Investment Option Summary - July 1, 2015 to September 30, 2015

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CARROLLTON TX Entity: 0037134 July 1, 2015 - September 30, 2015 JULIA SYKES BENEFITS COORDINATOR PO BOX 110535 CARROLLTON TX 75011-0535 Please review your statement carefully. Corrections may not be accepted more than 45 days after the closing date of the statement. Questions? Contact Us! CUSTOMER SERVICE: (877)677-3678 (ESPANOL): (800)649-9494 TTY: (800)848-0833 Website: www.nrsforu.com Write us at: NATIONWIDE RETIREMENT SOLUTIONS PO BOX 182797 COLUMBUS OH 43218-2797 Nationwide Investment Services Corporation, member FINRA, In Michigan Only: Nationwide Investment Svcs. Corporation Activity at a Glance 457(b) Plan 457(b) OBRA-PST Total Plan Balance as of 07-01-15 $34,207,381.59 $759,561.15 $34,966,942.74 Contributions/Loan Payments* $638,563.97 $26,012.75 $664,576.72 Gain/Loss/Interest -$1,324,824.80 $6,654.55 -$1,318,170.25 Distributions/Loan Disbursements** -$537,306.50 -$31,840.53 -$569,147.03 Charges/Fees -$675.00 $0.00 -$675.00 Balance as of 09-30-15 $32,983,139.26 $760,387.92 $33,743,527.18 See your loan information inside! *Including, but not limited to, Employee and Employer Contributions, Loan Principal Payments, Rollovers and Transfers In. **Including, but not limited to, Rollovers and Transfers Out, Partial and Lump Sum Payments. This statement represents an aggregate of the values of active accounts for those plan participants receiving a statement for this reporting period. Values reported above represent current period totals for those participants. Investment Option Summary - July 1, 2015 to September 30, 2015 Unit Value is as of 9/30/2015 Investment Option Ending Price Units Value 457(b) Plan AmCent Gr Inv 13.8359 32,799.5848 $453,812.46 AmCent Val Inv 2.9662 101,620.5580 $301,426.41 AmFds Gr Fd Am A 13.0944 32,481.5696 $425,325.46 AmFds Inc Fd Am A 7.1551 3,846.3721 $27,521.11 Brwn Cap Sm Co Inv 4.5817 131,734.2839 $603,563.98 Drey App 1.8654 101,564.7416 $189,460.59 Drey S P 500 Indx 2.6727 74,357.7985 $198,738.77 Fed US GovtSec 2 5 Yr Inst 2.1531 7,960.6997 $17,140.48 Fid Contra 9.7990 235,168.5071 $2,304,404.52 Invsco Gr Inc A 2.2366 436,432.5622 $976,118.94 Invsco Intl Gr R5 1.2306 55,525.9063 $68,332.72 JPM MidCap Value A 2.6580 79,372.6593 $210,970.49 Jns Fd T 4.2313 144,783.8237 $612,630.44 Mrly Stbl Val Rtrmt DCVA 1.5501 14,630.0452 $22,678.34 NW BD INDX A 1.7217 9,139.1308 $15,734.62 NW Dest 2015 Inst Svc 1.1982 43,528.8893 $52,158.18 NW Dest 2020 Inst Svc 1.2350 163,698.5452 $202,174.10 NW Dest 2025 Inst Svc 1.2676 1,365,531.5831 $1,731,014.26 NW Dest 2030 Inst Svc 1.2781 957,214.3629 $1,223,444.97 NW Dest 2035 Inst Svc 1.2920 315,644.4194 $407,800.76 NW Dest 2040 Inst Svc 1.2761 618,708.0734 $789,554.71 NW Dest 2045 Inst Svc 1.2831 295,627.7002 $379,317.66 NW Dest 2055 Inst Svc 1.4223 1,847.8571 $2,628.14 NW Fd Inst Svc 43.4349 4,379.7202 $190,232.88 NW INTL INDX A 1.5151 80,003.2690 $121,212.15 NW Inv Dest Aggr Svc 1.8977 1,199,669.3293 $2,276,637.87 NW Inv Dest Cnsrv Svc 1.5523 322,722.7025 $500,956.28 WWW.NRSFORU.COM Questions? Call us! (877)677-3678 1

Statement Details Investment Option Summary (continued) Investment Option Ending Price Units Value NW Inv Dest Mod Aggr Svc 1.8724 265,505.5967 $497,136.53 NW Inv Dest Mod Cnsrv Svc 1.7014 130,809.4528 $222,565.05 NW Inv Dest Mod Svc 1.7750 436,906.1330 $775,529.57 NW LgCap Gr 1.5303 335,248.6145 $513,029.78 NW MDCAP MKT INDX A 2.8631 82,972.7185 $237,558.49 NW Mny Mkt Prm 3.9610 21,430.0477 $84,884.97 NW NVIT Mult Mgr Sm Co I 3.8338 33,350.0313 $127,858.24 NW S P 500 Indx Inst Svc 2.0183 167,719.5730 $338,513.32 NW SMCAP INDX A 2.4487 49,974.0743 $122,371.72 NW US SmCap Val Inst Svc 1.6341 24,902.3345 $40,693.44 Nationwide Fixed Account $13,569,639.68 NeuBer Genesis Tr 3.3905 66,215.3961 $224,501.23 NeuBer Soc Resp Inv 2.1143 5,359.0662 $11,330.84 Opp Glbl A 3.7417 104,709.7848 $391,793.88 PIMCO Ttl Rtn A 2.0659 192,748.5162 $398,190.91 TRowePr Gr Stk Adv 2.2969 123,660.4446 $284,041.86 W&R Advisor High Income Y 2.4812 133,465.8844 $331,151.73 WFA Disc Admn 1.5478 327,782.6476 $507,356.73 Total Value $32,983,139.26 457(b) OBRA-PST Plan Nationwide Fixed Account $760,387.92 Total Value $760,387.92 TOTAL $33,743,527.18 Participant Account Values by Investment Option - July 1, 2015 to September 30, 2015 457(b) Plan ( 0037134001) Contributions/ Distributions/ Beginning Loan Loan Charges/ Gain/Loss/ Ending Balance Payments Exchanges Disbursements Credits/Fees Interest Balance AmCent Gr Inv $493,274.46 $2,176.99 -$11,832.18 $0.00 -$7.92 -$29,798.89 $453,812.46 AmCent Val Inv $343,624.80 $2,920.38 -$11,353.14 -$4,843.75 -$7.16 -$28,914.72 $301,426.41 AmFds Gr Fd Am A $492,112.20 $30,598.22 $0.00 -$63,732.38 -$17.95 -$33,634.63 $425,325.46 AmFds Inc Fd Am A $27,576.02 $1,741.57 -$107.72 $0.00 $0.00 -$1,688.76 $27,521.11 Brwn Cap Sm Co Inv $544,014.79 $4,556.83 $95,107.30 $0.00 $0.00 -$40,114.94 $603,563.98 Drey App $206,540.55 $261.03 $0.00 -$2,483.18 $0.00 -$14,857.81 $189,460.59 Drey S P 500 Indx $219,221.75 $3,887.75 -$2,840.97 -$6,725.28 -$32.27 -$14,772.21 $198,738.77 Fed US GovtSec 2 5 Yr Inst $16,641.02 $448.67 $0.00 $0.00 $0.00 $50.79 $17,140.48 Fid Contra $2,517,031.02 $18,293.69 -$42,246.23 -$68,143.33 -$29.33 -$120,501.30 $2,304,404.52 Invsco Gr Inc A $1,075,143.78 $4,005.01 $0.00 -$307.32 -$6.87 -$102,715.66 $976,118.94 Invsco Intl Gr R5 $114,685.87 $1,851.85 -$35,931.85 -$318.98 -$2.94 -$11,951.23 $68,332.72 JPM MidCap Value A $314,476.82 $4,903.49 -$92,398.85 $0.00 $0.00 -$16,010.97 $210,970.49 Jns Fd T $660,600.41 $4,048.07 $0.00 -$7,721.41 -$9.98 -$44,286.65 $612,630.44 Mrly Stbl Val Rtrmt DCVA $22,646.01 $0.00 $0.00 $0.00 $0.00 $32.33 $22,678.34 NW BD INDX A $16,728.00 $694.03 -$76.71 -$1,737.87 -$16.09 $143.26 $15,734.62 NW Dest 2015 Inst Svc $54,773.31 $0.00 $0.00 $0.00 $0.00 -$2,615.13 $52,158.18 NW Dest 2020 Inst Svc $212,621.46 $1,632.96 $0.00 -$211.42 $0.00 -$11,868.90 $202,174.10 NW Dest 2025 Inst Svc $1,826,091.89 $44,059.11 $0.00 -$15,540.28 -$100.00 -$123,496.46 $1,731,014.26 NW Dest 2030 Inst Svc $1,289,242.69 $29,844.67 $0.00 $0.00 $0.00 -$95,642.39 $1,223,444.97 NW Dest 2035 Inst Svc $418,971.11 $22,574.56 $0.00 $0.00 -$50.00 -$33,694.91 $407,800.76 NW Dest 2040 Inst Svc $682,066.86 $169,243.88 $0.00 $0.00 $0.00 -$61,756.03 $789,554.71 NW Dest 2045 Inst Svc $366,172.66 $47,256.47 $0.00 $0.00 $0.00 -$34,111.47 $379,317.66 NW Dest 2050 Inst Svc $15,809.02 $0.00 $0.00 -$15,736.53 $0.00 -$72.49 $0.00 NW Dest 2055 Inst Svc $2,201.11 $655.62 $0.00 $0.00 $0.00 -$228.59 $2,628.14 NW Fd Inst Svc $203,273.78 $3,827.03 $0.00 $0.00 $0.00 -$16,867.93 $190,232.88 NW INTL INDX A $133,558.61 $2,090.91 $16.94 -$640.66 -$5.07 -$13,808.58 $121,212.15 NW Inv Dest Aggr Svc $2,690,321.08 $52,884.13 -$256,676.22 -$2,030.19 -$100.00 -$207,760.93 $2,276,637.87 NW Inv Dest Cnsrv Svc $249,659.76 $3,008.14 $259,991.34 -$4,008.14 $0.00 -$7,694.82 $500,956.28 NW Inv Dest Mod Aggr Svc $528,706.45 $7,803.45 $0.00 $0.00 $0.00 -$39,373.37 $497,136.53 NW Inv Dest Mod Cnsrv Svc $226,982.33 $3,188.99 $0.00 $0.00 $0.00 -$7,606.27 $222,565.05 NW Inv Dest Mod Svc $815,470.49 $10,768.91 -$3,315.12 -$2,728.33 -$75.00 -$44,591.38 $775,529.57 NW LgCap Gr $678,681.48 $27,471.76 $0.00 -$159,327.69 $0.00 -$33,795.77 $513,029.78 NW MDCAP MKT INDX A $258,038.94 $2,999.00 $16.27 -$802.77 -$7.43 -$22,685.52 $237,558.49 NW Mny Mkt Prm $97,503.23 $374.43 $0.00 -$12,900.00 $0.00 -$92.69 $84,884.97 NW NVIT Mult Mgr Sm Co I $138,937.43 $1,333.12 $0.00 $0.00 $0.00 -$12,412.31 $127,858.24 NW S P 500 Indx Inst Svc $359,744.26 $3,198.88 $0.00 -$497.96 -$24.98 -$23,906.88 $338,513.32 NW SMCAP INDX A $137,232.59 $2,256.74 $9.94 -$365.97 -$3.39 -$16,758.19 $122,371.72 NW US SmCap Val Inst Svc $46,401.15 $2,372.07 -$3,079.43 $0.00 $0.00 -$5,000.35 $40,693.44 Nationwide Fixed Account $13,358,738.14 $81,005.62 $159,063.22 -$145,513.12 -$145.69 $116,491.51 $13,569,639.68 2 QUARTERLY REPORT FOR CARROLLTON TX

Statement Details Participant Account Values by Investment Option (continued) Contributions/ Distributions/ Beginning Loan Loan Charges/ Gain/Loss/ Ending Balance Payments Exchanges Disbursements Credits/Fees Interest Balance NeuBer Genesis Tr $245,663.73 $1,890.44 $0.00 -$6,145.20 -$7.98 -$16,899.76 $224,501.23 NeuBer Soc Resp Inv $12,127.03 $0.00 $0.00 $0.00 $0.00 -$796.19 $11,330.84 Opp Glbl A $433,469.87 $8,619.40 $313.66 -$3,595.20 -$5.00 -$47,008.85 $391,793.88 PIMCO Ttl Rtn A $393,619.39 $8,120.52 -$2,885.97 $0.00 $0.00 -$663.03 $398,190.91 TRowePr Gr Stk Adv $295,079.02 $3,576.81 $0.00 $0.00 $0.00 -$14,613.97 $284,041.86 W&R Advisor High Income Y $504,463.73 $3,245.41 -$160,975.55 $0.00 $0.00 -$15,581.86 $331,151.73 WFA Disc Admn $467,441.49 $12,873.36 $109,201.27 -$11,249.54 -$19.95 -$70,889.90 $507,356.73 457(b) Plan Total $34,207,381.59 $638,563.97 $0.00 -$537,306.50 -$675.00 -$1,324,824.80 $32,983,139.26 457(b) OBRA-PST Plan ( 0037134002) Nationwide Fixed Account $759,561.15 $26,012.75 $0.00 -$31,840.53 $0.00 $6,654.55 $760,387.92 457(b) OBRA-PST Plan Total $759,561.15 $26,012.75 $0.00 -$31,840.53 $0.00 $6,654.55 $760,387.92 TOTAL $34,966,942.74 $664,576.72 $0.00 -$569,147.03 -$675.00 -$1,318,170.25 $33,743,527.18 Gain/Loss is the difference between the account balance on the first and last day of the period, after allowing for the effects of transactions. Loan Information - July 1, 2015 to September 30, 2015 Plan Type - 457(b) Plan Loan Payments this Period Principal Principal Principal Principal Finance *Principal Balance On Principal Loan Loan Principal Balance On Principal Interest Charges Total Default as of 07/01/2015 Paid Adjustment Disbursement Offset 09/30/2015 Paid Paid Paid Payment 09/30/2015 $696,361.71 $55,077.74 $0.00 $39,400.00 $887.81 $679,796.16 $55,077.74 $5,896.49 $1,109.90 $62,084.13 $128,065.88 Y*Default amounts are included in Beginning and Ending Balances. Life Insurance Information - July 1, 2015 to September 30, 2015 Life Option Premium Per Pay Report Period Premiums Account Value Surrender Value Death Benefit Plan I Universal Life $14.70 $102.90 $4,493.63 $4,493.63 $35,000.00 Universalife Plus Plan 1 $187.88 $683.27 $75,186.63 $75,186.63 $723,305.00 Universalife Plus Plan 2 $21.48 $0.00 $11,530.88 $11,530.88 $99,000.00 The account value amount that is reported on your statement does not reflect any potential surrender charges that may occur on termination of your life insurance policy during the early contract years. In addition, deferrals in transit are not included in this amount. WWW.NRSFORU.COM Questions? Call us! (877)677-3678 3

PERFORMANCE RESULTS Investment Performance Information - July 1, 2015 to September 30, 2015 The results shown represent past performance and do not represent expected future performance or experience. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor's units, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the data quoted. Performance data current to the most recent month-end may be obtained by visiting: WWW.NRSFORU.COM. Please consider the fund's investment objectives, risks, and charges and expenses carefully before investing. Both the underlying fund prospectuses and informational brochure contain this and other important information, and are available by calling (877)677-3678. Read carefully before investing. Please see other important disclosures at the end of this report. Annualized Current Current Year VRU # Fixed Investment Option Quarter Yield Guaranteed Minimum Yield 365 Nationwide Fixed Account (g) 3.500% 3.500% Gross Morningstar Average Annual Return Since Inception Expense VRU # Variable Investment Options Category YTD 1 Year 5 Year 10 Year Inception Date Ratio Small-Cap Stocks 594 130 384 798 NW SMCAP INDX A (+) Brwn Cap Sm Co Inv (+) NW NVIT Mult Mgr Sm Co I (+) NW US SmCap Val Inst Svc (+) International Stocks Small Blend Small Growth Small Growth Small Value -8.30% -0.72% -3.82% -8.42% 0.49% 8.05% 2.79% -4.10% 10.81% 15.21% 11.10% 10.98% 5.56% 11.66% 5.82% 6.87% 11.26% 9.63% 5.97% 04/09/97 12/31/92 10/23/95 12/21/07 0.73% 1.26% 1.24% 1.35% 612 881 408 NW INTL INDX A (+) Invsco Intl Gr R5 (+) Opp Glbl A (+) Mid-Cap Stocks Foreign Foreign World Stock -4.87% -7.53% -1.91% -9.02% -8.17% -2.26% 3.08% 4.72% 8.42% 2.09% 5.06% 5.23% 1.05% 6.82% 10.86% 12/29/99 03/15/02 12/22/69 0.70% 0.99% 1.13% 613 388 905 314 NW MDCAP MKT INDX A (+) NeuBer Genesis Tr (+) WFA Disc Admn (+) JPM MidCap Value A (+) Large-Cap Stocks Mid-Cap Blend Mid-Cap Growth Mid-Cap Growth Mid-Cap Value -5.42% -2.91% -3.22% -6.37% 0.34% 2.46% 1.83% 1.13% 11.69% 11.29% 13.11% 13.61% 7.07% 6.96% 8.66% 7.54% 7.72% 11.61% 10.91% 11.81% 12/29/99 09/27/88 12/31/87 11/13/97 0.68% 1.10% 1.12% 1.40% 149 160 367 372 181 259 289 392 520 539 102 586 746 Drey App (+) Drey S P 500 Indx (*) NW Fd Inst Svc (+) NW S P 500 Indx Inst Svc (+) Fid Contra (*) AmFds Gr Fd Am A (*) Jns Fd T (*) NeuBer Soc Resp Inv (+) TRowePr Gr Stk Adv (+) AmCent Gr Inv (*) AmCent Val Inv (+) Invsco Gr Inc A (+) NW LgCap Gr (n) (+) Balanced Large Value Large Value -7.82% -6.17% -5.23% -5.83% -0.45% -2.81% -1.88% -6.21% 1.57% -3.15% -9.47% -7.99% -3.50% -6.00% -1.86% -2.32% -1.42% 2.45% -0.35% 4.31% -1.34% 5.78% 2.03% -6.01% -6.04% 0.61% 9.12% 11.91% 11.46% 12.40% 12.44% 11.67% 10.83% 11.35% 14.45% 11.33% 10.71% 10.77% 11.96% 4.94% 5.47% 4.82% 5.91% 7.58% 6.06% 5.80% 6.27% 8.05% 6.75% 5.59% 5.34% 9.77% 7.66% 9.06% 4.12% 11.40% 12.51% 11.36% 8.41% 10.25% 12.31% 8.95% 8.95% 5.29% 01/18/84 01/02/90 05/11/33 07/24/98 05/17/67 11/30/73 02/05/70 03/16/94 04/11/50 06/30/71 09/01/93 08/01/46 04/27/07 0.93% 0.51% 0.77% 0.42% 0.64% 0.66% 0.76% 0.86% 0.92% 0.97% 0.97% 0.85% 0.95% 277 AmFds Inc Fd Am A (*) Bonds Moderate Allocation -6.50% -4.85% 7.52% 5.04% 10.10% 11/30/73 0.57% 642 428 W&R Advisor High Income Y (+) PIMCO Ttl Rtn A (+) High Yield Bond Intermediate-Term Bond -2.81% -0.33% -4.62% 0.77% 7.31% 2.41% 6.96% 4.89% 6.37% 6.70% 01/04/96 05/11/87 0.74% 0.85% 611 NW BD INDX A (+) Intermediate-Term Bond 0.29% 1.78% 2.03% 3.54% 4.62% 04/03/97 0.67% Short-Term Investments 1232 171 PNC Mny Mkt A (c) (#) CURRENT YIELD: -0.41% Fed US GovtSec 2 5 Yr Inst (*) Fixed Assets/Cash Money Market-Taxable Short Government -0.31% 0.40% -0.42% 0.50% -0.40% 0.09% 0.80% 2.50% 2.21% 5.18% 04/01/91 02/18/83 0.60% 0.86% 373 354 NW Mny Mkt Prm (c) (+) CURRENT YIELD: -0.40% Mrly Stbl Val Rtrmt DCVA (d) (+) Money Market-Taxable -0.30% 0.40% -0.40% 0.50% -0.40% 0.71% 0.82% 1.77% 4.27% 4.03% 03/03/80 07/31/89 0.64% 4 QUARTERLY REPORT FOR CARROLLTON TX

PERFORMANCE RESULTS Investment Performance Information - July 1, 2015 to September 30, 2015 Gross Morningstar Average Annual Return Since Inception Expense VRU # Variable Investment Options Category YTD 1 Year 5 Year 10 Year Inception Date Ratio Asset Allocation 623 NW Inv Dest Mod Aggr Svc (j) (+) Aggressive Allocation -5.39% -3.46% 7.23% 4.42% 3.22% 03/30/00 0.87% 624 NW Inv Dest Aggr Svc (j) (+) Aggressive Allocation -6.10% -3.95% 8.23% 4.49% 2.94% 03/30/00 0.85% 620 NW Inv Dest Cnsrv Svc (j) (+) Conservative Allocation -1.07% -0.07% 2.80% 3.07% 3.08% 03/30/00 0.88% 621 NW Inv Dest Mod Cnsrv Svc (j) (+) Conservative Allocation -2.34% -1.09% 4.52% 3.76% 3.38% 03/30/00 0.87% 622 NW Inv Dest Mod Svc (j) (+) Moderate Allocation -4.04% -2.55% 5.88% 4.09% 3.33% 03/30/00 0.86% 795 NW Rtrmt Inc Inst Svc (b) (+) Retirement Income -1.80% -0.78% 2.18% 2.19% 08/29/07 0.65% 794 NW Dest 2015 Inst Svc (l) (+) Target Date 2011-2015 -3.11% -1.77% 4.88% 2.49% 08/29/07 0.65% 793 NW Dest 2020 Inst Svc (l) (+) Target Date 2016-2020 -3.83% -2.50% 5.69% 2.80% 08/29/07 0.65% 792 NW Dest 2025 Inst Svc (l) (+) Target Date 2021-2025 -4.75% -3.20% 6.46% 3.07% 08/29/07 0.66% 791 NW Dest 2030 Inst Svc (l) (+) Target Date 2026-2030 -5.08% -3.40% 7.19% 3.13% 08/29/07 0.66% 790 NW Dest 2035 Inst Svc (l) (+) Target Date 2031-2035 -5.46% -3.54% 7.77% 3.15% 08/29/07 0.66% 789 NW Dest 2040 Inst Svc (l) (+) Target Date 2036-2040 -5.47% -3.38% 7.96% 2.93% 08/29/07 0.65% 788 NW Dest 2045 Inst Svc (l) (+) Target Date 2041-2045 -5.68% -3.47% 8.09% 2.95% 08/29/07 0.64% 787 NW Dest 2050 Inst Svc (l) (+) Target Date 2046-2050 -5.68% -3.52% 8.02% 3.00% 08/29/07 0.65% 910 NW Dest 2055 Inst Svc (l) (+) Target Date 2051+ -5.77% -3.45% 6.47% 12/27/10 0.64% FEE DISCLOSURES The Standardized illustration represents performance based on a $1,000 hypothetical investment, and reflects the deduction of the following fees: * denotes a Fee of 0.80% # denotes a Fee of 0.45% + denotes a Fee of 0.40% The participant account maintenance charge, up to a maximum of $50, will not be assessed unless agreed to by the entity. Options in bold are options in a group variable annuity contract. Fees indicated for those options are Variable Account Expense Fees and are in addition to the fees disclosed in the underlying fund prospectus. Gross expense ratios represent the fund's total operating expenses expressed as a percentage of the assets held in the fund. For more information about gross expense ratios, read the fund's prospectus. Some mutual funds may impose a short term trade fee. Some funds may be subject to a trade restriction policy. Please read the underlying prospectus carefully. FOOTNOTES b) These funds are designed to provide diversification and asset allocation across several types of investments and asset classes, primarily by investing in underlying funds. Therefore, in addition to the fund's expenses, you are indirectly paying a proportionate share of the applicable fees and expenses of the underlying funds. c) The money market current yield is the annualized historical yield for the 7-day period ending on the last day of the calendar quarter. Yield quotation more closely reflects the current earnings of the money market fund than the total return quotation. d) This fund may not be available in all plans. This option is offered outside the group variable annuity contract. The funds initial investments will be in units of Morley Financial's Stable Value Fund. Return history pertains to the Stable Value Fund managed by the same fund manager since inception in December 1993. g) Interest rates are declared quarterly and are subject to change. Guarantees are subject to the claims-paying ability of the company. The unregistered fixed annuity is issued by Nationwide Life Insurance Company, Columbus, Ohio. j) Nationwide Investor Destinations Funds are designed to provide diversification and asset allocation. They do this by investing in several types of investments and asset classes. So, in addition to the expenses of the Investor Destinations Fund, you pay a proportionate share of the expenses of the underlying funds. l) The Target Destination Funds invest in a wide variety of underlying funds to help reduce investment risk. So in addition to the expenses of the Target Destination Funds, you pay a proportionate share of the expenses of the underlying funds. Like other funds, Target Destination Funds are subject to market risk and loss. Loss of principal can occur at any time, including before, at or after the target date. There is no guarantee that target date funds will provide enough income for retirement. n) The Nationwide Large Cap Growth Portfolio is not a mutual fund. Its performance cannot be tracked in newspapers or through other public resources. You can find more information and track the Portfolio's performance via your plan's website, www.nrsforu.com. RISK DISCLOSURES Money market funds: Money market funds are not insured or guaranteed by the FDIC or any other government agency. Although the goal of a money market is to preserve the value of an investment at $1 per share, it is still possible to lose money. International/emerging markets funds: Funds that invest in international stocks face risks that funds investing only in U.S. stocks do not. Currency fluctuation, political risk, differences in accounting standards and the limited availability of information may make these funds less stable. Small company funds: Small and emerging companies may have less liquidity than larger, established companies. Therefore, funds investing in stocks of small or emerging companies may face greater price volatility and risk. High-yield bond funds: Funds that invest in high-yield securities may have more credit risk and changes in price than funds that invest in higher-quality securities. Non-diversified funds: Funds that invest in a single industry or small number of securities may be more volatile than those that invest more broadly. Government bond funds: These funds invest mainly in securities of the U.S. government and its agencies; however, these entities do not guarantee the value of the funds. Real estate funds: Funds that invest mainly in real estate are sensitive to economic and business cycles, changing demographic patterns and government actions. WWW.NRSFORU.COM Questions? Call us! (877)677-3678 5

PERFORMANCE RESULTS Investment Performance Information - July 1, 2015 to September 30, 2015 IMPORTANT DISCLOSURES Investing may involve market risk, including the possible loss of principal. Certain underlying funds discussed here are only available as investment options in group variable annuity contracts issued by life insurance companies. They are not offered or made available directly to the general public. These portfolios contain different investments than similarly named mutual funds offered by the money manager and investment returns may be higher or lower. Inception Date is the date the underlying fund was established. Non-Standardized performance for UIOs includes hypothetical performance for periods before the UIO was available in the annuity, where applicable, applying contract charges to actual fund NAVs to determine the performance the UIO would have achieved inside the separate account. Performance numbers in the YTD (Year To Date) column are not annualized returns and represent the total percentage change in unit value from the beginning of the year to the date of this report. Fund category data provided by Morningstar. 2015 Morningstar, Inc. All Rights Reserved. The Morningstar information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Although data is gathered from reliable sources, data accuracy and completeness cannot be guaranteed. Nationwide Retirement Solutions, Inc. and its affiliates (Nationwide) offer a variety of investment options to public sector retirement plans through variable annuity contracts, trust or custodial accounts. Nationwide may receive payments from mutual funds or their affiliates in connection with those investment options. For more detail about the payments Nationwide receives, please visit www.nrsforu.com Retirement Specialists are Registered Representatives of Nationwide Investment Services Corporation, member FINRA. In MI only: Nationwide Investment Svcs. Corporation The unregistered group variable and fixed annuity is issued by Nationwide Life Insurance Company, Columbus, OH. Contract number NRC-0105AO, NRC-0105OR, NRC-0106AO, NRC-0106OR, NRZ-0102AO, NRZ-0102OR. In Oklahoma only: NRC-0105OK, NRC-0106OK. 2015, Nationwide Retirement Solutions, Inc. All Rights Reserved. Nationwide and the Nationwide framemark are federally registered service marks of Nationwide Mutual Insurance Company. On Your Side is a service mark of Nationwide Mutual Insurance Company. 6 QUARTERLY REPORT FOR CARROLLTON TX