AGL SEPARATE ACCOUNT D
24F-2NT, 2000-02-25
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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.

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1.    Name and address of issuer:

                    American General Life Insurance Company
                              Separate Account D
                             2727-A Allen Parkway
                             Houston, Texas 77019
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2.    The name of each series or class of securities for which this Form is
      filed (If the Form is being filed for all series and classes of securities
      of the issuer, check the box but do not list series or classes): [ ]

      WM Variable Trust International Growth Fund; WM Variable Trust Growth
      Fund; WM Variable Trust Money Market Fund; WM Variable Trust U.S.
      Government Securities Fund; WM Variable Trust Growth & Income Fund; WM
      Variable Trust Income Fund; WM Variable Trust Short Term High Quality Bond
      Fund; WM Variable Trust Bond & Stock Fund; WM Variable Trust Northwest
      Fund; WM Variable Trust Emerging Growth Fund; WM Variable Trust
      Conservative Growth Portfolio; WM Variable Trust Strategic Growth
      Portfolio; WM Variable Trust Flexible Income Portfolio; WM Variable Trust
      Income Portfolio; WM Variable Trust Balanced Portfolio; Van Kampen Life
      Investment Trust Money Market Portfolio; Van Kampen Life Investment Trust
      Government Portfolio; Van Kampen Life Investment Trust Asset Allocation
      Portfolio; Van Kampen Comstock Fund; Van Kampen Corporate Bond Fund; Van
      Kampen Reserve Fund; Van Kampen High Income Corporate Bond Fund; Van
      Kampen Life Investment Trust Domestic Income Portfolio; Van Kampen Life
      Investment Trust Emerging Growth Portfolio; Van Kampen Life Investment
      Trust Enterprise Portfolio; Van Kampen Life Investment Trust Growth &
      Income Portfolio; Van Kampen Life Investment Trust Morgan Stanley Real
      Estate Securities Portfolio; Van Kampen Life Investment Trust Strategic
      Stock Portfolio; Morgan Stanley Dean Witter Universal Funds, Inc. Asian
      Equity Portfolio; Morgan Stanley Dean Witter Universal Funds, Inc.
      Emerging Markets Equity Portfolio; Morgan Stanley Dean Witter Universal
      Funds, Inc. Equity Growth Portfolio; Morgan Stanley Dean Witter Universal
      Funds, Inc. International Magnum Portfolio; Morgan Stanley Dean Witter
      Universal Funds, Inc. Global Equity Portfolio; Morgan Stanley Dean Witter
      Universal Funds, Inc. Value Portfolio; Morgan Stanley Dean Witter
      Universal Funds, Inc. Mid Cap Value Portfolio; Morgan Stanley Dean Witter
      Universal Funds, Inc. High Yield Portfolio; Morgan Stanley Dean Witter
      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; American
      General Series Portfolio Company Money Market Fund; Hotchkis and Wiley
      Variable Trust Equity Income VIP Portfolio; Hotchkis and Wiley Variable
      Trust Low Duration VIP Portfolio; LEVCO Series Trust Equity Value Fund;
      Navellier Variable Insurance Series Fund, Inc. Growth Portfolio; OFFIT
      Variable Insurance Fund, Inc. Emerging Markets Fund; OFFIT Variable
      Insurance Fund, Inc. High Yield Fund; OFFIT Variable Insurance Fund, Inc.
      Total Return Fund; OFFIT Variable Insurance Fund, Inc. U.S. Government
      Securities Fund; Royce Capital Fund Premier Portfolio; Royce Capital Fund
      Total Return Portfolio; Royce Capital Fund Total Return Portfolio; Wright
      Managed Blue Chip Series Trust International Blue Chip Portfolio; Wright
      Managed Blue Chip Series Trust Selected Blue Chip Portfolio; AIM Variable
      Insurance Funds, Inc. International Equity Fund; AIM Variable Insurance
      Funds, Inc. Value Fund; American General Series Portfolio Company MidCap
      Index Fund; Dreyfus Variable Investment Fund Quality Bond Portfolio;
      Dreyfus Variable Investment Fund Small Cap Portfolio; The Dreyfus Socially
      Responsible Growth Fund, Inc.; MFS Variable Insurance Truest Emerging
      Growth Series; SAFECO Resource Series Trust Equity Portfolio; SAFECO
      Resource Series Trust Growth Portfolio; Templeton Variable Products Series
      Fund Asset Allocation Fund -- Class 2; Templeton Variable Products Series
      Fund International Fund -- Class 2.
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3.    Investment Company Act File Number:  811-2441
      Securities Act File Number:  2-49805; 33-43390; 33-57730; 333-25549;
                                   333-40637; 333-70667
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4(a).  Last day of fiscal year for which this Form is filed:  12/31/99
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4(b).  [ ]  Check box if this Form is being filed late (i.e., more than 90
            calendar days after the end of the issuer's fiscal year). (See
            Instruction A.2)

Note:  If the Form is being filed late, interest must be paid on the
       registration fee due.
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4(c).  [ ]  Check box if this is the last time the issuer will be filing this
            Form.
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5.    Calculation of registration fee:

      (i)    Aggregate sale price of securities sold
             during the fiscal year pursuant to
             section 24(f):                                       $  376,914,274
                                                                  --------------
      (ii)   Aggregate price of securities redeemed
             or repurchased during the fiscal year:  $124,200,130
                                                     ------------
      (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)]:                        -$ 124,200,130
                                                                  --------------
      (v)    Net sales -- if Item 5(i) is greater
             than Item 5(iv) [subtract Item 5(iv)
             from Item 5(i)]:                                     $  252,714,144
                                                                  --------------
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      (vi)   Redemption credits available for        $(      N/A)
             use in future years -- if               ------------
             Item 5(I) is less that Item 5(iv)
             [subtract Item 5(vii) from Item 5(i)]
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      (vii)  Multiplier for determining registration
             fee (See Instructions C.9):                          X     0.000264
                                                                  --------------
      (viii) Registration fee due [multiply Item 5(v)
             by Item 5(vii)] (enter "0" if no fee is due):        =$   66,716.53
                                                                  --------------
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6.    Prepaid Shares

      If the response to Item 5(i) was determined by deducting an amount of
      securities that were registered under the Securities Act of 1933 pursuant
      to rule 24e-2 as in effect before October 11, 1997, then report the amount
      of securities (number of shares or other units) deducted here:  N/A  . If
      there is a number of shares or other units that were registered pursuant
      to rule 24e-2 remaining unsold at the end of the fiscal year for which
      this form is filed that are available for use by the issuer in future
      fiscal years, then state that number here:  N/A  .
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7.    Interest due - if this Form is being filed more than 90 days after the end
      of the issuer's fiscal year (see Instruction D):
                                                                  +$           0
                                                                  --------------
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8.    Total of the amount of the registration fee due plus any interest due
      [line 5(viii) plus line 7]:
                                                                  =$   66,716.53
                                                                  --------------
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9.    Date the registration fee and any interest payment was sent to the
      Commission's lockbox depository:  February 24, 2000
                                       -------------------
      Method of Delivery:
         [X] Wire Transfer
         [ ] Mail or other means
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                                   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/ ROBERT F. HERBERT, JR.
                                     ------------------------------
                                           Robert F. Herbert, Jr.
                                           Senior Vice President,
                                           Treasurer & Controller
Date   2/25/2000
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 * Please print the name and title of the signing officer below the signature.


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