MIDLAND NATIONAL LIFE SEPARATE ACCOUNT A
24F-2NT, 1999-02-23
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UNITED STATES  
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:

                                  Midland National Life  
                                  One Midland Plaza  
                                  Sioux Falls, SD  57193  
  
2.  Name of each series or class of funds for which this notice is filed:  
  
      Midland National Life Separate Account A  
  
3.  Investment Company Act File Number:  
      33-76318  
  
    Securities Act File Number:  
      811-5271  
  
4.  Last day of fiscal year for which this notice is filed:  
  
      December 31, 1998  
  
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   
issuer's 24f-2 declaration: 
 
       N/A 
  
  
6.  Date of termination of issuer's declaration under rule 24f-2(a)(1), if   
application (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:  
  
      NONE  
  
8.  Number and amount of securities registered during the fiscal year other   
than pursuant to rule 24f-2:  
  
      NONE  
  
9.  Number and aggregate sale price of securities sold during the fiscal   
year:  
  
      $42,797,873.41  
  
10.  Number and aggregate sale price of securities sold during the fiscal   
year in reliance upon registration pursuant to rule 24f-2:  
  
      $42,797,873.41  
  
11.  Number and aggregate sale price of securities issue during the fiscal   
year in connection with dividend reinvestment plans, if applicable (see   
Instruction B.7):  
  
      NONE  
  
12.  Calculation of registration fee:  
  
     (I) Aggregate sale price of securities sold  
         during the fiscal year in reliance on rule  $ 42,797,873.41  
         24f-2 (from Item 10):  
  
     (ii) Aggregate price of shares issued in  
          connection with dividend reinvestment      +             0	  
          plans (from Item 11, if applicable):  
  
     (iii) Aggregate price of shares redeemed or  
           repurchased during the fiscal year          -           0 	  
           (if applicable):  
  
     (iv) Aggregate price of shares redeemed or  
          repurchased and previously applied as      +             0	  
          a reductionto filing fees pursuant to  
          rule 24e-2 (if applicable):  
  
     (v) Net aggregate price of securities sold  
         and issued during the fiscal year in          42,797,873.41  
         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        x     .00034483	  
          applicable law or regulation (see  
          Instruction C.6):  
  
     (vii) Fee due [line (i), or line (v) multiplied  
           by line (vi)]:                                  14,757.99  
  
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).          X  
  
    Date of mailing or wire transfer of filing fees to the Commission's   
lockbox depository:    February 22, 1999 
  
  
  
  
  
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/Thomas_M._Meyer__	  
                                Thomas M. Meyer  
                             	VP and Chief Financial Officer  
  
Date  	February 16, 1999  
  
  
  
*Please print the name and title of the signing officer below the signature.  
 
 
 
<PAGE>


February 10, 1999



Midland National Life Separate Account A
Midland National Life Insurance Company
One Midland Plaza
Sioux Falls, SD  57193

RE:  File No. 33-76318

Gentlemen:

This opinion is furnished in connection with the preparation 
and filing with the Securities and Exchange Commission of the 
above referenced Rule 24f-2 Notice of Midland National Life 
Separate Account A (the "Account"), pursuant to Rule 24f-2 
under the Investment Company Act of 1940.

The Rule 24f-2 Notice is being filed with respect to 
individual variable life insurance policies issued by the 
Account on or before December 31, 1998 (the "Policies").

I have determined that appropriate action has been taken to 
register or qualify the sale of the Policies under any 
applicable state or federal laws or regulations pertaining to 
offerings and sales of the Policies.  I also reviewed that 
the Account received the authorized payment for the Policies 
in accordance with the terms described in the Account's
Registration Statement on Form S-6 (File No. 33-76318) under 
the Securities Act of 1933.

Based on the foregoing, it is my opinion the Policies, the 
registration of which the Rule 24f-2 Notice makes definite in 
amount, were legally issued, fully paid and non-assessable.

I consent to this opinion accompanying the Rule 24f-2 Notice 
when filed with the Securities and Exchange Commission.

Sincerely,


__/s/_Jack_L._Briggs__ 
Jack L. Briggs
Vice President, Secretary
and General Counsel





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