Life Premium Fund, SPC - In Official Liquidation

Investor Reports

 Initial notice to Investors dated 12 March 2015 - English

 Initial notice to Investors dated 12 March 2015 - Spanish translation

 Notice to Investors dated 18 March 2015 regarding funding - English

 Notice to Investors dated 18 March 2015 regarding funding - Spanish translation

 Notice to Investors dated 27 March 2015 regarding funding - English

       Appendix A - English

 Notice to Investors dated 27 March 2015 regarding funding - Spanish translation

       Appendix A - Spanish translation

 Notice to Investors dated 2 April 2015 regarding meeting - English

 Notice to Investors dated 2 April 2015 regarding meeting - Spanish translation

Joint Official Liquidators' First Report to Contributories and the Grand Court of the Cayman Islands for the Period from 6 March 2015 to 22 April 2015 - English

Joint Official Liquidators' First Report to Contributories and the Grand Court of the Cayman Islands for the Period from 6 March 2015 to 22 April 2015 - Spanish translation

Minutes of the First Meeting of Investors held on 29 April 2015 - English

 Minutes of the First Meeting of Investors held on 29 April 2015 - Spanish translation

 Notice to Investors dated 5 May 2015 regarding results of Liquidation Committee vote - English 

 Notice to Investors dated 5 May 2015 regarding results of Liquidation Committee vote - Spanish translation

 Notice to Investors dated 30 July 2015 regarding Pooling Order Hearing - English

 Notice to Investors dated 30 July 2015 regarding Pooling Order Hearing - Spanish translation

 Investment Summary regarding sale of assets - English

 Investment Summary regarding sale of assets - Spanish translation

Joint Official Liquidators' Second Report to Investors, Creditors, and the Grand Court of the Cayman Islands for the Period from 23 April 2015 to 8 September 2015 - English

Joint Official Liquidators' Second Report to Investors, Creditors, and the Grand Court of the Cayman Islands for the Period from 23 April 2015 to 8 September 2015 - Spanish

Notice to Investors dated 22 September 2015 regarding Option to Assign Policies - English

Notice to Investors dated 22 September 2015 regarding Option to Assign Policies - Spanish

Notice to Investors dated 6 October 2015 regarding Policy Payment - English

Notice to Investors dated 6 October 2015 regarding Policy Payment - Spanish

Notice to Investors dated 27 November 2015 - English

Notice to Investors - dated 27 November 2015 -  Spanish

Notice to Investors - dated 16 February 2016 - English

Notice to Investors - dated 16 February 2016 - Spanish

Notice to Investors dated 29 March 2016 regarding Option to Assign Policy - 92468729 - English

Notice to Investors dated 29 March 2016 regarding Option to Assign Policy 92468729 - Spanish

Notice to Investors dated 29 March 2016 regarding Option to Assign Policy - 92468730 - English

Notice to Investors dated 29 March 2016 regarding Option to Assign Policy 92468730 - Spanish

Notice to Investors dated 10 May 2016 regarding Option to Assign Policy - 58572488 - English

Notice to Investors dated 10 May 2016 regarding Option to Assign Policy - 58572488 - Spanish

Notice to Investors dated 10 May 2016 regarding Option to Assign Policy - 001291151 - English

Notice to Investors dated 10 May 2016 regarding Option to Assign Policy - 001291151 - Spanish

Notice to Investors dated 10 May 2016 regarding Option to Assign Policy - U10003265L - English

Notice to Investors dated 10 May 2016 regarding Option to Assign Policy - U10003265L - Spanish

Notice to Investors dated 23 September 2016 regarding Option to Assign Policy - 92424498 - English

Notice to Investors dated 23 September 2016 regarding Option to Assign Policy - 92424498 - Spanish

Notice to Investors dated 23 September 2016 regarding Option to Assign Policy - ULCP000252 - English

Notice to Investors dated 23 September 2016 regarding Option to Assign Policy - ULCP000252 - Spanish

Notice to Investors dated 22 December 2016 regarding Option to Assign Policy - 0Y008381 - English

Notice to Investors dated 22 December 2016 regarding Option to Assign Policy - 0Y008381 - Spanish

Letter enclosing Notice of Creditors Meeting to take place 17 March 2017 regarding Fee Resolution

Notice to Investors dated 6 April 2017 regarding Option to Assign Policy - 6223038 - English

Notice to Investors dated 6 April 2017 regarding Option to Assign Policy - 6223038 - Spanish

Notice to Investors dated 13 September 2017 regarding Option to Assign Policy - 92424498 - English

Notice to Investors dated 13 September 2017 regarding Option to Assign Policy - 92424498 - Spanish

Notice to Investors dated 5 January 2018 regarding Option to Assign Policy - ULCP000252 - English

Notice to Investors dated 5 January 2018 regarding Option to Assign Policy - ULCP000252 - Spanish

Notice to Investors dated 8 January 2018 regarding Option to Assign Policy - Y008381 - English

Notice to Investors dated 8 January 2018 regarding Option to Assign Policy - Y008381 - Spanish

Notice to Investors dated 15 November 2018 regarding Option to Assign Policy - 2833653 - English

Notice to Investors dated 15 November 2018 regarding Option to Assign Policy - 2833653 - Spanish

Notice to Investors - dated 26 November 2018 - English

Notice to Investors - dated 26 November 2018 - Spanish