N-30B-2 1 mlnyvariablelifeii.htm mlnyvariablelifeii.htm
TALICNY letterhead

September 6, 2013

VIA EDGAR

Securities and Exchange Commission
100 F Street NE
Washington, D.C. 20549

Re:           ML of New York Variable Life Separate Account II, SEC File No. 811-07152
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ML of New York Investor Life — Registration No. 33-51794
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ML of New York Investor Life Plus – Registration No. 33-51702
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ML of New York Estate Investor I – Registration No. 33-61672
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ML of New York Estate Investor II – Registration No. 33-61670
Rule 30b2-1 Filing


Dear Commissioners:

As required by Rule 30e-2 under the Investment Company Act of 1940, as amended (the “Act”), Transamerica Advisors Life Insurance Company of New York (the “Company”) on behalf of the Registrant, recently sent (or will send) to its policyholders the semi-annual reports dated June 30, 2013, for the underlying management investment companies listed below (the “Funds”). This filing constitutes the filing of those reports as required by Rule 30b2-1 under the Act:

SEMI-ANNUAL REPORT FILINGS:
BlackRock Series Fund, Inc., SEC File No. 811-03091
BlackRock Variable Series Funds, Inc., SEC File No.: 811-03290
AIM Variable Insurance Funds (Invesco Variable Insurance Funds), SEC File No.: 811-07452
AllianceBernstein Variable Products Series Fund, Inc., SEC File No.: 811-05398
MFS Variable Insurance Trust, SEC File No.: 811-08326

Some of the funds included in each Fund Company’s semi-annual report filings may not be available under every Policy offered by the Registrant.

The Company understands that the Funds have filed, or will file, their semi-annual reports with the commission under the separate cover, pursuant to Rule 30d-1.

To the extent necessary, these filings are incorporated herein by reference. If you have any questions regarding this filing, please contact me at (727) 299-1830 or Gayle Morden at (727) 299-1747.

Sincerely,

/s/ Arthur D. Woods
Arthur D. Woods
Vice President

cc: Priscilla Hechler
     Gayle A. Morden