CG VARIABLE ANNUITY SEPARATE ACCOUNT
NT-NSAR, 1999-03-02
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                    U.S. SECURITIES AND EXCHANGE COMMISSION

                             WASHINGTON, D.C. 20549
                                   FORM 12b-25


                                                             -----------------

                            NOTIFICATION OF LATE FILING       SEC FILE NUMBER
                                                                811-06691
                                                             -----------------

                                                             -----------------

                                                               CUSIP NUMBER

                                                             -----------------

(Check One):
    [ ] Form 10-K and Form  10-KSB [ ] Form 20-F
    [ ] Form  11-K [ ] Form  10-Q and Form  10-QSB
    [X] Form N-SAR

   For Period Ended: 12/31/98

   [ ] Transition Report on Form 10-K
   [ ] Transition Report on Form 20-F
   [ ] Transition Report on Form 11-K
   [ ] Transition Report on Form 10-Q
   [ ] Transition Report on Form N-SAR

     For the Transition Period Ended:

     Read Attached  Instruction  Sheet Before  Preparing  Form.  Please Print or
Type.

     Nothing in this form shall be  construed to imply that the  Commission  has
verified any information contained herein.

     If the  notification  relates  to a portion of the  filing  checked  above,
identify the Item(s) to which the notification relates:



Part I--Registrant Information

   Full Name of Registrant:  CG Variable Annuity Separate Account

   Former Name if Applicable

   Address of Principal Executive Office (Street and Number)

     900 Cottage Grove Road

   City, State and Zip Code:(Check One): Bloomfield, CT  06152
 
Part II--Rules 12b-25 (b) and (c)

If the subject report could not be filed without  unreasonable effort or expense
and the  registrant  seeks relief  pursuant to Rule 12b-25(b) [P.  23,047],  the
following should be completed. (Check box if appropriate)

     (a) The reasons  described  in  reasonable  detail in Part III of this form
     could not be eliminated without unreasonable effort or expense;

[X]  (b) The subject annual report, semi-annual report, transtion report on Form
     10-K, Form 20-F, 11-K or Form N-SAR, or portion thereof will be filed on or
     before the fifteenth calendar day following the prescribed due date; or the
     subject  quarterly  report or  transition  report on Form 10-Q,  or portion
     thereof  will be filed on or before the fifth  calendar day  following  the
     prescribed due date; and

     (c) The accountant's  statement or other exhibit required by Rule 12b-25(c)
     has been attached if applicable.

Part III--Narrative

State below in  reasonable  detail the  reasons  why Form 10-K and Form  10-KSB,
20-F,  11-K, 10-Q and Form 10-QSB,  N-SAR,  or the transition  report or portion
thereof could not be filed within the prescribed period. 

Allstate Life Insurance Company is in the process of assuming responsibility for
administering the business of Registrant.  The transition of the  administration
is occuring simultaneously with preparation of year end financial statements and
reports, and certain information was not available.


                           (Attach Extra Sheets if Needed)
Part IV--Other Information

     (1) Name and  telephone  number  of  person  to  contact  in regard to this
notification

 
Craig R. Edwards                                 847-402-2364
- ----------------                                 ------------
    (Name)                               (Area Code)    (Telephone Number)

   (2) Have all other periodic reports required under section 13 or 15(d) of the
Securities  Exchange Act of 1934 or section 30 of the Investment  Company Act of
1940  during  the  preceding  12  months  or for such  shorter  period  that the
registrant was required to file such report(s) been filed?  If the answer is no,
identify report(s).

                                                  [X] Yes   [ ] No

    (3) Is it anticipated  that any significant  change in results of operations
from the corresponding  period for the last fiscal year will be reflected by the
earnings statements to be included in the subject report or portion thereof?

                                                  [ ] Yes   [X] No

   If so: attach an explanation of the anticipated  change, both narratively and
quantitatively, and, if appropriate, state the reasons why a reasonable estimate
of the results cannot be made.

                      CG Variable Annuity Separate Account
                      ------------------------------------
                  (Name of Registrant as specified in charter)

has  caused  this  notification  to be signed on its  behalf by the  undersigned
thereunto duly authorized.


 Date:  March 2, 1999             By:  Craig R. Edwards
        -------------                  Associate Counsel
                                       Allstate Life Insurance Company
                                       Administrator for CG Variable
                                       Annuity Separate Account
                                            

INSTRUCTION: The form may be signed by an executive officer of the registrant or
by any other duly  authorized  representative.  The name and title of the person
signing  the form  shall  be typed or  printed  beneath  the  signature.  If the
statement is signed on behalf of the registrant by an authorized  representative
(other than an executive officer), evidence of the representative's authority to
sign on behalf of the registrant shall be filed with the form.
                                     ATTENTION

   Intentional misstatements or omissions of fact constitute Federal Criminal
Violations (See 18 U.S.C. 1001).
                               GENERAL INSTRUCTIONS

   1. This form is required  by Rule 12b-25 (17 CFR 240,  12b-25) of the General
Rules and Regulations under the Securities Exchange Act of 1934.

   2. One signed original and four conformed  copies of this form and amendments
thereto must be completed and filed with the Securities and Exchange Commission,
Washington,  D.C.  20549,  in accordance  with Rule 0-3 of the General Rules and
Regulations  under the Act. The information  contained in or filed with the Form
will be made a matter of the public record in the Commission files.

   3. A manually  signed copy of the form and amendments  thereto shall be filed
with each national  securities  exchange on which any class of securities of the
registrant is registered.

   4. Amendments to the notifications must also be filed on Form 12b-25 but need
not restate  information  that has been correctly  furnished.  The form shall be
clearly identified as an amended notification.

   5. Electronic Filers. This form shall not be used by electronic filers unable
to timely file a report solely due to electronic difficulties.  Filers unable to
submit a report  within  the  time  period  prescribed  due to  difficulties  in
electronic  filing  should comply with either Rule 201 or Rule 202 of Regulation
S-T  (ss.232.201  or  ss.232.202  of this chapter) or apply for an adjustment in
filing  date  pursuant to Rule 13(b) of  Regulation  S-T  (ss.232.13(b)  of this
chapter). [Added in Release No. 34-31905 (P. 85,111),  effective April 26, 1993,
58 FR 14628; and Release No. 34-35113 (P. 85,475),  effective  January 30, 1995,
59 F.R. 67752.]





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