GLENBROOK LIFE & ANNUITY CO
S-3, 2000-07-12
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    As filed with the Securities and Exchange Commission on July 12, 2000
------------------------------------------------------------------------------

                                                       FILE NO. 333-______

                           SECURITIES AND EXCHANGE COMMISSION
                                 WASHINGTON, D.C. 20549

                                        FORM S-3

                REGISTRATION STATEMENT UNDER THE SECURITIES ACT OF 1933
                       GLENBROOK LIFE AND ANNUITY COMPANY
                               (Exact Name of Registrant)


             ARIZONA                                          35-1113325
   (State or Other Jurisdiction                             (I.R.S. Employer
 of Incorporation or Organization)                       Identification Number)

                 3100 Sanders Road, Northbrook, Illinois 60062
                                  847/402-2400

            (Address and Phone Number of Principal Executive Office)

                               MICHAEL J. VELOTTA
                  VICE PRESIDENT, SECRETARY AND GENERAL COUNSEL
                       GLENBROOK LIFE AND ANNUITY COMPANY
                                3100 SANDERS ROAD
                           NORTHBROOK, ILLINOIS 60062
                                  847/402-2400

       (Name, Complete Address and Telephone Number of Agent for Service)

                                   COPIES TO:
    RICHARD T. CHOI, ESQUIRE                   TERRY R. YOUNG, ESQUIRE
FREEDMAN, LEVY, KROLL & SIMONDS                         ALFS, INC.
 1050 CONNECTICUT AVENUE, N.W.                   3100 SANDERS ROAD
           SUITE 825                             NORTHBROOK, IL 60062
  WASHINGTON, D.C. 20036-5366


Approximate  date of  commencement  of proposed  sale to the Public:  As soon as
practicable after the effective date of this registration statement.

If any of the  securities  being  registered on this Form are to be offered on a
delayed or continuous  basis  pursuant to Rule 415 under the  Securities  Act of
1933, other than securities offered only in connection with dividend or interest
reinvestment plans, check the following box: /X/
<PAGE>

CALCULATION OF REGISTRATION FEE

<TABLE>
<CAPTION>
==========================================================================================================

                                                                   Proposed Maximum
Title of Securities     Amount To Be        Proposed Maximum      Aggregate Offering        Amount Of
 To Be Registered      Registered(1)       Aggregate Price Per         Price(1)        Registration Fee(3)
                                                                            Unit

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

<S>                      <C>                        <C>                <C>                  <C>
Deferred Annuity         $75,000,000                (2)                $75,000,000          $4,800.00
Contracts and
Participating
Interests Therein
-------------------- ------------------- ------------------------ -------------------- ---------------------
</TABLE>


(1) Estimated solely for purpose of determining the registration fee.

(2) The Contract does not provide for a predetermined amount or number of units.

(3)  Of the  $30,406,546 of units of interest under deferred  variable annuity
     contracts  registered under Registration  Statement No. 333-50873,
     $5,190,894, for which a filing  fee of $9,090 was  previously  paid,
     are being  carried forward pursuant to Rule 429.

Registrant  hereby amends this  Registration  Statement on such date or dates as
may be necessary to delay its effective date until the  Registrant  shall file a
further amendment which  specifically  states that this  Registration  Statement
shall  thereafter  become  effective  in  accordance  with  Section  8(a) of the
Securities  Act of  1933  or  until  the  Registration  Statement  shall  become
effective on such date as the  Commission,  acting pursuant to Section 8(a), may
determine.

<PAGE>

                                Explanatory Note

Registrant  is  filing  this  registration  statement  for the sole  purpose  of
registering  additional  interests under deferred annuity  contracts  previously
described in the  prospectuses  contained in Registrant's  Form S-3 registration
statement (File No.333-50873). Registrant incorporates herein by reference those
prospectuses, which remain unchanged.

<PAGE>

                                     PART II

                   INFORMATION NOT REQUIRED IN THE PROSPECTUS

ITEM 15.  INDEMNIFICATION OF DIRECTORS AND OFFICERS.

     The By-laws of Glenbrook Life and Annuity  Company  ("Registrant")  provide
that  Registrant  will indemnify its officers and directors for certain  damages
and  expenses  that  may be  incurred  in  the  performance  of  their  duty  to
Registrant.  No  indemnification  is  provided,  however,  when  such  person is
adjudged to be liable for negligence or misconduct in the  performance of his or
her duty,  unless  indemnification  is  deemed  appropriate  by the  court  upon
application.

ITEM 16.  EXHIBITS.


Exhibit No.    Description

(1)  Form  of  Underwriting  Agreement  (Incorporated  herein  by  reference  to
     Post-Effective  Amendment  No.  1 to  Registrant's  Form  S-1  Registration
     Statement (File No. 033-62193) dated March 22, 1996.)

(2)  None

(4)(a) Form of Glenbrook  Life and Annuity  Company  Flexible  Premium  Deferred
     Variable  Annuity  (Lifetime  Plus (SM) II) Contract and Application
     (Incorporated herein by reference to the initial filing of Registrant's
     Registration Statement (File No. 333-50873)dated April 23, 1998.)

(4)(b) Form of Glenbrook  Life and Annuity  Company  Flexible  Premium  Deferred
     Variable Annuity Contract and Application  (Enhanced Choice)  (Incorporated
     herein by reference to Registrant's  Form N-4/A Registration  Statement
     (File No. 333-34356) dated June 6, 2000.)

(5) Opinion and Consent of General Counsel re:  Legality

(8)  None

(11) None

(12) None

(15) None

(23)(a) Independent Auditors' Consent

(23)(b) Consent of Attorneys

(24) Powers of Attorney  for Thomas J.  Wilson,  II,  Michael J.  Velotta,
     Kevin R. Slawin,  Margaret G. Dyer, Marla G. Friedman, John C. Lounds,
     J. Kevin McCarthy, Casey J. Sylla, Samuel H. Pilch and Steven C. Verney.

(25) None

(26) None

(27) Not applicable

(99) Form of Resolution of Board of Directors  (Incorporated herein by reference
     to  Post-Effective  Amendment No. 1 to Registrant's  Form S-1  Registration
     Statement (File No. 033-92842) dated April 9, 1996.)

<PAGE>

ITEM 17.  UNDERTAKINGS.


The undersigned registrant hereby undertakes:

(1) to file,  during  any  period in which  offers or sales  are being  made,  a
post-effective amendment to the registration statement:

     (i)  to  include  any  prospectus  required  by  Section  10(a)(3)  of  the
          Securities Act of 1933;

     (ii) to reflect in the  prospectus  any facts or events  arising  after the
          effective  date of the  registration  statement  (or the  most  recent
          post-effective  amendment  thereof)  which,  individually  or in the
          aggregate, represent a fundamental change in the information set forth
          in the registration statement; and

     (iii)to  include  any  material  information  with  respect  to the plan of
          distribution not previously disclosed in the registration statement or
          any material change to such information in the registration statement;
          and

provided,  however,  that  paragraphs  (1)(i)  and  (1)(ii)  do not apply if the
information  required  to be  included in a  post-effective  amendment  by those
paragraphs  is  contained  in periodic  reports  filed with or  furnished to the
Commission  by  Registrant  pursuant  to Section  13 or 15(d) of the  Securities
Exchange Act of 1934 that are  incorporated  by  reference  in the  registration
statement.

(2) That, for the purpose of determining  any liability under the Securities Act
of  1933,  each  such  post-effective  amendment  shall  be  deemed  to be a new
registration  statement  relating to the  securities  offered  therein,  and the
offering of such  securities at that time shall be deemed to be the initial bona
fide offering thereof;

(3) To remove from  registration by means of a  post-effective  amendment any of
the securities  being  registered  which remain unsold at the termination of the
offering.

Insofar as indemnification  for liabilities  arising under the Securities Act of
1933 may be permitted to  directors,  officers  and  controlling  persons of the
registrant,  Glenbrook  Life and  Annuity  Company,  pursuant  to the  foregoing
provisions, or otherwise, the registrant has been advised that in the opinion of
the Securities and Exchange  Commission such  indemnification  is against public
policy as expressed in the Act and is,  therefore,  unenforceable.  In the event
that a claim  for  indemnification  against  such  liabilities  (other  than the
payment by  registrant  of expenses  incurred or paid by a director,  officer or
controlling  person of the registrant in the  successful  defense of any action,
suit or proceeding) is asserted by such director,  officer or controlling person
in connection with the securities being registered,  the registrant will, unless
in the  opinion  of its  counsel  the matter  has been  settled  by  controlling
precedent,  submit to a court of appropriate  jurisdiction  the question whether
such  indemnification  by it is  against  public  policy  as  expressed  in  the
Securities Act and will be governed by the final adjudication of such issue.

<PAGE>

                                   SIGNATURES

Pursuant to the requirements of the Securities Act of 1933, Registrant certifies
that it has reasonable  grounds to believe that it meets all of the requirements
for filing on Form S-3 and has duly caused  this  registration  statement  to be
signed on its behalf by the undersigned, thereunto duly authorized, and its seal
to be hereunto  affixed and attested,  in the Township of  Northfield,  State of
Illinois on the 11th day of July, 2000.

                       GLENBROOK LIFE AND ANNUITY COMPANY

                                  (REGISTRANT)

(SEAL)

                                         By: /s/MICHAEL J. VELOTTA
                                             ---------------------
                                             Michael J. Velotta
                                             Vice President, Secretary and
                                             General Counsel

   Pursuant to the requirements of the Securities Act of 1933, this registration
statement has been signed by the following  persons in the capacities and on the
11th day of July, 2000.

*/THOMAS J. WILSON, II             President, Chief Operating Officer,
  ------------------------         and Director (Principal Executive Officer)
  Thomas J. Wilson, II



/s/MICHAEL J. VELOTTA              Vice President, Secretary,
   -----------------------         General Counsel, and Director
   Michael J. Velotta



*/KEVIN R. SLAWIN                  Vice President and Director
  ------------------------         (Principal Financial Officer)
  Kevin R. Slawin



*/MARGARET G. DYER                 Director
 -------------------------
  Margaret G. Dyer



*/MARLA G. FRIEDMAN                Vice President and Director
  ------------------------
  Marla G. Friedman



*/JOHN C. LOUNDS                   Director
 -------------------------
  John C. Lounds



*/STEVEN C. VERNEY                 Director
 --------------------------
  Steven C. Verney




*/J. KEVIN MCCARTHY                Director
---------------------------
  J. Kevin McCarthy




*/CASEY J. SYLLA                   Chief Investment Officer and Director
---------------------------
  Casey J. Sylla




*/SAMUEL H. PILCH                  Controller
---------------------------        (Principal Accounting Officer)
  Samuel H. Pilch



*/ By Michael J. Velotta, pursuant to Power of Attorney filed herewith.


<PAGE>

                                  EXHIBIT LIST

The following exhibits are filed herewith:

Exhibit No.       Description

(5)               Opinion and Consent of General Counsel
(23)(a)           Independent Auditor's Consent
(23)(b)           Consent of Attorneys
(24)              Powers of Atorney



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