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AS FILED WITH THE SECURITIES AND EXCHANGE COMMISSION ON JANUARY 28, 1998
FILE NO. 333-01741
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SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
POST-EFFECTIVE AMENDMENT NO. 4 TO
REGISTRATION STATEMENT
ON
FORM S-6
FOR REGISTRATION UNDER THE SECURITIES ACT OF 1933
OF SECURITIES OF UNIT INVESTMENT TRUSTS
REGISTERED ON FORM N-8B-2
CG CORPORATE INSURANCE VARIABLE LIFE SEPARATE
ACCOUNT 02
(EXACT NAME OF REGISTRANT)
CONNECTICUT GENERAL LIFE INSURANCE COMPANY
(NAME OF DEPOSITOR)
900 Cottage Grove Road, Hartford, Connecticut 06152
(ADDRESS OF DEPOSITOR'S PRINCIPAL EXECUTIVE OFFICES)
Depositor's Telephone Number, including Area Code
(860) 726-7276
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Mark A. Parsons, Esquire COPY TO:
Connecticut General Life Insurance George N. Gingold,
Company Esquire
900 Cottage Grove Road 197 King Philip Drive
Hartford, Connecticut 06152 West Hartford, CT
(NAME AND ADDRESS OF AGENT FOR 06117-1409
SERVICE)
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Approximate date of proposed public offering: Continuous
INDEFINITE NUMBER OF UNITS OF INTEREST IN VARIABLE LIFE INSURANCE CONTRACTS
(TITLE AND AMOUNT OF SECURITIES BEING REGISTERED)
An indefinite amount of the securities being offered by the Registration
Statement has been registered pursuant to Rule 24f-2 under the Investment
Company Act of 1940. The initial registration fee of $500 was paid with the
declaration.
Form 24F-2 was filed on February 26, 1997 for Registrant's fiscal year ended
December 31, 1996.
It is proposed that this filing will become effective:
_________ immediately upon filing pursuant to paragraph (b) of Rule 485
_________ on , pursuant to paragraph (b) of Rule 485
___X___ 60 days after filing pursuant to paragraph (a) of Rule 485
_________ on _______, pursuant to paragraph (a) of Rule 485
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CROSS REFERENCE SHEET
(RECONCILIATION AND TIE)
REQUIRED BY INSTRUCTION 4 TO FORM S-6
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ITEM OF FORM N-8B-2 LOCATION IN PROSPECTUS
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1 Cover Page Highlights
2 Cover Page
3 *
4 Distribution of Policies
5 The Company
6(a) The Variable Account
6(b) *
9 Legal Proceedings
10(a)-(c) Short-Term Right to Cancel the Policy; Surrenders;
Accumulation Value; Reports to Policy Owners
10(d) Right to Exchange for a Fixed Benefit Policy; Policy
Loans; Surrenders; Allocation of Net Premium Payments
10(e) Lapse and Reinstatement
10(f) Voting Rights
10(g)-(h) Substitution of Securities
10(i) Premium Payments; Transfers; Death Benefit; Policy
Values; Settlement Options
11 The Funds
12 The Funds
13 Charges; Fees
14 Issuance
15 Premium Payments; Transfers
16 The Variable Account
17 Surrenders
18 The Variable Account
19 Reports to Policy Owners
20 *
21 Policy Loans
22 *
23 The Company
24 Incontestability; Suicide; Misstatement of Age
25 The Company
26 Fund Participation Agreements
27 The Variable Account
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ITEM OF FORM N-8B-2 LOCATION IN PROSPECTUS
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28 Directors and Officers of the Company
29 The Company
30 *
31 *
32 *
33 *
34 *
35 *
37 *
38 Distribution of Policies
39 Distribution of Policies
40 *
41(a) Distribution of Policies
42 *
43 *
44 The Funds; Premium Payments
45 *
46 Surrenders
47 The Variable Account; Surrenders, Transfers
48 *
49 *
50 The Variable Account
51 Cover Page; Highlights; Premium Payments; Right to
Exchange for a Fixed Benefit Policy
52 Substitution of Securities
53 Tax Matters
54 *
55 *
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* Not Applicable
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FEES AND CHARGES REPRESENTATION
The Company represents that the fees and charges deducted under the
Policies, in the aggregate, are reasonable in relation to the services rendered,
the expenses expected to be incurred, and the risks assumed by the Company.
UNDERTAKING TO FILE REPORTS
Subject to the terms and conditions of Section 15(d) of the Securities
Exchange Act of 1934, the undersigned registrant hereby undertakes to file with
the Securities and Exchange Commission such supplementary and periodic
information, documents, and reports as may be prescribed by any rule or
regulation of the Commission heretofore or hereafter duly adopted pursuant to
authority conferred in that section.
CONTENTS OF REGISTRATION STATEMENT
This Post-Effective Amendment No. 4 to this registration statement comprises
the following papers and documents:
The facing sheet;
A cross-reference sheet (reconciliation and tie);
The prospectus, consisting of 64 pages;****
The Fees and Charges Representation
The undertaking to file reports;
The signatures;
Opinion and consent of Mark A. Parsons, Esq.***
Opinion and consent of Michelle L. Kunzman, FSA, MAAA relating to
representativeness of illustrations***
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Exhibit Principal Underwriting Agreement between Connecticut General Life
1. Insurance Company and CIGNA Financial Services, Inc. dated as of December
1, 1997.****
Exhibit Fund Participation Agreements
2.
Agreements between Connecticut General Life Insurance Company and
(a) Alger American Fund
Incorporated by reference to Post-Effective Amendment No. 2 to
Registration Statement on Form S-6 (File No. 33-84426) filed by CG
Variable Life Insurance Separate Account I on April 19, 1996.
(b) Fidelity Variable Products Fund*
(c) Fidelity Variable Products Fund II*
(d) MFS Variable Insurance Trust*
(e) OCC Accumulation Trust*
(f) Templeton Variable Product Series Fund*
(g) CIGNA Variable Products Group**
(h) Janus Aspen Series Trust***
Exhibit Form LN621 -- Flexible Premium Variable Life Insurance Policy
3.
* -- Incorporated by reference to Post-Amendment No. 1 to Registration
Statement on Form S-6 (File No. 33-89238) filed by CG Variable Life
Insurance Separate Account II on April 19, 1996.
** -- Incorporated by reference to Post-Effective Amendment No. 1 to this
Registration Statement filed on April 22, 1997.
*** -- Incorporated by reference to Post-Effective Amendment No. 2 to this
Registration Statement filed on October 31, 1997.
**** -- Incorporated by reference to Post-Effective Amendment No. 3 to
this Registration Statement filed on December 29, 1997.
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SIGNATURES
Pursuant to the requirements of the Securities Act of 1933, this
Post-Effective Amendment No. 4 to this Registration Statement (File No.
333-01741) has been signed below on January 28, 1998 by the following persons,
as officers and directors of the Depositor, in the capacities indicated:
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SIGNATURE TITLE
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/s/ THOMAS C. JONES
------------------------------------------- President (Principal Executive
Thomas C. Jones Officer)
/s/ JOHN WILKINSON
------------------------------------------- Vice President and Actuary
John Wilkinson (Principal Financial Officer)
/s/ DOMINIC A. DELLAVOLPE
------------------------------------------- Assistant Vice President (Principal
Dominic A. DellaVolpe Accounting Officer)
/s/ HAROLD W. ALBERT
------------------------------------------- Director
Harold W. Albert
/s/ ROBERT W. BURGESS
------------------------------------------- Director
Robert W. Burgess
/s/ JOHN G. DAY
------------------------------------------- Director
John G. Day
/s/ JOSEPH M. FITZGERALD
------------------------------------------- Director
Joseph M. Fitzgerald
/s/ H. EDWARD HANWAY
------------------------------------------- Director
H. Edward Hanway
/s/ CAROL M. OLSEN
------------------------------------------- Director
Carol M. Olsen
/s/ JOHN E. PACY
------------------------------------------- Director
John E. Pacy
/s/ MARC L. PREMINGER
------------------------------------------- Director
Marc L. Preminger
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SIGNATURE TITLE
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<C> <S>
/s/ PATRICIA L. ROWLAND
------------------------------------------- Director
Patricia L. Rowland
/s/ W. ALLEN SCHAFFER, M.D.
------------------------------------------- Director
W. Allen Schaffer, M.D.
*By /S/ ROBERT A. PICARELLO
-------------------------------------------
Robert A. Picarello
ATTORNEY-IN-FACT
(A Majority of the Directors)
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POWER OF ATTORNEY
We, the undersigned directors and officers of Connecticut General Life
Insurance Company, hereby severally constitute and appoint David C. Kopp and
Robert A. Picarello, and each of them individually, our true and lawful
attorneys-in-fact, with full power to them and each of them to sign for us, in
our names and in the capacities indicated below, any and all amendments to
Registration Statement No. 333-01741 filed with the Securities and Exchange
Commission under the Securities Act of 1933, on behalf of the Company in its own
name or in the name of one of its Separate Accounts, hereby ratifying and
confirming our signatures as they may be signed by either of our
attorneys-in-fact to any such Registration Statement.
WITNESS our hands and common seal on this 17th day of December, 1997.
SIGNATURE TITLE
- ----------------------------------- -------------------------
/S/ THOMAS C. JONES
- ----------------------------------- President (Principal
Thomas C. Jones Executive Officer)
/S/ BRADLEY K. MILLER Assistant Vice President
- ----------------------------------- and Actuary (Principal
Bradley K. Miller Financial Officer)
/S/ DOMINIC A. DELLAVOLPE Assistant Vice President
- ----------------------------------- (Principal Accounting
Dominic A. DellaVolpe Officer)
/S/ HAROLD W. ALBERT
- ----------------------------------- Director
Harold W. Albert
/S/ ROBERT W. BURGESS
- ----------------------------------- Director
Robert W. Burgess
/S/ JOHN G. DAY
- ----------------------------------- Director
John G. Day
/S/ JOSEPH M. FITZGERALD
- ----------------------------------- Director
Joseph M. Fitzgerald
/S/ H. EDWARD HANWAY
- ----------------------------------- Director
H. Edward Hanway
/S/ CAROL M. OLSEN
- ----------------------------------- Director
Carol M. Olsen
/S/JOHN E. PACY
- ----------------------------------- Director
John E. Pacy
/S/ MARC L. PREMINGER
- ----------------------------------- Director
Marc L. Preminger
/S/ ARTHUR C. REEDS, III
- ----------------------------------- Director
Arthur C. Reeds, III
/S/ PATRICIA L. ROWLAND
- ----------------------------------- Director
Patricia L. Rowland
/S/ W. ALLEN SCHAFFER, M.D.
- ----------------------------------- Director
W. Allen Schaffer, M.D.