Instruction.
In the case of group contracts, each participant
certificate should
be counted as an individual contract.
|
For each security that has a contract identification
number
assigned
pursuant to rule 313 of Regulation S-T (17 CFR
232.313),
provide
the following information as of the end of the
reporting
period: |
Contact security Record:
1 |
a. Full name of the security: | Flexible Payment Variable Annuity (Network Edition) |
b. Contract identification number: | C000034306 |
c. Total assets attributable to the security: | 79,689,946.10000000 |
d. Number of contracts sold during the reporting
period:
| 33 |
e. Gross premiums received during the reporting
period:
| 5,348,328.00000000 |
f. Gross premiums received pursuant to section 1035
exchanges:
| 2,326,298.00000000 |
g. Number of contracts affected in connection with
premiums paid in pursuant to section 1035 exchanges:
| 8 |
h. Amount of contract value redeemed during the
reporting period
| 3,089,132.00000000 |
i. Amount of contract value redeemed pursuant to
section 1035 exchanges:
| 145,620.00000000 |
j. Number of contracts affected in connection with
contract value redeemed pursuant to section 1035 exchanges:
| 2 |
Contact security Record:
2 |
a. Full name of the security: | Group Combination Annuity |
b. Contract identification number: | C000000097 |
c. Total assets attributable to the security: | 15,903,008.49000000 |
d. Number of contracts sold during the reporting
period:
| 0 |
e. Gross premiums received during the reporting
period:
| 686,192.00000000 |
f. Gross premiums received pursuant to section 1035
exchanges:
| 0.00000000 |
g. Number of contracts affected in connection with
premiums paid in pursuant to section 1035 exchanges:
| 0 |
h. Amount of contract value redeemed during the
reporting period
| 5,851,052.00000000 |
i. Amount of contract value redeemed pursuant to
section 1035 exchanges:
| 0.00000000 |
j. Number of contracts affected in connection with
contract value redeemed pursuant to section 1035 exchanges:
| 0 |