0000931763-01-501842.txt : 20011010
0000931763-01-501842.hdr.sgml : 20011010
ACCESSION NUMBER: 0000931763-01-501842
CONFORMED SUBMISSION TYPE: N-30D
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20010630
FILED AS OF DATE: 20011005
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: CANADA LIFE OF AMERICA VARIABLE ANNUITY ACCOUNT 2
CENTRAL INDEX KEY: 0000895360
STANDARD INDUSTRIAL CLASSIFICATION: []
IRS NUMBER: 382816473
STATE OF INCORPORATION: MI
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: N-30D
SEC ACT: 1940 Act
SEC FILE NUMBER: 811-07350
FILM NUMBER: 1753197
BUSINESS ADDRESS:
STREET 1: 330 UNIVERSITY AVENUE
STREET 2: TORONTO ONTARIO M5G 1R8
BUSINESS PHONE: 4165971456
MAIL ADDRESS:
STREET 1: 6201 POWERS FERRY ROAD, NW
CITY: ATLANTA
STATE: GA
ZIP: 30339
N-30D
1
dn30d.txt
VARIABLE ANNUITY ACCOUNT II
CANADA LIFE
RONALD E. BEETTAM, F.S.A., F.C.I.A.
President
Canada Life Insurance Company
of America
P.O. Box 105662
Atlanta, GA 30348-5662
(770) 953-1959, x2861
(800) 905-1959
FAX: (888) 670-4836
August, 2001
Dear Trillium(R) Policyowner:
Enclosed is the Trillium Semi-Annual Report for the period ending June 30, 2001.
We encourage you to review this information and to refer to it as needed
throughout the year.
Please call your Registered Representative or Canada Life if you have any
questions.
Thank you for selecting Trillium for your financial needs.
Sincerely,
Ronald E. Beettam
Encl.
6201 Powers Ferry Road, N.W. . Atlanta, Georgia 30339
TRILLIUM(R)
A Variable Annuity
[LOGO] CANADA LIFE
INSURANCE COMPANY OF AMERICA
P.O. Box 105662
Atlanta, GA 30348-5662
(800) 905-1959
ADDITIONAL PREMIUM PAYMENT FORM
Please complete the following information:
OWNER: ________________________ AMOUNT OF PREMIUM PAYMENT:
ANNUITANT: ____________________ $____________
POLICY NO.: ___________________
OWNER'S SSN/TIN:_______________ IF YOU ARE CHANGING ALLOCATION
PLEASE COMPLETE THE FOLLOWING:
________ THIS PAYMENT ONLY
________ THIS PAYMENT AND ALL FUTURE PYMTS
________ RE-ALLOCATE ALL CURRENT ASSETS
CASH MGMT (21) ____% INCOME (22) ____% SMALL-CAP VALUE (44) ____%
BOND (23) ____% COM STOCK (24) ____% LARGE-CAP VALUE (45) ____%
CAPITAL (25) ____% INTERNATIONAL (26) ____% LARGE-CAP GROWTH (281) ____%
COMM & INFO (27) ____% GBL GROWTH OPP (28) ____%
GBL SMLR CO (29) ____% FRONTIER (41) ____%
HIGH YLD BOND (42) ____% GLOBAL TECH (43) ____%
-------------------------------------------------------------------------------------------------
Fixed Account Options*
___% 1 Yr. (201) ___% 3 Yr. (203) ___% 5 Yr. (205) ___% 7 Yr. (207) ___% 10 Yr. (210)
*The Fixed Accounts and/or the Guarantee Periods may not be
available in all states.
-------------------------------------------------------------------------------------------------
Total allocation must equal 100%
OWNER'S SIGNATURE ___________ DATE _______________
JOINT OWNER'S SIGNATURE ___________ DATE _______________
PLEASE MAKE CHECKS PAYABLE TO CANADA LIFE INSURANCE COMPANY OF AMERICA
INFORMATION FOR QUALIFIED POLICY CONTRIBUTIONS
(THIS SECTION MUST BE COMPLETED)
IS THIS A ROLLOVER? _____YES _____NO
IF YES, WHAT TYPE? _________________ PLEASE NOTE: CONTRIBUTIONS FOR PRIOR
TAX YEAR CANNOT BE MADE
CONTRIBUTION $_________ FOR ________ AFTER APRIL 15TH OF THE
CURRENT TAX YEAR.
CONTRIBUTION $_________ FOR ________
PLEASE DIRECT ANY QUESTIONS REGARDING YOUR POLICY TO YOUR REGISTERED
REPRESENTATIVE OR TO OUR VARIABLE ANNUITY DEPARTMENT AT (800) 905-1959.
Our Variable Annuity Administrators can not advise you on the suitability of
your payment. Please contact your Registered Representative to discuss
suitability issues prior to submitting your additional premium payment.
Variable Annuities are issued by Canada Life Insurance Company of America and
offered through its subsidiary,
Canada Life of America Financial Services, Inc. (member NASD).
Trillium A Variable Annuity
VARIABLE ACCOUNT PERFORMANCE
Average Annual Total Returns for Periods Ended June 30, 2001
Assuming Contract Continues
Year- Since Inception
to-Date* 1 Year 3 Year 5 Year Inception Date
---------------------------------------------------------------------------------------------------------------------------
Seligman Communications and Information Portfolio 12.01% -32.32% 15.62% 18.44% 18.70% 10/11/94
Seligman Global Technology Portfolio -12.95 -37.7 16.4 18.56 17.53 05/01/96
Seligman Frontier Portfolio -3.72 -22.7 -6.1 0.72 8.41 10/11/94
Seligman Small-Cap Value Portfolio 11.1 37.04 20.48 -- 15.92 05/01/98
Seligman Global Smaller Companies Portfolio -8.79 -24.39 -4.02 0.35 5.61 10/11/94
Seligman Capital Portfolio -5.71 -21.07 17.52 16.91 15.35 05/03/93
Seligman Large-Cap Growth Portfolio -11.42 -32.7 -- -- -5.59 05/01/99
Seligman Global Growth Portfolio -13.93 -25.97 2.81 6.99 6.73 05/01/96
Seligman Large-Cap Value Portfolio -2.86 28.28 4.85 -- 4.24 05/01/98
Seligman Common Stock Portfolio -6.3 -16.57 0.13 7.5 9.73 05/03/93
Seligman International Growth Portfolio -17.69 -27.51 -12.69 -3.47 0.95 05/03/93
Seligman Income Portfolio -1.13 -5.53 -0.72 3.5 3.95 05/03/93
Seligman High-Yield Bond Portfolio -8.11 -15.24 -8.56 -0.42 1.42 05/01/95
Seligman Bond Portfolio 1.9 7.71 2.56 4.22 3.78 05/03/93
Seligman Cash Management Portfolio Current Yield 3.68%+ 1.73 4.36 4.04 3.96 3.41 05/03/93
VARIABLE ACCOUNT 2 PERFORMANCE
Year- Since Inception
to-Date* 1 Year 3 Year 5 Year Inception Date
---------------------------------------------------------------------------------------------------------------------------
Seligman Communications and Information Portfolio 6.61% -37.72% 14.49% 18.16% 18.60% 10/11/94
Seligman Global Technology Portfolio -18.35 -43.1 15.29 18.29 17.27 05/01/96
Seligman Frontier Portfolio -9.12 -28.1 -7.83 0.19 8.24 10/11/94
Seligman Small-Cap Value Portfolio 5.7 31.64 19.44 -- 14.87 05/01/98
Seligman Global Smaller Companies Portfolio -14.19 -29.79 -5.68 -0.19 5.41 10/11/94
Seligman Capital Portfolio -11.11 -26.47 16.42 16.61 15.35 05/03/93
Seligman Large-Cap Growth Portfolio -16.82 -38.1 -- -- -7.84 05/01/99
Seligman Global Growth Portfolio -19.33 -31.37 1.37 6.58 6.33 05/01/96
Seligman Large-Cap Value Portfolio -8.26 22.88 3.47 -- 2.93 05/01/98
Seligman Common Stock Portfolio -11.7 -21.97 -1.39 7.09 9.73 05/03/93
Seligman International Growth Portfolio -23.09 -32.91 -14.7 -4.1 0.95 05/03/93
Seligman Income Portfolio -6.53 -10.93 -2.27 3.03 3.95 05/03/93
Seligman High-Yield Bond Portfolio -13.51 -20.64 -10.39 -0.97 1.14 05/01/95
Seligman Bond Portfolio -3.5 2.31 1.11 3.76 3.78 05/03/93
Seligman Cash Management Portfolio Current Yield 3.68%+ -3.67 -1.04 2.64 3.49 3.41 05/03/93
* Not annualized.
+ Annualized for the seven-day period ended June 30, 2001. The current yield
figure shown more closely reflects the current earnings of the Portfolio
than total return figures. Although Seligman Cash Management Portfolio seeks to
preserve the value of investments at $1.00 per share, it is possible
to lose money by investing in the Portfolio.
Trillium Fixed Account's rate for the one-year Guarantee Period was 3.75% as of
June 30, 2001. Rates for each Guarantee Period will be different, and are
subject to change on a monthly basis. The three-, five-, seven-, and 10-year
Guarantee Periods are currently not approved in all states. Please call
800-221-2783 for state approval and the current rates on these Guarantee
Periods.
The attached are incorporated by reference herein to the Semi-annual Report
filed by and on behalf of the following:
Seligman Portfolios, Inc., filed August 30, 2001
Portfolios include: Seligman Bond, Seligman Capital, Seligman Cash
Management, Seligman Common Stock, Seligman Communications and Information,
Seligman Frontier, Seligman Global Growth, Seligman Global Smaller Companies,
Seligman Global Technology, Seligman High-Yield Bond, Seligman Income, Seligman
International Growth, Seligman Large-Cap Growth, Seligman Large-Cap Value, and
Seligman Small-Cap Value.