MetLife Investment Portfolio Architect SM - C Share Option Performance Summary as of 10/31/18

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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 results. Current performance may be lower or higher than the performance data quoted. Performance current to the most recent month-end may be viewed at www.metlife.com. The investment return and principal value of an investment will fluctuate and an investor's shares, when redeemed, may be worth more or less than their original cost. For Sub- Accounts that invest in s that were in existence prior to the Sub-Account inception date, these returns have been adjusted to reflect the charges and expenses of the MetLife Investment Architect - C Share Variable Annuity, as if the contract had existed during the stated period(s), including all -level expenses, the Mortality & Expense and Administration Charges of 1.25% (based on cumulative Purchase Payments of $500,000 or more) and the annual Account Fee of $30. These figures represent past performance and are not an indication of future performance. Non-Standardized Performance: Without surrender charges applied One Month YTD 1 Year 3 Year* 5 Year* Variable Investment Option Performance Update * Asset Class Variable Funding Options Style Risk Managed Global Multi-Asset AB Global Dynamic Allocation - Class B -5.18% -6.68% -5.13% 1.56% 2.59% 3.66% 04/29/2011 AQR Global Risk Balanced - Class B -4.03% -5.60% -4.05% 1.32% -0.16% 0.99% 04/29/2011 BlackRock Global Tactical Strategies - Class B -5.48% -5.29% -3.89% 2.10% 2.78% 3.19% 04/29/2011 Brighthouse Balanced Plus - Class B -5.88% -4.93% -2.26% 4.94% 4.43% 5.00% 04/29/2011 Invesco Balanced-Risk Allocation - Class B -4.21% -6.27% -4.23% 2.93% 1.76% 2.24% 04/30/2012 JPMorgan Global Active Allocation - Class B -5.08% -7.16% -5.53% 2.18% 2.91% 4.11% 04/30/2012 MetLife Multi-Index Targeted Risk - Class B -6.52% -6.39% -4.35% 2.38% 3.22% 4.83% 11/12/2012 PanAgora Global Diversified Risk - Class B -4.71% -8.67% -7.26% 2.36% - 1.67% 04/28/2014 Schroders Global Multi-Asset - Class B -5.95% -7.69% -5.69% 1.86% 2.75% 4.12% 04/30/2012 Asset Allocation American Funds Balanced Allocation - Class C -5.54% -2.43% -0.38% 5.47% 4.79% 7.88% 04/28/2008 American Funds Growth Allocation - Class C -7.01% -2.33% 0.41% 7.19% 6.10% 9.28% 04/28/2008 American Funds Moderate Allocation - Class C -4.27% -2.70% -1.16% 4.00% 3.71% 6.44% 04/28/2008 Brighthouse Asset Allocation 20 - Class B -2.30% -3.28% -2.58% 1.29% 1.34% 4.70% 05/02/2005 Brighthouse Asset Allocation 40 - Class B -3.72% -3.48% -2.19% 2.74% 2.52% 6.05% 05/02/2005 Brighthouse Asset Allocation 60 - Class B -5.23% -3.57% -1.59% 4.15% 3.69% 7.30% 05/02/2005 Brighthouse Asset Allocation 80 - Class B -6.92% -3.92% -1.26% 5.54% 4.73% 8.40% 05/02/2005 Brighthouse Asset Allocation 100 - Class B -8.43% -4.46% -1.23% 6.62% 5.47% 9.13% 05/02/2005 SSGA Growth and Income ETF - Class B -5.57% -3.93% -1.68% 3.86% 3.36% 7.08% 09/30/2005 SSGA Growth ETF - Class B -6.98% -4.70% -1.82% 5.00% 4.08% 8.01% 09/30/2005 (Large Cap) American Funds Growth - Class C Growth -8.35% 5.11% 7.19% 12.33% 10.92% 12.82% 02/08/1984 BlackRock Capital Appreciation - Class B Growth -10.61% 7.10% 9.65% 11.33% 11.17% 12.11% 10/31/1994 Brighthouse/Wellington Core Equity Opportunities - Class B Value -5.24% 2.91% 8.02% 8.09% 8.26% 9.75% 10/31/1994 Brighthouse/Wellington Large Cap Research - Class B Blend -8.62% 0.28% 3.57% 8.24% 9.82% 10.64% 06/24/1983 ClearBridge Aggressive Growth - Class B Growth -10.31% -1.43% 1.36% 4.55% 6.52% 13.09% 02/12/2001 Invesco Comstock - Class B Value -7.78% -3.99% 1.15% 7.73% 6.59% 10.01% 04/29/2005 Jennison Growth - Class B Growth -9.95% 6.35% 8.55% 12.05% 12.13% 13.62% 05/01/2000 MetLife Stock Index - Class G Blend -6.98% 1.46% 5.42% 9.50% 9.33% 11.20% 05/01/1990 MFS Value - Class B Value -4.97% -4.29% -0.86% 6.89% 7.30% 9.93% 11/09/1998 T. Rowe Price Large Cap Growth - Class B Growth -8.89% 3.78% 5.21% 10.81% 11.27% 14.36% 11/09/1998 T. Rowe Price Large Cap Value - Class B Value -5.56% -3.32% 0.69% 8.02% 7.46% 9.49% 12/11/1989 (Mid Cap) MetLife Mid Cap Stock Index - Class G Blend -9.70% -4.27% -0.81% 7.86% 6.93% 12.07% 07/05/2000 Morgan Stanley Mid Cap Growth - Class B Growth -10.78% 20.05% 24.16% 15.41% 8.64% 10.58% 03/03/1997 Victory Sycamore Mid Cap Value - Class B Value -7.82% -2.87% 1.22% 4.00% 3.97% 10.40% 11/09/1998 Wells Capital Management Mid Cap Value o - Class B Value -7.05% -7.31% -3.93% 2.81% 3.57% 9.40% 04/30/2004 (Small Cap) Brighthouse Small Cap Value - Class B Value -10.34% -7.18% -4.19% 8.37% 5.47% 8.61% 05/01/2002 Invesco Small Cap Growth - Class B Growth -12.32% 0.25% 3.64% 9.82% 8.60% 13.00% 10/09/2001 JPMorgan Small Cap Value - Class B Value -8.95% -4.74% -3.88% 6.74% 4.19% 8.58% 05/02/2005 Loomis Sayles Small Cap Core - Class B Blend -9.66% -1.84% -0.29% 8.59% 6.26% 11.87% 05/02/1994 MetLife Russell 2000 Index - Class G Blend -10.99% -1.92% 0.18% 8.94% 6.38% 10.65% 11/09/1998 Neuberger Berman Genesis - Class B Value -9.43% -0.03% 3.20% 8.93% 6.40% 9.43% 07/05/2000 T. Rowe Price Small Cap Growth - Class G Growth -10.72% 2.17% 5.64% 9.85% 8.87% 14.85% 03/03/1997 Page 1 of 6

* Asset Class Variable Funding Options Style One Month YTD 1 Year 3 Year* 5 Year* Global Allocation BlackRock Global Allocation V.I. Fund - Class III -4.74% -5.74% -4.30% 2.17% 1.82% 5.09% 11/18/2003 Ivy VIP Asset Strategy - Class II -6.46% -2.40% 0.19% 1.76% -3.22% 0.93% 05/01/1995 International Equity American Funds Global Small Capitalization Fund - Class 4-10.56% -5.87% -2.91% 5.00% 3.86% 9.41% 04/30/1998 Baillie Gifford International Stock - Class B -9.04% -13.02% -10.70% 4.97% 2.62% 3.90% 05/01/1991 Brighthouse/Aberdeen Emerging Markets Equity - Class B -7.37% -18.60% -15.95% 1.74% -2.80% 4.49% 04/28/2006 Brighthouse/Artisan International - Class B -6.38% -6.50% -4.66% 2.43% - 0.63% 04/29/2014 Brighthouse/Dimensional International Small Company - Class B -9.58% -14.62% -11.90% 4.80% 2.62% 8.76% 10/30/2008 Harris Oakmark International - Class B -10.06% -18.64% -17.97% 1.97% -0.10% 8.79% 10/09/2001 Loomis Sayles Global Markets - Class B -6.51% -2.99% -0.87% 6.05% 5.03% 10.23% 04/28/2006 MetLife MSCI EAFE Index - Class G -8.15% -10.44% -8.69% 1.95% 0.20% 4.89% 11/09/1998 MFS Research International - Class B -8.59% -9.82% -7.07% 2.75% 0.23% 5.58% 02/12/2001 Oppenheimer Global Equity - Class B -9.55% -7.56% -4.56% 6.32% 5.91% 10.34% 03/03/1997 Fixed Income BlackRock Bond Income - Class B Interm. -1.03% -3.56% -3.53% -0.19% 0.77% 3.11% 08/26/1983 BlackRock High Yield - Class B High Yield -1.97% -0.55% -0.50% 4.37% 3.10% 8.63% 08/30/1996 BlackRock Ultra-Short Term Bond - Class B Ultrashort 0.03% 0.15% 0.05% -0.62% -0.88% -1.03% 08/26/1983 Brighthouse/Eaton Vance Floating Rate - Class B Bank Loan -0.21% 2.74% 3.03% 3.59% 2.10% 2.53% 04/30/2010 Brighthouse/Franklin Low Duration Total Return - Class B Short -0.33% -0.53% -0.84% 0.16% -0.17% -0.03% 04/29/2011 Brighthouse/Templeton International Bond - Class B World 0.89% 0.02% -1.47% -0.91% -1.40% 2.46% 04/30/2009 Fidelity Institutional Asset Management Government Income - Class B Interm.Gov. -0.91% -4.22% -4.14% -1.31% 0.04% 0.73% 04/29/2011 JPMorgan Core Bond - Class B Interm. -0.73% -3.32% -3.24% -0.49% 0.23% 2.34% 04/30/1997 MetLife Aggregate Bond Index - Class G Interm. -1.00% -3.85% -3.87% -0.83% -0.01% 2.02% 11/09/1998 PIMCO Dynamic Bond - Class M International 0.09% 0.08% -0.11% 2.11% - 0.68% 10/31/2014 PIMCO Emerging Market Bond - Class M International -2.36% -6.80% -6.83% 2.94% - 0.76% 11/10/2014 PIMCO Inflation Protected Bond - Class B Infltn Protctd -1.68% -3.86% -3.17% 0.06% -0.80% 2.97% 05/01/2003 PIMCO Total Return - Class B Interm. -0.57% -2.71% -2.82% 0.31% 0.43% 3.68% 02/12/2001 TCW Core Fixed Income - Class B Interm. -0.93% -3.39% -3.30% -0.58% - -0.68% 05/01/2015 Western Asset Management Strategic Bond Opportunities - Class B Multisector -1.60% -4.82% -4.81% 1.77% 1.71% 6.37% 10/31/1994 Western Asset Management U.S. Government - Class B Interm. Gov. -0.47% -2.12% -2.32% -0.91% -0.51% 1.06% 10/31/1994 Specialty Clarion Global Real Estate - Class B -4.60% -8.01% -3.69% -0.58% 1.23% 6.16% 04/30/2004 Morgan Stanley VIF Global Infrastructure - Class II -3.99% -6.45% -5.92% 2.89% 2.66% 6.22% 06/05/2000 PIMCO Commodity RealReturn Strategy - Class M -3.64% -7.17% -5.09% -1.99% -9.35% -2.74% 06/30/2004 VanEck Global Natural Resources - Class B -10.15% -17.33% -8.34% -0.79% -9.54% 0.42% 10/30/2008 Alternative Oppenheimer Global Multi-Alternatives Fund/VA - Service Shares -1.73% -1.51% -1.31% -1.00% - -0.39% 11/14/2013 - Return Not Available Pro-rated based on an average contract size; not applicable for contracts with account values greater than $50,000. *Annualized for Investment Options/s in existence for more than one year. Current performance may be lower or higher than the performance quoted. Non-Standardized Performance: Without surrender charges applied Certain optional benefit riders have investment allocation restrictions. Not all investment portfolios are available for all products and/or optional benefit riders. Please see the product prospectus for more information. This is past performance and is no guarantee of future results. Prior to March 6, 2017, Brighthouse Funds Trust I was known as Met Investors Series Trust and Brighthouse Funds Trust II was known as Metropolitan Series Fund. Prior to the opening of business on May 3, 2004, the FI Mid Cap Opportunities was merged into the Janus Mid Cap and Fidelity Management & Research Company became sub-investment manager for the which changed its name to FI Mid Cap Opportunities. The investment division with the name FI Mid Cap Opportunities on April 30, 2004 ceased to exist. Performance prior to April 30, 2004 is that of Janus Mid Cap. Effective May 3, 2010, the following investment portfolio merged: FI Mid Cap Opportunities into Morgan Stanley Mid Cap Growth. Performance for the Morgan Stanley Mid Cap Growth consists of the performance for the FI Mid Cap Opportunities before and on April 30, 2010 and the Morgan Stanley Mid Cap Growth after April 30, 2010. Prior to the close of business on April 29, 2005, the Met/Putnam Voyager was merged into the Jennison Growth. The Met/Putnam Voyager Division is no longer available under this product. Performance for Jennison Growth consists of performance for the Met/Putnam Voyager Division before April 29, 2005 and performance of the Jennison Growth Division on and after April 29, 2005. On or about April 30, 2007, the BlackRock Large Cap of the Metropolitan Series Fund, Inc. merged into the BlackRock Large Cap Core (currently known as Met/Wellington Large Cap Research ) of the Met Investors Series Trust. Values prior to April 30, 2007 reflect the performance of the BlackRock Large Cap (formerly the BlackRock Investment Trust ). Effective April 28, 2008, the MFS Value of the Met Investors Series Trust (MIST) merged with and into the MFS Value of the Metropolitan Series Fund, Inc. (MSF). Values before April 28, 2008 reflect the performance of the MSF MFS Value (formerly Harris Oakmark Large Cap Value ) since its inception on November 9, 1998. (Note that because the MIST MFS Value is deemed to be the accounting survivor of the merger, the performance history set forth in the s April 28, 2008 prospectus is that of the MIST MFS Value.) Page 2 of 6

As of May 2, 2011, the following portfolio merger took effect: MetLife Aggressive Allocation into MetLife Aggressive Strategy (currently known as MetLife Asset Allocation 100 ). Performance for the MetLife Aggressive Strategy consists of the performance of the MetLife Aggressive Allocation before and on April 29, 2011 and the MetLife Aggressive Strategy after April 29, 2011. Effective April 30, 2012, the Lord Abbett Mid Cap Value of the Metropolitan Series Fund merged into the Lord Abbett Mid Cap Value of the Met Investors Series Trust (currently known as Invesco Mid Cap Value ). Values before April 30, 2012 reflect the performance of the Lord Abbett Mid Cap Value of the Metropolitan Series Fund. Effective on or about September 1, 2017, Massachusetts Financial Services replaced BlackRock Advisors, LLC as the subadviser to the MFS Value II, which was previously known as BlackRock Large Cap Value. Effective on or about December 15, 2017, Schroder Investment Management North American Inc. replaced FIAM LLC as subadviser to the Schroder Global Multi-Asset II, which was previously known as Pyramis Managed Risk. Effective on or about December 15, 2017, Victory Capital Management, Inc. replaced Invesco Advisors Inc. as subadviser to the Victory Sycamore Mid Cap Value, which was previously known as Invesco Mid Cap Value. Effective April 30, 2018, the Allianz Global Dynamic Multi-Asset Plus of the BrightHouse Funds Trust I merged into the JPMorgan Global Active Allocation of the BrightHouse Funds Trust I. Effective April 30, 2018, the MFS Value II (formerly known as BlackRock Large Cap Value ) of the BrightHouse Funds Trust II merged into the MFS Value of the BrightHouse Funds Trust II. Effective April 30, 2018, the Schroders Global Mutli-Asset II (forrmerly known as Pyramis Managed Risk ) of the BrightHouse Funds Trust I merged into the Schroders Global Multi-Assset of the BrightHouse Funds Trust I. Prior to April 30, 2018 the Fidelity Institutional Asset Management Government Income was known as the Pyramis Government Income. Prior to July 30, 2018, the PIMCO Dynmaic Bond was known as the PIMCO Unconstrained Bond. Investment Performance Is Not Guaranteed. Additional prospectuses for the MetLife Investment Architect variable annuity issued by Metropolitan Life Insurance Company and for the investment portfolios are available from your financial professional or at www.metlife.com. The contract prospectus contains information about the contract s features, risks, charges and expenses. The investment objectives, risks and policies of the investment options, as well as other information about the investment options, are described in their respective prospectuses. Investors should consider the investment objectives, risks, charges and expenses of the investment company carefully before investing. Please read the prospectuses and consider this information carefully before investing. Product availability and features may vary by state. Please refer to the contract prospectus for more complete details regarding the death benefits. Variable annuities are long-term investments designed for retirement purposes. Variable annuities have limitations, exclusions, charges, termination provisions and terms for keeping them in force. There is no guarantee that any of the variable investment options in this product will meet its stated goals or objectives. The account value is subject to market fluctuations and investment risk so that, when withdrawn, it may be worth more or less than its original value. All product guarantees are subject to the claims-paying ability and financial strength of the issuing insurance company. Please contact your financial professional for complete details. Withdrawals of taxable amounts are subject to ordinary income tax and if made before age 59½, may be subject to a 10% Federal income tax penalty. Distributions of taxable amounts from a non-qualified annuity may also be subject to the 3.8% Unearned Income Medicare Contribution Tax on Net Investment Income if your modified adjusted gross income exceeds the applicable threshold amount. Withdrawals will reduce the death benefit and account value. Withdrawals may be subject to withdrawal charges. The MetLife Investment Architect variable annuity is issued by MetLife Insurance Company on Policy Form Series 1-200-1 (11/14) and is distributed by MetLife Investors Distribution Company (member FINRA). Metropolitan Life Insurance Company New York, NY 10166 800-638-7732 L0418504448[exp0519][NY] Page 3 of 6

MetLife Investment Architect - C Share Option The performance data quoted represents past performance and does not guarantee future results. Current performance may be lower or higher than the performance data quoted. Performance current to the most recent month-end may be viewed at www.metlife.com. The investment return and principal value of an investment will fluctuate and an investor's shares, when redeemed, may be worth more or less than their original cost. Each Investment Option consists of a sub-account of the separate account supporting the contract (a "Sub-Account") that invests solely in shares of a fund portfolio (a ""). Standardized Performance for an Investment Option, as defined by the SEC, is the Average Annual Total Return for periods commencing no earlier than the Sub-Account inception date and terminating at the end of the most recent calendar quarter. Average Annual Total Returns shown that include periods prior to the Sub-Account inception date are Non-Standardized Performance. Charges for Standardized Performance include all -level expenses, the Mortality & Expense and Administration Charges of 1.35% (based on cumulative Purchase Payments of $499,999 or less), the optional Return of Premium Death Benefit rider charge of 0.25% and the annual Account Fee of $30. Past performance does not guarantee future results. Asset Class Risk Managed Global Multi-Asset Variable Funding Options 1 Year 5 Year* * 1 Year 5 Year* * AB Global Dynamic Allocation -5.46% 2.23% 3.29% 0.58% 3.84% 4.09% 04/29/2011 05/02/2011 AQR Global Risk Balanced -4.39% -0.51% 0.63% 1.96% 0.73% 1.22% 04/29/2011 05/02/2011 BlackRock Global Tactical Strategies -4.22% 2.42% 2.83% 2.67% 4.15% 3.66% 04/29/2011 05/02/2011 Brighthouse Balanced Plus -2.60% 4.06% 4.63% 4.82% 5.88% 5.56% 04/29/2011 05/02/2011 Invesco Balanced-Risk Allocation -4.56% 1.40% 1.88% 1.97% 2.59% 2.60% 04/30/2012 04/30/2012 JPMorgan Global Active Allocation -5.86% 2.55% 3.74% 1.05% 4.25% 4.65% 04/30/2012 04/30/2012 MetLife Multi-Index Targeted Risk -4.68% 2.86% 4.47% 3.05% 4.84% 5.75% 11/12/2012 11/12/2012 PanAgora Global Diversified Risk -7.59% - 1.31% -0.60% - 2.46% 04/28/2014 04/28/2014 Schroders Global Multi-Asset -6.02% 2.39% 3.76% 0.94% 4.30% 4.81% 04/30/2012 04/30/2012 Asset Allocation American Funds Balanced Allocation -0.72% 4.43% 7.51% 6.53% 6.20% 6.42% 04/28/2008 04/28/2008 American Funds Growth Allocation 0.06% 5.73% 8.90% 9.57% 8.00% 7.58% 04/28/2008 04/28/2008 American Funds Moderate Allocation -1.51% 3.34% 6.07% 3.80% 4.73% 5.20% 04/28/2008 04/28/2008 Brighthouse Asset Allocation 20-2.92% 0.99% 4.33% -0.38% 1.71% 3.72% 05/02/2005 05/02/2005 Brighthouse Asset Allocation 40-2.53% 2.16% 5.68% 1.81% 3.31% 4.92% 05/02/2005 05/02/2005 Brighthouse Asset Allocation 60-1.94% 3.32% 6.93% 4.46% 4.94% 5.97% 05/02/2005 05/02/2005 Brighthouse Asset Allocation 80-1.61% 4.36% 8.02% 7.14% 6.49% 6.89% 05/02/2005 05/02/2005 Brighthouse Asset Allocation 100-1.58% 5.10% 8.75% 9.24% 7.66% 7.43% 05/02/2005 05/02/2005 SSGA Growth and Income ETF -2.02% 3.00% 6.71% 5.03% 4.77% 5.76% 09/30/2005 05/01/2006 SSGA Growth ETF -2.16% 3.72% 7.63% 6.88% 5.93% 6.47% 09/30/2005 05/01/2006 (Large Cap) American Funds Growth 6.82% 10.53% 12.42% 20.72% 13.16% 10.81% 02/08/1984 05/01/2001 BlackRock Capital Appreciation 9.27% 10.78% 11.71% 28.12% 13.96% 10.63% 10/31/1994 08/05/2002 Brighthouse/Wellington Core Equity Opportunities 7.64% 7.88% 9.36% 13.84% 9.82% 7.91% 10/31/1994 07/05/2000 Brighthouse/Wellington Large Cap Research 3.21% 9.42% 10.25% 14.94% 12.32% 9.16% 06/24/1983 07/02/1990 ClearBridge Aggressive Growth 1.00% 6.15% 12.69% 12.36% 9.19% 11.57% 02/12/2001 05/01/2001 Invesco Comstock 0.80% 6.21% 9.62% 11.27% 8.83% 6.82% 04/29/2005 11/17/2014 Jennison Growth 8.17% 11.74% 13.22% 24.76% 15.14% 12.47% 05/01/2000 07/05/2001 MetLife Stock Index 5.05% 8.95% 10.81% 15.39% 11.50% 9.57% 05/01/1990 07/02/1990 MFS Value -1.21% 6.93% 9.55% 5.11% 8.87% 8.21% 11/09/1998 11/09/1998 T. Rowe Price Large Cap Growth 4.85% 10.88% 13.96% 20.00% 14.06% 12.66% 11/09/1998 11/09/1998 T. Rowe Price Large Cap Value 0.34% 7.08% 9.11% 7.43% 9.16% 8.13% 12/11/1989 04/28/2006 (Mid Cap) MetLife Mid Cap Stock Index -1.16% 6.55% 11.68% 11.74% 9.50% 10.08% 07/05/2000 07/05/2000 Morgan Stanley Mid Cap Growth 23.73% 8.26% 10.20% 42.57% 10.80% 8.47% 03/03/1997 03/03/1997 Victory Sycamore Mid Cap Value 0.87% 3.61% 10.01% 9.97% 6.01% 7.70% 11/09/1998 11/09/1998 Wells Capital Management Mid Cap Value -4.27% 3.21% 9.02% 3.22% 5.24% 2.59% 04/30/2004 11/17/2014 (Small Cap) Brighthouse Small Cap Value -4.52% 5.10% 8.23% 8.23% 8.20% 7.06% 05/01/2002 08/05/2002 Invesco Small Cap Growth 3.28% 8.22% 12.61% 21.14% 11.56% 11.40% 10/09/2001 05/01/2002 JPMorgan Small Cap Value -4.22% 3.83% 8.20% 5.75% 6.59% 9.96% 05/02/2005 11/10/2008 Loomis Sayles Small Cap Core -0.64% 5.89% 11.48% 11.69% 8.69% 9.98% 05/02/1994 07/05/2000 MetLife Russell 2000 Index -0.17% 6.01% 10.27% 13.01% 9.01% 8.97% 11/09/1998 11/09/1998 Neuberger Berman Genesis 2.83% 6.02% 9.04% 15.94% 8.93% 7.61% 07/05/2000 07/05/2000 T. Rowe Price Small Cap Growth 5.28% 8.49% 14.45% 20.41% 11.60% 12.07% 03/03/1997 11/17/2014 Global Allocation BlackRock Global Allocation V.I. Fund -4.63% 1.46% 4.72% 0.75% 2.86% 2.32% 11/18/2003 11/17/2014 Ivy VIP Asset Strategy -0.16% -3.56% 0.57% 8.37% -1.62% 0.58% 05/01/1995 11/17/2014 International Equity Average Annual Total Return Standardized as of 09/30/2018 American Funds Global Small Capitalization -3.25% 3.49% 9.03% 9.88% 6.15% 7.02% 04/30/1998 11/17/2014 Page 4 of 6

Average Annual Total Return Standardized as of 09/30/2018 Asset Class Variable Funding Options 1 Year 5 Year* * 1 Year 5 Year* * Baillie Gifford International Stock -11.01% 2.26% 3.54% 0.22% 4.61% 2.46% 05/01/1991 07/01/1991 Brighthouse/Aberdeen Emerging Markets Equity -16.24% -3.14% 4.13% -8.41% -0.98% 5.20% 04/28/2006 11/10/2008 Brighthouse/Artisan International -4.99% - 0.28% 3.05% - 1.93% 04/29/2014 11/17/2014 Brighthouse/Dimensional International Small Company -12.21% 2.26% 8.38% -1.94% 5.01% 9.53% 10/30/2008 11/10/2008 Harris Oakmark International -18.26% -0.45% 8.41% -8.38% 2.28% 7.20% 10/09/2001 05/01/2002 Loomis Sayles Global Markets -1.22% 4.67% 9.84% 8.07% 6.85% 11.03% 04/28/2006 11/10/2008 MetLife MSCI EAFE Index -9.01% -0.15% 4.52% 0.54% 2.19% 3.00% 11/09/1998 11/09/1998 MFS Research International -7.40% -0.12% 5.21% 3.12% 2.11% 3.59% 02/12/2001 05/01/2001 Oppenheimer Global Equity -4.89% 5.54% 9.96% 8.89% 8.24% 8.55% 03/03/1997 03/03/1997 Fixed Income BlackRock Bond Income -3.87% 0.42% 2.75% -3.09% 0.79% 2.50% 08/26/1983 07/02/1990 BlackRock High Yield -0.85% 2.74% 8.25% 1.56% 3.56% 2.84% 08/30/1996 11/17/2014 BlackRock Ultra-Short Term Bond -0.30% -1.23% -1.37% -0.38% -1.26% -1.37% 08/26/1983 12/31/1985 Brighthouse/Eaton Vance Floating Rate 2.67% 1.75% 2.17% 3.28% 1.88% 2.22% 04/30/2010 05/03/2010 Brighthouse/Franklin Low Duration Total Return -1.19% -0.51% -0.38% -0.87% -0.37% -0.32% 04/29/2011 05/02/2011 Brighthouse/Templeton International -1.81% -1.75% 2.10% -3.36% -1.62% 2.03% 04/30/2009 05/01/2009 Fidelity Institutional Asset Management Government Income -4.48% -0.31% 0.37% -3.80% 0.01% 0.51% 04/29/2011 05/02/2011 JPMorgan Core Bond -3.58% -0.13% 1.99% -2.98% 0.14% 1.39% 04/30/1997 05/01/2006 MetLife Aggregate Bond Index -4.21% -0.36% 1.67% -3.34% -0.03% 1.50% 11/09/1998 11/09/1998 PIMCO Dynamic Bond -0.46% - 0.34% -0.44% - 0.43% 10/31/2014 11/17/2014 PIMCO Emerging Market Bond -7.16% - 0.48% -4.59% - 1.42% 11/10/2014 11/17/2014 PIMCO Inflation Protected Bond -3.51% -1.14% 2.61% -1.77% -0.71% 1.78% 05/01/2003 05/01/2006 PIMCO Total Return -3.16% 0.08% 3.32% -2.89% 0.35% 3.25% 02/12/2001 05/01/2001 TCW Core Fixed Income -3.64% - -1.03% -2.94% - -0.75% 05/01/2015 05/04/2015 Western Asset Management Strategic Bond Opportunities -5.14% 1.35% 6.00% -3.29% 1.97% 5.13% 10/31/1994 05/01/2001 Western Asset Management U.S. Government -2.66% -0.86% 0.71% -2.40% -0.69% 0.52% 10/31/1994 05/01/2001 Specialty Clarion Global Real Estate -4.03% 0.88% 5.79% 0.40% 2.40% 3.28% 04/30/2004 05/01/2004 Morgan Stanley VIF Global Infrastructure -6.25% 2.30% 5.85% -2.34% 4.02% 0.86% 06/05/2000 11/17/2014 PIMCO Commodity RealReturn Strategy -5.43% -9.67% -3.08% 0.34% -9.20% -9.30% 06/30/2004 11/17/2014 VanEck Global Natural Resources -8.66% -9.86% 0.07% -0.31% -7.14% 0.25% 10/30/2008 05/01/2009 Alternative Oppenheimer Global Multi- Alternatives Fund/VA -1.65% - -0.74% -0.34% - -1.17% 11/14/2013 05/01/2017 - Return Not Available Pro-rated based on an average contract size; not applicable for contracts with account values greater than $50,000. *Annualized for Investment Options/s in existence for more than one year. Current performance may be lower or higher than the performance quoted. This is past performance and is no guarantee of future results. Prior to March 6, 2017, Brighthouse Funds Trust I was known as Met Investors Series Trust and Brighthouse Funds Trust II was known as Metropolitan Series Fund. Investment Performance Is Not Guaranteed. Additional prospectuses for the MetLife Investment Architect variable annuity issued by Metropolitan Life Insurance Company and for the investment portfolios are available from your financial professional or at www.metlife.com. The contract prospectus contains information about the contract s features, risks, charges and expenses. The investment objectives, risks and policies of the investment options, as well as other information about the investment options, are described in their respective prospectuses. Investors should consider the investment objectives, risks, charges and expenses of the investment company carefully before investing. Please read the prospectuses and consider this information carefully before investing. Product availability and features may vary by state. Please refer to the contract prospectus for more complete details regarding the death benefits. Variable annuities are long-term investments designed for retirement purposes. Variable annuities have limitations, exclusions, charges, termination provisions and terms for keeping them in force. There is no guarantee that any of the variable investment options in this product will meet its stated goals or objectives. The account value is subject to market fluctuations and investment risk so that, when withdrawn, it may be worth more or less than its original value. All product guarantees are subject to the claims-paying ability and financial strength of the issuing insurance company. Please contact your financial professional for complete details. Page 5 of 6

Withdrawals of taxable amounts are subject to ordinary income tax and if made before age 59½, may be subject to a 10% Federal income tax penalty. Distributions of taxable amounts from a non-qualified annuity may also be subject to the 3.8% Unearned Income Medicare Contribution Tax on Net Investment Income if your modified adjusted gross income exceeds the applicable threshold amount. Withdrawals will reduce the death benefit and account value. Withdrawals may be subject to withdrawal charges. The MetLife Investment Architect variable annuity is issued by Metropolitan Life Insurance Company on Policy Form Series 1-200-1 (11/14) and is distributed by MetLife Investors Distribution Company (member FINRA). Metropolitan Life Insurance Company New York, NY 10166 800-638-7732 L0418504448[exp0519][NY] Page 6 of 6