INVESTORS LIFE INS CO OF NORTH AMERICA INA PUTNAM SEP ACCT
485BPOS, 1997-07-29
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As Filed with the Securities and 
Exchange Commission on July 29, 1997

                    Registration Statement No. 2-66266                       
                                     
                    SECURITIES AND EXCHANGE COMMISSION
                           Washington, DC  20549


                       POST-EFFECTIVE AMENDMENT NO 5

                                    to

                                 FORM S-6

                     REGISTRATION STATEMENT UNDER THE
                          SECURITIES ACT OF 1933                 
               
     

             INVESTORS LIFE INSURANCE COMPANY OF NORTH AMERICA
                       INA/PUTNAM SEPARATE ACCOUNT I
                        (Exact Name of Registrant)

             INVESTORS LIFE INSURANCE COMPANY OF NORTH AMERICA
                            (Name of Depositor)

                  701 Brazos Street, Austin, Texas 78701
           Address of Depositor's Principal Executive Offices)  

Depositor's Telephone Number:                512-404-5040

Roy F. Mitte, President
Investors Life Insurance Company of North America
701 Brazos Street, Austin, Texas  78701
_________________________________________________________________
                  (Name and Address of Agent for Service)

Approximate Date of Proposed Public Offering:  Continuous

It is proposed that this filing will become effective July 31,
1997, pursuant to paragraph (b) of Rule 485. 

The Registrant has registered an indefinite number or amount of
securities under the Securities Act of 1933 pursuant to Rule 
24f-2.  The Rule 24f-2 Notice for the most recent fiscal year was
filed on February 26, 1997.

<PAGE>
This post-effective amendment is being filed solely to satisfy
the requirements of Section 26(e)(2)(A) under the Investment
Company Act of 1940

The contents of Registrant's previously filed registration
statement, Post-Effective Amendment No. 4 to the Registration
Statement on Form S-6 of the Investors Life Insurance Company of
North America INA/Putnam Separate Account filed on August 25,
1981 (File Nos. 2-66266 and 811-2980) is incorporated by
reference herein in its entirety.

The Registrant has previously obtained a no-action letter which
provides that the Registrant is not required to prepare and file
post effective amendments to its '33 Act Registration Statement;
provided that the Registrant continues to provide periodic
reports to contractholders and file periodic financial reports as
required under section 30 of the '40 Act.  See letter dated
September 13, 1982 (Ref. No. 82-56-IP).

The following undertaking is added to Part II, Undertakings:

     Investors Life Insurance Company of North America hereby
     represents that the fees and charges deducted under the
     Contracts, in the aggregate, are reasonable in relation to
     the services rendered, the expenses expected to be incurred
     and the risks assumed by Investors Life Insurance Company of
     North America.

                          SIGNATURES

Pursuant to the requirements of the Securities Act of 1933, the
Sponsor of the Registrant has caused this Post-Effective
Amendment No. 5 to the Investors Life Insurance Company of North
America INA/Putnam Separate Account Registration Statement to be
duly signed on behalf of the Registrant in the City of Austin,
and the State of Texas, on the 29th day of July, 1997.

                              INVESTORS LIFE INSURANCE COMPANY OF
                              NORTH AMERICA INA/PUTNAM SEPARATE
                              ACCOUNT 
ATTEST:                                 (Registrant)

                              By:   /s/ Roy F. Mitte              
 /s/ Theodore A. Fleron            Chairman, President and Chief
                                   Executive Officer

ATTEST:                       INVESTORS LIFE INSURANCE COMPANY OF
                              NORTH AMERICA 
                                        (Depositor)

                              By:   /s/ Roy F. Mitte             
/s/ Theodore A. Fleron             Chairman, President and Chief
                                   Executive Officer

Pursuant to the requirements of paragraph (b)(4) of Rule 485
under the Securities Act of 1933, the Registrant hereby certifies
that this Post-Effective Amendment No. 5 meets all of the
requirements for effectiveness pursuant to paragraph (b) of said
Rule 485.

Pursuant to the requirements of the Securities Act of 1933, this
Separate Account I Registration Statement has been signed below
by the following persons in the capacities and on the date
indicated:

/s/ Roy . Mitte                 /s/ James M. Grace           
Roy F. Mitte                       James M. Grace
Principal Executive Officer        Principal Financial Officer
Director                           Principal Accounting Officer
                                   Director

/s/ Eugene E. Payne             /s/ Theodore A. Fleron       
Eugene E. Payne                    Theodore A. Fleron   
Director                           Director

 /s/ Jeffrey H. Demgen          /s/ Steven P. Schmitt       
Jeffrey H. Demgen                  Steven P. Schmitt      
Director                           Director

 /s/ Dale E. Mitte                       
Dale E. Mitte                      
Director                           

                   
                         



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