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: | UL II 1990-93 |
b. Contract identification number: | C000023054 |
c. Total assets attributable to the security: | 1,481,571,423.00 |
d. Number of contracts sold during the reporting
period:
| 0 |
e. Gross premiums received during the reporting
period:
| 66,941,193.00 |
f. Gross premiums received pursuant to section 1035
exchanges:
| 0 |
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
| 152,216,787.00 |
i. Amount of contract value redeemed pursuant to
section 1035 exchanges:
| 15,760,098.00 |
j. Number of contracts affected in connection with
contract value redeemed pursuant to section 1035 exchanges:
| 474 |
Contact security Record:
2 |
a. Full name of the security: | Equity Advantage VUL/UL II |
b. Contract identification number: | C000011871 |
c. Total assets attributable to the security: | 27,056,616.00 |
d. Number of contracts sold during the reporting
period:
| 0 |
e. Gross premiums received during the reporting
period:
| 2,648,439.00 |
f. Gross premiums received pursuant to section 1035
exchanges:
| 0 |
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
| 6,373,453.00 |
i. Amount of contract value redeemed pursuant to
section 1035 exchanges:
| 125,053.00 |
j. Number of contracts affected in connection with
contract value redeemed pursuant to section 1035 exchanges:
| 5 |
Contact security Record:
3 |
a. Full name of the security: | MetFlex Flexible Premium VL |
b. Contract identification number: | C000011872 |
c. Total assets attributable to the security: | 362,155,420.00 |
d. Number of contracts sold during the reporting
period:
| 10 |
e. Gross premiums received during the reporting
period:
| 8,027,952.00 |
f. Gross premiums received pursuant to section 1035
exchanges:
| 0 |
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
| 20,705,146.00 |
i. Amount of contract value redeemed pursuant to
section 1035 exchanges:
| 971,327.00 |
j. Number of contracts affected in connection with
contract value redeemed pursuant to section 1035 exchanges:
| 9 |
Contact security Record:
4 |
a. Full name of the security: | Group VUL |
b. Contract identification number: | C000011874 |
c. Total assets attributable to the security: | 19,316,109.00 |
d. Number of contracts sold during the reporting
period:
| 277 |
e. Gross premiums received during the reporting
period:
| 10,308,763.00 |
f. Gross premiums received pursuant to section 1035
exchanges:
| 0 |
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
| 10,571,597.00 |
i. Amount of contract value redeemed pursuant to
section 1035 exchanges:
| 5,416.00 |
j. Number of contracts affected in connection with
contract value redeemed pursuant to section 1035 exchanges:
| 1 |
Contact security Record:
5 |
a. Full name of the security: | Equity Options (Equity Additions and Equity Enricher) |
b. Contract identification number: | C000011873 |
c. Total assets attributable to the security: | 313,750,967.00 |
d. Number of contracts sold during the reporting
period:
| 0 |
e. Gross premiums received during the reporting
period:
| 16,259,179.00 |
f. Gross premiums received pursuant to section 1035
exchanges:
| 0 |
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
| 28,557,013.00 |
i. Amount of contract value redeemed pursuant to
section 1035 exchanges:
| 16,111,897.00 |
j. Number of contracts affected in connection with
contract value redeemed pursuant to section 1035 exchanges:
| 309 |
Contact security Record:
6 |
a. Full name of the security: | Equity Advantage VUL |
b. Contract identification number: | C000058203 |
c. Total assets attributable to the security: | 2,961,326,077.00 |
d. Number of contracts sold during the reporting
period:
| 0 |
e. Gross premiums received during the reporting
period:
| 134,960,656.00 |
f. Gross premiums received pursuant to section 1035
exchanges:
| 0 |
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
| 320,746,110.00 |
i. Amount of contract value redeemed pursuant to
section 1035 exchanges:
| 59,349,375.00 |
j. Number of contracts affected in connection with
contract value redeemed pursuant to section 1035 exchanges:
| 1242 |
Contact security Record:
7 |
a. Full name of the security: | MetLife Equity Advantage VUL |
b. Contract identification number: | C000036683 |
c. Total assets attributable to the security: | 130,109,604.00 |
d. Number of contracts sold during the reporting
period:
| 0 |
e. Gross premiums received during the reporting
period:
| 14,311,481.00 |
f. Gross premiums received pursuant to section 1035
exchanges:
| 0 |
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
| 12,857,214.00 |
i. Amount of contract value redeemed pursuant to
section 1035 exchanges:
| 612,928.00 |
j. Number of contracts affected in connection with
contract value redeemed pursuant to section 1035 exchanges:
| 10 |