saic Inc | SAI | US | Consulting Services | 903,400 | Sold Some | -581,600 | -39.16 % | $17,173,634 | $17,435,620 | $261,986 | 1.52 % | $-168,664 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Saic Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Dover Corp | DOV | BE | Diversified Manufact Op | 400,100 | Added More | 296,300 | 285.45 % | $18,412,602 | $18,576,643 | $164,041 | 0.89 % | $121,483 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Dover Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | At And T Inc | T | US | Telephone-Integrated | 645,200 | New Holding | 645,200 | 100 % | $16,142,904 | $16,530,024 | $387,120 | 2.39 % | $387,120 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of At And T Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Bank Of America Corp | BAC | US | Super-Regional Banks-Us | 493,300 | No Change | 0 | 0 % | $7,996,393 | $8,312,105 | $315,712 | 3.94 % | $0 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Bank Of America Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Ross Stores Inc | ROST | US | Retail-Apparel/Shoe | 216,500 | Sold Some | -85,100 | -28.21 % | $10,207,975 | $11,457,180 | $1,249,205 | 12.23 % | $-491,027 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Ross Stores Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Emc Corpmassachusetts | EMC | US | Computers-Memory Devices | 1,025,600 | Added More | 757,500 | 282.54 % | $18,163,376 | $19,363,328 | $1,199,952 | 6.60 % | $886,275 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Emc Corpmassachusetts |
| 2010-02-22 | 2009-12-31 | N-CSR | Amgen Inc | AMGN | US | Medical-Biomedical/Gene | 674,200 | Added More | 108,200 | 19.11 % | $38,496,820 | $38,719,306 | $222,486 | 0.57 % | $35,706 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Amgen Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Japan Steel Works Ltdthe | JPSWY.PK | US | Machinery-Material Handl | 0 | Sold All | -187,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Japan Steel Works Ltdthe |
| 2010-02-22 | 2009-12-31 | N-CSR | Weg Sa | WEGE3.SA | BR | Machinery-General Indust | 0 | Sold All | -289,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Weg Sa |
| 2010-02-22 | 2009-12-31 | N-CSR | Sybase Inc | SY | US | Enterprise Software/Serv | 150,400 | Added More | 44,100 | 41.48 % | $6,643,168 | $6,943,968 | $300,800 | 4.52 % | $88,200 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Sybase Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Dresser-Rand Group Inc | DRC | US | Oil Field Mach And Equip | 91,400 | New Holding | 91,400 | 100 % | $2,928,456 | $2,888,240 | $-40,216 | -1.37 % | $-40,216 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Dresser-Rand Group Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Ace Ltd | ACE | BE | Multi-Line Insurance | 175,890 | Sold Some | -240,600 | -57.76 % | $8,917,623 | $8,829,678 | $-87,945 | -0.98 % | $120,300 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Ace Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Schering-Plough Corp | SGP | US | Medical-Drugs | 0 | Sold All | -472,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Schering-Plough Corp |
| 2010-02-22 | 2009-12-31 | N-CSR | Equinix Inc | EQIX | US | Web Hosting/Design | 0 | Sold All | -23,200 | -100 % | - | - | - | 10.21 % | $-223,880 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Equinix Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Amdocs Ltd | DOX | GB | Telecom Services | 422,800 | Added More | 231,900 | 121.47 % | $12,261,200 | $12,870,032 | $608,832 | 4.96 % | $333,936 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Amdocs Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Pfizer Inc | PFE | US | Medical-Drugs | 1,063,900 | New Holding | 1,063,900 | 100 % | $19,097,005 | $18,171,412 | $-925,593 | -4.84 % | $-925,593 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Pfizer Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Anglogold Ashanti Ltd | AU | US | Gold Mining | 0 | Sold All | -63,100 | -100 % | - | - | - | 4.18 % | $-94,650 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Anglogold Ashanti Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Qualcomm Inc | QCOM | US | Wireless Equipment | 0 | Sold All | -57,800 | -100 % | - | - | - | -0.15 % | $3,468 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Qualcomm Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Juniper Networks Inc | JNPR | US | Networking Products | 0 | Sold All | -85,200 | -100 % | - | - | - | 10.03 % | $-232,596 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Juniper Networks Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | F5 Networks Inc | FFIV | US | Internet Infrastr Sftwr | 75,560 | Sold Some | -29,100 | -27.80 % | $4,148,244 | $4,767,836 | $619,592 | 14.93 % | $-238,620 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of F5 Networks Inc |
| 2010-02-22 | 2009-12-31 | N-CSR | Mitsui Fudosan Co Ltd | MTSFF.OB | JP | Real Estate Oper/Develop | 0 | Sold All | -109,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Mitsui Fudosan Co Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Standard Chartered Plc | SCBFF.OB | GB | Commer Banks Non-Us | 0 | Sold All | -86,765 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Standard Chartered Plc |
| 2010-02-22 | 2009-12-31 | N-CSR | Cheung Kong Holdings Ltd | CHEUY.OB | HK | Real Estate Oper/Develop | 0 | Sold All | -75,000 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cheung Kong Holdings Ltd |
| 2010-02-22 | 2009-12-31 | N-CSR | Tullow Oil Plc | TUWLY.OB | DE | Oil Comp-Explor And Prodtn | 0 | Sold All | -119,218 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Tullow Oil Plc |
| 2009-11-27 | 2009-09-30 | N-Q | Mitsui Fudosan Co Ltd | MTSFF.OB | JP | Real Estate Oper/Develop | 109,000 | New Holding | 109,000 | 100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Mitsui Fudosan Co Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Schlumberger Ltd | SLB | AN | Oil-Field Services | 48,300 | Added More | 4,100 | 9.27 % | $3,049,662 | $3,117,282 | $67,620 | 2.21 % | $5,740 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Schlumberger Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Standard Chartered Plc | SCBFF.OB | GB | Commer Banks Non-Us | 86,765 | Sold Some | -37,700 | -30.28 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Standard Chartered Plc |
| 2009-11-27 | 2009-09-30 | N-Q | Denbury Resources Inc | DNR | US | Oil Comp-Explor And Prodtn | 191,200 | Added More | 17,700 | 10.20 % | $2,560,168 | $3,066,848 | $506,680 | 19.79 % | $46,905 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Denbury Resources Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Cheung Kong Holdings Ltd | CHEUY.OB | HK | Real Estate Oper/Develop | 75,000 | New Holding | 75,000 | 100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cheung Kong Holdings Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | F5 Networks Inc | FFIV | US | Internet Infrastr Sftwr | 104,660 | New Holding | 104,660 | 100 % | $4,995,422 | $6,604,046 | $1,608,624 | 32.20 % | $1,608,624 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of F5 Networks Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Man Group Plc | MNGPF.OB | GB | Finance-Other Services | 0 | Sold All | -417,721 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Man Group Plc |
| 2009-11-27 | 2009-09-30 | N-Q | Tullow Oil Plc | TUWLY.OB | DE | Oil Comp-Explor And Prodtn | 119,218 | Added More | 5,840 | 5.15 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Tullow Oil Plc |
| 2009-11-27 | 2009-09-30 | N-Q | Gilead Sciences Inc | GILD | US | Therapeutics | 37,500 | Added More | 18,700 | 99.46 % | $1,746,000 | $1,778,250 | $32,250 | 1.84 % | $16,082 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Gilead Sciences Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Roche Holding Ag | RHHBY.OB | CH | Medical-Drugs | 8,724 | No Change | 0 | 0 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Roche Holding Ag |
| 2009-11-27 | 2009-09-30 | N-Q | Chevron Corp | CVX | BE | Oil Comp-Integrated | 327,100 | New Holding | 327,100 | 100 % | $25,569,407 | $24,113,812 | $-1,455,595 | -5.69 % | $-1,455,595 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Chevron Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Softbank Corp | SFTBF.OB | JP | Telephone-Integrated | 88,700 | Sold Some | -24,400 | -21.57 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Softbank Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Ace Ltd | ACE | BE | Multi-Line Insurance | 416,490 | New Holding | 416,490 | 100 % | $20,066,488 | $20,907,798 | $841,310 | 4.19 % | $841,310 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Ace Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Euro Disney Sca | EUDSF.OB | FR | Resorts/Theme Parks | 84,000 | Added More | 16,700 | 24.81 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Euro Disney Sca |
| 2009-11-27 | 2009-09-30 | N-Q | Fluor Corp | FLR | US | Engineering/R And D Services | 71,080 | New Holding | 71,080 | 100 % | $3,061,416 | $3,268,969 | $207,554 | 6.77 % | $207,554 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Fluor Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Loreal Sa | LRLCY.OB | US | Cosmetics And Toiletries | 18,774 | Sold Some | -5,900 | -23.91 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Loreal Sa |
| 2009-11-27 | 2009-09-30 | N-Q | Arch Capital Group Ltd | ACGL | BM | Property/Casualty Ins | 279,177 | New Holding | 279,177 | 100 % | $19,210,169 | $20,952,234 | $1,742,064 | 9.06 % | $1,742,064 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Arch Capital Group Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Toshiba Corp | TOSBF.OB | JP | Electric Products-Misc | 414,000 | Sold Some | -145,000 | -25.93 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Toshiba Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Flowserve Corp | FLS | US | Machinery-Pumps | 60,100 | New Holding | 60,100 | 100 % | $6,022,020 | $6,317,712 | $295,692 | 4.91 % | $295,692 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Flowserve Corp |
| 2009-11-27 | 2009-09-30 | N-Q | United Overseas Bank Ltd | UOVEF.OB | US | Commer Banks Non-Us | 205,000 | Sold Some | -18,000 | -8.07 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of United Overseas Bank Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Bank Of America Corp | BAC | US | Super-Regional Banks-Us | 493,300 | New Holding | 493,300 | 100 % | $7,631,351 | $8,312,105 | $680,754 | 8.92 % | $680,754 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Bank Of America Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Cisco Systems Inc | CSCO | US | Networking Products | 127,600 | New Holding | 127,600 | 100 % | $2,983,288 | $3,302,288 | $319,000 | 10.69 % | $319,000 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cisco Systems Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Cameron International Corp | CAM | US | Oil Field Mach And Equip | 240,655 | New Holding | 240,655 | 100 % | $8,961,992 | $10,745,246 | $1,783,254 | 19.89 % | $1,783,254 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cameron International Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Publicis Groupe | PGPEF.PK | US | Advertising Services | 52,800 | New Holding | 52,800 | 100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Publicis Groupe |
| 2009-11-27 | 2009-09-30 | N-Q | Amazoncom Inc | AMZN | US | E-Commerce/Products | 32,600 | Added More | 7,600 | 30.40 % | $4,294,724 | $4,297,332 | $2,608 | 0.06 % | $608 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Amazoncom Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Sun Hung Kai Properties Ltd | SUHJF.PK | HK | Real Estate Oper/Develop | 158,000 | Added More | 12,000 | 8.21 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Sun Hung Kai Properties Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Anglogold Ashanti Ltd | AU | US | Gold Mining | 63,100 | Added More | 5,500 | 9.54 % | $2,809,212 | $2,358,678 | $-450,534 | -16.03 % | $-39,270 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Anglogold Ashanti Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Saipem Spa | SAPMF.PK | US | Oil-Field Services | 68,969 | Added More | 600 | 0.87 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Saipem Spa |
| 2009-11-27 | 2009-09-30 | N-Q | Exelon Corp | EXC | US | Electric-Integrated | 0 | Sold All | -29,500 | -100 % | - | - | - | -7.34 % | $103,250 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Exelon Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Axis Capital Holdings Ltd | AXS | BM | Reinsurance | 1,189,280 | New Holding | 1,189,280 | 100 % | $33,644,731 | $37,854,782 | $4,210,051 | 12.51 % | $4,210,051 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Axis Capital Holdings Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Conagra Foods Inc | CAG | US | Food-Misc/Diversified | 395,755 | New Holding | 395,755 | 100 % | $8,777,846 | $10,040,304 | $1,262,458 | 14.38 % | $1,262,458 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Conagra Foods Inc |
| 2009-11-27 | 2009-09-30 | N-Q | China Resources Power Holdings Co | CRPJF.PK | HK | Electric-Generation | 1,239,200 | Added More | 279,200 | 29.08 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of China Resources Power Holdings Co |
| 2009-11-27 | 2009-09-30 | N-Q | Apple Inc | AAPL | US | Computers | 10,700 | Sold Some | -3,200 | -23.02 % | $2,146,313 | $2,424,620 | $278,307 | 12.96 % | $-83,232 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Apple Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Morgan Stanley | MS | US | Finance-Invest Bnkr/Brkr | 209,300 | New Holding | 209,300 | 100 % | $6,385,743 | $6,260,163 | $-125,580 | -1.96 % | $-125,580 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Morgan Stanley |
| 2009-11-27 | 2009-09-30 | N-Q | Conocophillips | COP | US | Oil Comp-Integrated | 89,620 | New Holding | 89,620 | 100 % | $4,653,070 | $4,631,562 | $-21,509 | -0.46 % | $-21,509 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Conocophillips |
| 2009-11-27 | 2009-09-30 | N-Q | Thermo Fisher Scientific Inc | TMO | US | Instruments-Scientific | 419,200 | New Holding | 419,200 | 100 % | $19,903,616 | $21,027,072 | $1,123,456 | 5.64 % | $1,123,456 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Thermo Fisher Scientific Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Ross Stores Inc | ROST | US | Retail-Apparel/Shoe | 301,600 | New Holding | 301,600 | 100 % | $13,357,864 | $15,960,672 | $2,602,808 | 19.48 % | $2,602,808 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Ross Stores Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Salesforcecom Inc | CRM | US | Applications Software | 34,800 | Sold Some | -10,900 | -23.85 % | $2,201,100 | $2,634,708 | $433,608 | 19.69 % | $-135,814 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Salesforcecom Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Goldman Sachs Group Incthe | GS | US | Finance-Invest Bnkr/Brkr | 69,600 | New Holding | 69,600 | 100 % | $11,425,536 | $12,177,216 | $751,680 | 6.57 % | $751,680 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Goldman Sachs Group Incthe |
| 2009-11-27 | 2009-09-30 | N-Q | Heckmann Corp | HEK | US | Specified Purpose Acquis | 435,900 | Added More | 35,400 | 8.83 % | $1,852,575 | $2,606,682 | $754,107 | 40.70 % | $61,242 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Heckmann Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Archer-Daniels-Midland Co | ADM | US | Agricultural Operations | 686,300 | New Holding | 686,300 | 100 % | $21,035,095 | $19,669,358 | $-1,365,737 | -6.49 % | $-1,365,737 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Archer-Daniels-Midland Co |
| 2009-11-27 | 2009-09-30 | N-Q | Kerry Properties Ltd | KRYPF.PK | BM | Real Estate Oper/Develop | 397,500 | New Holding | 397,500 | 100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Kerry Properties Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Schering-Plough Corp | SGP | US | Medical-Drugs | 472,000 | New Holding | 472,000 | 100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Schering-Plough Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Ngk Insulators Ltd | NGKIF.PK | JP | Electronic Compo-Misc | 79,000 | Added More | 35,000 | 79.54 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Ngk Insulators Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Wesco International Inc | WCC | US | Distribution/Wholesale | 102,270 | New Holding | 102,270 | 100 % | $2,645,725 | $3,490,475 | $844,750 | 31.92 % | $844,750 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Wesco International Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Impala Platinum Holdings Ltd | IMPUF.PK | US | Platinum | 129,436 | Sold Some | -21,600 | -14.30 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Impala Platinum Holdings Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Arrow Electronics Inc | ARW | US | Electronic Parts Distrib | 125,193 | New Holding | 125,193 | 100 % | $3,316,363 | $3,649,376 | $333,013 | 10.04 % | $333,013 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Arrow Electronics Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Illumina Inc | ILMN | US | Medical-Biomedical/Gene | 77,800 | Added More | 8,700 | 12.59 % | $2,226,636 | $3,151,678 | $925,042 | 41.54 % | $103,443 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Illumina Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Terra Industries Inc | TRA | US | Agricultural Chemicals | 112,800 | New Holding | 112,800 | 100 % | $4,395,816 | $5,226,024 | $830,208 | 18.88 % | $830,208 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Terra Industries Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Genomic Health Inc | GHDX | US | Medical-Biomedical/Gene | 95,700 | Added More | 4,600 | 5.04 % | $1,813,515 | $1,880,505 | $66,990 | 3.69 % | $3,220 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Genomic Health Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Emc Corpmassachusetts | EMC | US | Computers-Memory Devices | 268,100 | New Holding | 268,100 | 100 % | $4,490,675 | $5,061,728 | $571,053 | 12.71 % | $571,053 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Emc Corpmassachusetts |
| 2009-11-27 | 2009-09-30 | N-Q | United Technologies Corp | UTX | US | Aerospace/Defense-Equip | 145,300 | New Holding | 145,300 | 100 % | $9,764,160 | $10,393,309 | $629,149 | 6.44 % | $629,149 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of United Technologies Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Time Warner Inc | TWX | US | Multimedia | 583,606 | New Holding | 583,606 | 100 % | $18,004,245 | $17,823,327 | $-180,918 | -1.00 % | $-180,918 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Time Warner Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Shaw Group Incthe | SGR | US | Engineering/R And D Services | 100,500 | Added More | 2,600 | 2.65 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Shaw Group Incthe |
| 2009-11-27 | 2009-09-30 | N-Q | Cameco Corp | CCJ | CA | Non-Ferrous Metals | 80,443 | Added More | 8,900 | 12.44 % | $2,296,648 | $2,269,297 | $-27,351 | -1.19 % | $-3,026 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cameco Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Alnylam Pharmaceuticals Inc | ALNY | US | Therapeutics | 39,500 | Added More | 300 | 0.76 % | $662,810 | $722,060 | $59,250 | 8.93 % | $450 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Alnylam Pharmaceuticals Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Verizon Communications Inc | VZ | US | Telephone-Integrated | 215,319 | New Holding | 215,319 | 100 % | $6,810,540 | $6,401,434 | $-409,106 | -6.00 % | $-409,106 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Verizon Communications Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Forest Laboratories Inc | FRX | US | Medical-Drugs | 254,720 | New Holding | 254,720 | 100 % | $7,784,243 | $7,962,547 | $178,304 | 2.29 % | $178,304 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Forest Laboratories Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Juniper Networks Inc | JNPR | US | Networking Products | 85,200 | Sold Some | -20,500 | -19.39 % | $2,187,084 | $2,550,888 | $363,804 | 16.63 % | $-87,535 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Juniper Networks Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Cf Industries Holdings Inc | CF | US | Agricultural Chemicals | 98,500 | New Holding | 98,500 | 100 % | $8,268,090 | $9,527,905 | $1,259,815 | 15.23 % | $1,259,815 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cf Industries Holdings Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Medco Health Solutions Inc | MHS | US | Pharmacy Services | 497,694 | Added More | 473,694 | 1973.72 % | $31,100,898 | $32,200,802 | $1,099,904 | 3.53 % | $1,046,864 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Medco Health Solutions Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Public Service Enterprise Group Inc | PEG | US | Electric-Integrated | 282,600 | New Holding | 282,600 | 100 % | $8,732,340 | $8,639,082 | $-93,258 | -1.06 % | $-93,258 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Public Service Enterprise Group Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Verisign Inc | VRSN | US | Internet Security | 323,200 | New Holding | 323,200 | 100 % | $7,207,360 | $8,610,048 | $1,402,688 | 19.46 % | $1,402,688 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Verisign Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Petroleo Brasileiro Sa | PBR | US | Oil Comp-Integrated | 66,700 | Sold Some | -10,000 | -13.03 % | $3,423,711 | $3,141,570 | $-282,141 | -8.24 % | $42,300 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Petroleo Brasileiro Sa |
| 2009-11-27 | 2009-09-30 | N-Q | National Oilwell Varco Inc | NOV | US | Oil Field Mach And Equip | 61,000 | Added More | 11,300 | 22.73 % | $2,641,300 | $2,680,340 | $39,040 | 1.47 % | $7,232 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of National Oilwell Varco Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Humana Inc | HUM | US | Medical-Hmo | 98,500 | New Holding | 98,500 | 100 % | $4,110,405 | $4,725,045 | $614,640 | 14.95 % | $614,640 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Humana Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Renaissancere Holdings Ltd | RNR | US | Reinsurance | 145,880 | New Holding | 145,880 | 100 % | $7,766,651 | $8,169,280 | $402,629 | 5.18 % | $402,629 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Renaissancere Holdings Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Bp Plc | BP | DE | Oil Comp-Integrated | 183,100 | New Holding | 183,100 | 100 % | $10,639,941 | $10,411,066 | $-228,875 | -2.15 % | $-228,875 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Bp Plc |
| 2009-11-27 | 2009-09-30 | N-Q | Amgen Inc | AMGN | US | Medical-Biomedical/Gene | 566,000 | New Holding | 566,000 | 100 % | $31,979,000 | $32,505,380 | $526,380 | 1.64 % | $526,380 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Amgen Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Qiagen Nv | QGEN | DE | Medical-Biomedical/Gene | 145,200 | Added More | 71,100 | 95.95 % | $3,190,044 | $3,288,780 | $98,736 | 3.09 % | $48,348 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Qiagen Nv |
| 2009-11-27 | 2009-09-30 | N-Q | Shinhan Financial Group Co Ltd | SHG | US | Diversified Finan Serv | 55,240 | Sold Some | -4,050 | -6.83 % | $4,302,644 | $4,302,091 | $-552 | -0.01 % | $41 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Shinhan Financial Group Co Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Canadian National Railway Co | CNI | CA | Transport-Rail | 47,400 | Sold Some | -9,500 | -16.69 % | $2,488,974 | $2,708,436 | $219,462 | 8.81 % | $-43,985 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Canadian National Railway Co |
| 2009-11-27 | 2009-09-30 | N-Q | Biogen Idec Inc | BIIB | US | Medical-Biomedical/Gene | 76,800 | New Holding | 76,800 | 100 % | $3,603,456 | $4,512,768 | $909,312 | 25.23 % | $909,312 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Biogen Idec Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Perdigao Sa | PDA | BR | Food-Meat Products | 0 | Sold All | -42,100 | -100 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Perdigao Sa |
| 2009-11-27 | 2009-09-30 | N-Q | Quanta Services Inc | PWR | US | Commercial Services | 0 | Sold All | -74,300 | -100 % | - | - | - | 0.89 % | $-12,631 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Quanta Services Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Home Depot Inc | HD | US | Retail-Building Products | 142,200 | New Holding | 142,200 | 100 % | $3,926,142 | $4,614,390 | $688,248 | 17.52 % | $688,248 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Home Depot Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Equinix Inc | EQIX | US | Web Hosting/Design | 23,200 | Added More | 900 | 4.03 % | $2,256,896 | $2,416,512 | $159,616 | 7.07 % | $6,192 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Equinix Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Eog Resources Inc | EOG | US | Oil Comp-Explor And Prodtn | 0 | Sold All | -28,000 | -100 % | - | - | - | 11.86 % | $-289,800 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Eog Resources Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Quest Diagnostics Incde | DGX | US | Medical Labs And Testing Srv | 142,900 | New Holding | 142,900 | 100 % | $8,326,783 | $7,998,113 | $-328,670 | -3.94 % | $-328,670 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Quest Diagnostics Incde |
| 2009-11-27 | 2009-09-30 | N-Q | State Street Corp | STT | US | Fiduciary Banks | 192,800 | New Holding | 192,800 | 100 % | $7,750,560 | $8,608,520 | $857,960 | 11.06 % | $857,960 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of State Street Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Goodrich Corp | GR | US | Aerospace/Defense-Equip | 284,700 | New Holding | 284,700 | 100 % | $17,101,929 | $20,498,400 | $3,396,471 | 19.86 % | $3,396,471 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Goodrich Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Noble Corp | NE | BE | Oil And Gas Drilling | 231,540 | New Holding | 231,540 | 100 % | $9,541,763 | $10,071,990 | $530,227 | 5.55 % | $530,227 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Noble Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Itt Corp | ITT | BE | Diversified Manufact Op | 80,600 | New Holding | 80,600 | 100 % | $4,179,110 | $4,272,606 | $93,496 | 2.23 % | $93,496 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Itt Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Tencent Holdings Ltd | TCEHF.PK | KY | Internet Applic Sftwr | 116,600 | Sold Some | -29,400 | -20.13 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Tencent Holdings Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Japan Steel Works Ltdthe | JPSWY.PK | US | Machinery-Material Handl | 187,000 | Added More | 22,000 | 13.33 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Japan Steel Works Ltdthe |
| 2009-11-27 | 2009-09-30 | N-Q | Rio Tinto Ltd | RTNTF.PK | GB | Metal-Diversified | 79,388 | Added More | 17,402 | 28.07 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Rio Tinto Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Netflix Inc | NFLX | US | E-Commerce/Services | 85,500 | New Holding | 85,500 | 100 % | $4,946,175 | $5,983,290 | $1,037,115 | 20.96 % | $1,037,115 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Netflix Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Yuanta Financial Holding Co Ltd | 2885.TW | TW | Unknown | 3,986,000 | Added More | 1,138,000 | 39.95 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Yuanta Financial Holding Co Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Unitedhealth Group Inc | UNH | US | Medical-Hmo | 500,900 | New Holding | 500,900 | 100 % | $14,746,496 | $16,484,619 | $1,738,123 | 11.78 % | $1,738,123 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Unitedhealth Group Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Hitachi Metals Ltd | HMTLF.PK | US | Steel-Specialty | 196,000 | Sold Some | -8,000 | -3.92 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Hitachi Metals Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Toyota Motor Corp | TM | JP | Auto-Cars/Light Trucks | 37,600 | Added More | 300 | 0.80 % | $2,895,952 | $2,894,824 | $-1,128 | -0.03 % | $-9 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Toyota Motor Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Siemens Ag | SI | US | Diversified Manufact Op | 0 | Sold All | -22,282 | -100 % | - | - | - | -3.95 % | $86,454 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Siemens Ag |
| 2009-11-27 | 2009-09-30 | N-Q | Bank Of New York Mellon Corpthe | BK | US | Unknown | 210,100 | New Holding | 210,100 | 100 % | $5,525,630 | $6,244,172 | $718,542 | 13.00 % | $718,542 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Bank Of New York Mellon Corpthe |
| 2009-11-27 | 2009-09-30 | N-Q | Worleyparsons Ltd | WYGPF.PK | AU | Engineering/R And D Services | 78,900 | Added More | 39,035 | 97.91 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Worleyparsons Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Yum Brands Inc | YUM | US | Retail-Restaurants | 58,200 | New Holding | 58,200 | 100 % | $2,060,280 | $2,180,754 | $120,474 | 5.84 % | $120,474 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Yum Brands Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Aetna Inc | AET | US | Medical-Hmo | 134,700 | New Holding | 134,700 | 100 % | $3,965,568 | $4,288,848 | $323,280 | 8.15 % | $323,280 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Aetna Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Centurytel Inc | CTL | US | Telephone-Integrated | 305,520 | New Holding | 305,520 | 100 % | $11,093,431 | $10,577,102 | $-516,329 | -4.65 % | $-516,329 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Centurytel Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Philip Morris International Inc | PM | US | Tobacco | 536,000 | New Holding | 536,000 | 100 % | $26,794,640 | $26,875,040 | $80,400 | 0.30 % | $80,400 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Philip Morris International Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Advance Auto Parts Inc | AAP | US | Retail-Auto Parts | 443,880 | New Holding | 443,880 | 100 % | $17,511,066 | $18,722,858 | $1,211,792 | 6.92 % | $1,211,792 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Advance Auto Parts Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Weg Sa | WEGE3.SA | BR | Machinery-General Indust | 289,000 | Added More | 8,100 | 2.88 % | - | - | - | - % | | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Weg Sa |
| 2009-11-27 | 2009-09-30 | N-Q | Barrick Gold Corp | ABX | CA | Gold Mining | 49,300 | New Holding | 49,300 | 100 % | $2,097,222 | $1,925,658 | $-171,564 | -8.18 % | $-171,564 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Barrick Gold Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Carnival Corp | CCL | US | Cruise Lines | 63,400 | Sold Some | -5,700 | -8.24 % | $2,030,068 | $2,376,866 | $346,798 | 17.08 % | $-31,179 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Carnival Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Endo Pharmaceuticals Holdings Inc | ENDP | US | Medical-Drugs | 181,675 | New Holding | 181,675 | 100 % | $4,105,855 | $4,327,499 | $221,644 | 5.39 % | $221,644 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Endo Pharmaceuticals Holdings Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Johnson Controls Inc | JCI | FR | Auto/Trk Prts And Equip-Orig | 72,100 | New Holding | 72,100 | 100 % | $1,941,653 | $2,279,802 | $338,149 | 17.41 % | $338,149 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Johnson Controls Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Intercontinentalexchange Inc | ICE | BE | Finance-Other Services | 75,100 | New Holding | 75,100 | 100 % | $7,871,982 | $8,278,273 | $406,291 | 5.16 % | $406,291 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Intercontinentalexchange Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Loews Corp | L | US | Multi-Line Insurance | 218,470 | New Holding | 218,470 | 100 % | $7,646,450 | $8,205,733 | $559,283 | 7.31 % | $559,283 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Loews Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Sterlite Industries India Ltd | SLT | US | Metal Processors And Fabrica | 99,300 | New Holding | 99,300 | 100 % | $1,787,400 | $1,800,309 | $12,909 | 0.72 % | $12,909 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Sterlite Industries India Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Amdocs Ltd | DOX | GB | Telecom Services | 190,900 | New Holding | 190,900 | 100 % | $5,028,306 | $5,810,996 | $782,690 | 15.56 % | $782,690 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Amdocs Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Texas Instruments Inc | TXN | US | Electronic Compo-Semicon | 808,200 | New Holding | 808,200 | 100 % | $20,407,050 | $19,396,800 | $-1,010,250 | -4.95 % | $-1,010,250 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Texas Instruments Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Ebay Inc | EBAY | US | E-Commerce/Services | 414,300 | New Holding | 414,300 | 100 % | $9,620,046 | $10,759,371 | $1,139,325 | 11.84 % | $1,139,325 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Ebay Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Wabco Holdings Inc | WBC | US | Auto/Trk Prts And Equip-Orig | 151,490 | New Holding | 151,490 | 100 % | $3,484,270 | $4,425,023 | $940,753 | 27.00 % | $940,753 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Wabco Holdings Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Occidental Petroleum Corp | OXY | US | Oil Comp-Explor And Prodtn | 535,140 | Added More | 489,040 | 1060.82 % | $43,453,368 | $43,795,858 | $342,490 | 0.78 % | $312,986 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Occidental Petroleum Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Sybase Inc | SY | US | Enterprise Software/Serv | 106,300 | New Holding | 106,300 | 100 % | $4,301,961 | $4,907,871 | $605,910 | 14.08 % | $605,910 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Sybase Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Paccar Inc | PCAR | US | Auto-Med And Heavy Duty Trks | 60,500 | Added More | 7,000 | 13.08 % | $2,251,205 | $2,501,675 | $250,470 | 11.12 % | $28,980 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Paccar Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Monsanto Co | MON | US | Agricultural Chemicals | 30,900 | Added More | 5,600 | 22.13 % | $2,456,550 | $2,235,615 | $-220,935 | -8.99 % | $-40,040 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Monsanto Co |
| 2009-11-27 | 2009-09-30 | N-Q | Telekomunikasi Indonesia Tbk Pt | TLK | US | Telecom Services | 2,392,500 | Added More | 1,342,000 | 127.74 % | $89,646,975 | $88,666,050 | $-980,925 | -1.09 % | $-550,220 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Telekomunikasi Indonesia Tbk Pt |
| 2009-11-27 | 2009-09-30 | N-Q | Abb Ltd | ABB | DE | Engineering/R And D Services | 96,200 | Sold Some | -37,800 | -28.20 % | $1,779,700 | $2,034,630 | $254,930 | 14.32 % | $-100,170 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Abb Ltd |
| 2009-11-27 | 2009-09-30 | N-Q | Cepheid Inc | CPHD | US | Medical Instruments | 74,200 | Sold Some | -20,300 | -21.48 % | $958,664 | $1,406,832 | $448,168 | 46.74 % | $-122,612 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Cepheid Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Symantec Corp | SYMC | US | Internet Security | 470,900 | New Holding | 470,900 | 100 % | $8,330,221 | $8,226,623 | $-103,598 | -1.24 % | $-103,598 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Symantec Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Qualcomm Inc | QCOM | US | Wireless Equipment | 57,800 | Added More | 3,000 | 5.47 % | $2,600,422 | $2,251,310 | $-349,112 | -13.42 % | $-18,120 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Qualcomm Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Td Ameritrade Holding Corp | AMTD | US | Finance-Invest Bnkr/Brkr | 472,260 | Added More | 377,660 | 399.21 % | $9,133,508 | $8,902,101 | $-231,407 | -2.53 % | $-185,053 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Td Ameritrade Holding Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Athenahealth Inc | ATHN | US | Phys Practice Mgmnt | 31,100 | Added More | 900 | 2.98 % | $1,300,913 | $1,185,843 | $-115,070 | -8.84 % | $-3,330 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Athenahealth Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Safeway Inc | SWY | US | Food-Retail | 261,270 | New Holding | 261,270 | 100 % | $5,862,899 | $6,487,334 | $624,435 | 10.65 % | $624,435 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Safeway Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Saic Inc | SAI | US | Consulting Services | 1,485,000 | New Holding | 1,485,000 | 100 % | $26,730,000 | $28,660,500 | $1,930,500 | 7.22 % | $1,930,500 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Saic Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Wal-Mart Stores Inc | WMT | US | Retail-Discount | 151,900 | Added More | 106,900 | 237.55 % | $8,298,297 | $8,187,410 | $-110,887 | -1.33 % | $-78,037 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Wal-Mart Stores Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Joy Global Inc | JOYG | US | Machinery-Constr And Mining | 118,940 | New Holding | 118,940 | 100 % | $6,365,669 | $6,835,482 | $469,813 | 7.38 % | $469,813 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Joy Global Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Exxon Mobil Corp | XOM | US | Oil Comp-Integrated | 642,700 | New Holding | 642,700 | 100 % | $48,118,949 | $42,932,360 | $-5,186,589 | -10.77 % | $-5,186,589 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Exxon Mobil Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Borgwarner Inc | BWA | US | Auto/Trk Prts And Equip-Orig | 0 | Sold All | -51,900 | -100 % | - | - | - | 21.89 % | $-345,654 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Borgwarner Inc |
| 2009-11-27 | 2009-09-30 | N-Q | L-3 Communications Holdings Inc | LLL | US | Electronics-Military | 239,560 | New Holding | 239,560 | 100 % | $18,793,482 | $22,116,179 | $3,322,697 | 17.68 % | $3,322,697 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of L-3 Communications Holdings Inc |
| 2009-11-27 | 2009-09-30 | N-Q | Total Sa | TOT | FR | Oil Comp-Integrated | 395,250 | New Holding | 395,250 | 100 % | $24,778,223 | $23,102,363 | $-1,675,860 | -6.76 % | $-1,675,860 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Total Sa |
| 2009-11-27 | 2009-09-30 | N-Q | Raytheon Co | RTN | US | Aerospace/Defense | 709,210 | New Holding | 709,210 | 100 % | $36,616,512 | $40,198,023 | $3,581,511 | 9.78 % | $3,581,511 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Raytheon Co |
| 2009-11-27 | 2009-09-30 | N-Q | Dover Corp | DOV | BE | Diversified Manufact Op | 103,800 | New Holding | 103,800 | 100 % | $4,212,204 | $4,819,434 | $607,230 | 14.41 % | $607,230 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Dover Corp |
| 2009-11-27 | 2009-09-30 | N-Q | Red Hat Inc | RHT | US | Applications Software | 68,200 | Sold Some | -27,900 | -29.03 % | $1,827,760 | $2,097,832 | $270,072 | 14.77 % | $-110,484 | | | | | | History of Alliancebernstein Variable Products Series Fund Inc - Alliancebernstein Growth Portfolio Ownership Of Red Hat Inc |