Sunshine Act Meeting, 47038 [2010-19227]
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47038
Federal Register / Vol. 75, No. 149 / Wednesday, August 4, 2010 / Notices
Ivy Long/Short Hedge Fund LLC
[File No. 811–21246]
Summary: Applicant, a closed-end
investment company, seeks an order
declaring that it has ceased to be an
investment company. Applicant has
never made a public offering of its
securities and does not propose to make
a public offering or engage in business
of any kind.
Filing Dates: The application was
filed on March 12, 2010, and amended
on July 22, 2010.
Applicant’s Address: Ivy Long/Short
Hedge Fund LLC, One Wall St., New
York, NY 10286.
as a unit investment trust. The board of
directors of MetLife Investors Insurance
Company (‘‘MLI’’), the depositor to the
separate account, approved the merger
of the separate account into Metlife
Investors Variable Life Account One on
June 29, 2009. The merger was effected
on November 9, 2009. MLI bore all
expenses relating to the merger.
Filing Date: The application was filed
on July 21, 2010.
Applicant’s Address: 5 Park Plaza,
Suite 1900, Irvine, California 92614.
Metropolitan Life Variable Annuity
Separate Account I
Frontier Funds Inc.
[File No. 811–8732]
[File No. 811–6449]
MetLife Investors Variable Annuity
Account Five
Summary: Applicant seeks an order
declaring that it has ceased to be an
investment company. Applicant is a
registered separate account, as defined
in Section 2(a)(37) under the Investment
Company Act of 1940, and is organized
as a unit investment trust. Metropolitan
Life Insurance Company (‘‘MLIC’’), the
depositor to the separate account,
merged the separate account into
Metropolitan Life Variable Annuity
Separate Account II on November 9,
2009. MLIC bore all expenses relating to
the merger.
Filing Date: The application was filed
on July 21, 2010.
Applicant’s Address: 200 Park
Avenue, New York, NY 10166.
[File No. 811–7060]
The New England Variable Account
Summary: Applicant seeks an order
declaring that it has ceased to be an
investment company. On March 12,
2010, applicant made a liquidating
distribution to its shareholders, based
on net asset value. Expenses of $500
incurred in connection with the
liquidation were paid by applicant.
Applicant has retained less than $400 in
cash to cover certain miscellaneous
closing expenses.
Filing Dates: The application was
filed on March 31, 2010 and amended
on June 16, 2010 and July 26, 2010.
Applicant’s Address: 333 Bishops
Way, Suite 122, Brookfield, WI 53005.
mstockstill on DSKH9S0YB1PROD with NOTICES
Summary: Applicant seeks an order
declaring that it has ceased to be an
investment company. Applicant is a
registered separate account, as defined
in Section 2(a)(37) under the Investment
Company Act of 1940, and is organized
as a unit investment trust. The board of
directors of MetLife Investors Insurance
Company (‘‘MLI’’) the depositor to the
separate account, approved the merger
of the separate account into Metlife
Investors Variable Annuity Account
One on June 29, 2009. The merger was
effected on November 9, 2009. MLI bore
all expenses relating to the merger.
Filing Date: The application was filed
on July 21, 2010.
Applicant’s Address: 5 Park Plaza,
Suite 1900, Irvine, California 92614.
MetLife Investors Variable Life Account
Five
[File No. 811–8433]
Summary: Applicant seeks an order
declaring that it has ceased to be an
investment company. Applicant is a
registered separate account, as defined
in Section 2(a)(37) under the Investment
Company Act of 1940, and is organized
VerDate Mar<15>2010
16:26 Aug 03, 2010
Jkt 220001
[File No. 811–5338]
Summary: Applicant seeks an order
declaring that it has ceased to be an
investment company. Applicant is a
registered separate account, as defined
in Section 2(a)(37) under the Investment
Company Act of 1940, and is organized
as a unit investment trust. Metropolitan
Life Insurance Company (‘‘MLIC’’), the
depositor to the separate account,
merged the separate account into
Metropolitan Life Separate Account E
on November 9, 2009. MLIC bore all
expenses relating to the merger.
Filing Date: The application was filed
on July 21, 2010.
Applicant’s Address: 200 Park
Avenue, New York, NY 10166.
For the Commission, by the Division of
Investment Management, pursuant to
delegated authority.
Florence E. Harmon,
Deputy Secretary.
SECURITIES AND EXCHANGE
COMMISSION
Sunshine Act Meeting
Notice is hereby given, pursuant to
the provisions of the Government in the
Sunshine Act, Public Law 94–409, that
the Securities and Exchange
Commission will hold a Closed Meeting
on Wednesday, August 4, 2010 at 2 p.m.
Commissioners, Counsel to the
Commissioners, the Secretary to the
Commission, and recording secretaries
will attend the Closed Meeting. Certain
staff members who have an interest in
the matters also may be present.
The General Counsel of the
Commission, or his designee, has
certified that, in his opinion, one or
more of the exemptions set forth in 5
U.S.C. 552b(c)(3), (5), (7), 9(B) and (10)
and 17 CFR 200.402(a)(3), (5), (7), 9(ii)
and (10), permit consideration of the
scheduled matters at the Closed
Meeting.
Commissioner Walter, as duty officer,
voted to consider the items listed for the
Closed Meeting in closed session, and
determined that no earlier notice thereof
was possible.
The subject matter of the Closed
Meeting scheduled for Wednesday,
August 4, 2010 will be:
Institution and settlement of
injunctive actions;
Institution and settlement of
administrative proceedings;
Consideration of amici participation;
and
Other matters relating to enforcement
proceedings.
At times, changes in Commission
priorities require alterations in the
scheduling of meeting items.
For further information and to
ascertain what, if any, matters have been
added, deleted or postponed, please
contact:
The Office of the Secretary at (202)
551–5400.
Dated: July 30, 2010.
Jill M. Peterson,
Assistant Secretary.
[FR Doc. 2010–19227 Filed 8–2–10; 4:15 pm]
BILLING CODE 8010–01–P
[FR Doc. 2010–19110 Filed 8–3–10; 8:45 am]
BILLING CODE P
PO 00000
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Agencies
[Federal Register Volume 75, Number 149 (Wednesday, August 4, 2010)]
[Notices]
[Page 47038]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2010-19227]
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SECURITIES AND EXCHANGE COMMISSION
Sunshine Act Meeting
Notice is hereby given, pursuant to the provisions of the
Government in the Sunshine Act, Public Law 94-409, that the Securities
and Exchange Commission will hold a Closed Meeting on Wednesday, August
4, 2010 at 2 p.m.
Commissioners, Counsel to the Commissioners, the Secretary to the
Commission, and recording secretaries will attend the Closed Meeting.
Certain staff members who have an interest in the matters also may be
present.
The General Counsel of the Commission, or his designee, has
certified that, in his opinion, one or more of the exemptions set forth
in 5 U.S.C. 552b(c)(3), (5), (7), 9(B) and (10) and 17 CFR
200.402(a)(3), (5), (7), 9(ii) and (10), permit consideration of the
scheduled matters at the Closed Meeting.
Commissioner Walter, as duty officer, voted to consider the items
listed for the Closed Meeting in closed session, and determined that no
earlier notice thereof was possible.
The subject matter of the Closed Meeting scheduled for Wednesday,
August 4, 2010 will be:
Institution and settlement of injunctive actions;
Institution and settlement of administrative proceedings;
Consideration of amici participation; and
Other matters relating to enforcement proceedings.
At times, changes in Commission priorities require alterations in
the scheduling of meeting items.
For further information and to ascertain what, if any, matters have
been added, deleted or postponed, please contact:
The Office of the Secretary at (202) 551-5400.
Dated: July 30, 2010.
Jill M. Peterson,
Assistant Secretary.
[FR Doc. 2010-19227 Filed 8-2-10; 4:15 pm]
BILLING CODE 8010-01-P