RiverSource Retirement Advisor Variable Annuity
|
|
- Dana Williamson
- 5 years ago
- Views:
Transcription
1 RiverSource Retirement Advisor Variable Annuity Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Annuities for month ending 08/31/2018 and quarter ending 06/30/2018 Current applicable charges deducted from performance include a.95% Mortality and Expense (M & E) fee and administrative charge, if applicable, $30 contract administrative charge and 8.00% declining surrender charge for purchase payments less than 10 years old. The fees you are paying may be different. Refer to your contract for details. Premium taxes, where applicable, are not reflected in these total returns. If they had been included, the returns would be lower. The contract form number for this product is No new contracts are currently being sold. Commencement of the Commencement of fund PORTFOLIO STABILIZER GLOBAL Variable Portfolio - Managed Volatility Growth (Class 2) No Surrender Charges (04/29/2013) (04/12/2013) 1.25% 2.86% 2.45% 8.80% 6.78% 5.93% % 8.80% 6.78% 5.93% % With Surrender Charges (04/29/2013) (04/12/2013) -6.05% -4.56% -4.94% 0.90% 4.39% 4.79% % 0.90% 4.39% 4.79% % Variable Portfolio - Managed Volatility Moderate Growth (Class 2) No Surrender Charges (04/30/2012) (04/19/2012) 1.08% 2.27% 1.65% 6.51% 5.56% 4.94% % 6.51% 5.56% 4.94% % With Surrender Charges (04/30/2012) (04/19/2012) -6.21% -5.11% -5.68% -1.21% 3.11% 3.75% % -1.21% 3.11% 3.75% % Variable Portfolio - Managed Volatility Conservative Growth (Class 2) No Surrender Charges (04/29/2013) (04/12/2013) 0.86% 1.61% 0.63% 3.94% 4.05% 3.75% % 3.94% 4.05% 3.75% % With Surrender Charges (04/29/2013) (04/12/2013) -6.41% -5.72% -6.62% -3.57% 1.52% 2.51% % -3.57% 1.52% 2.51% % Variable Portfolio - Managed Volatility Conservative (Class 2) No Surrender Charges (04/29/2013) (04/12/2013) 0.67% 0.95% -0.40% 1.29% 2.62% 2.57% % 1.29% 2.62% 2.57% % With Surrender Charges (04/29/2013) (04/12/2013) -6.58% -6.33% -7.60% -6.02% 0.09% 1.28% % -6.02% 0.09% 1.28% % PORTFOLIO STABILIZER DOMESTIC Variable Portfolio - U.S. Flexible Growth (Class 2) No Surrender Charges (11/14/2016) (11/02/2016) 2.25% 4.64% 5.50% 13.01% % 13.01% % With Surrender Charges (11/14/2016) (11/02/2016) -5.13% -2.93% -2.14% 5.01% % 5.01% % Variable Portfolio - U.S. Flexible Moderate Growth (Class 2) No Surrender Charges (11/14/2016) (11/02/2016) 1.88% 3.61% 3.82% 9.45% % 9.45% % With Surrender Charges (11/14/2016) (11/02/2016) -5.47% -3.87% -3.69% 1.49% % 1.49% % Variable Portfolio - U.S. Flexible Conservative Growth (Class 2) No Surrender Charges (11/14/2016) (11/02/2016) 1.38% 2.57% 2.16% 5.99% % 5.99% % With Surrender Charges (11/14/2016) (11/02/2016) -5.93% -4.83% -5.21% -1.69% % -1.69% % PORTFOLIO STABILIZER MANAGED RISK Variable Portfolio - Managed Risk U.S. (Class 2) No Surrender Charges (09/18/2017) (09/12/2017) 2.04% 3.91% 3.89% % % With Surrender Charges (09/18/2017) (09/12/2017) -5.33% -3.60% -3.62% % % Variable Portfolio - Managed Risk (Class 2) No Surrender Charges (09/18/2017) (09/12/2017) 1.13% 2.23% 1.92% % % With Surrender Charges (09/18/2017) (09/12/2017) -6.16% -5.15% -5.43% % % PORTFOLIO NAVIGATOR Variable Portfolio - Aggressive Portfolio (Class 2) No Surrender Charges (05/07/2010) (05/07/2010) 0.93% 2.69% 2.85% 9.26% 8.72% 7.55% % 9.26% 8.72% 7.55% % With Surrender Charges (05/07/2010) (05/07/2010) -6.35% -4.72% -4.58% 1.32% 6.42% 6.48% % 1.32% 6.42% 6.48% % VARIABLE ANNUITIES: ARE NOT A DEPOSIT OF ANY BANK OR ANY BANK AFFILIATE ARE NOT FDIC INSURED ARE NOT INSURED BY ANY FEDERAL GOVERNMENT AGENCY ARE NOT BANK GUARANTEED MAY LOSE VALUE Page 1 of 18
2 Commencement of the Commencement of fund PORTFOLIO NAVIGATOR (CONT.) Variable Portfolio - Moderately Aggressive Portfolio (Class 2) No Surrender Charges (05/07/2010) (05/07/2010) 0.91% 2.23% 2.05% 7.23% 7.23% 6.27% % 7.23% 7.23% 6.27% % With Surrender Charges (05/07/2010) (05/07/2010) -6.36% -5.14% -5.32% -0.55% 4.86% 5.15% % -0.55% 4.86% 5.15% % Variable Portfolio - Moderate Portfolio (Class 2) No Surrender Charges (05/07/2010) (05/07/2010) 0.71% 1.69% 1.11% 4.89% 5.65% 5.02% % 4.89% 5.65% 5.02% % With Surrender Charges (05/07/2010) (05/07/2010) -6.54% -5.64% -6.18% -2.70% 3.21% 3.85% % -2.70% 3.21% 3.85% % Variable Portfolio - Moderately Conservative Portfolio (Class 2) No Surrender Charges (05/07/2010) (05/07/2010) 0.55% 1.11% 0.25% 2.83% 4.04% 3.75% % 2.83% 4.04% 3.75% % With Surrender Charges (05/07/2010) (05/07/2010) -6.70% -6.18% -6.97% -4.60% 1.51% 2.51% % -4.60% 1.51% 2.51% % Variable Portfolio - Conservative Portfolio (Class 2) No Surrender Charges (05/07/2010) (05/07/2010) 0.54% 0.68% -0.59% 0.84% 2.65% 2.52% % 0.84% 2.65% 2.52% % With Surrender Charges (05/07/2010) (05/07/2010) -6.70% -6.58% -7.79% -6.43% 0.12% 1.22% % -6.43% 0.12% 1.22% % Variable Portfolio - Aggressive Portfolio (Class 4) No Surrender Charges (05/07/2010) (05/07/2010) 0.93% 2.69% 2.84% 9.24% 8.71% 7.55% % 9.24% 8.71% 7.55% % With Surrender Charges (05/07/2010) (05/07/2010) -6.35% -4.72% -4.58% 1.31% 6.40% 6.48% % 1.31% 6.40% 6.48% % Variable Portfolio - Moderately Aggressive Portfolio (Class 4) No Surrender Charges (05/07/2010) (05/07/2010) 0.91% 2.23% 2.04% 7.21% 7.24% 6.27% % 7.21% 7.24% 6.27% % With Surrender Charges (05/07/2010) (05/07/2010) -6.37% -5.15% -5.32% -0.56% 4.87% 5.15% % -0.56% 4.87% 5.15% % Variable Portfolio - Moderate Portfolio (Class 4) No Surrender Charges (05/07/2010) (05/07/2010) 0.71% 1.69% 1.10% 4.89% 5.64% 5.01% % 4.89% 5.64% 5.01% % With Surrender Charges (05/07/2010) (05/07/2010) -6.55% -5.64% -6.18% -2.70% 3.20% 3.84% % -2.70% 3.20% 3.84% % Variable Portfolio - Moderately Conservative Portfolio (Class 4) No Surrender Charges (05/07/2010) (05/07/2010) 0.54% 1.11% 0.31% 2.82% 4.05% 3.75% % 2.82% 4.05% 3.75% % With Surrender Charges (05/07/2010) (05/07/2010) -6.70% -6.18% -6.91% -4.60% 1.53% 2.52% % -4.60% 1.53% 2.52% % Variable Portfolio - Conservative Portfolio (Class 4) No Surrender Charges (05/07/2010) (05/07/2010) 0.47% 0.68% -0.59% 0.77% 2.62% 2.52% % 0.77% 2.62% 2.52% % With Surrender Charges (05/07/2010) (05/07/2010) -6.77% -6.58% -7.79% -6.49% 0.10% 1.22% % -6.49% 0.10% 1.22% % CASH EQUIVALENTS Columbia Variable Portfolio - Government Money Market (Class 3) No Surrender Charges (09/15/1999) (10/13/1981) 0.02% 0.10% 0.12% -0.02% -0.61% -0.75% -0.79% 0.53% -0.02% -0.61% -0.75% -0.79% 2.95% With Surrender Charges (09/15/1999) (10/13/1981) -7.18% -7.10% -7.09% -7.22% -3.11% -2.09% -0.99% 0.53% -7.22% -3.11% -2.09% -0.99% 2.95% Columbia Variable Portfolio - Government Money Market (Class 3) seven-day simple yield was 1.54% and its seven-day compound yield was 1.55% as of the month ending 08/31/2018. The yield more closely reflects the current earnings than the total return quotation. SHORT-TERM FIXED INCOME Columbia Variable Portfolio - U.S. Government Mortgage (Class 3) No Surrender Charges (09/15/1999) (09/15/1999) 0.79% 0.35% -0.34% -0.70% 0.85% 1.81% 1.10% 1.83% -0.70% 0.85% 1.81% 1.10% 1.83% With Surrender Charges (09/15/1999) (09/15/1999) -6.47% -6.88% -7.54% -7.90% -1.63% 0.49% 0.92% 1.83% -7.90% -1.63% 0.49% 0.92% 1.83% Columbia Variable Portfolio - Limited Duration Credit (Class 2) No Surrender Charges (07/19/2010) (05/07/2010) 0.22% 0.14% -0.78% -1.30% 0.77% 0.20% % -1.30% 0.77% 0.20% % With Surrender Charges (07/19/2010) (05/07/2010) -7.00% -7.07% -7.98% -8.50% -1.71% -1.10% % -8.50% -1.71% -1.10% % CTIVP - Wells Fargo Short Duration Government (Class 2) No Surrender Charges (07/19/2010) (05/07/2010) 0.20% -0.07% -0.66% -1.37% -0.66% -0.47% % -1.37% -0.66% -0.47% % With Surrender Charges (07/19/2010) (05/07/2010) -7.02% -7.27% -7.86% -8.57% -3.16% -1.79% % -8.57% -3.16% -1.79% % LONG-/INTERMEDIATE-TERM FIXED INCOME Columbia Variable Portfolio - Intermediate Bond (Class 3) No Surrender Charges (09/15/1999) (10/13/1981) 0.59% 0.38% -0.79% -1.20% 1.56% 1.83% 3.28% 3.29% -1.20% 1.56% 1.83% 3.28% 6.34% With Surrender Charges (09/15/1999) (10/13/1981) -6.65% -6.85% -7.99% -8.40% -0.93% 0.51% 3.13% 3.29% -8.40% -0.93% 0.51% 3.13% 6.34% CTIVP - BlackRock Global Inflation-Protected Securities (Class 3) No Surrender Charges (09/13/2004) (09/13/2004) -0.11% 0.15% -0.25% 0.36% 2.29% 2.49% 2.43% 2.82% 0.36% 2.29% 2.49% 2.43% 2.82% With Surrender Charges (09/13/2004) (09/13/2004) -7.31% -7.07% -7.45% -6.87% -0.23% 1.19% 2.27% 2.82% -6.87% -0.23% 1.19% 2.27% 2.82% Columbia Variable Portfolio - Long Government/Credit Bond (Class 2) No Surrender Charges (04/30/2013) (04/30/2013) 0.63% 0.20% -4.90% -3.47% 1.98% 1.87% % -3.47% 1.98% 1.87% % With Surrender Charges (04/30/2013) (04/30/2013) -6.62% -7.02% % % -0.52% 0.56% % % -0.52% 0.56% % Page 2 of 18
3 Commencement of the Commencement of fund LONG-/INTERMEDIATE-TERM FIXED INCOME (CONT.) PIMCO VIT Total Return Portfolio, Advisor Class No Surrender Charges (04/29/2013) (02/28/2006) 0.30% 0.38% -1.81% -2.47% 0.99% 1.46% % -2.47% 0.99% 1.46% 3.39% 3.70% With Surrender Charges (04/29/2013) (02/28/2006) -6.92% -6.85% -9.01% -9.67% -1.49% 0.15% % -9.67% -1.49% 0.15% 3.24% 3.70% MULTI-SECTOR FIXED INCOME Janus Henderson Flexible Bond Portfolio: Service Shares No Surrender Charges (04/29/2013) (12/31/1999) 0.46% 0.44% -1.84% -2.39% 0.28% 1.13% % -2.39% 0.28% 1.13% 3.61% 4.06% With Surrender Charges (04/29/2013) (12/31/1999) -6.78% -6.79% -9.04% -9.59% -2.18% -0.17% % -9.59% -2.18% -0.17% 3.47% 4.06% Fidelity VIP Strategic Income Portfolio Service, Class 2 No Surrender Charges (04/29/2013) (12/23/2003) -0.11% 0.09% -1.05% -0.61% 3.29% 2.78% % -0.61% 3.29% 2.78% 4.48% 4.38% With Surrender Charges (04/29/2013) (12/23/2003) -7.31% -7.12% -8.25% -7.81% 0.75% 1.50% % -7.81% 0.75% 1.50% 4.34% 4.38% Oppenheimer Global Strategic Income /VA, Service Shares No Surrender Charges (02/04/2004) (05/03/1993) -1.72% -1.36% -3.99% -3.55% 1.02% 1.24% 2.64% 3.34% -3.55% 1.02% 1.24% 2.64% 4.36% With Surrender Charges (02/04/2004) (05/03/1993) -8.92% -8.56% % % -1.46% -0.06% 2.48% 3.34% % -1.46% -0.06% 2.48% 4.36% INTERNATIONAL FIXED INCOME Columbia Variable Portfolio - Emerging Markets Bond (Class 2) No Surrender Charges (04/29/2013) (04/30/2012) -3.06% -2.88% -7.32% -6.50% 3.78% 2.71% % -6.50% 3.78% 2.71% % With Surrender Charges (04/29/2013) (04/30/2012) % % % % 1.25% 1.42% % % 1.25% 1.42% % Columbia Variable Portfolio - Global Bond (Class 3) No Surrender Charges (09/15/1999) (05/01/1996) -0.47% -1.46% -4.58% -5.30% -1.95% -1.91% 0.44% 2.43% -5.30% -1.95% -1.91% 0.44% 2.56% With Surrender Charges (09/15/1999) (05/01/1996) -7.67% -8.66% % % -4.52% -3.32% 0.25% 2.43% % -4.52% -3.32% 0.25% 2.56% Templeton Global Bond VIP - Class 2 No Surrender Charges (04/29/2013) (01/24/1989) -3.54% -1.35% -1.87% -2.41% 0.24% 0.22% % -2.41% 0.24% 0.22% 4.04% 5.86% With Surrender Charges (04/29/2013) (01/24/1989) % -8.55% -9.07% -9.60% -2.22% -1.08% % -9.60% -2.22% -1.08% 3.90% 5.86% HIGH-YIELD FIXED INCOME Columbia Variable Portfolio - Income Opportunities (Class 3) No Surrender Charges (09/13/2004) (06/01/2004) 0.87% 2.18% -0.23% 0.11% 3.89% 3.81% 6.48% 5.53% 0.11% 3.89% 3.81% 6.48% 5.83% With Surrender Charges (09/13/2004) (06/01/2004) -6.40% -5.19% -7.43% -7.10% 1.36% 2.58% 6.36% 5.53% -7.10% 1.36% 2.58% 6.36% 5.83% Western Asset Variable Global High Yield Bond Portfolio - Class II No Surrender Charges (04/29/2013) (02/26/2004) -1.45% -0.20% -3.11% -1.99% 3.99% 2.34% % -1.99% 3.99% 2.34% 5.26% 4.58% With Surrender Charges (04/29/2013) (02/26/2004) -8.65% -7.40% % -9.19% 1.46% 1.03% % -9.19% 1.46% 1.03% 5.13% 4.58% Columbia Variable Portfolio - High Yield Bond (Class 3) No Surrender Charges (09/15/1999) (05/01/1996) 0.83% 2.18% -0.16% 0.26% 4.07% 3.88% 6.72% 5.10% 0.26% 4.07% 3.88% 6.72% 5.01% With Surrender Charges (09/15/1999) (05/01/1996) -6.44% -5.19% -7.36% -6.96% 1.55% 2.65% 6.61% 5.10% -6.96% 1.55% 2.65% 6.61% 5.01% Eaton Vance VT Floating-Rate Income, Initial Class No Surrender Charges (05/01/2006) (05/02/2001) 0.35% 0.82% 2.35% 3.19% 3.20% 2.21% 3.36% 2.85% 3.19% 3.20% 2.21% 3.36% 2.50% With Surrender Charges (05/01/2006) (05/02/2001) -6.88% -6.45% -5.04% -4.26% 0.65% 0.90% 3.21% 2.85% -4.26% 0.65% 0.90% 3.21% 2.50% BALANCED PIMCO VIT Global Multi-Asset Managed Allocation Portfolio, Advisor Class No Surrender Charges (04/30/2012) (04/15/2009) 0.13% 1.89% 0.86% 5.07% 5.32% 3.93% % 5.07% 5.32% 3.93% % With Surrender Charges (04/30/2012) (04/15/2009) -7.09% -5.46% -6.40% -2.53% 2.86% 2.70% % -2.53% 2.86% 2.70% % Lazard Retirement Global Dynamic Multi-Asset Portfolio - Service Shares No Surrender Charges (04/29/2013) (04/30/2012) 0.97% 2.61% 2.12% 8.57% 8.20% 6.70% % 8.57% 8.20% 6.70% % With Surrender Charges (04/29/2013) (04/30/2012) -6.31% -4.80% -5.25% 0.68% 5.87% 5.60% % 0.68% 5.87% 5.60% % Invesco V.I. Balanced-Risk Allocation, Series II Shares No Surrender Charges (04/29/2013) (01/23/2009) -0.47% -2.90% -1.82% 1.87% 5.14% 3.54% % 1.87% 5.14% 3.54% % With Surrender Charges (04/29/2013) (01/23/2009) -7.67% % -9.02% -5.48% 2.67% 2.30% % -5.48% 2.67% 2.30% % Ivy VIP Asset Strategy No Surrender Charges (04/29/2013) (05/01/1995) -0.28% 1.45% 3.85% 10.90% 5.47% 2.45% % 10.90% 5.47% 2.45% 3.69% 7.99% With Surrender Charges (04/29/2013) (05/01/1995) -7.49% -5.86% -3.66% 2.90% 3.02% 1.14% % 2.90% 3.02% 1.14% 3.55% 7.99% Janus Henderson Balanced Portfolio: Service Shares No Surrender Charges (04/27/2018) (12/31/1999) 2.21% 4.56% % 14.21% 9.83% 8.56% 7.89% 5.42% With Surrender Charges (04/27/2018) (12/31/1999) -5.17% -3.00% % 6.21% 7.58% 7.53% 7.79% 5.42% Page 3 of 18
4 Commencement of the Commencement of fund BALANCED (CONT.) Calvert VP SRI Balanced Portfolio - Class I No Surrender Charges (05/01/2000) (09/02/1986) 1.62% 5.08% 5.13% 10.04% 7.59% 7.18% 5.88% 3.30% 10.04% 7.59% 7.18% 5.88% 6.26% With Surrender Charges (05/01/2000) (09/02/1986) -5.71% -2.52% -2.48% 2.04% 5.23% 6.10% 5.76% 3.30% 2.04% 5.23% 6.10% 5.76% 6.26% Columbia Variable Portfolio - Balanced (Class 3) No Surrender Charges (09/15/1999) (04/30/1986) 1.62% 4.53% 2.64% 6.73% 7.81% 7.96% 7.08% 4.22% 6.73% 7.81% 7.96% 7.08% 7.06% With Surrender Charges (09/15/1999) (04/30/1986) -5.71% -3.03% -4.78% -1.00% 5.46% 6.91% 6.97% 4.22% -1.00% 5.46% 6.91% 6.97% 7.06% Wells Fargo VT Index Asset Allocation - Class 2 No Surrender Charges (05/01/2001) (04/15/1994) 2.23% 4.79% 5.05% 9.74% 8.41% 9.54% 7.52% 5.30% 9.74% 8.41% 9.54% 7.52% 7.15% With Surrender Charges (05/01/2001) (04/15/1994) -5.15% -2.79% -2.56% 1.76% 6.09% 8.55% 7.42% 5.30% 1.76% 6.09% 8.55% 7.42% 7.15% BlackRock Global Allocation V.I. Class III Shares No Surrender Charges (04/30/2012) (02/28/1992) 0.03% 1.13% -0.29% 2.51% 4.76% 4.25% % 2.51% 4.76% 4.25% 4.11% 5.74% With Surrender Charges (04/30/2012) (02/28/1992) -7.17% -6.16% -7.49% -4.89% 2.27% 3.03% % -4.89% 2.27% 3.03% 3.97% 5.74% AB VPS Dynamic Asset Allocation Portfolio (Class B) No Surrender Charges (04/29/2013) (04/01/2011) -0.09% 0.53% -0.87% 2.94% 4.66% 4.42% % 2.94% 4.66% 4.42% % With Surrender Charges (04/29/2013) (04/01/2011) -7.29% -6.71% -8.07% -4.49% 2.16% 3.21% % -4.49% 2.16% 3.21% % Franklin Income VIP - Class 2 No Surrender Charges (04/29/2013) (01/24/1989) -0.23% 2.12% 2.03% 5.43% 7.10% 5.04% % 5.43% 7.10% 5.04% 5.54% 7.45% With Surrender Charges (04/29/2013) (01/24/1989) -7.43% -5.25% -5.33% -2.20% 4.72% 3.86% % -2.20% 4.72% 3.86% 5.42% 7.45% PIMCO VIT All Asset Portfolio, Advisor Class No Surrender Charges (05/01/2006) (04/30/2003) -1.51% -1.81% -3.27% -0.78% 5.40% 2.42% 3.42% 3.61% -0.78% 5.40% 2.42% 3.42% 4.50% With Surrender Charges (05/01/2006) (04/30/2003) -8.71% -9.01% % -7.98% 2.94% 1.11% 3.27% 3.61% -7.98% 2.94% 1.11% 3.27% 4.50% LARGE CAP STOCK CTIVP - Loomis Sayles Growth (Class 1) No Surrender Charges (04/29/2016) (05/07/2010) 3.57% 6.69% 10.13% 17.90% % 17.90% 17.98% 16.28% % With Surrender Charges (04/29/2016) (05/07/2010) -3.91% -1.03% 2.13% 9.90% % 9.90% 16.03% 15.51% % Invesco V.I. American Franchise, Series I No Surrender Charges (04/27/2012) (07/05/1995) 3.94% 7.06% 16.66% 19.34% 16.38% 14.60% % 19.34% 16.38% 14.60% 11.00% 8.90% With Surrender Charges (04/27/2012) (07/05/1995) -3.57% -0.69% 8.66% 11.34% 14.38% 13.77% % 11.34% 14.38% 13.77% 10.92% 8.90% Fidelity VIP Growth & Income Portfolio Service Class 1 No Surrender Charges (09/15/1999) (12/31/1996) 1.83% 7.02% 5.95% 15.82% 12.63% 10.79% 8.27% 4.84% 15.82% 12.63% 10.79% 8.27% 6.74% With Surrender Charges (09/15/1999) (12/31/1996) -5.52% -0.74% -1.73% 7.82% 10.48% 9.84% 8.17% 4.84% 7.82% 10.48% 9.84% 8.17% 6.74% Columbia Variable Portfolio - Select Large-Cap Value (Class 3) No Surrender Charges (02/04/2004) (02/04/2004) 0.17% 4.40% 1.96% 15.22% 13.65% 11.18% 9.57% 7.22% 15.22% 13.65% 11.18% 9.57% 7.22% With Surrender Charges (02/04/2004) (02/04/2004) -7.05% -3.14% -5.40% 7.22% 11.55% 10.25% 9.48% 7.22% 7.22% 11.55% 10.25% 9.48% 7.22% MFS Massachusetts Investors Growth Stock Portfolio - Service Class No Surrender Charges (03/27/2015) (08/23/2001) 2.92% 7.97% 11.93% 21.43% 15.21% % 21.43% 15.21% 13.05% 9.80% 5.82% With Surrender Charges (03/27/2015) (08/23/2001) -4.51% 0.14% 3.93% 13.43% 13.16% % 13.43% 13.16% 12.18% 9.71% 5.82% Invesco V.I. Comstock, Series II No Surrender Charges (02/04/2004) (04/30/1999) 0.64% 4.29% 4.22% 17.37% 11.99% 9.77% 8.64% 6.83% 17.37% 11.99% 9.77% 8.64% 6.21% With Surrender Charges (02/04/2004) (04/30/1999) -6.61% -3.25% -3.31% 9.37% 9.83% 8.79% 8.54% 6.83% 9.37% 9.83% 8.79% 8.54% 6.21% AB VPS Growth and Income Portfolio (Class B) No Surrender Charges (08/13/2001) (01/14/1991) 1.54% 7.55% 5.92% 16.11% 12.57% 10.89% 8.68% 5.56% 16.11% 12.57% 10.89% 8.68% 8.59% With Surrender Charges (08/13/2001) (01/14/1991) -5.79% -0.25% -1.76% 8.11% 10.42% 9.94% 8.58% 5.56% 8.11% 10.42% 9.94% 8.58% 8.59% Janus Henderson Research Portfolio: Service Shares 2 No Surrender Charges (05/01/2007) (09/13/1993) 5.16% 8.78% 14.15% 21.70% 13.72% 13.79% 9.25% 7.45% 21.70% 13.72% 13.79% 9.25% 7.59% With Surrender Charges (05/01/2007) (09/13/1993) -2.45% 0.89% 6.15% 13.70% 11.62% 12.95% 9.16% 7.45% 13.70% 11.62% 12.95% 9.16% 7.59% Putnam VT Sustainable Leaders - Class IB Shares No Surrender Charges (09/24/2010) (05/02/1994) 3.55% 6.52% 13.60% 21.96% 16.22% 14.95% % 21.96% 16.22% 14.95% 10.18% 7.77% With Surrender Charges (09/24/2010) (05/02/1994) -3.93% -1.20% 5.60% 13.96% 14.21% 14.14% % 13.96% 14.21% 14.14% 10.09% 7.77% Columbia Variable Portfolio - Contrarian Core (Class 2) No Surrender Charges (04/29/2013) (04/30/2012) 2.33% 7.12% 5.23% 12.11% 12.15% 11.85% % 12.11% 12.15% 11.85% % With Surrender Charges (04/29/2013) (04/30/2012) -5.05% -0.64% -2.39% 4.11% 9.98% 10.94% % 4.11% 9.98% 10.94% % Columbia Variable Portfolio - Large Cap Index (Class 3) No Surrender Charges (05/01/2000) (05/01/2000) 3.09% 7.35% 8.90% 18.03% 14.48% 12.92% 9.36% 4.33% 18.03% 14.48% 12.92% 9.36% 4.33% With Surrender Charges (05/01/2000) (05/01/2000) -4.35% -0.43% 0.99% 10.03% 12.41% 12.05% 9.27% 4.33% 10.03% 12.41% 12.05% 9.27% 4.33% Page 4 of 18
5 Commencement of the Commencement of fund LARGE CAP STOCK (CONT.) American Century VP Value, Class I No Surrender Charges (09/15/1999) (05/01/1996) 0.67% 5.65% 4.70% 13.70% 11.18% 9.76% 8.49% 6.97% 13.70% 11.18% 9.76% 8.49% 7.92% With Surrender Charges (09/15/1999) (05/01/1996) -6.59% -2.00% -2.87% 5.70% 8.98% 8.77% 8.39% 6.97% 5.70% 8.98% 8.77% 8.39% 7.92% CTIVP - MFS Blended Research Core Equity (Class 3) No Surrender Charges (05/01/2006) (05/01/2006) 3.20% 6.77% 7.08% 16.19% 12.55% 11.23% 7.31% 5.70% 16.19% 12.55% 11.23% 7.31% 5.70% With Surrender Charges (05/01/2006) (05/01/2006) -4.26% -0.96% -0.69% 8.19% 10.40% 10.30% 7.20% 5.70% 8.19% 10.40% 10.30% 7.20% 5.70% Fidelity VIP Contrafund Portfolio Service Class 2 No Surrender Charges (05/01/2006) (01/03/1995) 4.32% 7.25% 9.94% 16.68% 13.07% 12.08% 8.87% 7.20% 16.68% 13.07% 12.08% 8.87% 10.12% With Surrender Charges (05/01/2006) (01/03/1995) -3.22% -0.52% 1.94% 8.68% 10.94% 11.18% 8.78% 7.20% 8.68% 10.94% 11.18% 8.78% 10.12% Columbia Variable Portfolio - Dividend Opportunity (Class 3) No Surrender Charges (09/15/1999) (09/15/1999) 0.79% 4.27% 3.11% 12.19% 10.97% 8.77% 6.28% 6.09% 12.19% 10.97% 8.77% 6.28% 6.09% With Surrender Charges (09/15/1999) (09/15/1999) -6.48% -3.27% -4.34% 4.19% 8.76% 7.75% 6.17% 6.09% 4.19% 8.76% 7.75% 6.17% 6.09% Columbia Variable Portfolio - Disciplined Core (Class 3) No Surrender Charges (09/15/1999) (10/13/1981) 3.31% 6.83% 9.92% 20.90% 14.39% 13.55% 9.45% 3.86% 20.90% 14.39% 13.55% 9.45% 8.75% With Surrender Charges (09/15/1999) (10/13/1981) -4.16% -0.90% 1.93% 12.90% 12.32% 12.69% 9.36% 3.86% 12.90% 12.32% 12.69% 9.36% 8.75% Columbia Variable Portfolio - Large Cap Growth (Class 3) No Surrender Charges (09/15/1999) (09/15/1999) 4.30% 7.53% 14.59% 19.40% 15.26% 15.05% 10.43% 2.80% 19.40% 15.26% 15.05% 10.43% 2.80% With Surrender Charges (09/15/1999) (09/15/1999) -3.24% -0.26% 6.59% 11.40% 13.22% 14.24% 10.34% 2.80% 11.40% 13.22% 14.24% 10.34% 2.80% American Century VP Ultra, Class II No Surrender Charges (11/01/2005) (05/01/2001) 6.12% 10.30% 19.77% 28.45% 18.51% 16.52% 11.52% 8.82% 28.45% 18.51% 16.52% 11.52% 6.16% With Surrender Charges (11/01/2005) (05/01/2001) -1.57% 2.30% 11.77% 20.45% 16.58% 15.75% 11.45% 8.82% 20.45% 16.58% 15.75% 11.45% 6.16% Goldman Sachs VIT U.S. Equity Insights - Institutional Shares No Surrender Charges (09/15/1999) (02/13/1998) 3.33% 6.74% 10.75% 19.63% 15.71% 14.36% 10.10% 5.10% 19.63% 15.71% 14.36% 10.10% 5.85% With Surrender Charges (09/15/1999) (02/13/1998) -4.13% -0.99% 2.75% 11.63% 13.68% 13.53% 10.01% 5.10% 11.63% 13.68% 13.53% 10.01% 5.85% MID CAP STOCK Columbia Variable Portfolio - Mid Cap Value (Class 3) No Surrender Charges (05/02/2005) (05/02/2005) 0.72% 3.59% 1.90% 10.83% 8.51% 8.98% 7.48% 7.57% 10.83% 8.51% 8.98% 7.48% 7.57% With Surrender Charges (05/02/2005) (05/02/2005) -6.54% -3.89% -5.46% 2.83% 6.19% 7.97% 7.38% 7.57% 2.83% 6.19% 7.97% 7.38% 7.57% Invesco V.I. Mid Cap Growth, Series I No Surrender Charges (04/27/2012) (09/25/2000) 4.60% 6.33% 14.01% 20.50% 10.90% 10.97% % 20.50% 10.90% 10.97% 9.30% 1.44% With Surrender Charges (04/27/2012) (09/25/2000) -2.97% -1.37% 6.01% 12.50% 8.69% 10.03% % 12.50% 8.69% 10.03% 9.21% 1.44% Goldman Sachs VIT Mid Cap Value - Institutional Shares No Surrender Charges (09/15/1999) (05/01/1998) 0.81% 3.37% 3.51% 9.87% 7.21% 7.72% 7.36% 9.02% 9.87% 7.21% 7.72% 7.36% 7.69% With Surrender Charges (09/15/1999) (05/01/1998) -6.46% -4.09% -3.97% 1.88% 4.84% 6.66% 7.26% 9.02% 1.88% 4.84% 6.66% 7.26% 7.69% Morgan Stanley VIF Mid Cap Growth Portfolio, Class II Shares No Surrender Charges (05/01/2006) (10/18/1999) 13.43% 14.17% 34.25% 41.22% 17.81% 12.23% 10.48% 8.48% 41.22% 17.81% 12.23% 10.48% 6.90% With Surrender Charges (05/01/2006) (10/18/1999) 5.43% 6.17% 26.25% 33.22% 15.86% 11.34% 10.39% 8.48% 33.22% 15.86% 11.34% 10.39% 6.90% American Century VP Mid Cap Value, Class II No Surrender Charges (05/01/2007) (10/29/2004) 0.30% 4.37% 3.18% 11.80% 11.73% 11.58% 10.18% 7.60% 11.80% 11.73% 11.58% 10.18% 9.65% With Surrender Charges (05/01/2007) (10/29/2004) -6.93% -3.18% -4.27% 3.80% 9.55% 10.66% 10.10% 7.60% 3.80% 9.55% 10.66% 10.10% 9.65% Columbia Variable Portfolio - Mid Cap Growth (Class 3) No Surrender Charges (05/01/2001) (05/01/2001) 4.14% 6.11% 12.64% 21.22% 11.91% 11.60% 8.44% 5.98% 21.22% 11.91% 11.60% 8.44% 5.98% With Surrender Charges (05/01/2001) (05/01/2001) -3.40% -1.57% 4.64% 13.22% 9.74% 10.68% 8.34% 5.98% 13.22% 9.74% 10.68% 8.34% 5.98% Fidelity VIP Mid Cap Portfolio Service Class No Surrender Charges (09/15/1999) (12/28/1998) 1.49% 3.85% 6.11% 17.21% 11.55% 10.89% 8.57% 11.21% 17.21% 11.55% 10.89% 8.57% 11.84% With Surrender Charges (09/15/1999) (12/28/1998) -5.84% -3.65% -1.58% 9.21% 9.37% 9.95% 8.47% 11.21% 9.21% 9.37% 9.95% 8.47% 11.84% Janus Henderson Enterprise Portfolio: Service Shares 3 No Surrender Charges (05/01/2000) (09/13/1993) 4.03% 6.98% 14.78% 23.84% 17.74% 15.70% 11.16% 3.35% 23.84% 17.74% 15.70% 11.16% 10.11% With Surrender Charges (05/01/2000) (09/13/1993) -3.49% -0.76% 6.78% 15.84% 15.78% 14.91% 11.08% 3.35% 15.84% 15.78% 14.91% 11.08% 10.11% CTIVP - Victory Sycamore Established Value (Class 3) No Surrender Charges (02/04/2004) (02/04/2004) 1.21% 6.01% 5.71% 15.15% 12.82% 12.94% 9.76% 8.26% 15.15% 12.82% 12.94% 9.76% 8.26% With Surrender Charges (02/04/2004) (02/04/2004) -6.09% -1.67% -1.95% 7.15% 10.68% 12.07% 9.68% 8.26% 7.15% 10.68% 12.07% 9.68% 8.26% Page 5 of 18
6 Commencement of the Commencement of fund SMALL CAP STOCK Royce Capital Micro-Cap Portfolio, Investment Class No Surrender Charges (09/15/1999) (12/27/1996) 4.49% 6.73% 15.42% 21.80% 11.66% 5.75% 4.99% 8.92% 21.80% 11.66% 5.75% 4.99% 9.33% With Surrender Charges (09/15/1999) (12/27/1996) -3.07% -1.00% 7.42% 13.80% 9.48% 4.61% 4.86% 8.92% 13.80% 9.48% 4.61% 4.86% 9.33% Wanger USA No Surrender Charges (09/15/1999) (05/03/1995) 6.09% 10.53% 23.72% 33.58% 17.73% 13.91% 11.05% 8.94% 33.58% 17.73% 13.91% 11.05% 11.48% With Surrender Charges (09/15/1999) (05/03/1995) -1.59% 2.53% 15.72% 25.58% 15.77% 13.06% 10.97% 8.94% 25.58% 15.77% 13.06% 10.97% 11.48% Oppenheimer Main Street Small Cap /VA, Service Shares No Surrender Charges (02/04/2004) (05/01/1998) 5.81% 8.59% 15.01% 23.65% 13.85% 11.93% 10.21% 8.95% 23.65% 13.85% 11.93% 10.21% 7.83% With Surrender Charges (02/04/2004) (05/01/1998) -1.85% 0.70% 7.01% 15.65% 11.75% 11.02% 10.13% 8.95% 15.65% 11.75% 11.02% 10.13% 7.83% Franklin Small Cap Value VIP - Class 2 No Surrender Charges (09/15/1999) (05/01/1998) 2.13% 3.51% 5.76% 18.34% 13.15% 9.73% 8.39% 9.21% 18.34% 13.15% 9.73% 8.39% 7.29% With Surrender Charges (09/15/1999) (05/01/1998) -5.25% -3.97% -1.90% 10.34% 11.03% 8.75% 8.29% 9.21% 10.34% 11.03% 8.75% 8.29% 7.29% Wells Fargo VT Small Cap Growth - Class 2 No Surrender Charges (05/01/2001) (05/01/1995) 10.74% 12.96% 31.30% 42.36% 18.13% 13.04% 11.70% 7.55% 42.36% 18.13% 13.04% 11.70% 7.08% With Surrender Charges (05/01/2001) (05/01/1995) 2.74% 4.96% 23.30% 34.36% 16.19% 12.17% 11.63% 7.55% 34.36% 16.19% 12.17% 11.63% 7.08% Variable Portfolio - Partners Small Cap Value (Class 3) No Surrender Charges (08/14/2001) (08/14/2001) 2.55% 4.60% 7.76% 17.84% 11.07% 8.03% 8.07% 7.91% 17.84% 11.07% 8.03% 8.07% 7.91% With Surrender Charges (08/14/2001) (08/14/2001) -4.85% -2.96% -0.06% 9.84% 8.87% 6.99% 7.97% 7.91% 9.84% 8.87% 6.99% 7.97% 7.91% Goldman Sachs VIT Small Cap Equity Insights - Institutional Shares No Surrender Charges (09/15/1999) (02/13/1998) 3.73% 6.27% 15.92% 27.54% 16.12% 12.97% 10.37% 7.78% 27.54% 16.12% 12.97% 10.37% 6.70% With Surrender Charges (09/15/1999) (02/13/1998) -3.77% -1.42% 7.92% 19.54% 14.11% 12.10% 10.29% 7.78% 19.54% 14.11% 12.10% 10.29% 6.70% MFS New Discovery Series - Service Class 4 No Surrender Charges (05/01/2000) (05/01/1998) 6.48% 8.40% 21.63% 34.03% 15.83% 10.63% 11.61% 5.59% 34.03% 15.83% 10.63% 11.61% 8.17% With Surrender Charges (05/01/2000) (05/01/1998) -1.24% 0.53% 13.63% 26.03% 13.80% 9.67% 11.53% 5.59% 26.03% 13.80% 9.67% 11.53% 8.17% Columbia Variable Portfolio - Select Smaller-Cap Value (Class 3) No Surrender Charges (09/15/1999) (09/15/1999) 3.01% 5.61% 7.54% 15.66% 9.37% 9.58% 9.58% 7.14% 15.66% 9.37% 9.58% 9.58% 7.14% With Surrender Charges (09/15/1999) (09/15/1999) -4.43% -2.03% -0.26% 7.66% 7.09% 8.59% 9.49% 7.14% 7.66% 7.09% 8.59% 9.49% 7.14% WORLD STOCK AB VPS Global Thematic Growth Portfolio (Class B) 5 No Surrender Charges (11/01/2005) (01/11/1996) 1.89% 2.86% 3.96% 11.12% 12.37% 10.70% 5.39% 5.05% 11.12% 12.37% 10.70% 5.39% 4.83% With Surrender Charges (11/01/2005) (01/11/1996) -5.46% -4.56% -3.56% 3.12% 10.22% 9.75% 5.27% 5.05% 3.12% 10.22% 9.75% 5.27% 4.83% Oppenheimer Global /VA, Service Shares No Surrender Charges (02/04/2004) (11/12/1990) 0.38% 2.58% 4.40% 14.26% 11.59% 10.67% 8.03% 7.68% 14.26% 11.59% 10.67% 8.03% 9.07% With Surrender Charges (02/04/2004) (11/12/1990) -6.85% -4.81% -3.15% 6.26% 9.41% 9.72% 7.93% 7.68% 6.26% 9.41% 9.72% 7.93% 9.07% Third Avenue Value Portfolio No Surrender Charges (09/21/1999) (09/21/1999) -2.68% -3.41% -2.91% 2.51% 6.30% 4.02% 3.40% 7.10% 2.51% 6.30% 4.02% 3.40% 7.10% With Surrender Charges (09/21/1999) (09/21/1999) -9.88% % % -4.89% 3.89% 2.79% 3.25% 7.10% -4.89% 3.89% 2.79% 3.25% 7.10% INTERNATIONAL STOCK Wanger International No Surrender Charges (09/15/1999) (05/03/1995) -1.11% -3.95% -2.31% 5.45% 8.67% 5.98% 5.96% 7.18% 5.45% 8.67% 5.98% 5.96% 10.75% With Surrender Charges (09/15/1999) (05/03/1995) -8.31% % -9.51% -2.18% 6.37% 4.85% 5.84% 7.18% -2.18% 6.37% 4.85% 5.84% 10.75% CTIVP - Lazard International Equity Advantage (Class 2) No Surrender Charges (04/30/2013) (04/30/2013) -2.87% -2.22% -4.57% 0.16% 6.37% 3.97% % 0.16% 6.37% 3.97% % With Surrender Charges (04/30/2013) (04/30/2013) % -9.41% % -7.05% 3.96% 2.74% % -7.05% 3.96% 2.74% % AB VPS International Value Portfolio (Class B) 6 No Surrender Charges (08/13/2001) (05/10/2001) -3.61% -4.13% -7.71% -1.84% 4.36% 3.75% -0.59% 3.88% -1.84% 4.36% 3.75% -0.59% 3.86% With Surrender Charges (08/13/2001) (05/10/2001) % % % -9.03% 1.85% 2.51% -0.78% 3.88% -9.03% 1.85% 2.51% -0.78% 3.86% Fidelity VIP Overseas Portfolio Service Class 7 No Surrender Charges (09/15/1999) (01/28/1987) -0.59% -0.13% -1.38% 4.66% 6.14% 5.40% 3.05% 2.82% 4.66% 6.14% 5.40% 3.05% 4.97% With Surrender Charges (09/15/1999) (01/28/1987) -7.79% -7.33% -8.58% -2.91% 3.72% 4.25% 2.90% 2.82% -2.91% 3.72% 4.25% 2.90% 4.97% Columbia Variable Portfolio - Emerging Markets (Class 3) No Surrender Charges (05/01/2000) (05/01/2000) -4.74% -8.62% % -4.38% 10.60% 5.18% 2.50% 5.60% -4.38% 10.60% 5.18% 2.50% 5.60% With Surrender Charges (05/01/2000) (05/01/2000) % % % % 8.38% 4.01% 2.34% 5.60% % 8.38% 4.01% 2.34% 5.60% Page 6 of 18
7 Commencement of the Commencement of fund INTERNATIONAL STOCK (CONT.) Columbia Variable Portfolio - Overseas Core (Class 3) No Surrender Charges (09/15/1999) (01/13/1992) -2.45% -3.73% -5.50% 1.33% 3.52% 3.52% 2.69% 1.56% 1.33% 3.52% 3.52% 2.69% 3.68% With Surrender Charges (09/15/1999) (01/13/1992) -9.66% % % -5.97% 0.97% 2.27% 2.53% 1.56% -5.97% 0.97% 2.27% 2.53% 3.68% Wells Fargo VT International Equity - Class 2 8 No Surrender Charges (02/04/2004) (08/17/1998) -3.06% -3.69% -6.75% -0.57% 4.40% 4.52% 1.96% 4.09% -0.57% 4.40% 4.52% 1.96% 3.61% With Surrender Charges (02/04/2004) (08/17/1998) % % % -7.77% 1.90% 3.31% 1.79% 4.09% -7.77% 1.90% 3.31% 1.79% 3.61% Invesco V.I. International Growth, Series II Shares No Surrender Charges (11/01/2005) (05/05/1993) -2.15% -1.24% -5.77% -0.90% 4.72% 3.86% 3.58% 4.75% -0.90% 4.72% 3.86% 3.58% 5.78% With Surrender Charges (11/01/2005) (05/05/1993) -9.36% -8.44% % -8.10% 2.23% 2.62% 3.43% 4.75% -8.10% 2.23% 2.62% 3.43% 5.78% American Century VP International, Class I No Surrender Charges (09/15/1999) (05/01/1994) -1.22% -1.80% 1.43% 7.66% 7.10% 5.65% 3.69% 3.10% 7.66% 7.10% 5.65% 3.69% 5.02% With Surrender Charges (09/15/1999) (05/01/1994) -8.43% -9.00% -5.88% -0.15% 4.72% 4.50% 3.54% 3.10% -0.15% 4.72% 4.50% 3.54% 5.02% Neuberger Berman AMT International Equity Portfolio (Class S) No Surrender Charges (05/01/2006) (04/29/2005) -1.22% -0.93% -2.85% 3.37% 6.76% 4.92% 3.34% 1.69% 3.37% 6.76% 4.92% 3.34% 4.02% With Surrender Charges (05/01/2006) (04/29/2005) -8.42% -8.13% % -4.10% 4.36% 3.73% 3.19% 1.69% -4.10% 4.36% 3.73% 3.19% 4.02% Janus Henderson Overseas Portfolio: Service Shares 9 No Surrender Charges (05/01/2000) (05/02/1994) -3.04% -2.09% -1.75% 3.17% 5.19% 1.67% -0.16% 1.66% 3.17% 5.19% 1.67% -0.16% 7.23% With Surrender Charges (05/01/2000) (05/02/1994) % -9.29% -8.95% -4.28% 2.72% 0.35% -0.35% 1.66% -4.28% 2.72% 0.35% -0.35% 7.23% SPECIALTY/SECTOR Invesco V.I. Health Care, Series II Shares No Surrender Charges (05/01/2006) (05/21/1997) 2.61% 10.04% 11.34% 9.30% 2.16% 8.89% 8.31% 7.37% 9.30% 2.16% 8.89% 8.31% 7.57% With Surrender Charges (05/01/2006) (05/21/1997) -4.79% 2.05% 3.34% 1.36% -0.38% 7.87% 8.21% 7.37% 1.36% -0.38% 7.87% 8.21% 7.57% MFS Utilities Series - Service Class No Surrender Charges (08/13/2001) (01/03/1995) -0.14% 4.02% 3.96% 2.82% 5.76% 5.80% 5.90% 7.61% 2.82% 5.76% 5.80% 5.90% 10.02% With Surrender Charges (08/13/2001) (01/03/1995) -7.35% -3.51% -3.55% -4.60% 3.32% 4.65% 5.78% 7.61% -4.60% 3.32% 4.65% 5.78% 10.02% Janus Henderson Global Technology Portfolio: Service Shares No Surrender Charges (05/01/2000) (01/15/2000) 3.94% 6.20% 19.69% 30.74% 27.09% 20.41% 14.01% 2.77% 30.74% 27.09% 20.41% 14.01% 2.55% With Surrender Charges (05/01/2000) (01/15/2000) -3.57% -1.49% 11.69% 22.74% 25.42% 19.74% 13.95% 2.77% 22.74% 25.42% 19.74% 13.95% 2.55% ALPS/Alerian Energy Infrastructure Portfolio: Class III No Surrender Charges (04/30/2013) (04/30/2013) -1.57% 3.69% -1.49% -0.08% 1.35% 0.58% % -0.08% 1.35% 0.58% % With Surrender Charges (04/30/2013) (04/30/2013) -8.77% -3.81% -8.69% -7.27% -1.14% -0.72% % -7.27% -1.14% -0.72% % ALTERNATIVES Credit Suisse Trust - Commodity Return Strategy Portfolio No Surrender Charges (05/01/2006) (02/28/2006) -1.92% -7.91% -4.82% -1.45% -2.84% -9.03% -8.49% -5.78% -1.45% -2.84% -9.03% -8.49% -4.96% With Surrender Charges (05/01/2006) (02/28/2006) -9.13% % % -8.65% -5.47% % -8.93% -5.78% -8.65% -5.47% % -8.93% -4.96% VanEck VIP Global Gold (Class S Shares) No Surrender Charges (04/29/2013) (04/29/2013) % % % % 7.01% -7.24% % % 7.01% -7.24% % With Surrender Charges (04/29/2013) (04/29/2013) % % % % 4.63% -9.02% % % 4.63% -9.02% % CTIVP - AQR Managed Futures Strategy (Class 2) No Surrender Charges (04/29/2013) (04/30/2012) 3.05% 3.02% -3.49% 0.23% -5.94% -0.68% % 0.23% -5.94% -0.68% % With Surrender Charges (04/29/2013) (04/30/2012) -4.40% -4.41% % -6.99% -8.79% -2.01% % -6.99% -8.79% -2.01% % Goldman Sachs VIT Multi-Strategy Alternatives Portfolio - Advisor Shares No Surrender Charges (06/30/2014) (04/25/2014) -1.09% -0.93% -4.38% -4.00% -1.42% % -4.00% -1.42% % With Surrender Charges (06/30/2014) (04/25/2014) -8.30% -8.12% % % -3.95% % % -3.95% % Neuberger Berman AMT U.S. Equity Index PutWrite Strategy Portfolio (Class S) No Surrender Charges (06/30/2014) (05/01/2014) 1.40% 3.32% 1.35% 3.76% 0.00% % 3.76% 0.00% % With Surrender Charges (06/30/2014) (05/01/2014) -5.91% -4.15% -5.96% -3.75% -2.47% % -3.75% -2.47% % Columbia Variable Portfolio - Commodity Strategy (Class 2) No Surrender Charges (04/30/2013) (04/30/2013) -2.34% -8.04% -5.96% -1.84% -2.88% -9.96% % -1.84% -2.88% -9.96% % With Surrender Charges (04/30/2013) (04/30/2013) -9.55% % % -9.03% -5.52% % % -9.03% -5.52% % % Columbia Variable Portfolio - Diversified Absolute Return (Class 2) No Surrender Charges (04/29/2013) (04/30/2012) -0.97% -1.13% -4.01% -3.90% -2.13% -2.08% % -3.90% -2.13% -2.08% % With Surrender Charges (04/29/2013) (04/30/2012) -8.17% -8.32% % % -4.71% -3.50% % % -4.71% -3.50% % Page 7 of 18
8 Commencement of the Commencement of fund ALTERNATIVES (CONT.) DWS Alternative Asset Allocation VIP, Class B No Surrender Charges (04/30/2012) (02/02/2009) -0.03% -0.19% -4.36% -2.87% 0.96% 0.53% % -2.87% 0.96% 0.53% % With Surrender Charges (04/30/2012) (02/02/2009) -7.23% -7.39% % % -1.51% -0.76% % % -1.51% -0.76% % REAL ESTATE Morgan Stanley VIF Global Real Estate Portfolio, Class II Shares No Surrender Charges (05/01/2006) (04/28/2006) 0.72% 3.35% 1.17% 5.72% 5.32% 5.22% 4.65% 3.35% 5.72% 5.32% 5.22% 4.65% 3.29% With Surrender Charges (05/01/2006) (04/28/2006) -6.54% -4.12% -6.12% -1.94% 2.86% 4.05% 4.51% 3.35% -1.94% 2.86% 4.05% 4.51% 3.29% Franklin Global Real Estate VIP - Class 2 No Surrender Charges (09/15/1999) (01/24/1989) 0.82% 2.53% 0.82% 3.32% 5.09% 5.51% 3.28% 6.03% 3.32% 5.09% 5.51% 3.28% 6.79% With Surrender Charges (09/15/1999) (01/24/1989) -6.44% -4.88% -6.45% -4.15% 2.62% 4.36% 3.13% 6.03% -4.15% 2.62% 4.36% 3.13% 6.79% Page 8 of 18
9 Commencement of the Commencement of fund PORTFOLIO STABILIZER GLOBAL Variable Portfolio - Managed Volatility Growth (Class 2) No Surrender Charges (04/29/2013) (04/12/2013) -0.47% 0.17% -0.86% 7.19% 3.89% 5.56% % 7.19% 3.89% 5.56% % With Surrender Charges (04/29/2013) (04/12/2013) -7.66% -7.04% -8.06% -0.58% 1.36% 4.40% % -0.58% 1.36% 4.40% % Variable Portfolio - Managed Volatility Moderate Growth (Class 2) No Surrender Charges (04/30/2012) (04/19/2012) -0.38% 0.09% -0.99% 5.46% 3.33% 4.60% % 5.46% 3.33% 4.60% % With Surrender Charges (04/30/2012) (04/19/2012) -7.58% -7.12% -8.19% -2.18% 0.77% 3.41% % -2.18% 0.77% 3.41% % Variable Portfolio - Managed Volatility Conservative Growth (Class 2) No Surrender Charges (04/29/2013) (04/12/2013) -0.43% -0.10% -1.39% 3.35% 2.47% 3.44% % 3.35% 2.47% 3.44% % With Surrender Charges (04/29/2013) (04/12/2013) -7.63% -7.30% -8.59% -4.12% -0.06% 2.19% % -4.12% -0.06% 2.19% % Variable Portfolio - Managed Volatility Conservative (Class 2) No Surrender Charges (04/29/2013) (04/12/2013) -0.36% -0.26% -1.70% 1.32% 1.70% 2.32% % 1.32% 1.70% 2.32% % With Surrender Charges (04/29/2013) (04/12/2013) -7.56% -7.46% -8.90% -5.98% -0.81% 1.01% % -5.98% -0.81% 1.01% % PORTFOLIO STABILIZER DOMESTIC Variable Portfolio - U.S. Flexible Growth (Class 2) No Surrender Charges (11/14/2016) (11/02/2016) 0.06% 1.45% 0.88% 10.01% % 10.01% % With Surrender Charges (11/14/2016) (11/02/2016) -7.14% -5.87% -6.39% 2.01% % 2.01% % Variable Portfolio - U.S. Flexible Moderate Growth (Class 2) No Surrender Charges (11/14/2016) (11/02/2016) -0.02% 1.01% 0.18% 7.47% % 7.47% % With Surrender Charges (11/14/2016) (11/02/2016) -7.21% -6.27% -7.04% -0.32% % -0.32% % Variable Portfolio - U.S. Flexible Conservative Growth (Class 2) No Surrender Charges (11/14/2016) (11/02/2016) -0.10% 0.54% -0.50% 4.81% % 4.81% % With Surrender Charges (11/14/2016) (11/02/2016) -7.30% -6.70% -7.70% -2.78% % -2.78% % PORTFOLIO STABILIZER MANAGED RISK Variable Portfolio - Managed Risk U.S. (Class 2) No Surrender Charges (09/18/2017) (09/12/2017) -0.01% 1.37% -0.02% % % With Surrender Charges (09/18/2017) (09/12/2017) -7.20% -5.94% -7.22% % % Variable Portfolio - Managed Risk (Class 2) No Surrender Charges (09/18/2017) (09/12/2017) -0.49% 0.51% -0.79% % % With Surrender Charges (09/18/2017) (09/12/2017) -7.68% -6.73% -7.99% % % PORTFOLIO NAVIGATOR Variable Portfolio - Aggressive Portfolio (Class 2) No Surrender Charges (05/07/2010) (05/07/2010) -0.50% 0.70% -0.35% 8.02% 5.91% 7.28% % 8.02% 5.91% 7.28% % With Surrender Charges (05/07/2010) (05/07/2010) -7.70% -6.56% -7.55% 0.18% 3.48% 6.20% % 0.18% 3.48% 6.20% % Variable Portfolio - Moderately Aggressive Portfolio (Class 2) No Surrender Charges (05/07/2010) (05/07/2010) -0.48% 0.34% -0.66% 6.35% 4.91% 6.01% % 6.35% 4.91% 6.01% % With Surrender Charges (05/07/2010) (05/07/2010) -7.68% -6.89% -7.86% -1.36% 2.43% 4.87% % -1.36% 2.43% 4.87% % Variable Portfolio - Moderate Portfolio (Class 2) No Surrender Charges (05/07/2010) (05/07/2010) -0.46% -0.03% -1.03% 4.45% 3.90% 4.77% % 4.45% 3.90% 4.77% % With Surrender Charges (05/07/2010) (05/07/2010) -7.65% -7.23% -8.23% -3.11% 1.37% 3.58% % -3.11% 1.37% 3.58% % Variable Portfolio - Moderately Conservative Portfolio (Class 2) No Surrender Charges (05/07/2010) (05/07/2010) -0.43% -0.13% -1.28% 2.76% 2.83% 3.53% % 2.76% 2.83% 3.53% % With Surrender Charges (05/07/2010) (05/07/2010) -7.63% -7.33% -8.48% -4.66% 0.30% 2.28% % -4.66% 0.30% 2.28% % Variable Portfolio - Conservative Portfolio (Class 2) No Surrender Charges (05/07/2010) (05/07/2010) -0.46% -0.55% -1.72% 1.09% 1.88% 2.29% % 1.09% 1.88% 2.29% % With Surrender Charges (05/07/2010) (05/07/2010) -7.66% -7.75% -8.92% -6.19% -0.63% 0.97% % -6.19% -0.63% 0.97% % Variable Portfolio - Aggressive Portfolio (Class 4) No Surrender Charges (05/07/2010) (05/07/2010) -0.50% 0.70% -0.35% 8.00% 5.90% 7.28% % 8.00% 5.90% 7.28% % With Surrender Charges (05/07/2010) (05/07/2010) -7.70% -6.56% -7.55% 0.16% 3.47% 6.20% % 0.16% 3.47% 6.20% % Variable Portfolio - Moderately Aggressive Portfolio (Class 4) No Surrender Charges (05/07/2010) (05/07/2010) -0.48% 0.34% -0.66% 6.40% 4.92% 6.01% % 6.40% 4.92% 6.01% % With Surrender Charges (05/07/2010) (05/07/2010) -7.68% -6.89% -7.86% -1.31% 2.44% 4.87% % -1.31% 2.44% 4.87% % Variable Portfolio - Moderate Portfolio (Class 4) No Surrender Charges (05/07/2010) (05/07/2010) -0.46% -0.03% -1.03% 4.44% 3.89% 4.76% % 4.44% 3.89% 4.76% % With Surrender Charges (05/07/2010) (05/07/2010) -7.65% -7.23% -8.23% -3.11% 1.36% 3.57% % -3.11% 1.36% 3.57% % Page 9 of 18
10 Commencement of the Commencement of fund PORTFOLIO NAVIGATOR (CONT.) Variable Portfolio - Moderately Conservative Portfolio (Class 4) No Surrender Charges (05/07/2010) (05/07/2010) -0.43% -0.13% -1.22% 2.75% 2.85% 3.52% % 2.75% 2.85% 3.52% % With Surrender Charges (05/07/2010) (05/07/2010) -7.63% -7.33% -8.42% -4.67% 0.31% 2.27% % -4.67% 0.31% 2.27% % Variable Portfolio - Conservative Portfolio (Class 4) No Surrender Charges (05/07/2010) (05/07/2010) -0.39% -0.48% -1.65% 1.09% 1.88% 2.29% % 1.09% 1.88% 2.29% % With Surrender Charges (05/07/2010) (05/07/2010) -7.59% -7.68% -8.85% -6.19% -0.63% 0.97% % -6.19% -0.63% 0.97% % CASH EQUIVALENTS Columbia Variable Portfolio - Government Money Market (Class 3) No Surrender Charges (09/15/1999) (10/13/1981) 0.01% 0.06% 0.03% -0.20% -0.69% -0.80% -0.79% 0.53% -0.20% -0.69% -0.80% -0.79% 2.96% With Surrender Charges (09/15/1999) (10/13/1981) -7.19% -7.15% -7.18% -7.40% -3.19% -2.15% -0.98% 0.53% -7.40% -3.19% -2.15% -0.98% 2.96% Columbia Variable Portfolio - Government Money Market (Class 3) seven-day simple yield was 1.54% and its seven-day compound yield was 1.55% as of the quarter ending 06/30/2018. The yield more closely reflects the current earnings than the total return quotation. SHORT-TERM FIXED INCOME Columbia Variable Portfolio - U.S. Government Mortgage (Class 3) No Surrender Charges (09/15/1999) (09/15/1999) -0.08% 0.44% -0.77% -0.32% 0.78% 1.53% 0.93% 1.82% -0.32% 0.78% 1.53% 0.93% 1.82% With Surrender Charges (09/15/1999) (09/15/1999) -7.28% -6.80% -7.97% -7.52% -1.70% 0.22% 0.75% 1.82% -7.52% -1.70% 0.22% 0.75% 1.82% Columbia Variable Portfolio - Limited Duration Credit (Class 2) No Surrender Charges (07/19/2010) (05/07/2010) -0.34% -0.19% -1.27% -1.21% 0.02% 0.11% % -1.21% 0.02% 0.11% % With Surrender Charges (07/19/2010) (05/07/2010) -7.55% -7.39% -8.47% -8.41% -2.44% -1.19% % -8.41% -2.44% -1.19% % CTIVP - Wells Fargo Short Duration Government (Class 2) No Surrender Charges (07/19/2010) (05/07/2010) -0.10% -0.17% -0.70% -1.17% -0.76% -0.57% % -1.17% -0.76% -0.57% % With Surrender Charges (07/19/2010) (05/07/2010) -7.30% -7.37% -7.90% -8.37% -3.27% -1.90% % -8.37% -3.27% -1.90% % LONG-/INTERMEDIATE-TERM FIXED INCOME Columbia Variable Portfolio - Intermediate Bond (Class 3) No Surrender Charges (09/15/1999) (10/13/1981) -0.26% -0.03% -1.42% -0.74% 1.46% 1.56% 3.05% 3.29% -0.74% 1.46% 1.56% 3.05% 6.35% With Surrender Charges (09/15/1999) (10/13/1981) -7.46% -7.23% -8.62% -7.94% -1.03% 0.25% 2.90% 3.29% -7.94% -1.03% 0.25% 2.90% 6.35% CTIVP - BlackRock Global Inflation-Protected Securities (Class 3) No Surrender Charges (09/13/2004) (09/13/2004) 0.31% -0.22% -0.09% 2.25% 2.22% 2.37% 2.48% 2.87% 2.25% 2.22% 2.37% 2.48% 2.87% With Surrender Charges (09/13/2004) (09/13/2004) -6.92% -7.42% -7.29% -5.13% -0.30% 1.06% 2.31% 2.87% -5.13% -0.30% 1.06% 2.31% 2.87% Columbia Variable Portfolio - Long Government/Credit Bond (Class 2) No Surrender Charges (04/30/2013) (04/30/2013) -0.69% -1.72% -5.75% -2.03% 1.69% 1.55% % -2.03% 1.69% 1.55% % With Surrender Charges (04/30/2013) (04/30/2013) -7.89% -8.92% % -9.23% -0.80% 0.24% % -9.23% -0.80% 0.24% % PIMCO VIT Total Return Portfolio, Advisor Class No Surrender Charges (04/29/2013) (02/28/2006) -0.07% -0.77% -2.25% -1.24% 0.90% 1.19% % -1.24% 0.90% 1.19% 3.44% 3.71% With Surrender Charges (04/29/2013) (02/28/2006) -7.27% -7.97% -9.45% -8.44% -1.58% -0.11% % -8.44% -1.58% -0.11% 3.29% 3.71% MULTI-SECTOR FIXED INCOME Janus Henderson Flexible Bond Portfolio: Service Shares No Surrender Charges (04/29/2013) (12/31/1999) -0.04% -0.36% -2.31% -1.88% 0.10% 0.94% % -1.88% 0.10% 0.94% 3.66% 4.07% With Surrender Charges (04/29/2013) (12/31/1999) -7.24% -7.56% -9.51% -9.08% -2.36% -0.36% % -9.08% -2.36% -0.36% 3.51% 4.07% Fidelity VIP Strategic Income Portfolio Service, Class 2 No Surrender Charges (04/29/2013) (12/23/2003) -0.46% -1.14% -1.58% 0.67% 2.62% 2.59% % 0.67% 2.62% 2.59% 4.37% 4.40% With Surrender Charges (04/29/2013) (12/23/2003) -7.66% -8.34% -8.78% -6.59% 0.09% 1.29% % -6.59% 0.09% 1.29% 4.24% 4.40% Oppenheimer Global Strategic Income /VA, Service Shares No Surrender Charges (02/04/2004) (05/03/1993) -0.99% -2.85% -3.63% -2.04% 0.70% 1.21% 2.51% 3.41% -2.04% 0.70% 1.21% 2.51% 4.41% With Surrender Charges (02/04/2004) (05/03/1993) -8.19% % % -9.24% -1.77% -0.10% 2.35% 3.41% -9.24% -1.77% -0.10% 2.35% 4.41% INTERNATIONAL FIXED INCOME Columbia Variable Portfolio - Emerging Markets Bond (Class 2) No Surrender Charges (04/29/2013) (04/30/2012) -1.98% -5.40% -6.46% -3.13% 3.16% 2.14% % -3.13% 3.16% 2.14% % With Surrender Charges (04/29/2013) (04/30/2012) -9.18% % % % 0.63% 0.82% % % 0.63% 0.82% % Columbia Variable Portfolio - Global Bond (Class 3) No Surrender Charges (09/15/1999) (05/01/1996) -0.94% -4.74% -4.08% -2.58% -2.75% -2.12% 0.27% 2.48% -2.58% -2.75% -2.12% 0.27% 2.60% With Surrender Charges (09/15/1999) (05/01/1996) -8.14% % % -9.78% -5.37% -3.54% 0.09% 2.48% -9.78% -5.37% -3.54% 0.09% 2.60% Page 10 of 18
11 Commencement of the Commencement of fund INTERNATIONAL FIXED INCOME (CONT.) Templeton Global Bond VIP - Class 2 No Surrender Charges (04/29/2013) (01/24/1989) -0.71% -2.41% -1.22% -2.63% -0.98% -0.02% % -2.63% -0.98% -0.02% 4.30% 5.92% With Surrender Charges (04/29/2013) (01/24/1989) -7.90% -9.61% -8.42% -9.83% -3.49% -1.31% % -9.83% -3.49% -1.31% 4.16% 5.92% HIGH-YIELD FIXED INCOME Columbia Variable Portfolio - Income Opportunities (Class 3) No Surrender Charges (09/13/2004) (06/01/2004) -0.05% -0.21% -2.41% -1.05% 2.66% 3.49% 6.20% 5.44% -1.05% 2.66% 3.49% 6.20% 5.73% With Surrender Charges (09/13/2004) (06/01/2004) -7.25% -7.41% -9.61% -8.25% 0.14% 2.24% 6.09% 5.44% -8.25% 0.14% 2.24% 6.09% 5.73% Western Asset Variable Global High Yield Bond Portfolio - Class II No Surrender Charges (04/29/2013) (02/26/2004) -0.31% -1.68% -3.22% -0.73% 2.85% 2.45% % -0.73% 2.85% 2.45% 5.00% 4.63% With Surrender Charges (04/29/2013) (02/26/2004) -7.51% -8.88% % -7.93% 0.32% 1.15% % -7.93% 0.32% 1.15% 4.87% 4.63% Columbia Variable Portfolio - High Yield Bond (Class 3) No Surrender Charges (09/15/1999) (05/01/1996) 0.05% -0.12% -2.25% -0.86% 2.96% 3.67% 6.42% 5.03% -0.86% 2.96% 3.67% 6.42% 4.95% With Surrender Charges (09/15/1999) (05/01/1996) -7.15% -7.32% -9.45% -8.06% 0.43% 2.42% 6.31% 5.03% -8.06% 0.43% 2.42% 6.31% 4.95% Eaton Vance VT Floating-Rate Income, Initial Class No Surrender Charges (05/01/2006) (05/02/2001) -0.11% 0.23% 1.40% 2.54% 2.64% 2.14% 3.15% 2.82% 2.54% 2.64% 2.14% 3.15% 2.47% With Surrender Charges (05/01/2006) (05/02/2001) -7.31% -6.99% -5.91% -4.87% 0.11% 0.82% 2.99% 2.82% -4.87% 0.11% 0.82% 2.99% 2.47% BALANCED PIMCO VIT Global Multi-Asset Managed Allocation Portfolio, Advisor Class No Surrender Charges (04/30/2012) (04/15/2009) -0.15% 0.72% -1.15% 4.47% 3.06% 3.24% % 4.47% 3.06% 3.24% % With Surrender Charges (04/30/2012) (04/15/2009) -7.34% -6.54% -8.35% -3.08% 0.51% 1.98% % -3.08% 0.51% 1.98% % Lazard Retirement Global Dynamic Multi-Asset Portfolio - Service Shares No Surrender Charges (04/29/2013) (04/30/2012) -0.62% -0.41% -1.09% 8.05% 5.67% 6.41% % 8.05% 5.67% 6.41% % With Surrender Charges (04/29/2013) (04/30/2012) -7.82% -7.61% -8.29% 0.21% 3.22% 5.29% % 0.21% 3.22% 5.29% % Invesco V.I. Balanced-Risk Allocation, Series II Shares No Surrender Charges (04/29/2013) (01/23/2009) -2.04% 0.82% -0.94% 6.20% 4.08% 4.34% % 6.20% 4.08% 4.34% % With Surrender Charges (04/29/2013) (01/23/2009) -9.24% -6.44% -8.14% -1.50% 1.56% 3.13% % -1.50% 1.56% 3.13% % Ivy VIP Asset Strategy No Surrender Charges (04/29/2013) (05/01/1995) -1.12% 0.54% 1.22% 10.12% 1.42% 3.14% % 10.12% 1.42% 3.14% 2.52% 7.93% With Surrender Charges (04/29/2013) (05/01/1995) -8.31% -6.71% -6.08% 2.12% -1.10% 1.87% % 2.12% -1.10% 1.87% 2.36% 7.93% Janus Henderson Balanced Portfolio: Service Shares No Surrender Charges (04/27/2018) (12/31/1999) -0.04% % 11.28% 7.19% 7.82% 7.27% 5.21% With Surrender Charges (04/27/2018) (12/31/1999) -7.23% % 3.28% 4.82% 6.76% 7.16% 5.21% Calvert VP SRI Balanced Portfolio - Class I No Surrender Charges (05/01/2000) (09/02/1986) 0.79% 1.99% 0.84% 6.84% 4.64% 6.84% 5.30% 3.09% 6.84% 4.64% 6.84% 5.30% 6.15% With Surrender Charges (05/01/2000) (09/02/1986) -6.47% -5.37% -6.43% -0.91% 2.14% 5.74% 5.18% 3.09% -0.91% 2.14% 5.74% 5.18% 6.15% Columbia Variable Portfolio - Balanced (Class 3) No Surrender Charges (09/15/1999) (04/30/1986) 0.16% 0.68% -1.65% 4.22% 5.32% 7.46% 6.57% 4.02% 4.22% 5.32% 7.46% 6.57% 6.95% With Surrender Charges (09/15/1999) (04/30/1986) -7.05% -6.57% -8.85% -3.32% 2.86% 6.39% 6.45% 4.02% -3.32% 2.86% 6.39% 6.45% 6.95% Wells Fargo VT Index Asset Allocation - Class 2 No Surrender Charges (05/01/2001) (04/15/1994) 0.29% 1.96% 0.54% 6.41% 5.96% 8.71% 7.09% 5.08% 6.41% 5.96% 8.71% 7.09% 7.00% With Surrender Charges (05/01/2001) (04/15/1994) -6.93% -5.39% -6.71% -1.30% 3.53% 7.69% 6.98% 5.08% -1.30% 3.53% 7.69% 6.98% 7.00% BlackRock Global Allocation V.I. Class III Shares No Surrender Charges (04/30/2012) (02/28/1992) -0.71% -1.41% -2.11% 2.93% 2.76% 4.13% % 2.93% 2.76% 4.13% 3.45% 5.70% With Surrender Charges (04/30/2012) (02/28/1992) -7.91% -8.61% -9.31% -4.50% 0.22% 2.91% % -4.50% 0.22% 2.91% 3.30% 5.70% AB VPS Dynamic Asset Allocation Portfolio (Class B) No Surrender Charges (04/29/2013) (04/01/2011) -0.80% -0.81% -2.19% 3.59% 3.01% 4.29% % 3.59% 3.01% 4.29% % With Surrender Charges (04/29/2013) (04/01/2011) -8.00% -8.01% -9.39% -3.90% 0.46% 3.08% % -3.90% 0.46% 3.08% % Franklin Income VIP - Class 2 No Surrender Charges (04/29/2013) (01/24/1989) 0.35% 2.72% 0.26% 5.05% 4.77% 4.99% % 5.05% 4.77% 4.99% 5.13% 7.43% With Surrender Charges (04/29/2013) (01/24/1989) -6.88% -4.70% -6.96% -2.56% 2.28% 3.81% % -2.56% 2.28% 3.81% 5.00% 7.43% PIMCO VIT All Asset Portfolio, Advisor Class No Surrender Charges (05/01/2006) (04/30/2003) -1.27% -2.70% -2.74% 2.87% 3.45% 2.40% 3.45% 3.71% 2.87% 3.45% 2.40% 3.45% 4.59% With Surrender Charges (05/01/2006) (04/30/2003) -8.47% -9.90% -9.94% -4.56% 0.90% 1.10% 3.30% 3.71% -4.56% 0.90% 1.10% 3.30% 4.59% Page 11 of 18
RiverSource Retirement Advisor Variable Annuity
RiverSource Retirement Advisor Variable Annuity Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Annuities for month ending 11/30/2017 and quarter ending 09/30/2017 Current
More informationRiverSource Variable Second-to-Die Life Insurance
RiverSource Variable Second-to-Die Life Insurance Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Insurance for month ending 07/31/2018 and quarter ending 06/30/2018 Average
More informationRiverSource Variable Universal Life III
Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Insurance for month ending 08/31/2018 and quarter ending 06/30/2018 Average annual rates of return reflect all charges incurred
More informationRiverSource Variable Second-to-Die Life Insurance - New York
RiverSource Variable Second-to-Die Life Insurance - New York Issued by RiverSource Life Insurance Co. of New York, Albany, NY (RiverSource Life of NY) Performance for Insurance for month ending 08/31/2018
More informationRiverSource Variable Universal Life IV, RiverSource Variable Universal Life IV Estate Series (ES)
RiverSource Variable Universal Life IV Estate Series (ES) Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Insurance for month ending 08/31/2018 and quarter ending 06/30/2018
More informationRiverSource Variable Universal Life - New York
RiverSource Variable Universal Life - New York Issued by RiverSource Life Insurance Co. of New York, Albany, NY (RiverSource Life of NY) Performance for Insurance for month ending 11/30/2017 and quarter
More informationRiverSource RAVA 5 Advantage variable annuity
RiverSource RAVA 5 Advantage variable annuity Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Annuities for month ending 04/30/2018 and quarter ending 03/31/2018 Current
More informationRiverSource RAVA 5 Advantage variable annuity - New York
RiverSource RAVA 5 Advantage variable annuity - New York Issued by RiverSource Life Insurance Co. of New York, Albany, NY (RiverSource Life of NY) Performance for Annuities for month ending 02/28/2018
More informationRiverSource Retirement Advisor Advantage Plus variable annuity - New York
RiverSource Retirement Advisor Advantage Plus variable annuity - New York Issued by RiverSource Life Insurance Co. of New York, Albany, NY (RiverSource Life of NY) Performance for Annuities for month ending
More informationRiverSource Retirement Advisor 4 Advantage variable annuity
RiverSource Retirement Advisor 4 Advantage variable annuity Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Annuities for month ending 03/31/2018 and quarter ending 03/31/2018
More informationRiverSource Variable Universal Life
Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Insurance for month ending 06/30/2018 and quarter ending 06/30/2018 Average annual rates of return reflect all charges incurred
More informationS-6611 CD (4/18) S-6325 CD (4/18) S-6612 CD (4/18) S-6325 CD (4/18)
Supplement dated April 30, 2018 to the Prospectuses and Statements of Additional Information (SAIs) dated April 30, 2018 Prospectus Form #/Date SAI Form #/Date Product Name RiverSource RAVA 5 Advantage
More informationRiverSource RAVA 5 Select variable annuity
RiverSource RAVA 5 Select variable annuity Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Annuities for month ending 12/31/2018 and quarter ending 12/31/2018 Current applicable
More informationRiverSource RAVA 5 Advantage variable annuity - New York
RiverSource RAVA 5 Advantage variable annuity - New York Issued by RiverSource Life Insurance Co. of New York, Albany, NY (RiverSource Life of NY) Performance for Annuities for month ending 06/30/2018
More informationRiverSource RAVA 5 Advantage variable annuity
RiverSource RAVA 5 Advantage variable annuity Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Annuities for month ending 03/31/2018 and quarter ending 03/31/2018 Current
More informationS-6611 CD (4/18) S-6325 CD (4/18) S-6612 CD (4/18) S-6325 CD (4/18)
Supplement dated April 30, 2018 to the Prospectuses and Statements of Additional Information (SAIs) dated April 30, 2018 Prospectus Form #/Date SAI Form #/Date Product Name RiverSource RAVA 5 Advantage
More informationRiverSource RAVA 5 Select variable annuity
RiverSource RAVA 5 Select variable annuity Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Annuities for month ending 12/31/2017 and quarter ending 12/31/2017 Current applicable
More informationRiverSource Variable Universal Life 5 - New York
RiverSource Variable Universal Life 5 - New York Issued by RiverSource Life Insurance Co. of New York Performance for Insurance for month ending 03/31/2019 and quarter ending 03/31/2019 Average annual
More informationRiverSource Retirement Advisor 4 Advantage variable annuity contracts Issued by RiverSource Life Insurance Company (RiverSource Life)
RiverSource Retirement Advisor 4 Advantage variable annuity contracts Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Annuities for quarter ending and the month ending.
More informationRiverSource Retirement Advisor 4 Select variable annuity contracts Issued by RiverSource Life Insurance Company (RiverSource Life)
RiverSource Retirement Advisor 4 Select variable annuity contracts Issued by RiverSource Life Insurance Company (RiverSource Life) Performance for Annuities for quarter ending and the month ending. The
More informationRiverSource Variable Second-to-Die Life Insurance
An individual flexible premium survivorship variable life insurance policy Performance for insurance for Quarter end and the month end. The performance information shown represents past performance and
More informationRiverSource Variable Universal Life IV RiverSource Variable Universal Life IV Estate Series (ES)
RiverSource Variable Universal Life IV RiverSource Variable Universal Life IV Estate Series (ES) An individual flexible premium variable life insurance policy Performance for insurance for Quarter end
More informationRiverSource RAVA 5 Advantage Variable Annuity. RAVA 5 Select Variable Annuity RAVA 5 Access Variable Annuity. April 30, 2018
April 30, 2018 RiverSource RAVA 5 Advantage Variable Annuity RAVA 5 Select Variable Annuity RAVA 5 Access Variable Annuity (Offered for contract applications signed prior to April 30, 2012) This wrapper
More informationRiverSource RAVA 5 Advantage Variable Annuity. RAVA 5 Select Variable Annuity RAVA 5 Access Variable Annuity. April 30, 2018
April 30, 2018 RiverSource RAVA 5 Advantage Variable Annuity RAVA 5 Select Variable Annuity RAVA 5 Access Variable Annuity (Offered for contract applications signed prior to April 30, 2012) This wrapper
More informationVariable Annuity Contracts
Variable Annuity Contracts As disclosed in the current prospectus for your variable product, MassMutual and certain affiliated companies may receive compensation from certain funds or the fund advisers
More informationInvest in your future
Investment choices performance report August 31, 2018 Nationwide Destination SM Navigator 2.0 Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable
More informationRetireReady SM Protection Plus variable life insurance issued by Genworth Life and Annuity Insurance Company
as of December 31, 2018 RetireReady SM Protection Plus variable life insurance 17410 01/01/19 (expires 02/15/19) 2018 Genworth Financial, Inc. All rights reserved. Page 1 of 9 IMPORTANT INFORMATION The
More informationInvest in your future
Investment choices performance report September 30, 2018 Nationwide Destination SM All American Gold 2.0 Invest in your future Answers to frequently asked questions. What you should know about purchasing
More informationRiverSource RAVA 5 Advantage Variable Annuity. RAVA 5 Select Variable Annuity RAVA 5 Access Variable Annuity. April 30, 2018
April 30, 2018 RiverSource RAVA 5 Advantage Variable Annuity RAVA 5 Select Variable Annuity RAVA 5 Access Variable Annuity (Offered for contract applications signed on or after April 30, 2012 but prior
More informationRetireReady SM Choice a variable annuity issued by Genworth Life and Annuity Insurance Company
as of June 30, 2018 For contracts issued prior to May 1, 2003, or prior to the date on which state insurance authorities approve applicable contract modifications. RetireReady SM Choice 17022 07/01/18
More informationInvest in your future
Investment choices performance report December 31, 2017 The Best of America V Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable annuity What
More informationInvest in your future
Investment choices performance report March 31, 2018 Nationwide Destination SM Architect 2.0 Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable
More informationRetireReady SM Extra a variable annuity issued by Genworth Life and Annuity Insurance Company
as of March 31, 2019 For contracts issued prior to May 1, 2003, or prior to the date on which state insurance authorities approve applicable contract modifications. RetireReady SM Extra 19337 04/01/19
More informationInvest in your future
Investment choices performance report October 31, 2018 Nationwide Destination SM L 2.0 Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable annuity
More informationInvest in your future
Investment choices performance report December 31, 2017 Nationwide Destination SM B 2.0 Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable annuity
More informationInvest in your future
Investment choices performance report September 30, 2018 Nationwide Destination SM L Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable annuity
More informationRetireReady SM Extra a variable annuity issued by Genworth Life and Annuity Insurance Company
as of July 31, 2018 For contracts issued after May 1, 2003 and prior to December 18, 2006 RetireReady SM Extra 41578 08/01/18 (expires 09/15/18) 2018 Genworth Financial, Inc. All rights reserved. Page
More informationInvest in your future
Investment choices performance report December 31, 2017 Nationwide Destination Freedom + SM Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable
More informationInvest in your future
Investment choices performance report July 31, 2015 The Best of America Achiever Annuity Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable annuity
More informationInvest in your future
Investment choices performance report April 30, 2018 Nationwide Destination SM B Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable annuity What
More informationFuture Corporate VUL SM Monthly Performance as of September 28, 2018
Future Corporate VUL SM Form: FCVUL-4 NWL (m) 9/28/18 Page 1 of 19 Understanding Risks The following items outline some of the risks with the investment choices. For specific risks related to each investment,
More informationInvest in your future
Investment choices performance report March 31, 2018 The Best of America America s VISION Annuity Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable
More informationRetireReady SM Selections a variable annuity issued by Genworth Life and Annuity Insurance Company
as of October 31, 2018 For contracts issued on or after May 1, 2003 RetireReady SM Selections 19807 11/01/18 (expires 12/15/18) 2018 Genworth Financial, Inc. All rights reserved. Page 1 of 13 IMPORTANT
More informationRetireReady SM Choice a variable annuity issued by Genworth Life and Annuity Insurance Company
as of June 30, 2018 For contracts issued on or after May 1, 2003 RetireReady SM Choice 19801 07/01/18 (expires 08/15/18) 2018 Genworth Financial, Inc. All rights reserved. Page 1 of 13 IMPORTANT INFORMATION
More informationCopeland Variable Annuity
408(b) (2) Fee Disclosure Statement Copeland Variable Annuity The Department of Labor requires disclosure of fees, compensation and services provided to the plan to the responsible plan fiduciary. The
More informationInvest in your future
Investment choices performance report September 30, 2018 Schwab Income Choice Variable Annuity Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable
More informationRetireReady SM Freedom a variable annuity issued by Genworth Life and Annuity Insurance Company
as of July 31, 2018 For contracts issued on or after May 1, 2003 RetireReady SM Freedom 19804 08/01/18 (expires 09/15/18) 2018 Genworth Financial, Inc. All rights reserved. Page 1 of 11 IMPORTANT INFORMATION
More informationThe Best of America All American Annuity
408(b) (2) Fee Disclosure Statement The Best of America All American Annuity The Department of Labor requires disclosure of fees, compensation and services provided to the plan to the responsible plan
More informationRiverSource FlexChoice Select Variable Annuity (Contract Option L)
RiverSource FlexChoice Select Variable Annuity (Contract Option L) Issued by RiverSource Life Insurance Company (RiverSource Life) Individual Flexible Premium Deferred Combination Fixed/Variable Annuity
More informationQuality investments. Confident choices. Your guide to investment choices for Nationwide variable annuities
INVESTMENT CHOICES Quality investments. Confident choices. Your guide to investment choices for Nationwide variable annuities Not a deposit Not FDIC or NCUSIF insured Not guaranteed by the institution
More informationYour retirement. The information you need when you need it.
Nationwide Destination Freedom+ SM Investment choices The information you need when you need it. As you review the investment options available with Nationwide Destination Freedom+ SM, you ll want to be
More informationMonument Advisor delivers the industry s largest line-up of funds. Nationwide Advisory Solutions
Monument Advisor Investment Option Guide Nationwide Advisory Solutions Monument Advisor delivers the industry s largest line-up of funds. Access all the choices you need to manage tax-deferred assets in
More informationInvestment choices performance report. June 30, The Best of America America s FUTURE Annuity II. Look to your future
Investment choices performance report June 30, 2014 The Best of America America s FUTURE Annuity II Look to your future When you have questions we have answers. Nationwide wants you to look to your future.
More informationInvestment choices performance report. August 31, The Best of America Achiever Annuity. Look to your future
Investment choices performance report August 31, 2014 The Best of America Achiever Annuity Look to your future When you have questions we have answers. Nationwide wants you to look to your future. When
More informationRiverSource Retirement Group Annuity Contract II
May 1, 2014 RiverSource Retirement Group Annuity Contract II This wrapper contains a prospectus and a prospectus supplement dated May 1, 2014. S-6612 D (5/14) Issued by: RiverSource Life Insurance Company
More informationInvestment Option Fund Expenses
Option Fund s s and expenses are as of 9/30/18. All Portfolios are not available in all products. (1) (2) (3) (4) (5) (6) (7) (8) s AB VPS Dynamic Asset Allocation Portfolio 6 B 0.70% 0.25% 0.13% 1.08%
More informationRetireReady SM Selections a variable annuity issued by Genworth Life and Annuity Insurance Company
as of March 31, 2016 For contracts issued on or after May 1, 2003 RetireReady SM Selections 19807 04/01/16 (expires 05/15/16) 2016 Genworth Financial, Inc. All rights reserved. Page 1 of 13 IMPORTANT INFORMATION
More informationThe Best of America America s Exclusive Annuity II
408(b) (2) Fee Disclosure Statement The Best of America America s Exclusive Annuity II The Department of Labor requires disclosure of fees, compensation and services provided to the plan to the responsible
More informationThe industry s largest underlying fund line-up. All the choice you need to manage tax-deferred assets in today s rapidly changing markets.
IOG page 1 The industry s largest underlying fund line-up. All the choice you need to manage tax-deferred assets in today s rapidly changing markets. Want Want more more information? information? Call
More informationRiverSource Retirement Advisor Advantage Variable Annuity RiverSource Retirement Advisor Select Variable Annuity
2016 Annual Report RiverSource Retirement Advisor Advantage Variable Annuity RiverSource Retirement Advisor Select Variable Annuity S-6410 CC (5/17) Issued by: RiverSource Life Insurance Co. of New York
More information2017 Assessment of SUNY Retirement Plan Fees (sorted by fund category)
2017 Assessment of SUNY Retirement Plan Fees (sorted by fund category) Vendor* Fund Name Fund Category Total cost (%) Voya 403b Voya Fixed Account - Pre 09/01/2004 Cash/Cash Equivalent 0 Voya 403b Voya
More information2017 Assessment of SUNY Retirement Plan Fees (sorted by investment provider)
2017 Assessment of SUNY Retirement Plan Fees (sorted by investment provider) Vendor* Fund Name Fund Category Total cost (%) Fidelity Fidelity Money Market Trust Retirement Government Money Market II Portfolio
More information2017 Assessment of SUNY Retirement Plan Fees (sorted by fee)
2017 Assessment of SUNY Retirement Plan Fees (sorted by fee) Vendor* Fund Name Fund Category Total cost (%) Voya 403b Voya Fixed Account - Pre 09/01/2004 Cash/Cash Equivalent 0 Voya 403b Voya Fixed Account
More informationVariable Investment Option Performance Update
Variable Investment Option Performance Update Brighthouse Investment Architect SM - Standard Version Brighthouse Life Insurance Company The performance data quoted represents past performance and does
More informationVariable Investment Option Performance Update
Brighthouse Investment Architect SM - C Share Option Brighthouse Life Insurance Company Variable Investment Option Performance Update The performance data quoted represents past performance and does not
More informationEffective on or about August 24, 2018, the following fund renaming occurred in the Schwab Advisor Choice Variable Annuity:
Effective on or about August 24, 2018, the following fund renaming occurred in the Schwab Advisor Choice Variable Annuity: Great-West Loomis Sayles Bond Fund will be renamed to the Great-West Multi-Sector
More informationInvestment Option Monitor Report
NEA Member Benefits is pleased to provide you with the following NEA Retirement Monitor Status Report. We provide this report to help you more easily review the performance of the underlying investment
More informationVariable Investment Option Performance Update
Variable Investment Option Performance Update Brighthouse Investment Architect SM - Standard Version Brighthouse Life Insurance Company The performance data quoted represents past performance and does
More informationForeInvestors Choice Variable Annuity B-Share Sub-Account Performance Summary as of July 31, 2018
PERFORMANCE DATA QUOTED REPRESENTS PAST PERFORMANCE AND DOES NOT GUARANTEE FUTURE RESULTS Performance results include reinvestment of all distributions at net value The investment return and principal
More informationVoya Retirement Insurance and Annuity Company
P E R F O R M A N C E U P D A T E Voya Retirement Insurance and Annuity Company TEXAS TECH UNIV & HEALTH Variable Annuity Account C, Non-Standardized Returns Average Annual Total Returns as of: 03/31/2019
More informationVoya Retirement Insurance and Annuity Company
P E R F O R M A N C E U P D A T E Voya Retirement Insurance and Annuity Company BD OF SCHOOL DIRECTORS CITY Variable Annuity Account C, Non-Standardized Returns Average Annual Total Returns as of: 11/30/2018
More informationVoya Retirement Insurance and Annuity Company
P E R F O R M A N C E U P D A T E Voya Retirement Insurance and Annuity Company THE OHIO STATE UNIVERSITY 403B Variable Annuity Account C, Non-Standardized Returns Average Annual Total Returns as of: 09/30/2018
More informationInvest in your future
Investment choices performance report June 30, 2018 Nationwide Destination SM EV Invest in your future Answers to frequently asked questions. What you should know about purchasing a variable annuity What
More informationPersonal Income Design One NY a variable annuity issued by Genworth Life Insurance Company of New York
as of September 30, 2018 For contracts with a 7-year surrender charge option Personal Income Design One NY 49815NY 10/01/18 (expires 11/15/18) 2018 Genworth Financial, Inc. All rights reserved. Page 1
More informationNationwide Destination SM Architect 2.0
404(a) (5) Fee Disclosure Statement Nationwide Destination SM Architect 2.0 Your retirement plan has selected Nationwide Life Insurance Company or Nationwide Life and Annuity Insurance Company (Nationwide
More informationInvest in your future
Investment choices performance report June 30, 2018 Nationwide Marathon SM Performance VUL Invest in your future Answers to frequently asked questions. What you should know about purchasing variable life
More informationVoya Retirement Insurance and Annuity Company
P E R F O R M A N C E U P D A T E Voya Retirement Insurance and Annuity Company TEXAS A & M UNIVERSITY SYSTEM Variable Annuity Account C, Non-Standardized Returns Average Annual Total Returns as of: 03/31/2019
More informationGeneral Amendment To Be Attached To and Read as. Part of the Group Annuity Contract. Issued By
General Amendment To Be Attached To and Read as Part of the Group Annuity Contract Issued By John Hancock Life Insurance Company (U.S.A.) (herein called the Company) In accordance with the provisions under
More informationVoya Retirement Insurance and Annuity Company
P E R F O R M A N C E U P D A T E Voya Retirement Insurance and Annuity Company THE OHIO STATE UNIVERSITY ARP Variable Annuity Account C, Non-Standardized Returns Average Annual Total Returns as of: 08/31/2018
More informationInvestment Option Fund Expenses
Investment Option Fund s Fees and expenses are as of 5/31/18. All Portfolios are not available in all products. (1) (2) (3) (4) (5) (6) (7) (8) Investment Options Share Class Investment Management Fee
More informationThe industry s largest underlying fund line-up. All the choice you need to manage tax-deferred assets in today s rapidly changing markets.
The industry s largest underlying fund line-up. All the choice you need to manage tax-deferred assets in today s rapidly changing markets. ISSUERS: JEFFERSON NATIONAL LIFE INSURANCE COMPANY JEFFERSON NATIONAL
More informationNationwide Life Insurance Company Nationwide Variable Account-II
Nationwide Destination SM Navigator 2.0 Prospectus dated May 1, 2018 An Individual Flexible Premium Deferred Variable Annuity Contract Issued by Nationwide Life Insurance Company Through its Nationwide
More informationNew York Life Premier Variable Annuity II Performance Summary
Accumulation Value Based M&E Structure As of October 31, 2018 For Policies Applied for Before May 1, 2016 To obtain a copy of the product and funds prospectuses, please contact your NYLIFE Securities LLC
More informationVariable Investment Option Performance Update
Marquis s Brighthouse Separate Account Eleven for Variable Annuities Brighthouse Life Insurance Company Variable Investment Option Performance Update The performance data quoted represents past performance
More informationNationwide Destination SM [L]
Nationwide Destination SM [L] Prospectus dated May 1, 2018 An Individual Flexible Purchase Payment Deferred Variable Annuity Contract Issued by Nationwide Life Insurance Company Through its Nationwide
More informationVariable Investment Option Performance Update
Variable Investment Option Performance Update Brighthouse Life Insurance Company The performance data quoted represents past performance and does not guarantee future results. Current performance may be
More informationNew York Life Income Plus Variable Annuity Performance Summary As of March 31, 2019
As of March 31, 2019 To obtain a copy of the product and funds prospectuses, please contact your NYLIFE Securities LLC Registered Representative or call 1-800-598-2019. Investors are asked to consider
More informationNew York Life Flexible Premium Variable Annuity Performance Summary
As of February 28, 2019 For policies investing in NYLIAC Variable Annuity Separate Account III purchased before June 2, 2003 To obtain a copy of the product and funds prospectuses, please contact your
More informationQuarterly fund statistics
Quarterly fund statistics as of SEPTEMBER 30, 2015 Variable Annuity Not a deposit Not FDIC or NCUSIF insured Not guaranteed by the institution Not insured by any federal government agency May lose value
More informationhij abc Variable Adjustable Life Horizon Prospectus May 1, 2017
Prospectus May 1, 2017 Variable Adjustable Life Horizon This document consists of Prospectuses for the Minnesota Life Variable Life Account, a separate account of the Minnesota Life Insurance Company,
More informationMetLife Investment Portfolio Architect SM - C Share Option Performance Summary as of 10/31/18
Metropolitan Life Insurance Company MetLife Investment Architect SM - C Share Option Performance Summary as of 10/31/18 The performance data quoted represents past performance and does not guarantee future
More informationClass AA Variable Investment Option Performance Update
Variable Investment Option Performance Update Brighthouse Life Insurance Company of NY The performance data quoted represents past performance and does not guarantee future results. Current performance
More informationNew York Life Premium Plus Variable Annuity Performance Summary As of August 31, 2018 For policies purchased before June 2, 2003
As of August 31, 2018 For policies purchased before June 2, 2003 To obtain a copy of the product and funds prospectuses, please contact your NYLIFE Securities LLC Registered Representative or call 1-800-598-2019.
More informationhij abc Variable Adjustable Life Prospectus May 1, 2017 Prospectus for Variable Adjustable Life May 1, 2017 Securian
Prospectus for Variable Adjustable Life May 1, 2017 Securian Prospectus May 1, 2017 Variable Adjustable Life This document consists of Prospectuses for the Minnesota Life Variable Life Account, a separate
More informationNationwide Future Executive VUL
Nationwide Future Executive VUL Prospectus dated May 1, 2018 An individual flexible premium adjustable variable universal life insurance policy issued by Nationwide Life Insurance Company through Nationwide
More informationNew York Life Flexible Premium Variable Annuity Performance Summary
As of January 31, 2019 For policies investing in NYLIAC Variable Annuity Separate Account I To obtain a copy of the product and funds prospectuses, please contact your NYLIFE Securities LLC Registered
More informationNew York Life Flexible Premium Variable Annuity Performance Summary
As of February 28, 2019 For policies investing in NYLIAC Variable Annuity Separate Account III purchased June 2, 2003 onwards To obtain a copy of the product and funds prospectuses, please contact your
More informationThe industry s largest underlying fund line-up. All the choice you need to manage tax-deferred assets in today s rapidly changing markets.
The industry s largest underlying fund line-up. All the choice you need to manage tax-deferred assets in today s rapidly changing markets. ISSUERS: JEFFERSON NATIONAL LIFE INSURANCE COMPANY JEFFERSON NATIONAL
More informationNew York Life Flexible Premium Variable Annuity II Performance Summary Premium Based M&E Charge Structure As of September 30, 2018
As of September 30, 2018 To obtain a copy of the product and funds prospectuses, please contact your NYLIFE Securities LLC Registered Representative or call 1-800-598-2019. Investors are asked to consider
More informationNationwide Destination SM Architect 2.0
Nationwide Destination SM Architect 2.0 Prospectus dated May 1, 2018 An Individual Flexible Premium Deferred Variable Annuity Contract Issued by Nationwide Life Insurance Company Through its Nationwide
More information