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Agl Separate Account VL-R, et al. – ‘N-6/A’ on 11/3/14 – ‘EX-99.(H)(9)(F)’

On:  Monday, 11/3/14, at 12:25pm ET   ·   Private-to-Public:  Document/Exhibit  –  Release Delayed   ·   Accession #:  1193125-14-393440   ·   File #s:  811-08561, 333-196172

Previous ‘N-6’:  ‘N-6’ on 5/22/14   ·   Next:  ‘N-6’ on 11/4/19   ·   Latest:  ‘N-6/A’ on 12/2/19   ·   12 References:   

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  As Of                Filer                Filing    For·On·As Docs:Size              Issuer               Agent

11/03/14  Agl Separate Account VL-R         N-6/A¶                28:1.3M                                   Donnelley … Solutions/FAAgl Separate Account VL-R Platinum Choice VUL 2

Pre-Effective Amendment to Registration Statement for a Separate Account (Unit Investment Trust)   —   Form N-6
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: N-6/A       Pre-Effective Amendment No. 1 (Form N-6/A) Agl Ag    290   1.68M 
                Platinum Choice Vul                                              
28: CORRESP   ¶ Comment-Response or Other Letter to the SEC            2±     3K 
 2: EX-99.(C)(2)  Form of Selling Group Agreement                     13     55K 
 3: EX-99.(D)(1)  Spec Form of "Ag Plat Choice Vul" Flex Prem Form    34    154K 
                No. Icc-14904                                                    
 4: EX-99.(D)(2)  Spec Form of "Ag Plat Choice Vul" Flex Prem Vul     36    143K 
                Policy Form No. 14904                                            
 5: EX-99.(E)(3)  Spec Form of Vul Supp App, Form No.                  5     40K 
                Aglc107631-2014                                                  
 6: EX-99.(E)(4)  Spec Form of Vul Supp App, Form No. Icc-14107631     5     40K 
 7: EX-99.(E)(5)  Spec Form of Service Request Form, Form No.          5     53K 
                Aglc107952                                                       
12: EX-99.(H)(11)(B)  Jpmorgan Amendment No. 3 to Participation        5     21K 
                Agreement                                                        
13: EX-99.(H)(12)(C)  Janus Aspen Amendment No. 11 to Fund             4     16K 
                Participation Agreemetn                                          
14: EX-99.(H)(13)(E)  Mfs Amendment No. 16 to Participation            3     24K 
                Agreement                                                        
15: EX-99.(H)(14)(E)  Neuberger Amendment No. 3 to Particiation       10     38K 
                Agreement                                                        
16: EX-99.(H)(15)(C)  Oppenheimerfunds Amendment No. 7 to              4     19K 
                Participation Agreemetn                                          
17: EX-99.(H)(19)(B)  Season Series Trust Amendment No. 1 to           3     14K 
                Participation Agreemetn                                          
18: EX-99.(H)(21)(J)  Valic Co. I Fourteenth Amendment to              9     42K 
                Participation Agreement                                          
19: EX-99.(H)(22)(B)  Valic Co. Ii First Amendment to                  4     18K 
                Participation Agreement                                          
20: EX-99.(H)(32)(D)  Franklin Templeton Amendment No. 9 to            4     30K 
                Administrative Services Agreement                                
21: EX-99.(H)(36)(B)  Neuberger Amendment to Amended & Restated        3     21K 
                Administrative Services Agreement                                
22: EX-99.(H)(37)(D)  Oppenheimerfunds Amendment No. 7 to              4     19K 
                Administrative Services Agreement                                
 8: EX-99.(H)(4)(B)  American Funds Amendment No. 6 to                 7     27K 
                Participation Agreement                                          
23: EX-99.(H)(41)(B)  Seasons Series Trust Amendment No. 1 to          2     14K 
                Shareholder Services Agreement                                   
 9: EX-99.(H)(5)(B)  Anchor Series Trust Amendment No. 1 to            3     14K 
                Amended & Restated Participation Agree                           
24: EX-99.(H)(53)(A)  Janus 22C-C Information Sharing                  7     34K 
10: EX-99.(H)(8)(C)  Fidelity Amdendment No. 1 to Amended and          3     18K 
                Restated Participation Agreement                                 
11: EX-99.(H)(9)(F)  Franklin Templeton Amendment to Amended and       3     18K 
                Restated Participation Agreement                                 
25: EX-99.(K)(1)  Legal Opinion and Consent                            2±    15K 
26: EX-99.(L)(1)  Actuarial Opinion and Consent                        1     13K 
27: EX-99.(N)(1)  Pricewaterhousecoopers LLP Consent                   1     11K 


‘EX-99.(H)(9)(F)’   —   Franklin Templeton Amendment to Amended and Restated Participation Agreement
Exhibit Table of Contents

Page (sequential)   (alphabetic) Top
 
11st Page  –  Filing Submission
"Amendment
EX-99.(H)(9)(F)1st Page of 3TOCTopPreviousNextBottomJust 1st
 

EXHIBIT (h)(9)(f) AMENDMENT TO PARTICIPATION AGREEMENT Franklin Templeton Variable Insurance Products Trust Franklin/Templeton Distributors, Inc. American General Life Insurance Company AIG Capital Services, Inc. (formerly SunAmerica Capital Services, Inc.) Franklin Templeton Variable Insurance Products Trust (the "Trust"), Franklin/Templeton Distributors, Inc. (the "Underwriter," and together with the Trust, "we," "our," or "us"), American General Life Insurance Company, and AIG Capital Services, Inc. (formerly SunAmerica Capital Services, Inc.), your distributor (collectively, the "Company" "you" or "your"), on your behalf and on behalf of certain Accounts, (individually a "Party", collectively, the "Parties") have previously entered into a Participation Agreement dated October 1, 2002, as amended (the "Agreement"). The Parties now desire to amend the Agreement by this amendment (the "Amendment"). Unless otherwise indicated, the terms defined in the Agreement shall have the same meaning in this Amendment. A M E N D M E N T For good and valuable consideration, the receipt of which is hereby acknowledged, the parties agree to amend the Agreement as follows: 1. Paragraph 3.3.1 of Section 3.3 of the Agreement is deleted and replaced in its entirety with the paragraph 3.3.1 below: "3.3 MANUAL PURCHASE AND REDEMPTION 3.3.1 You are hereby appointed as our designee for the sole purpose of receiving from Contract owners purchase and exchange orders and requests for redemption resulting from investment in and payments under the Contracts that pertain to subaccounts that invest in Portfolios ("Instructions"). "Business Day" shall mean any day on which the New York Stock Exchange is open for trading and on which the Trust calculates its net asset value pursuant to the rules of the SEC and its current prospectus. "Close of Trading" shall mean the close of trading on the New York Stock Exchange, generally 4:00 p.m. Eastern Time. You represent and warrant that all Instructions transmitted to us for processing on or as of a given Business Day (the "Designated Day") shall have been received in proper form and time stamped by you prior to the Close of Trading on the Designated Day. Such Instructions shall receive the Portfolio share price next calculated following the Close of Trading on the Designated Day (the "Designated Day Price"), provided that we receive the Instructions from you before 9:00 a.m. Eastern Time on the Business Day following the Designated Day (the "Submission Time"). Any such Instructions that we receive after the Submission Time may, but are not guaranteed to, receive the Designated Day Price. You assume responsibility for any loss to a Portfolio caused by our receipt of Instructions after the Submission Time, including but not limited to, losses caused by such Instructions receiving the Designated Day Price, or any cancellation or correction made subsequent to the Submission Time. You will immediately pay the amount of
EX-99.(H)(9)(F)2nd Page of 3TOC1stPreviousNextBottomJust 2nd
such loss to a Portfolio upon notification by us. You represent and warrant that you have, maintain and periodically test, procedures and systems in place reasonably designed to prevent Instructions received after the Close of Trading on a Designated Day from being executed with Instructions received before the Close of Trading on that Designated Day." 2. Paragraph 3.4.3 of Section 3.4 of the Agreement is deleted and replaced in its entirety with the paragraph 3.4.3 below: "3.4 AUTOMATED PURCHASE AND REDEMPTION 3.4.3 On each Business Day, you shall aggregate all purchase and redemption orders for shares of a Portfolio that you received prior to the Close of Trading. You represent and warrant that all orders for net purchases or net redemptions derived from Instructions received by you and transmitted to Fund/SERV for processing on or as of a given Business Day (the "Designated Day") shall have been received in proper form and time stamped by you prior to the Close of Trading on the Designated Day. Such orders shall receive the Portfolio share price next calculated following the Close of Trading on the Designated Day (the "Designated Day Price"), provided that we receive Instructions from Fund/SERV by 9:00 a.m. Eastern Time on the Business Day following the Designated Day (the "Submission Time"). Any such Instructions that we receive after the Submission Time may, but are not guaranteed to, receive the Designated Day Price. You assume responsibility for any loss to a Portfolio caused by our receipt of Instructions after the Submission Time including, but not limited to, losses caused by such Instructions receiving the Designated Day Price, or any cancellation or correction made subsequent to the Submission Time. You will immediately pay the amount of such loss to a Portfolio upon notification by us. You represent and warrant that you have, maintain and periodically test, procedures and systems in place reasonably designed to prevent Instructions received after the Close of Trading on a Designated Day from being executed with Instructions received before the Close of Trading on that Designated Day." 3. All other terms and provisions of the Agreement not amended herein shall remain in full force and effect. IN WITNESS WHEREOF, each of the Parties has caused its duly authorized officers to execute this Amendment effective as of August 1, 2014. The Trust: FRANKLIN TEMPLETON VARIABLE INSURANCE Only on behalf of PRODUCTS TRUST each Portfolio listed on Schedule C of By:___________________________________ the Agreement. Name: Title: 2
EX-99.(H)(9)(F)Last Page of 3TOC1stPreviousNextBottomJust 3rd
The Underwriter: FRANKLIN/TEMPLETON DISTRIBUTORS, INC. By:___________________________________ Name: Title: The Company: AMERICAN GENERAL LIFE INSURANCE COMPANY By:___________________________________ Name: Title: The Distributor: AIG CAPITAL SERVICES, INC. By:___________________________________ Name: Title: 3

Dates Referenced Herein

Referenced-On Page
This ‘N-6/A’ Filing    Date First  Last      Other Filings
Filed on:11/3/14None on these Dates
8/1/142
10/1/021
 List all Filings 


12 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 4/25/24  Agl Separate Account VL-R         485BPOS     4/29/24    3:1.7M                                   Donnelley … Solutions/FA
 4/24/24  Agl Separate Account VL-R         485BPOS     4/29/24    4:1.1M                                   Donnelley … Solutions/FA
 4/28/23  Agl Separate Account VL-R         485BPOS     5/01/23    3:1.7M                                   Donnelley … Solutions/FA
 4/27/23  Agl Separate Account VL-R         485BPOS     5/01/23    4:1.1M                                   Donnelley … Solutions/FA
 4/28/22  Agl Separate Account VL-R         485BPOS     5/02/22    5:1.1M                                   Donnelley … Solutions/FA
 4/26/22  Agl Separate Account VL-R         485BPOS     5/02/22    4:1.6M                                   Donnelley … Solutions/FA
 1/24/22  Agl Separate Account VL-R         485APOS                1:1.5M                                   Donnelley … Solutions/FA
11/05/21  Agl Separate Account VL-R         485BPOS    11/08/21    3:355K                                   Donnelley … Solutions/FA
10/15/21  Agl Separate Account VL-R         485BPOS    10/15/21    3:372K                                   Donnelley … Solutions/FA
 9/17/21  Agl Separate Account VL-R         485APOS                1:1.5M                                   Donnelley … Solutions/FA
 4/28/21  Agl Separate Account VL-R         485BPOS     5/03/21    4:1M                                     Donnelley … Solutions/FA
 4/28/21  Agl Separate Account VL-R         485BPOS     5/03/21    3:1.6M                                   Donnelley … Solutions/FA
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Filing Submission 0001193125-14-393440   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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