The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 12-31-2018 Check here if AmendmentAmendment Number: This Amendment (Check only one.):is a restatement.

adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name: Address:

ALLSTATE CORP 2775 SANDERS ROAD

Form 13F File Number:

NORTHBROOK, IL 60062-7127 028-14491

The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:

TOM MCDONNELL

Title:

VICE PRESIDENT OF INVESTMENT FINANCE

Phone:

847-402-8519

Signature, Place, and Date of Signing:

/s/ TOM MCDONNELL

NORTHBROOK, IL

02-12-2019

[Signature]

[City, State]

[Date]

Report Type (Check only one.):

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

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

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

Form 13F Summary Page

Report Summary:

Number of Other Included Managers:

2

Form 13F Information Table Entry Total:

390

Form 13F Information Table Value Total:

3,044,637

(thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report.

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

No.

Form 13F File Name Number

11

028-04302

ALLSTATE INVESTMENT MANAGEMENT CO

12

028-10298

ALLSTATE INVESTMENTS LLC

The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 13FFORM 13F INFORMATION TABLE

COLUMN 1

NAME OF ISSUERCOLUMN 2

COLUMN 3 COLUMN4

COLUMN 5

VALUESHRS

ORSH/ PUT/ INVESTMENTTITLE OF CLASSCUSIP

(x$1000)

PRN AMTPRN CALL DISCRETION MANAGER

AFLAC INC

COMMON

001055102

3,197 70,168

AT&T INC

COMMON

00206R102278,538

ABBOTT LABS

COMMON

ABBVIE INC

COMMON

ACTIVISION BLIZZARD INC

COMMON

002824100 147,003 00287Y10900507V109

ADOBE INC

ADVANSIX INC

AFFILIATED MANAGERS GROUP

AGILENT TECHNOLOGIES INC

AIR PRODS & CHEMS INC

ALCOA CORP

ALEXION PHARMACEUTICALS INC

COMMON

ALLIANCE DATA SYSTEMS CORP

ALPHABET INC

COMMON 02079K107 24,578 23,733

ALPHABET INC

COMMON 02079K305 24,087 23,051

ALTRIA GROUP INCCOMMON

02209S103 1,883 38,124

AMAZON COM INCCOMMON 023135106 37,118 24,713

AMERICAN ELEC PWR INC

COMMON 025537101 5,772 77,233

AMERICAN EXPRESS CO

COMMON 025816109 7,308 76,665

AMERICAN INTL GROUP INC

COMMON

026874784 474

AMERICAN TOWER CORP NEW

COMMON

03027X100 5,887

AMGEN INC

COMMON 031162100 14,733 75,684

AMPHENOL CORP NEW

COMMON 032095101 43,233

ANALOG DEVICES INC

COMMON 032654105 41,862

ANTERO RES CORPCOMMON

03674X106

SH

7,949SH

10,633SH

9,738 SH

105,631

SH

SH

SH

28,533 SH

9,714 SH

23,892 SH

12,293 SH

2,964 63,639

COMMON

COMMON

COMMON

00724F101 00773T101 008252108

6,761 29,883

914 37,538 2,780

COMMON

00846U101

655

COMMON

COMMON

009158106 013872106

3,824

327

015351109

  • 261 2,676 SHCOMMON

    018581108

  • 742 4,946

SH

SH

SH

SH

SH

SH

SH

12,028

SH

37,212

SH

SH

3,503SH

3,593SH

106

11,285 SH

COLUMN 6

SOLE

12

70,168

0

0

SOLE

12

278,538

0

0

SOLE

12

147,003

0

0

SOLE

12

105,631

0

0

SOLE

12

63,639

0

0

SOLE

12

29,883

0

0

SOLE

12

37,538

0

0

SOLE

12

28,533

0

0

SOLE

12

9,714

0

0

SOLE

12

23,892

0

0

SOLE

12

12,293

0

0

SOLE

12

2,676

0

0

SOLE

12

4,946

0

0

SOLE

12

23,733

0

0

SOLE

12

23,051

0

0

SOLE

12

38,124

0

0

SOLE

12

24,713

0

0

SOLE

12

77,233

0

0

SOLE

12

76,665

0

0

SOLE

12

12,028

0

0

SOLE

12

37,212

0

0

SOLE

12

75,684

0

0

SOLE

12

43,233

0

0

SOLE

12

41,862

0

0

SOLE

12

11,285

0

0

COLUMN 7

COLUMN 8

OTHER

VOTING AUTHORITY

SOLE SHARED NONE

ANTHEM INC

APACHE CORP

APPLE INC

APPLIED MATLS INC

ARCHER DANIELS MIDLAND CO

AUTOMATIC DATA PROCESSING IN

AUTOZONE INC

AVALONBAY CMNTYS INC

BB&T CORP

BAKER HUGHES A GE CO

BALL CORP

BANK AMER CORP

BANK NEW YORK MELLON CORP

BAXTER INTL INC

BECTON DICKINSON & CO

BERKSHIRE HATHAWAY INC DEL

BIOGEN INC

BLACKROCK INC

BOEING CO

BOSTON PROPERTIES INC

BOSTON SCIENTIFIC CORP

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMONBRIGHTHOUSE FINL INC COMMONBRISTOL MYERS SQUIBB CO

BROWN FORMAN CORP

CBS CORP NEW

CME GROUP INC

CSX CORP

CVS HEALTH CORP

CAPITAL ONE FINL CORP

CARDINAL HEALTH INC

CARNIVAL CORP

CATERPILLAR INC DEL

CELANESE CORP DEL

CELGENE CORP

CENTENE CORP DEL

CENTURYLINK INC

036752103 037411105 037833100 038222105 039483102

  • 4,611 17,556 SH

  • 405 15,421 SH

  • 57,684 365,689 SH

  • 1,357 41,453 SH

  • 3,300 80,550 SH

    053015103 053332102 053484101 054937107 05722G100 058498106 060505104 064058100 071813109 075887109

  • 5,061 38,599 SH

  • 1,817 2,167 SH

  • 825 4,740 SH

  • 2,833 65,390 SH

  • 2,387 111,036 SH

  • 3,657 79,532 SH

  • 18,545 752,620 SH

  • 3,387 71,957 SH

  • 3,260 49,530 SH

  • 5,951 26,412 SH

    084670702 09062X103 09247X101 097023105 101121101

  • 24,835 121,635 SH

  • 4,637 15,411 SH

  • 1,195 3,043 SH

  • 12,669 39,285 SH

  • 376 3,345 SH

    101137107 10922N103 110122108

  • 4,165 117,847 SH

  • 1,723 56,528 SHCOMMON

  • 5,715 109,937 SH

    COMMON

    115637209

  • 895 18,806 SH

    COMMON

    124857202

  • 296 6,763 SH

    COMMON

    12572Q105

  • 5,201 27,647 SH

    COMMON

    126408103

  • 4,102 66,029 SH

    COMMON

    126650100 14040H105

  • 2,324 35,469 SH

    COMMON

  • 2,809 37,155 SH

    COMMON

    14149Y108

  • 1,053 23,618 SH

    COMMON

    143658300

  • 2,611 52,970 SH

    COMMON

    149123101

  • 6,576 51,754 SH

    COMMON

    150870103

  • 2,061 22,910 SH

    COMMON

    151020104

  • 823 12,848 SH

    COMMON

    15135B101

  • 977 8,472 SH

    COMMON

    156700106

  • 337 22,215 SHSOLE

12 12 12 12 12

17,556 15,421 365,689 41,453 80,550

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

    12 12 12 12 12 12 12 12 12 12

    38,599 2,167 4,740 65,390 111,036 79,532 752,620 71,957 49,530 26,412

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

    12 12 12 12 12

    121,635 15,411 3,043 39,285 3,345

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

    12 12 12

    117,847 56,528 109,937

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

    12

    18,806

  • 0 0

    SOLE

    12

    6,763

  • 0 0

    SOLE

    12

    27,647

  • 0 0

    SOLE

    12

    66,029

  • 0 0

    SOLE

    12 12

    35,469 37,155

  • 0 0

    SOLE

  • 0 0

    SOLE

    12

    23,618

  • 0 0

    SOLE

    12

    52,970

  • 0 0

    SOLE

    12

    51,754

  • 0 0

    SOLE

    12

    22,910

  • 0 0

    SOLE

    12

    12,848

  • 0 0

    SOLE

    12

    8,472

  • 0 0

    SOLE

    12

    22,215

  • 0 0

CHARTER COMMUNICATIONS INC N

CHEMOURS CO

CHENIERE ENERGY INC

CHEVRON CORP NEW

CIMAREX ENERGY CO

CISCO SYS INC

CITIGROUP INC

CLOROX CO DEL

COCA COLA CO

COGNIZANT TECHNOLOGY SOLUTIO

COLGATE PALMOLIVE CO

COMCAST CORP NEW

CONAGRA BRANDS INC

CONCHO RES INC

CONOCOPHILLIPS

CONSOLIDATED EDISON INC

CONSTELLATION BRANDS INC

CORNING INC

COSTCO WHSL CORP NEW

CROWN CASTLE INTL CORP NEW

CUMMINS INC

DTE ENERGY CO

DXC TECHNOLOGY CO

DANAHER CORP DEL

DAVITA INC

DEERE & CO

DELTA AIR LINES INC DEL

DIGITAL RLTY TR INC

DISNEY WALT CO

DISCOVER FINL SVCS

DOLLAR GEN CORP NEW

DOLLAR TREE INCCOMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMON

COMMONDOMINION ENERGY INC COMMONDOWDUPONT INC

DUKE ENERGY CORP NEW

EOG RES INC

EASTMAN CHEM CO

16119P108

  • 4,610 16,176 SH

    163851108

  • 1,830 64,833 SH

    16411R208

  • 1,126 19,027 SH

    166764100

  • 11,435 105,111 SH

    171798101

  • 1,348 21,862 SH

    17275R102

  • 19,252 444,321 SH

    172967424

  • 4,702 90,323 SH

    189054109

  • 2,266 14,703 SH

    191216100 192446102

  • 15,123 319,381 SH

  • 2,583 40,697 SH

    194162103 20030N101 205887102 20605P101 20825C104 209115104

  • 2,106 35,377 SH

  • 12,683 372,486 SH

  • 657 30,753 SH

  • 742 7,214 SH

  • 5,016 80,449 SH

  • 6,498 84,989 SH

    21036P108 219350105 22160K105

  • 3,191 19,841 SH

  • 3,318 109,841 SH

  • 8,510 41,775 SH

    22822V101

  • 3,681 33,882 SH

    231021106

  • 1,096 8,203 SH

    233331107

  • 5,813 52,701 SH

    23355L106

  • 1,290 24,256 SH

    235851102

  • 5,309 51,486 SH

    23918K108

  • 932 18,112 SH

    244199105 247361702 253868103 254687106 254709108 256677105 256746108 25746U109 26078J100 26441C204 26875P101 277432100

  • 1,883 12,624 SH

  • 304 6,092 SH

  • 3,917 36,766 SH

  • 12,150 110,810 SH

  • 2,351 39,867 SH

  • 3,237 29,953 SH

  • 429 4,748 SH

  • 1,474 20,622 SHCOMMON

  • 2,618 48,955 SH

    COMMON

  • 2,752 31,889 SH

    COMMON

  • 3,106 35,614 SH

    COMMON

  • 2,588 35,399 SHSOLE

12

16,176

  • 0 0

    SOLE

    12

    64,833

  • 0 0

    SOLE

    12

    19,027

  • 0 0

    SOLE

    12

    105,111

  • 0 0

    SOLE

    12

    21,862

  • 0 0

    SOLE

    12

    444,321

  • 0 0

    SOLE

    12

    90,323

  • 0 0

    SOLE

    12

    14,703

  • 0 0

    SOLE

    12 12

    319,381 40,697

  • 0 0

    SOLE

  • 0 0

    SOLE

    12 12 12 12 12 12

    35,377 372,486 30,753 7,214 80,449 84,989

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

    12 12 12

    19,841 109,841 41,775

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

    12

    33,882

  • 0 0

    SOLE

    12

    8,203

  • 0 0

    SOLE

    12

    52,701

  • 0 0

    SOLE

    12

    24,256

  • 0 0

    SOLE

    12

    51,486

  • 0 0

    SOLE

    12

    18,112

  • 0 0

    SOLE

    12 12 12 12 12 12 12 12 12 12 12 12

    12,624 6,092 36,766 110,810 39,867 29,953 4,748 20,622 48,955 31,889 35,614 35,399

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

    SOLE

  • 0 0

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The Allstate Corporation published this content on 13 February 2019 and is solely responsible for the information contained herein. Distributed by Public, unedited and unaltered, on 13 February 2019 15:41:03 UTC