LIFE & ANNUITY TRUST
40-17F2, 1998-02-02
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<PAGE>
 
KPMG Peat Marwick LLP 

        Three Embarcadero Center
        San Francisco, CA 94111


                        INDEPENDENT AUDITORS' REPORT


To the Board of Trustees of
  Life & Annuity Trust
            and
Securities and Exchange Commission:


We have examined management's assertion that the Asset Allocation Fund, Growth
and Income Fund, Money Market Fund, and U.S. Government Allocation Fund
(constituting Life & Annuity Trust)(the "Funds") complied with the requirements
of subsections (b) and (c) of Rule 17f-2 under the Investment Company Act of
1940 as of November 30, 1997, included in the accompanying Management Statement
regarding Compliance with Certain Provisions of the Investment Company Act of
1940.  Management is responsible for the Funds' compliance with those
provisions.  Our responsibility is to express an opinion on management's
assertion about the Funds' compliance based on our examination.

Our examination was made in accordance with standards established by the
American Institute of Certified Public Accountants and, accordingly, included
examining, on a test basis, evidence about the Funds' compliance with those
requirements and performing such other procedures as we considered necessary in
the circumstances.  Included among our procedures were the following tests
performed as of November 30, 1997 and for the period from July 31, 1997 (the
date of our last examination) through November 30, 1997, with respect to
securities transactions:

*  Confirmation of all securities with the custodians, Wells Fargo Bank, N.A.,
   and Barclays Global Investors, N.A.;

*  Confirmation or examination of underlying documentation of all securities
   purchased but not received;

*  Reconciliation of all securities to the books and records of the Funds and
   the custodians;
 
*  Tested a selected sample of security transactions to determine if they were
   properly recorded.
 
<PAGE>
 
KPMG Peat Marwick LLP

 
We believe that our examination provides a reasonable basis for our opinion. Our
examination does not provide a legal determination on the Funds' compliance with
the specified requirements.
 
In our opinion, management's assertion that the Funds were in compliance with
the above mentioned provisions of Rule 17f-2 of the Investment Company Act of
1940 as of November 30, 1997 and for the period from July 31, 1997 (the date of
our last examination) through November 30, 1997, is fairly stated in all
material respects.
 
This report is intended solely for the information and use of management of
Life & Annuity Trust and the Securities and Exchange Commission and should not
be used for any other purpose.
 
 
                                        /s/ KPMG Peat Marwick LLP 
 
December 15, 1997

<PAGE>
 
                            [LOGO OF WELLS FARGO]

Private Client Services Group
Support Services Division
P.O. Box 63002
San Francisco, CA 94163

                                                              December 15, 1997

KPMG Peat Marwick LLP
Three Embarcadero Center
San Francisco, CA  94111

RE:   STATEMENT REGARDING COMPLIANCE WITH CERTAIN PROVISIONS OF THE INVESTMENT
      COMPANY ACT OF 1940

We, as members of management of Life & Annuity Trust (the Trust), are
responsible for complying with the requirements of subsections (b) and (c) of
Rule 17f-2, "Custody of Investments by Registered Management Investment
Companies", of the Investment Company Act of 1940.  We are also responsible for
establishing and maintaining an effective internal control structure over
compliance with Rule 17f-2 requirements.  We have performed an evaluation of the
Trust's compliance with the requirements of subsections (b) and (c) of Rule 17f-
2 as of November 30, 1997 and for the period from July 31, 1997 through November
30, 1997.

Based on this evaluation, we assert that the Trust was in compliance with the
requirements of subsections (b) and (c) of Rule 17f-2 of the Investment Company
Act of 1940 as of  November 30, 1997 and for the period from July 31, 1997
through November 30, 1997 with respect to securities reflected in the investment
accounts of the Trust.

Life & Annuity Trust

By:

/s/ Richard H. Blank, Jr.        /s/ Michael Hogan
__________________________       ___________________________
Richard H. Blank, Jr.            Michael Hogan
Treasurer and Chief              Senior Vice President
Operating Officer                Managing Director of Mutual Fund Division
Life & Annuity Trust             Wells Fargo Bank, Adviser to Life &
                                 Annuity Trust

/s/ Stephen Rogers
__________________________
Stephen Rogers
Principal
Barclays Global Investors
Sub-adviser to Life & Annuity Trust


                          Printed on Recycled Paper
<PAGE>
 
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                                UNITED STATES
                     SECURITIES AND EXCHANGE COMMISSION
                           Washington, D.C.  20549

                                FORM  N-17F-2

             Certificate of Accounting of Securities and Similar
                        Investments in the Custody of
                       Management Investment Companies
                  Pursuant to Rule 17f-2 [17 CFR 270.17f-2]



- --------------------------------------------------------------------------------
1. INVESTMENT COMPANY ACT FILE NUMBER:               DATE EXAMINATION COMPLETED:
 
811-       8188                                      November 30, 1997
- --------------------------------------------------------------------------------
2. STATE IDENTIFICATION NUMBER:
   -----------------------------------------------------------------------------
   AL           AK          AZ            AR            CA           CO
   -----------------------------------------------------------------------------
   CT           DE          DC            FL            GA           HI
   -----------------------------------------------------------------------------
   ID           IL          IN            IA            KS           KY
   -----------------------------------------------------------------------------
   LA           ME          MD            MA            MI           MN
   -----------------------------------------------------------------------------
   MS           MO          MT            NE            NV           NH
   -----------------------------------------------------------------------------
   NJ           NM          NY            NC            ND           OH
   -----------------------------------------------------------------------------
   OK           OR          PA            RI            SC           SD
   -----------------------------------------------------------------------------
   TN           TX          UT            VT            VA           WA
   -----------------------------------------------------------------------------
   WV           WI          WY            PUERTO RICO
   -----------------------------------------------------------------------------
   Other (specify):
   -----------------------------------------------------------------------------
3. EXACT NAME OF INVESTMENT COMPANY AS SPECIFIED IN REGISTRATION STATEMENT:
 
        LIFE AND ANNUITY TRUST
- --------------------------------------------------------------------------------
4. ADDRESS OF PRINCIPAL EXECUTIVE OFFICE(NUMBER, STREET, CITY, STATE, ZIP CODE):
 
        111 CENTER STREET, LITTLE ROCK, ARKANSAS  72201
- --------------------------------------------------------------------------------

INSTRUCTIONS:

This Form must be completed by investment companies that have custody of
securities or similar investments.

INVESTMENT COMPANY:

1. All items must be completed by the investment company.

2.  Give this Form to the independent public accountant who, in compliance with
    Rule 17f 2 under the Act and applicable state law, examines securities and
    similar investments in the custody of the investment company.

ACCOUNTANT:

3.  Submit this Form to the Securities and Exchange Commission and appropriate
    state securities administrators when filing the certificate of accounting
    required by Rule 17f 2 under the Act and applicable state law. File the
    original and one copy with the Securities and Exchange Commission's
    principal office in Washington D.C., one copy with the regional office for
    the region in which the investment company's principal business operations
    are conducted, and one copy with the appropriate state administrator(s), if
    applicable.


        THIS FORM MUST BE GIVEN TO YOUR INDEPENDENT PUBLIC ACCOUNTANT



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