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APPENDIX I. U.S. SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 24F-2
ANNUAL NOTICE OF SECURITIES SOLD
PURSUANT TO RULE 24f-2
READ INSTRUCTIONS AT END OF FORM BEFORE PREPARING FORM.
PLEASE PRINT OR TYPE.
______________________________________________________________________________
1. Name and address of issuer:
HARTFORD LIFE INSURANCE COMPANY
DC Variable Account -I
P.O. Box 2999
Hartford, CT 06104-2999
______________________________________________________________________________
2. Name of each series or class of funds for which this notice is filed:
Single Class
______________________________________________________________________________
3. Investment Company Act File Number:
Securities Act File Number: 33-19944
______________________________________________________________________________
4. Last day of fiscal year for which this notice is filed:
December 31, 1995
______________________________________________________________________________
5. Check box if this notice is being filed more than 180 days after the close
of the issuer's fiscal year for purposes of reporting securities sold
after the close of the fiscal year but before termination of the fiscal
year but before termination of the issuer's 24f-2 declaration:
N/A
/ /
______________________________________________________________________________
6. Date of termination of issuer's declaration under rule 24f-2(a)(1), if
applicable (see instruction A.6):
N/A
______________________________________________________________________________
7. Number and amount of securities of the same class or series which had been
registered under the Securities Act of 1933 other than pursuant to rule
24f-2 in a prior fiscal year, but which remained unsold at the beginning
of the fiscal year:
N/A
______________________________________________________________________________
8. Number and amount of securities registered during the fiscal year other
than pursuant to rule 24f-2:
N/A
______________________________________________________________________________
9. Number and aggregate sale price of securities sold during the fiscal
year:
See Attached
_____________________________________________________________________________
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22
______________________________________________________________________________
10. Number and aggregate sale price of securities sold during the fiscal
year in reliance upon registration pursuant to rule 24f-2.
See Attached
______________________________________________________________________________
11. Number and aggregate sale price of securities issued during the fiscal
year in connection with dividend reinvestment plans, if applicable (see
instruction B.7):
N/A
______________________________________________________________________________
12. Calculation of registration fee: See Attached
(i) Aggregate sale price of securities sold during
the fiscal year in reliance on rule 24f-2
(from Item 10): $__________________
(ii) Aggregate price of shares issued in connection
with dividend reinvestment plans (from Item 11,
if applicable): +__________________
(iii) Aggregate price of share redeemed or repurchased
during the fiscal year (if applicable): -__________________
(iv) Aggregate price of shares redeemed or repurchased
and previously applied as a reduction to filing
fees pursuant to rule 24e-2 (if applicable): +___________________
(v) Net aggregate price of securities sold and issued
during the fiscal year in reliance on rule 24f-2
[line (i), plus line (ii), less line (iii), plus
line (iv)] (if applicable): ___________________
(vi) Multiplier prescribed by Section 6(b) of the
Securities Act of 1933 or other applicable law or
regulation (see Instruction C.6): x___________________
(vii) Fee due [line (i) or line (v) multiplied by
line (vi)]:
===================
INSTRUCTION: ISSUERS SHOULD COMPLETE LINES (ii), (iii), (iv), AND (v) ONLY IF
THE FORM IS BEING FILED WITHIN 60 DAYS AFTER THE CLOSE OF THE
ISSUER'S FISCAL YEAR. SEE INSTRUCTION C.3.
_______________________________________________________________________________
13. Check box if fees are being remitted to the Commission's lockbox
depository as described in section 3a of the Commission's Rules of
Informal and Other Procedures (17 CFR 202.3a).
/ /
Date of mailing or wire transfer of filing fees to the Commission's
lockbox depository: 2-21-96
_______________________________________________________________________________
SIGNATURES
This report has been signed below by the following persons on behalf of
the issuer and in the capacities and on the dates indicated.
By (Signature and Title)* /s/ Greg Bubnash
----------------------------------------------
Assistant Director - Greg Bubnash
----------------------------------------------
Date 2/20/96
-------
*Please print the name and title of the signing officer below the signature
_______________________________________________________________________________
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<TABLE>
<CAPTION>
HARTFORD LIFE INSURANCE COMPANY DC VARIABLE ACCOUNT I
SECURITIES ACT FILE NUMBER: 33-19944
AMOUNT AMOUNT NET SOLD / OFFERING PRICE AMOUNT OF
SOLD REDEEMED (REDEEMED) 02/12/1996 FILING FEE
- ---------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
Def Comp I 1.25% Cal Social Responsive 2,388,193 1,278,491 1,109,702 2.018379 772.34
Def Comp I 1.25% HVA Money Market Fnd 7,946,557 9,611,164 -1,664,607 2.641941 0.00
Def Comp I 1.25% Hartford Advisers Fund 20,910,853 18,932,547 1,978,306 3.816949 2,603.83
Def Comp I 1.25% Hartford Bond Fund 3,201,635 3,662,178 -460,543 4.127324 0.00
Def Comp I 1.25% Hartford Capital Apprec 17,648,719 11,456,899 6,191,820 5.755127 12,287.83
Def Comp I 1.25% Hartford Dividend & Grw 7,682,042 1,364,996 6,317,046 1.295371 2,821.70
Def Comp I 1.25% Hartford Index Fund 8,147,568 3,687,889 4,459,679 2.528130 3,887.81
Def Comp I 1.25% Hartford Int'l Opportun 17,607,242 20,206,620 -2,599,378 1.366673 0.00
Def Comp I 1.25% Hartford Mortgage Secur 6,060,336 5,775,769 284,567 2.360033 231.58
Def Comp I 1.25% Hartford Stock Fund 7,294,244 7,574,340 -280,096 9.583566 0.00
Def Comp I 1.25% Hartford US Gov't Secur 2,721,739 2,854,696 -132,957 1.842867 0.00
- --------------------------------------------------------------------------------------------------------------------
22,605.09
- --------------------------------------------------------------------------------------------------------------------
- --------------------------------------------------------------------------------------------------------------------
</TABLE>
<TABLE>
<CAPTION>
HARTFORD LIFE INSURANCE COMPANY DC VARIABLE ACCOUNT I
SECURITIES ACT FILE NUMBER: 33-19944 ITEM 9,10 ITEM 12(iii) ITEM 12(iii) ITEM 12 (vi) ITEM 12 (vii)
Sold Redeemed Redeemed-Used MULTIPLIER FEE
- ---------------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C>
Def Comp I 1.25% Cal Social Responsive 4,820,279 2,580,479 2,580,479 1/2900 773.34
Def Comp I 1.25% HVA Money Market Fnd 20,994,335 25,392,128 20,994,335 1/2900 0.00
Def Comp I 1.25% Hartford Advisers Fund 79,815,659 72,264,566 72,264,566 1/2900 2,603.83
Def Comp I 1.25% Hartford Bond Fund 13,214,185 15,114,995 13,214,185 1/2900 0.00
Def Comp I 1.25% Hartford Capital Apprec 101,570,619 65,935,909 65,935,909 1/2900 12,287.83
Def Comp I 1.25% Hartford Dividend & Grw 9,951,094 1,768,176 1,768,176 1/2900 2,821.70
Def Comp I 1.25% Hartford Index Fund 20,598,111 9,323,463 9,323,463 1/2900 3,887.81
Def Comp I 1.25% Hartford Int'l Opportun 24,063,342 27,615,842 24,063,342 1/2900 0.00
Def Comp I 1.25% Hartford Mortgage Secur 14,302,593 13,631,005 13,631,005 1/2900 231.58
Def Comp I 1.25% Hartford Stock Fund 69,904,869 72,589,187 69,904,869 1/2900 0.00
Def Comp I 1.25% Hartford US Gov't Secur 5,015,803 5,260,825 5,015,803 1/2900 0.00
- --------------------------------------------------------------------------------------------------------------------
364,250,889 311,476,577 298,696,133 22,605.09
</TABLE>