VARIABLE ANNUITY ACCT C OF AETNA LIFE INSURANCE & ANNUITY CO
485BPOS, EX-99.B.9, 2000-08-14
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                                    EX-99.B.9


[Aetna Letterhead]
[Aetna Logo]


                                                         Aetna Inc.
                                                         151 Farmington Avenue
                                                         Hartford, CT 06156-8975



                                                         Julie E. Rockmore
                                                         Counsel
                                                         AFS Law, TS31
August 14, 2000                                          (860) 273-4686
                                                         Fax: (860) 273-0385


Securities and Exchange Commission
450 Fifth Street, N.W.
Washington, DC 20549



Re:  Aetna Life Insurance and Annuity Company and its Variable Annuity Account C
     Post-Effective Amendment No. 22 to Registration Statement on Form N-4
     Prospectus Title: Multiple Sponsored Retirement Options 403(b), 457, 401(a)
                       and 401(k)
     File Nos.: 333-01107* and 811-2513

Dear Sir or Madam:

The undersigned serves as counsel to Aetna Life Insurance and Annuity Company, a
Connecticut life insurance company (the "Company"). It is my understanding that
the Company, as depositor, has registered an indefinite amount of securities
(the "Securities") under the Securities Act of 1933 (the "Securities Act") as
provided in Rule 24f-2 under the Investment Company Act of 1940 (the "Investment
Company Act").

In connection with this opinion, I or those for whom I have supervisory
responsibility, have reviewed the N-4 Registration Statement, as amended to the
date hereof, and this Post-Effective Amendment No. 22 (the "Registration
Statement"). I have also examined originals or copies, certified or otherwise
identified to my satisfaction, of such documents, trust records and other
instruments I have deemed necessary or appropriate for the purpose of rendering
this opinion. For purposes of such examination, I have assumed the genuineness
of all signatures on original documents and the conformity to the original of
all copies.


--------
*    Pursuant to Rule 429(a) under the Securities Act of 1933, Registrant has
     included a combined prospectus under this Registration Statement which
     includes all the information which would currently be required in a
     prospectus relating to the securities covered by the following earlier
     Registration Statements: 33-88720; 33-75964 (which had included a combined
     prospectus for earlier Registration Statements: 33-75958, 33-75960, and
     33-75994); 33-75986 (which had included a combined prospectus for earlier
     Registration Statements: 33-75970, 33-75954, and 33-75956); 33-75982 (which
     had included a combined prospectus for earlier Registration Statements:
     33-75968, 33-75966, 33-75990, and the individual deferred compensation
     contracts covered by Registration Statement No. 33-75992); and 33-91846
     (which had included a combined prospectus for earlier Registration
     Statement: 33-75976).
<PAGE>


I am admitted to practice law in Connecticut, and do not purport to be an expert
on the laws of any other state. My opinion herein as to any other law is based
upon a limited inquiry thereof which I have deemed appropriate under the
circumstances.

Based upon the foregoing, and, assuming the Securities are sold in accordance
with the provisions of the prospectus, I am of the opinion that the Securities
being registered will be legally issued and will represent binding obligations
of the Company.

I consent to the filing of this opinion as an exhibit to the Registration
Statement.

Sincerely,

/s/ Julie E. Rockmore

Julie E. Rockmore
Counsel



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