424B5 1 a2136895z424b5.htm 424B5
Pricing Supplement No. 27 Dated: May 17, 2004
(To Prospectus Dated December 15, 2003, and
Prospectus Supplement dated December 30, 2003)
This Pricing Supplement consists of 3 pages.
  Filed pursuant to Rule 424(b)(5)
File No. 333-100944

Protective Life Insurance Company
Depositor
InterNotes®
Issued Through
Protective Life Secured Trust 2004-27


1.    The Notes

Trade Date: 05/17/2004
Original Issue Date: 05/20/2004
Minimum Denominations/Increments: $1000/$1000




CUSIP
  PRINCIPAL
AMOUNT

  PRICE
TO PUBLIC

  CONCESSION
  NET
PROCEEDS
TO THE
TRUST

  INTEREST
RATE



74367CBC8   $2,272,000   100%   $56,800.00   $2,215,200.00   6.250%



INTEREST
PAYMENT
FREQUENCY

  STATED
MATURITY
DATE

  SURVIVOR'S
OPTION

  REDEMPTION
YES/NO

  REPAYMENT
YES/NO



SEMI-ANNUAL   05/15/2029   YES   YES   NO



SECURITIES EXCHANGE
LISTING
YES/NO

  FUNDING
AGREEMENT NO.



NO   GA-6026

Terms of Survivor's Option:

Annual Put Limitation:   [X] $2,000,000 or 2%; or
    [    ] $                        or    %
Individual Put Limitation:   [X] $250,000; or
    [    ]$
Trust Put Limitation:   Not Applicable.

Optional Redemption Terms:

Optional Redemption Dates: 05/15/2009 and each Interest Payment Date thereafter.
Initial Redemption Percentage: 100%
Annual Percentage Reduction (if any): Not Applicable.
Redemption:   [    ] In whole only and not in part
    [X] May be in whole or in part

Optional Repayment Terms: Not Applicable.

Optional Repayment Dates:
Optional Repayment:   [    ] In whole only and not in part
    [    ] May be in whole or in part

Form of trust: [X] Delaware statutory trust [  ] Delaware common law trust

Trust Expiration Date: 05/15/2029

Special Tax Considerations: Not Applicable.

Rating of Notes: S&P AA      Moody's Aa3

Securities Exchange Listing: [X] No [  ] Yes, Name of Exchange:

Additional Terms: Not Applicable.

Agents:

Banc of America Securities LLC

Incapital LLC

A.G. Edwards & Sons, Inc.

Bear, Stearns & Co. Inc.

Charles Schwab & Co., Inc.

Citigroup

Edward D. Jones & Co., L.P.

Fidelity Capital Markets, A Division of National Financial Services LLC

Merrill Lynch & Co.

Morgan Stanley

Raymond James

RBC Dain Rauscher, Inc.

UBS Financial Services, Inc.

Wachovia Securities, LLC


2.
The Funding Agreement(s)

Funding Agreement Issuer: Protective Life Insurance Company

Deposit Amount: $2,272,015

Issue Price: $2,215,215

Effective Date: 05/20/2004



Interest Rate: 6.250%

Interest Payment Frequency: SEMI-ANNUAL

Stated Maturity Date: 05/15/2029

Survivor's Option: [X] Yes [  ] No

If yes:        
        Annual Put Limitation:   [X] $2,000,000 or 2%; or    
    [    ] $                  or    %    
        Individual Put Limitation:   [X] $250,000; or    
    [    ] $                      
        Trust Put Limitation:   Not Applicable.    

Redemption: [X] Yes [    ] No

        Early Redemption Dates: 05/15/2009 and each Interest Payment Date thereafter.

        Initial Redemption Percentage: 100%

        Annual Percentage Reduction (if any): Not Applicable.

Redemption:   [    ] In whole only and not in part
    [X] May be in whole or in part
Repayment:   [    ] Yes [X] No

Repayment Dates:
Repayment:   [    ] In whole only and not in part
    [    ] May be in whole or in part

Rating of Funding Agreement: S&P AA        Moody's Aa3

Additional Terms: Not Applicable.

3.
Other Information

Certain matters regarding the notes and their offering will be passed upon:

    for each trust and Protective Life by Nancy Kane, internal legal counsel to Protective Life (as to New York law); and

    for each trust and Protective Life by William L. McCarty, internal legal counsel to Protective Life (as to certain matters of Tennessee law).