97-24139. Variable Account Six  

  • [Federal Register Volume 62, Number 176 (Thursday, September 11, 1997)]
    [Notices]
    [Pages 47839-47840]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 97-24139]
    
    
    -----------------------------------------------------------------------
    
    SECURITIES AND EXCHANGE COMMISSION
    
    [Rel. No. IC-22812; No. 811-7979]
    
    
    Variable Account Six
    
    September 5, 1997.
    AGENCY: Securities and Exchange Commission (``SEC'' or ``Commission'').
    
    ACTION: Notice of application for an Order under the Investment Company 
    Act of 1940 (``1940 Act'').
    
    -----------------------------------------------------------------------
    
    APPLICANT: Variable Annuity Account Six.
    
    RELEVANT 1940 ACT SECTION: Order requested under Section 8(f) of the 
    1940 Act.
    
    SUMMARY OF APPLICATION: Applicant seeks an order declaring that it has 
    ceased to be an investment company as defined by the 1940 Act.
    
    FILING DATE: The application was filed on June 5, 1997 and amended on 
    July 16, 1997.
    
    HEARING OR NOTIFICATION OF HEARING: An order granting the application 
    will be issued unless the Commission orders a hearing. Interested 
    persons may request a hearing by writing to the Secretary of the SEC 
    and serving the Applicant with a copy of the request, in person or by 
    mail. Hearing requests must be received by the SEC by 5:30 p.m., on 
    September 30, 1997, and should be accompanied by proof of service on 
    the Applicant in the form of an affidavit or, for lawyers, a 
    certificate of service. Hearing requests should state the nature of the 
    writer's interest, the reason for the request, and the issues 
    contested. Any person may request notification of a hearing by writing 
    to the Secretary of the SEC.
    
    ADDRESSES: Secretary, Securities and Exchange Commission, 450 5th 
    Street, N.W., Washington, D.C. 20549. Applicant, C/O Anchor National 
    Life Insurance Company, 1 SunAmerica Center, Los Angeles, California 
    90067-6022.
    
    FOR FURTHER INFORMATION CONTACT: Joyce Merrick Pickholz, Senior 
    Counsel, or Kevin M. Kirchoff, Branch Chief, Office of Insurance 
    Products (Division of Investment Management), at (202) 942-0670.
    
    SUPPLEMENTARY INFORMATION: Following is a summary of the application. 
    The complete application is available for a fee from the Public 
    Reference Branch of the Commission.
    
    Applicant's Representations
    
        1. On December 20, 1996, the Applicant, a separate account of 
    Anchor National Life Insurance Company (``Anchor National''), filed a 
    notification of registration as a unit investment trust on Form N-8A 
    and a registration statement on Form N-4 (File No. 333-18361) to 
    register under the Securities Act of 1933 interests in the Polaris II 
    Variable Annuity Contracts (``Polaris Contracts'') to be issued by 
    Anchor National through the Applicant. Applicant's registration 
    statement never became effective and Applicant will request that it be 
    withdrawn.
        2. On March 20, 1997, the Board of Directors of Anchor National 
    authorized
    
    [[Page 47840]]
    
    the use of an existing separate account of Anchor National to support 
    the Polaris II Contracts. Anchor National filed a new a registration 
    statement on Form N-4 (333-25473) to issue the Contracts through such 
    existing separate account (File No. 811-03859), which was declared 
    effective on May 14, 1997.
        3. The Board of Directors of Anchor National authorized the 
    dissolution of Applicant and, pursuant to Arizona Insurance Law, on 
    June 3, 1997, Anchor National nullified the establishment of the 
    Applicant.
        4. Applicant has never made a public offering of its securities and 
    does not propose to make a public offering of its securities.
        5. Applicant has not held any assets since its establishment.
        6. Accordingly, there were no securityholders of Applicant as of 
    the date of the filing of this application; Applicant has not, within 
    the last 18 months, transferred any of its assets to a separate trust, 
    the beneficiaries of which were or are securityholders of Applicant; no 
    distributors were made to securityholders of Applicant in connection 
    with Applicant's dissolution and no assets have been retained by the 
    Applicant.
        7. No debts or liabilities of the Applicant remain outstanding.
        8. Applicant is not a party to any litigation or administrative 
    proceeding.
        9. Applicant has not sold any securities of which it is the issuer 
    and Applicant is not engaged in, and does not propose to engage in, any 
    business activities other than those necessary for the winding-up of 
    its affairs.
    
        For the Commission, by the Division of Investment Management, 
    pursuant to delegated authority.
    Margaret H. McFarland,
    Deputy Secretary.
    [FR Doc. 97-24139 Filed 9-10-97; 8:45 am]
    BILLING CODE 8010-01-M
    
    
    

Document Information

Published:
09/11/1997
Department:
Securities and Exchange Commission
Entry Type:
Notice
Action:
Notice of application for an Order under the Investment Company Act of 1940 (``1940 Act'').
Document Number:
97-24139
Dates:
The application was filed on June 5, 1997 and amended on July 16, 1997.
Pages:
47839-47840 (2 pages)
Docket Numbers:
Rel. No. IC-22812, No. 811-7979
PDF File:
97-24139.pdf