PIA VARIABLE ANNUITY ACCOUNT I
24F-2NT, 1997-02-11
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<PAGE>
 
            Annual Notice of Securities Sold Pursuant to Rule 24F-2

                    U.S. 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.
                             Please print or type.

1.   Name and address of issuer:

     PIA Variable Annuity Account I
     600 Dresher Road
     Horsham, Pennsylvania  19044

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

2.   Name of each series or class of funds for which this notice is filed:

     Pennant Flexible Premium Adjustable Variable Life Insurance Policies

     Subaccounts:
     Growth Equity Fund           High Yield Bond Fund
     Value Equity Fund            Money Market Fund
     Flexibly Managed Fund        TCI Growth Portfolio
     Small Capitalization Fund    Limited Maturity Bond Portfolio
     International Equity Fund    Equity Income Portfolio
     Quality Bond Fund            Asset Manager Portfolio

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

3.   Investment Company Act File Number:  811-8720

     Securities Act File Number:  33-83120

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

4.   Last day of fiscal year for which this notice is filed:

     December 31, 1996

- -------------------------------------------------------------------------------
<PAGE>
 
5.   Check box if this notice is being filed more than 180 days after the close
     of the issuer's fiscal year for purposes of reporting securities sold after
     the close of the fiscal year but before termination of the issuer's 24f-2
     declaration:

     N/A                                                                   [_]

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

6.   Date of termination of issuer's declaration under rule 24f-2(a)(1), if
     applicable (see Instruction A.6):

     N/A

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

7.   Number and amount of securities of the same class or series which had been
     registered under the Securities Act of 1933 other than pursuant to rule 
     24f-2 in a prior fiscal year, but which remained unsold at the beginning of
     the fiscal year:

     None

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

8.   Number and amount of securities registered during the fiscal year other
     than pursuant to rule 24f-2:

     None

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

9.   Number and aggregate sale price of securities sold during the fiscal year:

     Number of Policies:                                 2,253
     Aggregate Sales Price of Units of All Subaccounts:  $109,978,655

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

10.  Number and aggregate sale price of securities sold during the fiscal year
     in reliance upon registration pursuant to rule 24f-2:

     Number of Policies:                                 2,253
     Aggregate Sales Price of Units of All Subaccounts:  $109,978,655

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

11.  Number and aggregate sale price of securities issued during the fiscal year
     in connection with dividend reinvestment plans, if applicable:

     N/A

                                       2
<PAGE>
 
12.  Calculation of registration fee:

     (i)   Aggregate sale price of securities sold during the fiscal year in
           reliance on rule 24f-2 (from Item 10):

                                                  $     109,978,655
                                                   ----------------------

     (ii)  Aggregate price of shares issued in connection with dividend
           reinvestment plans (from Item 11, if applicable):

                                                  +         N/A
                                                   ----------------------

     (iii) Aggregate price of shares redeemed or repurchased during the fiscal
           year (if applicable):

                                                  -      12,406,809
                                                   ----------------------

     (iv)  Aggregate price of shares redeemed or repurchased and previously
           applied as a reduction to filing fees pursuant to rule 24e-2 (if
           applicable):
 
                                                  +           --
                                                   ----------------------

     (v)   Net aggregate price of securities sold and issued during the fiscal
           year in reliance on rule 24f-2 [line (i), plus line (ii), less line
           (iii), plus line (iv)] (if applicable):

                                                  $      97,571,847
                                                   ----------------------

     (vi)  Multiplier prescribed by Section 6(b) of the Securities Act of 1933
           or other applicable law or regulation (see Instruction C.6):

                                                  x       1/3,300
                                                   ----------------------
 
     (vii) Fee due [line (i) or line (v) multiplied by line (vi)]:
 
                                                  $       29,567.00
                                                   ======================
 
Instruction:  Issuers should complete lines (ii), (iii), (iv), and (v) only if
              the form is being filed within 60 days after the close of the
              issuer's fiscal year. See Instruction C.3.

                                       3
<PAGE>
 
13.  Check box if fees are being remitted to the Commission's lockbox depository
     as described in section 3a of the Commission's Rules of Informal and Other
     Procedures (17 CFR 202.3a).

                                                                           [_]


     Date of mailing or wire transfer of filing fees to the Commission's lockbox
     depository:


     February 7, 1997


                                   SIGNATURES

This report has been signed by the following person on behalf of the issuer and
in the capacities and on the date indicated.

By (Signature and Title)*     /s/ James D. Benson
                              ---------------------------------
                              James D. Benson
                              Manager, Financial Reporting



Date:  February 11, 1997

 * Please print the name and title of the signing officer below the signature.

                                       4
<PAGE>
 
                  [LETTERHEAD OF MORGAN, LEWIS & BOCKIUS LLP]



 February 11, 1997


 PIA Variable Annuity Account I
 600 Dresher Road
 Horsham, Pennsylvania  19044

 Re: Rule 24f-2 Notice for PIA Variable Annuity Account I of the
     Penn Mutual Life Insurance Company (the "Account")
     (File No. 33-83120 and 811-8720)
     -----------------------------------------------------------

 Ladies and Gentlemen:

 Reference is made to the above-captioned Rule 24f-2 Notice of the Penn Mutual
 Life Insurance Company which is being filed with the Securities and Exchange
 Commission on behalf of the Account for the fiscal year ended December 31,
 1996.

 We have acted as counsel to Penn Mutual Life Insurance Company.  Based on our
 review of the Account's registration statement and assuming that the Securities
 of the Account were offered in conformity therewith, we are of the opinion that
 the Securities of the Account sold during the fiscal year and registered in
 reliance upon Rule 24f-2, are legally issued, fully paid and non-assessable.

 Very truly yours,


 /s/ Morgan, Lewis & Bockius LLP



 cc:  Mr. James D. Benson


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