Attention:
Telephone requests for the forms, schedules, and instructions for the 2008 Form 5500-series will not be filled until December 10, 2008. Requests for the 2008 Form 5500-series products can be made on the Internet (see below) beginning December 10, 2008. Requests made prior to that date will be filled with the 2007 version of the products. The product you are about to view is provided for information purposes and should not be reproduced on personal computer printers by individual taxpayers for filing. The Forms 5500 and 5500-EZ (and related schedules) are printed on special paper with dropout ink so they can be processed by the computerized processing system "EFAST." These forms and schedules may be obtained by calling 1-800-TAX-FORM (1-800-829-3676). Be sure to order using the IRS form number. Note: You can also use the Internet link Forms and Publications by U.S. Mail to request a limited number of these forms and schedules. Check the Department of Labor's website at www.efast.dol.gov for additional information concerning the processing system, electronic filing, software, and "non-standard" filings. Note: There is no Schedule B (Form 5500) for filing 2008 plan year actuarial information. Instead, file the 2008 Schedule MB (Form 5500), Multiemployer Defined Benefit Plan and Certain Money Purchase Plan Actuarial Information, or the Schedule SB (Form 5500), Single-Employer Defined Benefit Plan Actuarial Information, as applicable. For only plan year 2008 filings, paper Schedules MB and SB are provided in the format presented for completion by pen or typewriter. ________________________________________________
SCHEDULE A (Form 5500)
Department of the Treasury Internal Revenue Service Department of Labor Employee Benefits Security Administration Pension Benefit Guaranty Corporation
Insurance Information
This schedule is required to be filed under section 104 of the Employee Retirement Income Security Act of 1974. File as an attachment to Form 5500. Insurance companies are required to provide this information pursuant to ERISA section 103(a)(2).
Official Use Only
OMB No. 1210-0110
2008
This Form is Open to Public Inspection.
and ending
B
A
Name of plan
Three-digit plan number
C
Plan sponsor's name as shown on line 2a of Form 5500
D
Part I
Information Concerning Insurance Contract Coverage, Fees, and Commissions
(b) EIN
O
(d) Contract or identification number
(e)
Approximate number of persons covered at end of policy or contract year
NA
L
PU
RP
SE
S
(c) NAIC code
O
NL
Y,
D
(a)
Name of insurance carrier
AT
IO
O
1 Coverage:
NO
Provide information for each contract on a separate Schedule A. Individual contracts grouped as a unit in Parts II and III can be reported on a single Schedule A.
T
Policy or contract year
(f) From
Totals
Total amount of commissions paid
IN
FO
2
Insurance fees and commissions paid to agents, brokers and other persons. Enter the total fees and total commissions below and list agents, brokers and other persons individually in descending order of the amount paid in the items on the following page(s) in Part I.
Total fees paid / amount
FO
R
RM
MM / D D / Y Y Y Y
(g) To
US E
MM / D D / Y Y Y Y
FO
Employer Identification Number
R
FI LI NG
For calendar plan year 2008 or fiscal plan year beginning
MM / D D / Y Y Y Y
MM / D D / Y Y Y Y
.00
.00
For Paperwork Reduction Act Notice and OMB Control Numbers, see the instructions for Form 5500. Cat. No. 13505I Schedule A (Form 5500) 2008
0
5
0
8
0
0
0
1
0
E
v11.3
Schedule A (Form 5500) 2008 (a)
Page
2
Official Use Only
Name and address of the agents, brokers or other persons to whom commissions or fees were paid
Name Street Address City
(b) Amount of commissions paid (c) Fees paid / Amount
State
Zip Code
FI LI NG
.00
(e)
Organization code
(d) Fees paid / Purpose
.00
City
(b) Amount of commissions paid (c)
NL
Y,
Street Address
D
O
Name
NO
(a)
Name and address of the agents, brokers or other persons to whom commissions or fees were paid
T
State
US E
Zip Code
(e) Organization code Fees paid / Amount
Street Address City
FO
RM
AT
Name
IO
(a)
Name and address of the agents, brokers or other persons to whom commissions or fees were paid
NA
L
PU
RP
O
(d) Fees paid / Purpose
SE
.00
S
O
FO
R
.00
State
(c) Fees paid / Amount
Zip Code
(e) Organization code
(b) Amount of commissions paid
R
IN
(d) Fees paid / Purpose
FO
.00
.00
0
5
0
8
0
0
0
2
0
F
Schedule A (Form 5500) 2008
Page
3
Official Use Only
Part II
Investment and Annuity Contract Information
Where individual contracts are provided, the entire group of such individual contracts with each carrier may be treated as a unit for purposes of this report.
3
Current value of plan's interest under this contract in the general account at year end
.00
FI LI NG
4
Current value of plan's interest under this contract in separate accounts at year end
.00
5
O
NO
T
US E
Contracts With Allocated Funds a State the basis of premium rates
FO
R
NL
Y,
D
b Premiums paid to carrier ..............................................................................................
.00 .00 .00
c Premiums due but unpaid at the end of the year .......................................................
SE
d If the carrier, service, or other organization incurred any specific costs in connection with the acquisition or retention of the contract or policy, enter amount .........................................................................
S
O
e Type of contract (3)
(1)
individual policies
NA
L
PU
RP
Specify nature of costs
O
(2)
group deferred annuity
other (specify below)
IN
FO
RM
AT
IO
FO
R
f
If contract purchased, in whole or in part, to distribute benefits from a terminating plan check here ...
0
5
0
8
0
0
0
3
0
G
Schedule A (Form 5500) 2008 6
Page
4
Official Use Only
Contracts With Unallocated Funds (Do not include portions of these contracts maintained in separate accounts) a Type of contract (1) (4) deposit administration other (specify below) (2) immediate participation guarantee (3) guaranteed investment
FI LI NG
US E
c Additions: (1) Contributions deposited during the year .........
FO
NO
T
(2) (3) (4) (5)
Dividends and credits ...................................... Interest credited during the year ..................... Transferred from separate account ................. Other (specify below) .......................................
O
Y,
D
O
SE
S
O
NL
R
b Balance at the end of the previous year ....................................................................
.00
.00 .00 .00 .00 .00
PU
RP
(6)
Total additions ......................................................................................................
.00 .00
(1)
IO
Disbursed from fund to pay benefits or purchase annuities during year .......................
NA
L
d Total of balance and additions (add b and c(6)) ........................................................ e Deductions:
.00 .00 .00 .00
(2) (3) (4)
Administration charge made by carrier ........... Transferred to separate account ..................... Other (specify below) .......................................
FO
R
IN
FO
RM
AT
(5)
Total deductions ...................................................................................................
4 0 H
.00 .00
f Balance at the end of the current year (subtract e(5) from d) ..................................
0
5
0
8
0
0
0
Schedule A (Form 5500) 2008
Page
5
Official Use Only
Part III
Welfare Benefit Contract Information
If more than one contract covers the same group of employees of the same employer(s) or members of the same employee organization(s), the information may be combined for reporting purposes if such contracts are experience-rated as a unit. Where individual contracts are provided, the entire group of such individual contracts with each carrier may be treated as a unit for purposes of this report.
7
Benefit and contract type (check all applicable boxes) (a) (e) (i) (m) Health (other than dental or vision) Temporary disability (accident and sickness) Stop loss (large deductible) Other (specify below) (b) (f) (j) Dental Long-term disability HMO contract (c) (g) (k) Vision Supplemental unemployment
FI LI NG
(d) (h) (l)
Life Insurance Prescription drug Indemnity contract
NL
a Premiums: (1) Amount received ..............................................
Y,
D
8
Experience-rated contracts
O
NO
T
US E
FO
.00 .00 .00
PPO contract
RP
(3)
Increase (decrease) in unearned premium reserve .............................
O
SE
PU
S
(2)
Increase (decrease) in amount due but unpaid ...............................
O
R
IO
b Benefit charges: (1) Claims paid ......................................................
NA
L
(4)
Earned ((1) + (2) - (3)) ........................................................................................
.00
.00 .00
(2)
Increase (decrease) in claim reserves ...........
FO
RM
AT
FO
R
IN
(3)
Incurred claims (add (1) and (2)) ........................................................................
.00 .00
(4)
Claims charged ....................................................................................................
0
5
0
8
0
0
0
5
0
I
Schedule A (Form 5500) 2008 8 c Remainder of premium: (1) Retention charges (on an accrual basis) -(A) Commissions ........................................... (B) Administrative service or other fees ....... (C) Other specific acquisition costs .............. (D) Other expenses ....................................... (E) Taxes ........................................................ (F) Charges for risks or other contingencies (G) Other retention charges ..........................
Page
6
Official Use Only
.00 .00 .00 .00 .00
FO
T
US E
R
.00 .00
FI LI NG
(2) Dividends or retroactive rate refunds.
O
NO
(H) Total retention ..............................................................................................
.00 .00 .00 .00 .00 .00
(3)
Other reserves .....................................................................................................
AT
9
Nonexperience-rated contracts:
IO
NA
L
e Dividends or retroactive rate refunds due. (Do not include amount entered in c(2).) ...................................................................
PU
RP
O
SE
(2) Claim reserves .....................................................................................................
S
O
NL
d Status of policyholder reserves at end of year: (1) Amount held to provide benefits after retirement ...............................................
Y,
D
(These amounts were 1)
paid in cash, or
2)
credited.) ..
FO
R
b If the carrier, service, or other organization incurred any specific costs in connection with the acquisition or retention of the contract or policy, other than reported in Part I, item 2 above, report amount ...................................... Specify nature of costs below
FO
RM
a Total premiums or subscription charges paid to carrier .............................................
.00 .00
IN
0
5
0
8
0
0
0
6
0
J