AUTOMATIC REINSURANCE NOTICE PROCEDURE. After the policy has been paid for and delivered, the Ceding Company will submit all relevant individual policy information, as defined in Schedule C, in its next statement to the Reinsurer.
Appears in 11 contracts
Sources: Yearly Renewable Term Reinsurance Agreement (American National Variable Life Separate Account), Yearly Renewable Term Reinsurance Agreement (National Variable Life Insurance Account), Yearly Renewable Term Reinsurance Agreement (National Variable Life Insurance Account)
AUTOMATIC REINSURANCE NOTICE PROCEDURE. After the policy has been paid for and delivered, the Ceding Company will CEDING COMPANY shall submit all relevant individual policy information, as defined in Schedule C, in its next statement to the ReinsurerREINSURER.
Appears in 10 contracts
Sources: Reinsurance Agreement (Ids Life Variable Life Separate Account), Reinsurance Agreement (Ids Life Variable Life Separate Account), Reinsurance Agreement (Ids Life of New York Account 8)
AUTOMATIC REINSURANCE NOTICE PROCEDURE. After the policy has been paid for and delivered, the Ceding Company will shall submit all relevant individual policy information, as defined in Schedule C, in its next statement to the Reinsurer.
Appears in 4 contracts
Sources: Reinsurance Agreement (Ge Life & Annuity Assurance Co Ii), Reinsurance Agreement (Ge Life & Annuity Assurance Co Ii), Reinsurance Agreement (Ge Life & Annuity Assurance Co Ii)
AUTOMATIC REINSURANCE NOTICE PROCEDURE. After the policy has been paid for and delivered, the Ceding Company will CEDING COMPANY shall submit all relevant individual policy information, as defined in Schedule C, in its next statement to the ReinsurerREINSURER.
Appears in 2 contracts
Sources: Reinsurance Agreement (Bma Variable Life Account A), Reinsurance Agreement (Llac Variable Account)
AUTOMATIC REINSURANCE NOTICE PROCEDURE. After the policy has been paid for and delivered, the Ceding Company will CEDING COMPANY shall submit all relevant individual policy information, as defined in Schedule C, in its next statement to the ReinsurerSECURITY.
Appears in 1 contract
Sources: Reinsurance Agreement (Life Insurance Separate Account of Usaa Life Insurance Co)
AUTOMATIC REINSURANCE NOTICE PROCEDURE. After the policy has been paid for and delivered, the Ceding Company will submit all relevant individual policy information, as defined in Schedule C, in its next statement to the Reinsurer.. 0020-2186 YRT (02092001)
Appears in 1 contract
Sources: Yearly Renewable Term Reinsurance Agreement (Carillon Life Account)
AUTOMATIC REINSURANCE NOTICE PROCEDURE. After the policy has been paid for and delivered, the Ceding Company will CEDING COMPANY shall submit all relevant individual policy information, as defined in Schedule C, in its it's next statement to the Reinsurer.to
Appears in 1 contract
Sources: Reinsurance Agreement (National Variable Life Insurance Account)
AUTOMATIC REINSURANCE NOTICE PROCEDURE. After the policy has been paid for and delivered, the Ceding Company will submit all relevant individual policy information, as substantially similar to what is defined in Schedule C, in its next statement to the Reinsurer.
Appears in 1 contract
Sources: Reinsurance Agreement (Tiaa-Cref Life Separate Account Vli-1)