METROPOLITAN LIFE SEPARATE ACCOUNT UL
NSAR-U, 2000-02-29
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<PAGE>

                                  FORM N-SAR
                              SEMI-ANNUAL REPORT
                      FOR REGISTERED INVESTMENT COMPANIES



Report for six month period ending:
             or fiscal year ending:     12/31/99
                                        --------

Is this a transition report?: (Y/N)            N
                                               -

Is this an amendment to a previous filing? (Y/N)  N
                                                  -

Those items or sub-items with a box "[/]" after the item number should be
completed only if the answer has changed from the previous filing of this form.

1.   A. Registrant Name:   METROPOLITAN LIFE SEPARATE ACCOUNT UL


     B. File Number:       811-6025

     C. Telephone Number:  (212) 578-4487
                           C/O METROPOLITAN LIFE INSURANCE COMPANY

2.   A. Street:            ONE MADISON AVENUE

     B. City:              NEW YORK

     C. State:             NY

     D. Zip Code:          10010        Zip Ext:  3690

     E. Foreign Country:   N/A

3.   Is this the first filing on this form by Registrant? (Y/N)      N
                                                                     -

4.   Is this the last filing on this form by Registrant? (Y/N)       N
                                                                     -

5.   Is Registrant a small business investment company (SBIC)?(Y/N)  N
                                                                     -
     [If answer is "Y" (Yes), complete only items 89 through 110.]

6.   Is Registrant a unit investment trust (UIT)?(Y/N)               Y
                                                                     -
     If answer is "Y" (Yes) complete only items 111 through 132.]

7.   A. Is Registrant a series or multiple portfolio company?(Y/N)  ___

     [If answer is "N" (No), go to item 8.]

8.   How many separate series or portfolios did Registrant have
     at the end of the period?                                      ___

SCREEN NUMBER: 01                   PAGE NUMBER: 01              SEC2100(5/90)
<PAGE>

For period ending:   12/31/99
                     --------
File number 811 6025
If filing more than one Page 47, "X" box: [_]


UNIT INVESTMENT TRUSTS

111.
     A.   [/]  Depositor Name: METROPOLITAN LIFE INSURANCE COMPANY
                               -----------------------------------

     B.   [/]  File Number (If any):

     C.   [/]  City: NEW YORK           State: NY           Zip Code:  10010
                     --------                  --                      -----
                                                            Zip Ext.:  3690
                                                                       ----

111.
     A.   [/]  Depositor Name:

     B.   [/]  File Number (If any):

     C.   [/]  City:                    State:              Zip Code:
                                                            Zip Ext.:

112.
     A.   [/]  Sponsor Name: METROPOLITAN LIFE INSURANCE COMPANY
                             -----------------------------------

     B.   [/]  File Number (If any):

     C.   [/]  City: NEW YORK           State: NY           Zip Code:  10010
                     --------                  --                      -----
                                                            Zip Ext.:  3690
                                                                       ----

112.
     A.   [/]  Sponsor Name:

     B.   [/]  File Number (If any):

     C.   [/]  City:                    State:              Zip Code:
                                                            Zip Ext.:

SCREEN NUMBER: 55                      PAGE NUMBER: 47      SEC2100(5/90)
<PAGE>

For period ending: 12/31/99
                   --------
File number 811 6025
If filing more than one Page 48, "X" box: [_]


113.
     A.   [/]  Trustee Name:

     B.   [/]  City:                    State:              Zip Code:
                                                            Zip Ext.:

     C.   [/]  Foreign Country:               Foreign Postal Code:

113.
     A.   [/]  Trustee Name:

     B.   [/]  City:                    State:              Zip Code:
                                                            Zip Ext.:

     C.   [/]  Foreign Country:               Foreign Postal Code:

114.
     A.   [/]  Principal Underwriter Name: METROPOLITAN LIFE INSURANCE COMPANY
                                           -----------------------------------

     B.   [/]  File Number: 8-14901
                            -------

     C.   [/]  City: NEW YORK           State: NY           Zip Code: 10010
                     --------                  --                     -----
                                                            Zip Ext.: 3690
                                                                      ----

     D.   [/]  Foreign Country:               Foreign Postal Code:

114.
     A.   [/]  Principal Underwriter Name:

     B.   [/]  File Number:  8-

     C.   [/]  City:___________________ State:              Zip Code:
                                                            Zip Ext.:

     D.   [/]  Foreign Country:               Foreign Postal Code:


115.
     A.   [/]  Independent Public Accountant Name: DELOITTE & TOUCHE LLP

     B.   [/]  City: NEW YORK           State: NY           Zip Code: 10281
                     --------                  --                     -----
                                                            Zip Ext.:

     C.   [/]  Foreign Country:______________ Foreign Postal Code:

115.
     A.   [/]                   Independent Public Accountant Name:

     B.   [/]  City:                    State:              Zip Code:
                                                            Zip Ext.:

     C.   [/]  Foreign Country:______________ Foreign Postal Code:

SCREEN NUMBER: 56                  PAGE NUMBER: 48             SEC2100(5/90)
<PAGE>

For period ending 12/31/99
                  --------
File number 811 6025
If filing more than one Page 49, "X" box: [_]


116. Family of investment companies information:
     A.   [/]  Is Registrant part of a family of
               investment companies?  (Y/N)                  N
                                                            ---

     B.   [/]  Identify the family in 10 letters            _____
          (NOTE: In filing this form, use this identification consistently for
          all investment companies in family. This designation is for purposes
          of this form only.)

117.
     A.   [/]  Is Registrant a separate account of an insurance company?(Y/N) Y
                                                                              -
               If answer is "Y" (Yes), are any of the following types
               of contracts funded by the Registrant?:

     B.   [/]  Variable annuity contracts?(Y/N)                    N
                                                                   -
     C.   [/]  Scheduled premium variable life contracts?(Y/N)     N
                                                                   -
     D.   [/]  Flexible premium variable life contracts?(Y/N)      Y
                                                                   -
     E.   [/]  Other types of insurance products registered
               under the Securities Act of 1933?(Y/N)                   N
                                                                        -

118: [/]  State the number of series existing at the end of the period
          that had securities registered under the Securities Act of 1933  1
                                                                           -

119. [/]  State the number of new series for which registration
          statements under the Securities Act of 1933 became
          effective during the period                                      0
                                                                           -

120. [/]  State the total value of the portfolio securities on the
          date of deposit for the new series included in
          item 119($000's omitted)                                      $____

121. [/]  State the number of series for which a current
          prospectus was in existence at the end of the period          1
                                                                        -

122. [/]  State the number of existing series for which
          additional units were registered under the
          Securities Act of 1933 during the current period              0
                                                                        -

SCREEN NUMBER: 57                    PAGE NUMBER: 49          SEC2100(5/90)
<PAGE>

For period ending 12/31/99
                  --------
File number 811 6025
If filing more than one Page 50, "X" box: [_]


123. [/]  State the total value of the additional units
          considered in answering item 122($000's omitted)              $____

124. [/]  State the total value of units of prior series that were
          placed in the portfolios of subsequent series during
          the current period (the value of these units is to be
          measured on the date they were placed in the
          subsequent series)($000's omitted)                         $_____

125. [/]  State the total dollar amount of sales loads collected
          (before reallowances to other brokers or dealers) by
          Registrant's principal underwriter and any underwriter
          which is an affiliated person of the principal underwriter
          during the current period solely from the sale of units
          of all series of Registrant ($000's omitted)                $10,541

126.      Of the amount shown in item 125, state the total dollar
          amount of sales loads collected from secondary market
          operations in Registrant's units (include the sales loads,
          if any, collected on units of a prior series placed in
          the portfolio of a subsequent series.) ($000's omitted)       $0

127.      List opposite the appropriate description below the number of series
          whose portfolios are invested primarily (based upon a percentage of
          NAV) in each type of security shown, the aggregate total assets at
          market value as of a date at or near the end of the current period of
          each such group of series and the total income distributions made by
          each such group of series during the current period (excluding
          distributions of realized gains, if any):

<TABLE>
<CAPTION>
                                                 Number of                          Total Income
                                                   Series        Total Assets       Distributions
                                                 Investing      ($000's omitted)    (000's omitted)
                                                 ---------      ----------------    ---------------
<S>                                              <C>            <C>                 <C>
A.   U.S. Treasury direct issue                  _________      $______________     $______________

B.   U.S. Government agency                      _________      $______________     $______________

C.   State and municipal tax-free                _________      $______________     $______________

D.   Public utility debt                         _________      $______________     $______________

E.   Brokers or dealers debt or debt
     of brokers' or dealers' parent              _________      $______________     $______________

F.   All other corporate intermediate
     & long-term debt                            _________      $______________     $______________

G.   All other corporate short-term debt         _________      $______________     $______________

H.   Equity securities of brokers or dealers
     or parents of brokers or dealers            _________      $______________     $______________

I.   Investment company equity securities        _________      $______________     $______________

J.   All other equity securities                     1          $1,457,166          $
                                                 ---------      ---------------     ---------------
K.   Other securities                            _________      $______________     $______________

L.   Total assets of all series of registrant        1          $1,457,166          $
                                                 ---------      ---------------     ---------------
</TABLE>

SCREEN NUMBER: 58                   PAGE NUMBER: 50              SEC2100(5/90)
<PAGE>

For period ending 12/31/99
                  --------
File number 811 6025
If filing more than one Page 50, "X" box: [_]


128. [/]  Is the timely payment of principal and interest
          on any of the portfolio securities held by any
          of Registrant's series at the end of the current
          period insured or guaranteed by an entity other
          than the issuer? (Y/N)                                     N
                                                                    ---
          [If answer is "N"(No), go to item 131.]

129. [/]  Is the issuer of any instrument covered in item 128
          delinquent or in default as to payment of principal
          or interest at the end of the current period?(Y/N)              ___
          [If answer is "N" (No), go to item 131.]

130. [/]  In computations of NAV or offering price per unit,
          is any part of the value attributed to instruments
          identified in item 129 derived from insurance or
          guarantees?(Y/N)                                                ___

131. [/]  Total expenses incurred by all series of Registrant
          during the current reporting period ($000's omitted)    $10,137

132. [/]  List the "811"(Investment Company Act of 1940)
          registration number for all Series of Registrant
          that are being included in this filing:

     811-6025       811-________       811-_______   811-______     811-______
         ------
     811-______     811-________       811-_______   811-______     811-______

     811-______     811-________       811-_______   811-______     811-______

     811-______     811-________       811-_______   811-______     811-______

     811-______     811-________       811-_______   811-______     811-______

     811-______     811-________       811-_______   811-______     811-______

     811-______     811-________       811-_______   811-______     811-______

     811-______     811-________       811-_______   811-______     811-______

     811-______     811-________       811-_______   811-______     811-______


SCREEN NUMBER: 59                  PAGE NUMBER: 51             SEC2100(5/90)
<PAGE>

Signature Page



The following form of signature shall follow items 79, 85, 88, 104, 110 or 132
as appropriate.

This report is signed on behalf of the registrant (or depositor or trustee).

<TABLE>
<CAPTION>
City of: New York  State of: New York             Date: February 26, 2000

Name of Registrant, Depositor, or Trustee:        Metropolitan Life Separate Account UL
<S>                                               <C>
/S/ Marian J. Zeldin                              /S/ Christopher P. Nicholas
- ---------------------------                       --------------------------------
By (Name and Title):                              Witness (Name and Title):
Marian J. Zeldin                                  Christopher P. Nicholas
Vice-President and Actuary                        Associate Gen. Counsel
Metropolitan Life                                 Metropolitan Life
Insurance Company                                 Insurance Company
</TABLE>

                           PAGE NUMBER: 52           SEC2100(5/90)


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