DREYFUS LIFETIME PORTFOLIOS INC
24F-2NT, 1995-06-29
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                       DREYFUS LIFETIME PORTFOLIOS, INC.
                                200 PARK AVENUE
                              NEW YORK, NY  10166


                                        June 29, 1995


Securities and Exchange Commission
Judiciary Plaza
450 Fifth Street, NW
Washington, DC  20549

      24f-2 Notice - DREYFUS LIFETIME PORTFOLIOS, INC.
      (Formerly, Dreyfus Growth Allocation Fund, Inc.)
      Registration Statement No. 33-66088 - CIK #909230

Gentlemen:

    On July 23, 1993, the Registration Statement of Dreyfus LifeTime
Portfolios, Inc. (formerly, Dreyfus Growth Allocation Fund, Inc.) was declared
effective by the SEC.  This Registration Statement represented the Fund's
election to register an indefinite number of shares and this Notice, filed
pursuant to Rule 24f-2, is for the fiscal year ended April 30, 1995.

    The following information is furnished:
                                                    INVESTOR
                                                     CLASS         CLASS R
    GROWTH PORTFOLIO

    (a) Total number of shares sold during
        fiscal year ended 4/30/95 subject
        to registration under Rule 24f-2,         801,320 shs    801,320 shs
        and the dollar amount thereof:            $10,016,500    $10,016,500

    (b) Less shares redeemed during
        fiscal year ended 4/30/95,                  - 0 -  shs     - 0 -  shs
        and the dollar amount thereof:            $ - 0 -        $ - 0 -
                                                 ------------    -----------
        Net sales (redemptions) during
        fiscal year ended 4/30/95, and            801,320 shs    801,320 shs
        the dollar amount thereof:                $10,016,500    $10,016,500
                                                 ============    ===========

     Net sales dollar amount of $20,033,000 (Investor Class and Class R) @
1/29 of 1% = $6,907.94.


    GROWTH AND INCOME PORTFOLIO

    (a) Total number of shares sold during
        fiscal year ended 4/30/95 subject
        to registration under Rule 24f-2,         601,360 shs    601,360 shs
        and the dollar amount thereof:            $7,517,000     $7,517,000

    (b) Less shares redeemed during
        fiscal year ended 4/30/95,                  - 0 -  shs     - 0 -  shs
        and the dollar amount thereof:            $ - 0 -        $ - 0 -
                                                 ------------    -----------
        Net sales (redemptions) during
        fiscal year ended 4/30/95, and            601,360 shs    601,360 shs
        the dollar amount thereof:                $7,517,000     $7,517,000
                                                 ============    ===========

     Net sales dollar amount of $15,034,000 (Investor Class and Class R) @
1/29 of 1% = $5,184.14.

                                     -2-

                                                    INVESTOR
                                                     CLASS         CLASS R

    INCOME PORTFOLIO

    (a) Total number of shares sold during
        fiscal year ended 4/30/95 subject
        to registration under Rule 24f-2,         601,320 shs    601,320 shs
        and the dollar amount thereof:            $7,516,500     $7,516,500

    (b) Less shares redeemed during
        fiscal year ended 4/30/95,                  - 0 -  shs     - 0 -  shs
        and the dollar amount thereof:            $ - 0 -        $ - 0 -
                                                 ------------    -----------
        Net sales (redemptions) during
        fiscal year ended 4/30/95, and            601,320 shs    601,320 shs
        the dollar amount thereof:                $7,516,500     $7,516,500
                                                 ============    ===========

     Net sales dollar amount of $15,033,000 (Investor Class and Class R) @
1/29 of 1% = $5,183.79.


                               CALCULATION OF FEE

    Growth Portfolio - Net sales dollar amount of $20,033,000 @ 1/29 of 1%
= $6,907.94

    Growth and Income Portfolio - Net sales dollar amount of $15,034,000 @
1/29 of 1% = $5,184.14.

    Income Portfolio - Net sales dollar amount of $15,033,000 @ 1/29 of 1% =
$5,183.79.

    TOTAL aggregate fee due for ALL PORTFOLIOS = $17,275.87.

    Funds in the amount of $17,275.87, representing the registration fee,
were wired to CIK #909230.  An opinion of counsel is enclosed.


                                                 Very truly yours,
JJP/ems

cc:  Mr. J. deMichaelis, SEC                     John J. Pyburn
     Ms. R. McLaughlin, E&Y                      Assistant Treasurer












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