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Allstate Life Insurance Co of New York – ‘POS AM’ on 4/1/16 – ‘EX-101.SCH’

On:  Friday, 4/1/16, at 1:59pm ET   ·   Accession #:  1193125-16-527565   ·   File #:  333-203177

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

 4/01/16  Allstate Life Ins Co of New York  POS AM               116:14M                                    Donnelley … Solutions/FA

Post-Effective Amendment of a Registration Statement
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: POS AM      Alic of New York                                    HTML   3.49M 
 2: EX-1.(C)    Amended and Restated Principal Underwriting         HTML     71K 
                Agreement                                                        
 3: EX-1.(D)    Amended and Restated Principal Underwriting         HTML     62K 
                Agreement (As Successor)                                         
 4: EX-10.8     Amended and Restated Principal Underwriting         HTML     71K 
                Agreement                                                        
 5: EX-10.9     Amended and Restated Principal Underwriting         HTML     62K 
                Agreement (As Successor)                                         
 6: EX-23       Consent of Independent Registered Public            HTML     33K 
                Accounting Firm                                                  
 7: EX-24       Powers of Attorney                                  HTML     52K 
 8: EX-99.(A)   Certified Copy of Amended and Restated By-Laws      HTML     83K 
 9: EX-99.(B)   Experts                                             HTML     32K 
16: R1          Document and Entity Information                     HTML     45K 
17: R2          Statements of Operations and Comprehensive Income   HTML     99K 
18: R3          Statements of Operations and Comprehensive Income   HTML     42K 
                (Parenthetical)                                                  
19: R4          Statements of Financial Position                    HTML    147K 
20: R5          Statements of Financial Position (Parenthetical)    HTML     50K 
21: R6          Statements of Shareholder's Equity                  HTML     54K 
22: R7          Statements of Cash Flows                            HTML    116K 
23: R8          General                                             HTML     52K 
24: R9          Summary of Significant Accounting Policies          HTML     76K 
25: R10         Supplemental Cash Flow Information                  HTML     44K 
26: R11         Related Party Transactions                          HTML     47K 
27: R12         Investments                                         HTML    252K 
28: R13         Fair Value of Assets and Liabilities                HTML    262K 
29: R14         Derivative Financial Instruments and Off-balance    HTML    133K 
                sheet Financial Instruments                                      
30: R15         Reserve for Life-Contingent Contract Benefits and   HTML    104K 
                Contractholder Funds                                             
31: R16         Reinsurance                                         HTML     60K 
32: R17         Deferred Policy Acquisition and Sales Inducement    HTML     46K 
                Costs                                                            
33: R18         Guarantees and Contingent Liabilities               HTML     41K 
34: R19         Income Taxes                                        HTML     58K 
35: R20         Statutory Financial Information and Dividend        HTML     39K 
                Limitations                                                      
36: R21         Benefit Plans                                       HTML     38K 
37: R22         Other Comprehensive Income                          HTML     56K 
38: R23         Summary of Investments Other Than Investments in    HTML     57K 
                Related Parties                                                  
39: R24         Reinsurance                                         HTML     61K 
40: R25         Valuation Allowances and Qualifying Accounts        HTML     43K 
41: R26         Summary of Significant Accounting Policies          HTML    114K 
                (Policies)                                                       
42: R27         General (Tables)                                    HTML     44K 
43: R28         Supplemental Cash Flow Information (Tables)         HTML     42K 
44: R29         Investments (Tables)                                HTML    265K 
45: R30         Fair Value of Assets and Liabilities (Tables)       HTML    239K 
46: R31         Derivative Financial Instruments and Off-balance    HTML    126K 
                sheet Financial Instruments (Tables)                             
47: R32         Reserve for Life-Contingent Contract Benefits and   HTML    112K 
                Contractholder Funds (Tables)                                    
48: R33         Reinsurance (Tables)                                HTML     56K 
49: R34         Deferred Policy Acquisition and Sales Inducement    HTML     47K 
                Costs (Tables)                                                   
50: R35         Income Taxes (Tables)                               HTML     58K 
51: R36         Other Comprehensive Income (Tables)                 HTML     53K 
52: R37         Summary of Premiums and Contract Charges by         HTML     55K 
                Product (Detail)                                                 
53: R38         Summary of Significant Accounting Policies -        HTML     49K 
                Additional Information (Detail)                                  
54: R39         Supplemental Cash Flow Information - Additional     HTML     43K 
                Information (Detail)                                             
55: R40         Schedule of Supplemental Cash Flow Information      HTML     45K 
                (Detail)                                                         
56: R41         Related Party Transactions - Additional             HTML     67K 
                Information (Detail)                                             
57: R42         Schedule for Fixed Income Securities at Amortized   HTML     74K 
                Cost, Gross Unrealized Gains and Losses and Fair                 
                Value (Detail)                                                   
58: R43         Schedule for Fixed Income Securities Based on       HTML     73K 
                Contractual Maturities (Detail)                                  
59: R44         Schedule of Net Investment Income (Detail)          HTML     58K 
60: R45         Schedule of Realized Capital Gains and Losses by    HTML     52K 
                Asset Type (Detail)                                              
61: R46         Schedule of Realized Capital Gains and Losses by    HTML     50K 
                Transaction Type (Detail)                                        
62: R47         Investments - Additional Information (Detail)       HTML    100K 
63: R48         Schedule of Other-Than-Temporary Impairment Losses  HTML     68K 
                by Asset Type (Detail)                                           
64: R49         Schedule of Other-Than-Temporary Impairment Losses  HTML     45K 
                on Fixed Income Securities Iincluded in                          
                Accumulated Other Comprehensive Income (Detail)                  
65: R50         Schedule of Rollforwards of Cumulative Credit       HTML     50K 
                Losses Recognized in Earnings for Fixed Income                   
                Securities Held (Detail)                                         
66: R51         Schedule of Unrealized Net Capital Gains and        HTML     89K 
                Losses (Detail)                                                  
67: R52         Schedule of Change in Unrealized net Capital Gains  HTML     61K 
                and Losses (Detail)                                              
68: R53         Summary of Gross Unrealized Losses and Fair Value   HTML    100K 
                of Fixed Income and Equity Securities by Length of               
                Time (Detail)                                                    
69: R54         Schedule of Commercial Mortgage Loans by            HTML     49K 
                Geographic Distribution (Detail)                                 
70: R55         Schedule of Types of Properties Collateralizing     HTML     48K 
                Commercial Mortgage Loans (Detail)                               
71: R56         Schedule of Contractual Maturities of Mortgage      HTML     63K 
                Loans (Detail)                                                   
72: R57         Summary of Carrying Value of Non-Impaired Fixed     HTML     48K 
                and Variable Rate Mortgage Loans by Debt Service                 
                Coverage Ration Distribution (Detail)                            
73: R58         Schedule of Rollforward of Valuation Allowance on   HTML     43K 
                Impaired Mortgage Loans (Detail)                                 
74: R59         Schedule of Municipal Bonds Held For Investment by  HTML     44K 
                Geographic Distribution (Detail)                                 
75: R60         Summary of Assets and Liabilities Measured at Fair  HTML    182K 
                Value on Recurring and Non-Recurring Basis                       
                (Detail)                                                         
76: R61         Summary of Assets and Liabilities Measured at Fair  HTML     36K 
                Value on Recurring and Non-Recurring Basis                       
                (Parenthetical) (Detail)                                         
77: R62         Summary of Quantitative Information About           HTML     49K 
                Significant Unobservable Inputs Used in Level                    
                Three Fair Value Measurements (Detail)                           
78: R63         Fair Value of Assets and Liabilities - Additional   HTML     58K 
                Information (Detail)                                             
79: R64         Schedule of Rollforward of Level 3 Assets and       HTML    187K 
                Liabilities Held at Fair Value on Recurring Basis                
                (Detail)                                                         
80: R65         Schedule of Rollforward of Level 3 Assets and       HTML     53K 
                Liabilities Held at Fair Value on Recurring Basis                
                (Parenthetical) (Detail)                                         
81: R66         Schedule of Change in Unrealized Gains and Losses   HTML     60K 
                Included in Net Income for Level Three Assets and                
                Liabilities Held (Detail)                                        
82: R67         Schedule of Carrying Values and Fair Value          HTML     54K 
                Estimates of Financial Instruments not Carried at                
                Fair Value (Detail)                                              
83: R68         Derivative Financial Instruments and Off-balance    HTML     43K 
                sheet Financial Instruments - Additional                         
                Information (Detail)                                             
84: R69         Summary of Volume and Fair Value Positions of       HTML    112K 
                Derivative Instruments and Reporting Location in                 
                Statement of Financial Position (Detail)                         
85: R70         Schedule of Gross and Net Amount for Company's OTC  HTML     76K 
                Derivatives Subject to Enforceable Master Netting                
                Arrangements (Detail)                                            
86: R71         Summary of Gains and Losses from Valuation and      HTML     77K 
                Settlements For Derivatives Not Designated As                    
                Hedges (Detail)                                                  
87: R72         Summary of Counterparty Credit Exposure by          HTML     57K 
                Counterparty Credit Rating (Detail)                              
88: R73         Schedule of Reserve for Life-Contingent Contract    HTML     49K 
                Benefits (Detail)                                                
89: R74         Schedule of Key Assumptions Used In Calculation     HTML     91K 
                Reserve for Life-Contingent Contract Benefits                    
                (Detail)                                                         
90: R75         Reserve for Life-Contingent Contract Benefits and   HTML     44K 
                Contractholder Funds - Additional Information                    
                (Detail)                                                         
91: R76         Schedule of Contractholder Funds (Detail)           HTML     46K 
92: R77         Schedule of Contract Provisions Related to          HTML     77K 
                Contractholder Funds (Detail)                                    
93: R78         Schedule of Contractholder Funds Activity (Detail)  HTML     51K 
94: R79         Summary of Variable Annuity Contracts with          HTML     57K 
                Guarantees (Detail)                                              
95: R80         Summary of Liabilities for Guarantees (Detail)      HTML     73K 
96: R81         Summary of Liabilities for Guarantees               HTML     56K 
                (Parenthetical) (Detail)                                         
97: R82         Reinsurance - Additional Information (Detail)       HTML     67K 
98: R83         Schedule of Effects of Reinsurance on Premiums and  HTML     48K 
                Contract Charges (Detail)                                        
99: R84         Schedule of Effects of Reinsurance on Contract      HTML     48K 
                Benefits (Detail)                                                
100: R85         Schedule of Effect of Reinsurance on Interest       HTML     46K  
                Credited to Contractholder Funds (Detail)                        
101: R86         Schedule of Deferred Policy Acquisition Costs       HTML     47K  
                (Detail)                                                         
102: R87         Schedule of Deferred Sales Inducement Activity      HTML     43K  
                (Detail)                                                         
103: R88         Guarantees and Contingent Liabilities - Additional  HTML     40K  
                Information (Detail)                                             
104: R89         Income Taxes - Additional Information (Detail)      HTML     51K  
105: R90         Components of Deferred Income Tax Assets and        HTML     66K  
                Liabilities (Detail)                                             
106: R91         Components of Income Tax Expense (Detail)           HTML     45K  
107: R92         Reconciliation of Statutory Federal Income Tax      HTML     47K  
                Rate to Effective Income Tax Rate (Detail)                       
108: R93         Statutory Financial Information - Additional        HTML     47K  
                Information (Detail)                                             
109: R94         Benefit Plans - Additional Information (Detail)     HTML     41K  
110: R95         Schedule of Components of Other Comprehensive       HTML     81K  
                Income on Pre-Tax and After-Tax Basis (Detail)                   
111: R96         Schedule I - Summary of Investments Other Than      HTML    101K  
                Investments in Related Parties (Detail)                          
112: R97         Schedule IV - Reinsurance (Detail)                  HTML     70K  
113: R98         Schedule V - Valuation Allowances and Qualifying    HTML     47K  
                Accounts (Detail)                                                
115: XML         IDEA XML File -- Filing Summary                      XML    219K  
114: EXCEL       IDEA Workbook of Financial Reports                  XLSX    157K  
10: EX-101.INS  XBRL Instance -- ck0000839759-20151231               XML   4.02M 
12: EX-101.CAL  XBRL Calculations -- ck0000839759-20151231_cal       XML    344K 
13: EX-101.DEF  XBRL Definitions -- ck0000839759-20151231_def        XML   1.62M 
14: EX-101.LAB  XBRL Labels -- ck0000839759-20151231_lab             XML   2.11M 
15: EX-101.PRE  XBRL Presentations -- ck0000839759-20151231_pre      XML   1.83M 
11: EX-101.SCH  XBRL Schema -- ck0000839759-20151231                 XSD    342K 
116: ZIP         XBRL Zipped Folder -- 0001193125-16-527565-xbrl      Zip    337K  


‘EX-101.SCH’   —   XBRL Schema — ck0000839759-20151231


This Exhibit is an XBRL XML File.


                                                                                                                                                                                
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<link:definition> 127 - Disclosure - Summary of Significant Accounting Policies (Policies) </link:definition>
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<link:definition> 128 - Disclosure - General (Tables) </link:definition>
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<link:definition> 129 - Disclosure - Supplemental Cash Flow Information (Tables) </link:definition>
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<link:definition> 130 - Disclosure - Investments (Tables) </link:definition>
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<link:definition> 131 - Disclosure - Fair Value of Assets and Liabilities (Tables) </link:definition>
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<link:definition> 132 - Disclosure - Derivative Financial Instruments and Off-balance sheet Financial Instruments (Tables) </link:definition>
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<link:definition> 133 - Disclosure - Reserve for Life-Contingent Contract Benefits and Contractholder Funds (Tables) </link:definition>
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<link:definition> 134 - Disclosure - Reinsurance (Tables) </link:definition>
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<link:definition> 135 - Disclosure - Deferred Policy Acquisition and Sales Inducement Costs (Tables) </link:definition>
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<link:definition> 136 - Disclosure - Income Taxes (Tables) </link:definition>
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<link:definition> 137 - Disclosure - Other Comprehensive Income (Tables) </link:definition>
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<link:definition> 138 - Disclosure - Summary of Premiums and Contract Charges by Product (Detail) </link:definition>
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<link:definition> 139 - Disclosure - Summary of Significant Accounting Policies - Additional Information (Detail) </link:definition>
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<link:definition> 140 - Disclosure - Supplemental Cash Flow Information - Additional Information (Detail) </link:definition>
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<link:definition> 141 - Disclosure - Schedule of Supplemental Cash Flow Information (Detail) </link:definition>
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<link:definition> 142 - Disclosure - Related Party Transactions - Additional Information (Detail) </link:definition>
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<link:definition> 143 - Disclosure - Schedule for Fixed Income Securities at Amortized Cost, Gross Unrealized Gains and Losses and Fair Value (Detail) </link:definition>
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<link:definition> 144 - Disclosure - Schedule for Fixed Income Securities Based on Contractual Maturities (Detail) </link:definition>
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<link:definition> 145 - Disclosure - Schedule of Net Investment Income (Detail) </link:definition>
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<link:definition> 146 - Disclosure - Schedule of Realized Capital Gains and Losses by Asset Type (Detail) </link:definition>
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<link:definition> 147 - Disclosure - Schedule of Realized Capital Gains and Losses by Transaction Type (Detail) </link:definition>
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<link:definition> 148 - Disclosure - Investments - Additional Information (Detail) </link:definition>
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<link:definition> 149 - Disclosure - Schedule of Other-Than-Temporary Impairment Losses by Asset Type (Detail) </link:definition>
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<link:definition> 150 - Disclosure - Schedule of Other-Than-Temporary Impairment Losses on Fixed Income Securities Iincluded in Accumulated Other Comprehensive Income (Detail) </link:definition>
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<link:definition> 151 - Disclosure - Schedule of Rollforwards of Cumulative Credit Losses Recognized in Earnings for Fixed Income Securities Held (Detail) </link:definition>
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<link:definition> 152 - Disclosure - Schedule of Unrealized Net Capital Gains and Losses (Detail) </link:definition>
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<link:definition> 153 - Disclosure - Schedule of Change in Unrealized net Capital Gains and Losses (Detail) </link:definition>
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<link:definition> 154 - Disclosure - Summary of Gross Unrealized Losses and Fair Value of Fixed Income and Equity Securities by Length of Time (Detail) </link:definition>
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<link:definition> 155 - Disclosure - Schedule of Commercial Mortgage Loans by Geographic Distribution (Detail) </link:definition>
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<link:definition> 156 - Disclosure - Schedule of Types of Properties Collateralizing Commercial Mortgage Loans (Detail) </link:definition>
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<link:definition> 157 - Disclosure - Schedule of Contractual Maturities of Mortgage Loans (Detail) </link:definition>
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<link:definition> 158 - Disclosure - Summary of Carrying Value of Non-Impaired Fixed and Variable Rate Mortgage Loans by Debt Service Coverage Ration Distribution (Detail) </link:definition>
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<link:definition> 159 - Disclosure - Schedule of Rollforward of Valuation Allowance on Impaired Mortgage Loans (Detail) </link:definition>
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<link:definition> 160 - Disclosure - Schedule of Municipal Bonds Held For Investment by Geographic Distribution (Detail) </link:definition>
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<link:definition> 161 - Disclosure - Summary of Assets and Liabilities Measured at Fair Value on Recurring and Non-Recurring Basis (Detail) </link:definition>
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<link:definition> 162 - Disclosure - Summary of Assets and Liabilities Measured at Fair Value on Recurring and Non-Recurring Basis (Parenthetical) (Detail) </link:definition>
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<link:definition> 163 - Disclosure - Summary of Quantitative Information About Significant Unobservable Inputs Used in Level Three Fair Value Measurements (Detail) </link:definition>
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<link:definition> 164 - Disclosure - Fair Value of Assets and Liabilities - Additional Information (Detail) </link:definition>
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<link:definition> 165 - Disclosure - Schedule of Rollforward of Level 3 Assets and Liabilities Held at Fair Value on Recurring Basis (Detail) </link:definition>
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<link:definition> 166 - Disclosure - Schedule of Rollforward of Level 3 Assets and Liabilities Held at Fair Value on Recurring Basis (Parenthetical) (Detail) </link:definition>
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<link:definition> 167 - Disclosure - Schedule of Change in Unrealized Gains and Losses Included in Net Income for Level Three Assets and Liabilities Held (Detail) </link:definition>
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<link:definition> 168 - Disclosure - Schedule of Carrying Values and Fair Value Estimates of Financial Instruments not Carried at Fair Value (Detail) </link:definition>
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<link:definition> 169 - Disclosure - Derivative Financial Instruments and Off-balance sheet Financial Instruments - Additional Information (Detail) </link:definition>
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<link:definition> 170 - Disclosure - Summary of Volume and Fair Value Positions of Derivative Instruments and Reporting Location in Statement of Financial Position (Detail) </link:definition>
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<link:definition> 171 - Disclosure - Schedule of Gross and Net Amount for Company's OTC Derivatives Subject to Enforceable Master Netting Arrangements (Detail) </link:definition>
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<link:definition> 172 - Disclosure - Summary of Gains and Losses from Valuation and Settlements For Derivatives Not Designated As Hedges (Detail) </link:definition>
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<link:definition> 173 - Disclosure - Summary of Counterparty Credit Exposure by Counterparty Credit Rating (Detail) </link:definition>
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<link:definition> 174 - Disclosure - Schedule of Reserve for Life-Contingent Contract Benefits (Detail) </link:definition>
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<link:definition> 175 - Disclosure - Schedule of Key Assumptions Used In Calculation Reserve for Life-Contingent Contract Benefits (Detail) </link:definition>
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</schema>


8 Subsequent Filings that Reference this Filing

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

 3/29/24  Wilton Reassurance Life Co. of NY S-1                    5:4.1M                                   Broadridge Fin’l So… Inc
 4/11/23  Wilton Reassurance Life Co. of NY POS AM                 5:2.1M                                   Workiva Inc Wde… FA01/FA
 4/28/22  Wilton Reassurance Life Co. of NY POS AM                 1:273K                                   Workiva Inc Wde… FA01/FA
 4/11/22  Wilton Reassurance Life Co. of NY POS AM                 5:2.4M                                   Workiva Inc Wde… FA01/FA
11/01/21  Wilton Reassurance Life Co. of NY S-1        10/29/21    9:7.6M                                   Donnelley … Solutions/FA
 4/27/21  Allstate Life Ins Co. of New York S-1/A       4/26/21  110:22M                                    Workiva Inc Wde… FA01/FA
 4/21/21  Allstate Life Ins Co. of New York CORRESP4/01/24    1:2.7M                                   Workiva Inc Wde… FA01/FA
 3/30/21  Allstate Life Ins Co. of New York S-1                  112:22M                                    Workiva Inc Wde… FA01/FA
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Filing Submission 0001193125-16-527565   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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