|
Chronological
Listing
|
Asset Allocation Services
|
|
PTE 1999-15 |
D-10574 |
|
G: 64 FR 1648 (04/05/99) |
P: 63 FR 60391 (11/09/98)
|
|
Salomon Smith Barney Inc. (Salomon Smith
Barney) |
|
Amends, as of March 30, 1999, PTE 94-50 (59 FR 32024,
June 21, 1994), an individual exemption granted to
Salomon Smith Barney, by permitting the following
modifications: (1) corporate mergers that changed the
names of the parties described in PTE 94-50 and would
allow broader distribution of investment products
provided under the TRAK Personalized Investment Advisory
Service Program (the TRAK Program); (2) the
implementation of a recordkeeping reimbursement offset
system under the TRAK Program; and (3) the institution
of an automated reallocation option.
|
|
|
|
|
PTE 1999-39 |
D-10643
|
|
G: 64 FR
53737 (10/04/99)
|
P: 64 FR 43742 (08/11/99)
|
|
Fleet Bank (RI), National Association
(Fleet)
|
|
Permits, effective August 11, 1999,
employee benefit plans to acquire certificates issued by
trusts holding credit card receivables which are sponsored by
Fleet. The exemption is similar in structure and format to the
Department’s other exemptions for “asset-backed
securities.” However, this exemption has additional
conditions and definitions relating to, among other things,
additions and removals of credit card receivables from a trust
as well as the trust’s use of swap transactions. The
exemption is substantially similar to two exemptions for
asset-backed securities involving credit card receivables
issued in 1998 to MBNA and Citibank.
|
|
|
PTE 1999-11
|
D-10695
|
|
G: 64 FR 11046 (03/08/99)
|
P: 64 FR 3344 (01/21/99)
|
|
Mellon Financial Markets, Inc.
(Mellon)
|
|
Permits the following transactions
involving trusts and certificates evidencing interests
therein: (1) the direct or indirect sale, exchange or
transfer of certificates in the initial issuance of
certificates between the sponsor or underwriter and an
employee benefit plan when the sponsor, servicer,
trustee or insurer of a trust, the underwriter of the
certificates representing an interest in the trust, or
an obligor is a party in interest with respect to such
plan; (2) the direct or indirect acquisition or
disposition of certificates by a plan in the secondary
market for such certificates; and (3) the continued
holding of certificates acquired by a plan.
|
|
Assignment by Plan of Chose in Action
|
|
PTE 1999-31 |
D-10722
|
|
G: 64 FR 40627 (07/27/99)
|
P: 64 FR 29908 (06/03/99)
|
|
The Unaka Company, Incorporated
Employees’ Profit Sharing Plan and Trust
|
|
Permits: (1) the assignment by the
Plan to the Unaka Company, Inc. (Unaka), the Plan
sponsor and a party in interest with respect to the
Plan, of any and all claims, demands, and/or causes of
action which the plan may have against certain members
of the Plan Administrative Committee and other involved
parties (the Responsible Fiduciaries) for breach of
fiduciary duty under the Act, during the period from
July 1, 1996 to July 31, 1998. Notwithstanding the
assignment by the Plan of its rights against the
Responsible Fiduciaries, the plan did not release any
causes of action against Unaka and/or its affiliates;
(2) in exchange for the assignment, an interest-free,
non-recourse loan (the Loan) by Unaka to the Plan in an
amount equal to the difference between $413 and the fair
market value per share for the common stock of Unaka
held by the Plan in connection with the sale of such
stock by the Plan to Unaka, pursuant to section 408(e)
of the Act; (3) the possible repayment of such Loan to
Unaka from the cash proceeds of the recovery, if any,
from a judgment or settlement of the litigation against
the Responsible Fiduciaries; (4) an interest-free,
non-recourse extension of credit by Unaka to the Plan of
certain expenses arising out of the litigation against
the Responsible Fiduciaries, effective as of May 1,
1999, the date when expenses incurred by the Plan in
bringing such litigation were first paid by Unaka; and
(5) the possible receipt by Unaka of reimbursement of
such litigation expenses solely from cash proceeds of
the recovery, if any, from any judgment or settlement of
the litigation against the Responsible Fiduciaries.
|
|
Collateralization by Party in Interest
|
|
PTE 1999-22 |
L-10645
|
|
G: 64 FR 28842 (05/27/99)
|
P: 64 FR 3356 (01/21/99)
|
|
Operating Engineers Labor Union 324
Journeyman and Apprentice Training Fund
|
|
See summary for the Fund under Loan to
Plan.
|
|
Credit Facility Arrangement
|
|
PTE 1999-47 |
D-10688
|
|
G: 64 FR 70748 (12/17/99)
|
P: 64 FR 51794 (09/24/99)
|
|
Bankers Trust Company (BTC)
|
|
Permits the execution by certain
employee benefit plans investing in Transwestern Office
Partners II, L.P. (the LP), of a partner agreement and
estoppel under which the Plans agree to honor capital
calls made to the Plans by BTC as the representative of
certain lenders that will fund a so-called “credit
facility” providing credit to the LP in connection
with the Plans’ capital commitments to the LP where
the LP has granted to BTC security interests in the
capital commitments, and where the Lenders are parties
in interest with respect to the Plans.
|
|
|
PTE 1999-08 |
D-10592
|
|
G: 64 FR 7669 (02/16/99)
|
P: 63 FR 65249
(11/25/98)
|
|
Bankers Trust Company (BTC)
|
|
Permits: (1) the granting to BTC by
certain employee benefit plans investing in Hometown
America L.L.C. (the LLC) of security interests in the
capital commitments of the Plans to the LLC, where BTC
is the representative of certain lenders (the Lenders)
that will fund a “credit facility” providing loans
to the LLC, and the Lenders are parties in interest with
respect to the Plans; and (2) the proposed agreements by
the Plans to honor capital calls made to the Plans by
BTC, in lieu of the LLC’s sole managing member, in
connection with the Plans’ capital commitments to the
LLC where such capital calls relate to the security
interests in the capital commitments previously granted
to BTC.
|
|
|
|
|
PTE 1999-41 |
D-10738
|
|
G: 64 FR 53744 (10/04/99)
|
P: 64 FR
39539
(07/22/99)
|
|
The Manufacturers Life Insurance
Company (Manulife)
|
|
Permits, effective Permits: (1) the
receipt of common stock (the Common Shares) of
Manulife Financial Corporation, a newly-formed company
that will be the holding company for Manulife; or (2)
the receipt of cash or policy credits, by any plan
policyholder (the Eligible Policyholder) that is an
employee benefit plan, other than a policyholder which
is a plan established by Manulife or an affiliate for
its own employees, in exchange for such Eligible
Policyholder’s membership interest in Manulife, in
accordance with a plan or reorganization adopted by
Manulife and implemented under the laws of Canada and
the State of Michigan.
|
|
|
PTE 1999-14 |
D-10661
|
|
G: 64 FR 16497 (04/05/99)
|
P: 63 FR 69314 (12/16/98)
|
|
MONY Life Insurance Co. (MONY)
|
|
Permits, effective March 30, 1999,
(1) the receipt of common stock of the MONY Group,
Inc. (the Holding Company), the parent company of MONY,
or (2) the receipt of cash or policy credits, by or on
behalf of any eligible policyholder (the Eligible
Policyholder) of MONY which is a plan, subject to
applicable provisions of the Act and/or the Code,
other than an Eligible Policyholder which is a plan
maintained by MONY or an affiliate for its employees,
in exchange for such Eligible Policyholder’s
membership interest in MONY, in accordance with the
terms of a plan of reorganization adopted by MONY and
implemented pursuant to section 7312 of the New York
Insurance Law.
|
|
|
|
|
PTE 1999-49 |
D-10244
|
|
G: 65 FR 532 (01/05/00)
|
P: 64 FR 43738 (08/11/99)
|
|
Massachusetts Mutual Life Insurance
Company (MM)
|
|
See summary for MM under Purchase by
Plan of Other Assets.
|
|
|
PTE 1999-46 |
D-10514
|
|
G: 64 FR 61944 (11/15/99)
|
P: 63 FR 29453 (05/29/98)
|
|
Plumbers and Pipe Fitters National
Pension Fund
|
|
Permits, effective October 9, 1997,
(1) the transfer to the Fund, from its sponsor, the
United Association of Journeymen and Apprentices of
the Plumbing and Pipe Fitting Industry of the United
States and Canada AFL-CIO (the Union), of the Union’s
interests in a limited partnership (the Partnership),
the sole asset of which is the Diplomat Resort and
Country Club, a resort hotel and country club complex
(the Property); and (2) the transfer to the Fund of
the Union’s holding of stock in Diplomat Properties,
Inc., the corporate general partner (the General
Partner) of the Partnership. The transfers were made
in consideration for (1) a capital contribution by the
Fund to the Partnership in the amount of $40 million,
plus reimbursement to the Union of the reasonable
costs incurred by the Union in purchasing the
Property; and (2) the release of a loan obligation of
the Partnership on the Property which was guaranteed
by the Union and collateralized by Union assets.
|
|
In response to concerns raised by
commentators, the trustees of the Fund (the Trustees)
agreed to a number of additional requirements,
including the retention of an independent named
fiduciary to oversee the Fund’s investment in the
Property. A term sheet dated October 13, 1999,
attached as part of the representations made to the
Department in a letter dated October 29, 1999, on
behalf of the Trustees, details these additional
requirements. In this regard, the Trustees agreed to
undertake such actions as are required, including the
amendment of the Trust Agreement, and entry into a
services contract to appoint Actuarial Sciences
Associates as named fiduciary of the Fund account
which holds the Partnership, the General Partner, and
other assets of the Fund either invested in or
awaiting investment in the Property.
|
|
Extension
of Credit to Plan
|
|
PTE 1999-31 |
D-10722
|
|
G: 64 FR 40627 (07/21/99)
|
P: 64 FR 29908 (06/03/99)
|
|
The Unaka Company, Incorporated
Employees’ Profit Sharing Plan and Trust
|
|
See summary for the Plan under Assignment by Plan of Chose in
Action.
|
|
|
|
|
PTE 1999-03 |
D-10660 |
|
G: 64 FR 3319 (01/21/99)
|
P: 63 FR 65260 (11/25/99)
|
|
Sprinx Inc. Retirement Plan
|
|
See summary for the Plan under Loan by
Plan.
|
|
|
|
|
PTE 1999-33 |
D-10473 – D-10476 |
|
G: 64 FR 42723 (08/05/99)
|
P: 64 FR 29914 (06/03/99)
|
|
General Motors Hourly Rate
Employees Pension Plan, et al.
|
|
Permits, effective December 11, 1998,
any transaction between AEW Industrial, L.L.C. (the LLC),
an entity which currently holds “plan assets” of the
Plans, or any subsidiary of the LLC which may hold “plan
assets” of the Plans in the future, as a result of
investments made by the Plans in the LLC or any
subsidiary through the First Plaza Group Trust, and a
party in interest with respect to any of the Plans.
Although General Motors Investment Management
Corporation, a wholly owned subsidiary of General Motors
Corporation has discretionary authority over the Plans’
assets and qualifies as an in-house asset manager (an
INHAM) for the Plans within the meaning of PTCE 96-23
(61 FR 15975, April 10, 1996), the applicant notes that
this exemption might not apply to transactions engaged
in by the LLC. The applicant states that in the
discussion of comments relating to PTCE 96-23, section
A.1. of the Preamble suggests that the exemption would
not apply to a transaction where an INHAM retains a
qualified professioinal asset manager to locate and
negotiate the terms of a possible transaction even
though the INHAM performs its own due diligence review
of each investment opportunity presented and evaluates
the appropriateness of the investment for the Plan’s
particular investment needs.
|
|
|
|
|
PTE 1999-23 |
D-10021 |
|
G: 64 FR 34293 (06/25/99)
|
P: 64 FR 19807 (04/22/99)
|
|
First Security Corporation (FSC)
|
|
Permits the in-kind transfers, that
occurred on December 28, 1994, to any open-end
investment company (the Fund or Funds) registered under
the Investment Company Act of 1940 to which FSC or any
of its affiliates (collectively, First Security) serves
as investment adviser and/or may provide other services,
of the assets of various employee benefit plans that are
held in collective investment funds maintained by First
Security, in exchange for shares of such Funds.
|
|
|
PTE 1999-13 |
D-10468 |
|
G: 64 FR 16493 (04/05/99)
|
P: 64 FR 4132 (01/27/99)
|
|
Wells Fargo Bank, N.A. (Wells
Fargo)
|
|
Permits, effective September 16,
1996, the exchange of the assets of various employee
benefit plans that are either held in certain collective
investment funds maintained by Wells Fargo, or otherwise
held by Wells Fargo as trustee, investment manager or in
any other capacity as fiduciary on behalf of the Plans,
for shares of any open-end investment company (the Fund
or Funds) registered under the Investment Company Act of
1940 to which Wells Fargo or any of its affiliates
serves as investment adviser and may provide other
services. Also permits the receipt of fees by Wells
Fargo from the Funds for acting as the investment
adviser, as well as for acting as the custodian,
sub-administrator, or for providing any “secondary”
service to the Funds, in connection with the investment
in the Funds by the Plans for which Wells Fargo acts as
a fiduciary.
|
|
|
PTE 1999-07 |
D-10372 |
|
G: 64 FR 7667 (02/16/99)
|
P: 64 FR 65249
(11/25/98)
|
|
Keystone Financial, Inc.
|
|
Permits, effective December 2, 1996,
February 3, 1997 and July 1, 1997, the in-kind transfer
of assets of various employee benefit plans for which
Keystone served as a fiduciary, that were held in
certain collective investment funds maintained by
Keystone, in exchange for shares of the KeyPremier
Funds, an open-ended investment company registered under
the Investment Company Act of 1940, for which Keystone
is an investment adviser and may provide other services.
|
|
|
|
|
PTE 1999-24 |
D-10581 & L-10582
|
|
G: 64 FR 34295 (06/25/99)
|
P: 64 FR 19813 (04/22/99)
|
|
San Diego Electrical Pension Trust
and San Diego Joint Apprenticeship and Training Trust
|
|
See summary for the Plans under
Purchase by Plan.
|
|
|
PTE 1999-17 |
D-10700 & L-10709
|
|
G: 64 FR 24423 (05/06/99)
|
P: 64 FR 4142 (01/27/99)
|
|
Plumbers and Pipefitters National
Pension Fund and Pipefitters Local No. 211 Joint
Educational Trust
|
|
See summary for the Plans under Sale by
Plan of Real Property.
|
|
Lease by Plan of Real Property
|
|
PTE 1999-40 |
D-10663 & D-10664
|
|
G: 64 FR 53742 (10/04/99)
|
P: 64 FR 25921 (05/13/99)
|
|
UNOVA, Inc. (UNOVA)
|
|
Permits, effective December 17,
1998, (1) the acquisition by the UNOVA, Inc. Pension
Plan and the Landis Tool Pension Plan (together, the
Plans) of certain improved real property (the
Property) from an unrelated party for a sales price of
$15,250,000; and (2) the leasing of a portion of the
Property by the Plans to UNOVA, a party in interest
with respect to the Plans.
|
|
|
PTE 1999-30 |
D-10669 & D-10670
|
|
G: 64 FR 40626 (07/27/99)
|
P: 64 FR 29906 (06/03/99)
|
|
Premier Funding Group, Inc.
Employees Profit Sharing Plan and the Money Purchase
Pension Plan for Employees of Premier Funding Group,
Inc.
|
|
Permits, effective February 1, 1999,
a lease of certain second-floor space in a building by
the Plans to LM Holdings, Inc., a party in interest with
respect to the Plans.
|
|
|
|
|
PTE 1999-31 |
D-10722
|
|
G: 64 FR 40627 (07/27/99)
|
P: 64 FR 29908 (06/03/99)
|
|
The Unaka Company, Incorporated
Employees’ Profit Sharing Plan and Trust
|
|
See summary for the Plan under Assignment by Plan of Chose in
Action.
|
|
|
|
|
PTE 1999-03 |
D-10660
|
|
G: 64 FR 3319 (01/21/99)
|
P: 63 FR 65260 (11/25/98)
|
|
Sprinx Inc. Retirement Plan
|
|
Permits: (1) a $90,000 loan by the
Plan to Sprinx, Inc., the employer and plan sponsor; and
(2) the guarantee of repayment of the loan by Harry D.
Spring, a party in interest with respect to the Plan.
|
|
|
|
|
PTE 1999-31 |
D-10722
|
|
G: 64 FR 40627 (07/27/99)
|
P: 64 FR 29908 (06/03/99)
|
|
The Unaka Company, Incorporated
Employees’ Profit Sharing Plan and Trust
|
|
See summary for the Plans under Assignment by Plan of Chose in
Action.
|
|
|
PTE 1999-22 |
L-10645
|
|
G: 64 FR 28842 (05/27/99)
|
P: 64 FR 3356 (01/21/99)
|
|
Operating Engineers Labor Union 324
Journeyman and Apprentice Training Fund
|
|
Permits: (1) the proposed loan of
$1.5 million to the Plan by the International Union of
Operating Engineers Local 324, AFL-CIO (the Union), a
party in interest with respect to the Plan, for the
repayment of certain outstanding loans (the Original
Loans) made to the Plan by the Michigan National Bank,
an unrelated party; and (2) as of March 12, 1998, the
pledging of certificates of deposit by the Union as
security for the Original Loans.
|
|
|
PTE 1999-19 |
D-10729
|
|
G: 64 FR 24423 (05/06/99)
|
P: 64 FR 11063 (03/08/99)
|
|
VonRoll Isola Savings Plan
|
|
Permits: (1) the making, by State
Street Bank and Trust Company, of interest-free advances
of cash (the Advances) to the Plan during the period
from July 8, 1997 through June 22, 1998, in the
aggregate amount of $824,812.60; and (2) the repayment
of the Advances by the Plan, without interest, on June
22, 1998.
|
|
|
|
|
PTE 1999-32 |
D-9708
|
|
G: 64 FR 42717 (08/05/99)
|
P: 64 FR 29895 (06/03/99)
|
|
RREEF America L.L.C. (RREEF)
|
|
See summary for RREEF under
Provision of Services.
|
|
|
|
|
PTE 1999-32 |
D-9708
|
|
G: 64 FR 42717 (08/05/99)
|
P: 64 FR 29895 (06/03/99)
|
|
RREEF America L.L.C. (RREEF)
|
|
Permits: (1) as of May 16, 1994,
with respect to a single client, separate account
established on behalf of the Shell Pension Trust (the
Shell Account), and, as of August 5, 1999, with
respect to any single client separate account (Single
Client Account) or any multiple client account
(Multiple Client Account) formed on, or after, such
date, to the payment of certain initial investment
fees, annual management fees based upon net operating
income, and performance fees to RREEF by employee
benefit plans for which RREEF provides investment
management services (the Client Plans) pursuant to an
investment management agreement entered into between
RREEF and the Client plans either individually,
through an establishment or amendment of a Single
Client Account, or collectively as participants in a
newly established Multiple Client Account; and (2) any
investment by a Client Plan in a Multiple Client
Account managed by RREEF formed on or after August 5,
1999.
|
|
|
PTE 1999-13 |
D-10468
|
|
G: 64 FR 16493 (04/05/99)
|
P: 64 FR 4132 (01/27/99)
|
|
Wells Fargo Bank, N.A. (Wells
Fargo)
|
|
See summary for Wells Fargo under
In-Kind Purchase by Plan.
|
|
|
|
|
PTE 1999-24 |
D-10581 & L-10582
|
|
G: 64 FR 34295 (06/25/99)
|
P: 64 FR 19813 (04/22/99)
|
|
San Diego Electrical Pension Trust
and San Diego Joint Apprenticeship and Training Trust
|
|
Permits the proposed purchase by
the Training Plan from the Pension Plan of a minority
interest in certain improved real property jointly
owned by the Plans.
|
|
Purchase by Plan of Other Assets
|
|
PTE 1999-49 |
D-10244 |
|
G: 65 FR 532 (01/05/00)
|
P: 64 FR 43738 (08/11/99)
|
|
Massachusetts Mutual Life Insurance Company
(MM)
Permits the sale and/or exchange by MM of a partial or complete interest in
certain properties from its general investment account assets to one or more
separate investment accounts or other types of entities (such as limited
partnerships or limited liability companies) managed by MM or an affiliate which
are deemed to hold plan assets, for which MM receives as consideration cash
and/or a corresponding interest in the separate account or other investment
entities.
|
|
|
PTE 1999-42
|
D-10671
|
|
G: 64 FR 56812 (10/21/99)
|
P: 64 FR 46725 (08/26/99)
|
|
Pacific Coast Roofers Pension Plan
|
|
Permits the making of loans by certain banks (the Banks) under a loan
program providing for loans to Bank customers for residential and commercial
re-roofing jobs that are performed by contributing employers to the Plan,
pursuant to an arrangement in which the Plan will purchase certificates of
deposit issued by the Bank.
|
|
|
PTE 1999-36 |
D-10504
|
|
G: 64 FR 52546 (09/29/99)
|
P: 64 FR 25916 (05/13/99)
|
|
Aetna Inc.
(Aetna)
|
|
See summary for Aetna under
Receipt of Fees.
|
|
Purchase by Plan of Other Securities
|
|
PTE 1999-36 |
D-10504
|
|
G: 64 FR 52546 (09/29/99)
|
P: 64 FR 25916 (05/13/99)
|
|
Aetna Inc. (Aetna)
|
|
See summary for
Aetna under
Receipt of Fees.
|
|
|
PTE 1999-25
|
D-10723 & D-10724
|
|
G: 64 FR 34296 (06/25/99)
|
P: 64 FR 25924 (05/13/99)
|
|
Daniel N. Cunningham IRA and the Sidney B. Cox
IRA
|
|
Permits the purchase by each IRA of certain shares
of Clovis Community Bank common stock from Mr. Daniel N. Cunningham and Mr.
Sidney B. Cox, disqualified persons with respect to the IRAs.
|
|
|
PTE 1999-10
|
D-10630, D-10632
|
|
G: 64 FR 11045 (03/08/99)
|
P: 64 FR 3342 (01/21/99)
|
|
Genito-Urinary
Surgeons, Inc. Profit Sharing Plan
|
|
See summary for the
Plan under Sale by
Plan of Other Securities.
|
|
|
PTE 1999-05
|
D-10636, D-10642
|
|
G: 64 FR 4131 (01/27/99)
|
P: 63 FR 69319 (12/16/98)
|
|
Brune, Glowacki, et al. IRAs
|
|
See summary for the IRAs under Sale by
Plan of Other Securities.
|
|
Purchase by Plan of Partnership Interests
|
|
PTE 1999-46 |
D-10514
|
|
G: 64 FR
61944 (11/15/99)
|
P: 63 FR 29453 (05/29/98)
|
|
Plumbers and Pipe Fitters National
Pension Fund
|
|
See summary for the Fund under Exchange.
|
|
|
|
|
PTE 1999-33 |
D-10473, D-10476
|
|
G: 64 FR
42723 (08/05/99)
|
P: 64 FR 29914 (06/03/99)
|
|
General Motors Hourly Rate Employees Pension Plan, et
al.
|
|
See summary for the Plans under INHAM.
|
|
|
|
Receipt of Consideration by Party in Interest
|
|
PTE 1999-49 |
D-10244
|
|
G: 65 FR 532 (01/05/00)
|
P: 64 FR 43738 (08/11/99)
|
|
Massachusetts Mutual Life Insurance
Company (MM)
|
|
See summary for MM under Purchase by
Plan of Other Assets.
|
|
|
PTE 1999-44 |
D-10257
|
|
G: 64 FR
61136 (11/09/99)
|
P: 64 FR 39533 (07/22/99)
|
|
Pacific Life Corporation (Pacific Life)
|
|
See summary for Pacific Life under Synthetic
GICs.
|
|
|
|
|
|
|
PTE 1999-36 |
D-10504
|
|
G: 64 FR 52546 (09/29/99)
|
P: 64 FR 25916 (05/13/99)
|
|
Aetna Inc. (Aetna)
|
|
Permits,
effective August 28, 1997, (1) the receipt, directly or indirectly, by a sales
agent, of a sales commission from Aetna in connection with the purchase, with
plan assets, of an insurance contract; (2) the receipt of a sales commission by
Aetna, as a principal underwriter, for a mutual fund registered under the
Investment Company Act of 1940, in connection with the purchase, with plan
assets, of securities issued by such mutual fund (the Aetna Fund); (3) the
effecting by Aetna, as a principal underwriter, of a transaction for the
purchase, with plan assets, of securities issued by an Aetna Fund, and the
effecting by a sales agent of a transaction for the purchase, with plan assets,
of an insurance contract; and (4) the purchase, with plan assets, of an
insurance contract from Aetna. The Department expressed no opinion on whether
the “synthetic GICs offered by Aetna constituted “insurance contracts within the meaning of the exemption. Relief is provided from the self-dealing
and conflict of interest provisions of the Act in connection with the sale of
insurance contracts to Plans by fiduciaries. The exemption does not provide
relief from any acts of self-dealing that do not arise directly in connection
with the purchase of specific insurance products. For example, no relief is
provided for any act of self-dealing that may arise in connection with the
ongoing operation or administration of an insurance contract. Also, the relief
provided does not preclude the receipt of Rule 12b-1 fees by Aetna or its
affiliates to the extent that the payment of such fees cannot be functionally
distinguished from the payment of sales commissions in connection with the
purchase, with plan assets, of securities issued by an Aetna Fund.
|
|
|
|
|
PTE 1999-32 |
D-9708
|
|
G: 64 FR 42717 (08/05/99)
|
P: 64 FR 29895 (06/03/99)
|
|
RREEF America L.L.C. (RREEF)
|
|
See summary for RREEF under
Provision of Services.
|
|
|
PTE 1999-21 |
D-10674
|
|
G: 64 FR 28839 (05/27/99)
|
P: 64 FR 10493 (03/04/99)
|
|
Citibank, N.A. (Citibank) and Salomon Smith Barney
(SSB)
|
|
See summary for Citibank and SSB under
Securities Lending
- Plan A
Type.
|
|
|
PTE 1999-15 |
D-10574
|
|
G: 64 FR 1648 (04/05/99)
|
P:
63 FR 60391 (11/09/98)
|
|
Salomon
Smith Barney Inc. (Salomon Smith Barney)
|
|
See summary for Salomon Smith Barney under
Asset
Allocation Services.
|
|
|
PTE 1999-13 |
D-10468
|
|
G: 64 FR 16493 (04/05/99)
|
P: 64 FR 4132 (01/27/99)
|
|
Wells Fargo Bank, N.A. (Wells Fargo)
|
|
See summary for Wells Fargo under In-Kind
Purchase by Plan.
|
|
|
|
|
|
|
PTE 1999-45 |
D-10772
|
|
G: 64 FR 61138 (11/09/99)
|
P: 64 FR 51797 (09/24/99)
|
|
Donaldson, Lufkin
& Jenrette Securities Corporation (DLJ)
|
|
See summary for
DLJ under Securities Lending
- Trio Type.
|
|
|
PTE 1999-44 |
D-10257
|
|
G: 64 FR 61136 (11/09/99)
|
P: 64 FR 39533 (07/22/99)
|
|
Pacific Life Corporation (Pacific
Life)
|
|
See summary for Pacific Life
under Synthetic
GICs.
|
|
|
PTE 1999-40 |
D-10663 & D-10664
|
|
G: 64 FR 53742 (10/04/99)
|
P: 64 FR 25921 (05/13/99)
|
|
UNOVA, Inc. (UNOVA)
|
|
See summary for UNOVA under
Lease by Plan of Real Property.
|
|
|
PTE 1999-39 |
L-10643
|
|
G: 64 FR 53735 (10/04/99)
|
P: 64 FR 43742 (08/11/99)
|
|
Fleet Bank (RI), National Association (Fleet)
|
|
See summary for the RI and Fleet under
Asset-Backed
Securities.
|
|
|
PTE 1999-32 |
D-9708
|
|
G: 64 FR 42717 (08/05/99)
|
P: 64 FR 29895 (06/03/99)
|
|
RREEF
America L.L.C. (RREEF)
|
|
See summary for RREEF under
Provision of Services.
|
|
|
PTE 1999-37 |
D-10518
|
|
G: 64 FR 52551 (09/29/99)
|
P: 64 FR 43740 (08/11/99)
|
|
Modern Woodmen of America Employees Savings Plan
|
|
See summary for the Plan under Sale by Plan
of Mortgages.
|
|
|
PTE 1999-33 |
D-10473 - D-10476
|
|
G: 64 FR 42723 (08/05/99)
|
P: 64 FR 29914 (06/03/99)
|
|
General Motors Hourly Rate Employees Pension Plan, et al.
|
|
See summary for the Plans under INHAM.
|
|
|
PTE 1999-30 |
D-10669 & D-10670
|
|
G: 64 FR 40626 (07/27/99)
|
P: 64 FR 29906 (06/03/99)
|
|
Premier Funding Group,
Inc. Employees Profit Sharing Plan and the Money Purchase Pension Plan for
Employees of Premier Funding Group, Inc.
|
|
See summary for the Plans under
Lease by Plan of Real Property.
|
|
|
PTE 1999-29 |
D-10747
|
|
G: 64 FR 40623 (07/27/99)
|
P: 64 FR 30360 (06/07/99)
|
|
Bankers Trust Company, New York, New
York (Bankers Trust); BT Alex. Brown Incorporated (BT Alex. Brown); and Deutsche
Bank AG (Deutsche Bank)
|
|
See summary for Bankers Trust, BT Alex. Brown and
Deutsche Bank under QPAM.
|
|
|
PTE 1999-23 |
D-10021
|
|
G: 64 FR 34293 (06/25/99)
|
P: 64 FR 19807 (04/22/99)
|
|
First Security Corporation (FSC)
|
|
See summary for FSC under In-Kind
Purchase by Plan.
|
|
|
PTE 1999-22 |
L-10645
|
|
G: 64 FR 28842 (05/27/99)
|
P: 64 FR 3356 (01/21/99)
|
|
Operating Engineers Labor
Union 324 Journeyman and Apprentice Training Fund
|
|
See summary for the Plan under Loan to
Plan.
|
|
|
PTE 1999-21 |
D-10674
|
|
G: 64 FR 28839 (05/27/99)
|
P: 64 FR 10493 (03/04/99)
|
|
Citibank, N.A. (Citibank) and
Salomon Smith Barney (SSB)
|
|
See summary for Citibank and SSB under
Securities Lending
- Plan A Type.
|
|
|
PTE 1999-19 |
D-10729
|
|
G: 64 FR 24423 (05/06/99)
|
P: 64 FR 11063 (03/08/99)
|
|
VonRoll Isola Savings Plan
|
|
See summary for the Plan under Loan to
Plan.
|
|
|
PTE 1999-16 |
D-10693
|
|
G:
64 FR 24422 (05/06/99)
|
P: 64 FR 7672 (02/16/99)
|
|
Standard Bank Employees
Profit Sharing Plan
|
|
See summary for the Plan under Sale by Plan
of Mortgages.
|
|
|
PTE 1999-15 |
D-10574
|
|
G: 64 FR 1648 (04/05/99)
|
P: 64 FR 60391 (11/09/98)
|
|
Salomon Smith Barney Inc. (Salomon Smith Barney)
|
|
See summary for
Salomon Smith Barney under Asset
Allocation Services.
|
|
|
PTE 1999-14 |
D-10661
|
|
G: 64 FR 16497 (04/05/99)
|
P: 63 FR 69314 (12/16/98)
|
|
MONY Life
Insurance Co. (MONY)
|
|
See summary for MONY under Demutualization.
|
|
|
PTE 1999-13 |
D-10468
|
|
G: 64 FR 16493 (04/05/99)
|
P: 64 FR 4132 (01/27/99)
|
|
Wells Fargo Bank, N.A. (Wells Fargo)
|
|
See summary for Wells Fargo under In-Kind
Purchase by Plan.
|
|
|
PTE 1999-12 |
D-10701
|
|
G: 64 FR 11050 (03/08/99)
|
P: 64 FR 4144 (01/27/99)
|
|
State Street Bank and
Trust Company (State Street)
|
|
See summary for
State Street under Sale by
Plan of Other Securities.
|
|
|
PTE 1999-10 |
D-10630 - D-10632
|
|
G:
64 FR 11045 (03/08/99)
|
P: 64 FR 3342 (01/21/99)
|
|
Genito-Urinary Surgeons, Inc. Profit Sharing Plan
(GUS Plan)
|
|
See summary for GUS Plan under Sale by
Plan of Other Securities.
|
|
|
PTE 1999-09 |
D-10644
|
|
G: 64 FR 7670 (02/16/99)
|
P: 63 FR 56224 (10/21/98)
|
|
Bankers Trust Company
|
|
See summary for Bankers Trust Company under
Sale by
Plan of Other Securities.
|
|
|
PTE 1999-07 |
D-10372
|
|
G: 64 FR 7667 (02/16/99)
|
P: 63 FR 65249 (11/25/98)
|
|
Keystone Financial, Inc.
|
|
See summary for Keystone Financial, Inc. under
In-Kind
Purchase by Plan.
|
|
|
PTE 1999-05 |
D-10636 - D-10642
|
|
G: 64 FR 4131 (01/27/99)
|
P: 63 FR 69319 (12/16/98)
|
|
Brune, Glowacki, et al. IRAs
|
|
See summary for the IRAs under Sale by
Plan of Other Securities.
|
|
|
PTE 1999-04 |
D-10288
|
|
G: 64 FR 4127 (01/27/99)
|
P: 63 FR 53703 (10/06/98)
|
|
Salomon Smith Barney Inc. (SSB)
|
|
See summary for SSB under Securities Lending
- Trio Type.
|
|
|
PTE 1999-02 |
D-10633 - D-10635
|
|
G: 64 FR 3319 (01/21/99)
|
P: 63 FR 65257 (11/25/98)
|
|
Toledo Clinic, Inc. Employees 401(k) and
Profit Sharing Plan (the T/C Plan), et al.
|
|
See summary for the
T/C Plan under Sale by
Plan of Other Securities.
|
|
|
PTE 1999-01 |
D-10535
|
|
G: 64 FR 3318 (01/21/99)
|
P: 63 FR 60386 (11/09/98)
|
|
Moody-Day, Inc. Profit Sharing Plan
|
|
See summary for Moody-Day, Inc.
Profit Sharing Plan under Sale by
Plan of Real Property.
|
|
Sale by Plan of Employer Securities
|
|
PTE 1999-28 |
D-10749
|
|
G: 64 FR 38481 (07/16/99) |
P: 64 FR 29918 (06/03/99)
|
|
Gaetano Lombardo Individual Retirement Account
|
|
Permits the proposed sale by the IRA of 26,306 shares of stock of Courtesy
Manufacturing Company (Courtesy), to Courtesy, a disqualified person with
respect to the IRA.
|
|
Sale by Plan of Mortgages
|
|
PTE 1999-37 |
D-10518 |
|
G: 64 FR 52551 (09/29/99) |
P: 64 FR 43740 (08/11/99)
|
|
Modern Woodmen of America Employees Savings
Plan
|
|
Permits the past sale, on March 23, 1998, by the
Plan of certain commercial mortgages and bonds to Modern Woodmen of America, the
Plan’s sponsor and a party in interest with respect to the Plan.
|
|
|
PTE 1999-16 |
D-10693 |
|
G: 64 FR 24422 (05/06/99)
|
P: 64 FR
7672 (02/16/99)
|
|
Standard Bank
Employees Profit Sharing Plan
|
|
Permits,
effective October 1, 1998, the purchases by the Plan of certain residential
mortgage notes from Standard Bank and Trust Company, the Plan sponsor and a
party in interest with respect to the Plan.
|
|
Sale by Plan of Other
Assets
|
|
PTE 1999-37 |
D-10518 |
|
G: 64 FR 52551 (09/29/99)
|
P: 64 FR 43740 (08/11/99)
|
|
Modern Woodmen of America Employees Savings
Plan
|
|
See summary for the Plan under Sale by Plan
of Mortgages.
|
|
Sale by Plan of
Other Securities
|
|
PTE 1999-27
|
D-10743
|
|
G:
64 FR 38481 (07/16/99) |
P: 64 FR 28836 (05/27/99)
|
|
Western Petroleum Company Profit Sharing
Plan
Permits the proposed sale by the individual account of James W. Emison in
the Plan of certain closely-held stock to Mr. Emison, a party in interest with
respect to the Plan. |
|
|
PTE 1999-26 |
D-10702 |
|
G: 64 FR 38480 (07/16/99)
|
P: 64 FR
19815 (04/22/99)
|
|
Hanson Operating
Company, Inc. Defined Benefit Pension Plan
|
|
Permits the proposed sale by the plan of certain
closely-held stock to Douglas L. McBride and Basil R. Willis, parties in
interest with respect to the Plan.
|
|
|
PTE 1999-12 |
D-10701 |
|
G: 64 FR 11050 (03/08/99) |
P: 64 FR 4144 (01/27/99) |
|
State Street Bank and Trust Company
(State Street)
|
|
Permits, effective January 1, 1999 and ending
three years from the date on which each country joining the European Economic
and Monetary Union converts to the Euro, the sale of fractional amounts of
certain fixed-income instruments to State Street and its affiliates by plans for
which State Street or its affiliates provide fiduciary or other services, as
well as employee benefit plans established and maintained by State Street or its
affiliates.
|
|
|
PTE 1999-10 |
D-10630 - D10632 |
|
G: 64 FR 11045 (03/08/99)
|
P: 64 FR 3342 (01/21/99)
|
|
Genito-Urinary Surgeons, Inc. Profit Sharing Plan (GUS
Plan)
|
|
Permits, effective December 1, 1998, (1) the cash sale of certain
shares of preferred stock (the Preferred Stock) issued by TTC Holdings Inc. (TTC)
to TTC, by the individually-directed account of Dr. Gregor Emmert in the GUS
Plan, by the individually-directed account of Mr. Michael J. Rosenberg in the
Rosenberg Plan, and by the individually-directed account of Mr. Robert Savage in
the Savage Plan (collectively, the Accounts); and (2) the subsequent purchase of
certain shares of common stock (the Common Stock) issued by TTC by Messrs.
Emmert, Rosenberg and Savage, in their own name, from TTC pursuant to an
agreement with TTC that the purchase of the Common Stock was to occur
immediately after the sale of the Preferred Stock by the Plans.
|
|
|
PTE 1999-09 |
D-10644 |
|
G: 64 FR 7670 (02/16/99)
|
P: 63 FR 56224 (10/21/98)
|
|
Bankers Trust Company
|
|
Permits,
effective January 1, 1999 and ending three years from the date on which each
country joining the European Economic and Monetary Union converts to the Euro,
the sale of fractional amounts (the Fractional Amounts) of certain fixed-income
instruments to Bankers Trust and its affiliates by plans for which Bankers Trust
or its affiliates provide fiduciary or other services, as well as employee
benefit plans established and maintained by Bankers Trust or its affiliates; or
(2) as an alternative to the sale of the Fractional Amounts, the receipt by the
Plans from Bankers Trust of cash equal to the amount that Bankers Trust or its
affiliates receive from the issuer of the fixed-income instrument in lieu of the
Fractional Amount, exclusive of transaction costs, plus accrued interest.
|
|
|
PTE 1999-06 |
D-10683 - D-10687; & D-10697 -
D-10698 |
|
G: 64 FR 4131 (01/27/99)
|
P: 63 FR 6932 (12/16/98)
|
|
Hummel, Gibson, et al. IRAs
|
|
Permits,
effective December 15, 1998, the cash sale of certain shares of closely-held
common stock of First Mountain Company by the IRAs to the participants,
disqualified persons with respect to the IRAs.
|
|
|
PTE 1999-05 |
D-10636 - D-10642 |
|
G: 64 FR 4131 (01/27/99)
|
P: 63 FR 69319 (12/16/98)
|
|
Brune, Glowacki, et al. IRAs
|
|
Permits, effective December 1,
1998, (1) the cash sale by the IRAs to TTC Holdings, Inc. (TTC), the parent of
The Trust Company of Toledo, N.A., the trustee of the IRAs and a disqualified
person, of certain preferred stock issued by TTC; and (2) the arrangement for
the subsequent purchase by the IRA participants in their individual capacities,
from TTC, pursuant to an agreement with TTC, of an equal number of shares of
common stock issued by TTC.
|
|
|
PTE 1999-02 |
D-10633 - D-10635 |
|
G: 64 FR 3319 (01/21/99)
|
P: 63 FR 65257
(11/25/98)
|
|
Toledo Clinic, Inc. Employees 401(k) and Profit Sharing Plan (the T/C Plan),
et al.
|
|
Permits, effective December 1, 1998, (1) the cash
sale of certain shares of preferred stock (the Preferred Stock) issued by TTC
Holdings Inc. (TTC), by the individually-directed account of Dr. Edward Orrechio
in the T/C Plan, by the individually-directed account of Michael Hart in the H/A
Plan, and by the individually-directed account of Larry Peterson in the M/F Plan
(collectively, the Accounts) to TTC, a party in interest with respect to the H/A
Plan and the M/F Plan; and (2) the arrangement for the subsequent purchase of
certain shares of common stock issued by TTC by Messrs. Orrechio, Hart and
Peterson, in their own name, from TTC pursuant to an agreement with TTC that the
purchase was to occur immediately after the sale of the Preferred Stock by the
Plans to TTC.
|
|
Sale by Plan of Partnership Interests
|
|
PTE 1999-48 |
D-10787 |
|
G: 64 FR 70748 (12/17/99)
|
P: 64 FR 57151 (10/22/99) |
|
Information Systems Development Inc. Employees
Profit Sharing Plan
|
|
Permits the sale
by the Plan of certain illiquid limited partnership interests to CONVERGYS
Information Management Group, Inc., the Plan sponsor and a party in interest
with respect to the Plan.
|
|
|
PTE 1999-18 |
D-10703 |
|
G: 64 FR 24423
(05/06/99)
|
P: 64 FR 11062
(03/08/99)
|
|
State Bankshares 401(k) Profit Sharing Plan
|
|
Permits the sale by the Plan of certain limited
partnership interests, for $93,552.93, to Northern Capital Trust, the Plan
trustee and a party in interest with respect to the Plan.
|
|
Sale by Plan of Real Property
|
|
PTE 1999-43 |
D-10764
|
|
G:
64 FR 56813 (10/21/99)
|
P: 64 FR 46730 (08/26/99)
|
|
Jonas Builders, Inc. Restated Profit Sharing
Plan
|
|
Permits the sale of a certain building, which contains a warehouse and a
single-family residence, by the Plan to Mr. Gerald Jonas, a party in interest
with respect to the Plan.
|
|
|
PTE 1999-38 |
D-10621
|
|
G: 64 FR 53736 (10/04/99)
|
P: 64 FR
28835 (05/27/99)
|
|
MICO
|
|
Permits the proposed sale of a certain parcel of
unimproved real property from the MICO, Inc. Profit Sharing Plan to MICO, a
party in interest and a disqualified person with respect to the Plan.
|
|
|
PTE 1999-35 |
D-10707
|
|
G: 64 FR 46422 (08/25/99)
|
P: 64 FR 34292 (06/25/99)
|
|
H. H.
Borland Inc. Profit Sharing Plan
|
|
Permits the
sale of improved real property by the Plan to Henry H. Borland III and Pat
Borland, trustees of the Plan and disqualified persons with respect to the Plan.
|
|
|
PTE 1999-20 |
D-10622
|
|
G: 64 FR 28838 (05/27/99)
|
P: 64 FR 11052 (03/08/99)
|
|
VECO Corporation (VECO)
|
|
Permits the
proposed sale of a certain parcel of unimproved real property by the VECO
Corporation Profit Sharing Plan (the Plan) to Norcon, Inc., a party in interest
with respect to the Plan.
|
|
|
PTE 1999-17 |
D-10700 & L-10709
|
|
G: 64 FR 24423
(05/06/99)
|
P: 64 FR 4142
(01/27/99)
|
|
Plumbers and
Pipefitters National Pension Fund (the Pension Plan) and Pipefitters Local No.
211 Joint Educational Trust (the Welfare Plan)
|
|
Permits the sale of certain real property by the
Pension Plan to the Welfare Plan, a party in interest with respect to the
Pension Plan.
|
|
|
PTE 1999-01 |
D-10535
|
|
G: 64 FR 3318
(01/21/99)
|
P:
63 FR 60386 (11/09/98)
|
|
Moody-Day, Inc. Profit Sharing
Plan
|
|
Permits, effective May 24, 1995, the past sale by the Plan of an
unimproved three-acre tract of real property located in Austin, Texas to
Metroport Realty Corporation, Inc., the Plan sponsor and a party in interest
with respect to the Plan.
|
|
Securities Lending -
Plan A Type
|
|
PTE 1999-50 |
D-10756
|
|
G: 65 FR 534
(01/05/00)
|
P: 64 FR
57142 (10/22/99) |
|
Bankers Trust Company (BT)
|
|
Permits, effective
April 9, 1999 (1) the lending of securities to affiliates of BT, a wholly owned
subsidiary of Deutsche Bank AG (DB), which are either (i) banks supervised by
the United States or a State within the United States, or broker-dealers
registered under the Securities exchange Act of 1934, or (ii) certain foreign
affiliates of BT and DB which are broker-dealers or banks in jurisdictions
specified in the exemption, by employee benefit plans (the Client Plans),
including commingled investment funds holding Client Plan assets, for which BT,
DB, or either of their current or future affiliates or successors acts as
securities lending agent or sub-agent (the DB Lending Agent); and (2) the
receipt of compensation by the DB Lending Agent in connection with these
transactions.
|
|
|
PTE 1999-34 |
D-10694
|
|
G: 64 FR 46419 (08/25/99)
|
P: 64 FR 34281 (06/25/99)
|
|
Chase Manhattan Bank (CMB)
|
|
Permits (1) the lending of securities to affiliates of the Chase
Manhattan Corporation (CMC), which are engaged in CMC’s Capital Markets line
of business, by employee benefit plans (the Client Plans), including commingled
investment funds holding Client Plan assets, for which CMC, through its global
Investor Services line of business, as operated through CMB and its affiliates,
acts as directed trustee or custodian, and for which CMC, through its Global
Securities Lending Division or any other similar division of CMB or a U.S.
affiliate of CMC (collectively, GSL), acts as a securities lending agent or
sub-agent; and (2) the receipt of compensation by GSL in connection with the
transactions.
|
|
|
PTE 1999-21 |
D-10674
|
|
G: 64 FR 28839 (05/27/99)
|
P: 64 FR 10493 (03/04/99)
|
|
Citibank, N.A. (Citibank) and Salomon Smith Barney
(SSB)
|
|
Permits, effective October 8, 1998, (1) the past and continued
lending of securities to SSB and affiliated U.S. registered broker-dealers of
SSB or Citibank and certain foreign affiliates (the Foreign Affiliates) of SSB
and Citibank, which are broker-dealers or banks based in the United Kingdom,
Japan, Germany, Canada and Australia, including their affiliates or successors,
by employee benefit plans (the Client Plans) or commingled investment funds
holding plan assets, for which Citibank or any U.S. affiliate of Citibank, acts
as securities lending agent (or sub-agent), including those Client Plans for
which Citibank acts as directed trustee or custodian of the securities being
lent; and (2) the receipt of compensation by Citibank or any U.S. affiliate of
Citibank in connection with the transactions.
|
|
Securities Lending -
Trio Type
|
|
PTE 1999-45 |
D-10772
|
|
G: 64 FR 61138 (11/09/99)
|
P: 64 FR 51797 (09/24/99)
|
|
Donaldson, Lufkin & Jenrette
Securities Corporation (DLJ)
|
|
Permits, effective
September 24, 1999 (1) any purchase or sale of a security between certain
affiliates of DLJ which are foreign broker-dealers (the Foreign Affiliates) and
employee benefit plans with respect to which the Foreign Affiliates are parties
in interest, including options written by a Plan, DLJ or a Foreign Affiliate;
(2) any extension of credit to the Plans by the Foreign Affiliates to permit the
settlement of securities transactions, regardless of whether they are effected
on an agency or a principal basis, or in connection with the writing of options
contracts; and (3) the lending of securities to the Foreign Affiliates by the
Plans.
|
|
|
PTE 1999-04 |
D-10288
|
|
G: 64 FR
4127 (01/27/99)
|
P: 63 FR 53703 (10/06/98)
|
|
Salomon Smith Barney Inc. (SSB)
|
|
Permits, effective June 7, 1996, (1) any purchase or sale of securities
between certain affiliates of SSB which are foreign broker-dealers or banks (the
Foreign Affiliates) and employee benefit plans with respect to which the Foreign
Affiliates are parties in interest, including options written by a Plan, SSB or
a Foreign Affiliate; (2) any extension of credit to the Plans by the Foreign
Affiliates to permit the settlement of securities transactions, regardless of
whether they are effected on an agency or a principal basis, or in connection
with the writing of options contracts; and (3) the lending of securities to the
Foreign Affiliates by the Plans.
|
|
|
Settlement
|
|
PTE 1999-31 |
D-10722
|
|
G: 64 FR 40627 (07/27/99)
|
P: 64 FR 29908 (06/03/99)
|
|
The Unaka Company, Incorporated Employees Profit Sharing Plan and
Trust
|
|
See summary for the Plan under Assignment by Plan of Chose in
Action.
|
|
|
|
|
PTE 1999-44 |
D-10257
|
|
G: 64 FR
61136 (11/09/99)
|
P: 64 FR 39533 (07/22/99)
|
|
Pacific Life Corporation (Pacific
Life)
|
|
Permits (1)
for the period from January 22, 1993 until October 31, 1998, the sale, by
Pacific Life, of an “actively-managed synthetic guaranteed investment
contract (the Actively-Managed Synthetic GIC) to an employee benefit plan for
which Pacific Life was a party in interest with respect to such Plan in
instances where Pacific Life or an affiliate manages the Plan’s assets
relating to the Synthetic GIC (an Affiliated-Manager GIC); and (2) as of January
22, 1993, to the purchase or retention of the Affiliated-Manager GICs by the
Plans and the payments made by Pacific Life to the Plans pursuant to the terms
and conditions of the Affiliated-Manager GICs. Also permits, (1) as of January
22, 1993, the sale by Pacific Life of an Actively-Managed Synthetic GIC to a
Plan in instances where the Plan’s assets relating to the Actively-Managed
Synthetic GIC are managed by an investment manager who is unaffiliated with
Pacific Life and its affiliates (an Unaffiliated-Manager GIC); and (2) as of
January 22, 1993, to the purchase or retention of the Unaffiliated-Manager GICs
by the Plans and the payments made by Pacific Life to the Plans pursuant to the
terms and conditions of the Unaffiliated-Manager GICs.
|
|
|
PTE 1999-36 |
D-10504
|
|
G: 64 FR 52546 (09/29/99)
|
P: 64 FR 25916 (05/13/99)
|
|
Aetna Inc. (Aetna)
|
|
See summary for Aetna under
Receipt of Fees.
|
|
|
|
|
PTE 1999-35 |
D-10707
|
|
G: 64 FR 46422 (08/25/99)
|
P:
64 FR 34292 (06/25/99)
|
|
H. H. Borland Inc.
Profit Sharing Plan
|
|
See summary for the Plan under Sale by
Plan of Real Property.
|
|
|
PTE 1999-28 |
D-10749
|
|
G: 64 FR 38481 (07/16/99)
|
P: 64 FR 29918 (06/03/99)
|
|
Gaetano Lombardo Individual Retirement
Account
|
|
See summary for the IRA under Sale by
Plan of Employer Securities.
|
|
|
PTE 1999-25 |
D-10723, D-10724
|
|
G: 64 FR
34296 (06/25/99)
|
P: 64 FR 25924 (05/13/99)
|
|
Daniel N.
Cunningham IRA and the Sidney B. Cox IRA
|
|
See summary for the IRAs under Purchase
by Plan of Other Securities.
|
|
|
PTE 1999-06 |
D-10683, D-10687, D-10697, D-10698
|
|
G: 64 FR 4131 (01/27/99)
|
P: 63 FR 6932 (12/16/98)
|
|
Hummel, Gibson, et al. IRAs
|
|
See summary for the IRAs under Sale by
Plan of Other Securities.
|
|
|
PTE 1999-05 |
D-10636, D-10642
|
|
G: 64 FR 4131 (01/27/99)
|
P: 63 FR 69319 (12/16/98)
|
|
Brune, Glowacki, et al. IRAs
|
|
See summary for the IRAs under Sale by
Plan of Other Securities.
|
|