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 by the funds and charges against the subaccounts (including the mortality and expense risk charge). The rates labeled Without Charges do not reflect the premium expense charge, surrender charge or monthly deduction charge. If these charges have been deducted, the performance quoted would have been significantly lower. The rates labeled With Charges do reflect the premium expense charge of 5.00% but do not reflect the surrender charge or monthly deduction charge. If these charges had been deducted, the performance quoted would have been significantly lower. The monthly deductions charge includes the cost of insurance charge which is based on the amount of the death benefit, the policy value and the insured's attained insurance age, sex and risk classification. The surrender charge is based on the insured's insurance age, sex, risk classification and the initial specified amounts. The policy form number for this product is 30061. No new policies are currently being sold. Commencement of the 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. Commencement of fund * PORTFOLIO STABILIZER GLOBAL Variable Portfolio - Managed Volatility Growth (Class 2) Without Charges (06/30/2014) (04/12/2013) 1.28% 2.90% 2.52% 8.88% 6.85% - - 3.83% 8.88% 6.85% 6.00% - 5.69% With Charges (06/30/2014) (04/12/2013) -3.78% -2.24% -2.61% 3.44% 5.04% - - 2.57% 3.44% 5.04% 4.92% - 4.69% Variable Portfolio - Managed Volatility Moderate Growth (Class 2) Without Charges (06/30/2014) (04/19/2012) 1.11% 2.31% 1.71% 6.59% 5.63% - - 3.25% 6.59% 5.63% 5.01% - 5.08% With Charges (06/30/2014) (04/19/2012) -3.95% -2.81% -3.38% 1.26% 3.84% - - 1.98% 1.26% 3.84% 3.94% - 4.24% Variable Portfolio - Managed Volatility Conservative Growth (Class 2) Without Charges (06/30/2014) (04/12/2013) 0.89% 1.65% 0.69% 4.02% 4.12% - - 2.42% 4.02% 4.12% 3.82% - 3.26% With Charges (06/30/2014) (04/12/2013) -4.15% -3.44% -4.35% -1.18% 2.36% - - 1.16% -1.18% 2.36% 2.76% - 2.29% Variable Portfolio - Managed Volatility Conservative (Class 2) Without Charges (06/30/2014) (04/12/2013) 0.70% 0.99% -0.35% 1.36% 2.69% - - 1.60% 1.36% 2.69% 2.65% - 1.97% With Charges (06/30/2014) (04/12/2013) -4.33% -4.06% -5.33% -3.71% 0.95% - - 0.36% -3.71% 0.95% 1.60% - 1.00% PORTFOLIO NAVIGATOR Variable Portfolio - Aggressive Portfolio (Class 2) Without Charges (05/07/2010) (05/07/2010) 0.96% 2.73% 2.91% 9.34% 8.80% 7.62% - 8.17% 9.34% 8.80% 7.62% - 8.17% With Charges (05/07/2010) (05/07/2010) -4.09% -2.41% -2.24% 3.87% 6.95% 6.52% - 7.51% 3.87% 6.95% 6.52% - 7.51% Variable Portfolio - Moderately Aggressive Portfolio (Class 2) Without Charges (05/07/2010) (05/07/2010) 0.94% 2.27% 2.11% 7.31% 7.31% 6.34% - 6.95% 7.31% 7.31% 6.34% - 6.95% With Charges (05/07/2010) (05/07/2010) -4.11% -2.84% -3.00% 1.94% 5.49% 5.26% - 6.30% 1.94% 5.49% 5.26% - 6.30% Variable Portfolio - Moderate Portfolio (Class 2) Without Charges (05/07/2010) (05/07/2010) 0.74% 1.73% 1.17% 4.97% 5.73% 5.10% - 5.77% 4.97% 5.73% 5.10% - 5.77% With Charges (05/07/2010) (05/07/2010) -4.29% -3.36% -3.89% -0.27% 3.94% 4.02% - 5.12% -0.27% 3.94% 4.02% - 5.12% Variable Portfolio - Moderately Conservative Portfolio (Class 2) Without Charges (05/07/2010) (05/07/2010) 0.58% 1.15% 0.31% 2.91% 4.11% 3.82% - 4.41% 2.91% 4.11% 3.82% - 4.41% With Charges (05/07/2010) (05/07/2010) -4.45% -3.91% -4.71% -2.24% 2.34% 2.76% - 3.77% -2.24% 2.34% 2.76% - 3.77% Variable Portfolio - Conservative Portfolio (Class 2) Without Charges (05/07/2010) (05/07/2010) 0.57% 0.71% -0.53% 0.92% 2.72% 2.59% - 3.20% 0.92% 2.72% 2.59% - 3.20% With Charges (05/07/2010) (05/07/2010) -4.45% -4.32% -5.50% -4.13% 0.98% 1.54% - 2.56% -4.13% 0.98% 1.54% - 2.56% Page 1 of 16
Commencement of the 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. Commencement of fund * PORTFOLIO NAVIGATOR (CONT.) Variable Portfolio - Aggressive Portfolio (Class 4) Without Charges (05/07/2010) (05/07/2010) 0.96% 2.72% 2.90% 9.32% 8.78% 7.62% - 8.19% 9.32% 8.78% 7.62% - 8.19% With Charges (05/07/2010) (05/07/2010) -4.09% -2.41% -2.24% 3.86% 6.94% 6.52% - 7.52% 3.86% 6.94% 6.52% - 7.52% Variable Portfolio - Moderately Aggressive Portfolio (Class 4) Without Charges (05/07/2010) (05/07/2010) 0.94% 2.27% 2.10% 7.29% 7.32% 6.35% - 6.98% 7.29% 7.32% 6.35% - 6.98% With Charges (05/07/2010) (05/07/2010) -4.11% -2.85% -3.00% 1.93% 5.50% 5.26% - 6.32% 1.93% 5.50% 5.26% - 6.32% Variable Portfolio - Moderate Portfolio (Class 4) Without Charges (05/07/2010) (05/07/2010) 0.74% 1.73% 1.16% 4.97% 5.72% 5.09% - 5.78% 4.97% 5.72% 5.09% - 5.78% With Charges (05/07/2010) (05/07/2010) -4.29% -3.36% -3.90% -0.28% 3.93% 4.02% - 5.13% -0.28% 3.93% 4.02% - 5.13% Variable Portfolio - Moderately Conservative Portfolio (Class 4) Without Charges (05/07/2010) (05/07/2010) 0.57% 1.15% 0.37% 2.90% 4.13% 3.83% - 4.43% 2.90% 4.13% 3.83% - 4.43% With Charges (05/07/2010) (05/07/2010) -4.45% -3.91% -4.65% -2.25% 2.36% 2.77% - 3.79% -2.25% 2.36% 2.77% - 3.79% Variable Portfolio - Conservative Portfolio (Class 4) Without Charges (05/07/2010) (05/07/2010) 0.50% 0.71% -0.53% 0.84% 2.70% 2.59% - 3.19% 0.84% 2.70% 2.59% - 3.19% With Charges (05/07/2010) (05/07/2010) -4.52% -4.32% -5.51% -4.20% 0.96% 1.54% - 2.55% -4.20% 0.96% 1.54% - 2.55% CASH EQUIVALENTS Columbia Variable Portfolio - Government Money Market (Class 3) Without Charges (05/15/2000) (10/13/1981) 0.05% 0.14% 0.18% 0.05% -0.53% -0.67% -0.71% 0.47% 0.05% -0.53% -0.67% -0.71% 3.01% With Charges (05/15/2000) (10/13/1981) -4.95% -4.87% -4.83% -4.95% -2.22% -1.69% -1.22% 0.19% -4.95% -2.22% -1.69% -1.22% 2.87% 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) Without Charges (05/15/2000) (09/15/1999) 0.82% 0.39% -0.28% -0.63% 0.92% 1.88% 1.17% 1.95% -0.63% 0.92% 1.88% 1.17% 1.90% With Charges (05/15/2000) (09/15/1999) -4.22% -4.63% -5.27% -5.59% -0.79% 0.84% 0.66% 1.67% -5.59% -0.79% 0.84% 0.66% 1.63% Columbia Variable Portfolio - Limited Duration Credit (Class 2) Without Charges (06/30/2014) (05/07/2010) 0.25% 0.18% -0.73% -1.23% 0.83% - - -0.23% -1.23% 0.83% 0.27% - 1.05% With Charges (06/30/2014) (05/07/2010) -4.76% -4.83% -5.69% -6.17% -0.88% - - -1.45% -6.17% -0.88% -0.76% - 0.43% LONG-/INTERMEDIATE-TERM FIXED INCOME PIMCO VIT Total Return Portfolio, Advisor Class Without Charges (06/30/2014) (02/28/2006) 0.33% 0.42% -1.75% -2.40% 1.06% - - 0.89% -2.40% 1.06% 1.54% 3.46% 3.77% With Charges (06/30/2014) (02/28/2006) -4.68% -4.60% -6.66% -7.28% -0.65% - - -0.34% -7.28% -0.65% 0.50% 2.93% 3.35% CTIVP - BlackRock Global Inflation-Protected Securities (Class 3) Without Charges (08/30/2005) (09/13/2004) -0.08% 0.18% -0.19% 0.43% 2.36% 2.56% 2.50% 2.81% 0.43% 2.36% 2.56% 2.50% 2.89% With Charges (08/30/2005) (09/13/2004) -5.07% -4.83% -5.18% -4.59% 0.62% 1.51% 1.97% 2.41% -4.59% 0.62% 1.51% 1.97% 2.51% Columbia Variable Portfolio - Intermediate Bond (Class 3) Without Charges (05/15/2000) (10/13/1981) 0.62% 0.42% -0.73% -1.12% 1.63% 1.90% 3.34% 3.55% -1.12% 1.63% 1.90% 3.34% 6.39% With Charges (05/15/2000) (10/13/1981) -4.41% -4.60% -5.70% -6.07% -0.09% 0.86% 2.82% 3.26% -6.07% -0.09% 0.86% 2.82% 6.25% MULTI-SECTOR FIXED INCOME Oppenheimer Global Strategic Income /VA, Service Shares Without Charges (08/30/2005) (05/03/1993) -1.69% -1.32% -3.93% -3.48% 1.09% 1.31% 2.71% 3.19% -3.48% 1.09% 1.31% 2.71% 4.43% With Charges (08/30/2005) (05/03/1993) -6.61% -6.25% -8.73% -8.31% -0.62% 0.28% 2.19% 2.79% -8.31% -0.62% 0.28% 2.19% 4.22% INTERNATIONAL FIXED INCOME Templeton Global Bond VIP - Class 2 Without Charges (06/30/2014) (01/24/1989) -3.51% -1.32% -1.81% -2.33% 0.32% - - -1.40% -2.33% 0.32% 0.29% 4.12% 5.93% With Charges (06/30/2014) (01/24/1989) -8.33% -6.25% -6.72% -7.22% -1.38% - - -2.61% -7.22% -1.38% -0.73% 3.58% 5.74% Columbia Variable Portfolio - Global Bond (Class 3) Without Charges (05/15/2000) (05/01/1996) -0.44% -1.42% -4.52% -5.23% -1.88% -1.84% 0.50% 2.83% -5.23% -1.88% -1.84% 0.50% 2.63% With Charges (05/15/2000) (05/01/1996) -5.42% -6.35% -9.30% -9.97% -3.54% -2.84% -0.01% 2.54% -9.97% -3.54% -2.84% -0.01% 2.39% HIGH-YIELD FIXED INCOME Eaton Vance VT Floating-Rate Income, Initial Class Without Charges (06/11/2007) (05/02/2001) 0.38% 0.85% 2.41% 3.27% 3.27% 2.29% 3.44% 2.72% 3.27% 3.27% 2.29% 3.44% 2.57% With Charges (06/11/2007) (05/02/2001) -4.64% -4.19% -2.71% -1.89% 1.52% 1.25% 2.91% 2.26% -1.89% 1.52% 1.25% 2.91% 2.27% Page 2 of 16
Commencement of the 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. Commencement of fund * HIGH-YIELD FIXED INCOME (CONT.) Columbia Variable Portfolio - Income Opportunities (Class 3) Without Charges (08/30/2005) (06/01/2004) 0.90% 2.22% -0.18% 0.19% 3.96% 3.88% 6.54% 5.59% 0.19% 3.96% 3.88% 6.54% 5.90% With Charges (08/30/2005) (06/01/2004) -4.15% -2.89% -5.17% -4.82% 2.20% 2.82% 6.00% 5.18% -4.82% 2.20% 2.82% 6.00% 5.51% Putnam VT High Yield - Class IB Shares 1 Without Charges (05/03/1999) (02/01/1988) 0.74% 1.58% 0.39% 1.98% 4.87% 3.71% 6.00% 4.87% 1.98% 4.87% 3.71% 6.00% 6.38% With Charges (05/03/1999) (02/01/1988) -4.30% -3.50% -4.63% -3.12% 3.09% 2.65% 5.46% 4.60% -3.12% 3.09% 2.65% 5.46% 6.20% Columbia Variable Portfolio - High Yield Bond (Class 3) Without Charges (05/15/2000) (05/01/1996) 0.86% 2.22% -0.11% 0.33% 4.14% 3.95% 6.79% 5.46% 0.33% 4.14% 3.95% 6.79% 5.07% With Charges (05/15/2000) (05/01/1996) -4.19% -2.89% -5.10% -4.69% 2.38% 2.89% 6.24% 5.16% -4.69% 2.38% 2.89% 6.24% 4.83% BALANCED BlackRock Global Allocation V.I. Class III Shares Without Charges (06/30/2014) (02/28/1992) 0.06% 1.17% -0.23% 2.59% 4.83% - - 2.57% 2.59% 4.83% 4.32% 4.18% 5.80% With Charges (06/30/2014) (02/28/1992) -4.94% -3.89% -5.22% -2.54% 3.05% - - 1.31% -2.54% 3.05% 3.26% 3.65% 5.60% Calvert VP SRI Balanced Portfolio - Class I Without Charges (05/15/2000) (09/02/1986) 1.65% 5.12% 5.19% 10.11% 7.66% 7.26% 5.96% 3.46% 10.11% 7.66% 7.26% 5.96% 6.32% With Charges (05/15/2000) (09/02/1986) -3.44% -0.14% -0.07% 4.61% 5.84% 6.16% 5.42% 3.17% 4.61% 5.84% 6.16% 5.42% 6.15% Columbia Variable Portfolio - Balanced (Class 3) Without Charges (05/15/2000) (04/30/1986) 1.65% 4.57% 2.70% 6.81% 7.88% 8.03% 7.15% 3.88% 6.81% 7.88% 8.03% 7.15% 7.12% With Charges (05/15/2000) (04/30/1986) -3.43% -0.66% -2.44% 1.47% 6.05% 6.93% 6.60% 3.59% 1.47% 6.05% 6.93% 6.60% 6.95% Lazard Retirement Global Dynamic Multi-Asset Portfolio - Service Shares Without Charges (06/30/2014) (04/30/2012) 1.00% 2.65% 2.18% 8.64% 8.28% - - 4.68% 8.64% 8.28% 6.78% - 7.29% With Charges (06/30/2014) (04/30/2012) -4.05% -2.49% -2.93% 3.21% 6.44% - - 3.40% 3.21% 6.44% 5.69% - 6.43% Franklin Income VIP - Class 2 Without Charges (06/30/2014) (01/24/1989) -0.20% 2.16% 2.09% 5.51% 7.18% - - 2.23% 5.51% 7.18% 5.12% 5.62% 7.51% With Charges (06/30/2014) (01/24/1989) -5.19% -2.95% -3.02% 0.23% 5.36% - - 0.98% 0.23% 5.36% 4.04% 5.08% 7.33% Ivy VIP Asset Strategy Without Charges (06/30/2014) (05/01/1995) -0.25% 1.49% 3.91% 10.98% 5.55% - - 0.39% 10.98% 5.55% 2.53% 3.77% 8.06% With Charges (06/30/2014) (05/01/1995) -5.24% -3.58% -1.29% 5.43% 3.76% - - -0.84% 5.43% 3.76% 1.48% 3.24% 7.82% AB VPS Dynamic Asset Allocation Portfolio (Class B) Without Charges (06/30/2014) (04/01/2011) -0.06% 0.57% -0.82% 3.02% 4.73% - - 2.78% 3.02% 4.73% 4.49% - 3.98% With Charges (06/30/2014) (04/01/2011) -5.06% -4.46% -5.78% -2.13% 2.96% - - 1.52% -2.13% 2.96% 3.43% - 3.27% PIMCO VIT All Asset Portfolio, Advisor Class Without Charges (06/11/2007) (04/30/2003) -1.48% -1.77% -3.21% -0.71% 5.48% 2.49% 3.49% 3.46% -0.71% 5.48% 2.49% 3.49% 4.57% With Charges (06/11/2007) (04/30/2003) -6.40% -6.68% -8.05% -5.67% 3.69% 1.45% 2.96% 2.99% -5.67% 3.69% 1.45% 2.96% 4.22% Invesco V.I. Balanced-Risk Allocation, Series II Shares Without Charges (06/30/2014) (01/23/2009) -0.44% -2.87% -1.76% 1.95% 5.21% - - 2.44% 1.95% 5.21% 3.62% - 7.19% With Charges (06/30/2014) (01/23/2009) -5.42% -7.72% -6.67% -3.15% 3.43% - - 1.19% -3.15% 3.43% 2.56% - 6.62% LARGE CAP STOCK CTIVP - MFS Blended Research Core Equity (Class 3) Without Charges (06/11/2007) (05/01/2006) 3.23% 6.81% 7.14% 16.28% 12.63% 11.30% 7.38% 5.01% 16.28% 12.63% 11.30% 7.38% 5.78% With Charges (06/11/2007) (05/01/2006) -1.93% 1.47% 1.78% 10.46% 10.72% 10.16% 6.83% 4.53% 10.46% 10.72% 10.16% 6.83% 5.34% Columbia Variable Portfolio - Large Cap Index (Class 3) Without Charges (05/15/2000) (05/01/2000) 3.12% 7.39% 8.97% 18.12% 14.56% 13.00% 9.43% 4.48% 18.12% 14.56% 13.00% 9.43% 4.40% With Charges (05/15/2000) (05/01/2000) -2.03% 2.02% 3.52% 12.21% 12.61% 11.84% 8.87% 4.18% 12.21% 12.61% 11.84% 8.87% 4.11% Invesco V.I. Comstock, Series II Without Charges (06/11/2007) (04/30/1999) 0.67% 4.32% 4.29% 17.46% 12.07% 9.85% 8.71% 5.60% 17.46% 12.07% 9.85% 8.71% 6.29% With Charges (06/11/2007) (04/30/1999) -4.36% -0.89% -0.93% 11.58% 10.17% 8.73% 8.16% 5.12% 11.58% 10.17% 8.73% 8.16% 6.00% Goldman Sachs VIT U.S. Equity Insights - Institutional Shares Without Charges (05/15/2000) (02/13/1998) 3.36% 6.78% 10.82% 19.72% 15.79% 14.44% 10.18% 4.79% 19.72% 15.79% 14.44% 10.18% 5.92% With Charges (05/15/2000) (02/13/1998) -1.81% 1.44% 5.28% 13.73% 13.83% 13.27% 9.61% 4.49% 13.73% 13.83% 13.27% 9.61% 5.66% Putnam VT Sustainable Leaders - Class IA Shares Without Charges (11/22/1996) (05/02/1994) 3.57% 6.61% 13.86% 22.34% 16.59% 15.32% 10.54% 6.33% 22.34% 16.59% 15.32% 10.54% 8.05% With Charges (11/22/1996) (05/02/1994) -1.61% 1.28% 8.17% 16.22% 14.62% 14.14% 9.97% 6.08% 16.22% 14.62% 14.14% 9.97% 7.82% Page 3 of 16
Commencement of the 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. Commencement of fund * LARGE CAP STOCK (CONT.) Columbia Variable Portfolio - Disciplined Core (Class 3) Without Charges (05/15/2000) (10/13/1981) 3.34% 6.87% 9.99% 20.99% 14.47% 13.62% 9.52% 3.43% 20.99% 14.47% 13.62% 9.52% 8.81% With Charges (05/15/2000) (10/13/1981) -1.83% 1.53% 4.49% 14.94% 12.53% 12.46% 8.96% 3.14% 14.94% 12.53% 12.46% 8.96% 8.66% Fidelity VIP Growth & Income Portfolio Service Class 2 Without Charges (05/15/2000) (12/31/1996) 1.86% 7.06% 6.01% 15.90% 12.71% 10.86% 8.34% 4.95% 15.90% 12.71% 10.86% 8.34% 6.81% With Charges (05/15/2000) (12/31/1996) -3.23% 1.71% 0.71% 10.11% 10.80% 9.73% 7.79% 4.66% 10.11% 10.80% 9.73% 7.79% 6.56% Invesco V.I. Core Equity, Series I Shares Without Charges (11/22/1996) (05/02/1994) 1.05% 4.68% 4.62% 8.98% 8.17% 7.32% 6.27% 5.84% 8.98% 8.17% 7.32% 6.27% 7.17% With Charges (11/22/1996) (05/02/1994) -4.00% -0.56% -0.61% 3.53% 6.33% 6.23% 5.73% 5.59% 3.53% 6.33% 6.23% 5.73% 6.94% Janus Henderson Research Portfolio: Service Shares 3 Without Charges (06/11/2007) (09/13/1993) 5.19% 8.82% 14.21% 21.79% 13.80% 13.87% 9.33% 7.40% 21.79% 13.80% 13.87% 9.33% 7.65% With Charges (06/11/2007) (09/13/1993) -0.07% 3.38% 8.50% 15.70% 11.87% 12.71% 8.77% 6.91% 15.70% 11.87% 12.71% 8.77% 7.43% Fidelity VIP Contrafund Portfolio Service Class 2 Without Charges (06/11/2007) (01/03/1995) 4.35% 7.29% 10.00% 16.77% 13.15% 12.16% 8.95% 7.02% 16.77% 13.15% 12.16% 8.95% 10.19% With Charges (06/11/2007) (01/03/1995) -0.87% 1.93% 4.50% 10.93% 11.23% 11.01% 8.39% 6.53% 10.93% 11.23% 11.01% 8.39% 9.95% Columbia Variable Portfolio - Large Cap Growth (Class 3) Without Charges (05/15/2000) (09/15/1999) 4.33% 7.57% 14.65% 19.48% 15.34% 15.13% 10.50% 1.77% 19.48% 15.34% 15.13% 10.50% 2.89% With Charges (05/15/2000) (09/15/1999) -0.88% 2.19% 8.92% 13.51% 13.38% 13.95% 9.93% 1.48% 13.51% 13.38% 13.95% 9.93% 2.61% Invesco V.I. American Franchise, Series I Without Charges (04/27/2012) (07/05/1995) 3.97% 7.10% 16.73% 19.43% 16.46% 14.68% - 13.61% 19.43% 16.46% 14.68% 11.08% 8.97% With Charges (04/27/2012) (07/05/1995) -1.23% 1.75% 10.89% 13.46% 14.49% 13.51% - 12.70% 13.46% 14.49% 13.51% 10.51% 8.73% AB VPS Growth and Income Portfolio (Class B) Without Charges (06/03/2002) (01/14/1991) 1.57% 7.59% 5.98% 16.20% 12.65% 10.96% 8.75% 6.72% 16.20% 12.65% 10.96% 8.75% 8.66% With Charges (06/03/2002) (01/14/1991) -3.51% 2.21% 0.68% 10.39% 10.74% 9.83% 8.20% 6.39% 10.39% 10.74% 9.83% 8.20% 8.45% Columbia Variable Portfolio - Dividend Opportunity (Class 3) Without Charges (05/15/2000) (09/15/1999) 0.82% 4.31% 3.17% 12.28% 11.05% 8.84% 6.36% 6.16% 12.28% 11.05% 8.84% 6.36% 6.16% With Charges (05/15/2000) (09/15/1999) -4.23% -0.91% -1.99% 6.66% 9.16% 7.73% 5.81% 5.86% 6.66% 9.16% 7.73% 5.81% 5.87% American Century VP Value, Class I Without Charges (05/03/1999) (05/01/1996) 0.70% 5.69% 4.77% 13.79% 11.26% 9.83% 8.56% 6.61% 13.79% 11.26% 9.83% 8.56% 7.99% With Charges (05/03/1999) (05/01/1996) -4.34% 0.40% -0.47% 8.10% 9.38% 8.71% 8.01% 6.33% 8.10% 9.38% 8.71% 8.01% 7.74% MFS Massachusetts Investors Growth Stock Portfolio - Service Class Without Charges (03/27/2015) (08/23/2001) 2.95% 8.01% 11.99% 21.51% 15.29% - - 11.60% 21.51% 15.29% 13.13% 9.88% 5.90% With Charges (03/27/2015) (08/23/2001) -2.20% 2.61% 6.39% 15.44% 13.33% - - 9.94% 15.44% 13.33% 11.98% 9.31% 5.58% Invesco V.I. Diversified Dividend, Series I Shares Without Charges (04/29/2011) (03/01/1990) 0.87% 5.36% 1.37% 6.20% 7.89% 9.33% - 9.66% 6.20% 7.89% 9.33% 7.44% 7.09% With Charges (04/29/2011) (03/01/1990) -4.17% 0.09% -3.70% 0.89% 6.06% 8.22% - 8.90% 0.89% 6.06% 8.22% 6.89% 6.89% AB VPS Large Cap Growth Portfolio (Class B) 4 Without Charges (06/11/2007) (06/26/1992) 3.76% 7.82% 15.04% 24.15% 17.23% 17.26% 11.35% 9.09% 24.15% 17.23% 17.26% 11.35% 9.33% With Charges (06/11/2007) (06/26/1992) -1.43% 2.43% 9.28% 17.94% 15.24% 16.07% 10.78% 8.60% 17.94% 15.24% 16.07% 10.78% 9.12% Columbia Variable Portfolio - Select Large-Cap Value (Class 3) Without Charges (08/30/2005) (02/04/2004) 0.20% 4.44% 2.02% 15.30% 13.73% 11.26% 9.64% 7.40% 15.30% 13.73% 11.26% 9.64% 7.29% With Charges (08/30/2005) (02/04/2004) -4.81% -0.78% -3.08% 9.54% 11.80% 10.12% 9.08% 6.98% 9.54% 11.80% 10.12% 9.08% 6.91% Franklin Mutual Shares VIP - Class 2 5 Without Charges (06/03/2002) (11/08/1996) 0.59% 4.87% 3.40% 7.47% 7.83% 7.07% 5.96% 5.62% 7.47% 7.83% 7.07% 5.96% 6.51% With Charges (06/03/2002) (11/08/1996) -4.44% -0.37% -1.77% 2.10% 6.00% 5.97% 5.42% 5.28% 2.10% 6.00% 5.97% 5.42% 6.26% MID CAP STOCK Invesco V.I. Mid Cap Growth, Series I Without Charges (04/27/2012) (09/25/2000) 4.63% 6.37% 14.08% 20.58% 10.98% 11.04% - 11.27% 20.58% 10.98% 11.04% 9.37% 1.54% With Charges (04/27/2012) (09/25/2000) -0.60% 1.05% 8.37% 14.55% 9.10% 9.91% - 10.38% 14.55% 9.10% 9.91% 8.81% 1.25% CTIVP - Victory Sycamore Established Value (Class 3) Without Charges (08/30/2005) (02/04/2004) 1.24% 6.05% 5.77% 15.23% 12.90% 13.02% 9.84% 8.35% 15.23% 12.90% 13.02% 9.84% 8.33% With Charges (08/30/2005) (02/04/2004) -3.82% 0.75% 0.48% 9.47% 10.98% 11.86% 9.27% 7.92% 9.47% 10.98% 11.86% 9.27% 7.95% Columbia Variable Portfolio - Mid Cap Growth (Class 3) Without Charges (06/03/2002) (05/01/2001) 4.17% 6.15% 12.71% 21.30% 11.99% 11.67% 8.51% 6.78% 21.30% 11.99% 11.67% 8.51% 6.06% With Charges (06/03/2002) (05/01/2001) -1.04% 0.84% 7.07% 15.24% 10.09% 10.53% 7.96% 6.44% 15.24% 10.09% 10.53% 7.96% 5.74% Page 4 of 16
Commencement of the 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. Commencement of fund * MID CAP STOCK (CONT.) Wells Fargo VT Opportunity - Class 2 Without Charges (06/03/2002) (05/08/1992) 1.33% 5.29% 7.52% 17.27% 12.65% 11.06% 8.84% 7.94% 17.27% 12.65% 11.06% 8.84% 10.25% With Charges (06/03/2002) (05/08/1992) -3.73% 0.02% 2.14% 11.40% 10.74% 9.93% 8.28% 7.60% 11.40% 10.74% 9.93% 8.28% 10.04% Goldman Sachs VIT Mid Cap Value - Institutional Shares Without Charges (05/15/2000) (05/01/1998) 0.84% 3.41% 3.57% 9.95% 7.29% 7.80% 7.44% 9.19% 9.95% 7.29% 7.80% 7.44% 7.76% With Charges (05/15/2000) (05/01/1998) -4.20% -1.76% -1.61% 4.45% 5.47% 6.70% 6.89% 8.89% 4.45% 5.47% 6.70% 6.89% 7.49% Fidelity VIP Mid Cap Portfolio Service Class Without Charges (05/15/2000) (12/28/1998) 1.52% 3.89% 6.17% 17.30% 11.63% 10.97% 8.64% 9.58% 17.30% 11.63% 10.97% 8.64% 11.90% With Charges (05/15/2000) (12/28/1998) -3.56% -1.30% 0.86% 11.43% 9.74% 9.84% 8.09% 9.28% 11.43% 9.74% 9.84% 8.09% 11.61% Janus Henderson Enterprise Portfolio: Service Shares 6 Without Charges (05/15/2000) (09/13/1993) 4.06% 7.03% 14.84% 23.93% 17.82% 15.78% 11.24% 4.06% 23.93% 17.82% 15.78% 11.24% 10.18% With Charges (05/15/2000) (09/13/1993) -1.15% 1.67% 9.10% 17.73% 15.82% 14.60% 10.67% 3.77% 17.73% 15.82% 14.60% 10.67% 9.95% Morgan Stanley VIF Mid Cap Growth Portfolio, Class II Shares Without Charges (06/11/2007) (10/18/1999) 13.46% 14.21% 34.32% 41.32% 17.89% 12.31% 10.55% 8.38% 41.32% 17.89% 12.31% 10.55% 6.97% With Charges (06/11/2007) (10/18/1999) 7.79% 8.50% 27.61% 34.25% 15.89% 11.17% 9.99% 7.88% 34.25% 15.89% 11.17% 9.99% 6.68% Columbia Variable Portfolio - Mid Cap Value (Class 3) Without Charges (08/30/2005) (05/02/2005) 0.75% 3.63% 1.96% 10.91% 8.58% 9.06% 7.56% 6.99% 10.91% 8.58% 9.06% 7.56% 7.64% With Charges (08/30/2005) (05/02/2005) -4.29% -1.55% -3.14% 5.36% 6.74% 7.94% 7.01% 6.57% 5.36% 6.74% 7.94% 7.01% 7.23% SMALL CAP STOCK MFS New Discovery Series - Service Class 7 Without Charges (05/15/2000) (05/01/1998) 6.51% 8.44% 21.70% 34.13% 15.91% 10.70% 11.68% 5.90% 34.13% 15.91% 10.70% 11.68% 8.24% With Charges (05/15/2000) (05/01/1998) 1.19% 3.02% 15.62% 27.42% 13.94% 9.57% 11.11% 5.60% 27.42% 13.94% 9.57% 11.11% 7.97% Wanger USA Without Charges (05/15/2000) (05/03/1995) 6.12% 10.57% 23.79% 33.68% 17.81% 13.98% 11.12% 9.40% 33.68% 17.81% 13.98% 11.12% 11.54% With Charges (05/15/2000) (05/03/1995) 0.82% 5.04% 17.60% 26.99% 15.81% 12.82% 10.56% 9.09% 26.99% 15.81% 12.82% 10.56% 11.30% Wells Fargo VT Small Cap Growth - Class 2 Without Charges (06/03/2002) (05/01/1995) 10.78% 13.00% 31.37% 42.46% 18.21% 13.12% 11.78% 10.00% 42.46% 18.21% 13.12% 11.78% 7.16% With Charges (06/03/2002) (05/01/1995) 5.24% 7.35% 24.80% 35.33% 16.21% 11.97% 11.21% 9.65% 35.33% 16.21% 11.97% 11.21% 6.92% Royce Capital Micro-Cap Portfolio, Investment Class Without Charges (05/15/2000) (12/27/1996) 4.52% 6.77% 15.49% 21.88% 11.74% 5.83% 5.06% 8.36% 21.88% 11.74% 5.83% 5.06% 9.40% With Charges (05/15/2000) (12/27/1996) -0.71% 1.43% 9.71% 15.79% 9.84% 4.75% 4.52% 8.06% 15.79% 9.84% 4.75% 4.52% 9.14% Goldman Sachs VIT Small Cap Equity Insights - Institutional Shares Without Charges (05/15/2000) (02/13/1998) 3.76% 6.31% 15.99% 27.63% 16.20% 13.05% 10.45% 7.40% 27.63% 16.20% 13.05% 10.45% 6.78% With Charges (05/15/2000) (02/13/1998) -1.42% 0.99% 10.19% 21.25% 14.23% 11.90% 9.88% 7.10% 21.25% 14.23% 11.90% 9.88% 6.51% Oppenheimer Main Street Small Cap /VA, Service Shares Without Charges (08/30/2005) (05/01/1998) 5.84% 8.63% 15.07% 23.74% 13.93% 12.01% 10.28% 8.62% 23.74% 13.93% 12.01% 10.28% 7.90% With Charges (08/30/2005) (05/01/1998) 0.55% 3.20% 9.32% 17.55% 12.00% 10.86% 9.72% 8.20% 17.55% 12.00% 10.86% 9.72% 7.63% Franklin Small Cap Value VIP - Class 2 Without Charges (05/15/2000) (05/01/1998) 2.16% 3.55% 5.82% 18.42% 13.23% 9.81% 8.46% 9.19% 18.42% 13.23% 9.81% 8.46% 7.36% With Charges (05/15/2000) (05/01/1998) -2.95% -1.63% 0.53% 12.50% 11.31% 8.68% 7.91% 8.88% 12.50% 11.31% 8.68% 7.91% 7.09% Variable Portfolio - Partners Small Cap Value (Class 3) Without Charges (06/03/2002) (08/14/2001) 2.58% 4.64% 7.82% 17.92% 11.15% 8.11% 8.14% 7.59% 17.92% 11.15% 8.11% 8.14% 7.98% With Charges (06/03/2002) (08/14/2001) -2.55% -0.59% 2.43% 12.02% 9.27% 7.01% 7.59% 7.25% 12.02% 9.27% 7.01% 7.59% 7.65% Columbia Variable Portfolio - Select Smaller-Cap Value (Class 3) Without Charges (05/15/2000) (09/15/1999) 3.04% 5.64% 7.60% 15.74% 9.45% 9.65% 9.65% 6.55% 15.74% 9.45% 9.65% 9.65% 7.21% With Charges (05/15/2000) (09/15/1999) -2.11% 0.36% 2.22% 9.95% 7.59% 8.54% 9.09% 6.26% 9.95% 7.59% 8.54% 9.09% 6.92% WORLD STOCK Third Avenue Value Portfolio Without Charges (05/15/2000) (09/21/1999) -2.65% -3.37% -2.85% 2.58% 6.38% 4.09% 3.47% 6.40% 2.58% 6.38% 4.09% 3.47% 7.17% With Charges (05/15/2000) (09/21/1999) -7.52% -8.20% -7.70% -2.55% 4.57% 3.03% 2.95% 6.10% -2.55% 4.57% 3.03% 2.95% 6.88% Oppenheimer Global /VA, Service Shares Without Charges (08/30/2005) (11/12/1990) 0.41% 2.62% 4.46% 14.35% 11.67% 10.75% 8.11% 7.18% 14.35% 11.67% 10.75% 8.11% 9.14% With Charges (08/30/2005) (11/12/1990) -4.61% -2.51% -0.76% 8.63% 9.78% 9.62% 7.55% 6.76% 8.63% 9.78% 9.62% 7.55% 8.93% Page 5 of 16
Commencement of the Commencement of fund 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. * INTERNATIONAL STOCK Columbia Variable Portfolio - Emerging Markets (Class 3) Without Charges (05/15/2000) (05/01/2000) -4.71% -8.58% -11.96% -4.31% 10.68% 5.25% 2.58% 6.03% -4.31% 10.68% 5.25% 2.58% 5.67% With Charges (05/15/2000) (05/01/2000) -9.48% -13.15% -16.36% -9.09% 8.80% 4.18% 2.05% 5.73% -9.09% 8.80% 4.18% 2.05% 5.37% Putnam VT International Equity - Class IB Shares Without Charges (06/03/2002) (01/02/1997) -2.91% -4.48% -4.93% 1.36% 4.33% 4.27% 2.08% 3.69% 1.36% 4.33% 4.27% 2.08% 4.75% With Charges (06/03/2002) (01/02/1997) -7.76% -9.25% -9.69% -3.70% 2.56% 3.20% 1.56% 3.36% -3.70% 2.56% 3.20% 1.56% 4.50% Janus Henderson Overseas Portfolio: Service Shares 8 Without Charges (05/15/2000) (05/02/1994) -3.01% -2.06% -1.69% 3.25% 5.27% 1.74% -0.08% 2.06% 3.25% 5.27% 1.74% -0.08% 7.30% With Charges (05/15/2000) (05/02/1994) -7.86% -6.95% -6.61% -1.92% 3.48% 0.70% -0.60% 1.77% -1.92% 3.48% 0.70% -0.60% 7.07% Columbia Variable Portfolio - Overseas Core (Class 3) Without Charges (05/15/2000) (01/13/1992) -2.42% -3.69% -5.44% 1.41% 3.60% 3.59% 2.76% 1.09% 1.41% 3.60% 3.59% 2.76% 3.75% With Charges (05/15/2000) (01/13/1992) -7.30% -8.50% -10.16% -3.66% 1.84% 2.54% 2.24% 0.80% -3.66% 1.84% 2.54% 2.24% 3.55% American Century VP International, Class I Without Charges (05/15/2000) (05/01/1994) -1.19% -1.77% 1.49% 7.74% 7.18% 5.72% 3.76% 1.74% 7.74% 7.18% 5.72% 3.76% 5.08% With Charges (05/15/2000) (05/01/1994) -6.13% -6.68% -3.58% 2.35% 5.36% 4.64% 3.23% 1.45% 2.35% 5.36% 4.64% 3.23% 4.86% Wanger International Without Charges (05/15/2000) (05/03/1995) -1.08% -3.91% -2.25% 5.53% 8.75% 6.06% 6.03% 5.31% 5.53% 8.75% 6.06% 6.03% 10.81% With Charges (05/15/2000) (05/03/1995) -6.03% -8.71% -7.14% 0.26% 6.91% 4.97% 5.49% 5.01% 0.26% 6.91% 4.97% 5.49% 10.57% Invesco V.I. International Growth, Series II Shares Without Charges (06/11/2007) (05/05/1993) -2.12% -1.21% -5.71% -0.82% 4.80% 3.93% 3.66% 1.76% -0.82% 4.80% 3.93% 3.66% 5.85% With Charges (06/11/2007) (05/05/1993) -7.02% -6.15% -10.42% -5.78% 3.03% 2.87% 3.12% 1.29% -5.78% 3.03% 2.87% 3.12% 5.63% Fidelity VIP Overseas Portfolio Service Class 9 Without Charges (05/15/2000) (01/28/1987) -0.56% -0.09% -1.32% 4.74% 6.22% 5.48% 3.13% 2.36% 4.74% 6.22% 5.48% 3.13% 5.03% With Charges (05/15/2000) (01/28/1987) -5.53% -5.09% -6.26% -0.50% 4.42% 4.40% 2.61% 2.08% -0.50% 4.42% 4.40% 2.61% 4.86% AB VPS International Value Portfolio (Class B) 10 Without Charges (06/03/2002) (05/10/2001) -3.58% -4.09% -7.65% -1.76% 4.43% 3.83% -0.51% 3.52% -1.76% 4.43% 3.83% -0.51% 3.93% With Charges (06/03/2002) (05/10/2001) -8.40% -8.89% -12.27% -6.67% 2.66% 2.77% -1.01% 3.20% -6.67% 2.66% 2.77% -1.01% 3.63% Wells Fargo VT International Equity - Class 2 11 Without Charges (02/13/2009) (08/17/1998) -3.03% -3.66% -6.70% -0.50% 4.48% 4.59% - 7.07% -0.50% 4.48% 4.59% 2.03% 3.68% With Charges (02/13/2009) (08/17/1998) -7.88% -8.47% -11.36% -5.47% 2.71% 3.52% - 6.49% -5.47% 2.71% 3.52% 1.51% 3.41% SPECIALTY/SECTOR MFS Utilities Series - Service Class Without Charges (06/03/2002) (01/03/1995) -0.11% 4.06% 4.02% 2.90% 5.84% 5.87% 5.98% 9.98% 2.90% 5.84% 5.87% 5.98% 10.08% With Charges (06/03/2002) (01/03/1995) -5.11% -1.15% -1.18% -2.25% 4.04% 4.79% 5.43% 9.64% -2.25% 4.04% 4.79% 5.43% 9.84% Janus Henderson Global Technology Portfolio: Service Shares Without Charges (05/15/2000) (01/15/2000) 3.97% 6.24% 19.75% 30.83% 27.17% 20.49% 14.09% 3.25% 30.83% 27.17% 20.49% 14.09% 2.66% With Charges (05/15/2000) (01/15/2000) -1.23% 0.92% 13.77% 24.29% 25.02% 19.26% 13.50% 2.96% 24.29% 25.02% 19.26% 13.50% 2.38% ALPS/Alerian Energy Infrastructure Portfolio: Class III Without Charges (06/30/2014) (04/30/2013) -1.54% 3.73% -1.44% 0.00% 1.43% - - -5.69% 0.00% 1.43% 0.66% - -0.32% With Charges (06/30/2014) (04/30/2013) -6.46% -1.46% -6.36% -5.00% -0.29% - - -6.85% -5.00% -0.29% -0.37% - -1.28% Invesco V.I. Technology, Series I Shares Without Charges (06/03/2002) (05/21/1997) 5.75% 8.00% 21.03% 23.83% 19.34% 16.03% 10.93% 7.25% 23.83% 19.34% 16.03% 10.93% 5.94% With Charges (06/03/2002) (05/21/1997) 0.46% 2.60% 14.98% 17.64% 17.32% 14.85% 10.37% 6.92% 17.64% 17.32% 14.85% 10.37% 5.68% Putnam VT Global Health Care - Class IB Shares Without Charges (06/03/2002) (04/30/1998) 0.95% 7.00% 8.88% 7.71% 2.86% 11.01% 9.46% 7.35% 7.71% 2.86% 11.01% 9.46% 5.91% With Charges (06/03/2002) (04/30/1998) -4.10% 1.65% 3.44% 2.32% 1.11% 9.87% 8.90% 7.02% 2.32% 1.11% 9.87% 8.90% 5.65% ALTERNATIVES DWS Alternative Asset Allocation VIP, Class B Without Charges (06/30/2014) (02/02/2009) 0.00% -0.15% -4.30% -2.80% 1.04% - - -1.23% -2.80% 1.04% 0.61% - 3.93% With Charges (06/30/2014) (02/02/2009) -5.00% -5.14% -9.09% -7.66% -0.67% - - -2.44% -7.66% -0.67% -0.42% - 3.37% Neuberger Berman AMT U.S. Equity Index PutWrite Strategy Portfolio (Class S) Without Charges (06/30/2014) (05/01/2014) 1.43% 3.35% 1.40% 3.83% 0.07% - - -0.56% 3.83% 0.07% - - -0.30% With Charges (06/30/2014) (05/01/2014) -3.64% -1.81% -3.67% -1.36% -1.62% - - -1.77% -1.36% -1.62% - - -1.47% Page 6 of 16
Commencement of the 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. Commencement of fund * ALTERNATIVES (CONT.) Goldman Sachs VIT Multi-Strategy Alternatives Portfolio - Advisor Shares Without Charges (06/30/2014) (04/25/2014) -1.06% -0.89% -4.32% -3.93% -1.35% - - -2.40% -3.93% -1.35% - - -1.92% With Charges (06/30/2014) (04/25/2014) -6.01% -5.84% -9.11% -8.73% -3.02% - - -3.60% -8.73% -3.02% - - -3.07% VanEck VIP Global Gold (Class S Shares) Without Charges (06/30/2014) (04/29/2013) -11.97% -16.34% -20.47% -24.86% 7.08% - - -9.12% -24.86% 7.08% -7.16% - -6.66% With Charges (06/30/2014) (04/29/2013) -16.37% -20.52% -24.45% -28.62% 5.26% - - -10.23% -28.62% 5.26% -8.11% - -7.55% Credit Suisse Trust - Commodity Return Strategy Portfolio Without Charges (06/11/2007) (02/28/2006) -1.89% -7.87% -4.76% -1.38% -2.76% -8.96% -8.40% -6.29% -1.38% -2.76% -8.96% -8.40% -4.88% With Charges (06/11/2007) (02/28/2006) -6.80% -12.48% -9.53% -6.31% -4.41% -9.88% -8.87% -6.71% -6.31% -4.41% -9.88% -8.87% -5.27% REAL ESTATE Morgan Stanley VIF Global Real Estate Portfolio, Class II Shares Without Charges (06/11/2007) (04/28/2006) 0.75% 3.39% 1.23% 5.80% 5.40% 5.30% 4.72% 1.55% 5.80% 5.40% 5.30% 4.72% 3.37% With Charges (06/11/2007) (04/28/2006) -4.29% -1.78% -3.83% 0.51% 3.61% 4.22% 4.19% 1.09% 0.51% 3.61% 4.22% 4.19% 2.94% Franklin Global Real Estate VIP - Class 2 Without Charges (05/15/2000) (01/24/1989) 0.85% 2.56% 0.88% 3.40% 5.17% 5.59% 3.36% 5.80% 3.40% 5.17% 5.59% 3.36% 6.85% With Charges (05/15/2000) (01/24/1989) -4.19% -2.56% -4.16% -1.77% 3.39% 4.51% 2.83% 5.50% -1.77% 3.39% 4.51% 2.83% 6.67% Page 7 of 16
Commencement of the 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. Commencement of fund * PORTFOLIO STABILIZER GLOBAL Variable Portfolio - Managed Volatility Growth (Class 2) Without Charges (06/30/2014) (04/12/2013) -0.44% 0.21% -0.81% 7.27% 3.97% - - 3.15% 7.27% 3.97% 5.63% - 5.21% With Charges (06/30/2014) (04/12/2013) -5.41% -4.80% -5.77% 1.91% 2.21% - - 1.83% 1.91% 2.21% 4.55% - 4.18% Variable Portfolio - Managed Volatility Moderate Growth (Class 2) Without Charges (06/30/2014) (04/19/2012) -0.35% 0.13% -0.94% 5.53% 3.40% - - 2.71% 5.53% 3.40% 4.68% - 4.78% With Charges (06/30/2014) (04/19/2012) -5.34% -4.88% -5.89% 0.26% 1.65% - - 1.40% 0.26% 1.65% 3.61% - 3.91% Variable Portfolio - Managed Volatility Conservative Growth (Class 2) Without Charges (06/30/2014) (04/12/2013) -0.40% -0.06% -1.34% 3.43% 2.55% - - 2.00% 3.43% 2.55% 3.52% - 2.97% With Charges (06/30/2014) (04/12/2013) -5.38% -5.06% -6.27% -1.75% 0.81% - - 0.70% -1.75% 0.81% 2.46% - 1.96% Variable Portfolio - Managed Volatility Conservative (Class 2) Without Charges (06/30/2014) (04/12/2013) -0.33% -0.23% -1.65% 1.40% 1.77% - - 1.33% 1.40% 1.77% 2.39% - 1.78% With Charges (06/30/2014) (04/12/2013) -5.32% -5.22% -6.56% -3.67% 0.04% - - 0.04% -3.67% 0.04% 1.34% - 0.78% PORTFOLIO NAVIGATOR Variable Portfolio - Aggressive Portfolio (Class 2) Without Charges (05/07/2010) (05/07/2010) -0.47% 0.74% -0.30% 8.10% 5.99% 7.35% - 7.93% 8.10% 5.99% 7.35% - 7.93% With Charges (05/07/2010) (05/07/2010) -5.45% -4.30% -5.28% 2.69% 4.19% 6.26% - 7.25% 2.69% 4.19% 6.26% - 7.25% Variable Portfolio - Moderately Aggressive Portfolio (Class 2) Without Charges (05/07/2010) (05/07/2010) -0.45% 0.38% -0.61% 6.43% 4.99% 6.08% - 6.75% 6.43% 4.99% 6.08% - 6.75% With Charges (05/07/2010) (05/07/2010) -5.43% -4.64% -5.58% 1.11% 3.21% 5.00% - 6.08% 1.11% 3.21% 5.00% - 6.08% Variable Portfolio - Moderate Portfolio (Class 2) Without Charges (05/07/2010) (05/07/2010) -0.43% 0.01% -0.98% 4.53% 3.97% 4.85% - 5.61% 4.53% 3.97% 4.85% - 5.61% With Charges (05/07/2010) (05/07/2010) -5.41% -4.99% -5.93% -0.70% 2.21% 3.78% - 4.95% -0.70% 2.21% 3.78% - 4.95% Variable Portfolio - Moderately Conservative Portfolio (Class 2) Without Charges (05/07/2010) (05/07/2010) -0.40% -0.10% -1.23% 2.84% 2.91% 3.60% - 4.30% 2.84% 2.91% 3.60% - 4.30% With Charges (05/07/2010) (05/07/2010) -5.38% -5.09% -6.17% -2.31% 1.16% 2.54% - 3.65% -2.31% 1.16% 2.54% - 3.65% Variable Portfolio - Conservative Portfolio (Class 2) Without Charges (05/07/2010) (05/07/2010) -0.43% -0.52% -1.67% 1.17% 1.95% 2.36% - 3.12% 1.17% 1.95% 2.36% - 3.12% With Charges (05/07/2010) (05/07/2010) -5.41% -5.49% -6.58% -3.89% 0.22% 1.31% - 2.47% -3.89% 0.22% 1.31% - 2.47% Variable Portfolio - Aggressive Portfolio (Class 4) Without Charges (05/07/2010) (05/07/2010) -0.47% 0.74% -0.30% 8.08% 5.97% 7.35% - 7.95% 8.08% 5.97% 7.35% - 7.95% With Charges (05/07/2010) (05/07/2010) -5.45% -4.30% -5.28% 2.68% 4.18% 6.26% - 7.27% 2.68% 4.18% 6.26% - 7.27% Variable Portfolio - Moderately Aggressive Portfolio (Class 4) Without Charges (05/07/2010) (05/07/2010) -0.45% 0.38% -0.61% 6.48% 5.00% 6.08% - 6.77% 6.48% 5.00% 6.08% - 6.77% With Charges (05/07/2010) (05/07/2010) -5.43% -4.64% -5.58% 1.16% 3.22% 5.00% - 6.10% 1.16% 3.22% 5.00% - 6.10% Variable Portfolio - Moderate Portfolio (Class 4) Without Charges (05/07/2010) (05/07/2010) -0.43% 0.01% -0.98% 4.52% 3.97% 4.84% - 5.63% 4.52% 3.97% 4.84% - 5.63% With Charges (05/07/2010) (05/07/2010) -5.41% -4.99% -5.93% -0.71% 2.21% 3.77% - 4.97% -0.71% 2.21% 3.77% - 4.97% Variable Portfolio - Moderately Conservative Portfolio (Class 4) Without Charges (05/07/2010) (05/07/2010) -0.40% -0.10% -1.16% 2.83% 2.92% 3.59% - 4.33% 2.83% 2.92% 3.59% - 4.33% With Charges (05/07/2010) (05/07/2010) -5.38% -5.09% -6.11% -2.31% 1.18% 2.53% - 3.68% -2.31% 1.18% 2.53% - 3.68% Variable Portfolio - Conservative Portfolio (Class 4) Without Charges (05/07/2010) (05/07/2010) -0.36% -0.44% -1.60% 1.17% 1.95% 2.36% - 3.12% 1.17% 1.95% 2.36% - 3.12% With Charges (05/07/2010) (05/07/2010) -5.34% -5.42% -6.52% -3.89% 0.22% 1.31% - 2.47% -3.89% 0.22% 1.31% - 2.47% CASH EQUIVALENTS Columbia Variable Portfolio - Government Money Market (Class 3) Without Charges (05/15/2000) (10/13/1981) 0.04% 0.10% 0.08% -0.12% -0.61% -0.72% -0.71% 0.47% -0.12% -0.61% -0.72% -0.71% 3.02% With Charges (05/15/2000) (10/13/1981) -4.96% -4.91% -4.93% -5.12% -2.30% -1.74% -1.21% 0.18% -5.12% -2.30% -1.74% -1.21% 2.88% 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) Without Charges (05/15/2000) (09/15/1999) -0.05% 0.47% -0.72% -0.25% 0.85% 1.60% 1.00% 1.94% -0.25% 0.85% 1.60% 1.00% 1.89% With Charges (05/15/2000) (09/15/1999) -5.05% -4.55% -5.68% -5.24% -0.86% 0.56% 0.49% 1.66% -5.24% -0.86% 0.56% 0.49% 1.62% Page 8 of 16
Commencement of the 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. Commencement of fund * SHORT-TERM FIXED INCOME (CONT.) Columbia Variable Portfolio - Limited Duration Credit (Class 2) Without Charges (06/30/2014) (05/07/2010) -0.31% -0.15% -1.22% -1.14% 0.09% - - -0.37% -1.14% 0.09% 0.17% - 1.01% With Charges (06/30/2014) (05/07/2010) -5.30% -5.14% -6.16% -6.08% -1.61% - - -1.64% -6.08% -1.61% -0.85% - 0.38% LONG-/INTERMEDIATE-TERM FIXED INCOME PIMCO VIT Total Return Portfolio, Advisor Class Without Charges (06/30/2014) (02/28/2006) -0.04% -0.73% -2.20% -1.17% 0.98% - - 0.81% -1.17% 0.98% 1.27% 3.51% 3.79% With Charges (06/30/2014) (02/28/2006) -5.04% -5.70% -7.09% -6.11% -0.73% - - -0.47% -6.11% -0.73% 0.24% 2.98% 3.36% CTIVP - BlackRock Global Inflation-Protected Securities (Class 3) Without Charges (08/30/2005) (09/13/2004) 0.34% -0.18% -0.04% 2.33% 2.29% 2.44% 2.55% 2.86% 2.33% 2.29% 2.44% 2.55% 2.94% With Charges (08/30/2005) (09/13/2004) -4.68% -5.17% -5.04% -2.79% 0.56% 1.40% 2.02% 2.45% -2.79% 0.56% 1.40% 2.02% 2.56% Columbia Variable Portfolio - Intermediate Bond (Class 3) Without Charges (05/15/2000) (10/13/1981) -0.23% 0.01% -1.37% -0.66% 1.53% 1.63% 3.12% 3.55% -0.66% 1.53% 1.63% 3.12% 6.41% With Charges (05/15/2000) (10/13/1981) -5.22% -4.99% -6.30% -5.63% -0.19% 0.59% 2.59% 3.25% -5.63% -0.19% 0.59% 2.59% 6.26% MULTI-SECTOR FIXED INCOME Oppenheimer Global Strategic Income /VA, Service Shares Without Charges (08/30/2005) (05/03/1993) -0.96% -2.81% -3.58% -1.97% 0.77% 1.28% 2.58% 3.27% -1.97% 0.77% 1.28% 2.58% 4.47% With Charges (08/30/2005) (05/03/1993) -5.91% -7.67% -8.40% -6.87% -0.94% 0.25% 2.06% 2.85% -6.87% -0.94% 0.25% 2.06% 4.26% INTERNATIONAL FIXED INCOME Templeton Global Bond VIP - Class 2 Without Charges (06/30/2014) (01/24/1989) -0.68% -2.37% -1.17% -2.56% -0.90% - - -1.30% -2.56% -0.90% 0.05% 4.37% 5.98% With Charges (06/30/2014) (01/24/1989) -5.64% -7.25% -6.11% -7.43% -2.58% - - -2.56% -7.43% -2.58% -0.97% 3.84% 5.80% Columbia Variable Portfolio - Global Bond (Class 3) Without Charges (05/15/2000) (05/01/1996) -0.91% -4.70% -4.03% -2.50% -2.68% -2.05% 0.34% 2.89% -2.50% -2.68% -2.05% 0.34% 2.67% With Charges (05/15/2000) (05/01/1996) -5.86% -9.46% -8.83% -7.38% -4.33% -3.04% -0.17% 2.60% -7.38% -4.33% -3.04% -0.17% 2.43% HIGH-YIELD FIXED INCOME Eaton Vance VT Floating-Rate Income, Initial Class Without Charges (06/11/2007) (05/02/2001) -0.08% 0.27% 1.46% 2.61% 2.72% 2.22% 3.22% 2.68% 2.61% 2.72% 2.22% 3.22% 2.54% With Charges (06/11/2007) (05/02/2001) -5.08% -4.75% -3.62% -2.52% 0.97% 1.17% 2.69% 2.20% -2.52% 0.97% 1.17% 2.69% 2.24% Columbia Variable Portfolio - Income Opportunities (Class 3) Without Charges (08/30/2005) (06/01/2004) -0.02% -0.17% -2.36% -0.98% 2.73% 3.56% 6.27% 5.49% -0.98% 2.73% 3.56% 6.27% 5.80% With Charges (08/30/2005) (06/01/2004) -5.02% -5.17% -7.25% -5.93% 0.99% 2.51% 5.73% 5.06% -5.93% 0.99% 2.51% 5.73% 5.42% Putnam VT High Yield - Class IB Shares 1 Without Charges (05/03/1999) (02/01/1988) 0.09% 0.27% -1.08% 1.45% 3.32% 3.68% 5.72% 4.84% 1.45% 3.32% 3.68% 5.72% 6.37% With Charges (05/03/1999) (02/01/1988) -4.91% -4.75% -6.03% -3.63% 1.57% 2.62% 5.17% 4.56% -3.63% 1.57% 2.62% 5.17% 6.19% Columbia Variable Portfolio - High Yield Bond (Class 3) Without Charges (05/15/2000) (05/01/1996) 0.08% -0.08% -2.20% -0.79% 3.03% 3.73% 6.49% 5.39% -0.79% 3.03% 3.73% 6.49% 5.01% With Charges (05/15/2000) (05/01/1996) -4.93% -5.07% -7.09% -5.75% 1.29% 2.68% 5.95% 5.09% -5.75% 1.29% 2.68% 5.95% 4.77% BALANCED BlackRock Global Allocation V.I. Class III Shares Without Charges (06/30/2014) (02/28/1992) -0.68% -1.38% -2.06% 3.01% 2.84% - - 2.20% 3.01% 2.84% 4.20% 3.52% 5.77% With Charges (06/30/2014) (02/28/1992) -5.65% -6.31% -6.96% -2.14% 1.09% - - 0.90% -2.14% 1.09% 3.14% 2.99% 5.56% Calvert VP SRI Balanced Portfolio - Class I Without Charges (05/15/2000) (09/02/1986) 0.82% 2.03% 0.89% 6.92% 4.71% 6.92% 5.38% 3.26% 6.92% 4.71% 6.92% 5.38% 6.21% With Charges (05/15/2000) (09/02/1986) -4.22% -3.07% -4.15% 1.57% 2.94% 5.82% 4.84% 2.96% 1.57% 2.94% 5.82% 4.84% 6.04% Columbia Variable Portfolio - Balanced (Class 3) Without Charges (05/15/2000) (04/30/1986) 0.19% 0.72% -1.60% 4.30% 5.39% 7.54% 6.64% 3.67% 4.30% 5.39% 7.54% 6.64% 7.01% With Charges (05/15/2000) (04/30/1986) -4.82% -4.31% -6.52% -0.92% 3.61% 6.44% 6.09% 3.38% -0.92% 3.61% 6.44% 6.09% 6.84% Lazard Retirement Global Dynamic Multi-Asset Portfolio - Service Shares Without Charges (06/30/2014) (04/30/2012) -0.59% -0.38% -1.04% 8.13% 5.74% - - 4.05% 8.13% 5.74% 6.48% - 6.94% With Charges (06/30/2014) (04/30/2012) -5.56% -5.36% -5.99% 2.72% 3.95% - - 2.72% 2.72% 3.95% 5.40% - 6.06% Franklin Income VIP - Class 2 Without Charges (06/30/2014) (01/24/1989) 0.38% 2.76% 0.31% 5.13% 4.85% - - 1.88% 5.13% 4.85% 5.07% 5.21% 7.49% With Charges (06/30/2014) (01/24/1989) -4.64% -2.38% -4.71% -0.13% 3.07% - - 0.58% -0.13% 3.07% 4.00% 4.67% 7.31% Page 9 of 16
Commencement of the 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. Commencement of fund * BALANCED (CONT.) Ivy VIP Asset Strategy Without Charges (06/30/2014) (05/01/1995) -1.09% 0.58% 1.27% 10.20% 1.50% - - -0.24% 10.20% 1.50% 3.22% 2.60% 8.00% With Charges (06/30/2014) (05/01/1995) -6.03% -4.45% -3.79% 4.69% -0.22% - - -1.51% 4.69% -0.22% 2.17% 2.07% 7.76% AB VPS Dynamic Asset Allocation Portfolio (Class B) Without Charges (06/30/2014) (04/01/2011) -0.77% -0.77% -2.14% 3.67% 3.08% - - 2.55% 3.67% 3.08% 4.37% - 3.89% With Charges (06/30/2014) (04/01/2011) -5.73% -5.73% -7.03% -1.52% 1.34% - - 1.25% -1.52% 1.34% 3.31% - 3.15% PIMCO VIT All Asset Portfolio, Advisor Class Without Charges (06/11/2007) (04/30/2003) -1.24% -2.66% -2.69% 2.95% 3.53% 2.48% 3.52% 3.57% 2.95% 3.53% 2.48% 3.52% 4.66% With Charges (06/11/2007) (04/30/2003) -6.18% -7.53% -7.56% -2.20% 1.77% 1.43% 2.99% 3.09% -2.20% 1.77% 1.43% 2.99% 4.30% Invesco V.I. Balanced-Risk Allocation, Series II Shares Without Charges (06/30/2014) (01/23/2009) -2.01% 0.86% -0.89% 6.28% 4.16% - - 2.77% 6.28% 4.16% 4.42% - 7.42% With Charges (06/30/2014) (01/23/2009) -6.91% -4.18% -5.85% 0.97% 2.39% - - 1.46% 0.97% 2.39% 3.35% - 6.84% LARGE CAP STOCK CTIVP - MFS Blended Research Core Equity (Class 3) Without Charges (06/11/2007) (05/01/2006) -0.17% 2.33% 0.14% 10.59% 8.79% 10.04% 6.53% 4.45% 10.59% 8.79% 10.04% 6.53% 5.27% With Charges (06/11/2007) (05/01/2006) -5.16% -2.79% -4.87% 5.06% 6.94% 8.92% 5.98% 3.96% 5.06% 6.94% 8.92% 5.98% 4.83% Columbia Variable Portfolio - Large Cap Index (Class 3) Without Charges (05/15/2000) (05/01/2000) 0.50% 3.10% 1.97% 12.87% 10.43% 11.90% 8.74% 4.14% 12.87% 10.43% 11.90% 8.74% 4.07% With Charges (05/15/2000) (05/01/2000) -4.52% -2.05% -3.13% 7.23% 8.56% 10.76% 8.19% 3.84% 7.23% 8.56% 10.76% 8.19% 3.77% Invesco V.I. Comstock, Series II Without Charges (06/11/2007) (04/30/1999) -0.46% 2.37% -0.50% 12.77% 7.59% 9.22% 8.73% 5.24% 12.77% 7.59% 9.22% 8.73% 6.08% With Charges (06/11/2007) (04/30/1999) -5.44% -2.75% -5.47% 7.13% 5.77% 8.11% 8.17% 4.75% 7.13% 5.77% 8.11% 8.17% 5.80% Goldman Sachs VIT U.S. Equity Insights - Institutional Shares Without Charges (05/15/2000) (02/13/1998) -0.32% 2.99% 3.45% 15.41% 11.57% 13.56% 9.22% 4.44% 15.41% 11.57% 13.56% 9.22% 5.61% With Charges (05/15/2000) (02/13/1998) -5.30% -2.16% -1.72% 9.64% 9.68% 12.40% 8.66% 4.14% 9.64% 9.68% 12.40% 8.66% 5.35% Putnam VT Sustainable Leaders - Class IA Shares Without Charges (11/22/1996) (05/02/1994) -0.37% 3.71% 6.42% 19.04% 12.27% 14.76% 9.64% 6.05% 19.04% 12.27% 14.76% 9.64% 7.80% With Charges (11/22/1996) (05/02/1994) -5.35% -1.47% 1.10% 13.08% 10.37% 13.59% 9.08% 5.80% 13.08% 10.37% 13.59% 9.08% 7.57% Columbia Variable Portfolio - Disciplined Core (Class 3) Without Charges (05/15/2000) (10/13/1981) -0.11% 3.11% 2.80% 16.57% 10.14% 12.64% 8.74% 3.08% 16.57% 10.14% 12.64% 8.74% 8.65% With Charges (05/15/2000) (10/13/1981) -5.11% -2.04% -2.34% 10.74% 8.27% 11.49% 8.18% 2.79% 10.74% 8.27% 11.49% 8.18% 8.50% Fidelity VIP Growth & Income Portfolio Service Class 2 Without Charges (05/15/2000) (12/31/1996) 0.88% 3.72% -0.11% 9.73% 8.32% 10.07% 7.54% 4.66% 9.73% 8.32% 10.07% 7.54% 6.57% With Charges (05/15/2000) (12/31/1996) -4.17% -1.47% -5.10% 4.24% 6.48% 8.95% 6.99% 4.36% 4.24% 6.48% 8.95% 6.99% 6.31% Invesco V.I. Core Equity, Series I Shares Without Charges (11/22/1996) (05/02/1994) -0.75% 0.71% -0.80% 3.70% 4.40% 6.68% 6.01% 5.63% 3.70% 4.40% 6.68% 6.01% 6.98% With Charges (11/22/1996) (05/02/1994) -5.71% -4.33% -5.76% -1.49% 2.63% 5.59% 5.47% 5.38% -1.49% 2.63% 5.59% 5.47% 6.76% Janus Henderson Research Portfolio: Service Shares 3 Without Charges (06/11/2007) (09/13/1993) 0.22% 4.11% 5.19% 15.24% 9.41% 12.75% 8.28% 6.72% 15.24% 9.41% 12.75% 8.28% 7.35% With Charges (06/11/2007) (09/13/1993) -4.79% -1.10% -0.07% 9.48% 7.56% 11.60% 7.73% 6.23% 9.48% 7.56% 11.60% 7.73% 7.13% Fidelity VIP Contrafund Portfolio Service Class 2 Without Charges (06/11/2007) (01/03/1995) 0.10% 2.52% 2.63% 11.50% 8.55% 11.25% 7.79% 6.46% 11.50% 8.55% 11.25% 7.79% 9.94% With Charges (06/11/2007) (01/03/1995) -4.90% -2.60% -2.50% 5.92% 6.71% 10.11% 7.24% 5.97% 5.92% 6.71% 10.11% 7.24% 9.70% Columbia Variable Portfolio - Large Cap Growth (Class 3) Without Charges (05/15/2000) (09/15/1999) 0.21% 4.28% 6.80% 16.33% 10.71% 14.39% 9.67% 1.39% 16.33% 10.71% 14.39% 9.67% 2.53% With Charges (05/15/2000) (09/15/1999) -4.80% -0.94% 1.46% 10.51% 8.83% 13.23% 9.11% 1.10% 10.51% 8.83% 13.23% 9.11% 2.25% Invesco V.I. American Franchise, Series I Without Charges (04/27/2012) (07/05/1995) 0.68% 5.73% 9.73% 17.90% 12.71% 14.96% - 12.88% 17.90% 12.71% 14.96% 9.63% 8.74% With Charges (04/27/2012) (07/05/1995) -4.35% 0.44% 4.25% 12.00% 10.80% 13.79% - 11.94% 12.00% 10.80% 13.79% 9.07% 8.50% AB VPS Growth and Income Portfolio (Class B) Without Charges (06/03/2002) (01/14/1991) 0.27% 0.45% -1.23% 10.38% 8.73% 9.92% 7.95% 6.33% 10.38% 8.73% 9.92% 7.95% 8.43% With Charges (06/03/2002) (01/14/1991) -4.75% -4.57% -6.17% 4.86% 6.89% 8.80% 7.40% 5.99% 4.86% 6.89% 8.80% 7.40% 8.23% Columbia Variable Portfolio - Dividend Opportunity (Class 3) Without Charges (05/15/2000) (09/15/1999) 0.05% 1.40% -1.04% 7.15% 7.42% 8.08% 5.73% 5.97% 7.15% 7.42% 8.08% 5.73% 5.98% With Charges (05/15/2000) (09/15/1999) -4.95% -3.67% -5.99% 1.80% 5.60% 6.97% 5.19% 5.67% 1.80% 5.60% 6.97% 5.19% 5.69% Page 10 of 16
Commencement of the 1-month 3-month YTD 1-yr. 3-yr. 5-yr. 10-yr. Commencement of fund * LARGE CAP STOCK (CONT.) American Century VP Value, Class I Without Charges (05/03/1999) (05/01/1996) 0.07% 2.31% -0.81% 5.94% 7.15% 8.89% 8.51% 6.37% 5.94% 7.15% 8.89% 8.51% 7.79% With Charges (05/03/1999) (05/01/1996) -4.94% -2.81% -5.77% 0.64% 5.33% 7.78% 7.95% 6.09% 0.64% 5.33% 7.78% 7.95% 7.54% MFS Massachusetts Investors Growth Stock Portfolio - Service Class Without Charges (03/27/2015) (08/23/2001) 1.23% 3.24% 4.97% 16.35% 11.12% - - 10.03% 16.35% 11.12% 12.24% 9.26% 5.55% With Charges (03/27/2015) (08/23/2001) -3.83% -1.93% -0.28% 10.53% 9.23% - - 8.31% 10.53% 9.23% 11.09% 8.70% 5.23% Invesco V.I. Diversified Dividend, Series I Shares Without Charges (04/29/2011) (03/01/1990) 1.26% 1.34% -2.57% 1.83% 5.88% 8.72% - 9.30% 1.83% 5.88% 8.72% 6.87% 6.98% With Charges (04/29/2011) (03/01/1990) -3.80% -3.73% -7.44% -3.26% 4.08% 7.61% - 8.52% -3.26% 4.08% 7.61% 6.33% 6.79% AB VPS Large Cap Growth Portfolio (Class B) 4 Without Charges (06/11/2007) (06/26/1992) 1.56% 6.05% 8.36% 21.53% 13.75% 17.02% 10.34% 8.65% 21.53% 13.75% 17.02% 10.34% 9.15% With Charges (06/11/2007) (06/26/1992) -3.52% 0.75% 2.94% 15.45% 11.82% 15.82% 9.77% 8.15% 15.45% 11.82% 15.82% 9.77% 8.93% Columbia Variable Portfolio - Select Large-Cap Value (Class 3) Without Charges (08/30/2005) (02/04/2004) -0.24% 1.33% -2.55% 10.63% 9.17% 10.87% 9.12% 7.12% 10.63% 9.17% 10.87% 9.12% 7.04% With Charges (08/30/2005) (02/04/2004) -5.23% -3.74% -7.42% 5.10% 7.32% 9.74% 8.56% 6.69% 5.10% 7.32% 9.74% 8.56% 6.66% Franklin Mutual Shares VIP - Class 2 5 Without Charges (06/03/2002) (11/08/1996) 0.23% 1.84% -1.18% 1.10% 4.20% 6.72% 5.63% 5.38% 1.10% 4.20% 6.72% 5.63% 6.34% With Charges (06/03/2002) (11/08/1996) -4.79% -3.25% -6.12% -3.95% 2.44% 5.63% 5.09% 5.05% -3.95% 2.44% 5.63% 5.09% 6.09% MID CAP STOCK Invesco V.I. Mid Cap Growth, Series I Without Charges (04/27/2012) (09/25/2000) 0.26% 3.88% 7.52% 15.11% 6.69% 11.11% - 10.54% 15.11% 6.69% 11.11% 7.91% 1.22% With Charges (04/27/2012) (09/25/2000) -4.75% -1.31% 2.15% 9.35% 4.88% 9.97% - 9.62% 9.35% 4.88% 9.97% 7.36% 0.92% CTIVP - Victory Sycamore Established Value (Class 3) Without Charges (08/30/2005) (02/04/2004) 1.08% 2.17% 0.81% 10.27% 10.21% 12.58% 9.40% 8.06% 10.27% 10.21% 12.58% 9.40% 8.07% With Charges (08/30/2005) (02/04/2004) -3.98% -2.93% -4.23% 4.75% 8.34% 11.44% 8.84% 7.63% 4.75% 8.34% 11.44% 8.84% 7.69% Columbia Variable Portfolio - Mid Cap Growth (Class 3) Without Charges (06/03/2002) (05/01/2001) 0.63% 5.75% 6.84% 16.89% 8.46% 11.50% 8.26% 6.50% 16.89% 8.46% 11.50% 8.26% 5.79% With Charges (06/03/2002) (05/01/2001) -4.41% 0.47% 1.50% 11.05% 6.62% 10.37% 7.70% 6.16% 11.05% 6.62% 10.37% 7.70% 5.47% Wells Fargo VT Opportunity - Class 2 Without Charges (06/03/2002) (05/08/1992) 0.32% 3.13% 2.45% 12.90% 8.85% 10.57% 8.46% 7.71% 12.90% 8.85% 10.57% 8.46% 10.12% With Charges (06/03/2002) (05/08/1992) -4.69% -2.02% -2.67% 7.26% 7.01% 9.44% 7.90% 7.36% 7.26% 7.01% 9.44% 7.90% 9.90% Goldman Sachs VIT Mid Cap Value - Institutional Shares Without Charges (05/15/2000) (05/01/1998) -0.13% 1.87% 0.02% 6.27% 3.90% 7.57% 6.76% 9.07% 6.27% 3.90% 7.57% 6.76% 7.64% With Charges (05/15/2000) (05/01/1998) -5.12% -3.22% -4.98% 0.96% 2.14% 6.47% 6.21% 8.77% 0.96% 2.14% 6.47% 6.21% 7.37% Fidelity VIP Mid Cap Portfolio Service Class Without Charges (05/15/2000) (12/28/1998) 0.23% 2.32% 2.43% 13.03% 8.27% 11.10% 8.05% 9.46% 13.03% 8.27% 11.10% 8.05% 11.80% With Charges (05/15/2000) (12/28/1998) -4.78% -2.80% -2.69% 7.38% 6.44% 9.96% 7.50% 9.15% 7.38% 6.44% 9.96% 7.50% 11.51% Janus Henderson Enterprise Portfolio: Service Shares 6 Without Charges (05/15/2000) (09/13/1993) -0.45% 1.91% 6.83% 18.39% 13.37% 14.86% 10.32% 3.68% 18.39% 13.37% 14.86% 10.32% 9.93% With Charges (05/15/2000) (09/13/1993) -5.42% -3.18% 1.49% 12.47% 11.45% 13.69% 9.75% 3.39% 12.47% 11.45% 13.69% 9.75% 9.70% Morgan Stanley VIF Mid Cap Growth Portfolio, Class II Shares Without Charges (06/11/2007) (10/18/1999) 2.93% 12.41% 21.06% 31.38% 11.23% 11.05% 8.59% 7.50% 31.38% 11.23% 11.05% 8.59% 6.44% With Charges (06/11/2007) (10/18/1999) -2.22% 6.79% 15.01% 24.81% 9.35% 9.92% 8.03% 7.00% 24.81% 9.35% 9.92% 8.03% 6.15% Columbia Variable Portfolio - Mid Cap Value (Class 3) Without Charges (08/30/2005) (05/02/2005) 0.24% 1.78% -1.38% 5.69% 5.88% 8.77% 7.03% 6.81% 5.69% 5.88% 8.77% 7.03% 7.47% With Charges (08/30/2005) (05/02/2005) -4.77% -3.31% -6.31% 0.40% 4.09% 7.66% 6.48% 6.38% 0.40% 4.09% 7.66% 6.48% 7.05% SMALL CAP STOCK MFS New Discovery Series - Service Class 7 Without Charges (05/15/2000) (05/01/1998) 1.31% 9.48% 13.71% 28.99% 11.04% 10.05% 11.22% 5.56% 28.99% 11.04% 10.05% 11.22% 7.95% With Charges (05/15/2000) (05/01/1998) -3.75% 4.00% 8.02% 22.54% 9.16% 8.93% 10.65% 5.26% 22.54% 9.16% 8.93% 10.65% 7.67% Wanger USA Without Charges (05/15/2000) (05/03/1995) 2.79% 11.06% 15.08% 22.89% 12.12% 13.27% 10.32% 9.05% 22.89% 12.12% 13.27% 10.32% 11.28% With Charges (05/15/2000) (05/03/1995) -2.34% 5.51% 9.33% 16.74% 10.22% 12.11% 9.75% 8.74% 16.74% 10.22% 12.11% 9.75% 11.04% Page 11 of 16