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SECURITIES AND EXCHANGE COMMISSION |
Washington, DC 20549 | |
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Form N-1A | |
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REGISTRATION STATEMENT (NO. 33-32216) | |
UNDER THE SECURITIES ACT OF 1933 | [X] |
Pre-Effective Amendment No. | [ ] |
Post-Effective Amendment No. 83 | [X] |
and | |
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REGISTRATION STATEMENT (811-05962) UNDER THE INVESTMENT COMPANY | |
ACT OF 1940 | |
Amendment No. 86 | [X] |
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VANGUARD VARIABLE INSURANCE FUNDS |
(Exact Name of Registrant as Specified in Declaration of Trust) | |
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P.O. Box 2600, Valley Forge, PA 19482 | |
(Address of Principal Executive Office) | |
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Registrant’s Telephone Number (610) 669-1000 | |
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Anne E. Robinson, Esquire | |
P.O. Box 876 | |
Valley Forge, PA 19482 | |
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It is proposed that this filing will become effective immediately upon filing pursuant to |
Rule 462(d).Explanatory NoteThis Post-Effective Amendment consists of the following: |
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1. Facing Sheet of the Registration Statement |
2. Part C to the Registration Statement (including Signatures page) |
3. Exhibit (b) to Item 28 to the Registration Statement |
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This Post-Effective Amendment is being filed solely to file Amended and Restated |
By-Laws as Exhibit (b) to Item 28 to this Registration Statement on Form N-1A (the “Registration |
Statement”). |
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Parts A and B of Post-Effective Amendment No. 80 to the Registration Statement, dated |
April 28, 2017, and filed pursuant to Rule 485(b) under the Securities Act of 1933, are |
incorporated by reference. |
PART C
VANGUARD VARIABLE INSURANCE FUNDS
OTHER INFORMATION
Item 28. Exhibits
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(a) | Articles of Incorporation, Amended and Restated Agreement and Declaration of Trust, to |
| be filed by Amendment. |
(b) | By-Laws,Amended and Restated By-Laws, are filed herewith. |
(c) | Instruments Defining Rights of Security Holders, reference is made to Articles III and V |
| of the Registrant’s Amended and Restated Agreement and Declaration of Trust, refer to |
| Exhibit (a) above. |
(d) | Investment Advisory Contracts, for Wellington Management Company LLP (with respect |
| to the Equity Income Portfolio), filed with Post-Effective Amendment No. 48 dated |
| April 29, 2009; for William Blair & Company, L.L.C., filed with Post-Effective Amendment |
| No. 50 dated April 30 2010; for Wellington Management Company LLP (with respect to |
| the Growth Portfolio), filed with Post-Effective Amendment No. 52 dated |
| December 6, 2010; for Baillie Gifford Overseas Ltd., and for Schroder Investment |
| Management North America, Inc., filed with Post- Effective Amendment No. 54 dated |
| May 3, 2011; for the Sub-Advisory Agreement for Schroder Investment Management |
| North America Limited, filed with Post-Effective Amendment No. 64 on |
| January 31, 2013; for Barrow, Hanley, Mewhinney & Strauss, LLC, for PRIMECAP |
| Management Company, and for Wellington Management Company LLP (with respect to |
| the Balanced and High Yield Bond Portfolios), filed with Post-Effective Amendment |
| No. 62 dated April 27, 2012; for ArrowMark Colorado Holdings, LLC, filed with Post- |
| Effective Amendment No. 78 dated April 29, 2016, as amended by Addendum filed with |
| Post-Effective Amendment No. 80 dated April 28, 2017; and for Jackson Square Partners, |
| LLC, filed with Post-Effective Amendment No. 74 dated April 30, 2015, are hereby |
| incorporated by reference. The Vanguard Group, Inc., provides investment advisory |
| services to the Conservative Allocation, Global Bond Index, Equity Income, Equity |
| Index, Mid-Cap Index, Moderate Allocation, Money Market, REIT Index, Short-Term |
| Investment-Grade, Small Company Growth, Total Bond Market Index, Total International |
| Stock Market Index, and Total Stock Market Index Portfolios pursuant to the Fifth |
Amended and Restated Funds’ Service Agreement, refer to Exhibit (h) below. |
(e) | Underwriting Contracts, not applicable. |
(f) | Bonus or Profit Sharing Contracts, reference is made to the section entitled |
| “Management of the Fund” in Part B of this Registration Statement. |
(g) | Custodian Agreements, for State Street Bank and Trust Company, filed with Post- |
| Effective Amendment No. 52 dated December 6, 2010; and for The Bank of New York |
| Mellon and Brown Brothers Harriman & Co., filed with Post-Effective Amendment No. |
| 80 dated April 28, 2017, are hereby incorporated by reference. For JPMorgan Chase |
| Bank, to be filed by Amendment. |
(h) | Other Material Contracts, Fifth Amended and Restated Funds’ Service Agreement, filed |
| with Post-Effective Amendment No. 62 dated April 27, 2012, is hereby incorporated by |
| reference. |
(i) | Legal Opinion, not applicable. |
(j) | Other Opinions, Consent of Independent Registered Public Accounting Firm, to be filed |
| by Amendment. |
(k) | Omitted Financial Statements, not applicable. |
(l) | Initial Capital Agreements, not applicable. |
(m) | Rule 12b-1 Plan, not applicable. |
(n) | Rule 18f-3 Plan, to be filed by Amendment. |
(o) | Reserved. |
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(p) | Codes of Ethics, for Schroder Investment Management North America, Inc., and for |
| Schroder Investment Management North America Limited, filed with Post-Effective |
| Amendment No. 72 dated April 30, 2014; for Jackson Square Partners, LLC, and for The |
| Vanguard Group, Inc., filed with Post-Effective Amendment No. 74 dated April 30, 2015; |
| for PRIMECAP Management Company, for William Blair & Company L.L.C., and for |
| Baillie Gifford Overseas Ltd filed with Post-Effective Amendment No. 78 dated April 29, |
| 2016; for Wellinton Management Company LLP, Barrow, Hanley, Mewhinney & Strauss, |
| LLC, and ArrowMark Colorado Holdings, LLC filed with Post-Effective Amendment |
| No.80 dated April 28, 2017, are hereby incorporated by reference . |
Item 29. Persons Controlled by or under Common Control with Registrant
Registrant is not controlled by or under common control with any person.
Item 30. Indemnification
The Registrant’s organizational documents contain provisions indemnifying Trustees and officers against liability incurred in their official capacities. Article VII, Section 2 of the Amended and Restated Agreement and Declaration of Trust provides that the Registrant may indemnify and hold harmless each and every Trustee and officer from and against any and all claims, demands, costs, losses, expenses, and damages whatsoever arising out of or related to the performance of his or her duties as a Trustee or officer. Article VI of the By-Laws generally provides that the Registrant shall indemnify its Trustees and officers from any liability arising out of their past or present service in that capacity. Among other things, this provision excludes any liability arising by reason of willful misfeasance, bad faith, gross negligence, or the reckless disregard of the duties involved in the conduct of the Trustee’s or officer’s office with the Registrant.
Insofar as indemnification for liabilities arising under the Securities Act of 1933 (the Securities Act) may be permitted for directors, officers, or persons controlling the Registrant pursuant to the foregoing provisions, the Registrant has been informed that in the opinion of the Securities and Exchange Commission, such indemnification is against public policy as expressed in the Securities Act and is therefore unenforceable.
Item 31. Business and Other Connections of Investment Advisers
The Vanguard Group, Inc. (Vanguard) is an investment adviser registered under the Investment Advisers Act of 1940, as amended (the Advisors Act). The list required by this Item 31 of officers and directors of Vanguard, together with any information as to any business, profession, vocation, or employment of a substantial nature engaged in by such officers and directors during the past two years, is incorporated herein by reference from Form ADV filed by Vanguard pursuant to the Advisers Act (SEC File No. 801-11953).
Wellington Management CompanyLLP(Wellington Management) is an investment adviser registered under the Advisers Act. The list required by this Item 31 of officers and partners of Wellington Management, together with any information as to any business, profession, vocation, or employment of a substantial nature engaged in by such officers and partners during the past two years, is incorporated herein by reference from Form ADV filed by Wellington Management pursuant to the Advisers Act (SEC File No. 801-15908).
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PRIMECAP Management Company (PRIMECAP) is an investment adviser registered under the Advisers Act. The list required by this Item 31 of officers and directors of PRIMECAP, together with any information as to any business, profession, vocation, or employment of a substantial nature engaged in by such officers and partners during the past two years, is incorporated herein by reference from Form ADV filed by PRIMECAP pursuant to the Advisers Act (SEC File No. 801-19765).
Jackson Square Partners, LLC (Jackson Square) is an investment adviser registered under the Advisers Act. The list required by this Item 31 of officers and directors of Jackson Square, together with any information as to any business, profession, vocation, or employment of a substantial nature engaged in by such officers and directors during the past two years, is incorporated herein by reference to Form ADV filed by Jackson Square pursuant to the Advisers Act (SEC File No. 801-79255).
William Blair & Company, L.L.C. (William Blair & Company) is an investment adviser registered under the Advisers Act. The list required by this Item 31 of officers and directors of William Blair & Company, together with any information as to any business, profession, vocation, or employment of a substantial nature engaged in by such officers and directors during the past two years, is incorporated herein by reference from Form ADV filed by William Blair & Company pursuant to the Advisers Act (SEC File No. 801-688).
ArrowMark Colorado Holdings, LLC (ArrowMark Partners) is an investment adviser registered under the Advisers Act. The list required by this Item 31 of officers and members of ArrowMark Partners, together with any information as to any business, profession, vocation, or employment of a substantial nature engaged in by such officers and members during the past two years, is incorporated herein by reference from Form ADV filed by ArrowMark Partners pursuant to the Advisers Act (SEC File No. 801-69868).
Schroder Investment Management North America Inc. (Schroders) is an investment adviser registered under the Advisers Act. The list required by this Item 31 of officers and directors of Schroders, together with any information as to any business, profession, vocation, or employment of a substantial nature engaged in by such officers and directors during the past two years, is incorporated herein by reference from Form ADV filed by Schroders pursuant to the Advisers Act (SEC File No. 801-15834).
Schroder Investment Management North America Limited (Schroder Limited) is an investment adviser registered under the Advisers Act. The list required by this Item 31 of officers and directors of Schroder Limited, together with any information as to any business, profession, vocation, or employment of a substantial nature engaged in by such officers and directors during the past two years, is incorporated herein by reference from Form ADV filed by Schroder Limited pursuant to the Advisers Act (SEC File No. 801-37163).
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Baillie Gifford Overseas Ltd. (Baillie Gifford) is an investment adviser registered under the Advisers Act. The list required by this Item 31 of officers and directors of Baillie Gifford, together with any information as to any business, profession, vocation, or employment of a substantial nature engaged in by such officers and directors during the past two years, is incorporated herein by reference from Form ADV filed by Baillie Gifford pursuant to the Advisers Act (SEC File No. 801-21051).
Barrow, Hanley, Mewhinney & Strauss, LLC (Barrow, Hanley) is an investment adviser registered under the Advisers Act. The list required by this Item 31 of officers and directors of Barrow, Hanley, together with any information as to any business, profession, vocation, or employment of a substantial nature engaged in by such officers and directors during the past two years, is incorporated herein by reference from Form ADV filed by Barrow, Hanley pursuant to the Advisers Act (SEC File No. 801-31237).
Item 32. Principal Underwriters
(a) | Vanguard Marketing Corporation, a wholly owned subsidiary of The Vanguard Group, Inc., is the principal underwriter of each fund within the Vanguard group of investment companies, a family of more than 190 mutual funds. |
(b) | The principal business address of each named director and officer of Vanguard Marketing Corporation is 100 Vanguard Boulevard, Malvern, PA 19355. |
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Name | Positions and Office with Underwriter | Positions and Office with Funds |
F. William McNabb III | Director and Chairman | Chairman and Chief Executive Officer |
Glenn W. Reed | Director | None |
Mortimer J. Buckley | Director and Senior Vice President | None |
Martha G. King | Director and Senior Vice President | None |
Chris D. McIsaac | Director and Senior Vice President | None |
Anne E. Robinson | Director and Senior Vice President | Secretary |
Karin Risi | Director and Managing Director | None |
Thomas Rampulla | Director and Senior Vice President | None |
Michael Rollings | Treasurer | None |
Natalie Bej | Chief Compliance Officer | None |
Matthew Benchener | Principal | None |
Jack Brod | Principal | None |
James M. Delaplane Jr. | Principal | None |
Kathleen A. Graham-Kelly | Principal | None |
Phillip Korenman | Principal | None |
Mike Lucci | Principal | None |
Alba E. Martinez | Principal | None |
Brian McCarthy | Principal | None |
Frank Satterthwaite | Principal | None |
Christopher Sicilia | Principal | None |
Tammy Virnig | Principal | None |
Salvatore L. Pantalone | Financial and Operations Principal and Treasurer | None |
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Amy M. Laursen | Financial and Operations Principal | None |
Timothy P. Holmes | Annuity and Insurance Officer | None |
Jeff Seglem | Annuity and Insurance Officer | None |
Michael L. Kimmel | Assistant Secretary | None |
Marc P. Lindsay | Assistant Secretary | None |
Caroline Cosby | Secretary | None |
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(c) | Not applicable. | |
Item 33. Location of Accounts and Records
The books, accounts, and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940, as amended, and the rules promulgated thereunder will be maintained at the offices of the Registrant, 100 Vanguard Boulevard, Malvern, PA 19355; the Registrant’s Transfer Agent, The Vanguard Group, Inc., 100 Vanguard Boulevard, Malvern, PA 19355; the Registrant’s Custodians, Brown Brothers Harriman & Co., 50 Post Office Square, Boston, MA 02110-1548; The Bank of New York Mellon, One Wall Street, New York, NY 10286; JPMorgan Chase Bank, 270 Park Avenue, New York, NY 10017-2070; and State Street Bank and Trust Company, One Lincoln Street, Boston, MA 02111; and the Registrant’s investment advisors at their respective locations identified in this Registration Statement.
Item 34. Management Services
Other than as set forth in the section entitled “Management of the Fund” in Part B of this Registration Statement, the Registrant is not a party to any management-related service contract.
Item 35. Undertakings
Not applicable.
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SIGNATURES
Pursuant to the requirements of the Securities Act of 1933 and the Investment Company Act of 1940, theRegistranthas duly caused this Registration Statement to be signed on its behalf by the undersigned, thereunto duly authorized, in the Town of Valley Forge and the Commonwealth of Pennsylvania, on the13th day of July, 2017.
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VANGUARD VARIABLE INSURANCE FUNDS |
BY:_________/s/ F. William McNabb III* |
F. William McNabb III |
Chairman and Chief Executive Officer |
Pursuant to the requirements of the Securities Act of 1933, this Post-Effective Amendment to the Registration Statement has been signed below by the following persons in the capacities and on the date indicated:
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Signature | Title | Date |
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/s/ F. William McNabb III* | Chairman and Chief Executive | July 13, 2017 |
| Officer | |
F. William McNabb III | | |
/s/ Emerson U. Fullwood* | Trustee | July 13, 2017 |
Emerson U. Fullwood | | |
/s/ Rajiv L. Gupta* | Trustee | July 13, 2017 |
Rajiv L. Gupta | | |
/s/ Amy Gutmann* | Trustee | July 13, 2017 |
Amy Gutmann | | |
/s/ JoAnn Heffernan Heisen* | Trustee | July 13, 2017 |
JoAnn Heffernan Heisen | | |
/s/ F. Joseph Loughrey* | Trustee | July 13, 2017 |
F. Joseph Loughrey | | |
/s/ Mark Loughridge* | Trustee | July 13, 2017 |
Mark Loughridge | | |
/s/ Scott C. Malpass* | Trustee | July 13, 2017 |
Scott C. Malpass | | |
/s/ André F. Perold* | Trustee | July 13, 2017 |
André F. Perold | | |
/s/ Peter F. Volanakis* | Trustee | July 13, 2017 |
Peter F. Volanakis | | |
/s/ Thomas J. Higgins* | Chief Financial Officer | July 13, 2017 |
Thomas J. Higgins | | |
*By:/s/ Anne E. Robinson
Anne E. Robinson, pursuant to a Power of Attorney filed on October 4, 2016, see File Number 33-32548, Incorporated by Reference.
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INDEX TO EXHIBITS | |
By-Laws, Amended and Restated By-Laws | Ex-99.B |