Notice Dated April 29, 2024

ULTIMATE INVESTOR® VUL
INDIVIDUAL FLEXIBLE PREMIUM ADJUSTABLE VARIABLE UNIVERSAL LIFE INSURANCE

Issued by
Jackson National Life Insurance Company® through
Jackson National Separate Account IV

This Notice Document (“Notice”) provides certain updated information about your Ultimate Investor VUL Individual Flexible Premium Adjustable Variable Universal Life Insurance contract (“Contract”), which is no longer available for purchase.
Jackson National Life Insurance Company (“Jackson”) is providing this Notice in lieu of an updated prospectus for the Contract in reliance on the Securities and Exchange Commission’s position on modernized alternative disclosures for discontinued variable life offerings. Updated audited financial statements for Jackson and for Jackson National Separate Account IV (“Separate Account”) are available, free of charge, at www.jackson.com/product-literature-9.html. In addition, current summary prospectuses, statutory prospectuses, statements of additional information, and the most recent shareholder reports for the funds available under the Contract (“Funds”) are available, free of charge, at the same website address as above. To request a free paper or e-mail copy of any of these materials, please call 1-800-644-4565 or send an email request to customercare@jackson.com.

Your Contract prospectus dated April 29, 2013 contains more information about the Contract’s features, benefits, and risks.

Additional information about certain investment products, including variable annuities, has been prepared by the Securities and Exchange Commission’s staff and is available at www.Investor.gov.


TABLE OF CONTENTS
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DEFINITIONS

Fixed Accountan allocation option under the policy that earns an annually declared rate of interest of not less than 3%. Assets allocated to the Fixed Account are part of our general account.

Funda registered investment company in which an Investment Division of the Separate Account invests.

Investment Division separate and distinct divisions of the Separate Account, each of which invests in a single Underlying Mutual
Fund. The value in the Investment Divisions will go up or down depending on the performance of the underlying mutual funds and
the charges deducted from the Investment Divisions.

Separate AccountJackson National Life Separate Account IV, the segregated asset account of Jackson that funds the policies.

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UPDATED INFORMATION ABOUT YOUR CONTRACT

The information in this Notice Document is a summary of certain Contract features that have changed since the Notice Document dated May 1, 2023. This may not reflect all of the changes that have occurred since you entered into your Contract.

General Product Changes

No material updates have been made to the terms of your contract since the previous version of the Notice Document you received, dated May 1, 2023.
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IMPORTANT INFORMATION YOU SHOULD CONSIDER ABOUT THE CONTRACT

FEES AND EXPENSESLOCATION IN PROSPECTUS
Charges for Early WithdrawalsNone.
Transaction ChargesYou may be charged for other transactions, such as when premium is allocated, when you transfer cash value between investment options more than 15 times in a Policy Year, each time you request an in-force illustration in excess of one per Policy Year, if a transaction under your policy requires underwriting approval after the Commencement Date, when you make a partial surrender, when you request an expedited delivery of surrender, partial surrender, or loan proceeds, In addition, for policies sold in certain states, you may be charged for premium taxes.Charges and Deductions
Ongoing Fees and Expenses
(annual charges)
In addition to transaction charges, an investment in the Contract is subject to certain ongoing fees and expenses, including fees and expenses covering the cost of insurance under the Contract and the cost of optional benefits available under the Contract. Such fees and expenses are set based on characteristics of the insured (e.g., age, sex, and rating classification). Investors should view the policy specifications page of their Contract for rates applicable to their Contract.

Investors will also bear expenses associated with the Portfolio Companies under the Contract, as shown in the following table:
Charges and Deductions
ANNUAL FEEMINIMUMMAXIMUM
1. Investment options (Fund fees and expenses)1
0.22%1.68%Charges and Deductions - Underlying Mutual Fund Expenses
1.As a percentage of average Fund net assets.
RISKSLOCATION IN PROSPECTUS
Risk of LossYou can lose money by investing in this Contract.Summary - Risks of the Policy
Not a
Short-Term Investment
This Contract is not designed for short-term investing and is not appropriate for an investor who needs ready access to cash. The benefits of tax deferral and living benefit protections also mean the Contract is more beneficial to investors with a long time horizon.Summary - Risks of the Policy
Risks Associated with Investment Options
An investment in this Contract is subject to the risk of poor investment performance and can vary depending on the performance of the investment options you choose.
Each investment option (including the Fixed Account) has its own unique risks.
You should review the investment options before making an investment decision.
Summary - The Underlying Mutual Funds and Associated Risks
Insurance Company Risks
Any obligations (including under the Fixed Account), guarantees, and benefits of the Contract are subject to the claims-paying ability of Jackson. More information about Jackson is available upon request from Jackson by calling 1-800-644-4565.
The Fixed Account
Contract LapseYour contract could lapse and terminate if there is poor investment performance and or if the Net Accumulated Value becomes too low to support the policy’s monthly charges. Policy loans or partial surrenders also increase the risk that your contract may lapse. There may be a cost associated with reinstating a lapsed contract and the payability of death benefits may be impacted in the event of the contract lapsing.Summary - Risks of the Policy
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RESTRICTIONS
Investments
We reserve the right to charge $25 for each transfer when you transfer money between Investment Divisions in excess of 15 times in a Contract Year.
Jackson may remove or substitute Funds as investment options available under the Contract, and may limit or suspend availability of the Fixed Account Options.
Charges and Deductions
Optional Benefits
Certain benefits may limit withdrawals or other rights under the Contract. Under certain benefits, a withdrawal could reduce the value of a benefit by more than the dollar amount of the withdrawal.
Not all optional benefits are available through all broker-dealers and may vary by state or date of purchase.
We may modify or discontinue an optional benefit at any time.
Policy Benefits and Rights
TAXES
Tax Implications
Consult with a tax professional to determine the tax implications of an investment in and purchase payments received under this Contract.
If you purchase the Contract through a tax-qualified plan or individual retirement account (IRA), you do not get any additional tax deferral.
Earnings on your Contract are taxed at ordinary income tax rates when you withdraw them, and you may have to pay a penalty if you take a withdrawal before age 59 ½.
Federal Tax Considerations
CONFLICTS OF INTEREST
Investment
Professional
Compensation
Your registered representative or other investment professionals may receive compensation for selling this Contract to you in the form of commissions, revenue sharing, and other compensation programs. Accordingly, investment professionals may have a financial incentive to offer or recommend this Contract over another investment.Distribution of Policies
ExchangesSome investment professionals may have a financial incentive to offer you a new contract in place of the one you own. You should only consider exchanging your Contract if you determine, after comparing the features, fees, and risks of both contracts, that it is in your best interest to purchase the new contract rather than continue to own your existing Contract.Distribution of Policies

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APPENDIX A

FUNDS AVAILABLE UNDER THE CONTRACT

The following is a list of Funds (all Class I shares) available under the Contract, which is subject to change, as discussed in the prospectus. Certain broker-dealers selling the Contracts may limit the Investment Divisions that are available to their customers. You can find the prospectuses and other information about the Funds online at https://www.jackson.com/fund-literature.html. You can also request this information at no cost by calling 1-800-644-4565 or by sending an email request to ProspectusRequest@jackson.com.

The current expenses and performance information below reflects fees and expenses of the Funds, but does not reflect the other fees and expenses that your Contract may charge. Expenses would be higher and performance would be lower if these charges were included. Each Fund’s past performance is not necessarily an indication of future performance.

Fund Type
Fund and Manager*
(and Sub-Adviser, if applicable)

*The investment manager for each Fund is Jackson National Asset Management, LLC
Current Expenses
Average Annual Total Returns
(as of 12/31/23)
1 year5 year10 year
Allocation
JNL/American Funds Balanced Fund1
    
(Investment Adviser to the Master Fund: Capital Research and Management CompanySM)
0.61%2
14.18%9.12%6.17%
Fixed Income
JNL/American Funds Capital World Bond Fund1
    
(Investment Adviser to the Master Fund: Capital Research and Management CompanySM)
0.76%2
6.10%-0.34%0.32%
International/Global Equity
JNL/American Funds Global Small Capitalization Fund1
    
(Investment Adviser to the Master Fund: Capital Research and Management CompanySM)
0.94%2
16.09%8.27%5.74%
U.S. Equity
JNL/American Funds Growth-Income Fund1
    
(Investment Adviser to the Master Fund: Capital Research and Management CompanySM)
0.61%2
26.03%13.27%10.77%
International/Global Equity
JNL/American Funds International Fund1
    
(Investment Adviser to the Master Fund: Capital Research and Management CompanySM)
0.87%2
15.77%4.76%3.29%
International/Global Equity
JNL/American Funds New World Fund1
    
(Investment Adviser to the Master Fund: Capital Research and Management CompanySM)
0.96%2
15.80%8.49%4.54%
U.S. Equity
JNL/American Funds® Washington Mutual Investors Fund1
    
(Investment Adviser to the Master Fund: Capital Research and Management CompanySM)
0.63%2
17.25%12.54%9.82%
International/Global EquityJNL Multi-Manager Emerging Markets Equity Fund    
(GQG Partners LLC, Kayne Anderson Rudnick Investment Management, LLC; T. Rowe Price Associates, Inc. (Sub-Sub-Adviser: T. Rowe Price Hong Kong Limited); and WCM Investment Management, LLC)0.94%10.47%1.72%0.60%
International/Global EquityJNL Multi-Manager International Small Cap Fund    
(Baillie Gifford Overseas Limited; Causeway Capital Management LLC; and WCM Investment Management, LLC) 0.91%22.84%11.72%N/A
U.S. EquityJNL Multi-Manager Small Cap Growth Fund    
(BAMCO, Inc.; Granahan Investment Management, Inc.; Kayne Anderson Rudnick Investment Management, LLC; Segall Bryant & Hamill, LLC; Victory Capital Management Inc.; and WCM Investment Management, LLC) 0.68%16.68%10.76%8.09%
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Fund Type
Fund and Manager*
(and Sub-Adviser, if applicable)

*The investment manager for each Fund is Jackson National Asset Management, LLC
Current Expenses
Average Annual Total Returns
(as of 12/31/23)
1 year5 year10 year
U.S. EquityJNL Multi-Manager Small Cap Value Fund    
(Congress Asset Management Company, LLP; Cooke & Bieler, L.P.; Reinhart Partners, Inc.; River Road Asset Management, LLC; and WCM Investment Management, LLC)0.81%21.37%11.95%6.56%
U.S. EquityJNL/AQR Large Cap Defensive Style Fund    
(AQR Capital Management, LLC)0.56%10.91%N/AN/A
AllocationJNL/BlackRock Global Allocation Fund    
(BlackRock Investment Management, LLC; Sub-Sub-Adviser BlackRock International Limited)0.76%14.35%7.98%5.02%
AlternativeJNL/BlackRock Global Natural Resources Fund    
(BlackRock International Limited)0.67%-1.35%12.93%2.12%
U.S. EquityJNL/BlackRock Large Cap Select Growth Fund    
(BlackRock Investment Management, LLC)
0.54%2
50.11%15.80%12.79%
International/Global EquityJNL/Causeway International Value Select Fund    
(Causeway Capital Management LLC)0.67%28.79%10.61%4.36%
U.S. EquityJNL/DFA U.S. Core Equity Fund    
(Dimensional Fund Advisors LP)
0.45%2
22.71%14.88%10.66%
Fixed Income
JNL/DoubleLine® Core Fixed Income Fund
    
(DoubleLine Capital LP)0.49%6.37%1.05%1.83%
Fixed Income
JNL/DoubleLine® Emerging Markets Fixed Income Fund
    
(DoubleLine Capital LP)0.78%9.83%1.76%N/A
Fixed Income
JNL/Fidelity Institutional Asset Management® Total Bond Fund
    
(FIAM LLC)0.49%7.04%1.96%2.02%
AlternativeJNL/First Sentier Global Infrastructure Fund    
(First Sentier Investors (Australia) IM Ltd)0.83%3.05%6.68%3.54%
AllocationJNL/Franklin Templeton Income Fund    
(Franklin Advisers, Inc.)0.63%8.54%7.10%5.05%
U.S. EquityJNL/Goldman Sachs 4 Fund    
(Goldman Sachs Asset Management, L.P)0.40%14.78%12.87%N/A
International/Global EquityJNL/Harris Oakmark Global Equity Fund    
(Harris Associates L.P.)0.81%20.45%11.36%N/A
International/Global EquityJNL/Invesco Global Growth Fund    
(Invesco Advisers, Inc.)0.66%34.97%12.44%8.56%
U.S. EquityJNL/Invesco Small Cap Growth Fund    
(Invesco Advisers, Inc.)0.75%12.48%9.00%7.64%
AllocationJNL/JPMorgan Global Allocation Fund    
(J.P. Morgan Investment Management Inc.)
0.76%2
13.02%5.79%N/A
U.S. EquityJNL/JPMorgan MidCap Growth Fund    
(J.P. Morgan Investment Management Inc.)0.60%23.59%15.96%11.62%
Fixed IncomeJNL/JPMorgan U.S. Government & Quality Bond Fund    
(J.P. Morgan Investment Management Inc.)0.39%4.51%0.81%1.53%
U.S. EquityJNL/JPMorgan U.S. Value Fund    
(J.P. Morgan Investment Management Inc.)0.58%9.34%10.11%6.65%
International/Global EquityJNL/Loomis Sayles Global Growth Fund    
(Loomis, Sayles & Company, L.P.)0.71%36.76%13.72%N/A
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Fund Type
Fund and Manager*
(and Sub-Adviser, if applicable)

*The investment manager for each Fund is Jackson National Asset Management, LLC
Current Expenses
Average Annual Total Returns
(as of 12/31/23)
1 year5 year10 year
International/Global Equity
JNL/Mellon Emerging Markets Index Fund3
    
(Investment Sub-Adviser to the Master Fund: Mellon Investments Corporation)
0.39%2
9.63%3.72%2.31%
U.S. Equity
JNL/Mellon Nasdaq® 100 Index Fund
    
(Mellon Investments Corporation)
0.29%2
54.72%22.31%16.78%
U.S. EquityJNL/Mellon S&P 500 Index Fund    
(Mellon Investments Corporation)0.22%26.06%15.46%11.73%
U.S. Equity
JNL/Mellon S&P 400 MidCap Index Fund3
    
(Investment Sub-Adviser to the Master Fund: Mellon Investments Corporation)
0.26%2
16.12%12.34%8.95%
U.S. Equity
JNL/Mellon Small Cap Index Fund3
    
(Investment Sub-Adviser to the Master Fund: Mellon Investments Corporation)
0.26%2
15.92%10.81%8.11%
International/Global Equity
JNL/Mellon International Index Fund3
    
(Investment Sub-Adviser to the Master Fund: Mellon Investments Corporation)
0.31%2
17.57%8.05%4.15%
Fixed Income
JNL/Mellon Bond Index Fund3
    
(Investment Sub-Adviser to the Master Fund: Mellon Investments Corporation)
0.28%2
5.24%0.83%1.50%
U.S. EquityJNL/Mellon U.S. Stock Market Index Fund    
(Mellon Investments Corporation)0.31%26.13%14.92%N/A
Sector EquityJNL/Mellon Communication Services Sector Fund    
(Mellon Investments Corporation)
0.30%2
54.23%10.94%8.29%
Sector EquityJNL/Mellon Consumer Discretionary Sector Fund    
(Mellon Investments Corporation)
0.29%2
39.06%15.60%12.12%
Sector EquityJNL/Mellon Energy Sector Fund    
(Mellon Investments Corporation)
0.28%2
-0.88%12.55%2.13%
Sector EquityJNL/Mellon Financial Sector Fund    
(Mellon Investments Corporation)
0.29%2
15.80%11.02%9.31%
Sector EquityJNL/Mellon Healthcare Sector Fund    
(Mellon Investments Corporation)
0.28%2
1.94%10.81%10.80%
Sector EquityJNL/Mellon Information Technology Sector Fund    
(Mellon Investments Corporation)
0.27%2
58.79%25.65%19.86%
U.S. EquityJNL S&P 500 Index Fund    
(Mellon Investments Corporation)
0.09%2
26.17%15.52%N/A
U.S. EquityJNL/MFS Mid Cap Value Fund    
(Massachusetts Financial Services Company (d/b/a MFS Investment Management))0.65%12.67%12.99%8.07%
Fixed IncomeJNL/Neuberger Berman Strategic Income Fund    
(Neuberger Berman Investment Advisers LLC)0.65%10.15%3.60%3.28%
Fixed IncomeJNL/PIMCO Real Return Fund    
(Pacific Investment Management Company LLC)0.76%4.23%3.46%2.43%
Fixed IncomeJNL/PPM America High Yield Bond Fund    
(PPM America, Inc.)0.46%13.16%5.20%3.76%
U.S. Equity
JNL/RAFI® Fundamental U.S. Small Cap Fund
    
(Mellon Investments Corporation)
0.32%2
17.64%10.54%5.21%
U.S. Equity
JNL/RAFI® Multi-Factor U.S. Equity Fund
    
(Mellon Investments Corporation)0.37%12.42%11.66%8.42%
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Fund Type
Fund and Manager*
(and Sub-Adviser, if applicable)

*The investment manager for each Fund is Jackson National Asset Management, LLC
Current Expenses
Average Annual Total Returns
(as of 12/31/23)
1 year5 year10 year
U.S. EquityJNL/T. Rowe Price Established Growth Fund    
(T. Rowe Price Associates, Inc.)
0.53%2
48.46%13.59%11.89%
U.S. EquityJNL/T. Rowe Price Mid-Cap Growth Fund    
(T. Rowe Price Associates, Inc.; Sub-Sub-Adviser: T. Rowe Price Investment Management, Inc.)
0.69%2
20.32%11.72%10.54%
Fixed IncomeJNL/T. Rowe Price Short-Term Bond Fund    
(T. Rowe Price Associates, Inc.)
0.41%2
5.06%1.80%1.46%
U.S. EquityJNL/T. Rowe Price Value Fund    
(T. Rowe Price Associates, Inc.)
0.57%2
12.27%12.61%9.24%
Fixed IncomeJNL/Western Asset Global Multi-Sector Bond Fund    
(Western Asset Management Company, LLC; Sub-Sub-Advisers: Western Asset Management Company Limited and Western Asset Management Company Pte. Ltd.)0.66%9.02%-1.27%-0.20%
International/Global EquityJNL/William Blair International Leaders Fund    
(William Blair Investment Management, LLC)0.67%13.26%5.87%3.17%
AllocationJNL/WMC Balanced Fund    
(Wellington Management Company LLP)0.41%13.42%9.06%7.41%
Sector EquityJNL/WMC Global Real Estate Fund    
(Wellington Management Company LLP)0.73%9.87%1.90%2.95%
Fixed IncomeJNL/WMC Government Money Market Fund    
(Wellington Management Company LLP)0.26%4.86%1.68%1.04%
U.S. EquityJNL/WMC Value Fund    
(Wellington Management Company LLP)0.48%9.56%11.64%8.29%
AllocationJNL Moderate Growth Allocation Fund    
 0.87%14.07%7.64%N/A
 
1
Capital Research and Management Company is the investment adviser of the master fund in which this feeder fund invests. Under the master-feeder fund structure, the feeder fund does not buy individual securities directly. Rather, the feeder fund invests all of its investment assets in a corresponding master fund, which invests directly in individual securities.
2
The Fund’s current expenses reflect temporary fee reductions.
3
Mellon Investments Corporation is the investment sub-adviser of the master fund in which this feeder fund invests. Under the master-feeder fund structure, the feeder fund does not buy individual securities directly. Rather, the feeder fund invests all of its investment assets in a corresponding master fund, which invests directly in individual securities.
 
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The EDGAR contract identifier for the Contract is: #C000030246
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