EX-99.(O) 54 d293469dex99o.htm FORM OF INITIAL SUMMARY PROSPECTUS Form of Initial Summary Prospectus
Monument Advisor® NY
Individual Variable Annuity
Issued by
Jefferson National Life Insurance Company of New York
through its
Jefferson National Life of New York Annuity Account 1
Summary Prospectus for New Investors
May 1, 2022
The contracts described in this prospectus are only available in the state of New York.
This summary prospectus summarizes key features of the contract.
Before you invest, you should also review the statutory prospectus for the contract, which contains more information about the contract’s features, benefits, and risks. You can find this document and other information about the contract online at https://nationwide.onlineprospectus.net/NW/C000148690NW/index.php?ctype=product_prospectus. You can also obtain this information at no cost by calling 1-866-667-0561 or by sending an email request to NAS_Service@nationwide.com@nationwide.com.
If you change your mind about owning the Contract, you may cancel the Contract within 10 days after receiving it (or 60 days if it is a Replacement Contract) and We will cancel the Contract. Jefferson National deems this period as beginning on the date the Contract is posted to your Secure Online Account. If you elect to receive the Contract in paper, Jefferson National deems this period as ending 15 days after We mail the Contract, or 60 days if it is a Replacement Contract. On the day We receive your request We will return your Contract Value. This refund amount will be the Contract Value plus the amount of fees and other charges deducted from the Contract via redemption of Accumulation Units, if applicable, such as Subscription Fees. The amount refunded will not include any underlying fund charges or Contract fees that were assessed daily as part of the Accumulation Unit value calculation during the free look period. See Free Look in the statutory prospectus for additional details.
You should review the statutory prospectus, or consult with your financial professional, for additional information about the specific cancellation terms that apply.
Additional information about certain investment products, including variable annuities, has been prepared by the SEC’s staff and is available at Investor.gov.
This contract may be available through third-party financial intermediaries who charge an investment advisory fee for their services, and these fees are in addition to contract fees and expenses described in this prospectus. If the Owner elects to pay the investment advisory fees from the Contract Value, this may reduce the death benefit and other benefits under the contract, may be subject to federal and state income taxes, and may be subject to a 10% federal tax penalty.
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Definitions of Special Terms
Because of the complex nature of the Contract, We have used certain words or terms in this prospectus, which may need additional explanation. We have identified the following as some of these words or terms.
Accumulation Period: The period during which you invest money in your Contract.
Accumulation Unit: A measurement We use to calculate the value of the variable portion of your Contract during the Accumulation Period.
Advisor Fee: Any fee charged by any Investment Advisor or financial professional you hire and processed as such by the Company as a withdrawal from the Contract Value.
Annuitant(s) : The natural person(s) on whose life (lives) We base Annuity Payments. On or after the Annuity Date, the Annuitant shall also include any joint Annuitant. In the event of joint Annuitants , the life of the primary Annuitant is used to determine Annuity Payments. If the Contract is owned by a non-natural Owner and joint Annuitants are named, the Death Benefit Amount will be calculated upon the death of the first Annuitant to die.
Annuity Date: The date on which Annuity Payments are to begin, as selected by you, or as required by the Contract or by state or federal law. If a prior date is not selected by you, the Annuity Date is the Maximum Maturity Date. For joint Annuitants all provisions are based on the age of the primary Annuitant.
Annuity Options: Income plans which can be elected to provide periodic Annuity Payments beginning on the Annuity Date.
Annuity Payments: Periodic income payments provided under the terms of one of the Annuity Options.
Annuity Period: The period during which We make income payments to you.
Beneficiary : The person(s) or entities, designated to receive any benefits under the Contract if you or, in the case of a non-natural Owner, the Annuitant dies.
Business Day: Generally, any day on which the New York Stock Exchange is open for trading. Our Business Day ends at the closing of regular trading on the New York Stock Exchange. Some of the Investment Options may impose earlier deadlines for trading. These deadlines are described in further detail under the heading "Transfers."
Code : The Internal Revenue Code of 1986, as amended.
Company : Jefferson National Life Insurance Company of New York, also referred to as Jefferson National, We, Us, and Our.
Contract : The Monument Advisor® NY individual variable annuity contract, which provides variable investment options offered by the Company .
Contract Value: Your Contract Value is the sum of amounts held under your Contract in the various Sub-accounts of the Separate Account.
Death Benefit Amount: The Death Benefit Amount is the amount payable to the Beneficiary upon the death of the Owner, or for a Contract owned by a non-natural person, the death of the Annuitant .
Free Look Period: If you change your mind about owning the Contract, the Free Look Period is the period of time within which you may cancel your Contract . This period of time is 10 days from receipt, or 60 days if it is a Replacement Contract.
Investment Advisor: A registered investment adviser, an investment adviser who is exempt from registration with the Securities and Exchange Commission or other adviser selected by you.
Investment Options: The investment choices available to Owners. These choices include the Sub-accounts of the Separate Account.
Investment Portfolio(s): The variable Investment Options available under the Contract. Each Sub-account has its own investment objective and is invested in the underlying Investment Portfolio.
Low Cost Fund Platform Fee: Fee imposed by the Company on Contract Value invested in certain Sub-accounts that invest in low cost Investment Portfolios. This fee is assessed daily as part of the daily Accumulation Unit value calculation. See Low Cost Fund Platform Fee for further details, including a list of the Sub-accounts for which the Company currently imposes the fee.
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Maximum Maturity Date: The date on which the Annuitant attains age 100. For joint Annuitants, all provisions which are based on age are based on the age of the primary Annuitant.
Non-Natural Owner: The trust or entity (e.g. CRT, Family Trust, Corporation, Other) that will own the Contract.
Owner : You, the purchaser of the Contract, are the Owner .
Purchase Payment: The money you give Us to buy the Contract, as well as any additional money you give Us to invest in the Contract after you own it.
Replacement Contract: A Contract purchased with the proceeds from another contract (a contract issued by the Company and/or another insurance company).
Secure Online Account: Your Secure Online Account is a password protected electronic account through which you can access personal documents relating to your Contract, such as transaction confirmations, periodic account statements and other personal correspondence. You create your Secure Online Account by going to our Website after you purchase the Contract and we maintain it for you on our Website thereafter.
Separate Account: Jefferson National Life of New York Annuity Account 1, which invests in the Investment Portfolios .
Sub-account : A segment within the Separate Account which invests in a single Investment Portfolio.
Subscription Fee: $20 per month fee charged by Us to issue and administer the Contract.
Website : www.nationwideadvisory.com, which is the website of Jefferson National Life Insurance Company of New York. You may obtain information about your Contract and request certain transactions through the Website .
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Important Information You Should Consider About the Contract
FEES AND EXPENSES
(see Additional Information About Fees later in this summary prospectus and Expenses in the statutory prospectus)
Charges for Early Withdrawals None
Transaction Charges We currently do not but reserve the right to assess a Transfer Fee in the event of excessive transfers (see Transfer Fee in the statutory prospectus).
Ongoing Fees and Expenses (annual charges) The table below describes the fees and expenses that you may pay each year, depending on the options chosen. Please refer to your contract specifications page for information about the specific fees you will pay each year based on the options you have elected. The fees and expenses do not reflect any investment advisory fees paid to financial professionals from Contract Value or other assets you own; if those charges were reflected, the fees and expenses would be higher.
Annual Fee Minimum Maximum
Base Contract 0.24% 1 0.24% 1
Investment Portfolios (underlying mutual fund fees and expenses) 0.34% 2 3.56% 2
1 As a percentage of Variable Account value.
2 As a percentage of underlying mutual fund assets. Minimum and maximum expenses include the maximum Low Cost Fund Platform Fee (see Low Cost Fund Platform Fee in the statutory prospectus).
Because each contract is customizable, the options elected affect how much each Contract Owner will pay. To help you understand the cost of owning the contract, the following table shows the lowest and highest cost a Contract Owner could pay each year, based on current charges.
Lowest Annual Cost Estimate:
$593.24
Highest Annual Cost Estimate:
$2,369.55
Assumes:
• Investment of $100,000
• 5% annual appreciation
• Least expensive underlying mutual fund fees and expenses
• No additional purchase payments, transfers or withdrawals
• No investment advisory fees
Assumes:
• Investment of $100,000
• 5% annual appreciation
• Most expensive underlying mutual fund fees and expenses
• No additional purchase payments, transfers or withdrawals
• No investment advisory fees
    
RISKS
Risk of Loss Contract Owners of variable annuities can lose money by investing in the contract, including loss of principal (see Principal Risks in the statutory prospectus).
Not a Short-Term Investment The contract is not a short-term investment and is not appropriate for an investor who needs ready access to cash. We have designed the contract to offer features, pricing, and investment options that encourage long-term ownership (see Principal Risks in the statutory prospectus).

The benefits of tax deferral also means that the contract is more beneficial to investors with a long time horizon (see Principal Risks in the statutory prospectus).
Risks Associated with Investment Options • Investment in this contract is subject to the risk of poor investment performance of the Investment Options chosen by the Contract Owner.
• Each Investment Option has its own unique risks.
• Review the prospectuses and disclosures for the Investment Options before making an investment decision.
See Principal Risks in the statutory prospectus.
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RISKS
Insurance Company Risks Investment in the contract is subject to the risks associated with Jefferson National, including that any obligations, guarantees, or benefits are subject to Our claims-paying ability. More information about Us is available by contacting Us at the address and/or toll-free phone number indicated in Contacting Us (see Principal Risks in the statutory prospectus).
RESTRICTIONS
Investments • We reserve the right to add, remove, and substitute Investment Portfolios available under the Contract (see The Investment Portfolios in the statutory prospectus).
• Certain Investment Portfolios have early cut-off times (see Appendix: More Information About the Investment Portfolios).
TAXES
Tax Implications • Consult with a tax professional to determine the tax implications of an investment in and payments received under this Contract.
• If the Contract is purchased through a tax-qualified plan or IRA, there is no additional tax deferral.
• Earnings in the Contract are taxed at ordinary income tax rates at the time of withdrawals and there may be a tax penalty if withdrawals are taken before the Owner reaches age 59½.
See Taxes in the statutory prospectus.
CONFLICTS OF INTEREST
Investment Professional Compensation Some financial professionals receive compensation for selling the contract. Compensation can take the form of either investment advisory fees paid pursuant to an investment advisory agreement. Alternately, compensation can take the form of commission indirect compensation from revenue that We earn and may share with the financial professional’s firm. This conflict of interest may influence a financial professional, as these financial professionals may have a financial incentive to offer or recommend this contract over another investment (see The Monument Advisor® NY Variable Annuity Contract in the statutory prospectus).
Exchanges Some financial professionals may have a financial incentive to offer an investor a new contract in place of the one he/she already owns. An investor should only exchange his/her contract if he/she determines, after comparing the features, fees, and risks of both contracts, that it is preferable for him/her to purchase the new contract, rather than to continue to own the existing one (see The Monument Advisor® NY Variable Annuity Contract in the statutory prospectus).
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Overview of the Contract
Purpose of the Contract
The Contract is intended to be a long-term investment vehicle to assist investors in saving for and living in retirement. We have designed the contract to offer features, pricing, and Investment Options that encourage long-term ownership. It provides you with a stream of periodic income payments upon your retirement. During the years leading up to those income payments, you manage your assets in the Contract according your specific goals and risk preferences by directing the allocation and reallocation among a variety of Investment Options. Contract growth is tax-deferred, meaning that gains in the contract are not taxable until withdrawn from the Contract. Finally, in the event that you die before beginning income payments, the Contract offers a death benefit.
Before purchasing the Contract you should consult with a financial professional to determine whether this contract is appropriate for you, taking into consideration your particular needs, including investment objectives, risk tolerance, investment time horizon, marital status, tax situation, and other personal characteristics. Generally speaking, this Contract is intended to provide benefits to a single individual and his/her beneficiaries. The Contract is not intended to be used by institutional investors, or in connection with other Jefferson National contracts that have the same Annuitant and/or Owner. It is not intended to be sold to a terminally ill Contract Owner.
If the Owner elects to pay the investment advisory fees from the Contract Value, this may reduce the death benefit and other benefits under the contract, may be subject to federal and state income taxes, and may be subject to a 10% federal tax penalty (see Expenses, Advisor Fee Withdrawals, and Taxes in the statutory prospectus).
Phases of the Contract
The contract exists in two separate phases: the Accumulation Period (savings) and the Annuity Period (income). During the Accumulation Period, the Contract offers a variety of Investment Options to which the Owner can allocate and reallocate his/her Contract Value. The Investment Options available under the Contract consist of Sub-accounts that invest in underlying mutual funds, which offer a variable rate of return. Additional information about the underlying mutual funds is available in Appendix: More Information About the Investment Portfolios.
During the Annuity Period, We make periodic income payments to you. Prior to the Annuity Date, you elect the duration of the Annuity Payments – either for a fixed period of time or for the duration of the Annuitant’s (and possibly the joint Annuitant’s ) life. Annuity Payments will be fixed, meaning that the amount of each Annuity Payment will be the same. After the Annuity Date, the only value associated with the Contract is the stream of Annuity Payments; unless otherwise specified in the Annuity Option, you cannot withdraw value from the Contract over and above the Annuity Payments. Additionally, after the Annuity Date, there is no death benefit, which means that upon your death, all Annuity Payments stop and the Contract terminates, unless the particular Annuity Option provides otherwise.
Contract Features
Investment Options. Owners can allocate Contract Value to Sub-accounts that invest in underlying mutual funds. Owners can reallocate those assets at their discretion, subject to certain restrictions.
Deposits to the Contract. Owners can apply additional Purchase Payments to the Contract until the Annuity Date , subject to certain restrictions.
Withdrawals from the Contract. Owners can withdraw some or all of their Contract Value at any time prior to the Annuity Date, subject to certain restrictions. During the Annuity Period, withdrawals other than Annuity Payments are not permitted.
Death Benefit. During the Accumulation Period, the Contract contains a standard death benefit (return of Contract Value) at no additional charge.
Annuity Payments. On the Annuity Date, We will make Annuity Payments based on the Annuity Option chosen.
Tax Deferral. Generally, Owners will not be taxed on any earnings on the assets in the Contract until such earnings are distributed from the Contract. How each contract’s distributions are taxed depends on the type of contract issued. Note that if this Contract is issued in connection with a plan that qualifies for special income tax treatment under the Code, the Contract does not provide additional tax deferral benefits (see Taxes in the statutory prospectus).
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Cancellation of the Contract. Under state insurance laws, Owners have the right, during a limited period of time, to examine their Contract and decide if they want to keep it or cancel it (see Free Look and Contacting Us in the statutory prospectus).
Contract Owner Services. The Contract offers several services at no additional charge to assist Owners in managing their Contract, including:
Rebalancing Program
Dollar Cost Averaging Program
Systematic Withdrawal Program
Benefits Under the Contract
The following tables summarize information about the benefits under the Contract. The Standard Benefits table indicates the benefits that are available under the Contract and for which there is no additional charge.
Standard Benefits Table
Name of Benefit Purpose Maximum Fee Brief Description of Restrictions/Limitations
Standard Death Benefit (see Death Benefit in the statutory prospectus) Death benefit upon death of Owner prior to Annuity Period None  
Rebalancing Program (see Rebalancing Program in the statutory prospectus) Automatic reallocation of assets on a predetermined percentage basis None  
Dollar Cost Averaging Program (see Dollar Cost Averaging Program in the statutory prospectus) Long-term transfer program involving automatic transfer of assets None  
Systematic Withdrawal Program (see Systematic Withdrawal Program in the statutory prospectus) Automatic withdrawals of Contract Value on a periodic basis None  
Buying the Contract
A Purchase Payment is the money you give Us to buy the Contract. You can make Purchase Payments at any time before the Annuity Date. The minimum initial Purchase Payment We will accept is $15,000. We reserve the right to issue a Contract for less than $15,000 with Our approval, subject to the terms and conditions we may require. The maximum We accept is $10,000,000 without Our prior approval and will be subject to such terms and conditions as We may require.
Jefferson National reserves the right to refuse any Purchase Payment. Jefferson National does not accept Purchase Payments in the form of cash, cash equivalents or checks payable in foreign currency or issued by non-U.S. financial institutions. Purchase Payments made in the form of check, wire or EFT must be drawn upon the account of a U.S. financial institution.
Subject to the maximum described above, you can make additional Purchase Payments of any amount. However, we reserve the right to impose minimums on future Purchase Payments.
If mandated under applicable law, the Company may be required to reject a Purchase Payment. The Company also may be required to provide additional information about an Owner’s account to government regulators. In addition, the Company may be required to block an Owner’s account and thereby refuse to pay any request for transfers, full or partial
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withdrawals (including systematic withdrawals and withdrawals made to pay Advisor Fees), or death benefits until instructions are received from the appropriate regulator.
Allocation of Purchase Payments
You control where your Purchase Payments are invested. On the application for a Contract, you may choose to have 100% of your initial Purchase Payment invested in the money market Sub-Accounts. Alternatively, you may use a separate administrative form to select the Sub-Accounts in which to invest your initial Purchase Payment. Any subsequent or additional Purchase Payments will be allocated based on your Investment Allocation of Record. Please make sure your Investment Allocation of Record is kept current. The Company imposes a Low Cost Fund Platform Fee on Contract Value invested in certain Sub-accounts that invest in low cost Investment Portfolios. See Low Cost Fund Platform Fee in the statutory prospectus for further details.
Once We receive your Purchase Payment and the necessary information, We will issue your Contract and allocate your first Purchase Payment within 2 Business Days. If you do not provide Us all of the information needed, We will contact you. If for some reason We are unable to complete this process within 5 Business Days, We will either send back your money or get your permission to keep it until We get all of the necessary information. The method of payment (e.g., check, wire transfer, electronic funds transfer) may affect when your Purchase Payment is received by Us. If you add more money to your Contract by making additional Purchase Payments, We will credit these amounts to your Contract as of the Business Day We receive your Purchase Payment. Our Business Day closes at the close of regular trading on the New York Stock Exchange.
Making Withdrawals: Accessing the Money in Your Contract
Access To Your Money
You can have access to the money in your Contract :
(1) by making a withdrawal (either a partial or a complete withdrawal);
(2) by electing to receive Annuity Payments; or
(3) when a death benefit is paid to your Beneficiary.
Withdrawals can only be made during the Accumulation Period.
When you make a complete withdrawal, you will receive the Contract Value on the Business Day We receive the withdrawal request, less any pro rata Subscription Fees.
All partial withdrawals will be withdrawn from the Investment Portfolios on a pro-rata basis unless you instruct Us otherwise.
Jefferson National will pay the amount of any withdrawal from the Investment Portfolios within 7 days of your request in good order unless the Suspension of Payments or Transfers provision described in in the statutory prospectus is in effect.
A withdrawal may result in tax consequences (including an additional 10% tax penalty under certain circumstances).
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Additional Information About Fees
The following tables describe the fees and expenses that an Owner will pay when buying, owning, and surrendering or making withdrawals from the Contract . Please refer to the contract specifications page for information about the specific fees the Owner will pay each year based on the options elected. The fees and expenses do not reflect any investment advisory fees paid to financial professionals from Contract Value or other assets owned by the Owner ; of those charges were reflected, the fees and expenses would be higher.
The first table describes the fees and expenses an Owner will pay at the time the Owner buys the Contract, surrenders or makes withdrawals from the Contract, or transfers Contract Value between Investment Portfolios. State premium taxes may also be deducted.
Transaction Expenses
Maximum Transfer Fee1

$25 2
    
The next table describes the fees and expenses that an Owner will pay each year during the time that the Owner owns the Contract (not including underlying mutual fund fees and expenses).
Annual Contract Expenses
Subscription Fee (assessed via monthly deductions)

$240 3
    
1 All transfers made on the same day involving the same Sub-account count as one transfer. Certain restrictions apply (see Excessive Trading Limits).
2 Currently, We do not assess a Transfer Fee.
3 The annual Subscription Fee is assessed via a monthly deduction of $20 per month.
The next item shows the minimum and maximum total operating expenses charged by the underlying mutual funds that the Owner may pay periodically during the life of the Contract . These amounts also include the maximum applicable Low Cost Fund Platform Fees if you choose to invest in certain Investment Portfolios (see Low Cost Fund Platform Fee). A complete list of the underlying mutual funds available under the Contract , including their annual expenses, may be found in Appendix A: More Information About the Investment Portfolios.
Annual Underlying Mutual Fund Expenses  
    Minimum   Maximum  
(Expenses that are deducted from underlying mutual fund assets, including Low Cost Fund Platform Fees and management fees, distribution (12b-1) fees, and other expenses, as a percentage of average underlying mutual fund assets.)   0.34%   3.56%  
Example
The fees and expenses do not reflect any investment advisory fees paid to financial professionals from Contract Value or other assets owned by the Owner; if those charges were reflected, the fees and expenses would be higher.
The Example assumes:
a $100,000 investment in the contract for the time periods indicated;
a 5% return each year;
the maximum and the minimum annual underlying mutual fund expenses.
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  If the Contract is surrendered
at the end of the applicable
time period
  If the Contract is annuitized
at the end of the applicable
time period
  If the Contract is not
surrendered
  1 Yr.   3 Yrs.   5 Yrs.   10 Yrs.   1 Yr.   3 Yrs.   5 Yrs.   10 Yrs.   1 Yr.   3 Yrs.   5 Yrs.   10 Yrs.
Maximum Annual

Underlying Mutual Fund

Expenses

(3.56%)

$3,990   $12,091   $20,357   $41,763   *   $12,091   $20,357   $41,763   $3,990   $12,091   $20,357   $41,763
Minimum Annual

Underlying Mutual Fund

Expenses (0.34%)

$ 609   $ 1,908   $ 3,324   $ 7,446   *   $ 1,908   $ 3,324   $ 7,446   $ 609   $ 1,908   $ 3,324   $ 7,446
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Appendix: More Information About the Investment Portfolios
The following is a list of the Investment Portfolios that are available under the Contract. More information about the Investment Portfolios is available in the prospectuses for the Investment Portfolios, which may be amended from time to time and can be found online at https://nationwide.onlineprospectus.net/NW/C000148690NW/index.php. This information can also be obtained at no cost by calling 1-866-667-0561 or by sending an email request to NAS_Service@nationwide.com@nationwide.com.
The current expenses and performance information below reflects fees and expenses of the Investment Portfolios, but do not reflect the other fees and expenses that the Contract may charge, such as any Low Cost Fund Fee. Expenses would be higher and performance would be lower if these other charges were included. Each Investment Portfolio’s past performance is not necessarily an indication of future performance.
Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Commodities Advisors Preferred Trust - Gold Bullion Strategy Portfolio
Investment Advisor: Advisors Preferred, LLC
Sub-Advisor: Flexible Plan Investments, Ltd.
1.70% 0.00% 1.70% -5.87% 7.17%  
Equity Alger Capital Appreciation Portfolio: Class I-2 Shares
Investment Advisor: Fred Alger Management, LLC
0.91% 0.00% 0.91% 19.12% 24.18% 19.08%
Equity Alger Large Cap Growth Portfolio: Class I-2 Shares
Investment Advisor: Fred Alger Management, LLC
0.80%* 0.00% 0.80% 11.84% 25.59% 17.90%
Equity Alger Mid Cap Growth Portfolio: Class I-2 Shares
Investment Advisor: Fred Alger Management, LLC
0.90%* 0.00% 0.90% 4.20% 21.83% 16.35%
Equity AllianceBernstein Variable Products Series Fund, Inc. - AB VPS Growth and Income Portfolio: Class A
Investment Advisor: AllianceBernstein L.P.
0.59% 0.00% 0.59% 28.15% 12.86% 13.67%
Equity AllianceBernstein Variable Products Series Fund, Inc. - AB VPS Small/Mid Cap Value Portfolio: Class B
Investment Advisor: AllianceBernstein L.P.
1.05% 0.00% 1.05% 35.60% 9.87% 12.84%
Equity AllianceBernstein Variable Products Series Fund, Inc. - AB VPS Sustainable Global Thematic Growth Portfolio: Class B (formerly, AllianceBernstein Variable Products Series Fund, Inc. - AB VPS Global Thematic Growth Portfolio: Class B)
Investment Advisor: AllianceBernstein L.P.
1.13%* 0.00% 1.13% 22.57% 22.10% 14.95%
Equity AllianceBernstein Variable Products Series Fund, Inc. - AB VPS Sustainable International Thematic Portfolio: Class B (formerly, AllianceBernstein Variable Products Series Fund, Inc. - AB VPS International Growth Portfolio: Class B)
Investment Advisor: AllianceBernstein L.P.
1.48%* 0.00% 1.48% 8.00% 14.58% 8.74%
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Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity Allspring Variable Trust - VT Opportunity Fund: Class 2
Investment Advisor: Allspring Funds Management, LLC
Sub-Advisor: Allspring Global Investments, LLC
1.00%* 0.00% 1.00% 24.77% 17.29% 14.94%
Allocation ALPS Variable Investment Trust - Morningstar Aggressive Growth ETF Asset Allocation Portfolio: Class II
Investment Advisor: ALPS Advisors, Inc.
Sub-Advisor: Morningstar Investment Management LLC
0.90%* 0.00% 0.90% 18.33% 11.54% 10.14%
Allocation ALPS Variable Investment Trust - Morningstar Balanced ETF Asset Allocation Portfolio: Class II
Investment Advisor: ALPS Advisors, Inc.
Sub-Advisor: Morningstar Investment Management LLC
0.90% 0.00% 0.90% 10.78% 8.35% 7.45%
Allocation ALPS Variable Investment Trust - Morningstar Conservative ETF Asset Allocation Portfolio: Class II
Investment Advisor: ALPS Advisors, Inc.
Sub-Advisor: Morningstar Investment Management LLC
0.88%* 0.00% 0.88% 2.27% 4.34% 3.55%
Allocation ALPS Variable Investment Trust - Morningstar Growth ETF Asset Allocation Portfolio: Class II
Investment Advisor: ALPS Advisors, Inc.
Sub-Advisor: Morningstar Investment Management LLC
0.90% 0.00% 0.90% 14.88% 10.30% 9.16%
Allocation ALPS Variable Investment Trust - Morningstar Income & Growth ETF Asset Allocation Portfolio: Class II
Investment Advisor: ALPS Advisors, Inc.
Sub-Advisor: Morningstar Investment Management LLC
0.89%* 0.00% 0.89% 6.46% 6.52% 5.54%
Fixed Income American Century Variable Portfolios II, Inc. - American Century VP Inflation Protection Fund: Class II
Investment Advisor: American Century Investment Management, Inc.
0.71% 0.00% 0.71% 6.26% 5.01% 2.81%
Allocation American Century Variable Portfolios, Inc. - American Century VP Balanced Fund: Class I
Investment Advisor: American Century Investment Management, Inc.
0.81%* 0.00% 0.81% 15.76% 11.33% 9.90%
Equity American Century Variable Portfolios, Inc. - American Century VP Disciplined Core Value Fund: Class I
Investment Advisor: American Century Investment Management, Inc.
0.70% 0.00% 0.70% 23.65% 13.96% 13.70%
Equity American Century Variable Portfolios, Inc. - American Century VP International Fund: Class I
Investment Advisor: American Century Investment Management, Inc.
0.99%* 0.00% 0.99% 8.74% 14.35% 10.06%
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Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity American Century Variable Portfolios, Inc. - American Century VP Large Company Value Fund: Class I
Investment Advisor: American Century Investment Management, Inc.
0.72%* 0.00% 0.72% 21.71% 10.21% 12.00%
Equity American Century Variable Portfolios, Inc. - American Century VP Ultra® Fund: Class I
Investment Advisor: American Century Investment Management, Inc.
0.79%* 0.00% 0.79% 23.15% 27.04% 20.22%
Fixed Income American Funds Insurance Series® - American Funds Mortgage Fund: Class 4
Investment Advisor: Capital Research and Management Company
0.77%* 0.00% 0.77% -0.77% 2.25% 2.06%
Fixed Income American Funds Insurance Series® - American High-Income Trust: Class 4
Investment Advisor: Capital Research and Management Company
0.83%* 0.00% 0.83% 8.18% 6.31% 6.03%
Allocation American Funds Insurance Series® - Asset Allocation Fund: Class 4
Investment Advisor: Capital Research and Management Company
0.80% 0.00% 0.80% 14.84% 11.43% 11.12%
Allocation American Funds Insurance Series® - Capital Income Builder®: Class 4
Investment Advisor: Capital Research and Management Company
0.78%* 0.00% 0.78% 14.68% 7.97%  
Fixed Income American Funds Insurance Series® - Capital World Bond Fund: Class 4
Investment Advisor: Capital Research and Management Company
0.98%* 0.00% 0.98% -5.17% 3.23% 1.88%
Equity American Funds Insurance Series® - Capital World Growth & Income Fund: Class 4
Investment Advisor: Capital Research and Management Company
0.93%* 0.00% 0.93% 14.46% 12.99% 11.42%
Equity American Funds Insurance Series® - Global Growth Fund: Class 4
Investment Advisor: Capital Research and Management Company
1.06% 0.00% 1.06% 16.13% 19.39% 15.43%
Equity American Funds Insurance Series® - Global Small Capitalization Fund: Class 4
Investment Advisor: Capital Research and Management Company
1.24% 0.00% 1.24% 6.42% 15.15% 12.26%
Equity American Funds Insurance Series® - Growth Fund: Class 4
Investment Advisor: Capital Research and Management Company
0.86% 0.00% 0.86% 21.68% 25.11% 19.46%
Equity American Funds Insurance Series® - Growth-Income Fund: Class 4
Investment Advisor: Capital Research and Management Company
0.80% 0.00% 0.80% 23.79% 16.10% 15.17%
Equity American Funds Insurance Series® - International Growth & Income Fund: Class 4
Investment Advisor: Capital Research and Management Company
1.04%* 0.00% 1.04% 5.09% 8.48% 6.74%
14

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Allocation American Funds Insurance Series® - Managed Risk Asset Allocation Fund: Class P2
Investment Advisor: Capital Research and Management Company
Sub-Advisor: Milliman Financial Risk Management, LLC
0.90%* 0.00% 0.90% 12.50% 8.94%  
Allocation American Funds Insurance Series® - Managed Risk Washington Mutual Investors Fund: Class P2
Investment Advisor: Capital Research and Management Company
Sub-Advisor: Milliman Financial Risk Management, LLC
0.88%* 0.00% 0.88% 17.11% 7.01%  
Equity American Funds Insurance Series® - New World Fund®: Class 4
Investment Advisor: Capital Research and Management Company
1.09%* 0.00% 1.09% 4.62% 12.95% 8.43%
Fixed Income American Funds Insurance Series® - The Bond Fund of America: Class 4
Investment Advisor: Capital Research and Management Company
0.71%* 0.00% 0.71% -0.58% 3.95% 3.03%
Fixed Income American Funds Insurance Series® - U.S. Government Securities Fund: Class 4
Investment Advisor: Capital Research and Management Company
0.73%* 0.00% 0.73% -0.87% 3.03% 2.10%
Equity American Funds Insurance Series® - Washington Mutual Investors Fund: Class 4
Investment Advisor: Capital Research and Management Company
0.77%* 0.00% 0.77% 27.51% 12.21% 13.55%
Fixed Income BlackRock Variable Series Funds II, Inc. - BlackRock High Yield V.I. Fund: Class III
Investment Advisor: BlackRock Advisors, LLC
Sub-Advisor: BlackRock Financial Management, Inc.
0.81%* 0.00% 0.81% 5.25% 6.11% 6.49%
Fixed Income BlackRock Variable Series Funds II, Inc. - BlackRock Total Return V.I. Fund: Class III
Investment Advisor: BlackRock Advisors, LLC
Sub-Advisor: BlackRock Financial Management, Inc.
0.78%* 0.00% 0.78% -1.66% 3.60% 3.30%
Fixed Income BlackRock Variable Series Funds II, Inc. - BlackRock U.S. Government Bond V.I. Fund: Class III
Investment Advisor: BlackRock Advisors, LLC
Sub-Advisor: BlackRock Investment Management, LLC
0.88%* 0.00% 0.88% -1.80% 2.26% 1.64%
Equity BlackRock Variable Series Funds, Inc. - BlackRock Advantage Large Cap Core V.I. Fund: Class III
Investment Advisor: BlackRock Advisors, LLC
0.83%* 0.00% 0.83% 28.06% 17.78% 15.44%
15

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity BlackRock Variable Series Funds, Inc. - BlackRock Advantage Large Cap Value V.I. Fund: Class III
Investment Advisor: BlackRock Advisors, LLC
0.85%* 0.00% 0.85% 26.21% 11.71% 12.50%
Equity BlackRock Variable Series Funds, Inc. - BlackRock Equity Dividend V.I. Fund: Class III
Investment Advisor: BlackRock Advisors, LLC
Sub-Advisor: BlackRock Investment Management, LLC
0.91%* 0.00% 0.91% 20.29% 11.36% 11.56%
Allocation BlackRock Variable Series Funds, Inc. - BlackRock Global Allocation V.I. Fund: Class III
Investment Advisor: BlackRock Advisors, LLC
Sub-Advisor: BlackRock Investment Management, LLC
1.00%* 0.00% 1.00% 6.41% 9.71% 7.67%
Equity BlackRock Variable Series Funds, Inc. - BlackRock Large Cap Focus Growth V.I. Fund: Class III
Investment Advisor: BlackRock Advisors, LLC
Sub-Advisor: BlackRock Investment Management, LLC
1.02%* 0.00% 1.02% 17.78% 24.31% 19.05%
Equity BNY Mellon Investment Portfolios - Small Cap Stock Index Portfolio: Service Shares
Investment Advisor: BNY Mellon Investment Adviser, Inc.
0.60%* 0.00% 0.60% 26.14% 11.77% 13.88%
Equity BNY Mellon Stock Index Fund, Inc.: Initial Shares
Investment Advisor: BNY Mellon Investment Adviser, Inc.
Sub-Advisor: Mellon Investments Corporation
0.26% 0.25% 0.51% 28.41% 18.16% 16.25%
Equity BNY Mellon Sustainable U.S. Equity Portfolio, Inc.: Initial Shares
Investment Advisor: BNY Mellon Investment Adviser, Inc.
Sub-Advisor: Newton Investment Management Limited
0.67% 0.00% 0.67% 26.99% 18.48% 15.59%
Allocation Calvert Variable Series, Inc. - Calvert VP SRI Balanced Portfolio: Class F (formerly, Calvert Variable Products, Inc. - Calvert VP SRI Balanced Portfolio: Class F)
Investment Advisor: Calvert Research and Management
0.63% 0.00% 0.63% 14.72% 12.12% 10.15%
Fixed Income Columbia Funds Variable Insurance Trust - Columbia Variable Portfolio - Strategic Income Fund: Class 2
Investment Advisor: Columbia Management Investment Advisors, LLC
0.93%* 0.00% 0.93% 1.62% 4.67% 4.53%
16

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity Columbia Funds Variable Insurance Trust II - Columbia Variable Portfolio - Seligman Global Technology: Class 2 (formerly, Columbia Funds Variable Series Trust II - Columbia Variable Portfolio - Seligman Global Technology Fund: Class 2)
Investment Advisor: Columbia Management Investment Advisors, LLC
1.23%* 0.00% 1.23% 38.68% 31.08% 23.86%
Equity Columbia Funds Variable Series Trust II - Columbia Variable Portfolio - Select Large Cap Value Fund: Class 1
Investment Advisor: Columbia Management Investment Advisors, LLC
0.68% 0.00% 0.68% 26.29% 12.72% 14.24%
Equity Columbia Funds Variable Series Trust II - Columbia Variable Portfolio - Select Small Cap Value Fund: Class 1
Investment Advisor: Columbia Management Investment Advisors, LLC
0.85%* 0.00% 0.85% 30.92% 10.56% 12.98%
Commodities Credit Suisse Trust - Commodity Return Strategy Portfolio: Class 1
Investment Advisor: Credit Suisse Asset Management, LLC
1.05% 0.00% 1.05% 27.90% 3.81% -2.99%
Equity Delaware VIP Trust - Delaware VIP Small Cap Value Series: Service Class (formerly, Delaware Variable Insurance Product Trust - Delaware VIP Small Cap Value Series: Service Class)
Investment Advisor: Delaware Management Company, Inc.
1.05% 0.00% 1.05% 34.01% 9.21% 11.78%
Equity DFA Investment Dimensions Group Inc. - VA Equity Allocation Portfolio: Institutional Class
Investment Advisor: Dimensional Fund Advisors LP
Sub-Advisor: Dimensional Fund Advisors LTD, DFA Australia Limited
0.30%* 0.25% 0.55% 24.37%    
Fixed Income DFA Investment Dimensions Group Inc. - VA Global Bond Portfolio
Investment Advisor: Dimensional Fund Advisors LP
Sub-Advisor: Dimensional Fund Advisors LTD, DFA Australia Limited
0.24% 0.25% 0.49% -1.04% 1.67% 1.89%
Allocation DFA Investment Dimensions Group Inc. - VA Global Moderate Allocation Portfolio: Institutional Class
Investment Advisor: Dimensional Fund Advisors LP
0.28%* 0.25% 0.53% 14.20% 9.87%  
Equity DFA Investment Dimensions Group Inc. - VA International Small Portfolio
Investment Advisor: Dimensional Fund Advisors LP
Sub-Advisor: Dimensional Fund Advisors LTD, DFA Australia Limited
0.40% 0.25% 0.65% 14.56% 10.11% 10.03%
17

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity DFA Investment Dimensions Group Inc. - VA International Value Portfolio
Investment Advisor: Dimensional Fund Advisors LP
Sub-Advisor: Dimensional Fund Advisors LTD, DFA Australia Limited
0.28% 0.25% 0.53% 18.11% 6.99% 6.52%
Fixed Income DFA Investment Dimensions Group Inc. - VA Short-Term Fixed Portfolio
Investment Advisor: Dimensional Fund Advisors LP
Sub-Advisor: Dimensional Fund Advisors LTD, DFA Australia Limited
0.12% 0.25% 0.37% -0.18% 1.10% 0.78%
Equity DFA Investment Dimensions Group Inc. - VA U.S. Large Value Portfolio
Investment Advisor: Dimensional Fund Advisors LP
0.21% 0.25% 0.46% 27.03% 10.52% 13.49%
Equity DFA Investment Dimensions Group Inc. - VA U.S. Targeted Value Portfolio
Investment Advisor: Dimensional Fund Advisors LP
0.29% 0.25% 0.54% 39.68% 10.45% 13.59%
Fixed Income Eaton Vance Variable Trust - Eaton Vance VT Floating-Rate Income Fund: Initial Class
Investment Advisor: Eaton Vance Management
1.18% 0.00% 1.18% 3.62% 3.18% 3.52%
Fixed Income Federated Hermes Insurance Series - Federated Hermes High Income Bond Fund II: Primary Shares
Investment Advisor: Federated Investment Management Company
0.82%* 0.00% 0.82% 4.84% 5.57% 6.33%
Equity Federated Hermes Insurance Series - Federated Hermes Kaufmann Fund II: Service Shares
Investment Advisor: Federated Equity Management Company of Pennsylvania
Sub-Advisor: Federated Global Investment Management Corp.
1.75% 0.00% 1.75% 2.26% 18.38% 16.39%
Allocation Federated Hermes Insurance Series - Federated Hermes Managed Volatility Fund II: Primary Shares
Investment Advisor: Federated Equity Management Company of Pennsylvania
Sub-Advisor: Federated Investment Management Company, Federated Advisory Services Company, Fed Global
0.98% 0.00% 0.98% 18.51% 9.22% 8.31%
Allocation Fidelity Variable Insurance Products Fund - Fidelity VIP Freedom Income Fund Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
0.60% 0.00% 0.60% 3.02% 6.07% 4.87%
18

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Allocation Fidelity Variable Insurance Products Fund - VIP Balanced Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.71% 0.00% 0.71% 17.99% 14.69% 12.37%
Equity Fidelity Variable Insurance Products Fund - VIP Contrafund® Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.85% 0.00% 0.85% 27.51% 19.86% 16.34%
Equity Fidelity Variable Insurance Products Fund - VIP Disciplined Small Cap Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: Geode Capital Management, LLC
0.82% 0.00% 0.82% 20.39% 10.19% 12.80%
Equity Fidelity Variable Insurance Products Fund - VIP Energy Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.90% 0.00% 0.90% 54.82% -3.54% 0.01%
Equity Fidelity Variable Insurance Products Fund - VIP Equity-Income Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.76% 0.00% 0.76% 24.60% 11.67% 12.25%
Equity Fidelity Variable Insurance Products Fund - VIP Growth & Income Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.77% 0.00% 0.77% 25.63% 13.16% 13.78%
Equity Fidelity Variable Insurance Products Fund - VIP Growth Opportunities Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.88% 0.00% 0.88% 11.68% 31.76% 22.63%
19

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity Fidelity Variable Insurance Products Fund - VIP Growth Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.85% 0.00% 0.85% 22.90% 25.97% 19.40%
Fixed Income Fidelity Variable Insurance Products Fund - VIP High Income Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.92% 0.00% 0.92% 4.29% 4.78% 5.35%
Equity Fidelity Variable Insurance Products Fund - VIP International Capital Appreciation Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited, Fidelity Management & Research (Japan) Limited, FIL Investment Advisors and FIL Investment Advisors (UK) Limited
1.07% 0.00% 1.07% 12.11% 16.56% 12.87%
Fixed Income Fidelity Variable Insurance Products Fund - VIP Investment Grade Bond Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.54% 0.00% 0.54% -0.89% 4.07% 3.28%
Equity Fidelity Variable Insurance Products Fund - VIP Mid Cap Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.86% 0.00% 0.86% 25.30% 13.32% 13.00%
Equity Fidelity Variable Insurance Products Fund - VIP Overseas Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited, Fidelity Management & Research (Japan) Limited, FIL Investment Advisors, FIL Investment Advisors (UK) Limited and FIL Investments (Japan) Limited
1.02% 0.00% 1.02% 19.38% 14.15% 10.54%
20

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity Fidelity Variable Insurance Products Fund - VIP Real Estate Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.89% 0.00% 0.89% 38.64% 9.05% 10.13%
Fixed Income Fidelity Variable Insurance Products Fund - VIP Strategic Income Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited, Fidelity Management & Research (Japan) Limited, FIL Investment Advisors, FIL Investment Advisors (UK) Limited and FIL Investments (Japan) Limited
0.91% 0.00% 0.91% 3.44% 5.11% 4.47%
Equity Fidelity Variable Insurance Products Fund - VIP Value Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.89% 0.00% 0.89% 29.71% 12.44% 13.41%
Equity Fidelity Variable Insurance Products Fund - VIP Value Strategies Portfolio: Service Class 2
Investment Advisor: Fidelity Management & Research Company (FMR)
Sub-Advisor: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited
0.88% 0.00% 0.88% 33.34% 13.66% 13.46%
Equity First Eagle Variable Funds - Overseas Variable Fund
Investment Advisor: First Eagle Investment Management, LLC
1.45% 0.00% 1.45% 4.44% 6.06% 6.32%
Equity Franklin Templeton Variable Insurance Products Trust - Franklin Global Real Estate VIP Fund: Class 2
Investment Advisor: Franklin Templeton Institutional, LLC
1.25%* 0.00% 1.25% 26.78% 8.61% 8.64%
Allocation Franklin Templeton Variable Insurance Products Trust - Franklin Mutual Shares VIP Fund: Class 2
Investment Advisor: Franklin Mutual Advisers, LLC
0.98% 0.00% 0.98% 19.16% 6.44% 8.99%
Equity Franklin Templeton Variable Insurance Products Trust - Franklin Rising Dividends VIP Fund: Class 2
Investment Advisor: Franklin Advisers, Inc.
0.88% 0.00% 0.88% 26.78% 16.80% 14.39%
21

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Fixed Income Franklin Templeton Variable Insurance Products Trust - Franklin Strategic Income VIP Fund: Class 2
Investment Advisor: Franklin Advisers, Inc.
1.03%* 0.00% 1.03% 2.10% 3.14% 3.69%
Fixed Income Franklin Templeton Variable Insurance Products Trust - Franklin U.S. Government Securities VIP Fund: Class 2
Investment Advisor: Franklin Advisers, Inc.
0.78% 0.00% 0.78% -1.82% 1.75% 1.28%
Alternative Goldman Sachs Variable Insurance Trust - Goldman Sachs Multi-Strategy Alternatives Portfolio: Advisor Shares
Investment Advisor: Goldman Sachs Asset Management, L.P.
1.40%* 0.00% 1.40% 4.65% 3.42%  
Fixed Income Guggenheim Variable Funds Trust - Series E (Total Return Bond Series)
Investment Advisor: Guggenheim Investments
0.80%* 0.00% 0.80% -0.43% 5.10% 4.89%
Fixed Income Guggenheim Variable Funds Trust - Series F (Floating Rate Strategies Series)
Investment Advisor: Guggenheim Investments
1.17%* 0.00% 1.17% 2.50% 2.51%  
Equity Guggenheim Variable Funds Trust - Series J (StylePlus Mid Growth Series)
Investment Advisor: Guggenheim Investments
1.04%* 0.00% 1.04% 13.68% 18.20% 15.65%
Equity Guggenheim Variable Funds Trust - Series Q (Small Cap Value Series)
Investment Advisor: Guggenheim Investments
1.13%* 0.00% 1.13% 26.18% 6.76% 10.21%
Equity Guggenheim Variable Funds Trust - Series Y (StylePlus - Large Growth Series)
Investment Advisor: Guggenheim Investments
1.03%* 0.00% 1.03% 27.77% 24.22% 18.69%
Allocation Invesco - Invesco V.I. Balanced-Risk Allocation Fund: Series II Shares
Investment Advisor: Invesco Advisers, Inc.
1.13%* 0.00% 1.13% 9.26% 7.18% 5.98%
Equity Invesco - Invesco V.I. Comstock Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
0.74% 0.00% 0.74% 33.35% 11.39% 12.86%
Equity Invesco - Invesco V.I. Core Equity Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
0.80% 0.00% 0.80% 27.73% 13.97% 12.26%
Fixed Income Invesco - Invesco V.I. Core Plus Bond Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
0.62%* 0.00% 0.62% -0.65% 4.67% 4.80%
Equity Invesco - Invesco V.I. Diversified Dividend Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
0.68% 0.00% 0.68% 18.89% 8.36% 11.88%
Allocation Invesco - Invesco V.I. Equity and Income Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
0.55% 0.00% 0.55% 18.65% 9.54% 10.55%
Equity Invesco - Invesco V.I. Global Fund: Series II
Investment Advisor: Invesco Advisers, Inc.
1.03% 0.00% 1.03% 15.17% 17.87% 13.95%
22

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Fixed Income Invesco - Invesco V.I. Global Strategic Income Fund: Series II
Investment Advisor: Invesco Advisers, Inc.
1.12%* 0.00% 1.12% -3.56% 2.14% 2.90%
Money Market Invesco - Invesco V.I. Government Money Market Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
0.34% 0.00% 0.34% 0.00% 0.85% 0.44%
Fixed Income Invesco - Invesco V.I. Government Securities Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
0.68% 0.00% 0.68% -2.26% 2.46% 1.77%
Equity Invesco - Invesco V.I. Growth and Income Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
0.74% 0.00% 0.74% 28.50% 10.21% 12.33%
Equity Invesco - Invesco V.I. Health Care Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
0.97% 0.00% 0.97% 12.29% 14.76% 13.96%
Fixed Income Invesco - Invesco V.I. High Yield Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
Sub-Advisor: Invesco Canada Ltd.
0.94% 0.00% 0.94% 4.38% 4.69% 5.61%
Equity Invesco - Invesco V.I. Main Street Fund: Series II
Investment Advisor: Invesco Advisers, Inc.
1.04% 0.00% 1.04% 27.23% 15.35% 14.77%
Equity Invesco - Invesco V.I. Main Street Mid Cap Fund: Series II Shares
Investment Advisor: Invesco Advisers, Inc.
1.18% 0.00% 1.18% 22.86% 11.14% 10.52%
Equity Invesco - Invesco V.I. Technology Fund: Series I Shares
Investment Advisor: Invesco Advisers, Inc.
0.98% 0.00% 0.98% 14.41% 25.03% 17.48%
Equity Invesco Oppenheimer V.I. International Growth Fund: Series II
Investment Advisor: Invesco Advisers, Inc.
1.25%* 0.00% 1.25% 10.12% 11.64% 9.47%
Allocation Ivy Variable Insurance Portfolios - Delaware Ivy Asset Strategy: Class II
Investment Advisor: Delaware Management Company
Sub-Advisor: Macquarie Investment Management Global Limited, Macquarie Funds Management Hong Kong Limited, Macquarie Investment Management Austria Kapitalanlage AG, and Macquarie Investment Management Europe Limited
0.87%* 0.00% 0.87% 10.44% 11.36% 8.01%
Allocation Ivy Variable Insurance Portfolios - Delaware Ivy Balanced: Class II
Investment Advisor: Delaware Management Company
Sub-Advisor: Macquarie Investment Management Global Limited, Macquarie Funds Management Hong Kong Limited, Macquarie Investment Management Austria Kapitalanlage AG, and Macquarie Investment Management Europe Limited
1.00% 0.00% 1.00% 15.96% 11.72% 10.16%
23

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Fixed Income Ivy Variable Insurance Portfolios - Delaware Ivy Corporate Bond: Class II
Investment Advisor: Delaware Management Company
Sub-Advisor: Macquarie Investment Management Global Limited, Macquarie Funds Management Hong Kong Limited, Macquarie Investment Management Austria Kapitalanlage AG, and Macquarie Investment Management Europe Limited
0.76% 0.00% 0.76% -0.84% 4.72% 3.55%
Equity Ivy Variable Insurance Portfolios - Delaware Ivy Energy: Class II
Investment Advisor: Delaware Management Company
Sub-Advisor: Macquarie Funds Management Hong Kong Limited and Macquarie Investment Management Global Limited
1.22% 0.00% 1.22% 41.99% -11.79% -4.24%
Fixed Income Ivy Variable Insurance Portfolios - Delaware Ivy High Income: Class II
Investment Advisor: Delaware Management Company
Sub-Advisor: Macquarie Investment Management Global Limited, Macquarie Funds Management Hong Kong Limited, Macquarie Investment Management Austria Kapitalanlage AG, and Macquarie Investment Management Europe Limited
0.95% 0.00% 0.95% 6.06% 5.47% 6.60%
Fixed Income Ivy Variable Insurance Portfolios - Delaware Ivy Limited-Term Bond: Class II
Investment Advisor: Delaware Management Company
Sub-Advisor: Macquarie Investment Management Global Limited, Macquarie Funds Management Hong Kong Limited, Macquarie Investment Management Austria Kapitalanlage AG, and Macquarie Investment Management Europe Limited
0.79% 0.00% 0.79% -0.48% 1.99% 1.65%
Equity Ivy Variable Insurance Portfolios - Delaware Ivy Mid Cap Growth: Class II
Investment Advisor: Delaware Management Company
Sub-Advisor: Macquarie Funds Management Hong Kong Limited and Macquarie Investment Management Global Limited
1.10%* 0.00% 1.10% 16.35% 24.84% 17.04%
Equity Ivy Variable Insurance Portfolios - Delaware Ivy Natural Resources: Class II
Investment Advisor: Delaware Management Company
Sub-Advisor: Macquarie Funds Management Hong Kong Limited and Macquarie Investment Management Global Limited
1.21% 0.00% 1.21% 26.67% -0.71% -1.21%
Equity Ivy Variable Insurance Portfolios - Delaware Ivy Science and Technology: Class II
Investment Advisor: Delaware Management Company
Sub-Advisor: Macquarie Funds Management Hong Kong Limited and Macquarie Investment Management Global Limited
1.14% 0.00% 1.14% 15.16% 23.88% 19.46%
24

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity Ivy Variable Insurance Portfolios - Delaware Ivy Value: Class II
Investment Advisor: Delaware Management Company
Sub-Advisor: Macquarie Funds Management Hong Kong Limited and Macquarie Investment Management Global Limited
1.00% 0.00% 1.00% 31.17% 12.01% 12.89%
Allocation Janus Aspen Series - Janus Henderson Balanced Portfolio: Institutional Shares
Investment Advisor: Janus Henderson Investors US LLC
0.62% 0.00% 0.62% 17.19% 14.38% 11.80%
Equity Janus Aspen Series - Janus Henderson Enterprise Portfolio: Institutional Shares
Investment Advisor: Janus Henderson Investors US LLC
0.71% 0.00% 0.71% 16.83% 19.13% 17.22%
Fixed Income Janus Aspen Series - Janus Henderson Flexible Bond Portfolio: Service Shares
Investment Advisor: Janus Henderson Investors US LLC
0.82%* 0.00% 0.82% -1.11% 3.98% 3.42%
Equity Janus Aspen Series - Janus Henderson Forty Portfolio: Institutional Shares
Investment Advisor: Janus Henderson Investors US LLC
77.00%* 0.00% 77.00% 22.89% 25.57% 20.29%
Equity Janus Aspen Series - Janus Henderson Global Research Portfolio: Institutional Shares
Investment Advisor: Janus Henderson Investors US LLC
0.77% 0.00% 0.77% 18.08% 16.69% 13.59%
Equity Janus Aspen Series - Janus Henderson Mid Cap Value Portfolio: Institutional Shares
Investment Advisor: Janus Henderson Investors US LLC
Sub-Advisor: Perkins Investment Management LLC ("Perkins")
0.67% 0.00% 0.67% 19.72% 8.75% 10.29%
Equity Janus Aspen Series - Janus Henderson Overseas Portfolio: Institutional Shares
Investment Advisor: Janus Henderson Investors US LLC
0.87% 0.00% 0.87% 13.58% 13.35% 6.24%
Equity Janus Aspen Series - Janus Henderson Research Portfolio: Institutional Shares
Investment Advisor: Janus Henderson Investors US LLC
0.60% 0.00% 0.60% 20.33% 21.98% 17.44%
Equity Janus Aspen Series - Janus Henderson U.S. Low Volatility Portfolio: Service Shares
Investment Advisor: Janus Henderson Investors US LLC
Sub-Advisor: Intech Investment Management LLC
0.82% 0.00% 0.82% 21.33% 12.11%  
Allocation JPMorgan Insurance Trust - JPMorgan Insurance Trust Global Allocation Portfolio: Class 2
Investment Advisor: J.P. Morgan Investment Management Inc.
1.19%* 0.00% 1.19% 9.26% 9.98%  
25

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Allocation Lazard Retirement Series, Inc. - Lazard Retirement Global Dynamic Multi-Asset Portfolio: Service Shares
Investment Advisor: Lazard Asset Management LLC
1.06%* 0.00% 1.06% 11.93% 8.40%  
Equity Lazard Retirement Series, Inc. - Lazard Retirement International Equity Portfolio: Service Shares
Investment Advisor: Lazard Asset Management LLC
1.10%* 0.00% 1.10% 5.83% 7.86% 7.13%
Equity Lazard Retirement Series, Inc. - Lazard Retirement U.S. Small-Mid Cap Equity Portfolio: Service Shares
Investment Advisor: Lazard Asset Management LLC
1.15%* 0.00% 1.15% 19.87% 10.45% 11.89%
Equity Legg Mason Partners Variable Equity Trust - ClearBridge Variable Aggressive Growth Portfolio: Class I
Investment Advisor: Legg Mason Partners Fund Advisor, LLC
Sub-Advisor: ClearBridge Investments, LLC
0.80% 0.00% 0.80% 10.29% 11.65% 13.80%
Equity Legg Mason Partners Variable Equity Trust - ClearBridge Variable Dividend Strategy Portfolio: Class I
Investment Advisor: Legg Mason Partners Fund Advisor, LLC
Sub-Advisor: ClearBridge Investments, LLC
0.75% 0.00% 0.75% 26.79% 15.29% 13.86%
Equity Legg Mason Partners Variable Equity Trust - ClearBridge Variable Large Cap Growth Portfolio: Class I
Investment Advisor: Legg Mason Partners Fund Advisor, LLC
Sub-Advisor: ClearBridge Investments, LLC
0.75% 0.00% 0.75% 21.93% 21.52% 19.44%
Equity Legg Mason Partners Variable Equity Trust - ClearBridge Variable Small Cap Growth Portfolio: Class II (formerly, Legg Mason Partners Variable Equity Trust - Legg Mason Partners Variable Small Cap Growth Portfolio: Class II)
Investment Advisor: Legg Mason Partners Fund Advisor, LLC
Sub-Advisor: ClearBridge Investments, LLC
1.05% 0.00% 1.05% 12.31% 21.03% 16.82%
Allocation Legg Mason Partners Variable Equity Trust - QS Legg Mason Dynamic Multi-Strategy VIT Portfolio: Class II
Investment Advisor: Legg Mason Partners Fund Advisor, LLC
Sub-Advisor: QS Investors, LLC and Western Asset Management Company
1.27% 0.00% 1.27% 12.64% 4.72% 5.08%
Fixed Income Legg Mason Partners Variable Income Trust - Western Asset Variable Global High Yield Bond Portfolio: Class I
Investment Advisor: Legg Mason Partners Fund Advisor, LLC
Sub-Advisor: Western Asset Management Company and Western Asset Management Company Limited and Western Asset Management Company Pte. Ltd.
0.82% 0.00% 0.82% 1.32% 5.36% 5.79%
26

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Fixed Income Lord Abbett Series Fund, Inc. - Bond Debenture Portfolio: Class VC
Investment Advisor: Lord, Abbett & Co. LLC
0.89% 0.00% 0.89% 3.27% 5.65% 6.32%
Equity Lord Abbett Series Fund, Inc. - Dividend Growth Portfolio: Class VC
Investment Advisor: Lord, Abbett & Co. LLC
0.99%* 0.00% 0.99% 25.60% 15.79% 14.16%
Equity Lord Abbett Series Fund, Inc. - Growth and Income Portfolio: Class VC
Investment Advisor: Lord, Abbett & Co. LLC
0.93% 0.00% 0.93% 29.01% 11.07% 12.16%
Convertibles MainStay VP Funds Trust - MainStay VP MacKay Convertible Portfolio: Service Class
Investment Advisor: New York Life Investment Management LLC
Sub-Advisor: MacKay Shields LLC
0.86% 0.00% 0.86% 8.97% 14.49% 12.24%
Equity MFS® Variable Insurance Trust - MFS Growth Series: Service Class
Investment Advisor: Massachusetts Financial Services Company
0.96%* 0.00% 0.96% 23.23% 24.55% 19.03%
Equity MFS® Variable Insurance Trust - MFS New Discovery Series: Service Class
Investment Advisor: Massachusetts Financial Services Company
1.12%* 0.00% 1.12% 1.57% 21.00% 15.86%
Equity MFS® Variable Insurance Trust - MFS Value Series: Service Class
Investment Advisor: Massachusetts Financial Services Company
0.95%* 0.00% 0.95% 25.15% 11.97% 13.13%
Equity MFS® Variable Insurance Trust II - MFS International Growth Portfolio: Service Class
Investment Advisor: Massachusetts Financial Services Company
1.13%* 0.00% 1.13% 8.99% 13.94% 9.72%
Equity Nationwide Variable Insurance Trust - NVIT AllianzGI International Growth Fund: Class II
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: Allianz Global Investors U.S. LLC
1.22%* 0.00% 1.22% -1.41% 15.61% 10.69%
Equity Nationwide Variable Insurance Trust - NVIT Allspring Discovery Fund: Class II
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: Allspring Global Investments, LLC
1.07%* 0.00% 1.07% -4.93% 19.86% 15.73%
Equity Nationwide Variable Insurance Trust - NVIT AQR Large Cap Defensive Style Fund: Class I
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: AQR Capital Management, LLC
0.79% 0.00% 0.79% 21.88% 15.95% 14.74%
27

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity Nationwide Variable Insurance Trust - NVIT BNY Mellon Sustainable U.S. Equity Fund: Class I
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: Newton Investment Management Limited
0.85%* 0.00% 0.85% 26.80% 15.14% 14.28%
Fixed Income Nationwide Variable Insurance Trust - NVIT Bond Index Fund: Class Y
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: BlackRock Investment Management, LLC
0.63% 0.25% 0.88% -1.93% 3.32% 2.66%
Equity Nationwide Variable Insurance Trust - NVIT Columbia Overseas Value Fund: Class X
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: Columbia Management Investment Advisers, LLC
0.89%* 0.00% 0.89% 10.57% 6.24% 5.66%
Fixed Income Nationwide Variable Insurance Trust - NVIT DoubleLine Total Return Tactical Fund: Class Y
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: DoubleLine Capital LP
1.00%* 0.25% 1.25% 0.00%    
Equity Nationwide Variable Insurance Trust - NVIT Emerging Markets Fund: Class II
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: NS Partners Ltd and Loomis, Sayles & Company L.P.
1.35%* 0.00% 1.35% -7.51% 8.31% 4.04%
Money Market Nationwide Variable Insurance Trust - NVIT Government Money Market Fund: Class Y
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: Federated Investment Management Company
0.34% 0.00% 0.34% 0.00% 0.81% 0.40%
Equity Nationwide Variable Insurance Trust - NVIT International Index Fund: Class Y
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: BlackRock Investment Management, LLC
0.28% 0.25% 0.53% 10.98% 9.49% 7.96%
Allocation Nationwide Variable Insurance Trust - NVIT Investor Destinations Capital Appreciation Fund: Class P
Investment Advisor: Nationwide Fund Advisors
0.71% 0.00% 0.71% 12.37% 10.19% 9.48%
Allocation Nationwide Variable Insurance Trust - NVIT Investor Destinations Moderate Fund: Class P
Investment Advisor: Nationwide Fund Advisors
0.71% 0.00% 0.71% 10.43% 8.99% 8.43%
28

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Fixed Income Nationwide Variable Insurance Trust - NVIT iShares® Fixed Income ETF Fund: Class Y
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: BlackRock Investment Management, LLC
0.23%* 0.25% 0.48% -1.61%    
Equity Nationwide Variable Insurance Trust - NVIT iShares® Global Equity ETF Fund: Class Y
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: BlackRock Investment Management, LLC
0.25%* 0.25% 0.50% 22.41%    
Alternative Nationwide Variable Insurance Trust - NVIT J.P. Morgan Mozaic℠ Multi-Asset Fund: Class Y
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: J.P. Morgan Investment Management Inc.
0.43%* 0.00% 0.43% 7.62%    
Equity Nationwide Variable Insurance Trust - NVIT Mid Cap Index Fund: Class Y
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: BlackRock Investment Management, LLC
0.25% 0.25% 0.50% 24.43% 12.79% 13.93%
Equity Nationwide Variable Insurance Trust - NVIT Multi-Manager Mid Cap Value Fund: Class I
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: American Century Investment Management, Inc., Thompson, Siegel & Walmsley LLC and Victory Capital Management Inc.
0.93%* 0.00% 0.93% 24.20% 8.56% 12.35%
Equity Nationwide Variable Insurance Trust - NVIT S&P 500® Index Fund: Class Y
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: BlackRock Investment Management, LLC
0.16% 0.25% 0.41% 28.49% 18.28% 16.35%
Equity Nationwide Variable Insurance Trust - NVIT Small Cap Index Fund: Class Y
Investment Advisor: Nationwide Fund Advisors
Sub-Advisor: BlackRock Investment Management, LLC
0.27% 0.25% 0.52% 14.54% 11.86% 13.13%
Equity Neuberger Berman Advisers Management Trust - Mid Cap Intrinsic Value Portfolio: I Class Shares
Investment Advisor: Neuberger Berman Investment Advisers LLC
1.00% 0.00% 1.00% 32.79% 8.34% 11.10%
Equity Neuberger Berman Advisers Management Trust - Mid-Cap Growth Portfolio: I Class Shares
Investment Advisor: Neuberger Berman Investment Advisers LLC
0.89% 0.00% 0.89% 12.99% 19.74% 15.36%
29

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Fixed Income Neuberger Berman Advisers Management Trust - Short Duration Bond Portfolio: I Class Shares
Investment Advisor: Neuberger Berman Investment Advisers LLC
0.83% 0.00% 0.83% 0.74% 1.95% 1.69%
Allocation Northern Lights Variable Trust - 7Twelve Balanced Portfolio: Class 3
Investment Advisor: 7Twelve Advisors, LLC
1.00% 0.00% 1.00% 14.03% 6.96%  
Fixed Income Northern Lights Variable Trust - BTS Tactical Fixed Income VIT Fund: Class 2
Investment Advisor: BTS Asset Management, Inc.
2.02%* 0.00% 2.02% -2.39% -0.11%  
Equity Northern Lights Variable Trust - Donoghue Forlines Dividend VIT Fund: Class 1
Investment Advisor: W. E. Donoghue & Co., LLC
1.31%* 0.00% 1.31% 30.30% 3.67% 5.07%
Allocation Northern Lights Variable Trust - Donoghue Forlines Momentum VIT Fund: Class 1 (formerly, Northern Lights Variable Trust - Power Momentum Index Fund: Class 1)
Investment Advisor: W. E. Donoghue & Co., LLC
1.53%* 0.00% 1.53% 29.66% 10.21% 11.28%
Equity Northern Lights Variable Trust - TOPS® Aggressive Growth ETF Portfolio: Class 2
Investment Advisor: ValMark Advisers, Inc.
Sub-Advisor: Milliman Financial Risk Management, LLC
0.55% 0.00% 0.55% 19.31% 12.65% 11.46%
Allocation Northern Lights Variable Trust - TOPS® Balanced ETF Portfolio: Class 2
Investment Advisor: ValMark Advisers, Inc.
Sub-Advisor: Milliman Financial Risk Management, LLC
0.56% 0.00% 0.56% 9.62% 7.60% 6.71%
Allocation Northern Lights Variable Trust - TOPS® Conservative ETF Portfolio: Class 2
Investment Advisor: ValMark Advisers, Inc.
Sub-Advisor: Milliman Financial Risk Management, LLC
0.58% 0.00% 0.58% 6.44% 5.76% 4.89%
Allocation Northern Lights Variable Trust - TOPS® Growth ETF Portfolio: Class 2
Investment Advisor: ValMark Advisers, Inc.
Sub-Advisor: Milliman Financial Risk Management, LLC
0.55% 0.00% 0.55% 16.51% 11.31% 10.13%
Allocation Northern Lights Variable Trust - TOPS® Managed Risk Balanced ETF Portfolio: Class 2
Investment Advisor: ValMark Advisers, Inc.
Sub-Advisor: Milliman Financial Risk Management, LLC
0.75% 0.00% 0.75% 8.57% 6.47% 5.27%
Allocation Northern Lights Variable Trust - TOPS® Managed Risk Growth ETF Portfolio: Class 2
Investment Advisor: ValMark Advisers, Inc.
Sub-Advisor: Milliman Financial Risk Management, LLC
0.74% 0.00% 0.74% 12.59% 8.28% 6.14%
30

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Allocation Northern Lights Variable Trust - TOPS® Managed Risk Moderate Growth ETF Portfolio: Class 2
Investment Advisor: ValMark Advisers, Inc.
Sub-Advisor: Milliman Financial Risk Management, LLC
0.74% 0.00% 0.74% 11.05% 7.63% 6.07%
Allocation Northern Lights Variable Trust - TOPS® Moderate Growth ETF Portfolio: Class 2
Investment Advisor: ValMark Advisers, Inc.
Sub-Advisor: Milliman Financial Risk Management, LLC
0.55% 0.00% 0.55% 12.81% 9.53% 8.49%
Allocation PIMCO Variable Insurance Trust - All Asset Portfolio: Administrative Class
Investment Advisor: PIMCO
Sub-Advisor: Research Affiliates, LLC
1.23%* 0.00% 1.23% 16.23% 8.57% 6.02%
Commodities PIMCO Variable Insurance Trust - CommodityRealReturn® Strategy Portfolio: Administrative Class
Investment Advisor: PIMCO
0.93%* 0.00% 0.93% 33.34% 5.72% -1.86%
Fixed Income PIMCO Variable Insurance Trust - Dynamic Bond Portfolio: Administrative Class
Investment Advisor: PIMCO
1.01% 0.00% 1.01% 1.28% 3.39% 2.93%
Fixed Income PIMCO Variable Insurance Trust - Emerging Markets Bond Portfolio: Administrative Class
Investment Advisor: PIMCO
1.02% 0.00% 1.02% -2.56% 4.54% 4.41%
Fixed Income PIMCO Variable Insurance Trust - Global Bond Opportunities Portfolio (Unhedged): Administrative Class
Investment Advisor: PIMCO
0.92% 0.00% 0.92% -4.15% 3.11% 1.53%
Fixed Income PIMCO Variable Insurance Trust - Global Core Bond (Hedged) Portfolio: Administrative Class
Investment Advisor: PIMCO
0.73% 0.00% 0.73% -1.51% 3.89% 2.20%
Allocation PIMCO Variable Insurance Trust - Global Managed Asset Allocation Portfolio: Administrative Class (formerly, PIMCO Variable Insurance Trust - Global Managed Allocation Portfolio: Administrative Class)
Investment Advisor: PIMCO
1.11%* 0.00% 1.11% 12.63% 10.68% 6.12%
Fixed Income PIMCO Variable Insurance Trust - High Yield Portfolio: Administrative Class
Investment Advisor: PIMCO
0.77% 0.00% 0.77% 3.63% 5.46% 6.06%
Fixed Income PIMCO Variable Insurance Trust - Income Portfolio: Administrative Class
Investment Advisor: PIMCO
0.82% 0.00% 0.82% 1.99% 5.05%  
Fixed Income PIMCO Variable Insurance Trust - International Bond Portfolio (U.S. Dollar-Hedged): Administrative Class
Investment Advisor: PIMCO
0.91% 0.00% 0.91% -1.95% 3.05% 4.39%
Fixed Income PIMCO Variable Insurance Trust - International Bond Portfolio (Unhedged): Administrative Class
Investment Advisor: PIMCO
0.91% 0.00% 0.91% -7.51% 3.13% 1.01%
31

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Fixed Income PIMCO Variable Insurance Trust - Long-Term U.S. Government Portfolio: Administrative Class
Investment Advisor: PIMCO
0.65% 0.00% 0.65% -4.78% 6.14% 4.19%
Fixed Income PIMCO Variable Insurance Trust - Low Duration Portfolio: Administrative Class
Investment Advisor: PIMCO
0.65% 0.00% 0.65% -0.92% 1.54% 1.58%
Fixed Income PIMCO Variable Insurance Trust - Real Return Portfolio: Administrative Class
Investment Advisor: PIMCO
0.67% 0.00% 0.67% 5.58% 5.33% 3.05%
Fixed Income PIMCO Variable Insurance Trust - Short-Term Portfolio: Administrative Class
Investment Advisor: PIMCO
0.60% 0.00% 0.60% -0.05% 1.77% 1.64%
Fixed Income PIMCO Variable Insurance Trust - Total Return Portfolio: Administrative Class
Investment Advisor: PIMCO
0.65% 0.00% 0.65% -1.26% 3.93% 3.43%
Fixed Income Pioneer Variable Contracts Trust - Pioneer Bond VCT Portfolio: Class II
Investment Advisor: Amundi Pioneer Asset Management, Inc.
0.88% 0.00% 0.88% 0.21% 3.95% 3.85%
Equity Pioneer Variable Contracts Trust - Pioneer Equity Income VCT Portfolio: Class II
Investment Advisor: Amundi Pioneer Asset Management, Inc.
1.05% 0.00% 1.05% 25.33% 10.46% 12.15%
Equity Pioneer Variable Contracts Trust - Pioneer Fund VCT Portfolio: Class II
Investment Advisor: Amundi Pioneer Asset Management, Inc.
1.04% 0.00% 1.04% 27.64% 19.84% 15.89%
Fixed Income Pioneer Variable Contracts Trust - Pioneer High Yield VCT Portfolio: Class II
Investment Advisor: Amundi Pioneer Asset Management, Inc.
1.17%* 0.00% 1.17% 5.44% 4.78% 5.90%
Equity Pioneer Variable Contracts Trust - Pioneer Mid Cap Value VCT Portfolio: Class II
Investment Advisor: Amundi Pioneer Asset Management, Inc.
0.98% 0.00% 0.98% 29.37% 8.93% 10.92%
Fixed Income Pioneer Variable Contracts Trust - Pioneer Strategic Income VCT Portfolio: Class II
Investment Advisor: Amundi Pioneer Asset Management, Inc.
1.03%* 0.00% 1.03% 1.72% 4.20% 4.21%
Fixed Income ProFunds - ProFund Access VP High Yield Fund
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 0.27% 3.25% 5.10%
Equity ProFunds - ProFund VP Asia 30
Investment Advisor: ProFund Advisors LLC
1.62% 0.00% 1.62% -18.52% 8.57% 6.04%
Equity ProFunds - ProFund VP Banks
Investment Advisor: ProFund Advisors LLC
1.68% 0.00% 1.68% 34.09% 8.47% 13.73%
Equity ProFunds - ProFund VP Basic Materials
Investment Advisor: ProFund Advisors LLC
1.68% 0.00% 1.68% 25.62% 11.76% 8.79%
Miscellaneous ProFunds - ProFund VP Bear
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% -24.62% -18.08% -16.73%
32

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity ProFunds - ProFund VP Biotechnology
Investment Advisor: ProFund Advisors LLC
1.58% 0.00% 1.58% 15.73% 12.18% 16.90%
Equity ProFunds - ProFund VP Bull
Investment Advisor: ProFund Advisors LLC
1.63% 0.00% 1.63% 26.33% 16.17% 14.29%
Equity ProFunds - ProFund VP Consumer Goods
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 19.64% 14.23% 12.65%
Equity ProFunds - ProFund VP Consumer Services
Investment Advisor: ProFund Advisors LLC
1.68% 0.00% 1.68% 10.23% 15.99% 15.96%
Equity ProFunds - ProFund VP Emerging Markets
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% -18.01% 7.82% 2.56%
Equity ProFunds - ProFund VP Europe 30
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 24.52% 6.47% 5.47%
Fixed Income ProFunds - ProFund VP Falling U.S. Dollar
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% -8.03% -0.88% -3.66%
Equity ProFunds - ProFund VP Financials
Investment Advisor: ProFund Advisors LLC
1.66% 0.00% 1.66% 30.10% 12.00% 14.05%
Equity ProFunds - ProFund VP Health Care
Investment Advisor: ProFund Advisors LLC
1.68% 0.00% 1.68% 21.53% 15.95% 15.67%
Equity ProFunds - ProFund VP Industrials
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 16.40% 13.62% 13.76%
Equity ProFunds - ProFund VP International
Investment Advisor: ProFund Advisors LLC
1.60% 0.00% 1.60% 8.82% 6.91% 5.44%
Equity ProFunds - ProFund VP Internet
Investment Advisor: ProFund Advisors LLC
1.65% 0.00% 1.65% 5.30% 21.76% 20.10%
Equity ProFunds - ProFund VP Japan
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 3.89% 8.63% 11.70%
Equity ProFunds - ProFund VP Large-Cap Growth
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 29.86% 21.92% 17.18%
Equity ProFunds - ProFund VP Large-Cap Value
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 22.92% 10.07% 11.40%
Equity ProFunds - ProFund VP Mid-Cap Growth
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 16.96% 12.84% 12.69%
Equity ProFunds - ProFund VP Mid-Cap Value
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 28.53% 9.36% 11.72%
Allocation ProFunds - ProFund VP Mid-Cap
Investment Advisor: ProFund Advisors LLC
1.61% 0.00% 1.61% 22.20% 10.57% 11.74%
Equity ProFunds - ProFund VP NASDAQ-100
Investment Advisor: ProFund Advisors LLC
1.68% 0.00% 1.68% 24.80% 26.01% 20.69%
Equity ProFunds - ProFund VP Oil & Gas
Investment Advisor: ProFund Advisors LLC
1.68% 0.00% 1.68% 51.92% -3.55% -1.00%
Equity ProFunds - ProFund VP Pharmaceuticals
Investment Advisor: ProFund Advisors LLC
1.67% 0.00% 1.67% 11.19% 8.11% 10.06%
Equity ProFunds - ProFund VP Precious Metals
Investment Advisor: ProFund Advisors LLC
1.68% 0.00% 1.68% -8.93% 8.48% -4.44%
Equity ProFunds - ProFund VP Real Estate
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 37.07% 10.65% 9.94%
33

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Miscellaneous ProFunds - ProFund VP Rising Rates Opportunity
Investment Advisor: ProFund Advisors LLC
1.61% 0.00% 1.61% 0.39% -11.02% -8.90%
Equity ProFunds - ProFund VP Semiconductor
Investment Advisor: ProFund Advisors LLC
1.63% 0.00% 1.63% 48.48% 31.41% 23.66%
Miscellaneous ProFunds - ProFund VP Short Emerging Markets
Investment Advisor: ProFund Advisors LLC
1.61% 0.00% 1.61% 9.95% -13.59% -9.24%
Miscellaneous ProFunds - ProFund VP Short International
Investment Advisor: ProFund Advisors LLC
1.58% 0.00% 1.58% -13.39% -11.45% -10.78%
Miscellaneous ProFunds - ProFund VP Short Mid-Cap
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% -24.07% -16.13% -16.38%
Miscellaneous ProFunds - ProFund VP Short NASDAQ-100
Investment Advisor: ProFund Advisors LLC
1.68% 0.00% 1.68% -25.12% -25.87% -22.23%
Miscellaneous ProFunds - ProFund VP Short Small-Cap
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% -19.05% -16.20% -16.61%
Equity ProFunds - ProFund VP Small-Cap Growth
Investment Advisor: ProFund Advisors LLC
1.68% 0.10% 1.78% 20.63% 12.42% 13.43%
Equity ProFunds - ProFund VP Small-Cap Value
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 28.55% 8.42% 11.59%
Allocation ProFunds - ProFund VP Small-Cap
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 12.88% 9.84% 11.22%
Equity ProFunds - ProFund VP Technology
Investment Advisor: ProFund Advisors LLC
1.58% 0.00% 1.58% 34.95% 30.24% 21.53%
Equity ProFunds - ProFund VP Telecommunications
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 18.41% 3.09% 6.56%
Fixed Income ProFunds - ProFund VP U.S. Government Plus
Investment Advisor: ProFund Advisors LLC
1.38%* 0.00% 1.38% -7.37% 4.99% 2.94%
Equity ProFunds - ProFund VP UltraBull
Investment Advisor: ProFund Advisors LLC
1.67% 0.00% 1.67% 58.14% 29.31% 27.23%
Equity ProFunds - ProFund VP UltraMid-Cap
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 46.66% 16.56% 21.53%
Equity ProFunds - ProFund VP UltraNASDAQ-100
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 52.50% 50.67% 41.04%
Miscellaneous ProFunds - ProFund VP UltraShort NASDAQ-100
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% -42.71% -47.62% -41.18%
Allocation ProFunds - ProFund VP UltraSmall-Cap
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 23.30% 14.09% 19.59%
Equity ProFunds - ProFund VP Utilities
Investment Advisor: ProFund Advisors LLC
1.68%* 0.00% 1.68% 15.40% 9.51% 9.25%
Fixed Income Putnam Variable Trust - Putnam VT High Yield Fund: Class IB
Investment Advisor: Putnam Investment Management, LLC
Sub-Advisor: Putnam Investments Limited
0.95% 0.00% 0.95% 4.97% 5.33% 6.06%
34

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity Putnam Variable Trust - Putnam VT International Value Fund: Class IB
Investment Advisor: Putnam Investment Management, LLC
Sub-Advisor: Putnam Investments Limited and The Putnam Advisory Company, LLC
1.12% 0.00% 1.12% 14.93% 8.09% 7.00%
Equity Putnam Variable Trust - Putnam VT Large Cap Value Fund: Class IB
Investment Advisor: Putnam Investment Management, LLC
Sub-Advisor: Putnam Investments Limited
0.81% 0.00% 0.81% 27.30% 13.80% 14.11%
Fixed Income Putnam Variable Trust - Putnam VT Mortgage Securities Fund: Class IB
Investment Advisor: Putnam Investment Management, LLC
Sub-Advisor: Putnam Investments Limited
0.75%* 0.00% 0.75% -3.65% 1.61% 1.32%
Allocation Putnam Variable Trust - Putnam VT Multi-Asset Absolute Return Fund: Class IB
Investment Advisor: Putnam Investment Management, LLC
Sub-Advisor: Putnam Investments Limited and The Putnam Advisory Company, LLC
1.20%* 0.00% 1.20% 0.75% -0.51% 0.96%
Equity Putnam Variable Trust - Putnam VT Sustainable Leaders Fund: Class IB
Investment Advisor: Putnam Investment Management, LLC
Sub-Advisor: Putnam Investments Limited
0.89% 0.00% 0.89% 23.56% 22.50% 18.28%
Equity Royce Capital Fund - Royce Micro-Cap Portfolio: Investment Class
Investment Advisor: Royce & Associates, LP
1.33%* 0.00% 1.33% 29.97% 12.97% 9.24%
Equity Royce Capital Fund - Royce Small-Cap Portfolio: Investment Class
Investment Advisor: Royce & Associates, LP
1.08%* 0.00% 1.08% 28.81% 6.51% 8.63%
Equity Rydex Variable Trust - Banking Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 33.49% 7.35% 11.10%
Equity Rydex Variable Trust - Basic Materials Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 22.93% 12.37% 7.87%
Equity Rydex Variable Trust - Biotechnology Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 1.42% 12.44% 15.86%
Commodities Rydex Variable Trust - Commodities Strategy Fund
Investment Advisor: Guggenheim Investments
1.76%* 0.00% 1.76% 39.54% 1.95% -6.56%
Miscellaneous Rydex Variable Trust - Dow 2x Strategy Fund
Investment Advisor: Guggenheim Investments
1.77%* 0.00% 1.77% 40.59% 23.45% 23.10%
Equity Rydex Variable Trust - Electronics Fund
Investment Advisor: Guggenheim Investments
1.70% 0.00% 1.70% 38.25% 31.48% 23.75%
35

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity Rydex Variable Trust - Energy Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 50.45% -5.87% -3.54%
Equity Rydex Variable Trust - Energy Services Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 17.50% -20.11% -13.27%
Equity Rydex Variable Trust - Europe 1.25x Strategy Fund
Investment Advisor: Guggenheim Investments
1.81%* 0.00% 1.81% 18.71% 9.75% 6.29%
Equity Rydex Variable Trust - Financial Services Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 35.26% 11.89% 13.14%
Alternative Rydex Variable Trust - Global Managed Futures Fund (formerly, Guggenheim Variable Fund - Global Managed Futures Strategy)
Investment Advisor: Guggenheim Investments
1.77%* 0.00% 1.77% 0.94% 2.06% -0.52%
Miscellaneous Rydex Variable Trust - Government Long Bond 1.2x Strategy Fund
Investment Advisor: Guggenheim Investments
1.31%* 0.00% 1.31% -7.49% 6.43% 3.88%
Equity Rydex Variable Trust - Guggenheim Long Short Equity Fund (formerly, Guggenheim Variable Fund - Long Short Equity Fund)
Investment Advisor: Guggenheim Investments
1.60% 0.00% 1.60% 23.79% 6.51% 5.82%
Equity Rydex Variable Trust - Health Care Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 18.83% 16.54% 15.43%
Fixed Income Rydex Variable Trust - High Yield Strategy Fund
Investment Advisor: Guggenheim Investments
1.70%* 0.00% 1.70% 1.68% 4.06%  
Equity Rydex Variable Trust - Internet Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% -4.65% 19.96% 17.86%
Miscellaneous Rydex Variable Trust - Inverse Dow 2x Strategy Fund
Investment Advisor: Guggenheim Investments
1.80%* 0.00% 1.80% -35.32% -32.62% -29.44%
Miscellaneous Rydex Variable Trust - Inverse Government Long Bond Strategy Fund
Investment Advisor: Guggenheim Investments
3.48%* 0.00% 3.48% 0.96% -8.16% -6.53%
Miscellaneous Rydex Variable Trust - Inverse Mid-Cap Strategy Fund
Investment Advisor: Guggenheim Investments
1.75%* 0.00% 1.75% -23.23% -15.12% -15.56%
Miscellaneous Rydex Variable Trust - Inverse NASDAQ-100® Strategy Fund
Investment Advisor: Guggenheim Investments
1.78%* 0.00% 1.78% -25.45% -24.59% -21.37%
36

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Miscellaneous Rydex Variable Trust - Inverse Russell 2000® Strategy Fund
Investment Advisor: Guggenheim Investments
1.79%* 0.00% 1.79% -18.48% -15.51% -15.88%
Miscellaneous Rydex Variable Trust - Inverse S&P 500 Strategy Fund
Investment Advisor: Guggenheim Investments
1.72%* 0.00% 1.72% -24.44% -17.80% -16.50%
Miscellaneous Rydex Variable Trust - Japan 2x Strategy Fund
Investment Advisor: Guggenheim Investments
1.63%* 0.00% 1.63% -14.09% 14.20% 14.14%
Equity Rydex Variable Trust - Leisure Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 0.92% 10.42% 12.85%
Allocation Rydex Variable Trust - Mid-Cap 1.5x Strategy Fund
Investment Advisor: Guggenheim Investments
1.74%* 0.00% 1.74% 35.25% 9.06% 14.73%
Alternative Rydex Variable Trust - Multi-Hedge Strategies Fund (formerly, Guggenheim Variable Fund - Multi-Hedge Strategies)
Investment Advisor: Guggenheim Investments
2.02%* 0.00% 2.02% 8.10% 3.70% 2.83%
Miscellaneous Rydex Variable Trust - NASDAQ-100® 2x Strategy Fund
Investment Advisor: Guggenheim Investments
1.76%* 0.00% 1.76% 53.44% 51.40% 41.85%
Equity Rydex Variable Trust - NASDAQ-100® Fund
Investment Advisor: Guggenheim Investments
1.65%* 0.00% 1.65% 25.54% 26.24% 21.11%
Equity Rydex Variable Trust - Nova Fund
Investment Advisor: Guggenheim Investments
1.61%* 0.00% 1.61% 42.18% 23.94% 21.92%
Equity Rydex Variable Trust - Precious Metals Fund
Investment Advisor: Guggenheim Investments
1.61% 0.00% 1.61% -9.19% 10.63% -2.01%
Equity Rydex Variable Trust - Real Estate Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 34.07% 9.20% 9.51%
Equity Rydex Variable Trust - Retailing Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 11.74% 16.88% 14.04%
Miscellaneous Rydex Variable Trust - Russell 2000® 1.5x Strategy Fund
Investment Advisor: Guggenheim Investments
1.81%* 0.00% 1.81% 18.99% 13.29% 16.15%
Miscellaneous Rydex Variable Trust - Russell 2000® 2x Strategy Fund
Investment Advisor: Guggenheim Investments
1.81%* 0.00% 1.81% 25.76% 15.10% 19.85%
37

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Miscellaneous Rydex Variable Trust - S&P 500 2x Strategy Fund
Investment Advisor: Guggenheim Investments
1.74%* 0.00% 1.74% 58.28% 29.82% 28.08%
Equity Rydex Variable Trust - S&P 500 Pure Growth Fund
Investment Advisor: Guggenheim Investments
1.60% 0.00% 1.60% 27.58% 19.27% 16.24%
Equity Rydex Variable Trust - S&P 500 Pure Value Fund
Investment Advisor: Guggenheim Investments
1.59% 0.00% 1.59% 32.31% 7.93% 11.87%
Equity Rydex Variable Trust - S&P MidCap 400 Pure Growth Fund
Investment Advisor: Guggenheim Investments
1.60% 0.00% 1.60% 12.21% 11.31% 10.53%
Equity Rydex Variable Trust - S&P MidCap 400 Pure Value Fund
Investment Advisor: Guggenheim Investments
1.59% 0.00% 1.59% 31.25% 9.61% 11.79%
Equity Rydex Variable Trust - S&P SmallCap 600 Pure Growth Fund
Investment Advisor: Guggenheim Investments
1.60% 0.00% 1.60% 19.16% 10.39% 11.72%
Equity Rydex Variable Trust - S&P SmallCap 600 Pure Value Fund
Investment Advisor: Guggenheim Investments
1.59% 0.00% 1.59% 43.40% 5.20% 9.84%
Miscellaneous Rydex Variable Trust - Strengthening Dollar 2x Strategy Fund
Investment Advisor: Guggenheim Investments
2.01%* 0.00% 2.01% 11.09% -1.65% 2.23%
Equity Rydex Variable Trust - Technology Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 20.50% 26.84% 19.94%
Equity Rydex Variable Trust - Telecommunications Fund
Investment Advisor: Guggenheim Investments
1.70% 0.00% 1.70% 8.98% 6.25% 6.48%
Equity Rydex Variable Trust - Transportation Fund
Investment Advisor: Guggenheim Investments
1.70% 0.00% 1.70% 22.17% 15.42% 16.02%
Equity Rydex Variable Trust - Utilities Fund
Investment Advisor: Guggenheim Investments
1.69% 0.00% 1.69% 14.52% 8.29% 8.52%
Miscellaneous Rydex Variable Trust - Weakening Dollar 2x Strategy Fund
Investment Advisor: Guggenheim Investments
2.03%* 0.00% 2.03% -13.96% -1.08% -5.80%
Equity T. Rowe Price Equity Series, Inc. - T. Rowe Price Blue Chip Growth Portfolio: II
Investment Advisor: T. Rowe Price Associates, Inc.
1.00%* 0.00% 1.00% 17.32% 22.96% 18.92%
38

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity T. Rowe Price Equity Series, Inc. - T. Rowe Price Equity Income Portfolio: II
Investment Advisor: T. Rowe Price Associates, Inc.
0.99%* 0.00% 0.99% 25.21% 10.73% 11.53%
Equity T. Rowe Price Equity Series, Inc. - T. Rowe Price Health Sciences Portfolio: II
Investment Advisor: T. Rowe Price Associates, Inc.
1.19%* 0.00% 1.19% 12.82% 19.22% 20.12%
Fixed Income T. Rowe Price Fixed Income Series, Inc. - T. Rowe Price Limited-Term Bond Portfolio: II
Investment Advisor: T. Rowe Price Associates, Inc.
0.75%* 0.00% 0.75% -0.73% 1.89% 1.33%
Allocation The Timothy Plan - Conservative Growth Portfolio Variable Series
Investment Advisor: Timothy Partners, Ltd.
1.56% 0.00% 1.56% 7.92% 6.15% 5.36%
Allocation The Timothy Plan - Strategic Growth Portfolio Variable Series
Investment Advisor: Timothy Partners, Ltd.
1.38% 0.00% 1.38% 12.51% 7.76% 7.03%
Equity Third Avenue Variable Series Trust - Third Avenue Value Portfolio
Investment Advisor: Third Avenue Management LLC
1.30%* 0.00% 1.30% 21.58% 3.92% 6.96%
Fixed Income Two Roads Shared Trust - Redwood Managed Volatility Portfolio: Class I
Investment Advisor: Redwood Investment Management, LLC
1.49%* 0.00% 1.49% 3.18% 5.64%  
Fixed Income VanEck VIP Trust - VanEck VIP Emerging Markets Bond Fund: Initial Class (formerly, VanEck VIP Trust - Emerging Markets Bond Fund: Initial Class)
Investment Advisor: Van Eck Associates Corporation
1.10%* 0.00% 1.10% -4.05% 4.40% 1.17%
Equity VanEck VIP Trust - VanEck VIP Emerging Markets Fund: Initial Class (formerly, VanEck VIP Trust - Emerging Markets Fund: Initial Class)
Investment Advisor: Van Eck Associates Corporation
1.16% 0.00% 1.16% -11.86% 9.28% 6.87%
Equity VanEck VIP Trust - VanEck VIP Global Gold Fund: Class S
Investment Advisor: Van Eck Associates Corporation
1.45%* 0.00% 1.45% -14.00% 9.24%  
Equity VanEck VIP Trust - VanEck VIP Global Resources Fund: Initial Class (formerly, VanEck VIP Trust - Global Resources Fund: Initial Class)
Investment Advisor: Van Eck Associates Corporation
1.09% 0.00% 1.09% 18.91% 2.24% -0.12%
Allocation Vanguard Variable Insurance Fund - Balanced Portfolio
Investment Advisor: Wellington Management Company, LLP
0.20% 0.25% 0.45% 19.01% 12.32% 11.40%
39

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Equity Vanguard Variable Insurance Fund - Capital Growth Portfolio
Investment Advisor: PRIMECAP Management Company
0.34% 0.25% 0.59% 21.54% 18.12% 17.35%
Allocation Vanguard Variable Insurance Fund - Conservative Allocation Portfolio (formerly, Vanguard Variable Insurance Fund - Vanguard Conservative Allocation Portfolio)
Investment Advisor: The Vanguard Group, Inc.
0.13% 0.25% 0.38% 5.98% 8.09% 7.16%
Equity Vanguard Variable Insurance Fund - Diversified Value Portfolio
Investment Advisor: Barrow, Hanley, Mewhinney & Strauss, LLC
0.28% 0.25% 0.53% 30.46% 13.51% 13.14%
Equity Vanguard Variable Insurance Fund - Equity Income Portfolio
Investment Advisor: Wellington Management Company, LLP; Vanguard Quantitative Equity Group
0.30% 0.25% 0.55% 25.32% 12.35% 13.06%
Equity Vanguard Variable Insurance Fund - Equity Index Portfolio
Investment Advisor: Vanguard Equity Index Group
0.14% 0.25% 0.39% 28.54% 18.30% 16.38%
Fixed Income Vanguard Variable Insurance Fund - Global Bond Index Portfolio
Investment Advisor: Vanguard Fixed Income Group
0.13% 0.25% 0.38% -1.84%    
Equity Vanguard Variable Insurance Fund - Growth Portfolio
Investment Advisor: Jackson Square Partners, LLC; Wellington Management Company LLP
0.41% 0.25% 0.66% 17.86% 24.24% 19.14%
Fixed Income Vanguard Variable Insurance Fund - High Yield Bond Portfolio
Investment Advisor: Wellington Management Company, LLP
0.26% 0.25% 0.51% 3.67% 5.69% 6.05%
Equity Vanguard Variable Insurance Fund - International Portfolio
Investment Advisor: Baillie Gifford Overseas Ltd.; Schroder Investment Management North America, Inc.
0.38% 0.25% 0.63% -1.54% 20.47% 13.56%
Equity Vanguard Variable Insurance Fund - Mid-Cap Index Portfolio
Investment Advisor: Vanguard Equity Index Group
0.17% 0.25% 0.42% 24.35% 15.71% 14.96%
Allocation Vanguard Variable Insurance Fund - Moderate Allocation Portfolio (formerly, Vanguard Variable Insurance Fund - Vanguard Moderate Allocation Portfolio)
Investment Advisor: The Vanguard Group, Inc.
0.12% 0.25% 0.37% 10.07% 10.31% 9.21%
Equity Vanguard Variable Insurance Fund - Real Estate Index Portfolio
Investment Advisor: Vanguard Equity Index Group
0.26% 0.25% 0.51% 40.20% 11.24% 11.43%
40

 


Type Underlying Mutual Fund and Adviser/
Subadviser
Current
Expenses
Low Cost
Sub-Account
Fee1
Current
Expenses +
Low Cost
Sub-Account
Fee
Average Annual
Total Returns
(as of 12/31/2021)
1
year
5
year
10
year
Fixed Income Vanguard Variable Insurance Fund - Short-Term Investment-Grade Portfolio
Investment Advisor: Vanguard Fixed Income Group
0.14% 0.25% 0.39% -0.45% 2.74% 2.47%
Fixed Income Vanguard Variable Insurance Fund - Total Bond Market Index Portfolio
Investment Advisor: Vanguard Fixed Income Group
0.14% 0.25% 0.39% -1.71% 3.49% 2.76%
Equity Vanguard Variable Insurance Fund - Total International Stock Market Index Portfolio
Investment Advisor: Vanguard Equity Index Group
0.10% 0.25% 0.35% 8.52%    
Equity Vanguard Variable Insurance Fund - Total Stock Market Index Portfolio
Investment Advisor: Vanguard Equity Index Group
0.13% 0.25% 0.38% 25.63% 17.79% 16.12%
Equity Virtus Variable Insurance Trust - Virtus Duff & Phelps Real Estate Securities Series: Class A
Investment Advisor: Virtus Investment Advisers, Inc.
Sub-Advisor: Duff & Phelps Investment Management Co.
1.10%* 0.00% 1.10% 45.49% 12.57% 11.87%
Fixed Income Virtus Variable Insurance Trust - Virtus Newfleet Multi-Sector Intermediate Bond Series: Class A
Investment Advisor: Virtus Investment Advisers, Inc.
Sub-Advisor: Newfleet Asset Management, LLC
0.93% 0.00% 0.93% 1.07% 4.32% 4.77%
Equity Virtus Variable Insurance Trust - Virtus SGA International Growth Series: Class A
Investment Advisor: Virtus Investment Advisers, Inc.
Sub-Advisor: Sustainable Growth Advisers, LP
1.14%* 0.00% 1.14% 8.31% 8.93% 5.01%
* This underlying mutual fund’s current expenses reflect a temporary fee reduction.
1 Reflects the current Low Cost Fund Fee. The maximum Low Cost Fund Fee applicable for any Sub-Account is 0.70%.
Early Cut-Off Times
The following Investment Portfolios currently impose the following transfer cut-off times before the end of the Business Day:
2:30 P.M.
Vanguard Variable Insurance Fund - Balanced Portfolio
Vanguard Variable Insurance Fund - Capital Growth Portfolio
Vanguard Variable Insurance Fund - Conservative Allocation Portfolio (formerly, Vanguard Variable Insurance Fund - Vanguard Conservative Allocation Portfolio)
Vanguard Variable Insurance Fund - Diversified Value Portfolio
Vanguard Variable Insurance Fund - Equity Income Portfolio
Vanguard Variable Insurance Fund - Equity Index Portfolio
41

 


Vanguard Variable Insurance Fund - Global Bond Index Portfolio
Vanguard Variable Insurance Fund - Growth Portfolio
Vanguard Variable Insurance Fund - High Yield Bond Portfolio
Vanguard Variable Insurance Fund - International Portfolio
Vanguard Variable Insurance Fund - Mid-Cap Index Portfolio
Vanguard Variable Insurance Fund - Moderate Allocation Portfolio (formerly, Vanguard Variable Insurance Fund - Vanguard Moderate Allocation Portfolio)
Vanguard Variable Insurance Fund - Real Estate Index Portfolio
Vanguard Variable Insurance Fund - Short-Term Investment-Grade Portfolio
Vanguard Variable Insurance Fund - Total Bond Market Index Portfolio
Vanguard Variable Insurance Fund - Total International Stock Market Index Portfolio
Vanguard Variable Insurance Fund - Total Stock Market Index Portfolio
2:55 P.M.
ProFunds - ProFund Access VP High Yield Fund
3:30 P.M.
Advisors Preferred Trust - Gold Bullion Strategy Portfolio
3:45 P.M.
Rydex Variable Trust - High Yield Strategy Fund
3:50 P.M.
Rydex Variable Trust - Banking Fund
Rydex Variable Trust - Basic Materials Fund
Rydex Variable Trust - Biotechnology Fund
Rydex Variable Trust - Commodities Strategy Fund
Rydex Variable Trust - Electronics Fund
Rydex Variable Trust - Energy Fund
Rydex Variable Trust - Energy Services Fund
Rydex Variable Trust - Financial Services Fund
Rydex Variable Trust - Health Care Fund
Rydex Variable Trust - Internet Fund
Rydex Variable Trust - Leisure Fund
Rydex Variable Trust - Precious Metals Fund
Rydex Variable Trust - Real Estate Fund
Rydex Variable Trust - Retailing Fund
Rydex Variable Trust - S&P 500 Pure Growth Fund
Rydex Variable Trust - S&P 500 Pure Value Fund
Rydex Variable Trust - S&P MidCap 400 Pure Growth Fund
Rydex Variable Trust - S&P MidCap 400 Pure Value Fund
Rydex Variable Trust - S&P SmallCap 600 Pure Growth Fund
Rydex Variable Trust - S&P SmallCap 600 Pure Value Fund
Rydex Variable Trust - Technology Fund
42

 


Rydex Variable Trust - Telecommunications Fund
Rydex Variable Trust - Transportation Fund
Rydex Variable Trust - Utilities Fund
Rydex Variable Trust - Weakening Dollar 2x Strategy Fund
3:55 P.M.
ProFunds - ProFund VP Asia 30
ProFunds - ProFund VP Banks
ProFunds - ProFund VP Basic Materials
ProFunds - ProFund VP Bear
ProFunds - ProFund VP Biotechnology
ProFunds - ProFund VP Bull
ProFunds - ProFund VP Consumer Goods
ProFunds - ProFund VP Consumer Services
ProFunds - ProFund VP Emerging Markets
ProFunds - ProFund VP Europe 30
ProFunds - ProFund VP Falling U.S. Dollar
ProFunds - ProFund VP Financials
ProFunds - ProFund VP Health Care
ProFunds - ProFund VP Industrials
ProFunds - ProFund VP International
ProFunds - ProFund VP Internet
ProFunds - ProFund VP Japan
ProFunds - ProFund VP Large-Cap Growth
ProFunds - ProFund VP Large-Cap Value
ProFunds - ProFund VP Mid-Cap
ProFunds - ProFund VP Mid-Cap Growth
ProFunds - ProFund VP Mid-Cap Value
ProFunds - ProFund VP NASDAQ-100
ProFunds - ProFund VP Oil & Gas
ProFunds - ProFund VP Pharmaceuticals
ProFunds - ProFund VP Precious Metals
ProFunds - ProFund VP Real Estate
ProFunds - ProFund VP Rising Rates Opportunity
ProFunds - ProFund VP Semiconductor
ProFunds - ProFund VP Short Emerging Markets
ProFunds - ProFund VP Short International
ProFunds - ProFund VP Short Mid-Cap
ProFunds - ProFund VP Short NASDAQ-100
ProFunds - ProFund VP Short Small-Cap
ProFunds - ProFund VP Small-Cap
43

 


ProFunds - ProFund VP Small-Cap Growth
ProFunds - ProFund VP Small-Cap Value
ProFunds - ProFund VP Technology
ProFunds - ProFund VP Telecommunications
ProFunds - ProFund VP U.S. Government Plus
ProFunds - ProFund VP UltraBull
ProFunds - ProFund VP UltraMid-Cap
ProFunds - ProFund VP UltraNASDAQ-100
ProFunds - ProFund VP UltraShort NASDAQ-100
ProFunds - ProFund VP UltraSmall-Cap
ProFunds - ProFund VP Utilities
Rydex Variable Trust - Dow 2x Strategy Fund
Rydex Variable Trust - Europe 1.25x Strategy Fund
Rydex Variable Trust - Government Long Bond 1.2x Strategy Fund
Rydex Variable Trust - Inverse Dow 2x Strategy Fund
Rydex Variable Trust - Inverse Government Long Bond Strategy Fund
Rydex Variable Trust - Inverse Mid-Cap Strategy Fund
Rydex Variable Trust - Inverse NASDAQ-100® Strategy Fund
Rydex Variable Trust - Inverse Russell 2000® Strategy Fund
Rydex Variable Trust - Inverse S&P 500 Strategy Fund
Rydex Variable Trust - Japan 2x Strategy Fund
Rydex Variable Trust - Mid-Cap 1.5x Strategy Fund
Rydex Variable Trust - NASDAQ-100® 2x Strategy Fund
Rydex Variable Trust - NASDAQ-100® Fund
Rydex Variable Trust - Nova Fund
Rydex Variable Trust - Russell 2000® 1.5x Strategy Fund
Rydex Variable Trust - Russell 2000® 2x Strategy Fund
Rydex Variable Trust - S&P 500 2x Strategy Fund
Rydex Variable Trust - Strengthening Dollar 2x Strategy Fund
44

 


Outside back cover page
This summary prospectus incorporates by reference the statutory prospectus and Statement of Additional Information, both dated May 1, 2022, as amended or supplemented. The statutory prospectus and Statement of Additional Information may be obtained, free of charge, at https://nationwide.onlineprospectus.net/NW/C000148690NW/index.php.
Reports and other information about the Separate Account are available on the SEC’s website at http://www.sec.gov. Copies of this information may be obtained, upon payment of a duplicating fee, by electronic request at the following email address: publicinfo@sec.gov.
SEC Contract Identifier: C000148690