Foundation a variable annuity issued by Genworth Life and Annuity Insurance Company

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as of November 30, 2012 For contracts issued prior to May 1, 2003, or prior to the date on which state insurance authorities approve applicable contract modifications. Foundation 18903CB 12/01/12 Exp. 01/15/13 '2012 Genworth Financial, Inc. All rights reserved. Page 1 of 12

IMPORTANT INFORMATION The following information is designed to help you better understand this performance report. Please read carefully and refer back to this section if you have any questions. This report is authorized for use only when preceded or accompanied by a current product prospectus, which describes investment objectives, risk factors, fees, and charges that may apply, as well as other important information. Please read the prospectuses for the product and underlying portfolios carefully before you invest or send money. About Us... Issuing Insurance Company (Genworth Life & Annuity) 6610 West Broad Street Richmond, VA 23230 Principal Underwriter Capital Brokerage Corporation (dba Genworth Financial Brokerage Corporation in Indiana) 6620 West Broad Street Building 2, Richmond, VA 23230 Member FINRA Genworth Life & Annuity and Capital Brokerage Corporation are members of Genworth Financial. About the Product... Variable annuities are long-term investments designed for retirement purposes. Variable products are sold by product prospectus, which describes investment objectives, risk factors, fees, and charges that may apply (e.g., mortality and expense, administrative charges, and surrender charges). The product prospectus also covers other features such as the death benefit and annuitization options. The prospectuses for the underlying investments contain information on the investment objectives, risk factors, fees and charges as well as other important information about the funds and investment companies that should be carefully read and considered before investing. You can obtain the prospectus for the underlying investments by calling 888-GENWORTH. Withdrawals/Surrenders You may withdraw/surrender all or a portion of the contract value. We will not permit a withdrawal that is less than $100 or that reduces contract value to less than $1,000. If your withdrawal request would reduce contract value to less than $1,000, we will surrender your contract in full. Surrender charges may apply. Withdrawals/surrenders have the effect of reducing the contract value and any death benefits, including optional death benefits. Withdrawals/surrenders of taxable amounts are subject to ordinary income tax, and if taken prior to age 59, an additional 10% federal penalty tax may apply. Foundation is a flexible premium variable deferred annuity, policy forms P1154 4/00, P5152 12/00, and P5161 3/01, not available in all states or markets. Features and benefits may vary by state. Ask your registered representative for details. All guarantees, including death benefits, and Guarantee Account, are based on the claims-paying ability of Genworth Life & Annuity. Portfolios Variable annuities allow you to invest in portfolios that span the risk/reward spectrum. The value of a portfolio will fluctuate and, upon redemption, portfolio shares may be worth more or less than the original cost. Some portfolios are more volatile than others. Before investing, you should carefully read the applicable risk section in the portfolio prospectus. High-yield securities portfolios are subject to greater credit risk and price fluctuations than portfolios that invest in higher-quality securities. The price yield of bond funds may fluctuate due to general market conditions and the credit quality of individual issues held in the fund. Bond prices are sensitive to interest rate changes, and a rise in interest rates will likely cause the prices of current bonds to decline. These portfolios are annotated in the tables with the superscript "H". If you choose to invest in international portfolios, there are additional risks not associated with investing solely in the U.S. These risks include currency fluctuation, political risks, differences in accounting standards and the limited availability of information. These portfolios are annotated in the tables with the superscript "+". Investing in real estate portfolios involves risks such as refinancing, economic conditions in the real estate industry, changes in property values, dependency on real estate management and other risks associated with a portfolio that concentrates its investments in one sector or geographic region. These portfolios are annotated in the tables with the superscript "R". Portfolios that invest in stocks of small or emerging companies may have less liquidity than those of larger, more established companies and may be subject to greater price variability and risk than the overall stock market. These portfolios are annotated in the tables with the superscript " ". 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 2 of 12

An investment in a money market portfolio is not insured or guaranteed by the FDIC or any other government agency. Although the portfolio seeks to preserve the net asset value (used to calculate portfolio share value) of your investment at $1.00 per share, it is possible to lose money by investing in the portfolio. These investment portfolios are not available to the general public directly and are only available in variable annuity and variable life insurance products. No assurance or representation is made that the investment results of any of the product s portfolios will be comparable to the investment results of any other similar portfolio available to the general public. This is true even if the other portfolio has the same investment advisor or portfolio manager, and/or has a similar name. Fees & Expenses... Annual Contract Charge We deduct a charge of $30 (assumed to be equivalent to 0.10% annually) from your contract value for certain administrative expenses incurred in connection with the contract. We will deduct the charge on each contract anniversary or if you fully surrender your contract. We will waive this charge if your contract value is at least $40,000 on the contract anniversary date. Asset Charge For contracts whose annuitant is age 70 or lower at issue we deduct from the portfolios an amount, computed daily, equal to an annual rate of 1.50% of the contract value in the Separate Account. We assess this charge when we compute the net investment factor. The asset charge reduces the value of Accumulation Units and Annuity Units. The charge consists of an administrative expense charge at an effective annual rate of.15% and a mortality and expense risk charge at an effective annual rate of 1.35% For contracts whose annuitant is age 71 or greater at issue we deduct from the portfolios an amount, computed daily, equal to an annual rate of 1.70% of the contract value in the Separate Account. We assess this charge when we compute the net investment factor. The asset charge reduces the value of Accumulation Units and Annuity Units. The charge consists of an administrative expense charge at an effective annual rate of 0.15% and a mortality and expense risk charge at an effective annual rate of 1.55%. Portfolio Management Fees & Expenses We deduct from the portfolios the fees imposed by the individual portfolios you have selected at the time the contract is put in force. Surrender Charge Performance results labeled "Contract Surrendered" reflect the deduction of a surrender charge. They also reflect the application of a free withdrawal privilege equal to 10% of purchase payments plus any gains. The surrender charge is a percentage of the purchase payments to date and varies by the number of years since any given purchase payment was made, as shown in the following table: Optional Death Benefits... Completed contract years since purchase payment 0 1 2 3 4 5 6+ Surrender charge 6% 6% 6% 6% 5% 4% 0% Optional Death Benefit Rider The charge for this rider is 0.25% of the contract value at the end of each contract year. The Optional Death Benefit Rider accumulates your purchase payments by 6% annually to a maximum of twice the total payments and pays the greater of this amount or the basic death benefit. This rider is available to Annuitants age 75 or younger at contract issue. Withdrawals up to 6% of purchase payments per contract year calculated at the time of the withdrawals reduce the minimum death benefit by the same amount (dollar for dollar) that the withdrawal reduces the contract value. If withdrawals exceed 6% of purchase payments in the current or any prior contract year, the minimum death benefit of this rider will be reduced proportionately (pro rata) by the same percentage that the withdrawal (including any applicable surrender charges) reduces contract value. Optional Enhanced Death Benefit Rider The maximum charge for this rider is 0.35% of the prior contract year s average contract value. The Optional Enhanced Death Benefit Rider pays an additional amount equal to 40% of any gain (not to exceed 70% of purchase payments) to Annuitants aged 70 or younger at contract issue, or 25% of any gain (not to exceed 40% of purchase payments) to Annuitants aged 71 to 75 at contract issue. It is only available for issue ages 75 and younger. About Past Performance... These returns are based on the performance of Genworth Life & Annuity VA Separate Account 1 (VA Separate Account 1) investment options. Any performance that precedes the adoption date was derived by reducing the portfolio s actual performance during the period by the fees and charges that would have been imposed had the portfolio been in the policy during the period. Performance results are calculated as if all the capital gains and dividends were reinvested. Performance results assume an initial investment of $1,000 at 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 3 of 12

the beginning of the periods shown with no withdrawals/surrenders taken or additional investments during the period. Performance results are calculated as if all the capital gains and dividends were reinvested. Returns for periods of less than one year are not annualized. The items listed in the Fees & Expenses section were deducted from the portfolio s performance. State premium taxes are not reflected. Performance results labeled "Contract Surrendered" assume that the contract was surrendered at the end of the periods shown and reflect the deduction of a surrender charge. The surrender charge varies by the contract years since any purchase payment as described in the Surrender Charge section. Performance results labeled "Contract Not Surrendered" are calculated at the end of the period shown but do not deduct surrender charges. VA Separate Account 1 average annual compounded total return figures are calculated at the end of the periods shown, unless a portfolio was not available in the Separate Account during those periods. Standardized Performance Maximum charges for optional riders are reflected. Performance is calculated from the Date. Non-Standardized Performance Charges for optional riders are not reflected. Performance is calculated from the underlying portfolio s Date. This date may be different from the date the portfolio first became available in the contract. Performance that predates the adoption of this portfolio in the contract is therefore hypothetical in nature; it is noted in the tables with the symbol "*". The return is calculated as if the portfolio had been in the contract for the period shown. Performance numbers are based on values provided by the portfolio management companies and are believed to be accurate; however, Genworth Life & Annuity cannot independently verify them. Date The Date is the date the underlying portfolio became available in VA Separate Account 1. Portfolio Date Portfolio Date is the date the Securities and Exchange Commission (SEC) declared the underlying portfolio effective. Portfolio returns are calculated from the portfolio Date and not from the Date. Explanation of Symbols "NA" indicates that the performance for the period shown is not available. If a portfolio has not been available for the period shown, total return for the period it has been available, if any, is shown in the " " and " " columns. The returns for subaccounts with a 12b-1 fee, noted in the tables with the symbol " ", may reflect the historical performance of a different class of the underlying portfolio. For time periods before the portfolio s adoption of the rule 12b-1 plan, performance is restated based on the portfolio s 12b-1 fee. fifidelity Investments is a registered trademark of FMR Corp. 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 4 of 12

Standardized Performance Assuming Contract Surrendered for the Month Ending 11/30/12 Includes deduction of maximum rider charges. Date AllianceBernstein VP Balanced Wealth Strategy Portfolio - Class B+ 3.52 2.33-2.75 NA -2.02 08/27/07 AllianceBernstein VP Growth and Income Portfolio - Class B 9.33 8.02-3.60 3.34 1.18 06/30/00 AllianceBernstein VP Large Cap Growth Portfolio - Class B 7.16 4.01-2.77 2.42-3.99 06/30/00 American Century VP Income & Growth Fund - Class I Shares 6.81 6.66-2.82 3.23 2.44 06/28/02 American Century VP Inflation Protection Fund - Class II Shares 0.49 3.47 3.21 NA 3.27 04/29/05 American Century VP International Fund - Class I Shares + 6.20 1.68-6.38 4.55 2.78 06/28/02 American Century VP Ultrafi Fund - Class I Shares 4.20 7.03-2.11 2.53 1.65 06/28/02 American Century VP Value Fund - Class I Shares 7.81 5.58-1.29 4.15 3.22 06/28/02 Dreyfus Investment Portfolios - MidCap Stock Portfolio - Initial Shares 8.56 11.93 0.30 5.18 3.81 06/28/02 Dreyfus Variable Investment Fund - Money Market Portfolio -7.65-4.16-2.69-0.85-0.90 06/28/02 Yield quotations for Money Market more closely reflect the current earnings of the subaccount than the total return. 7-day yields as of 11/30/2012: Effective: -1.80% Current: -1.81% DWS Capital Growth VIP - Class B Shares 6.40 NA NA NA -4.09 04/29/11 DWS Dreman Small Mid Cap Value VIP - Class B Shares 1.67 6.12-1.88 7.92 5.47 06/28/02 DWS Large Cap Value VIP - Class B Shares 0.31 NA NA NA -5.79 04/29/11 Eaton Vance VT Floating-Rate Income Fund -0.62 2.68 1.42 1.54 1.35 06/28/02 Fidelityfi VIP Contrafundfi Portfolio - Service Class 2 7.36 6.66-2.83 6.00 7.53 01/04/95 Fidelityfi VIP Equity-Income Portfolio -Service Class 2 9.98 6.59-3.57 3.27 5.92 05/02/88 Fidelityfi VIP Mid Cap Portfolio - Service Class 2 1.01 5.16-1.62 8.54 5.66 06/30/00 Franklin Templeton Foreign Securities Fund - Class 2 Shares + 2.32-0.43-5.36 4.98 3.08 06/28/02 Franklin Templeton Founding Funds Allocation Fund - Class 2 Shares H+ 5.31 3.85-3.13 NA -2.87 08/27/07 Franklin Templeton Growth Securities Fund - Class 2 Shares 6.63 1.94-6.04 NA -2.41 05/01/06 Franklin Templeton Income Securities Fund - Class 2 Shares H 4.94 5.49 0.59 NA 3.50 04/29/05 Franklin Templeton Large Cap Growth Securities Fund - Class 2 Shares 4.10 3.54-2.85 2.25 1.73 06/28/02 Franklin Templeton Mutual Shares Securities Fund - Class 2 Shares 5.93 4.34-3.97 3.81 2.76 06/28/02 GE Investments Funds, Inc. Total Return Fund - Class 1 Shares + 2.94 2.20-3.11 2.85 5.58 05/02/88 Invesco V.I. Global Real Estate Fund - Series II Shares +R 13.48 6.91-5.03 NA 2.98 04/29/05 Invesco Van Kampen V.I. American Franchise Fund - Series I Shares 3.12 NA NA NA -7.33 04/29/11 JPMorgan Insurance Trust Core Bond Portfolio - Class 1-1.60 2.59 3.27 NA 4.21 05/01/06 JPMorgan Insurance Trust Equity Index Portfolio - Class 1 7.58 6.59-2.32 NA 0.57 05/01/06 JPMorgan Insurance Trust International Equity Portfolio 5.45-0.40-6.21 4.22 2.69 06/28/02 JPMorgan Insurance Trust Intrepid Growth Portfolio - Class 1 8.65 8.63-0.86 NA 1.54 05/01/06 JPMorgan Insurance Trust Intrepid Mid Cap Portfolio - Class 1 6.87 8.14-1.17 NA 0.17 05/01/06 JPMorgan Insurance Trust Mid Cap Growth Portfolio - Class 1 4.37 8.86-1.88 NA 1.39 05/01/06 JPMorgan Insurance Trust Mid Cap Value Portfolio 12.97 12.23 1.46 7.27 6.72 06/28/02 JPMorgan Insurance Trust Small Cap Core Portfolio 8.84 10.67-0.22 5.48 3.88 06/28/02 Securities (including mutual funds and variable life insurance) and investment advisory services are offered through JPMorgan Investments, a division of Chase Investment Services Corp. (CISC). Annuities and insurance products are provided by various insurance companies and offered through Chase Insurance Agency, Inc. (CIA) and/or Chase Manhattan Insurance Agency, Inc. (CMIA), licensed insurance agencies. CISC, a member of FINRA/SIPC, CIA and CMIA are affiliates of JPMorgan Chase Bank. Products not available in all states. Securities (including mutual funds and variable life insurance), annuities and insurance products are not bank deposits and are not insured by the FDIC or any other agency of the United States, nor are they obligations of, nor insured or guaranteed by, JPMorgan Chase Bank, CISC, CIA, CMIA or their affiliates, except where specifically disclosed. Securities (including mutual funds and variable life insurance), certain insurance products and annuities involve investment risks, including the possible loss of value. 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 5 of 12

Standardized Performance Assuming Contract Surrendered for the Month Ending 11/30/12 Includes deduction of maximum rider charges. Date JPMorgan Insurance Trust U.S. Equity Portfolio - Class 1 8.36 5.56-1.07 NA 2.57 05/01/06 MFSfi VIT Investors Growth Stock Series - Service Class Shares 4.73 6.10-0.93 3.20-3.02 06/30/00 MFSfi VIT Strategic Income Series - Service Class Shares H 4.27 3.85 3.29 3.84 3.92 06/28/02 MFSfi VIT Total Return Series - Service Class Shares 2.62 2.98-1.14 2.82 2.41 06/28/02 Oppenheimer Capital Appreciation Fund/VA - Service Shares 3.97 4.24-4.18 2.20 5.94 05/02/88 Oppenheimer Main Street Fund/VA - Service Shares 9.70 6.45-2.45 3.17-0.92 06/30/00 Oppenheimer Main Street Small- & Mid-Cap Fundfi/VA - Service Shares 6.09 9.35-0.45 6.29 4.67 06/28/02 PIMCO VIT High Yield Portfolio - Administrative Class Shares H 7.78 6.88 4.20 6.10 4.32 06/30/00 PIMCO VIT Low Duration Portfolio - Administrative Class Shares -1.58-0.22 1.68 NA 2.30 04/29/05 The Dreyfus Socially Responsible Growth Fund, Inc. - Initial Shares 1.96 5.65-0.92 3.05-3.44 06/30/00 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 6 of 12

Standardized Performance Assuming Contract Surrendered for the Quarter Ending 09/30/12 Includes deduction of maximum rider charges. Date AllianceBernstein VP Balanced Wealth Strategy Portfolio - Class B+ 9.17 2.79-3.04 NA -2.18 08/27/07 AllianceBernstein VP Growth and Income Portfolio - Class B 22.84 9.18-3.94 4.84 1.26 06/30/00 AllianceBernstein VP Large Cap Growth Portfolio - Class B 22.09 6.38-2.45 3.78-3.92 06/30/00 American Century VP Income & Growth Fund - Class I Shares 20.87 8.26-3.53 4.81 2.67 06/28/02 American Century VP Inflation Protection Fund - Class II Shares 1.00 4.22 3.86 NA 3.22 04/29/05 American Century VP International Fund - Class I Shares + 10.88 1.28-6.86 4.97 2.50 06/28/02 American Century VP Ultrafi Fund - Class I Shares 19.96 9.92-1.06 3.82 1.92 06/28/02 American Century VP Value Fund - Class I Shares 19.58 7.05-2.58 5.43 3.37 06/28/02 Dreyfus Investment Portfolios - MidCap Stock Portfolio - Initial Shares 23.53 11.65-0.89 5.70 3.76 06/28/02 Dreyfus Variable Investment Fund - Money Market Portfolio -7.64-4.16-2.54-0.83-0.89 06/28/02 Yield quotations for Money Market more closely reflect the current earnings of the subaccount than the total return. 7-day yields as of 09/30/2012: Effective: -1.80% Current: -1.81% DWS Capital Growth VIP - Class B Shares 22.26 NA NA NA -2.92 04/29/11 DWS Dreman Small Mid Cap Value VIP - Class B Shares 16.89 6.01-2.47 8.18 5.59 06/28/02 DWS Large Cap Value VIP - Class B Shares 12.58 NA NA NA -5.38 04/29/11 Eaton Vance VT Floating-Rate Income Fund 0.93 2.38 1.15 1.47 1.33 06/28/02 Fidelityfi VIP Contrafundfi Portfolio - Service Class 2 18.75 7.45-2.62 6.28 7.67 01/04/95 Fidelityfi VIP Equity-Income Portfolio -Service Class 2 21.13 7.50-4.54 4.75 5.99 05/02/88 Fidelityfi VIP Mid Cap Portfolio - Service Class 2 10.07 6.09-2.14 8.65 5.75 06/30/00 Franklin Templeton Foreign Securities Fund - Class 2 Shares + 7.23-1.46-5.50 5.67 2.89 06/28/02 Franklin Templeton Founding Funds Allocation Fund - Class 2 Shares H+ 12.86 4.11-3.49 NA -3.05 08/27/07 Franklin Templeton Growth Securities Fund - Class 2 Shares 14.21 1.31-6.71 NA -2.81 05/01/06 Franklin Templeton Income Securities Fund - Class 2 Shares H 10.67 6.58 0.21 NA 3.66 04/29/05 Franklin Templeton Large Cap Growth Securities Fund - Class 2 Shares 19.04 5.53-3.11 4.01 2.01 06/28/02 Franklin Templeton Mutual Shares Securities Fund - Class 2 Shares 16.79 4.69-4.08 4.23 2.86 06/28/02 GE Investments Funds, Inc. Total Return Fund - Class 1 Shares + 10.21 2.78-3.11 3.65 5.63 05/02/88 Invesco V.I. Global Real Estate Fund - Series II Shares +R 21.62 6.83-6.20 NA 2.87 04/29/05 Invesco Van Kampen V.I. American Franchise Fund - Series I Shares 14.53 NA NA NA -6.85 04/29/11 JPMorgan Insurance Trust Core Bond Portfolio - Class 1-1.86 3.15 3.72 NA 4.30 05/01/06 JPMorgan Insurance Trust Equity Index Portfolio - Class 1 21.35 8.54-2.58 NA 0.85 05/01/06 JPMorgan Insurance Trust International Equity Portfolio 9.82-1.24-7.01 4.89 2.29 06/28/02 JPMorgan Insurance Trust Intrepid Growth Portfolio - Class 1 21.72 10.78-0.84 NA 1.84 05/01/06 JPMorgan Insurance Trust Intrepid Mid Cap Portfolio - Class 1 19.12 8.39-2.16 NA 0.11 05/01/06 JPMorgan Insurance Trust Mid Cap Growth Portfolio - Class 1 19.81 9.20-1.76 NA 1.50 05/01/06 JPMorgan Insurance Trust Mid Cap Value Portfolio 24.96 11.92 0.46 8.05 6.65 06/28/02 JPMorgan Insurance Trust Small Cap Core Portfolio 27.83 9.37-1.64 6.33 3.99 06/28/02 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 7 of 12

Standardized Performance Assuming Contract Surrendered for the Quarter Ending 09/30/12 Includes deduction of maximum rider charges. Date JPMorgan Insurance Trust U.S. Equity Portfolio - Class 1 21.51 7.58-1.35 NA 2.75 05/01/06 MFSfi VIT Investors Growth Stock Series - Service Class Shares 16.88 7.93-0.71 4.39-2.99 06/30/00 MFSfi VIT Strategic Income Series - Service Class Shares H 4.13 4.31 3.12 3.80 3.91 06/28/02 MFSfi VIT Total Return Series - Service Class Shares 9.66 3.77-1.36 3.52 2.48 06/28/02 Oppenheimer Capital Appreciation Fund/VA - Service Shares 17.98 5.94-4.41 3.93 6.06 05/02/88 Oppenheimer Main Street Fund/VA - Service Shares 21.97 8.38-3.15 4.28-0.82 06/30/00 Oppenheimer Main Street Small- & Mid-Cap Fundfi/VA - Service Shares 22.36 8.20-1.50 6.94 4.74 06/28/02 PIMCO VIT High Yield Portfolio - Administrative Class Shares H 9.91 7.38 3.79 6.62 4.25 06/30/00 PIMCO VIT Low Duration Portfolio - Administrative Class Shares -1.54 0.10 1.99 NA 2.33 04/29/05 The Dreyfus Socially Responsible Growth Fund, Inc. - Initial Shares 16.76 7.58-0.52 4.56-3.27 06/30/00 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 8 of 12

Performance values marked "*" predate the availability of the portfolio in the contract and are therefore hypothetical in nature. These returns were calculated as if the portfolio had been in the contract for the period shown. Non-Standardized Performance Assuming Contract Surrendered for the Month Ending 11/30/12 Does not include deduction of rider charges. 2012 YTD Portfolio AllianceBernstein VP Balanced Wealth Strategy Portfolio - Class B+ 4.72 4.38 3.19-1.96 NA 2.57* 07/01/04 AllianceBernstein VP Growth and Income Portfolio - Class B 8.49 10.23 8.92-2.82 4.18 6.66* 01/14/91 AllianceBernstein VP Large Cap Growth Portfolio - Class B 9.54 8.05 4.88-1.98 3.25 6.23* 06/26/92 American Century VP Income & Growth Fund - Class I Shares 6.46 7.69 7.54-2.03 4.06 2.92* 10/30/97 American Century VP Inflation Protection Fund - Class II Shares 0.87 1.33 4.34 4.07 NA 4.02* 12/31/02 American Century VP International Fund - Class I Shares + 10.10 7.08 2.54-5.61 5.39 3.86* 05/02/94 American Century VP Ultrafi Fund - Class I Shares 6.84 5.07 7.91-1.31 3.36 0.52* 05/01/01 American Century VP Value Fund - Class I Shares 5.69 8.70 6.46-0.47 4.98 5.91* 05/01/96 Dreyfus Investment Portfolios - MidCap Stock Portfolio - Initial Shares 9.43 9.46 12.85 1.16 6.03 3.79* 05/01/98 Dreyfus Variable Investment Fund - Money Market Portfolio -6.79-6.90-3.39-1.90-0.04 0.84* 08/31/90 Yield quotations for Money Market more closely reflect the current earnings of the subaccount than the total return. 7-day yields as of 11/30/2012: Effective: -1.60% Current: -1.61% DWS Capital Growth VIP - Class B Shares 8.88 7.28 6.66* -0.77* 4.34* 5.98* 07/16/85 DWS Dreman Small Mid Cap Value VIP - Class B Shares 3.51 2.52 7.00-1.09 8.78 5.70* 05/01/96 DWS Large Cap Value VIP - Class B Shares 1.47 1.15 3.17* -3.16* 3.76* 5.07* 05/01/96 Eaton Vance VT Floating-Rate Income Fund -0.14 0.22 3.54 2.27 2.36 1.94* 05/02/01 Fidelityfi VIP Contrafundfi Portfolio - Service Class 2 8.36 8.24 7.55-2.04 6.85 8.39* 01/03/95 Fidelityfi VIP Equity-Income Portfolio -Service Class 2 8.60 10.88 7.47-2.78 4.10 6.66* 10/09/86 Fidelityfi VIP Mid Cap Portfolio - Service Class 2 5.25 1.86 6.04-0.82 9.40 10.58* 12/28/98 Franklin Templeton Foreign Securities Fund - Class 2 Shares + 5.74 3.18 0.42-4.59 5.82 5.54* 05/01/92 Franklin Templeton Founding Funds Allocation Fund - Class 2 Shares H+ 5.29 6.18 4.72-2.34 NA -3.21* 07/02/07 Franklin Templeton Growth Securities Fund - Class 2 Shares 9.00 7.51 2.80-5.27 3.81* 4.54* 03/15/94 Franklin Templeton Income Securities Fund - Class 2 Shares H 3.23 5.82 6.36 1.44 6.93* 6.85* 01/24/89 Franklin Templeton Large Cap Growth Securities Fund - Class 2 Shares 4.49 4.96 4.40-2.06 3.08 4.15* 04/30/96 Franklin Templeton Mutual Shares Securities Fund - Class 2 Shares 5.20 6.81 5.21-3.18 4.65 4.80* 11/08/96 GE Investments Funds, Inc. Total Return Fund - Class 1 Shares + 4.20 3.80 3.06-2.32 3.68 6.61* 07/01/85 Invesco V.I. Global Real Estate Fund - Series II Shares +R 15.06 14.40 7.80-4.25 9.06* 6.44* 03/31/98 Invesco Van Kampen V.I. American Franchise Fund - Series I Shares 6.00 3.98 6.41* -1.01* 4.13* 6.01* 07/03/95 JPMorgan Insurance Trust Core Bond Portfolio - Class 1-1.45-0.77 3.45 4.13 3.90* 4.69* 05/01/97 JPMorgan Insurance Trust Equity Index Portfolio - Class 1 7.46 8.47 7.47-1.52 4.25* 1.44* 05/01/98 JPMorgan Insurance Trust International Equity Portfolio 9.11 6.33 0.45-5.44 5.06 2.70* 12/31/94 JPMorgan Insurance Trust Intrepid Growth Portfolio - Class 1 9.84 9.54 9.53-0.01 4.23* 4.35* 07/31/94 JPMorgan Insurance Trust Intrepid Mid Cap Portfolio - Class 1 6.93 7.76 9.03-0.34 6.40* 6.95* 03/30/95 JPMorgan Insurance Trust Mid Cap Growth Portfolio - Class 1 7.68 5.24 9.76-1.08 6.28* 7.58* 08/01/94 JPMorgan Insurance Trust Mid Cap Value Portfolio 12.47 13.89 13.15 2.32 8.12 8.30* 09/28/01 JPMorgan Insurance Trust Small Cap Core Portfolio 9.23 9.73 11.58 0.63 6.33 6.22* 12/31/94 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 9 of 12

Performance values marked "*" predate the availability of the portfolio in the contract and are therefore hypothetical in nature. These returns were calculated as if the portfolio had been in the contract for the period shown. Non-Standardized Performance Assuming Contract Surrendered for the Month Ending 11/30/12 Does not include deduction of rider charges. 2012 YTD Portfolio JPMorgan Insurance Trust U.S. Equity Portfolio - Class 1 9.39 9.25 6.44-0.23 4.83* 4.42* 03/30/95 MFSfi VIT Investors Growth Stock Series - Service Class Shares 8.12 5.60 6.98-0.09 4.03 0.54* 05/03/99 MFSfi VIT Strategic Income Series - Service Class Shares H 3.15 5.14 4.72 4.15 4.67 3.70* 06/14/94 MFSfi VIT Total Return Series - Service Class Shares 2.96 3.48 3.85-0.31 3.65 6.04* 01/03/95 Oppenheimer Capital Appreciation Fund/VA - Service Shares 6.38 4.84 5.11-3.40 3.03 7.23* 04/03/85 Oppenheimer Main Street Fund/VA - Service Shares 8.76 10.60 7.33-1.65 4.00 5.19* 07/05/95 Oppenheimer Main Street Small- & Mid-Cap Fundfi/VA - Service Shares 7.05 6.97 10.25 0.40 7.14 4.39* 05/01/98 PIMCO VIT High Yield Portfolio - Administrative Class Shares H 5.71 8.67 7.76 5.07 6.95 4.42* 04/30/98 PIMCO VIT Low Duration Portfolio - Administrative Class Shares -1.18-0.74 0.63 2.53 2.52* 3.07* 02/16/99 The Dreyfus Socially Responsible Growth Fund, Inc. - Initial Shares 3.93 2.81 6.53-0.08 3.88 4.70* 10/15/93 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 10 of 12

Performance values marked "*" predate the availability of the portfolio in the contract and are therefore hypothetical in nature. These returns were calculated as if the portfolio had been in the contract for the period shown. Non-Standardized Performance Assuming Contract Not Surrendered for the Month Ending 11/30/12 Does not include deduction of rider charges. 2012 YTD Portfolio AllianceBernstein VP Balanced Wealth Strategy Portfolio - Class B+ 10.12 9.78 4.86-1.06 NA 2.57* 07/01/04 AllianceBernstein VP Growth and Income Portfolio - Class B 13.89 15.63 10.41-1.93 4.18 6.66* 01/14/91 AllianceBernstein VP Large Cap Growth Portfolio - Class B 14.94 13.45 6.49-1.08 3.25 6.23* 06/26/92 American Century VP Income & Growth Fund - Class I Shares 11.86 13.09 9.08-1.13 4.06 2.92* 10/30/97 American Century VP Inflation Protection Fund - Class II Shares 6.27 6.73 5.97 4.83 NA 4.02* 12/31/02 American Century VP International Fund - Class I Shares + 15.50 12.48 4.22-4.76 5.39 3.86* 05/02/94 American Century VP Ultrafi Fund - Class I Shares 12.24 10.47 9.44-0.40 3.36 0.52* 05/01/01 American Century VP Value Fund - Class I Shares 11.09 14.10 8.03 0.43 4.98 5.91* 05/01/96 Dreyfus Investment Portfolios - MidCap Stock Portfolio - Initial Shares 14.83 14.86 14.24 2.00 6.03 3.79* 05/01/98 Dreyfus Variable Investment Fund - Money Market Portfolio -1.48-1.60-1.59-1.00-0.04 0.84* 08/31/90 Yield quotations for Money Market more closely reflect the current earnings of the subaccount than the total return. 7-day yields as of 11/30/2012: Effective: -1.60% Current: -1.61% DWS Capital Growth VIP - Class B Shares 14.28 12.68 8.22* 0.14* 4.34* 5.98* 07/16/85 DWS Dreman Small Mid Cap Value VIP - Class B Shares 8.91 7.92 8.55-0.17 8.78 5.70* 05/01/96 DWS Large Cap Value VIP - Class B Shares 6.87 6.55 4.83* -2.28* 3.76* 5.07* 05/01/96 Eaton Vance VT Floating-Rate Income Fund 5.26 5.62 5.19 3.08 2.36 1.94* 05/02/01 Fidelityfi VIP Contrafundfi Portfolio - Service Class 2 13.76 13.64 9.08-1.14 6.85 8.39* 01/03/95 Fidelityfi VIP Equity-Income Portfolio -Service Class 2 14.00 16.28 9.01-1.89 4.10 6.66* 10/09/86 Fidelityfi VIP Mid Cap Portfolio - Service Class 2 10.65 7.26 7.62 0.10 9.40 10.58* 12/28/98 Franklin Templeton Foreign Securities Fund - Class 2 Shares + 11.14 8.58 2.17-3.73 5.82 5.54* 05/01/92 Franklin Templeton Founding Funds Allocation Fund - Class 2 Shares H+ 10.69 11.58 6.33-1.44 NA -2.57* 07/02/07 Franklin Templeton Growth Securities Fund - Class 2 Shares 14.40 12.91 4.47-4.42 3.81* 4.54* 03/15/94 Franklin Templeton Income Securities Fund - Class 2 Shares H 8.63 11.22 7.93 2.28 6.93* 6.85* 01/24/89 Franklin Templeton Large Cap Growth Securities Fund - Class 2 Shares 9.89 10.36 6.03-1.16 3.08 4.15* 04/30/96 Franklin Templeton Mutual Shares Securities Fund - Class 2 Shares 10.60 12.21 6.81-2.30 4.65 4.80* 11/08/96 GE Investments Funds, Inc. Total Return Fund - Class 1 Shares + 9.60 9.20 4.73-1.42 3.68 6.61* 07/01/85 Invesco V.I. Global Real Estate Fund - Series II Shares +R 20.46 19.80 9.33-3.38 9.06* 6.44* 03/31/98 Invesco Van Kampen V.I. American Franchise Fund - Series I Shares 11.40 9.38 7.97* -0.09* 4.13* 6.01* 07/03/95 JPMorgan Insurance Trust Core Bond Portfolio - Class 1 3.95 4.63 5.10 4.89 3.90* 4.69* 05/01/97 JPMorgan Insurance Trust Equity Index Portfolio - Class 1 12.86 13.87 9.01-0.62 4.25* 1.44* 05/01/98 JPMorgan Insurance Trust International Equity Portfolio 14.51 11.73 2.20-4.59 5.06 2.70* 12/31/94 JPMorgan Insurance Trust Intrepid Growth Portfolio - Class 1 15.24 14.94 11.01 0.87 4.23* 4.35* 07/31/94 JPMorgan Insurance Trust Intrepid Mid Cap Portfolio - Class 1 12.33 13.16 10.52 0.56 6.40* 6.95* 03/30/95 JPMorgan Insurance Trust Mid Cap Growth Portfolio - Class 1 13.08 10.64 11.23-0.16 6.28* 7.58* 08/01/94 JPMorgan Insurance Trust Mid Cap Value Portfolio 17.87 19.29 14.53 3.13 8.12 8.30* 09/28/01 JPMorgan Insurance Trust Small Cap Core Portfolio 14.63 15.13 13.01 1.49 6.33 6.22* 12/31/94 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 11 of 12

Performance values marked "*" predate the availability of the portfolio in the contract and are therefore hypothetical in nature. These returns were calculated as if the portfolio had been in the contract for the period shown. Non-Standardized Performance Assuming Contract Not Surrendered for the Month Ending 11/30/12 Does not include deduction of rider charges. 2012 YTD Portfolio JPMorgan Insurance Trust U.S. Equity Portfolio - Class 1 14.79 14.65 8.01 0.66 4.83* 4.42* 03/30/95 MFSfi VIT Investors Growth Stock Series - Service Class Shares 13.52 11.00 8.53 0.80 4.03 0.54* 05/03/99 MFSfi VIT Strategic Income Series - Service Class Shares H 8.55 10.54 6.33 4.90 4.67 3.70* 06/14/94 MFSfi VIT Total Return Series - Service Class Shares 8.36 8.88 5.49 0.58 3.65 6.04* 01/03/95 Oppenheimer Capital Appreciation Fund/VA - Service Shares 11.78 10.24 6.72-2.52 3.03 7.23* 04/03/85 Oppenheimer Main Street Fund/VA - Service Shares 14.16 16.00 8.87-0.75 4.00 5.19* 07/05/95 Oppenheimer Main Street Small- & Mid-Cap Fundfi/VA - Service Shares 12.45 12.37 11.71 1.27 7.14 4.39* 05/01/98 PIMCO VIT High Yield Portfolio - Administrative Class Shares H 11.11 14.07 9.29 5.80 6.95 4.42* 04/30/98 PIMCO VIT Low Duration Portfolio - Administrative Class Shares 4.22 4.66 2.38 3.33 2.52* 3.07* 02/16/99 The Dreyfus Socially Responsible Growth Fund, Inc. - Initial Shares 9.33 8.21 8.09 0.81 3.88 4.70* 10/15/93 18903CB 12/01/12 Exp. 01/15/13 (expires 01/15/13) Page 12 of 12