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Riversource of New York Variable Annuity Account 1, et al. – ‘485BPOS’ on 9/30/05

On:  Friday, 9/30/05, at 3:08pm ET   ·   Effective:  10/3/05   ·   Accession #:  820027-5-835   ·   File #s:  333-00041, 811-07475

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

 9/30/05  Riversource of NY Var Annuity … 1 485BPOS    10/03/05    4:41K                                    Ameriprise Financial Inc
          Acl Variable Annuity Account 1

Post-Effective Amendment
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 485BPOS     Acl Variable Annuity Account 1                        15    108K 
 2: EX-99       Exhibit Index                                          1      4K 
 4: EX-99.10 AUD CONSENT  Consent of Independent Registered Public     1      6K 
                          Accounting Firm                                        
 3: EX-99.9 OPIN COUNSEL  Opinion of Counsel and Consent               1      8K 


485BPOS   —   Acl Variable Annuity Account 1
Document Table of Contents

Page (sequential) | (alphabetic) Top
 
11st Page   -   Filing Submission
3Item 24. Financial Statements and Exhibits
5Item 25. Directors and Officers of the Depositor (American Centurion Life Assurance Company)
6Item 26. Persons Controlled by or Under Common Control with the Depositor or Registrant
"Item 27. Number of Contract owners
"Item 28. Indemnification
7Item 29. Principal Underwriters
12Item 30. Location of Accounts and Records
"Item 31. Management Services
"Item 32. Undertakings
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SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM N-4 REGISTRATION STATEMENT UNDER THE SECURITIES ACT OF 1933 Post-Effective Amendment No. 11 (File No. 333-00041) [x] ------- and/or REGISTRATION STATEMENT UNDER THE INVESTMENT COMPANY ACT OF 1940 Amendment No. 12 (File No. 811-07475) [x] ------- (Check appropriate box or boxes) ACL VARIABLE ANNUITY ACCOUNT 1 -------------------------------------------------------------------------------- (Exact Name of Registrant) American Centurion Life Assurance Company -------------------------------------------------------------------------------- (Name of Depositor) 20 Madison Avenue Extension, Albany NY 12203 -------------------------------------------------------------------------------- (Address of Depositor's Principal Executive Offices) (Zip Code) Depositor's Telephone Number, including Area Code (612) 671-3678 -------------------------------------------------------------------------------- Mary Ellyn Minenko, 50607 Ameriprise Financial Center, Minneapolis, MN 55474 -------------------------------------------------------------------------------- (Name and Address of Agent for Service) It is proposed that this filing will become effective (check appropriate box) [ ] immediately upon filing pursuant to paragraph (b) [X] on Oct. 3, 2005 pursuant to paragraph (b) [ ] 60 days after filing pursuant to paragraph (a)(1) [ ] on (date) pursuant to paragraph (a)(1) If appropriate check the following box: [ ] this post-effective amendment designates a new effective date for a previously filed post-effective amendment. The purpose of this Post-Effective Amendment No. 11 to this Registration Statement No. 333-00041 on Form N-4 is to supplement the prospectus and Statement of Additional Information for Privileged Assets Select Annuity. The Prospectus relating to the above-listed variable annuity filed electronically as Post-Effective Amendment No. 10 to Registration Statement No. 333-00041 filed on or about April 28, 2005 is incorporated by reference into Part A of Post-Effective Amendment No. 11 to this Registration Statement. The Combined Statement of Additional Information relating to the above-listed variable annuity filed electronically as Post-Effective Amendment No. 10 to Registration Statement No. 333-00041 on or about April 28, 2005 is incorporated by reference into Part B of Post-Effective Amendment No. 11 to this Registration Statement.
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Prospectus and Statement of Additional Information Supplement dated Oct. 3, 2005* Product Name Prospectus Form # SAI Form # Date Privileged Assets(R) Select Annuity S-6102 L S-6313 C 4/29/05 On Feb. 1, 2005, American Express Company (American Express) announced plans to pursue a spin off to American Express shareholders of its American Express Financial Advisors unit. On Aug. 1, 2005 several of the companies offering the products and services of the American Express Financial Advisors unit changed their names in anticipation of their separation from American Express. American Express Financial Corporation changed its name to Ameriprise Financial, Inc. (Ameriprise Financial). Ameriprise Financial is the parent company of the Ameriprise Financial family of companies, including IDS Life Insurance Company (IDS Life). IDS Life is the parent company of American Centurion Life Assurance Company, the issuer of the annuity contract described in the prospectus. American Express Financial Advisors Inc., the distributor of the annuity contract described in the prospectus, changed its name to Ameriprise Financial Services, Inc., a wholly owned subsidiary of Ameriprise Financial. As part of a corporate reorganization, Ameriprise Financial also introduced the RiverSource(SM) brand. The RiverSource brand represents Ameriprise Financial's products. Accordingly, on Oct. 1, 2005, the RiverSource brand replaced "American Express" and "AXP" in the name of the American Express(R) Variable Portfolio Funds and certain funds changed their names as indicated in the following table. In addition, the fee table has been restated to reflect current fees. Total annual operating expenses for the AXP(R) Variable Portfolio funds (Before fee waivers and/or expense reimbursements, if applicable, as a percentage of average daily net assets) [Enlarge/Download Table] Management Distribution Other Fund (Old Name / New Name) fees (12b-1) fees expenses Total AXP(R) Variable Portfolio - Cash Management Fund / RiverSource(SM) Variable Portfolio - Cash Management Fund 0.51% 0.13% 0.08% 0.72%(1) AXP(R) Variable Portfolio - Diversified Bond Fund / RiverSource(SM) Variable Portfolio - Diversified Bond Fund 0.60% 0.13% 0.10% 0.83%(1) AXP(R) Variable Portfolio - Large Cap Equity Fund / RiverSource(SM) Variable Portfolio - Large Cap Equity Fund 0.65% 0.13% 0.08% 0.86%(1) AXP(R) Variable Portfolio - Managed Fund / RiverSource(SM) Variable Portfolio - Balanced Fund 0.59% 0.13% 0.08% 0.80%(1) AXP(R) Variable Portfolio - Strategy Aggressive Fund / RiverSource(SM) Variable Portfolio - Strategy Aggressive Fund 0.51% 0.13% 0.08% 0.72%(1) AXP(R) Variable Portfolio - Threadneedle International Fund / RiverSource(SM) Variable Portfolio - International Opportunity Fund 0.75% 0.13% 0.12% 1.00%(1) (1) The fund's expense figures are based on actual expenses for the fiscal year ended Aug. 31, 2004 adjusted to reflect current fees. RiverSource also is used for certain subsidiaries of Ameriprise Financial that provide services in connection with the annuity contract. On Oct. 1, 2005, RiverSource Investments, LLC, a wholly owned subsidiary of Ameriprise Financial, replaced Ameriprise Financial as the investment adviser of the RiverSource Variable Portfolio Funds. The full transition to the RiverSource name will be substantially completed in the fourth quarter 2005, and will be subsequently communicated to contract owners, as appropriate. The separation of the American Express Financial Advisors unit from American Express was completed on Sept. 30, 2005. Ameriprise Financial and its subsidiaries are no longer affiliated with American Express. Ameriprise Financial is now an independent company trading under the ticker symbol AMP with a board of directors and management that are separate from American Express. THIS SUPPLEMENT SHOULD BE RETAINED WITH THE CURRENT PROSPECTUS FOR YOUR PRODUCT. S-6102-25 A (10/05) * Valid until next prospectus update. Destroy May 1, 2006
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PART C. Item 24. Financial Statements and Exhibits (a) Financial Statements filed as Item 24a in Post-Effective Amendment No. 10 to Registration Statement No. 333-00041 filed on or about April 28, 2005, are incorporated by reference. (b) Exhibits: 1. Certificate, establishing the ACL Variable Annuity Account 1 dated December 1, 1995, filed electronically as Exhibit 1 to Registrant's Initial Registration Statement No. 333-00041, is incorporated herein by reference. 2. Not Applicable. 3. Variable Annuity and Life Insurance Distribution and Administrative Services Agreement, dated April 10, 1997, is filed electronically as Exhibit 3 to Post-Effective Amendment No. 2 to Registration Statement No. 333-00041, is incorporated herein by reference. 4.1 Form of Group Deferred Annuity Certificate for nonqualified contract (form 38502-NY 10/95), filed electronically as Exhibit 4.1 to Registrant's Initial Registration Statement No. 333-00041, is incorporated herein by reference. 4.2 Form of Group Deferred Annuity Certificate for qualified contract (form 38503-IRA-NY 10/95), filed electronically as Exhibit 4.2 to Registrant's Initial Registration Statement No. 333-00041, is incorporated herein by reference. 4.3 Form of Group Deferred Annuity Contract (form 38501 10/95), filed electronically as Exhibit 4.3 to Registrant's Initial Registration Statement No. 333-00041, is incorporated herein by reference. 4.4 Form of Traditional IRA or SEP-IRA Annuity Endorsement (form 272170 12/02) filed electronically as Exhibit 4.4 to Post-Effective Amendment No. 8 to Registration Statement No. 333-00041 is incorporated herein by reference. 5.1 Form of Group Deferred Variable Annuity Application (form 32041 10/95), filed electronically as Exhibit 5.1 to Registrant's Initial Registration Statement No. 333-00041, is incorporated herein by reference. 5.2 Form of Variable Annuity Participant Enrollment Form (form 32027C 10/95), filed electronically as Exhibit 5.2 to Registrant's Initial Registration Statement No. 333-00041, is incorporated herein by reference. 6.1 Amended and Restated Articles of Incorporation of American Centurion Life, filed electronically as Exhibit 6.1 to Registrant's Initial Registration Statement No. 333-00041, is incorporated herein by reference. 6.2 Amended By-Laws of American Centurion Life, filed electronically as Exhibit 6.2 to Registrant's Initial Registration Statement No. 333-00041, is incorporated herein by reference. 6.3 Emergency By-Laws of American Centurion Life, filed electronically as Exhibit 6.3 to Registrant's Initial Registration Statement No. 333-00041, is incorporated herein by reference. 6.4 Amended and Restated By-Laws of American Centurion Life Assurance Company filed electronically as Exhibit 6.4 to the Initial Registration Statement No. 333-101051, filed on or about February 6, 2003, is incorporated herein by reference.
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7. Not Applicable. 8.1 Participation Agreement, dated Oct. 7, 1996, by and among American Centurion Life and Warburg Pincus Trust and Warburg, Pincus Counsellors, Inc. and Counsellors Securities, Inc., filed electronically as Exhibit 8.1 to Post-Effective Amendment No. 2 to Registration Statement No. 333-00041, is incorporated herein by reference. 8.2 Fund Participation Agreement, dated July 31, 1996, by and among American Centurion Life, TCI Portfolios, Inc. and Investors Research Corporation, filed electronically as Exhibit 8.2 to Post-Effective Amendment No. 2 to Registration Statement No. 333-00041, is incorporated herein by reference. 8.3 Fund Participation Agreement, dated Oct. 23, 1996, between Janus Aspen Series and American Centurion Life, filed electronically as Exhibit 8.3 to Post-Effective Amendment No. 2 to Registration Statement No. 333-00041, is incorporated herein by reference. 8.4 Participation Agreement, dated Dec. 4, 1996, among INVESCO Variable Investment Funds, Inc., INVESCO Funds Group, Inc. and American Centurion Life, filed electronically as Exhibit 8.4 to Post-Effective Amendment No. 2 to Registration Statement No. 333-00041, is incorporated herein by reference. 9. Opinion of counsel and consent to its use as to the legality of the securities being registered is filed electronically herewith. 10. Consent of Independent Registered Public Accounting Firm is filed electronically herewith. 11. None. 12. Not Applicable. 13.1 Power of Attorney to sign Amendments to this Registration Statement, dated April 13, 2005, filed electronically as Exhibit 13.1 to Post-Effective Amendment No. 11 to Registration Statement No. 333-00041, is incorporated by reference. 13.2 Power of Attorney to sign Amendments to this Registration Statement, dated July 7, 2004, filed electronically as Exhibit 13.2 to Post-Effective Amendment No. 11 to Registration Statement No. 333-00041, is incorporated by reference.
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[Enlarge/Download Table] Item 25. Directors and Officers of the Depositor (American Centurion Life Assurance Company) Name Principal Business Address* Positions and Offices with Depositor ------------------------------- -------------------------------------------- ------------------------------------------ Gumer C. Alvero 1765 Ameriprise Financial Center Director, Vice President Minneapolis, MN 55474 Annuities Timothy V. Bechtold 249 Ameriprise Financial Center Director, President and Chief Minneapolis, MN 55474 Executive Officer Walter S. Berman AMEX Tower W.F.C. Vice President and Treasurer 200 Vesey St. New York, NY Maureen A. Buckley 20 Madison Ave. Extension Director, Vice President, Chief P.O. Box 5555 Operating Officer, Consumer Affairs Albany, NY 12205-0555 Officer and Money Laundering Prevention Officer Rodney P. Burwell Xerxes Corporation Director 7901 Xerxes Ave. So. Suite 201 Bloomington, MN 55431-1253 Robert R. Grew Carter, Ledyard & Milburn Director 2 Wall Street New York, NY 10005-2072 Ronald L. Guzior Bollam, Sheedy, Torani Director & Co. LLP CPA's 26 Computer Drive West Albany, NY 12205 Lorraine R. Hart 257 Ameriprise Financial Center Vice President-Investments Minneapolis, MN 55474 Paul R. Johnston 50605 Ameriprise Financial Center Secretary Minneapolis, MN 55474 Michelle M. Keeley 257 Ameriprise Financial Center Vice President - Investments Minneapolis, MN 55474 Jean B. Keffeler 3820 Grand Way Apt. 409 Director Saint Louis Park, MN 55416 Eric L. Marhoun 50605 Ameriprise Financial Center General Counsel Minneapolis, MN 55474 Thomas R. McBurney 4900 IDS Center Director 80 South Eighth Street Minneapolis, MN 55402 Mary Ellyn Minenko 50607 Ameriprise Financial Center Counsel and Assistant Secretary Minneapolis, MN 55474 Thomas W. Murphy 264 Ameriprise Financial Center Vice President - Investments Minneapolis, MN 55474 B. Roger Natarajan Vice President and Chief Actuary Thomas V. Nicolosi Suite 220 Director 500 Mamaroneck Avenue Harrison, NY 10528 Stephen P. Norman 90 Hudson Street Director Jersey City, NJ 07032 Scott R. Plummer 38a-1 Chief Compliance Officer Richard M. Starr 40 Wall Street Director New York, NY 10005 David K. Stewart Vice President and Controller Heather M. Somers Assistant General Counsel Michael R. Woodward 32 Ellicot St. Director Suite 100 Batavia, NY 14020 * Unless otherwise noted, the principal business address is 70100 Ameriprise Financial Center, Minneapolis, MN 55474.
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Item 26. Persons Controlled by or Under Common Control with the Depositor or Registrant The following list includes the names of major subsidiaries of American Express Company. [Enlarge/Download Table] Jurisdiction of Name of Subsidiary Incorporation I. Travel Related Services American Express Travel Related Services Company, Inc. New York II. International Banking Services American Express Bank Ltd. Connecticut III. Companies engaged in Financial Services Advisory Capital Income Delaware Advisory Capital Partners LLC Delaware Advisory Capital Strategies Group Inc. Minnesota Advisory Convertible Arbitage, LLC Delaware Advisory European (General Partner) LLC George Town Advisory Select LLC Delaware AEXP Affordable Housing LLC Delaware American Centurion Life Assurance Company New York American Enterprise Investment Services Inc. Minnesota American Enterprise Life Insurance Company Indiana American Enterprise REO 1, LLC Minnesota American Express Asset Management (Australia) NSW Australia American Express Asset Management Company S.A. Luxembourg American Express Asset Management International Inc. Delaware American Express Asset Management International (Japan) Ltd. Japan American Express Asset Management Ltd. England American Express Financial Advisors Inc. Delaware American Express Financial Advisors Japan Inc. Delaware American Express Insurance Agency of Alabama Inc. Alabama American Express Insurance Agency of Arizona Inc. Arizona American Express Insurance Agency of Idaho Inc. Idaho American Express Insurance Agency of Maryland Inc. Maryland American Express Insurance Agency of Massachusetts Inc. Massachusetts American Express Insurance Agency of Nevada Inc. Nevada American Express Insurance Agency of New Mexico Inc. New Mexico American Express Insurance Agency of Oklahoma Inc. Oklahoma American Express Insurance Agency of Texas Inc. Texas American Express Insurance Agency of Wyoming Inc. Wyoming American Express International Deposit Corporation Cayman Island American Express Property Casualty Insurance Agency of Kentucky Inc. Kentucky American Express Property Casualty Insurance Agency of Maryland Inc. Maryland American Express Property Casualty Insurance Agency of Mississippi Inc. Mississippi American Express Property Casualty Insurance Agency of Pennsylvania Inc. Pennsylvania American Express Property Casualty Insurance Agency Wisconsin American Partners Life Insurance Company Arizona Ameriprise Certificate Company Delaware Ameriprise Financial Inc. Delaware Ameriprise Financial Services Inc. Delaware Ameriprise Trust Company Minnesota AMEX Assurance Company Illinois Boston Equity General Partner LLC Delaware IDS Cable Corporation Minnesota IDS Cable II Corporation Minnesota IDS Capital Holdings Inc. Minnesota IDS Futures Brokerage Group Minnesota IDS Futures Corporation Minnesota IDS Insurance Agency of Utah, Inc. Utah IDS Life Insurance Company Minnesota IDS REO1, LLC Minnesota IDS REO2, LLC Minnesota IDS Life Insurance Company of New York New York IDS Management Corporation Minnesota IDS Partnership Services Corporation Minnesota IDS Property Casualty Insurance Company Wisconsin IDS Realty Corporation Minnesota Investors Syndicate Development Corporation - NV Nevada Kenwood Capital Management LLC Delaware Realty Assets, Inc. Nebraska RiverSource Investments, LLC Minnesota RiverSource Services, Inc. Minnesota RiverSource Tax Advantage Investments Inc. Delaware Securities America Financial Corporation Nebraska Securities America Inc. Delaware Securities America Advisors, Inc. Nebraska Threadneedle International Limited England and Wales Item 27. Number of Contract owners As of March 31, 2005, there were 3 certificate owners of qualified certificates and 116 certificate owners of non-qualified certificates. Item 28. Indemnification The amended and restated By-Laws of the depositor provide that the depositor will indemnify, to the fullest extent now or hereafter provided for or permitted by law, each person involved in, or made or threatened to be made a party to, any action, suit, claim or proceeding, whether civil or criminal, including any investigative, administrative, legislative, or other proceeding, and including any action by or in the right of the depositor or any other corporation, or any partnership, joint venture, trust, employee benefit plan, or other enterprise (any such entity, other than the depositor, being hereinafter referred to as an "Enterprise"), and including appeals therein (any such action or process being hereinafter referred to as a "Proceeding"), by reason of the fact that such person, such person's testator or intestate (i) is or was a director or officer of the depositor, or (ii) is or was serving, at the request of the depositor, as a director, officer, or in any other capacity, or any other Enterprise, against any and all judgments, amounts paid in settlement, and expenses, including attorney's fees, actually and reasonably incurred as a result of or in connection with any Proceeding, except as provided below. No indemnification will be made to or on behalf of any such person if a judgment or other final adjudication adverse to such person establishes that such person's acts were committed in bad faith or were the result of active and deliberate dishonesty and were material to the cause of action so adjudicated, or that such person personally gained in fact a financial profit or other advantage to which such person was not legally entitled. In addition, no indemnification will be made with respect to any Proceeding initiated by any such person against the depositor, or a director or officer of the depositor, other than to enforce the terms of this indemnification provision, unless such Proceeding was authorized by the Board of Directors of the depositor. Further, no indemnification will be made with respect to any settlement or compromise of any Proceeding unless and until the depositor has consented to such settlement or compromise. The depositor may, from time to time, with the approval of the Board of Directors, and to the extent authorized, grant rights to indemnification, and to the advancement of expenses, to any employee or agent of the depositor or to any person serving at the request of the depositor as a director or officer, or in any other capacity, of any other Enterprise, to the fullest extent of the provisions with respect to the indemnification and advancement of expenses of directors and officers of the depositor. Insofar as indemnification for liability arising under the Securities Act of 1933 (the "Act") may be permitted to directors, officers and controlling persons of the depositor or the registrant pursuant to the foregoing provisions, or otherwise, the registrant has been advised that in the opinion of the Securities and Exchange Commission such indemnification is against public policy as expressed in the Act and is, therefore, unenforceable. In the event that a claim for indemnification against such liabilities (other than the payment by the registrant of expenses incurred or paid by a director, officer or controlling person of the registrant in the successful defense of any action, suit or proceeding) is asserted by such director, officer or controlling person in connection with the securities being registered, the registrant will, unless in the opinion of its counsel the matter has been settled by controlling precedent, submit to a court of appropriate jurisdiction the question whether such indemnification by it is against public policy as expressed in the Act and will be governed by the final adjudication of such issue.
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[Enlarge/Download Table] Item 29. Principal Underwriters. (a) Ameriprise Financial Services, Inc. acts as principal underwriter for the following investment companies: AXP California Tax-Exempt Trust; AXP Dimensions Series, Inc.; AXP Discovery Series, Inc.; AXP Equity Series, Inc.; AXP Fixed Income Series, Inc.; AXP Global Series, Inc.; AXP Government Income Series, Inc.; AXP Growth Series, Inc.; AXP High Yield Income Series, Inc.; AXP High Yield Tax-Exempt Series, Inc.; AXP Income Series, Inc.; AXP International Series, Inc.; AXP Investment Series, Inc.; AXP Managed Series, Inc.; AXP Market Advantage Series, Inc.; AXP Money Market Series, Inc.; AXP Partners Series, Inc.; AXP Partners International Series, Inc.; AXP Progressive Series, Inc.; AXP Sector Series, Inc.; AXP Selected Series, Inc.; AXP Special Tax-Exempt Series Trust; AXP Stock Series, Inc.; AXP Strategy Series, Inc.; AXP Tax-Exempt Series, Inc.; AXP Tax-Free Money Series, Inc.; Growth Trust; Growth and Income Trust; Income Trust; Tax-Free Income Trust; World Trust; Ameriprise Certificate Company; Advisory Hedged Opportunity Fund. (b) As to each director, officer or partner of the principal underwriter: Name and Principal Position and Offices with Business Address* Underwriter Gumer C. Alvero Vice President - General Manager Annuities Ward D. Armstrong Senior Vice President - Retirement Services and Riversource Investments John M. Baker Vice President - Chief Client Service Officer Dudley Barksdale Vice President - Service Development Timothy V. Bechtold Vice President - Insurance Products Arthur H. Berman Senior Vice President and Treasurer Walter S. Berman Director Robert C. Bloomer Vice President - Technologies III Leslie H. Bodell Vice President - Technologies I Rob Bohli Group Vice President - 10375 Richmond Avenue #600 South Texas Houston, TX 77042 Walter K. Booker Group Vice President - 61 South Paramus Road New Jersey Mack-Cali Office Center IV, 3rd Floor Paramus, NJ 07652 Bruce J. Bordelon Group Vice President - 1333 N. California Blvd., Northern California Suite 200 Walnut Creek, CA 94596 Randy L. Boser Vice President - Mutual Fund Business Development Kenneth J. Ciak Vice President and IDS Property Casualty General Manager - IDS 1400 Lombardi Avenue Property Casualty Green Bay, WI 54304 Paul A. Connolly Vice President - RL HR/US Retail James M. Cracchiolo Director, President, Chairman of the Board and Chief Executive Officer Colleen Curran Vice President and Assistant General Counsel
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Luz Maria Davis Vice President - Employee Communications Scott M. DiGiammarino Group Vice President - Suite 500, 8045 Leesburg Washington D.C./Baltimore Pike Vienna, VA 22182 Paul James Dolan Vice President - CAO Product Sales Kenneth Dykman Group Vice President - 625 Kenmor Ave South East Greater Michigan Suite 301 Grand Rapids, MI 49546 William V. Elliot Vice President - Financial Planning and Advice Benjamin R. Field Vice President - Finanace Education and Planning Services Gordon M. Fines Vice President - Senior Portfolio Manager I Giunero Floro Vice President - Creative Services Terrence J. Flynn Vice President - Brokerage Clearing Operations Jeffrey P. Fox Vice President - Investment Accounting Peter A. Gallus Vice President - CAO - AEFA Investment Management Laura C. Gagnon Vice President - Investor Relations Gary W. Gassmann Group Vice President - 2677 Central Park Boulevard Detroit Metro Suite 350 Southfield, MN 48076 John C. Greiber Group Vice President - Minnesota/Iowa Martin T. Griffin Vice President and National Sales Manager External Channel Steven Guida Vice President - New Business and Service Teresa A. Hanratty Senior Vice President - Suites 6&7 Field Management 169 South River Road Bedford, NH 03110 Lorraine R. Hart Vice President - Fixed Income Investments Administration Officer Janis K. Heaney Vice President - Incentive Management Brian M. Heath Senior Vice President - Suite 150 Advisor Group 801 E. Campbell Road Richardson, TX 75081 Jon E. Hjelm Group Vice President - 655 Metro Place South Ohio Valley Suite 570 Dublin, OH 43017 David X. Hockenberry Group Vice President - 830 Crescent Centre Drive Mid South Suite 490 Franklin, TN 37067-7217 Kelli A. Hunter Executive Vice President - Human Resources Debra A. Hutchinson Vice President - Technologies I
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Theodore M. Jenkin Group Vice President - 6000 Freedom Square Drive Steel Cities Suite 300 Cleveland, OH 44131 James M. Jensen Vice President - Compensation and Licensing Services Gregory C. Johnson Group Vice President - 4 Atrium Drive, #100 Upstate New York/Vermont Albany, NY 12205 Jody M. Johnson Group Vice President - Twin Cities Metro Paul R. Johnston Secretary Nancy E. Jones Vice President - Advisor Marketing William A. Jones Vice President - Technologies III John C. Junek Senior Vice President and General Counsel Ora J. Kaine Vice President - Retail Distribution Services Michelle M. Keeley Senior Vice President - Fixed Income Raymond G. Kelly Group Vice President - Suite 250 Northern Texas 801 East Campbell Road Richardson, TX 75081 Claire Kolmodin Vice President - Strategic Initiatives Neysa A. Alecu Money Laundering Prevention Officer Benji Orr Deputy Money Laundering Prevention Officer Robert Whalen Group Vice President - 939 West North Ave Chicago Metro Chicago, IL 60606 Lori J. Larson Vice President - Advisor Field Force Growth and Retention Daniel E. Laufenberg Vice President - Chief U.S. Economist Jane W. Lee Vice President - General Manager Platinum Financial Services Catherine M. Libbe Vice President - Marketing & Product Retirement Services Diane D. Lyngstad Chief Financial Officer and Vice President - Comp and Licensing Services Thomas A. Mahowald Vice President - Equity Research Timothy J. Masek Vice President - Fixed Income Research Frank A. McCarthy Vice President - External Products Group and Personal Trust Services Mark T. McGannon Vice President and General Manager - Products Sales Brian J. McGrane Vice President and LFO Officer - Finance
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Dean O. McGill Group Vice President - 11835 W. Olympic Blvd Los Angeles Metro Suite 900 East Los Angeles, CA 90064 Jeffrey McGregor Vice President and National Sales Manager for Distribution Sarah M. McKenzie Vice President - Managed and Brokerage Products Jeryl A. Millner Senior Vice President Penny J. Meier Vice President - Business Transformation/Six Sigma Paula R. Meyer Senior Vice President and General Manager - Mutual Funds Holly Morris Senior Vice President - Technologies Rebecca A. Nash Vice President - Service Operations B. Roger Natarajan Vice President - Finance Thomas V. Nicolosi Group Vice President - Suite 220 New York Metro Area 500 Mamaroneck Ave. Harrison, NY 10528 Patrick H. O'Connell Group Vice President - Commerce Center One Southern New England 333 East River Hartford, CT 06108-4200 Francois B. Odouard Vice President - Brokerage Michael J. O'Keefe Vice President - Advisory Business Systems Geoffery Oprandy Group Vice President - Southwest 11811 N. Tatum Blvd. Suite 1030 Phoenix, AZ 85028 Kristi L. Petersen Vice President - ONE Account and Cash John G. Poole Group Vice President - 14755 North Outer Forty Road Gateway/Springfield Suite 500 Chesterfield, MO 63017 Larry M. Post Group Vice President - 2 Constitution Plaza New England Charlestown, MA 02129 Michael J. Rearden Group Vice President - 1800 S. Pine Island Road, Suite 510 Southern Florida Plantation, FL 33324 Ralph D. Richardson III Group Vice President - Suite 100 Carolinas 5511 Capital Center Drive Raleigh, NC 27606 Mark A. Riordan Vice President - Finance Emerging Technologies ReBecca K. Roloff Senior Vice President - GFS Maximillian G. Roth Group Vice President - 1400 Lombardi Avenue Wisconsin/Upper Michigan Suite 202 Green Bay, WI 54304 Andrew C. Schell Vice President - Strategy and Planning Mark E. Schwarzmann Senior Vice President - Insurance and Annuities
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Gary A. Scott Vice President - Client Acquisition Marketing and Services Jacqueline M. Sinjem Vice President - Plan Sponsor Services Martin S. Solhaug Vice President - International Comp and Benefits Albert L. Soule Group Vice President - 6925 Union Park Center Western Frontier Suite 200 Midvale, UT 84047 Bridget M. Sperl Senior Vice President - Client Service Organization Kathy Stalwick Vice President Paul J. Stanislaw Group Vice President - Suite 1100 Southern California/Hawaii Two Park Plaza Irvine, CA 92614 Lisa A. Steffes Vice President - Marketing Officer Development David K. Stewart Vice President and Controller Caroline Stockdale-Boon Senior Vice President - Human Resources Jeffrey J. Stremcha Vice President - Technologies I John T. Sweeney Vice President, Lead Financial Officer - Banking, Brokerage and Managed Products Joseph E. Sweeney Senior Vice President, General Manager - U.S. Brokerage and Membership Banking Craig P. Taucher Group Vice President - Suite 150 Georgia/North Florida 4190 Belfort Rd. Jackonville, FL 32216 Neil G. Taylor Group Vice President - 601 108th Ave North East Pacific Northwest Suite 1800 Bellevue, WA 98004-5902 William F. "Ted" Truscott Senior Vice President and Chief Investment Officer George F. Tsafaridis Vice President - Quality & Service Support Janet M. Vandenbark Group Vice President - 3951 Westerre Parkway, Suite 250 Virginia Richmond, VA 23233 Ramanathan Venkataramanan Vice President - Technologies III Peter S. Velardi Senior Vice President - Field Management Andrew O. Washburn Vice President - Mutual Fund Marketing Donald F. Weaver Group Vice President - 3500 Market Street, Eastern Pennsylvania/ Suite 200 Delaware Camp Hill, PA 17011 Beth E. Weimer Vice President and Chief Compliance Officer - Asset Management and Insurance Phil Wentzel Vice President - Finance
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Jeffrey A. Williams Senior Vice President - Cross-Sell/Strategic Management William J. Williams Senior Vice President - Field Management Dianne L. Wilson Vice President - Insurance Operations Gayle W. Winfree Group Vice President - 1 Galleria Blvd. Suite 1900 Delta States Metairie, LA 70001 Michael D. Wolf Vice President - Equity Senior Portfolio Manager Abraham L. Wons Vice President - Investments Risk Management Michael R. Woodward Senior Vice President - 32 Ellicott St Field Management Suite 100 Batavia, NY 14020 John Woerner Senior Vice President - Strategic Planning and Business Development * Business address is: 70100 Ameriprise Financial Center, Minneapolis, MN 55474 unless otherwise noted.
Item 29 (c). [Download Table] Net Underwriting Name of Principal Discounts and Compensation on Brokerage Underwriter Commissions Redemption Commissions Compensation ----------- ----------- ---------- ----------- ------------ American Express None None None None Financial Advisors Inc. Item 30. Location of Accounts and Records American Centurion Life Assurance Company 20 Madison Avenue Extension Albany, NY 12203 Item 31. Management Services Not Applicable Item 32. Undertakings (a)(b)&(c) These undertakings were filed with Registrant's Initial Registration Statement, File No. 333-00041. (d) The sponsoring insurance company represents that the fees and charges deducted under the contract, in the aggregate, are reasonable in relation to the services rendered, the expenses expected to be incurred, and the risks assumed by the insurance company.
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SIGNATURES As required by the Securities Act of 1933 and the Investment Company Act of 1940, American Centurion Life Assurance Company, on behalf of the Registrant certifies that it meets the requirements of Securities Act Rule 485(b) for effectiveness of this Amendment to its Registration Statement and has caused this Amendment to its Registration Statement to be signed on its behalf by the undersigned thereunto duly authorized in the City of Minneapolis, and State of Minnesota, on the 30th day of September, 2005. ACL VARIABLE ANNUITY ACCOUNT 1 ------------------------------ (Registrant) By American Centurion Life Assurance Company -------------------------------------------- (Depositor) By /s/ Timothy V. Bechtold* ------------------------------------------ Timothy V. Bechtold President and Chief Executive Officer As required by the Securities Act of 1933, this Amendment to the Registration Statement has been signed by the following persons in the capacities indicated on the 30th day of September, 2005. Signature Title /s/ Gumer C. Alvero* Director and Vice President - Annuities ---------------------- Gumer C. Alvero /s/ Timothy V. Bechtold* Director, President and Chief Executive ---------------------- Officer Timothy V. Bechtold (Chief Executive Officer) /s/ Maureen A. Buckley* Director, Vice President, Chief Operating ---------------------- Officer, Consumer Affairs Officer, Claims Maureen A. Buckley Officer and Money Laundering Prevention Officer /s/ Rodney P. Burwell* Director ---------------------- Rodney P. Burwell /s/ Robert R. Grew* Director ---------------------- Robert R. Grew /s/ Ronald L. Guzior* Director ---------------------- Ronald L. Guzior /s/ Jean B. Keffeler* Director ---------------------- Jean B. Keffeler /s/ Thomas R. McBurney* Director ---------------------- Thomas R. McBurney /s/ Thomas V. Nicolosi* Director ---------------------- Thomas V. Nicolosi
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/s/ Stephen P. Norman* Director ---------------------- Stephen P. Norman /s/ Richard M. Starr* Director ---------------------- Richard M. Starr /s/ David K. Stewart** Vice President and Controller ---------------------- (Principal Accounting Officer) David K. Stewart (Principal Financial Officer) /s/ Michael R. Woodward* Director ---------------------- Michael R. Woodward * Signed pursuant to Power of Attorney, dated April 13, 2005, filed electronically as Exhibit 13.1 to Registrant's Post-Effective Amendment No. 10 to Registration Statement No. 333-00041 and incorporated by reference, by: ** Signed pursuant to Power of Attorney, dated July 7, 2004, filed electronically as Exhibit 13.2 to Registrant's Post-Effective Amendment No. 10 to Registration Statement No. 333-00041 and incorporated by reference, by: /s/ Mary Ellyn Minenko ------------------------------------- Mary Ellyn Minenko Counsel
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CONTENTS OF POST-EFFECTIVE AMENDMENT NO. 11 TO REGISTRATION STATEMENT NO. 333-00041 This Post-Effective Amendment is comprised of the following papers and documents: The Cover Page. Part A. The prospectus for Privileged Assets Select Annuity filed electronically as Part A to Post-Effective Amendment No. 11 to Registration Statement No. 333-00041, filed on or about April 28, 2005, is incorporated by reference. The Supplement for: Privileged Assets Select Annuity Part B. Statement of Additional Information and Financial Statements filed electronically as Part B to Post-Effective Amendment No. 11 to Registration Statement No. 333-00041, filed on or about April 28, 2005, is incorporated by reference. Part C. Other Information. The signatures.

Dates Referenced Herein   and   Documents Incorporated by Reference

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5/1/062485BPOS
Effective on:10/3/0512
10/1/052
Filed on:9/30/052
8/1/052497
4/28/05115485BPOS
4/13/05414
3/31/056
2/1/052
8/31/042
7/7/04414
2/6/033
4/10/973
12/4/964
10/23/964
10/7/964
7/31/964
12/1/953
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