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13052 Federal Register / Vol. 73, No.

48 / Tuesday, March 11, 2008 / Notices

For the Commission, by the Division of Applicant’s Representations and Legal the right to examine period; or (2)
Investment Management, under delegated Analysis within twelve (12) months of the
authority. annuitant’s death when the Company
Applicant is registered under the Act
Florence E. Harmon, pays a death benefit. Applicants further
as an open-end management investment
Deputy Secretary.
company. On December 27, 2007, request that the exemptive relief extend
[FR Doc. E8–4684 Filed 3–10–08; 8:45 am] applicant’s securityholders voted to to: (1) any other variable annuity
BILLING CODE 8011–01–P approve a mandatory redemption of contracts that the Company may issue in
certain of applicant’s securityholders the future (‘‘Future Contracts’’) that are
and deregistration under the Act. substantially similar in all material
SECURITIES AND EXCHANGE Applicant’s securities are currently respects to the Contracts, and are
COMMISSION owned by 45 persons. Applicant states funded through the Variable Account or
that its outstanding securities are not through other separate accounts of the
[Release No. IC–28184; 811–4193] Company (‘‘Future Accounts’’); and (2)
currently and will not be beneficially
owned by more than 100 persons and it any other broker-dealer, which is a
RSI Retirement Trust; Notice of member of the Financial Industry
Application is not now making and does not propose
to make a public offering of its Regulatory Authority, Inc. (‘‘FINRA’’)
March 5, 2008. securities. Applicant states that it will and which in the future may act as
AGENCY: Securities and Exchange continue to operate as a company distributor of and/or principal
excepted from the definition of underwriter for, the Contracts or Future
Commission (‘‘SEC’’).
investment company pursuant to Contracts offered through the Variable
ACTION: Notice of application for Account or Future Accounts (‘‘Future
deregistration under section 8(f) of the section 3(c)(1) of the Act. Applicant
Underwriters’’).
Investment Company Act of 1940 (the requests an order under section 8(f) of
Filing Date: The application was filed
‘‘Act’’). the Act declaring that it has ceased to
on September 7, 2007 and amended and
be an investment company.
restated on February 5, 2008.
Summary of Application: Applicant For the Commission, by the Division of Hearing or Notification of Hearing: An
requests an order declaring that it has Investment Management, pursuant to order granting the application will be
ceased to be an investment company. delegated authority. issued unless the Commission orders a
Filing Date: The application was filed Florence E. Harmon, hearing. Interested persons may request
on March 4, 2008. Deputy Secretary. a hearing by writing to the Secretary of
Hearing or Notification of Hearing: An the Commission and serving Applicants
[FR Doc. E8–4750 Filed 3–10–08; 8:45 am]
order granting the application will be with a copy of the request, personally or
BILLING CODE 8011–01–P
issued unless the SEC orders a hearing. by mail. Hearing requests should be
Interested persons may request a received by the Commission by 5:30
hearing by writing to the SEC’s SECURITIES AND EXCHANGE p.m. on March 31, 2008, and should be
Secretary and serving applicant with a COMMISSION accompanied by proof of service on
copy of the request, personally or by Applicants in the form of an affidavit or,
mail. Hearing requests should be [Release No. IC–28181; File No. 812–13423]
for lawyers, a certificate of service.
received by the SEC by 5:30 p.m. on Hearing requests should state the nature
March 25, 2008, and should be CUNA Mutual Insurance Society, et al;
Notice of Application of the requester’s interest, the reason for
accompanied by proof of service on the the request, and the issues contested.
applicant, in the form of an affidavit or, March 4, 2008. Persons who wish to be notified of a
for lawyers, a certificate of service. AGENCY: Securities and Exchange hearing may request notification by
Hearing request should state the nature Commission (‘‘SEC’’ or ‘‘Commission’’). writing to the Secretary of the
of the writer’s interest, the reason for the ACTION: Notice of application for an Commission.
request, and the issues contested. order under Section 6(c) of the
Persons may request notification of a ADDRESSES: Secretary, SEC, 100 F Street,
Investment Company Act of 1940, as NE., Washington, DC 20549–1090.
hearing by writing to the SEC’s amended (the ‘‘Act’’ or ‘‘1940 Act’’)
Secretary. Applicants, c/o Pamela M. Krill, Esq.,
granting exemptions from the provisions CUNA Mutual Insurance Society, 5910
ADDRESSES: Secretary, U.S. Securities of Sections 2(a)(32) and 27(i)(2)(A) of Mineral Point Road, Madison,
and Exchange Commission, 100 F St., the Act and Rule 22c–1 thereunder. Wisconsin 53705.
NE., Washington, DC 20549–1090.
Applicants: CUNA Mutual Insurance FOR FURTHER INFORMATION CONTACT:
Applicant, 150 East 42nd St., New York,
Society (‘‘Company’’), CUNA Mutual Sally Samuel, Senior Counsel, or Joyce
NY 10017.
Variable Annuity Account (‘‘Variable M. Pickholz, Branch Chief, Office of
FOR FURTHER INFORMATION CONTACT: Insurance Products, Division of
Account’’) and CUNA Brokerage
Diane L. Titus, Paralegal Specialist, at Investment Management at 202–551–
Services, Inc. (‘‘CUNA Brokerage’’).
(202)551–6810, or Mary Kay Frech, Summary of Application: Applicants 6795.
Branch Chief, at (202)551–6821 seek an order under Section 6(c) of the SUPPLEMENTARY INFORMATION: The
(Division of Investment Management, Act, exempting them from Sections
Office of Investment Company following is a summary of the
2(a)(32) and 27(i)(2)(A) of the Act and application. The complete application
Regulation). Rule 22c–1 thereunder, to permit, the may be obtained for a fee from the SEC’s
SUPPLEMENTARY INFORMATION: The recapture of credits previously applied Public Reference Branch, 100 F Street,
following is a summary of the to purchase payments of certain flexible
yshivers on PROD1PC62 with NOTICES

NE., Washington, DC 20549 (tel. (202)


application. The complete application premium deferred variable annuity 551–8090).
may be obtained for a fee at the SEC’s contracts issued by the Company (the
Public Reference Desk, 100 F Street, ‘‘Contracts’’) under the following Applicants’ Representations
NE., Washington, DC 20549–1520 (tel. circumstances: (1) If the Contract owner 1. The Company is a mutual life
202–551–5850). (‘‘Owner’’) returns the Contract during insurance company originally organized

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