-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, UNTCFhUE3Pk35Vd7/VEKa+BJD49/szE52w8/xQ4QuP78Mi1QSi+ZhqggWWpkHFsQ mK2AgDGsY3cwCcWJHZjnpQ== 0001193125-10-053771.txt : 20100311 0001193125-10-053771.hdr.sgml : 20100311 20100311143824 ACCESSION NUMBER: 0001193125-10-053771 CONFORMED SUBMISSION TYPE: N-30B-2 PUBLIC DOCUMENT COUNT: 9 CONFORMED PERIOD OF REPORT: 20091231 FILED AS OF DATE: 20100311 DATE AS OF CHANGE: 20100311 EFFECTIVENESS DATE: 20100311 FILER: COMPANY DATA: COMPANY CONFORMED NAME: NORTHWESTERN MUTUAL VARIABLE LIFE ACCOUNT CENTRAL INDEX KEY: 0000742277 IRS NUMBER: 390509570 STATE OF INCORPORATION: WI FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-30B-2 SEC ACT: 1940 Act SEC FILE NUMBER: 811-03989 FILM NUMBER: 10673613 BUSINESS ADDRESS: STREET 1: 720 E WISCONSIN AVE CITY: MILWAUKEE STATE: WI ZIP: 53202 BUSINESS PHONE: 4146652508 MAIL ADDRESS: STREET 1: 720 EAST WISCONSIN AVENUE CITY: MILWAUKEE STATE: WI ZIP: 53202 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Northwestern Mutual Variable Life Account II CENTRAL INDEX KEY: 0001359314 IRS NUMBER: 390509570 STATE OF INCORPORATION: WI FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-30B-2 SEC ACT: 1940 Act SEC FILE NUMBER: 811-21933 FILM NUMBER: 10673614 BUSINESS ADDRESS: STREET 1: 720 EAST WISCONSIN AVENUE CITY: MILWAUKEE STATE: WI ZIP: 53202 BUSINESS PHONE: 414-271-1444 MAIL ADDRESS: STREET 1: 720 EAST WISCONSIN AVENUE CITY: MILWAUKEE STATE: WI ZIP: 53202 0000742277 S000000058 NORTHWESTERN MUTUAL VARIABLE LIFE ACCOUNT C000000093 Variable Life C000031361 Variable CompLife C000031362 Variable Executive Life C000031363 Variable Joint Life N-30B-2 1 dn30b2.htm NORTHWESTERN MUTUAL VARIABLE LIFE ACCOUNTS Northwestern Mutual Variable Life Accounts
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March 11, 2010

VIA EDGAR

Securities and Exchange Commission

Division of Investment Management

100 F Street, NE

Washington, DC 20549

 

  RE: Northwestern Mutual Variable Life Account I
       EDGAR CIK No. 0000742277; File No. 811-3989
       Northwestern Mutual Variable Life Account II
       EDGAR CIK No. 0001359314; File No. 811-21933

Dear Sir or Madam:

On behalf of Northwestern Mutual Life Insurance Company and Northwestern Mutual Variable Life Account and Northwestern Mutual Life Account II (“Registrants” or the “Accounts”) we hereby submit, pursuant to Rule 30b2-1 under the Investment Company Act of 1940 (the “1940 Act”), that the Accounts’ annual report for the period ending December 31, 2009 has been transmitted to policy owners as required by Rule 30e-2 under the 1940 Act.

The following annual reports were filed with the Commission via EDGAR on the date indicated below and are incorporated herein by reference:

 

Underlying Investment Company

   CIK No.    Date Filed    Registration No.

Northwestern Mutual Series Fund, Inc.

   0000742212    3/10/2010    811-03990

Fidelity VIP Mid Cap Portfolio

   0000927384    2/26/2010    811-07205

Russell Investment Funds

   0000824036    3/10/2010    811-05371

Some of the investment companies above (or series thereof) may not be available under every policy offered by a Registrant.

In addition, performance summaries and financial statements for the Accounts are filed herewith. This filing will also include any other materials required to be filed, if any.

Please direct any questions or comments regarding this filing to the undersigned at 414-665-2418.

 

Sincerely,
/s/ Barbara Courtney

Barbara Courtney

Director – Mutual Fund Accounting

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Table of Contents

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Table of Contents

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Table of Contents

 

Contents

 

Notice Regarding Delivery of Policyowner Documents

  

Performance Summaries for the Northwestern Mutual Variable Life Accounts

  

Northwestern Mutual Series Fund, Inc. - Annual Report

  

Fidelity® VIP Mid Cap Portfolio - Annual Report

(This report follows the end of the Northwestern Mutual Series Fund, Inc.)

  

Russell Investment Funds - Annual Report

(This report follows the end of the Fidelity® VIP Mid Cap Portfolio)

  

Northwestern Mutual Variable Life Account Financial Statements

  

Northwestern Mutual Variable Life Account II Financial Statements

  

Prospectus Supplements

  

 

The performance data quoted represents past performance. Past performance is historical and does not guarantee future performance. Investment return and principal value will fluctuate, so that shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. For the most recent month-end performance information visit www.northwesternmutual.com.

 


Table of Contents

 

Performance Summary    as of December 31, 2009

 

Variable Life—Policies Issued Before October 11, 1995

 

Total return
(as of December 31, 2009)
   Growth
Stock
Division
    Focused
Appreciation
Division
    Large Cap
Core Stock
Division
    Index 500
Stock
Division
    Domestic
Equity
Division
    Equity
Income
Division
    Mid Cap
Growth
Stock
Division(f)
 

1 year

   36.42   41.70   28.63   25.71   28.81   23.90   31.37

5 years

   5.00   29.24   1.56   (1.15 %)    (8.70 %)    (0.42 %)    2.84

Annualized

   0.98   5.26   0.31   (0.23 %)    (1.80 %)    (0.08 %)    0.56

10 years

   (14.81 %)         (18.93 %)    (14.97 %)              (5.13 %) 

Annualized

   (1.59 %)         (2.08 %)    (1.61 %)              (0.53 %) 

Since division inception in Variable Life Account(b)

        83.30 %(c)              7.86 %(d)    40.15 %(c)      

Annualized

        9.51             0.90   5.19     

Current yield(e)

              
Variable Complife—Policies Issued Between October 11, 1995 and December 31, 2008   

1 year

   36.55   41.84   28.75   25.83   28.94   24.02   31.50

5 years

   5.52   29.88   2.07   (0.66 %)    (8.24 %)    0.08   3.35

Annualized

   1.08   5.37   0.41   (0.13 %)    (1.71 %)    0.02   0.66

10 years

   (13.95 %)         (18.12 %)    (14.11 %)              (4.18 %) 

Annualized

   (1.49 %)         (1.98 %)    (1.51 %)              (0.43 %) 

Since division inception in Variable Life Account(b)

        84.52 %(c)              8.77 %(d)    41.08 %(c)      

Annualized

        9.62             1.00   5.30     

Current yield(e)

              
Variable Executive Life & Variable Joint Life(a)   

1 year

   37.17   42.47   29.33   26.40   29.52   24.58   32.09

5 years

   8.08   33.03   4.54   1.75   (6.02 %)    2.51   5.86

Annualized

   1.57   5.87   0.89   0.35   (1.23 %)    0.50   1.14

10 years

   (9.19 %)         (13.58 %)    (9.35 %)              1.13

Annualized

   (0.96 %)         (1.45 %)    (0.98 %)              0.11

Since division inception in Variable Life Account(b)

        90.89 %(c)              13.71 %(d)    45.95 %(c)      

Annualized

        10.18             1.54   5.83     

Current yield(e)

              

 

All total return figures shown above reflect the deduction of portfolio expenses. Returns do not reflect premium deductions such as sales charges, premium taxes, surrender charges or cost of insurance charges. The returns shown would be lower if excluded contract charges were included and/or if underlying portfolio expense reimbursements and fee waivers were not reflected.

 

Performance quoted for periods prior to each product’s inception date is based on the actual investment experience of the portfolio, adjusted for the expenses of the product and premium charges.

 

(a) Variable Executive Life policies were offered from March 2, 1998 to December 31, 2008. Variable Joint Life policies were offered from December 28, 1998 to December 31, 2008.
(b) See the following footnotes for division inception dates.
(c) Division inception on May 1, 2003.
(d) Division inception on July 31, 2001.
(e) For the seven-day period ended December 31, 2009, the Money Market Portfolio’s yield was 0.26% and was equivalent to a compound effective yield of 0.26%. The seven-day yield does not include deductions that are included in the separate account. The yield quotation more closely reflects the current earnings of the Money Market Portfolio than the total return quotation.
(f) Total return reflects the effect of a one-time class action settlement received on June 18, 2009. Absent the payment, returns would have been lower.

 

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Index 400
Stock
Division
    Mid Cap
Value
Division
    Small Cap
Growth Stock
Division
    Small Cap
Value
Division
    International
Growth
Division
    International
Equity
Division(f)
    Money
Market
Division(f)
    Select
Bond
Division
    High Yield
Bond
Division
    Balanced
Division
 
36.25   22.56   30.46   27.48   22.49   32.38   0.21   8.77   44.60   20.77
13.19   (6.29 %)    (7.07 %)    10.91   3.94   25.29   14.36   23.78   26.59   10.69
2.51   (1.29 %)    (1.45 %)    2.09   0.78   4.61   2.72   4.36   4.83   2.05
70.73        18.84             42.90   27.33   80.07   73.10   21.65
5.49        1.74             3.63   2.45   6.06   5.64   1.98
     46.36 %(c)         75.17 %(d)    36.23 %(d)                          
     5.88        6.88   3.74                         
            0.26      
                                                         
36.39   22.69   30.58   27.61   22.61   32.52   0.31   8.88   44.74   20.89
13.76   (5.82 %)    (6.60 %)    11.46   4.47   25.91   14.93   24.40   27.22   11.24
2.61   (1.19 %)    (1.36 %)    2.19   0.88   4.72   2.82   4.46   4.93   2.15
72.45        20.04             44.34   28.61   81.88   74.84   22.87
5.60        1.84             3.74   2.55   6.16   5.75   2.08
     47.33 %(c)         76.64 %(d)    37.38 %(d)                          
     5.98        6.99   3.84                         
            0.26      
                                                         
37.00   23.24   31.17   28.18   23.16   33.11   0.76   9.37   45.39   21.43
16.52   (3.54 %)    (4.34 %)    14.16   7.00   28.96   17.72   27.41   30.30   13.94
3.10   (0.72 %)    (0.88 %)    2.68   1.36   5.22   3.32   4.96   5.44   2.64
82.00        26.69             52.33   35.73   91.95   84.51   29.67
6.17        2.39             4.30   3.10   6.74   6.32   2.63
     52.42 %(c)         84.67 %(d)    43.62 %(d)                          
     6.52        7.56   4.39                         
            0.26      

 

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Performance Summary, continued    as of December 31, 2009

 

Variable Life—Policies Issued Before October 11, 1995

 

Total return
(as of December 31, 2009)
   Asset
Allocation
Division
    Fidelity VIP
Mid Cap
Division
    Russell
Multi-Style
Equity
Division
    Russell
Aggressive
Equity
Division
    Russell
Non-U.S.
Division
    Russell
Real Estate
Securities
Division
    Russell
Core Bond
Division
 

1 year

   26.40   38.99   30.68   30.68   25.80   28.24   15.18

5 years

   10.99   25.45   1.27   (8.00 %)    9.53   2.40   23.11

Annualized

   2.11   4.64   0.25   (1.65 %)    1.84   0.48   4.25

10 years

        141.65   (20.00 %)    16.50   (1.69 %)    160.62   69.83

Annualized

        9.22   (2.21 %)    1.54   (0.17 %)    10.05   5.44

Since division inception in Variable Life Account(b)

   26.36 %(d)                               

Annualized

   2.82                              

Current yield(e)

              
Variable Complife—Policies Issued Between October 11, 1995 and December 31, 2008   

1 year

   26.52   39.13   30.81   30.81   25.92   28.37   15.29

5 years

   11.55   26.08   1.77   (7.54 %)    10.08   2.91   23.73

Annualized

   2.21   4.74   0.35   (1.56 %)    1.94   0.58   4.35

10 years

        144.09   (19.20 %)    17.68   (0.70 %)    163.25   71.54

Annualized

        9.33   (2.11 %)    1.64   (0.07 %)    10.16   5.54

Since division inception in Variable Life Account(b)

   27.43 %(d)                               

Annualized

   2.92                              

Current yield(e)

              
Variable Executive Life & Variable Joint Life(a)   

1 year

   27.09   39.75   31.40   31.39   26.49   28.94   15.81

5 years

   14.25   29.13   4.24   (5.30 %)    12.75   5.41   26.72

Annualized

   2.70   5.25   0.83   (1.08 %)    2.43   1.06   4.85

10 years

        157.61   (14.72 %)    24.20   4.80   177.82   81.03

Annualized

        9.92   (1.58 %)    2.19   0.47   10.76   6.11

Since division inception in Variable Life Account(b)

   33.22 %(d)                               

Annualized

   3.47                              

Current yield(e)

              

 

All total return figures shown above reflect the deduction of portfolio expenses. Returns do not reflect premium deductions such as sales charges, premium taxes, surrender charges or cost of insurance charges. The returns shown would be lower if excluded contract charges were included and/or if underlying portfolio expense reimbursements and fee waivers were not reflected.

 

Performance quoted for periods prior to each product’s inception date is based on the actual investment experience of the portfolio, adjusted for the expenses of the product and premium charges.

 

(a) Variable Executive Life policies were offered from March 2, 1998 to December 31, 2008. Variable Joint Life policies were offered from December 28, 1998 to December 31, 2008.
(b) See the following footnotes for division inception dates.
(c) Division inception on May 1, 2003.
(d) Division inception on July 31, 2001.
(e) For the seven-day period ended December 31, 2009, the Money Market Portfolio’s yield was 0.26% and was equivalent to a compound effective yield of 0.26%. The seven-day yield does not include deductions that are included in the separate account. The yield quotation more closely reflects the current earnings of the Money Market Portfolio than the total return quotation.

 

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Table of Contents

 

Performance Summary, continued    as of December 31, 2009

 

Custom Variable Universal Life, Executive Variable Universal Life & Survivorship Variable Universal Life

 

Total return
(as of December 31, 2009)
   Growth
Stock
Division
    Focused
Appreciation
Division
    Large Cap
Core Stock
Division
    Index 500
Stock
Division
    Domestic
Equity
Division
    Equity
Income
Division
    Mid Cap
Growth
Stock
Division(e)
 

1 year

   37.17   42.47   29.33   26.40   29.52   24.58   32.09

5 years

   8.08   33.03   4.54   1.75   (6.02 %)    2.51   5.86

Annualized

   1.57   5.87   0.89   0.35   (1.23 %)    0.50   1.14

10 years

   (9.19 %)         (13.58 %)    (9.35 %)              1.13

Annualized

   (0.96 %)         (1.45 %)    (0.98 %)              0.11

Since division inception in Variable Life Account II

   (10.29 %)    6.70   (15.00 %)    (17.19 %)    (26.11 %)    (18.60 %)    (8.15 %) 

Annualized

   (3.66 %)    2.25   (5.42 %)    (6.27 %)    (9.86 %)    (6.81 %)    (2.87 %) 

Since portfolio inception(a)

        90.89 %(b)              13.71 %(c)    45.95 %(b)      

Annualized

        10.18             1.54   5.83     

Current yield(d)

              

 

All total return figures shown above reflect the deduction of portfolio expenses. Returns do not reflect premium deductions such as sales charges, premium taxes, surrender charges or cost of insurance charges. The returns shown would be lower if excluded contract charges were included and/or if underlying portfolio expense reimbursements and fee waivers were not reflected.

 

All policies were first offered and all divisions of the Variable Life Account II began on January 31, 2007. Performance quoted for periods prior to January 31, 2007 is based on the actual investment experience of the portfolio, adjusted for the expenses of the product and premium charges.

 

(a) Returns are stated as of the inception date of the portfolio, which precedes the inception date of the division. See the following footnotes for portfolio inception dates.
(b) Portfolio inception on May 1, 2003.
(c) Portfolio inception on July 31, 2001.
(d) For the seven-day period ended December 31, 2009, the Money Market Portfolio’s yield was 0.26% and was equivalent to a compound effective yield of 0.26%. The seven-day yield does not include deductions that are included in the separate account. The yield quotation more closely reflects the current earnings of the Money Market Portfolio than the total return quotation.
(e) Total return reflects the effect of a one-time class action settlement received on June 18, 2009. Absent the payment, returns would have been lower.

 

vii


Table of Contents

 

Performance Summary, continued    as of December 31, 2009

 

Custom Variable Universal Life, Executive Variable Universal Life & Survivorship Variable Universal Life

 

Total return
(as of December 31, 2009)
   Index 400
Stock
Division
    Mid Cap
Value
Division
    Small Cap
Growth Stock
Division
    Small Cap
Value
Division
    International
Growth
Division
    International
Equity
Division(e)
        
Money
Market
Division(e)
 

1 year

   37.00   23.24   31.17   28.18   23.16   33.11   0.76

5 years

   16.52   (3.54 %)    (4.34 %)    14.16   7.00   28.96   17.72

Annualized

   3.10   (0.72 %)    (0.88 %)    2.68   1.36   5.22   3.32

10 years

   82.00        26.69             52.33   35.73

Annualized

   6.17        2.39             4.30   3.10

Since division inception in Variable Life Account II

   (9.04 %)    (21.90 %)    (21.04 %)    (10.87 %)    (25.94 %)    (13.00 %)    8.54

Annualized

   (3.20 %)    (8.13 %)    (7.78 %)    (3.87 %)    (9.79 %)    (4.66 %)    2.85

Since portfolio inception(a)

        52.42 %(b)         84.67 %(c)    43.62 %(c)           

Annualized

        6.52        7.56   4.39          

Current yield(d)

               0.26

 

All total return figures shown above reflect the deduction of portfolio expenses. Returns do not reflect premium deductions such as sales charges, premium taxes, surrender charges or cost of insurance charges. The returns shown would be lower if excluded contract charges were included and/or if underlying portfolio expense reimbursements and fee waivers were not reflected.

 

All policies were first offered and all divisions of the Variable Life Account II began on January 31, 2007. Performance quoted for periods prior to January 31, 2007 is based on the actual investment experience of the portfolio, adjusted for the expenses of the product and premium charges.

 

(a) Returns are stated as of the inception date of the portfolio, which precedes the inception date of the division. See the following footnotes for portfolio inception dates.
(b) Portfolio inception on May 1, 2003.
(c) Portfolio inception on July 31, 2001.
(d) For the seven-day period ended December 31, 2009, the Money Market Portfolio’s yield was 0.26% and was equivalent to a compound effective yield of 0.26%. The seven-day yield does not include deductions that are included in the separate account. The yield quotation more closely reflects the current earnings of the Money Market Portfolio than the total return quotation.
(e) Total return reflects the effect of a one-time class action settlement received on June 18, 2009. Absent the payment, returns would have been lower.

 

viii


Table of Contents

 

 

Select
Bond
Division
    High Yield
Bond
Division
    Balanced
Division
    Asset
Allocation
Division
    Fidelity VIP
Mid Cap
Division
    Russell
Multi-Style
Equity
Division
    Russell
Aggressive
Equity
Division
    Russell
Non-U.S.
Division
    Russell
Real Estate
Securities
Division
    Russell
Core Bond
Division
 
9.37   45.39   21.43   27.09   39.75   31.40   31.39   26.49   28.94   15.81
27.41   30.30   13.94   14.25   29.13   4.24   (5.30 %)    12.75   5.41   26.72
4.96   5.44   2.64   2.70   5.25   0.83   (1.08 %)    2.43   1.06   4.85
91.95   84.51   29.67        157.61   (14.72 %)    24.20   4.80   177.82   81.03
6.74   6.32   2.63        9.92   (1.58 %)    2.19   0.47   10.76   6.11
20.05   16.12   (1.24 %)    (3.87 %)    (4.16 %)    (15.23 %)    (24.01 %)    (20.48 %)    (36.84 %)    19.89
6.47   5.26   (0.43 %)    (1.35 %)    (1.45 %)    (5.51 %)    (8.99 %)    (7.56 %)    (14.58 %)    6.42
               33.22 %(c)                               
               3.47                              
                 

 

ix


Table of Contents

LOGO

 

Annual Report December 31, 2009

 

Northwestern Mutual Variable Life Account

 

Financial Statements


Table of Contents

 

Northwestern Mutual Variable Life Account Financial Statements

 

 

Table of Contents

 

Northwestern Mutual Variable Life Account

  

Statements of Assets and Liabilities

   1

Statements of Operations

   4

Statements of Changes in Net Assets

   6

Notes to Financial Statements

   10

Report of Independent Registered Public Accounting Firm

   15


Table of Contents

 

Statements of Assets and Liabilities

 

 

Northwestern Mutual Variable Life Account

December 31, 2009

(in thousands, except accumulation unit values)

 

      Growth
Stock
Division
   Focused
Appreciation
Division
   Large Cap
Core Stock
Division
  

Index 500
Stock

Division

   Domestic
Equity
Division
   Equity
Income
Division
   Mid Cap
Growth
Stock
Division

Assets:

                    

Investments, at Value (1)(2)

                    

Northwestern Mutual Series Fund, Inc.

   $ 274,987    $ 87,842    $ 177,897    $ 655,016    $ 119,874    $ 61,570    $ 348,872

Fidelity Variable Insurance Products

                                  

Russell Investment Funds

                                  

Due from Northwestern Mutual Life Insurance Company

     97           62      135      71      3      63
                                                

Total Assets

     275,084      87,842      177,959      655,151      119,945      61,573      348,935
                                                

Liabilities:

                    

Due to Northwestern Mutual Life Insurance Company

     17      14      4      33      6      1      81
                                                

Total Liabilities

     17      14      4      33      6      1      81
                                                

Total Net Assets

   $ 275,067    $ 87,828    $ 177,955    $ 655,118    $ 119,939    $ 61,572    $ 348,854
                                                

Net Assets:

                    

Variable Life Policies Issued

                    

Before October 11, 1995

                    

Policyowners’ Equity

   $ 24,123    $ 6,456    $ 19,560    $ 94,789    $ 11,059    $ 5,455    $ 48,787

Northwestern Mutual’s Equity

     685      132      612      2,385      311      124      1,405

Variable Complife Policies Issued Between October 11, 1995 and December 31, 2008 (3)

                    

Policyowners’ Equity

     217,244      69,399      137,846      485,186      90,817      48,617      272,127

Northwestern Mutual’s Equity

     13,443      4,867      8,509      30,407      6,902      3,198      15,867

Variable Executive Life Policies Issued Between March 2, 1998 and December 31, 2008 (4)

                    

Policyowners’ Equity

     13,175      3,716      7,621      13,972      5,380      912      5,170

Variable Joint Life Policies Issued Between December 10, 1998 and December 31, 2008 (5)

                    

Policyowners’ Equity

     6,397      3,258      3,807      28,379      5,470      3,266      5,498
                                                

Total Net Assets

   $ 275,067    $ 87,828    $ 177,955    $ 655,118    $ 119,939    $ 61,572    $ 348,854
                                                
                    

(1) Investments, at cost

   $ 276,506    $ 87,938    $ 187,942    $ 757,289    $ 157,750    $ 76,087    $ 409,661

(2) Shares Outstanding

     143,521      51,551      159,548      281,002      151,548      58,471      138,222

(3) Accumulation Unit Value

   $ 2.176678    $ 1.845162    $ 1.754516    $ 2.275083    $ 1.087659    $ 1.410806    $ 2.129518

Units Outstanding

     105,981      40,249      83,416      226,626      89,844      36,727      135,240

(4) Accumulation Unit Value

   $ 29.365924    $ 19.088595    $ 23.449551    $ 50.989051    $ 11.370681    $ 14.595160    $ 57.953082

Units Outstanding

     449      195      325      274      473      63      89

(5) Accumulation Unit Value

   $ 29.365924    $ 19.088595    $ 23.449551    $ 50.989051    $ 11.370681    $ 14.595160    $ 57.953082

Units Outstanding

     218      171      162      557      481      224      95

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

Statements of Assets and Liabilities

 

1


Table of Contents

 

Statements of Assets and Liabilities

 

 

Northwestern Mutual Variable Life Account

December 31, 2009

(in thousands, except accumulation unit values)

 

      Index 400
Stock
Division
   Mid Cap
Value
Division
   Small Cap
Growth
Stock
Division
   Small Cap
Value
Division
   International
Growth
Division
   International
Equity
Division
   Money
Market
Division

Assets:

                    

Investments, at Value (1)(2)

                    

Northwestern Mutual Series Fund, Inc.

   $ 177,566    $ 31,820    $ 166,347    $ 122,194    $ 76,751    $ 489,465    $ 188,761

Fidelity Variable Insurance Products

                                  

Russell Investment Funds

                                  

Due from Northwestern Mutual Life Insurance Company

          7      10           12      1      32
                                                

Total Assets

     177,566      31,827      166,357      122,194      76,763      489,466      188,793
                                                

Liabilities:

                    

Due to Northwestern Mutual Life Insurance Company

     21      2      15      144      2      221      45
                                                

Total Liabilities

     21      2      15      144      2      221      45
                                                

Total Net Assets

   $ 177,545    $ 31,825    $ 166,342    $ 122,050    $ 76,761    $ 489,245    $ 188,748
                                                

Net Assets:

                    

Variable Life Policies Issued

                    

Before October 11, 1995

                    

Policyowners’ Equity

   $ 8,970    $ 2,416    $ 7,679    $ 9,388    $ 4,331    $ 61,292    $ 11,267

Northwestern Mutual’s Equity

     193      55      199      219      108      1,466      263

Variable Complife Policies Issued Between October 11, 1995 and December 31, 2008 (3)

                    

Policyowners’ Equity

     145,426      25,390      139,549      96,266      60,323      375,392      137,917

Northwestern Mutual’s Equity

     9,371      1,935      9,626      6,884      4,614      23,396      11,491

Variable Executive Life Policies Issued Between March 2, 1998 and December 31, 2008 (4)

                    

Policyowners’ Equity

     7,921      569      3,220      3,811      3,309      14,416      18,858

Variable Joint Life Policies Issued Between December 10, 1998 and December 31, 2008 (5)

                    

Policyowners’ Equity

     5,664      1,460      6,069      5,482      4,076      13,283      8,952
                                                

Total Net Assets

   $ 177,545    $ 31,825    $ 166,342    $ 122,050    $ 76,761    $ 489,245    $ 188,748
                                                
                    

(1) Investments, at cost

   $ 191,934    $ 44,007    $ 218,768    $ 130,506    $ 106,740    $ 484,060    $ 188,761

(2) Shares Outstanding

     150,480      32,370      116,981      87,406      73,166      295,928      188,761

(3) Accumulation Unit Value

   $ 1.838809    $ 1.473346    $ 1.842237    $ 1.766442    $ 1.373759    $ 2.536491    $ 1.561917

Units Outstanding

     84,184      18,546      80,977      58,396      47,270      157,221      95,657

(4) Accumulation Unit Value

   $ 20.535699    $ 15.242180    $ 23.577314    $ 18.466637    $ 14.361577    $ 3.803991    $ 41.258586

Units Outstanding

     386      37      137      206      230      3,790      457

(5) Accumulation Unit Value

   $ 20.535699    $ 15.242180    $ 23.577314    $ 18.466637    $ 14.361577    $ 3.803991    $ 41.258586

Units Outstanding

     276      96      257      297      284      3,492      217

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

2

 

Statements of Assets and Liabilities


Table of Contents

 

Select Bond
Division
  High Yield
Bond
Division
  Balanced
Division
  Asset
Allocation
Division
  Fidelity VIP
Mid Cap
Division
  Russell
Multi-Style
Equity
Division
  Russell
Aggressive
Equity Division
  Russell
Non-US
Division
  Russell
Real Estate
Securities
Division
  Russell Core
Bond Division
                 
                 
$ 223,436   $ 84,337   $ 299,024   $ 37,348   $   $   $   $   $   $
                  105,367                    
                      161,449     71,148     124,381     113,892     86,568
  16         9             19             1    
                                                         
  223,452     84,337     299,033     37,348     105,367     161,468     71,148     124,381     113,893     86,568
                                                         
                 
      65     19     3     12     6     13     2     15     156
                                                         
      65     19     3     12     6     13     2     15     156
                                                         
$ 223,452   $ 84,272   $ 299,014   $ 37,345   $ 105,355   $ 161,462   $ 71,135   $ 124,379   $ 113,878   $ 86,412
                                                         
                 
                 
                 
$ 20,437   $ 6,869   $ 137,186   $ 4,741   $ 10,454   $ 6,849   $ 4,065   $ 7,173   $ 6,943   $ 5,496
  430     156     2,266     101     227     174     93     178     160     152
                 
  161,553     66,668     141,054     27,920     81,174     120,180     55,708     91,397     89,094     50,782
  10,610     3,896     8,528     1,782     6,252     8,533     4,130     6,397     6,487     3,521
                 
  21,567     3,869     4,997     1,028     3,217     18,237     4,688     13,521     7,012     22,036
                 
  8,855     2,814     4,983     1,773     4,031     7,489     2,451     5,713     4,182     4,425
                                                         
$ 223,452   $ 84,272   $ 299,014   $ 37,345   $ 105,355   $ 161,462   $ 71,135   $ 124,379   $ 113,878   $ 86,412
                                                         
                 
$ 216,555   $ 82,188   $ 372,653   $ 42,034   $ 124,729   $ 163,633   $ 95,356   $ 151,279   $ 149,468   $ 85,023
  177,895     123,844     233,796     39,026     4,198     13,717     7,419     13,447     9,835     8,487
$ 2.206231   $ 2.334783   $ 2.295052   $ 1.274289   $ 2.188843   $ 0.841815   $ 1.232123   $ 1.233456   $ 2.471078   $ 1.719005
  78,035     30,223     65,176     23,309     39,942     152,900     48,565     79,284     38,680     31,590
$ 170.745431   $ 30.094875   $ 122.549243   $ 13.321541   $ 22.643898   $ 9.176223   $ 13.775086   $ 13.135524   $ 25.765834   $ 17.948158
  126     128     41     77     142     1,987     340     1,029     272     1,228
$ 170.745431   $ 30.094875   $ 122.549243   $ 13.321541   $ 22.643898   $ 9.176223   $ 13.775086   $ 13.135524   $ 25.765834   $ 17.948158
  52     93     41     133     178     816     178     435     162     246

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

Statements of Assets and Liabilities

 

3


Table of Contents

 

Statements of Operations

 

 

Northwestern Mutual Variable Life Account

For the Year Ended December 31, 2009

(in thousands)

 

          
Growth
Stock
Division
    Focused
Appreciation
Division
    Large Cap
Core Stock
Division
    Index 500
Stock
Division
 

Investment income:

        

Income:

        

Dividend income

   $ 2,702      $      $ 2,818      $ 15,788   

Expenses:

        

Mortality and expense risk charges

     979        301        650        2,387   

Taxes

     10        2        9        41   
                                

Net investment income (loss)

     1,713        (303     2,159        13,360   
                                

Realized gains (losses) on investments:

        

Realized gain (loss) on sale of fund shares

     (5,105     (678     (5,497     (14,465

Realized gain distributions

                          15,862   
                                

Realized gains (losses)

     (5,105     (678     (5,497     1,397   
                                

Change in unrealized appreciation/depreciation of investments

     78,579        26,775        43,709        121,808   
                                

Net increase (decrease) in net assets resulting from operations

   $ 75,187      $ 25,794      $ 40,371      $ 136,565   
                                
      International
Equity
Division
    Money
Market
Division
    Select
Bond
Division
    High Yield
Bond
Division
 

Investment income:

        

Income:

        

Dividend income

   $ 18,952      $ 1,412      $ 10,644      $ 6,352   

Expenses:

        

Mortality and expense risk charges

     1,739        752        817        293   

Taxes

     26        6        10        3   
                                

Net investment income (loss)

     17,187        654        9,817        6,056   
                                

Realized gains (losses) on investments:

        

Realized gain (loss) on sale of fund shares

     (2,171            651        (53

Realized gain distributions

     8,373        1                 
                                

Realized gains (losses)

     6,202        1        651        (53
                                

Change in unrealized appreciation/depreciation of investments

     97,116               7,342        19,567   
                                

Net increase (decrease) in net assets resulting from operations

   $ 120,505      $ 655      $ 17,810      $ 25,570   
                                

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

4

 

Statements of Operations


Table of Contents

 

Domestic
Equity
Division
    Equity
Income
Division
    Mid Cap Growth
Stock Division
    Index 400
Stock Division
    Mid Cap Value
Division
    Small Cap
Growth
Stock
Division
    Small Cap Value
Division
    International
Growth
Division
 
             
$ 3,474      $ 1,502      $ 838      $ 2,717      $ 314      $ 397      $ 871      $ 431   
             
  408        216        1,322        619        110        594        428        263   
  5        2        21        4        1        3        4        2   
                                                             
  3,061        1,284        (505     2,094        203        (200     439        166   
                                                             
             
  (2,436     (1,799     (11,655     (2,609     (2,598     (7,560     420        (3,032
                384        4,974        291               3,681          
                                                             
  (2,436     (1,799     (11,271     2,365        (2,307     (7,560     4,101        (3,032
                                                             
  26,412        12,873        96,475        44,192        8,079        47,360        22,271        16,621   
                                                             
$ 27,037      $ 12,358      $ 84,699      $ 48,651      $ 5,975      $ 39,600      $ 26,811      $ 13,755   
                                                             
Balanced
Division
    Asset
Allocation
Division
    Fidelity VIP
Mid Cap Division
    Russell
Multi-Style
Equity Division
    Russell
Aggressive
Equity Division
    Russell
Non-US
Division
    Russell
Real Estate
Securities Division
    Russell
Core Bond
Division
 
             
$ 12,379      $ 978      $ 410      $ 1,848      $ 310      $ 3,106      $ 4,060      $ 3,543   
             
  1,234        135        362        517        238        409        350        240   
  63        2        4        3        2        3        3        2   
                                                             
  11,082        841        44        1,328        70        2,694        3,707        3,301   
                                                             
             
  (11,202     (1,064     (2,664     (4,646     (2,180     (1,670     (4,264     (1,019
                479                                    975   
                                                             
  (11,202     (1,064     (2,185     (4,646     (2,180     (1,670     (4,264     (44
                                                             
  52,539        7,965        31,097        41,785        18,956        25,120        26,150        7,467   
                                                             
$ 52,419      $ 7,742      $ 28,956      $ 38,467      $ 16,846      $ 26,144      $ 25,593      $ 10,724   
                                                             

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

Statements of Operations

 

5


Table of Contents

 

Statements of Changes in Net Assets

 

 

Northwestern Mutual Variable Life Account

(in thousands)

 

     Growth
Stock Division
    Focused Appreciation
Division (a)
 
      Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 

Operations:

        

Net investment income (loss)

   $ 1,713      $ 1,748      $ (303   $ (57

Net realized gains (losses)

     (5,105     14,727        (678     2,546   

Net change in unrealized appreciation/depreciation

     78,579        (148,186     26,775        (42,472
                                

Net increase (decrease) in net assets resulting from operations

     75,187        (131,711     25,794        (39,983
                                

Policy Transactions:

        

Policyowners’ Net Payments

     26,445        29,593        8,380        8,639   

Policy Loans, Surrenders and Death Benefits

     (15,891     (27,071     (6,942     (5,444

Mortality and other (net)

     (8,044     (8,098     (2,628     (2,353

Transfers from other divisions

     15,890        18,462        18,714        34,334   

Transfers to other divisions

     (17,336     (21,042     (14,625     (17,332
                                

Net increase (decrease) in net assets resulting from policy transactions

     1,064        (8,156     2,899        17,844   
                                

Net increase (decrease) in net assets

     76,251        (139,867     28,693        (22,139

Net Assets:

        

Beginning of Period

     198,816        338,683        59,135        81,274   
                                

End of Period

   $ 275,067      $ 198,816      $ 87,828      $ 59,135   
                                

Units issued during the period

     21,331        20,386        14,596        19,278   

Units redeemed during the period

     (22,754     (21,616     (12,408     (12,094
                                

Net units issued (redeemed) during period

     (1,423     (1,230     2,188        7,184   
                                
     Mid Cap Growth
Stock Division
    Index 400
Stock Division
 
      Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 

Operations:

        

Net investment income (loss)

   $ (505   $ (592   $ 2,094      $ 2,104   

Net realized gains (losses)

     (11,271     44,411        2,365        20,283   

Net change in unrealized appreciation/depreciation

     96,475        (227,780     44,192        (101,475
                                

Net increase (decrease) in net assets resulting from operations

     84,699        (183,961     48,651        (79,088
                                

Policy Transactions:

        

Policyowners’ Net Payments

     32,786        37,125        16,167        18,654   

Policy Loans, Surrenders and Death Benefits

     (25,144     (30,270     (11,985     (16,781

Mortality and other (net)

     (9,844     (10,613     (5,033     (5,103

Transfers from other divisions

     14,572        18,232        10,778        16,038   

Transfers to other divisions

     (17,344     (25,685     (15,433     (17,976
                                

Net increase (decrease) in net assets resulting from policy transactions

     (4,974     (11,211     (5,506     (5,168
                                

Net increase (decrease) in net assets

     79,725        (195,172     43,145        (84,256

Net Assets:

        

Beginning of Period

     269,129        464,301        134,400        218,656   
                                

End of Period

   $ 348,854      $ 269,129      $ 177,545      $ 134,400   
                                

Units issued during the period

     24,197        22,890        17,990        17,831   

Units redeemed during the period

     (26,722     (25,943     (20,353     (19,303
                                

Net units issued (redeemed) during period

     (2,525     (3,053     (2,363     (1,472
                                

 

(a) Division was renamed effective April 30, 2008. See note 1.

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

6

 

Statements of Changes in Net Assets


Table of Contents

 

Large Cap Core
Stock Division
    Index 500
Stock Division
    Domestic Equity
Division (a)
    Equity Income
Division (a)
 
Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 
             
$ 2,159      $ 2,233      $ 13,360      $ 12,633      $ 3,061      $ 3,035      $ 1,284      $ (232
  (5,497     (2,228     1,397        18,632        (2,436     9,617        (1,799     877   
  43,709        (89,197     121,808        (340,532     26,412        (70,544     12,873        (25,366
                                                             
  40,371        (89,192     136,565        (309,267     27,037        (57,892     12,358        (24,721
                                                             
             
  18,357        20,838        63,278        70,545        13,892        16,481        6,281        6,547   
  (12,684     (17,883     (49,959     (51,292     (7,976     (9,153     (4,531     (3,552
  (5,325     (5,656     (19,116     (19,781     (3,426     (3,480     (1,667     (1,625
  14,344        17,653        38,264        45,705        9,926        16,621        9,838        12,616   
  (15,344     (15,169     (39,587     (47,205     (10,822     (16,883     (6,917     (7,125
                                                             
  (652     (217     (7,120     (2,028     1,594        3,586        3,004        6,861   
                                                             
  39,719        (89,409     129,445        (311,295     28,631        (54,306     15,362        (17,860
             
  138,236        227,645        525,673        836,968        91,308        145,614        46,210        64,070   
                                                             
$ 177,955      $ 138,236      $ 655,118      $ 525,673      $ 119,939      $ 91,308      $ 61,572      $ 46,210   
                                                             
  18,085        17,095        46,549        42,685        24,059        25,310        12,506        11,363   
  (19,256     (16,100     (48,585     (41,348     (22,203     (22,492     (10,053     (7,258
                                                             
  (1,171     995        (2,036     1,337        1,856        2,818        2,453        4,105   
                                                             
Mid Cap Value
Division (a)
    Small Cap Growth
Stock Division
    Small Cap Value
Division (a)
    International
Growth Division
 
Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 
             
$ 203      $ (147   $ (200   $ (456   $ 439      $ (91   $ 166      $ 985   
  (2,307     (566     (7,560     33,187        4,101        12,319        (3,032     11,648   
  8,079        (12,984     47,360        (134,208     22,271        (51,023     16,621        (65,655
                                                             
  5,975        (13,697     39,600        (101,477     26,811        (38,795     13,755        (53,022
                                                             
             
  3,823        4,325        18,114        21,318        12,433        14,351        9,603        11,155   
  (2,264     (2,634     (14,215     (15,175     (9,260     (9,639     (5,674     (6,966
  (984     (1,010     (4,888     (5,100     (3,617     (3,634     (2,314     (2,549
  4,520        5,724        20,416        16,171        12,950        16,412        11,030        16,514   
  (4,711     (7,586     (21,580     (18,594     (14,624     (17,185     (11,229     (14,301
                                                             
  384        (1,181     (2,153     (1,380     (2,118     305        1,416        3,853   
                                                             
  6,359        (14,878     37,447        (102,857     24,693        (38,490     15,171        (49,169
             
  25,466        40,344        128,895        231,752        97,357        135,847        61,590        110,759   
                                                             
$ 31,825      $ 25,466      $ 166,342      $ 128,895      $ 122,050      $ 97,357      $ 76,761      $ 61,590   
                                                             
  5,901        5,811        20,471        17,812        15,421        15,592        15,210        14,733   
  (5,599     (6,359     (21,800     (17,304     (16,262     (14,339     (14,371     (12,804
                                                             
  302        (548     (1,329     508        (841     1,253        839        1,929   
                                                             

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

Statements of Changes in Net Assets

 

7


Table of Contents

 

Statements of Changes in Net Assets

 

 

Northwestern Mutual Variable Life Account

(in thousands)

 

     International Equity Division (a)     Money Market Division  
      Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 

Operations:

        

Net investment income (loss)

   $ 17,187      $ 11,542      $ 654      $ 3,556   

Net realized gains (losses)

     6,202        56,323        1        33   

Net change in unrealized appreciation/depreciation

     97,116        (359,106              
                                

Net increase (decrease) in net assets resulting from operations

     120,505        (291,241     655        3,589   
                                

Policy Transactions:

        

Policyowners’ Net Payments

     42,672        47,261        106,083        127,153   

Policy Loans, Surrenders and Death Benefits

     (32,299     (39,886     (53,664     (32,703

Mortality and other (net)

     (14,802     (14,184     (8,938     (9,181

Transfers from other divisions

     37,452        43,550        124,543        118,140   

Transfers to other divisions

     (32,325     (39,554     (157,865     (172,012
                                

Net increase (decrease) in net assets resulting from policy transactions

     698        (2,813     10,159        31,397   
                                

Net increase (decrease) in net assets

     121,203        (294,054     10,814        34,986   

Net Assets:

        

Beginning of Period

     368,042        662,096        177,934        142,948   
                                

End of Period

   $ 489,245      $ 368,042      $ 188,748      $ 177,934   
                                

Units issued during the period

     37,372        32,894        121,314        138,287   

Units redeemed during the period

     (36,196     (33,011     (119,541     (121,020
                                

Net units issued (redeemed) during period

     1,176        (117     1,773        17,267   
                                
     Fidelity VIP
Mid Cap Division
    Russell Multi-Style
Equity Division
 
      Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 

Operations:

        

Net investment income (loss)

   $ 44      $ (177   $ 1,328      $ 1,795   

Net realized gains (losses)

     (2,185     15,136        (4,646     275   

Net change in unrealized appreciation/depreciation

     31,097        (61,619     41,785        (86,477
                                

Net increase (decrease) in net assets resulting from operations

     28,956        (46,660     38,467        (84,407
                                

Policy Transactions:

        

Policyowners’ Net Payments

     10,937        11,389        15,320        17,990   

Policy Loans, Surrenders and Death Benefits

     (6,273     (6,285     (12,051     (14,512

Mortality and other (net)

     (3,224     (2,884     (4,711     (4,628

Transfers from other divisions

     14,658        17,833        67,051        31,224   

Transfers to other divisions

     (11,938     (12,686     (70,621     (23,142
                                

Net increase (decrease) in net assets resulting from policy transactions

     4,160        7,367        (5,012     6,932   
                                

Net increase (decrease) in net assets

     33,116        (39,293     33,455        (77,475

Net Assets:

        

Beginning of Period

     72,239        111,532        128,007        205,482   
                                

End of Period

   $ 105,355      $ 72,239      $ 161,462      $ 128,007   
                                

Units issued during the period

     11,830        11,896        42,139        35,184   

Units redeemed during the period

     (9,821     (8,750     (44,493     (32,499
                                

Net units issued (redeemed) during period

     2,009        3,146        (2,354     2,685   
                                

 

(a) Division was renamed effective April 30, 2008. See note 1.

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

8

 

Statements of Changes in Net Assets


Table of Contents

 

Select Bond Division     High Yield Bond Division     Balanced Division     Asset Allocation Division  
Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 
             
$ 9,817      $ 7,598      $ 6,056      $ 5,080      $ 11,082      $ 2,464      $ 841      $ 918   
  651        (253     (53     (739     (11,202     81,432        (1,064     3,162   
  7,342        (2,394     19,567        (19,755     52,539        (161,197     7,965        (16,799
                                                             
  17,810        4,951        25,570        (15,414     52,419        (77,301     7,742        (12,719
                                                             
             
  18,551        17,523        6,167        6,771        22,112        24,927        3,168        3,388   
  (19,175     (15,323     (5,595     (6,206     (19,889     (23,106     (3,159     (2,942
  (7,285     (5,877     (2,459     (1,929     (8,680     (9,174     (1,123     (1,076
  61,681        53,414        16,685        10,024        12,282        13,352        5,096        6,249   
  (39,230     (28,297     (11,299     (10,441     (14,051     (13,724     (3,328     (4,127
                                                             
  14,542        21,440        3,499        (1,781     (8,226     (7,725     654        1,492   
                                                             
  32,352        26,391        29,069        (17,195     44,193        (85,026     8,396        (11,227
             
  191,100        164,709        55,203        72,398        254,821        339,847        28,949        40,176   
                                                             
$ 223,452      $ 191,100      $ 84,272      $ 55,203      $ 299,014      $ 254,821      $ 37,345      $ 28,949   
                                                             
  26,321        26,079        9,817        7,697        12,984        12,855        6,464        6,845   
  (20,798     (15,095     (8,658     (8,071     (14,735     (12,189     (6,463     (5,875
                                                             
  5,523        10,984        1,159        (374     (1,751     666        1        970   
                                                             
Russell Aggressive
Equity Division
    Russell
Non-US Division
    Russell Real Estate
Securities Division
    Russell Core
Bond Division
 
Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 
             
$ 70      $ 363      $ 2,694      $ (551   $ 3,707      $ 1,821      $ 3,301      $ 2,750   
  (2,180     153        (1,670     2,569        (4,264     420        (44     (530
  18,956        (42,383     25,120        (78,201     26,150        (51,294     7,467        (5,710
                                                             
  16,846        (41,867     26,144        (76,183     25,593        (49,053     10,724        (3,490
                                                             
             
  7,866        8,815        12,178        13,977        11,966        13,989        6,235        6,092   
  (5,417     (6,922     (8,973     (11,977     (7,970     (10,246     (5,821     (6,647
  (2,128     (2,333     (3,679     (3,886     (2,979     (3,466     (2,415     (2,286
  13,006        9,828        40,245        24,117        31,672        22,210        73,600        31,539   
  (13,500     (11,796     (44,630     (23,724     (30,354     (18,679     (60,658     (31,697
                                                             
  (173     (2,408     (4,859     (1,493     2,335        3,808        10,941        (2,999
                                                             
  16,673        (44,275     21,285        (77,676     27,928        (45,245     21,665        (6,489
             
  54,462        98,737        103,094        180,770        85,950        131,195        64,747        71,236   
                                                             
$ 71,135      $ 54,462      $ 124,379      $ 103,094      $ 113,878      $ 85,950      $ 86,412      $ 64,747   
                                                             
  13,102        11,216        21,650        18,272        12,614        10,829        15,373        14,007   
  (13,059     (11,908     (23,210     (19,643     (11,143     (9,633     (13,797     (10,388
                                                             
  43        (692     (1,560     (1,371     1,471        1,196        1,576        3,619   
                                                             

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

Statements of Changes in Net Assets

 

9


Table of Contents

 

Notes to Financial Statements

 

 

Northwestern Mutual Variable Life Account

December 31, 2009

 

1. Organization — Northwestern Mutual Variable Life Account (“the Account”) is registered as a unit investment trust under the Investment Company Act of 1940 and is a segregated asset account of The Northwestern Mutual Life Insurance Company (“Northwestern Mutual”) used to fund variable life insurance policies.

 

All assets of each Division of the Account are invested in shares of the corresponding Portfolio of Northwestern Mutual Series Fund, Inc., Fidelity Variable Insurance Products and the Russell Investment Funds (collectively known as “the Funds”). The Funds are open-end investment companies registered under the Investment Company Act of 1940.

 

Effective April 30, 2008, the following Divisions of the Account were renamed:

 

Old Name

 

New Name

Janus Capital Appreciation Division

  Focused Appreciation Division

Capital Guardian Domestic Equity Division

  Domestic Equity Division

T. Rowe Price Equity Income Division

  Equity Income Division

AllianceBernstein Mid Cap Value Division

  Mid Cap Value Division

T. Rowe Price Small Cap Value Division

  Small Cap Value Division

Franklin Templeton International Equity Division

  International Equity Division

 

2. Significant Accounting Policies

 

  A. Use of Estimates — The preparation of the financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates.

 

  B. Investment Valuation — The shares are valued at the Funds’ offering and redemption prices per share. As of December 31, 2009, all of the Account’s investments are identified as Level 1 securities for valuation purposes under the Fair Value Measurements and Disclosures Topic of the FASB Accounting Standards Codification. Level 1 securities are valued at fair value as determined by unadjusted quoted prices in active markets for identical securities.

 

  C. Investment Income, Securities Transactions and Policy Dividends — Transactions in the Funds’ shares are accounted for on the trade date. The basis for determining cost on sale of the Funds’ shares is identified cost. Dividend income and distributions of net realized gains from the Funds are recorded on the ex–date of the dividends. Dividends and distributions received are reinvested in additional shares of the respective portfolios of the Funds. The policies are eligible to receive policy dividends from Northwestern Mutual. Any policy dividends reinvested in the Account are reflected in Policyowners’ net payments in the accompanying financial statements.
 
  D. Taxes — Northwestern Mutual is taxed as a “life insurance company” under the Internal Revenue Code. The variable life insurance policies, which are funded in the Account, are taxed as part of the operations of Northwestern Mutual. Policies provide that a charge for taxes may be made against the assets of the Account. Generally, for Variable Life policies issued before October 11, 1995, Northwestern Mutual charges the Account at an annual rate of 0.05% of the Account’s net assets and reserves the right to increase, decrease or eliminate the charge for taxes in the future. Generally, for Variable CompLife policies issued on or after October 11, 1995, Variable Executive Life policies issued on or after March 2, 1998, and Variable Joint Life policies issued on or after December 10, 1998, there is no charge being made against the assets of the Account for federal income taxes, but Northwestern Mutual reserves the right to charge for taxes in the future.
 
  E. Premium Payments — For Variable Life and Variable CompLife policies, the Account is credited for the policyowners’ net annual premiums at the respective policy anniversary dates regardless of when policyowners actually pay their premiums. Northwestern Mutual’s equity represents any unpaid portion of net annual premiums.

 

3. Purchases and Sales of Investments — Purchases and sales of the Funds’ shares for the year ended December 31, 2009 were as follows: (in thousands)

 

Division

   Purchases    Sales

Growth Stock

   $ 27,446    $ 24,509

Focused Appreciation

     10,991      8,369

Large Cap Core Stock

     17,537      15,947

Index 500 Stock

     79,878      57,645

Domestic Equity

     14,941      10,281

Equity Income

     9,641      5,343

Mid Cap Growth Stock

     25,395      30,274

 

10

 

Notes to Financial Statements


Table of Contents

 

Notes to Financial Statements

 

 

Division

   Purchases    Sales

Index 400 Stock

   $ 17,216    $ 15,616

Mid Cap Value

     3,621      2,746

Small Cap Growth Stock

     14,492      16,934

Small Cap Value

     13,359      11,180

International Growth

     8,719      7,112

International Equity

     65,505      38,932

Money Market

     71,546      60,643

Select Bond

     47,474      23,335

High Yield Bond

     16,721      7,090

Balanced

     27,469      24,651

Asset Allocation

     5,047      3,541

Fidelity VIP Mid Cap

     12,466      7,746

Russell Multi-Style Equity

     10,365      14,049

Russell Aggressive Equity

     6,420      6,493

Russell Non-U.S.

     8,861      11,049

Russell Real Estate Securities

     15,752      9,637

Russell Core Bond

     23,660      8,280

 

4. Expenses and Related Party Transactions — A deduction for mortality and expense risks is paid to Northwestern Mutual. The mortality risk is that insureds may not live as long as estimated. The expense risk is that expenses of issuing and administering the policies may exceed the estimated costs.

 

For Variable Life and Variable CompLife policies, the deduction is determined daily at an annual rate of 0.50% and 0.45%, respectively, of the net assets of the Account.

 

A deduction for the mortality and expense risks for Variable Executive Life policies is determined monthly at an annual rate of 0.60% of the amount invested in the Account for the Policy for the first ten Policy years, and 0.17% thereafter for policies with the Cash Value Amendment, or 0.15% thereafter for policies without the Cash Value Amendment. A deduction for the mortality and expense risks for Variable Joint Life policies is determined monthly at an annual rate of 0.10% of the amounts invested in the Account for the Policy. These charges are reflected as a reduction in units and are included in Mortality and Other in the accompanying financial statements.

 

Additional mortality costs are deducted from the policy annually for Variable Life and Variable CompLife policies, and monthly for Variable Executive Life and Variable Joint Life policies, and are paid to Northwestern Mutual to cover the cost of providing insurance protection. For Variable Life and Variable CompLife policies this cost is actuarially calculated based upon the insured’s age, the 1980 Commissioners Standard Ordinary Mortality Table and the amount of insurance provided under the policy. For Variable Executive Life and Variable Joint Life policies the cost reflects expected mortality costs based upon actual experience.

 

Certain deductions are also made from the annual, single or other premiums before amounts are allocated to the Account. These deductions are for sales load, administrative expenses, taxes and a risk charge for the guaranteed minimum death benefit.

 

5. Subsequent Events

Management has evaluated events subsequent to December 31, 2009 through February 18, 2010, the date these financial statements were available to be issued. Based on this evaluation, no events have occurred subsequent to December 31, 2009 that require disclosure or adjustment to the financial statements at that date or for the period then ended.

 

6. Financial Highlights

(For a unit outstanding during the period)

 

    As of the respective period end date:   For the respective period ended:
Division   Units
Outstanding
(000’s)
  Unit Value,
Lowest to Highest
  Net
Assets
(000’s)
  Dividend
Income
as a % of
Average
Net
Assets
  Expense Ratio,
Lowest to Highest
  Total Return
Lowest to Highest (1)

Growth Stock

           

Year Ended 12/31/09

  106,648   $2.176678 to $29.365924   $ 275,067   1.16%   0.10% to 0.60%    36.42%  to  37.17% 

Year Ended 12/31/08

  108,071   $1.594004 to $21.408736   $ 198,816   1.06%   0.10% to 0.60%   (39.19%) to (38.86%)

Year Ended 12/31/07

  109,301   $2.618873 to $35.015115   $ 338,683   0.89%   0.10% to 0.60%      8.60%  to    9.20% 

Year Ended 12/31/06

  112,452   $2.409175 to $32.066403   $ 318,840   0.75%   0.10% to 0.60%      8.97%  to    9.57% 

Year Ended 12/31/05

  112,012   $2.208643 to $29.265983   $ 292,545   1.03%   0.20% to 0.75%      6.96%  to    7.71% 

 

(1) Total Return includes deductions for management and other expenses; it excludes deductions for sales loads and other charges. Returns are not annualized for periods less than one year.

 

Notes to Financial Statements

 

11


Table of Contents

 

Notes to Financial Statements

 

 

    As of the respective period end date:   For the respective period ended:
Division   Units
Outstanding
(000’s)
  Unit Value,
Lowest to Highest
  Net
Assets
(000’s)
  Dividend
Income
as a % of
Average
Net
Assets
  Expense Ratio,
Lowest to Highest
  Total Return
Lowest to Highest (1)

Focused Appreciation

           

Year Ended 12/31/09

  40,615   $1.845162 to $19.088595   $ 87,828   0.00%   0.10% to 0.60%    41.70%  to  42.47% 

Year Ended 12/31/08

  38,427   $1.300904 to $13.397864   $ 59,135   0.35%   0.10% to 0.60%   (40.34%) to (40.01%)

Year Ended 12/31/07

  31,243   $2.178331 to $22.333276   $ 81,274   0.04%   0.10% to 0.60%    26.14%  to  26.84% 

Year Ended 12/31/06

  24,065   $1.725184 to $17.607745   $ 48,864   0.42%   0.10% to 0.60%      4.31%  to    4.88% 

Year Ended 12/31/05

  16,935   $1.647885 to $16.788069   $ 33,152   0.20%   0.20% to 0.75%    16.19%  to  17.00% 

Large Cap Core Stock

           

Year Ended 12/31/09

  83,903   $1.754516 to $23.449551   $ 177,955   1.84%   0.10% to 0.60%    28.63%  to  29.33% 

Year Ended 12/31/08

  85,074   $1.362693 to $18.131181   $ 138,236   1.62%   0.10% to 0.60%   (39.08%) to (38.74%)

Year Ended 12/31/07

  84,079   $2.234518 to $29.597322   $ 227,645   1.15%   0.10% to 0.60%      8.52%  to    9.12% 

Year Ended 12/31/06

  85,650   $2.057029 to $27.123722   $ 212,813   1.06%   0.10% to 0.60%    10.89%  to  11.49% 

Year Ended 12/31/05

  84,325   $1.853229 to $24.327323   $ 189,924   1.27%   0.20% to 0.75%      7.71%  to    8.46% 

Index 500 Stock

           

Year Ended 12/31/09

  227,457   $2.275083 to $50.989051   $ 655,118   2.82%   0.10% to 0.60%    25.71%  to  26.40% 

Year Ended 12/31/08

  229,493   $1.808068 to $40.340674   $ 525,673   2.26%   0.10% to 0.60%   (37.29%) to (36.94%)

Year Ended 12/31/07

  228,156   $2.880226 to $63.972521   $ 836,968   1.62%   0.10% to 0.60%      4.85%  to    5.43% 

Year Ended 12/31/06

  229,219   $2.744303 to $60.678957   $ 805,187   1.57%   0.10% to 0.60%    14.99%  to  15.62% 

Year Ended 12/31/05

  227,890   $2.384129 to $52.479807   $ 702,148   1.72%   0.20% to 0.75%      4.00%  to    4.72% 

Domestic Equity

           

Year Ended 12/31/09

  90,798   $1.087659 to $11.370681   $ 119,939   3.49%   0.10% to 0.60%    28.81%  to  29.52% 

Year Ended 12/31/08

  88,942   $0.843525 to $  8.778981   $ 91,308   2.91%   0.10% to 0.60%   (38.83%) to (38.49%)

Year Ended 12/31/07

  86,124   $1.377664 to $14.273423   $ 145,614   1.44%   0.10% to 0.60%     (6.84%) to   (6.33%)

Year Ended 12/31/06

  75,043   $1.477394 to $15.237722   $ 136,676   0.00%   0.10% to 0.60%    15.93%  to  16.56% 

Year Ended 12/31/05

  60,708   $1.267542 to $13.072390   $ 95,767   1.87%   0.20% to 0.75%      7.30%  to    8.04% 

Equity Income

           

Year Ended 12/31/09

  37,014   $1.410806 to $14.595160   $ 61,572   2.93%   0.10% to 0.60%    23.90%  to  24.58% 

Year Ended 12/31/08

  34,561   $1.137525 to $11.715261   $ 46,210   0.03%   0.10% to 0.60%   (36.16%) to (35.81%)

Year Ended 12/31/07

  30,456   $1.780093 to $18.250431   $ 64,070   2.10%   0.10% to 0.60%      2.69%  to    3.26% 

Year Ended 12/31/06

  23,010   $1.731741 to $17.674755   $ 48,241   1.82%   0.10% to 0.60%    18.50%  to  19.15% 

Year Ended 12/31/05

  17,221   $1.456050 to $14.833915   $ 31,366   1.74%   0.20% to 0.75%      3.46%  to    4.19% 

Mid Cap Growth Stock

           

Year Ended 12/31/09

  135,424   $2.129518 to $57.953082   $ 348,854   0.28%   0.10% to 0.60%  

 31.37%  to  32.09% (2)

Year Ended 12/31/08

  137,949   $1.619377 to $43.872392   $ 269,129   0.30%   0.10% to 0.60%   (40.41%) to (40.08%)

Year Ended 12/31/07

  141,002   $2.714862 to $73.219863   $ 464,301   0.76%   0.10% to 0.60%    20.04%  to  20.70% 

Year Ended 12/31/06

  147,324   $2.259482 to $60.663705   $ 404,081   0.12%   0.10% to 0.60%      3.83%  to    4.40% 

Year Ended 12/31/05

  151,330   $2.173946 to $58.106257   $ 402,632   0.05%   0.20% to 0.75%      5.40%  to    6.14% 

Index 400 Stock

           

Year Ended 12/31/09

  84,846   $1.838809 to $20.535699   $ 177,545   1.82%   0.10% to 0.60%    36.25%  to  37.00% 

Year Ended 12/31/08

  87,209   $1.348229 to $14.989442   $ 134,400   1.54%   0.10% to 0.60%   (36.63%) to (36.28%)

Year Ended 12/31/07

  88,681   $2.125280 to $23.522236   $ 218,656   1.23%   0.10% to 0.60%      7.34%  to    7.93% 

Year Ended 12/31/06

  89,766   $1.978080 to $21.794434   $ 206,352   1.06%   0.10% to 0.60%      9.44%  to  10.04% 

Year Ended 12/31/05

  87,671   $1.793842 to $19.805364   $ 184,510   0.76%   0.20% to 0.75%    11.59%  to  12.37% 

Mid Cap Value

           

Year Ended 12/31/09

  18,679   $1.473346 to $15.242180   $ 31,825   1.20%   0.10% to 0.60%    22.56%  to  23.24% 

Year Ended 12/31/08

  18,377   $1.200893 to $12.367958   $ 25,466   0.00%   0.10% to 0.60%   (35.43%) to (35.07%)

Year Ended 12/31/07

  18,925   $1.857847 to $19.047672   $ 40,344   0.83%   0.10% to 0.60%     (0.71%) to   (0.16%)

Year Ended 12/31/06

  12,958   $1.869298 to $19.078717   $ 28,186   1.30%   0.10% to 0.60%    13.87%  to  14.49% 

Year Ended 12/31/05

  9,445   $1.635691 to $16.663892   $ 18,620   0.67%   0.20% to 0.75%      4.73%  to    5.46% 

 

(1) Total Return includes deductions for management and other expenses; it excludes deductions for sales loads and other charges. Returns are not annualized for periods less than one year.
(2) Total return reflects the effect of a one-time class action settlement received on June 18, 2009. Absent the payment, the returns would have ranged from 31.27% to 31.99% for the Mid Cap Growth Stock Division, from 31.66% to 32.39% for the International Equity Division and from 0.06% to 0.61% for the Money Market Division.

 

12

 

Notes to Financial Statements


Table of Contents

 

Notes to Financial Statements

 

 

    As of the respective period end date:   For the respective period ended:
Division   Units
Outstanding
(000’s)
  Unit Value,
Lowest to Highest
  Net
Assets
(000’s)
  Dividend
Income
as a % of
Average
Net
Assets
  Expense Ratio,
Lowest to Highest
  Total Return
Lowest to Highest (1)

Small Cap Growth Stock

           

Year Ended 12/31/09

  81,371   $1.842237 to $23.577314     $166,342   0.28%   0.10% to 0.60%    30.46%  to  31.17% 

Year Ended 12/31/08

  82,700   $1.410759 to $17.974245     $128,895   0.17%   0.10% to 0.60%   (44.18%) to (43.87%)

Year Ended 12/31/07

  82,192   $2.524707 to $32.021844     $231,752   0.08%   0.10% to 0.60%      8.94%  to    9.54% 

Year Ended 12/31/06

  84,660   $2.315230 to $29.232653     $220,095   0.00%   0.10% to 0.60%      6.10%  to    6.68% 

Year Ended 12/31/05

  84,275   $2.165726 to $27.401692     $207,501   0.00%   0.20% to 0.75%    10.41%  to  11.18% 

Small Cap Value

           

Year Ended 12/31/09

  58,899   $1.766442 to $18.466637     $122,050   0.85%   0.10% to 0.60%    27.48%  to  28.18% 

Year Ended 12/31/08

  59,740   $1.384260 to $14.406429     $  97,357   0.34%   0.10% to 0.60%   (28.53%) to (28.13%)

Year Ended 12/31/07

  58,487   $1.934849 to $20.045927     $135,847   0.41%   0.10% to 0.60%     (1.37%) to   (0.83%)

Year Ended 12/31/06

  54,770   $1.959847 to $20.213417     $131,093   0.23%   0.10% to 0.60%    15.92%  to  16.55% 

Year Ended 12/31/05

  48,270   $1.681621 to $17.342719     $  99,801   0.31%   0.20% to 0.75%      6.47%  to    7.21% 

International Growth

           

Year Ended 12/31/09

  47,784   $1.373759 to $  14.361577     $  76,761   0.66%   0.10% to 0.60%    22.49%  to  23.16% 

Year Ended 12/31/08

  46,945   $1.120404 to $  11.660588     $  61,590   1.52%   0.10% to 0.60%   (46.48%) to (46.19%)

Year Ended 12/31/07

  45,016   $2.091399 to $  21.668250     $110,759   0.81%   0.10% to 0.60%    12.00%  to  12.62% 

Year Ended 12/31/06

  36,920   $1.865431 to $  19.240066     $  81,194   0.20%   0.10% to 0.60%    20.81%  to  21.48% 

Year Ended 12/31/05

  27,233   $1.535755 to $  15.838526     $  49,444   1.23%   0.20% to 0.75%    17.18%  to  18.00% 

International Equity

           

Year Ended 12/31/09

  164,503   $2.536491 to $    3.803991     $489,245   4.66%   0.10% to 0.60%  

 32.38%  to  33.11% (2)

Year Ended 12/31/08

  163,327   $1.914107 to $    2.857743     $368,042   2.67%   0.10% to 0.60%   (44.09%) to (43.78%)

Year Ended 12/31/07

  163,444   $3.420279 to $    5.083451     $662,096   1.83%   0.10% to 0.60%    17.42%  to  18.06% 

Year Ended 12/31/06

  156,118   $2.910111 to $    4.305729     $541,364   1.70%   0.10% to 0.60%    30.18%  to  30.90% 

Year Ended 12/31/05

  148,008   $2.233185 to $    3.289423     $398,833   1.73%   0.20% to 0.75%    10.75%  to  11.52% 

Money Market

           

Year Ended 12/31/09

  96,331   $1.561917 to $  41.258586     $188,748   0.75%   0.10% to 0.60%  

   0.21%  to    0.76% (2)

Year Ended 12/31/08

  94,558   $1.557129 to $  40.947848     $177,934   2.65%   0.10% to 0.60%      2.20%  to    2.76% 

Year Ended 12/31/07

  77,291   $1.522145 to $  39.847990     $142,948   5.13%   0.10% to 0.60%      4.70%  to    5.28% 

Year Ended 12/31/06

  74,505   $1.452309 to $  37.848488   $ 131,778   4.74%   0.10% to 0.60%      4.29%  to    4.86% 

Year Ended 12/31/05

  70,482   $1.391250 to $  36.095241     $119,666   2.95%   0.20% to 0.75%      2.27%  to    2.98% 

Select Bond

           

Year Ended 12/31/09

  78,213   $2.206231 to $170.745431     $223,452   5.05%   0.10% to 0.60%      8.77%  to    9.37% 

Year Ended 12/31/08

  72,690   $2.026282 to $156.116892     $191,100   4.60%   0.10% to 0.60%      2.69%  to    3.26% 

Year Ended 12/31/07

  61,706   $1.971244 to $151.194364     $164,709   3.96%   0.10% to 0.60%      5.81%  to    6.39% 

Year Ended 12/31/06

  54,043   $1.861181 to $142.110273     $134,698   3.64%   0.10% to 0.60%      3.18%  to    3.74% 

Year Ended 12/31/05

  47,940   $1.802101 to $136.984725     $118,086   3.47%   0.20% to 0.75%      1.51%  to    2.22% 

High Yield Bond

           

Year Ended 12/31/09

  30,444   $2.334783 to $  30.094875     $  84,272   8.96%   0.10% to 0.60%    44.60%  to  45.39% 

Year Ended 12/31/08

  29,285   $1.613065 to $  20.699102     $  55,203   8.18%   0.10% to 0.60%   (21.78%) to (21.35%)

Year Ended 12/31/07

  29,659   $2.060165 to $  26.317469     $  72,398   6.14%   0.10% to 0.60%      1.82%  to    2.38% 

Year Ended 12/31/06

  28,367   $2.021433 to $  25.706496     $  68,410   6.61%   0.10% to 0.60%      9.18%  to    9.77% 

Year Ended 12/31/05

  27,480   $1.849698 to $  23.417544     $  61,087   6.61%   0.20% to 0.75%      0.69%  to    1.39% 

Balanced

           

Year Ended 12/31/09

  65,258   $2.295052 to $122.549243     $299,014   4.56%   0.10% to 0.60%    20.77%  to  21.43% 

Year Ended 12/31/08

  67,009   $1.898456 to $100.918470     $254,821   1.30%   0.10% to 0.60%   (23.15%) to (22.72%)

Year Ended 12/31/07

  66,343   $2.467848 to $130.596514     $339,847   3.04%   0.10% to 0.60%      5.57%  to    6.15% 

Year Ended 12/31/06

  67,095   $2.335417 to $123.031604     $327,176   2.81%   0.10% to 0.60%      9.82%  to  10.42% 

Year Ended 12/31/05

  67,338   $2.124518 to $111.421574     $304,390   2.61%   0.20% to 0.75%      2.88%  to    3.59% 

 

(1) Total Return includes deductions for management and other expenses; it excludes deductions for sales loads and other charges. Returns are not annualized for periods less than one year.
(2) Total return reflects the effect of a one-time class action settlement received on June 18, 2009. Absent the payment, the returns would have ranged from 31.27% to 31.99% for the Mid Cap Growth Stock Division, from 31.66% to 32.39% for the International Equity Division and from 0.06% to 0.61% for the Money Market Division.

 

Notes to Financial Statements

 

13


Table of Contents

 

Notes to Financial Statements

 

 

    As of the respective period end date:   For the respective period ended:
Division   Units
Outstanding
(000’s)
  Unit Value,
Lowest to Highest
  Net
Assets
(000’s)
  Dividend
Income
as a % of
Average
Net
Assets
  Expense Ratio,
Lowest to Highest
  Total Return
Lowest to Highest (1)

Asset Allocation

           

Year Ended 12/31/09

  23,519   $1.274289 to $  13.321541   $  37,345   3.04%   0.10% to 0.60%    26.40%  to  27.09% 

Year Ended 12/31/08

  23,518   $1.007179 to $  10.482012   $  28,949   2.95%   0.10% to 0.60%   (30.51%) to (30.13%)

Year Ended 12/31/07

  22,548   $1.447923 to $  15.001132   $  40,176   2.21%   0.10% to 0.60%      8.80%  to    9.40% 

Year Ended 12/31/06

  21,975   $1.329516 to $  13.712349   $  36,382   1.83%   0.10% to 0.60%      9.32%  to    9.91% 

Year Ended 12/31/05

  20,083   $1.209657 to $  12.475450   $  31,500   1.41%   0.20% to 0.75%      6.25%  to    6.99% 

Fidelity VIP Mid Cap

           

Year Ended 12/31/09

  40,262   $2.188843 to $  22.643898   $105,355   0.47%   0.10% to 0.60%    38.99%  to  39.75% 

Year Ended 12/31/08

  38,253   $1.573285 to $  16.202990   $  72,239   0.24%   0.10% to 0.60%   (39.94%) to (39.61%)

Year Ended 12/31/07

  35,107   $2.616815 to $  26.828755   $111,532   0.49%   0.10% to 0.60%    14.71%  to  15.34% 

Year Ended 12/31/06

  30,673   $2.279082 to $  23.260937   $  84,535   0.15%   0.10% to 0.60%    11.79%  to  12.40% 

Year Ended 12/31/05

  22,174   $2.031293 to $  20.694231   $  54,896   0.00%   0.20% to 0.75%    17.20%  to  18.02% 

Russell Multi-Style Equity

           

Year Ended 12/31/09

  155,703   $0.841815 to $    9.176223   $161,462   1.34%   0.10% to 0.60%    30.68%  to  31.40% 

Year Ended 12/31/08

  158,057   $0.643528 to $    6.983334   $128,007   1.44%   0.10% to 0.60%   (40.89%) to (40.56%)

Year Ended 12/31/07

  155,372   $1.087639 to $  11.749485   $205,482   0.97%   0.10% to 0.60%      9.76%  to  10.36% 

Year Ended 12/31/06

  150,286   $0.989999 to $  10.646608   $181,626   0.94%   0.10% to 0.60%    12.13%  to  12.75% 

Year Ended 12/31/05

  139,639   $0.876252 to $    9.442962   $150,906   1.05%   0.20% to 0.75%      6.53%  to    7.27% 

Russell Aggressive Equity

           

Year Ended 12/31/09

  49,083   $1.232123 to $13.775086   $  71,135   0.53%   0.10% to 0.60%    30.68%  to  31.39% 

Year Ended 12/31/08

  49,040   $0.941939 to $10.483725   $  54,462   0.87%   0.10% to 0.60%   (43.23%) to (42.92%)

Year Ended 12/31/07

  49,732   $1.657613 to $18.365962   $  98,737   0.37%   0.10% to 0.60%      2.85%  to    3.42% 

Year Ended 12/31/06

  49,892   $1.610065 to $17.758799   $  96,874   0.19%   0.10% to 0.60%    14.16%  to  14.79% 

Year Ended 12/31/05

  46,877   $1.399687 to $15.470599   $  80,521   0.18%   0.20% to 0.75%      5.62%  to    6.36% 

Russell Non-U.S.

           

Year Ended 12/31/09

  80,748   $1.233456 to $13.135524   $124,379   2.86%   0.10% to 0.60%    25.80%  to  26.49% 

Year Ended 12/31/08

  82,308   $0.979547 to $10.384851   $103,094   0.00%   0.10% to 0.60%   (42.73%) to (42.41%)

Year Ended 12/31/07

  83,679   $1.708615 to $18.032632   $180,770   2.59%   0.10% to 0.60%      9.52%  to  10.12% 

Year Ended 12/31/06

  80,347   $1.558635 to $16.375774   $158,005   2.54%   0.10% to 0.60%    22.97%  to  23.64% 

Year Ended 12/31/05

  71,637   $1.258058 to $13.244730   $114,343   1.59%   0.20% to 0.75%    12.90%  to  13.69% 

Russell Real Estate Securities

           

Year Ended 12/31/09

  39,114   $2.471078 to $25.765834   $113,878   4.65%   0.10% to 0.60%    28.24%  to  28.94% 

Year Ended 12/31/08

  37,643   $1.925035 to $19.982226   $  85,950   1.92%   0.10% to 0.60%   (37.03%) to (36.68%)

Year Ended 12/31/07

  36,447   $3.054156 to $31.559603   $131,195   2.29%   0.10% to 0.60%   (16.32%) to (15.86%)

Year Ended 12/31/06

  38,227   $3.646143 to $37.506853   $165,271   1.96%   0.10% to 0.60%    35.10%  to  35.84% 

Year Ended 12/31/05

  35,074   $2.678661 to $27.611672   $112,364   2.13%   0.20% to 0.75%    12.17%  to  12.96% 

Russell Core Bond

           

Year Ended 12/31/09

  33,064   $1.719005 to $17.948158   $86,412   4.70%   0.10% to 0.60%    15.18%  to  15.81% 

Year Ended 12/31/08

  31,488   $1.490991 to $15.497865   $64,747   4.06%   0.10% to 0.60%     (4.09%) to   (3.57%)

Year Ended 12/31/07

  27,869   $1.553099 to $16.070912   $71,236   5.27%   0.10% to 0.60%      6.66%  to    7.24% 

Year Ended 12/31/06

  24,720   $1.454770 to $14.985609   $61,015   4.53%   0.10% to 0.60%      3.15%  to    3.72% 

Year Ended 12/31/05

  21,286   $1.399759 to $14.448349   $53,033   3.62%   0.20% to 0.75%      1.31%  to    2.01% 

 

(1) Total Return includes deductions for management and other expenses; it excludes deductions for sales loads and other charges. Returns are not annualized for periods less than one year.

 

14

 

Notes to Financial Statements


Table of Contents

 

Report of Independent Registered Public Accounting Firm

 

 

LOGO

 

To The Northwestern Mutual Life Insurance Company and

Policy Owners of Northwestern Mutual Variable Life Account

 

In our opinion, the accompanying statements of assets and liabilities, the related statements of operations, and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of the Northwestern Mutual Variable Life Account and its Growth Stock Division, Focused Appreciation Division, Large Cap Core Stock Division, Index 500 Stock Division, Domestic Equity Division, Equity Income Division, Mid Cap Growth Stock Division, Index 400 Stock Division, Mid Cap Value Division, Small Cap Growth Stock Division, Small Cap Value Division, International Growth Division, International Equity Division, Money Market Division, Select Bond Division, High Yield Bond Division, Balanced Division, Asset Allocation Division, Fidelity VIP Mid Cap Division, Russell Multi-Style Equity Division, Russell Aggressive Equity Division, Russell Non-US Division, Russell Real Estate Securities Division, and Russell Core Bond Division at December 31, 2009, and the results of each of their operations, the changes in each of their net assets and their financial highlights for the periods presented, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of The Northwestern Mutual Life Insurance Company’s management; our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included direct confirmation of securities owned at December 31, 2009 with Northwestern Mutual Series Fund, Inc., Fidelity Variable Insurance Products Fund III and the Russell Investment Funds, provide a reasonable basis for our opinion.

 

LOGO

 

February 18, 2010

 

Report of Independent Registered Public Accounting Firm

 

15


Table of Contents

Annual Report December 31, 2009

 

Northwestern Mutual Variable Life Account II

 

Financial Statements

 

LOGO


Table of Contents

 

Northwestern Mutual Variable Life Account II Financial Statements

 

 

Table of Contents

 

Northwestern Mutual Variable Life Account II

  

Statements of Assets and Liabilities

   1

Statements of Operations

   4

Statements of Changes in Net Assets

   6

Notes to Financial Statements

   10

Report of Independent Registered Public Accounting Firm

   14


Table of Contents

 

Statements of Assets and Liabilities

 

 

Northwestern Mutual Variable Life Account II

December 31, 2009

(in thousands, except accumulation unit values)

 

      Growth Stock
Division
   Focused
Appreciation
Division
   Large Cap
Core Stock
Division
   Index 500
Stock
Division
   Domestic
Equity
Division
   Equity Income
Division
   Mid Cap
Growth
Stock
Division

Assets:

                    

Investments, at Value (1)(2)

                    

Northwestern Mutual Series Fund, Inc.

   $ 936    $ 3,454    $ 586    $ 2,807    $ 1,370    $ 1,223    $ 1,175

Fidelity Variable Insurance Products

                                  

Russell Investment Funds

                                  

Due from Northwestern Mutual Life Insurance Company

     2           2                    
                                                

Total Assets

     938      3,454      588      2,807      1,370      1,223      1,175
                                                

Liabilities:

                    

Due to Northwestern Mutual Life Insurance Company

          4                8      7      4
                                                

Total Liabilities

          4                8      7      4
                                                

Total Net Assets

   $ 938    $ 3,450    $ 588    $ 2,807    $ 1,362    $ 1,216    $ 1,171
                                                

Net Assets:

                    

Custom Variable Universal Life Policies Issued On or After January 31, 2007 (3)

                    

Policyowners’ Equity

   $ 716    $ 2,645    $ 528    $ 1,519    $ 1,317    $ 675    $ 464

Executive Variable Universal Life Policies Issued On or After January 31, 2007 (4)

                    

Policyowners’ Equity

     148      753      21      1,276      24      505      677

Survivorship Variable Universal Life Policies Issued On or After January 31, 2007 (5)

                    

Policyowners’ Equity

     74      52      39      12      21      36      30
                                                

Total Net Assets

   $ 938    $ 3,450    $ 588    $ 2,807    $ 1,362    $ 1,216    $ 1,171
                                                
                    

(1) Investments, at cost

   $ 869    $ 2,939    $ 546    $ 2,514    $ 1,305    $ 1,139    $ 1,138

(2) Shares Outstanding

     488      2,027      526      1,204      1,733      1,162      465

(3) Accumulation Unit Value

   $ 29.365924    $ 19.088595    $ 23.449551    $ 50.989051    $ 11.370681    $ 14.595160    $ 57.953082

Units Outstanding

     24      139      22      30      116      46      8

(4) Accumulation Unit Value

   $ 29.365924    $ 19.088595    $ 23.449551    $ 50.989051    $ 11.370681    $ 14.595160    $ 57.953082

Units Outstanding

     5      39      1      25      2      35      12

(5) Accumulation Unit Value

   $ 29.365924    $ 19.088595    $ 23.449551    $ 50.989051    $ 11.370681    $ 14.595160    $ 57.953082

Units Outstanding

     2      3      2           2      2      1

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

Statements of Assets and Liabilities

 

1


Table of Contents

 

Statements of Assets and Liabilities

 

 

Northwestern Mutual Variable Life Account II

December 31, 2009

(in thousands, except accumulation unit values)

 

      Index 400
Stock
Division
   Mid Cap
Value
Division
   Small Cap
Growth
Stock
Division
   Small Cap
Value
Division
   International
Growth
Division
   International
Equity
Division
   Money
Market
Division

Assets:

                    

Investments, at Value (1)(2)

                    

Northwestern Mutual Series Fund, Inc.

   $ 1,322    $ 434    $ 811    $ 1,434    $ 875    $ 3,805    $ 2,716

Fidelity Variable Insurance Products

                                  

Russell Investment Funds

                                  

Due from Northwestern Mutual Life Insurance Company

                                   4
                                                

Total Assets

     1,322      434      811      1,434      875      3,805      2,720
                                                

Liabilities:

                    

Due to Northwestern Mutual Life Insurance Company

     2           2      3      5      4     
                                                

Total Liabilities

     2           2      3      5      4     
                                                

Total Net Assets

   $ 1,320    $ 434    $ 809    $ 1,431    $ 870    $ 3,801    $ 2,720
                                                

Net Assets:

                    

Custom Variable Universal Life Policies Issued On or After January 31, 2007 (3)

                    

Policyowners’ Equity

   $ 666    $ 293    $ 675    $ 772    $ 803    $ 2,742    $ 1,390

Executive Variable Universal Life Policies Issued On or After January 31, 2007 (4)

                    

Policyowners’ Equity

     635      135      102      649      45      942      986

Survivorship Variable Universal Life Policies Issued On or After January 31, 2007 (5)

                    

Policyowners’ Equity

     19      6      32      10      22      117      344
                                                

Total Net Assets

   $ 1,320    $ 434    $ 809    $ 1,431    $ 870    $ 3,801    $ 2,720
                                                
                    

(1) Investments, at cost

   $ 1,268    $ 392    $ 751    $ 1,339    $ 818    $ 3,742    $ 2,716

(2) Shares Outstanding

     1,120      442      571      1,026      834      2,301      2,716

(3) Accumulation Unit Value

   $ 20.535699    $ 15.242180    $ 23.577314    $ 18.466637    $ 14.361577    $ 3.803991    $ 41.258586

Units Outstanding

     33      19      29      42      56      721      34

(4) Accumulation Unit Value

   $ 20.535699    $ 15.242180    $ 23.577314    $ 18.466637    $ 14.361577    $ 3.803991    $ 41.258586

Units Outstanding

     31      9      4      35      3      248      24

(5) Accumulation Unit Value

   $ 20.535699    $ 15.242180    $ 23.577314    $ 18.466637    $ 14.361577    $ 3.803991    $ 41.258586

Units Outstanding

     1           1      1      2      31      8

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

2

 

Statements of Assets and Liabilities


Table of Contents

 

Select Bond
Division
  High Yield
Bond
Division
  Balanced
Division
  Asset
Allocation
Division
  Fidelity VIP
Mid Cap
Division
  Russell
Multi-Style
Equity
Division
  Russell
Aggressive
Equity
Division
  Russell
Non-US
Division
  Russell
Real Estate
Securities
Division
  Russell
Core Bond
Division
                 
                 
$ 2,597   $ 1,016   $ 542   $ 254   $   $   $   $   $   $
                  1,370                    
                      988     418     875     1,057     729
                      3         1         1
                                                         
  2,597     1,016     542     254     1,370     991     418     876     1,057     730
                                                         
                 
  9                                    
                                                         
  9                                    
                                                         
$ 2,588   $ 1,016   $ 542   $ 254   $ 1,370   $ 991   $ 418   $ 876   $ 1,057   $ 730
                                                         
                 
                 
$ 2,070   $ 565   $ 284   $ 237   $ 1,169   $ 888   $ 379   $ 775   $ 978   $ 658
                 
  420     437     258     7     172     103     34     84     27     63
                 
  98     14         10     29         5     17     52     9
                                                         
$ 2,588   $ 1,016   $ 542   $ 254   $ 1,370   $ 991   $ 418   $ 876   $ 1,057   $ 730
                                                         
                 
$ 2,553   $ 913   $ 508   $ 238   $ 1,231   $ 951   $ 390   $ 838   $ 935   $ 714
  2,068     1,492     424     266     55     84     44     95     91     72
$ 170.745431   $ 30.094875   $ 122.549243   $ 13.321541   $ 22.643898   $ 9.176223   $ 13.775086   $ 13.135524   $ 25.765834   $ 17.948158
  12     19     2     18     52     96     27     59     38     37
$ 170.745431   $ 30.094875   $ 122.549243   $ 13.321541   $ 22.643898   $ 9.176223   $ 13.775086   $ 13.135524   $ 25.765834   $ 17.948158
  2     15     2     1     8     11     2     6     1     4
$ 170.745431   $ 30.094875   $ 122.549243   $ 13.321541   $ 22.643898   $ 9.176223   $ 13.775086   $ 13.135524   $ 25.765834   $ 17.948158
  1             1     1             1     2    

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

Statements of Assets and Liabilities

 

3


Table of Contents

 

Statements of Operations

 

 

Northwestern Mutual Variable Life Account II

For the Year Ended December 31, 2009

(in thousands)

 

      Growth
Stock
Division
    Focused
Appreciation
Division
    Large Cap
Core
Stock
Division
    Index 500
Stock
Division
 

Investment income:

        

Income:

        

Dividend income

   $ 8      $      $ 8      $ 58   
                                

Net investment income

     8               8        58   
                                

Realized gains (losses) on investments:

        

Realized gain (loss) on sale of fund shares

     (33     (525     (29     (171

Realized gain distributions

                          58   
                                

Realized gains (losses)

     (33     (525     (29     (113
                                

Change in unrealized appreciation/depreciation of investments

     241        1,221        138        654   
                                

Net increase (decrease) in net assets resulting from operations

   $ 216      $ 696      $ 117      $ 599   
                                
      International
Equity
Division
    Money
Market
Division
    Select
Bond
Division
    High Yield
Bond
Division
 

Investment income:

        

Income:

        

Dividend income

   $ 136      $ 18      $ 109      $ 60   
                                

Net investment income

     136        18        109        60   
                                

Realized gains (losses) on investments:

        

Realized gain (loss) on sale of fund shares

     (409            2        (17

Realized gain distributions

     60                        
                                

Realized gains (losses)

     (349            2        (17
                                

Change in unrealized appreciation/depreciation of investments

     1,131               49        207   
                                

Net increase (decrease) in net assets resulting from operations

   $ 918      $ 18      $ 160      $ 250   
                                

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

4

 

Statements of Operations


Table of Contents

 

Domestic
Equity
Division
    Equity
Income
Division
    Mid Cap
Growth
Stock
Division
    Index 400
Stock Division
    Mid Cap Value
Division
    Small Cap
Growth
Stock
Division
    Small Cap Value
Division
    International
Growth
Division
 
             
$ 34      $ 28      $ 3      $ 19      $ 4      $ 1      $ 10      $ 4   
                                                             
  34        28        3        19        4        1        10        4   
                                                             
             
  (80     (53     (135     (102     (13     (59     (107     (140
                1        34        3               40          
                                                             
  (80     (53     (134     (68     (10     (59     (67     (140
                                                             
  338        302        410        416        88        229        391        270   
                                                             
$ 292      $ 277      $ 279      $ 367      $ 82      $ 171      $ 334      $ 134   
                                                             
Balanced
Division
    Asset
Allocation
Division
    Fidelity VIP
Mid Cap
Division
    Russell
Multi-Style
Equity Division
    Russell
Aggressive
Equity Division
    Russell
Non-US
Division
    Russell
Real Estate
Securities Division
    Russell
Core Bond
Division
 
             
$ 20      $ 6      $ 5      $ 8      $ 1      $ 18      $ 30      $ 19   
                                                             
  20        6        5        8        1        18        30        19   
                                                             
             
  (36     (5     (28     (37     (22     (48     (46     (7
                6                                    6   
                                                             
  (36     (5     (22     (37     (22     (48     (46     (1
                                                             
  104        52        342        241        109        204        305        34   
                                                             
$ 88      $ 53      $ 325      $ 212      $ 88      $ 174      $ 289      $ 52   
                                                             

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

Statements of Operations

 

5


Table of Contents

 

Statements of Changes in Net Assets

 

 

Northwestern Mutual Variable Life Account II

(in thousands)

 

     Growth Stock Division     Focused Appreciation
Division (a)
 
      Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 

Operations:

        

Net investment income (loss)

   $ 8      $ 4      $      $ 5   

Net realized gains (losses)

     (33     14        (525     (31

Net change in unrealized appreciation/ depreciation

     241        (175     1,221        (722
                                

Net increase (decrease) in net assets resulting from operations

     216        (157     696        (748
                                

Policy Transactions:

        

Policyowners’ net payments

     339        246        1,495        548   

Policy loans, surrenders and death benefits

     (22     (2     (45       

Mortality and other (net)

     (89     (54     (224     (122

Transfers from other divisions

     1,516        685        8,233        4,185   

Transfers to other divisions

     (1,416     (484     (8,083     (2,714
                                

Net increase (decrease) in net assets resulting from policy transactions

     328        391        1,376        1,897   
                                

Net increase (decrease) in net assets

     544        234        2,072        1,149   

Net Assets:

        

Beginning of period

     394        160        1,378        229   
                                

End of period

   $ 938      $ 394      $ 3,450      $ 1,378   
                                

Units issued during the period

     80        35        621        260   

Units redeemed during the period

     (67     (22     (543     (168
                                

Net units issued (redeemed) during period

     13        13        78        92   
                                
     Mid Cap Growth
Stock Division
    Index 400
Stock Division
 
      Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 

Operations:

        

Net investment income (loss)

   $ 3      $ 2      $ 19      $ 13   

Net realized gains (losses)

     (134     74        (68     53   

Net change in unrealized appreciation/ depreciation

     410        (376     416        (359
                                

Net increase (decrease) in net assets resulting from operations

     279        (300     367        (293
                                

Policy Transactions:

        

Policyowners’ net payments

     223        310        249        238   

Policy loans, surrenders and death benefits

     (11     (1     (47       

Mortality and other (net)

     (75     (55     (86     (52

Transfers from other divisions

     6,221        2,917        5,945        3,278   

Transfers to other divisions

     (6,085     (2,417     (5,761     (2,698
                                

Net increase (decrease) in net assets resulting from policy transactions

     273        754        300        766   
                                

Net increase (decrease) in net assets

     552        454        667        473   

Net Assets:

        

Beginning of period

     619        165        653        180   
                                

End of period

   $ 1,171      $ 619      $ 1,320      $ 653   
                                

Units issued during the period

     137        57        385        189   

Units redeemed during the period

     (130     (46     (363     (154
                                

Net units issued (redeemed) during period

     7        11        22        35   
                                

 

(a) Division was renamed effective April 30, 2008. See note 1.

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

6

 

Statements of Changes in Net Assets


Table of Contents

 

Large Cap Core
Stock Division
    Index 500
Stock Division
    Domestic Equity
Division (a)
    Equity Income
Division (a)
 
Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 
             
$ 8      $ 4      $ 58      $ 23      $ 34      $ 15      $ 28      $   
  (29     (9     (113     (65     (80     16        (53     (24
  138        (99     654        (351     338        (249     302        (191
                                                             
  117        (104     599        (393     292        (218     277        (215
                                                             
             
  170        145        793        503        433        261        277        251   
  (16     (3     (78            (27     (11     (26     (2
  (56     (33     (175     (89     (125     (66     (68     (46
  702        420        11,001        5,095        1,311        805        4,885        3,255   
  (623     (240     (10,411     (4,472     (1,103     (464     (4,670     (2,927
                                                             
  177        289        1,130        1,037        489        525        398        531   
                                                             
  294        185        1,729        644        781        307        675        316   
             
  294        109        1,078        434        581        274        541        225   
                                                             
$ 588      $ 294      $ 2,807      $ 1,078      $ 1,362      $ 581      $ 1,216      $ 541   
                                                             
  45        28        294        114        199        100        429        233   
  (37     (14     (265     (95     (145     (53     (392     (200
                                                             
  8        14        29        19        54        47        37        33   
                                                             
Mid Cap Value
Division (a)
    Small Cap Growth
Stock Division
    Small Cap Value
Division (a)
    International
Growth Division
 
Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 
             
$ 4      $      $ 1      $      $ 10      $ 3      $ 4      $ 6   
  (10     (68     (59     31        (67     38        (140     (17
  88        12        229        (167     391        (286     270        (210
                                                             
  82        (56     171        (136     334        (245     134        (221
                                                             
             
  132        76        309        203        295        246        275        147   
  (30     (1     (25     (2     (50     (4     (28     (6
  (30     (17     (72     (40     (96     (57     (83     (66
  1,509        822        1,168        661        6,343        3,618        989        695   
  (1,466     (848     (1,058     (509     (6,169     (2,954     (846     (285
                                                             
  115        32        322        313        323        849        307        485   
                                                             
  197        (24     493        177        657        604        441        264   
             
  237        261        316        139        774        170        429        165   
                                                             
$ 434      $ 237      $ 809      $ 316      $ 1,431      $ 774      $ 870      $ 429   
                                                             
  133        62        81        38        451        227        104        55   
  (124     (56     (64     (25     (427     (181     (80     (25
                                                             
  9        6        17        13        24        46        24        30   
                                                             

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

Statements of Changes in Net Assets

 

7


Table of Contents

 

Statements of Changes in Net Assets

 

 

Northwestern Mutual Variable Life Account II

(in thousands)

 

     International Equity
Division (a)
    Money
Market Division
 
      Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 

Operations:

        

Net investment income (loss)

   $ 136      $ 58      $ 18      $ 54   

Net realized gains (losses)

     (349     24                 

Net change in unrealized appreciation/ depreciation

     1,131        (1,068              
                                

Net increase (decrease) in net assets resulting from operations

     918        (986     18        54   
                                

Policy Transactions:

        

Policyowners’ net payments

     1,062        990        6,827        10,226   

Policy loans, surrenders and death benefits

     (66            (809     (1

Mortality and other (net)

     (327     (248     (390     (254

Transfers from other divisions

     10,046        5,634        9,902        2,577   

Transfers to other divisions

     (9,750     (4,207     (14,445     (11,691
                                

Net increase (decrease) in net assets resulting from policy transactions

     965        2,169        1,085        857   
                                

Net increase (decrease) in net assets

     1,883        1,183        1,103        911   

Net Assets:

        

Beginning of period

     1,918        735        1,617        706   
                                

End of period

   $ 3,801      $ 1,918      $ 2,720      $ 1,617   
                                

Units issued during the period

     3,660        1,835        445        362   

Units redeemed during the period

     (3,331     (1,308     (418     (341
                                

Net units issued (redeemed) during period

     329        527        27        21   
                                
     Fidelity VIP Mid Cap
Division
    Russell Multi-Style
Equity Division
 
      Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 

Operations:

        

Net investment income (loss)

   $ 5      $ 1      $ 8      $ 5   

Net realized gains (losses)

     (22     20        (37     (5

Net change in unrealized appreciation/ depreciation

     342        (206     241        (203
                                

Net increase (decrease) in net assets resulting from operations

     325        (185     212        (203
                                

Policy Transactions:

        

Policyowners’ net payments

     516        280        276        168   

Policy loans, surrenders and death benefits

     (27     (5     (8     (5

Mortality and other (net)

     (113     (56     (90     (56

Transfers from other divisions

     1,836        584        1,224        933   

Transfers to other divisions

     (1,645     (333     (1,047     (609
                                

Net increase (decrease) in net assets resulting from policy transactions

     567        470        355        431   
                                

Net increase (decrease) in net assets

     892        285        567        228   

Net Assets:

        

Beginning of period

     478        193        424        196   
                                

End of period

   $ 1,370      $ 478      $ 991      $ 424   
                                

Units issued during the period

     133        42        214        121   

Units redeemed during the period

     (101     (20     (167     (78
                                

Net units issued (redeemed) during period

     32        22        47        43   
                                

 

(a) Division was renamed effective April 30, 2008. See note 1.

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

8

 

Statements of Changes in Net Assets


Table of Contents

 

Select Bond
Division
    High Yield
Bond Division
    Balanced
Division
    Asset Allocation
Division
 
Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 
             
$ 109      $ 36      $ 60      $ 32      $ 20      $ 2      $ 6      $ 2   
  2        (1     (17     (18     (36     34        (5     5   
  49        (9     207        (104     104        (70     52        (36
                                                             
  160        26        250        (90     88        (34     53        (29
                                                             
             
  972        481        102        117        195        60        67        79   
  (95     (5     (13     (3     (14            (2       
  (212     (111     (46     (24     (40     (20     (18     (10
  3,833        1,318        3,897        1,782        1,609        417        169        124   
  (3,220     (813     (3,575     (1,431     (1,463     (287     (127     (62
                                                             
  1,278        870        365        441        287        170        89        131   
                                                             
  1,438        896        615        351        375        136        142        102   
             
  1,150        254        401        50        167        31        112        10   
                                                             
$ 2,588      $ 1,150      $ 1,016      $ 401      $ 542      $ 167      $ 254      $ 112   
                                                             
  30        13        161        82        16        4        23        15   
  (23     (7     (146     (65     (14     (3     (13     (6
                                                             
  7        6        15        17        2        1        10        9   
                                                             
Russell Aggressive
Equity Division
    Russell
Non-US Division
    Russell Real Estate
Securities Division
    Russell Core
Bond Division
 
Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
    Year Ended
December 31,
2009
    Year Ended
December 31,
2008
 
             
$ 1      $ 2      $ 18      $      $ 30      $ 7      $ 19      $ 8   
  (22     (30     (48     (52     (46     (76     (1     3   
  109        (74     204        (147     305        (89     34        (18
                                                             
  88        (102     174        (199     289        (158     52        (7
                                                             
             
  118        94        268        245        313        212        127        101   
  (4            (42     (1     (17     (5     (12     (1
  (37     (22     (77     (49     (93     (58     (45     (28
  447        486        1,391        1,276        1,101        601        1,082        918   
  (401     (336     (1,262     (1,053     (936     (538     (799     (714
                                                             
  123        222        278        418        368        212        353        276   
                                                             
  211        120        452        219        657        54        405        269   
             
  207        87        424        205        400        346        325        56   
                                                             
$ 418      $ 207      $ 876      $ 424      $ 1,057      $ 400      $ 730      $ 325   
                                                             
  51        43        157        113        77        31        74        67   
  (42     (27     (132     (83     (56     (22     (54     (49
                                                             
  9        16        25        30        21        9        20        18   
                                                             

 

 

The Accompanying Notes are an Integral Part of the Financial Statements.

 

Statements of Changes in Net Assets

 

9


Table of Contents

 

Notes to Financial Statements

 

 

Northwestern Mutual Variable Life Account II

December 31, 2009

 

1. Organization — Northwestern Mutual Variable Life Account II (“the Account”) is registered as a unit investment trust under the Investment Company Act of 1940 and is a segregated asset account of The Northwestern Mutual Life Insurance Company (“Northwestern Mutual”) used to fund variable life insurance policies. The Account began operations on January 31, 2007.

 

All assets of each Division of the Account are invested in shares of the corresponding Portfolio of Northwestern Mutual Series Fund, Inc., Fidelity Variable Insurance Products and the Russell Investment Funds (collectively known as “the Funds”). The Funds are open-end investment companies registered under the Investment Company Act of 1940.

 

Effective April 30, 2008, the following Divisions of the Account were renamed:

 

Old Name

 

New Name

Janus Capital Appreciation Division

  Focused Appreciation Division

Capital Guardian Domestic Equity Division

  Domestic Equity Division

T. Rowe Price Equity Income Division

  Equity Income Division

AllianceBernstein Mid Cap Value Division

  Mid Cap Value Division

T. Rowe Price Small Cap Value Division

  Small Cap Value Division

Franklin Templeton International Equity Division

  International Equity Division

 

2. Significant Accounting Policies

 

  A. Use of Estimates — The preparation of the financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates.

 

  B. Investment Valuation — The shares are valued at the Funds’ offering and redemption prices per share. As of December 31, 2009, all of the Account’s investments are identified as Level 1 securities for valuation purposes under the Fair Value Measurements and Disclosures Topic of the FASB Accounting Standards Codification. Level 1 securities are valued at fair value as determined by unadjusted quoted prices in active markets for identical securities.

 

  C. Investment Income, Securities Transactions and Policy Dividends — Transactions in the Funds’ shares are accounted for on the trade date. The basis for determining cost on sale of the Funds’ shares is identified cost. Dividend income and distributions of net realized gains from the Funds are recorded on the ex–date of the dividends. Dividends and distributions received are reinvested in additional shares of the respective portfolios of the Funds. The policies are eligible to receive policy dividends from Northwestern Mutual. Any policy dividends reinvested in the Account are reflected in Policyowners’ net payments in the accompanying financial statements.

 

  D. Taxes — Northwestern Mutual is taxed as a “life insurance company” under the Internal Revenue Code. The variable life insurance policies, which are funded in the Account, are taxed as part of the operations of Northwestern Mutual. Currently, there is no charge being made against the assets of the Account for federal income taxes, but Northwestern Mutual reserves the right to charge for taxes in the future.

 

3. Purchases and Sales of Investments — Purchases and sales of the Funds’ shares for the year ended December 31, 2009 were as follows: (in thousands)

 

Division

   Purchases    Sales

Growth Stock

   $ 468    $ 135

Focused Appreciation

     1,703      324

Large Cap Core Stock

     286      103

Index 500 Stock

     1,534      290

Domestic Equity

     715      184

Equity Income

     530      96

Mid Cap Growth Stock

     378      98

Index 400 Stock

     502      147

Mid Cap Value

     186      62

Small Cap Growth Stock

     436      110

Small Cap Value

     536      158

International Growth

     436      121

International Equity

     1,623      456

Money Market

     7,406      6,306

Select Bond

     1,718      322

High Yield Bond

     495      70

Balanced

     377      69

Asset Allocation

     115      20

Fidelity VIP Mid Cap

     731      153

Russell Multi-Style Equity

     479      118

Russell Aggressive Equity

     172      47

Russell Non-U.S.

     425      129

Russell Real Estate Securities

     534      135

Russell Core Bond

     438      60

 

4. Expenses and Related Party Transactions — A deduction for mortality and expense risks is determined monthly and paid to Northwestern Mutual. The mortality

 

10

 

Notes to Financial Statements


Table of Contents

 

Notes to Financial Statements

 

 

risk is that insureds may not live as long as estimated. The expense risk is that expenses of issuing and administering the policies may exceed the estimated costs.

 

A deduction for the mortality and expense risks for Custom Variable Universal Life policies is determined at an annual rate of 0.35% of the amount invested in the Account for the Policy for the first ten Policy years, 0.20% for the next ten Policy years and 0.05% thereafter. A deduction for the mortality and expense risks for Executive Variable Universal Life policies is determined at an annual rate of 0.20% of the amounts invested in the Account for the Policy for the first ten Policy years, and 0.10% thereafter. A deduction for the mortality and expense risks for Survivorship Variable Universal Life Policies is determined at an annual rate of 0.05% of the amount invested in the Account for the Policy. These charges are reflected as a reduction in units and are included in Mortality and Other in the accompanying financial statements.

 

Additional mortality costs are determined monthly and are paid to Northwestern Mutual to cover the cost of providing insurance protection for the first ten Policy years on all Survivorship Variable Universal Life policies based on the age of the insured individuals at the time the policy is issued.

 

Certain deductions are also made from the annual, single or other premiums before amounts are allocated to the Account. These deductions are for sales load, administrative expenses and taxes.

 

5. Subsequent Events

Management has evaluated events subsequent to December 31, 2009 through February 18, 2010, the date these financial statements were available to be issued. Based on this evaluation, no events have occurred subsequent to December 31, 2009 that require disclosure or adjustment to the financial statements at that date or for the period then ended.

 

6. Financial Highlights

(For a unit outstanding during the period)

 

     As of the respective period end date:    For the respective period ended:
Division    Units
Outstanding
(000’s)
   Unit Value    Net
Assets
(000’s)
   Dividend
Income
as a % of
Average
Net
Assets
    Expense Ratio,
Lowest to Highest
   Total
Return (1)

Growth Stock

                

Year Ended 12/31/09

   31    $29.365924    $ 938    1.18   0.05% to 0.35%     37.17% 

Year Ended 12/31/08

   18    $21.408736    $ 394    1.25   0.05% to 0.35%    (38.86%)

Period Ended 12/31/07

   5    $35.015115    $ 160    0.56   0.05% to 0.35%       6.96% 

Focused Appreciation

                

Year Ended 12/31/09

   181    $19.088595    $ 3,450    0.00   0.05% to 0.35%     42.47% 

Year Ended 12/31/08

   103    $13.397864    $ 1,378    0.44   0.05% to 0.35%    (40.01%)

Period Ended 12/31/07

   11    $22.333276    $ 229    0.03   0.05% to 0.35%     24.83% 

Large Cap Core Stock

                

Year Ended 12/31/09

   25    $23.449551    $ 588    1.89   0.05% to 0.35%     29.33% 

Year Ended 12/31/08

   17    $18.131181    $ 294    1.79   0.05% to 0.35%    (38.74%)

Period Ended 12/31/07

   3    $29.597322    $ 109    0.68   0.05% to 0.35%       7.29% 

Index 500 Stock

                

Year Ended 12/31/09

   55    $50.989051    $ 2,807    2.95   0.05% to 0.35%     26.40% 

Year Ended 12/31/08

   26    $40.340674    $ 1,078    2.36   0.05% to 0.35%    (36.94%)

Period Ended 12/31/07

   7    $63.972521    $ 434    0.79   0.05% to 0.35%       3.90% 

Domestic Equity

                

Year Ended 12/31/09

   120    $11.370681    $ 1,362    3.63   0.05% to 0.35%     29.52% 

Year Ended 12/31/08

   66    $  8.778981    $ 581    3.27   0.05% to 0.35%    (38.49%)

Period Ended 12/31/07

   19    $14.273423    $ 274    1.30   0.05% to 0.35%       (7.25%) 

Equity Income

                

Year Ended 12/31/09

   83    $14.595160    $ 1,216    3.12   0.05% to 0.35%     24.58% 

Year Ended 12/31/08

   46    $11.715261    $ 541    0.03   0.05% to 0.35%    (35.81%)

Period Ended 12/31/07

   13    $18.250431    $ 225    3.74   0.05% to 0.35%       1.79% 

 

(1) Total Return includes deductions for management and other expenses; it excludes deductions for sales loads and other charges. Returns are not annualized for periods less than one year.

 

Notes to Financial Statements

 

11


Table of Contents

 

Notes to Financial Statements

 

 

     As of the respective period end date:    For the respective period ended:
Division    Units
Outstanding
(000’s)
   Unit Value    Net
Assets
(000’s)
   Dividend
Income
as a % of
Average
Net
Assets
    Expense Ratio,
Lowest to Highest
   Total
Return (1)

Mid Cap Growth Stock

                

Year Ended 12/31/09

   21    $57.953082    $ 1,171    0.28   0.05% to 0.35%   

 32.09% (2)

Year Ended 12/31/08

   14    $43.872392    $ 619    0.36   0.05% to 0.35%    (40.08%)

Period Ended 12/31/07

   3    $73.219863    $ 165    0.70   0.05% to 0.35%     16.04% 

Index 400 Stock

                

Year Ended 12/31/09

   65    $  20.535699    $ 1,320    1.86   0.05% to 0.35%     37.00% 

Year Ended 12/31/08

   43    $  14.989442    $ 653    1.84   0.05% to 0.35%    (36.28%)

Period Ended 12/31/07

   8    $  23.522236    $ 180    1.15   0.05% to 0.35%       4.18% 

Mid Cap Value

                

Year Ended 12/31/09

   28    $  15.242180    $ 434    1.23   0.05% to 0.35%     23.24% 

Year Ended 12/31/08

   19    $  12.367958    $ 237    0.00   0.05% to 0.35%    (35.07%)

Period Ended 12/31/07

   13    $  19.047672    $ 261    2.24   0.05% to 0.35%       (2.40%) 

Small Cap Growth Stock

                

Year Ended 12/31/09

   34    $  23.577314    $ 809    0.30   0.05% to 0.35%     31.17% 

Year Ended 12/31/08

   17    $  17.974245    $ 316    0.20   0.05% to 0.35%    (43.87%)

Period Ended 12/31/07

   4    $  32.021844    $ 139    0.05   0.05% to 0.35%       7.25% 

Small Cap Value

                

Year Ended 12/31/09

   78    $  18.466637    $ 1,431    0.88   0.05% to 0.35%     28.18% 

Year Ended 12/31/08

   54    $  14.406429    $ 774    0.41   0.05% to 0.35%    (28.13%)

Period Ended 12/31/07

   8    $  20.045927    $ 170    0.44   0.05% to 0.35%       (3.25%) 

International Growth

                

Year Ended 12/31/09

   61    $  14.361577    $ 870    0.67   0.05% to 0.35%     23.16% 

Year Ended 12/31/08

   37    $  11.660588    $ 429    1.92   0.05% to 0.35%    (46.19%)

Period Ended 12/31/07

   7    $  21.668250    $ 165    0.80   0.05% to 0.35%     11.73% 

International Equity

                

Year Ended 12/31/09

   1,000    $    3.803991    $ 3,801    4.86   0.05% to 0.35%   

 33.11% (2)

Year Ended 12/31/08

   671    $    2.857743    $ 1,918    3.21   0.05% to 0.35%    (43.78%)

Period Ended 12/31/07

   144    $    5.083451    $ 735    1.28   0.05% to 0.35%     16.27% 

Money Market

                

Year Ended 12/31/09

   66    $  41.258586    $ 2,720    0.70   0.05% to 0.35%   

   0.76% (2)

Year Ended 12/31/08

   39    $  40.947848    $ 1,617    2.64   0.05% to 0.35%       2.76% 

Period Ended 12/31/07

   18    $  39.847990    $ 706    4.37   0.05% to 0.35%       4.83% 

Select Bond

                

Year Ended 12/31/09

   15    $170.745431    $ 2,588    5.68   0.05% to 0.35%       9.37% 

Year Ended 12/31/08

   8    $156.116892    $ 1,150    4.95   0.05% to 0.35%       3.26% 

Period Ended 12/31/07

   2    $151.194364    $ 254    2.93   0.05% to 0.35%       6.30% 

High Yield Bond

                

Year Ended 12/31/09

   34    $  30.094875    $ 1,016    8.52   0.05% to 0.35%     45.39% 

Year Ended 12/31/08

   19    $  20.699102    $ 401    9.45   0.05% to 0.35%    (21.35%)

Period Ended 12/31/07

   2    $  26.317469    $ 50    3.22   0.05% to 0.35%       1.55% 

Balanced

                

Year Ended 12/31/09

   4    $122.549243    $ 542    5.28   0.05% to 0.35%     21.43% 

Year Ended 12/31/08

   2    $100.918470    $ 167    1.48   0.05% to 0.35%    (22.72%)

Period Ended 12/31/07

   1    $130.596514    $ 31    3.37   0.05% to 0.35%       5.24% 

Asset Allocation

                

Year Ended 12/31/09

   20    $  13.321541    $ 254    3.15   0.05% to 0.35%     27.09% 

Year Ended 12/31/08

   10    $  10.482012    $ 112    2.90   0.05% to 0.35%    (30.13%)

Period Ended 12/31/07

   1    $  15.001132    $ 10    1.00   0.05% to 0.35%       8.25% 

 

(1) Total Return includes deductions for management and other expenses; it excludes deductions for sales loads and other charges. Returns are not annualized for periods less than one year.
(2) Total return reflects the effect of a one-time class action settlement received on June 18, 2009. Absent the payment, the returns would have been 31.99% for the Mid Cap Growth Stock Division, 32.39% for the International Equity Division and 0.61% for the Money Market Division.

 

12

 

Notes to Financial Statements


Table of Contents

 

Notes to Financial Statements

 

 

     As of the respective period end date:    For the respective period ended:
Division    Units
Outstanding
(000’s)
   Unit Value    Net
Assets
(000’s)
   Dividend
Income
as a % of
Average
Net
Assets
    Expense Ratio,
Lowest to Highest
   Total
Return (1)

Fidelity VIP Mid Cap

                

Year Ended 12/31/09

   61    $  22.643898    $ 1,370    0.54   0.05% to 0.35%     39.75% 

Year Ended 12/31/08

   29    $  16.202990    $ 478    0.26   0.05% to 0.35%    (39.61%)

Period Ended 12/31/07

   7    $  26.828755    $ 193    0.61   0.05% to 0.35%     13.55% 

Russell Multi-Style Equity

                

Year Ended 12/31/09

   107    $    9.176223    $ 991    1.17   0.05% to 0.35%     31.40% 

Year Ended 12/31/08

   60    $    6.983334    $ 424    1.27   0.05% to 0.35%    (40.56%)

Period Ended 12/31/07

   17    $  11.749485    $ 196    0.66   0.05% to 0.35%       8.54% 

Russell Aggressive Equity

                

Year Ended 12/31/09

   29    $13.775086    $ 418    0.50   0.05% to 0.35%     31.39% 

Year Ended 12/31/08

   20    $10.483725    $ 207    1.09   0.05% to 0.35%    (42.92%)

Period Ended 12/31/07

   4    $18.365962    $ 87    0.38   0.05% to 0.35%       1.32% 

Russell Non-U.S.

                

Year Ended 12/31/09

   66    $13.135524    $ 876    2.83   0.05% to 0.35%     26.49% 

Year Ended 12/31/08

   41    $10.384851    $ 424    0.00   0.05% to 0.35%    (42.41%)

Period Ended 12/31/07

   11    $18.032632    $ 205    4.62   0.05% to 0.35%       9.17% 

Russell Real Estate Securities

                

Year Ended 12/31/09

   41    $25.765834    $ 1,057    4.34   0.05% to 0.35%     28.94% 

Year Ended 12/31/08

   20    $19.982226    $ 400    1.85   0.05% to 0.35%    (36.68%)

Period Ended 12/31/07

   11    $31.559603    $ 346    3.89   0.05% to 0.35%    (22.64%)

Russell Core Bond

                

Year Ended 12/31/09

   41    $17.948158    $ 730    4.73   0.05% to 0.35%     15.81% 

Year Ended 12/31/08

   21    $15.497865    $ 325    3.63   0.05% to 0.35%      (3.57%)

Period Ended 12/31/07

   3    $16.070912    $ 56    6.26   0.05% to 0.35%       7.35% 

 

(1) Total Return includes deductions for management and other expenses; it excludes deductions for sales loads and other charges. Returns are not annualized for periods less than one year.

 

Notes to Financial Statements

 

13


Table of Contents

 

Report of Independent Registered Public Accounting Firm

 

 

LOGO

 

To The Northwestern Mutual Life Insurance Company and

Policy Owners of Northwestern Mutual Variable Life Account II

 

In our opinion, the accompanying statements of assets and liabilities, the related statements of operations, and of changes in net assets and the financial highlights present fairly, in all material respects, the financial position of the Northwestern Mutual Variable Life Account II and its Growth Stock Division, Focused Appreciation Division, Large Cap Core Stock Division, Index 500 Stock Division, Domestic Equity Division, Equity Income Division, Mid Cap Growth Stock Division, Index 400 Stock Division, Mid Cap Value Division, Small Cap Growth Stock Division, Small Cap Value Division, International Growth Division, International Equity Division, Money Market Division, Select Bond Division, High Yield Bond Division, Balanced Division, Asset Allocation Division, Fidelity VIP Mid Cap Division, Russell Multi-Style Equity Division, Russell Aggressive Equity Division, Russell Non-US Division, Russell Real Estate Securities Division, and Russell Core Bond Division at December 31, 2009, and the results of each of their operations, the changes in each of their net assets and their financial highlights for the periods presented, in conformity with accounting principles generally accepted in the United States of America. These financial statements and financial highlights (hereafter referred to as “financial statements”) are the responsibility of The Northwestern Mutual Life Insurance Company’s management; our responsibility is to express an opinion on these financial statements based on our audits. We conducted our audits of these financial statements in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by management, and evaluating the overall financial statement presentation. We believe that our audits, which included direct confirmation of securities owned at December 31, 2009 with Northwestern Mutual Series Fund, Inc., Fidelity Variable Insurance Products Fund III and the Russell Investment Funds, provide a reasonable basis for our opinion.

 

LOGO

 

February 18, 2010

 

14

 

Report of Independent Registered Public Accounting Firm


Table of Contents

LOGO

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