AMERICAN GENERAL LIFE INSURANCE CO SEPARATE ACCOUNT D
24F-2NT, 1998-02-27
Previous: SEPARATE ACCOUNT A OF EQUITABLE LIFE ASSU SOC OF THE US, NSAR-U, 1998-02-27
Next: AMERICAN GENERAL LIFE INSURANCE CO SEPARATE ACCOUNT D, 497, 1998-02-27



                    U.S. SECURITIES AND EXCHANGE COMMISSION
                            Washington, D.C. 20549

                                  FORM 24F-2

                        ANNUAL FILING UNDER RULE 24f-2
                     OF THE INVESTMENT COMPANY ACT OF 1940

           Read instructions at end of Form before preparing Form.
                             Please print or type.


1.    Name and address of issuer.

                    American General Life Insurance Company
                              Separate Account D
                             2727-A Allen Parkway
                             Houston, Texas 77019

2.    The name of each  series or class of  securities  for which this Form is
      filed  (leave  this item blank if the Form is being filed for all series
      and classes of securities of the issuer):

      Sierra Variable Trust  International  Growth Fund, Sierra Variable Trust
      Short Term Global  Government  Fund,  Sierra Variable Trust Growth Fund,
      Sierra  Variable  Trust Global Money Fund,  Sierra  Variable  Trust U.S.
      Government  Fund,  Sierra Variable Trust Growth and Income Fund,  Sierra
      Variable Trust Corporate  Income Fund,  Sierra Variable Trust Short Term
      High Quality Bond Fund,  Sierra  Variable  Trust  Emerging  Growth Fund,
      Sierra  Variable Trust Capital Growth  Portfolio,  Sierra Variable Trust
      Growth  Portfolio,  Sierra  Variable  Trust Balanced  Portfolio,  Sierra
      Variable Trust Value Portfolio, Sierra Variable Trust Global Money Fund,
      Van  Kampen  American   Capital  Life  Investment   Trust  Money  Market
      Portfolio,  Van Kampen American Capital Life Investment Trust Government
      Portfolio,  Van Kampen American Capital Life Investment Asset Allocation
      Portfolio,  Van  Kampen  American  Capital  Comstock  Fund,  Van  Kampen
      American  Capital  Corporate  Bond  Fund,  Van Kampen  American  Capital
      Reserve Fund,  Van Kampen  American  Capital High Income  Corporate Bond
      Fund, Van Kampen American  Capital Life Investment Trust Domestic Income
      Portfolio,  Van Kampen American  Capital Life Investment  Trust Emerging
      Growth  Portfolio,  Van Kampen American  Capital Life  Investment  Trust
      Enterprise Portfolio,  Van Kampen American Capital Life Investment Trust
      Growth & Income  Portfolio,  Van Kampen American Capital Life Investment
      Trust  Morgan  Stanley  Real  Estate  Securities  Portfolio,  Van Kampen
      American Capital Life Investment Trust Strategic Stock Portfolio, Morgan
      Stanley  Universal Funds,  Inc. Asian Equity  Portfolio,  Morgan Stanley
      Universal Funds, Inc. Emerging Markets Equity Portfolio,  Morgan Stanley
      Universal Funds, Inc. Equity Growth Portfolio,  Morgan Stanley Universal
      Funds, Inc.  International  Magnum  Portfolio,  Morgan Stanley Universal
      Funds,  Inc. Global Equity  Portfolio,  Morgan Stanley  Universal Funds,
      Inc. Value Portfolio, Morgan Stanley Universal Funds, Inc. Mid Cap Value
      Portfolio,  Morgan Stanley  Universal Funds,  Inc. High Yield Portfolio,
      Morgan Stanley Universal Funds,  Inc. Fixed Income  Portfolio,  Fidelity
      Variable  Insurance Product Asset Manager  Portfolio,  Fidelity Variable
      Insurance  Product  Overseas  Portfolio,   Fidelity  Variable  Insurance
      Product  Index 500  Portfolio,  Neuberger & Berman  Advisors  Management
      Trust Balanced  Portfolio,  Neuberger & Berman Advisors Management Trust
      Partners  Portfolio,  American  General Series  Portfolio  Company Stock
      Index Fund,  American General Series Portfolio  Company Social Awareness
      Fund, American General Series Portfolio Company  International  Equities
      Fund

3.    Investment  Company  Act  File  Number:  811-2441 
      Securities Act file Number: 2-49805; 33-43390; 33-57730; 333-25549

4.(a) Last day of fiscal year for which this Form is filed: 12/31/97

4.(b) [ ] Check box if this Form is being filed late (i.e.,  more than 90 days
          after the end of the issuer's fiscal year).

Note: If the  Form is  being  filed  more  than 90 days  after  the end of the
      issuer's fiscal year, interest must be paid on the registration fee due.

4.(c) [ ] Check box if this is the last time the  issuer  will be filing  this
          Form.


<PAGE>

5.    Calculation of registration fee:

      (i)    Aggregate sale price of securities
             sold during the fiscal year pursuant
             to section 24(f):                                     $ 83,976,044
                                                                   ------------

      (ii)   Aggregate price of securities
             redeemed or repurchased during the
             fiscal year:                             $ 67,280,426
                                                      ------------

      (iii)  Aggregate price of securities
             redeemed or repurchased during any
             prior fiscal year ending no earlier
             than October 11, 1995 that were not
             previously used to reduce
             registration fees payable to the
             Commission:                              $ 0
                                                      ------------

      (iv)   Total available redemption credits
             [add items 5(ii) and 5(iii)]:                         $ 67,280,426
                                                                   ------------

      (v)    Net sales -- if Item 5(i) is greater
             than Item 5(iv) [subtract Item 5(iv)
             from Item 5(i)]:                                      $ 16,695,618
                                                                   ------------


      (vi)   Redemption credits available for use
             in future years - if Item 5(i) is
             less than Item 5(iv) [subtract Item
             5(iv) from Item 5(i)]:                   $ N/A
                                                      ------------

      (vii)  Multiplier for determining
             registration fee (See Instruction
             C.8):                                                 x 1/3300
                                                                   ------------

      (viii) Registration fee due [multiply Item
             5(v) by Item 5(vii)] (enter "0" if no
             fee is due):                                          = $ 5,059.28
                                                                   ============

6.    Interest due -- if this Form is being filed
      more than 90 days after the end of the
      issuer's fiscal year (see Instruction D):                    + $ N/A
                                                                   ------------

7.    Total of the amount of the registration fee
      due plus any interest due [Item 5(vii) plus
      Item 6]:                                                     = $ 5,059.28
                                                                   ============


8.    Date the registration fee and any interest
      payment was sent to the Commission's lockbox
      depository:   FEBRUARY 25, 1998

      Account Number: 9108739

      Method of Delivery:
                  [X]  Wire Transfer
                  [ ]  Mail or other means


                                  SIGNATURES

This Form 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/ROBERT F. HERBERT, JR.
                           -------------------------------------------------
                           Robert F. Herbert, Jr.
                           Senior Vice President and Chief Financial Officer

Date  February 26, 1998



© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission