|
Annual Fee |
Minimum |
Maximum |
|
Investment Options
(Portfolio company fees and
expenses) |
0.14%2 |
2.73%2 |
|
Minimum |
Maximum |
0.14% |
2.73% | |
Annual Portfolio Operating Expenses After Contractual
Fee Waiver or Reimbursement* |
0.14% |
2.68% |
Investment Objective |
Portfolio |
Adviser/ Sub-adviser (if applicable) |
Current Expenses |
Average Annual
Total Returns
(as of 12/31/2024) | ||
1 Year |
5 Year |
10 Year | ||||
Long-term growth of
capital; current income is
a secondary objective |
Growth Stock Portfolio2
|
Mason Street Advisors, LLC
(MSA)/T. Rowe Price
Associates, Inc |
0.42%1 |
37.82% |
14.77% |
13.44% |
Long-term growth of
capital |
Focused Appreciation
Portfolio2 |
MSA/Loomis, Sayles &
Company, L.P. |
0.61%1 |
34.43% |
18.22% |
16.94% |
Long-term growth of
capital and income |
Large Cap Core Stock
Portfolio2 |
MSA/Wellington
Management Company LLP |
0.43%1 |
22.16% |
13.86% |
11.88% |
Long-term growth of
capital and income |
Large Cap Blend
Portfolio2 |
MSA/J.P. Morgan Investment
Management, Inc. |
0.72%1 |
23.86% |
10.92% |
10.22% |
Investment results that
approximate the
performance of the
Standard & Poor’s 500®
Composite Stock Price
Index |
Index 500 Stock
Portfolio2 |
MSA/BlackRock Advisors, LLC |
0.19%1 |
24.75% |
14.30% |
12.86% |
Long-term growth of
capital; income is a
secondary objective |
Large Company Value
Portfolio2 |
MSA/American Century
Investment Management,
Inc. |
0.75%1 |
10.69% |
7.46% |
7.58% |
Long-term growth of
capital and income |
Domestic Equity
Portfolio2 |
MSA/Delaware Investments
Fund Advisers, a series of
Macquarie Investment
Management Business Trust |
0.50%1 |
7.07% |
5.90% |
7.40% |
Long-term growth of
capital and income |
Equity Income Portfolio2 |
MSA/T. Rowe Price
Associates, Inc |
0.57%1 |
11.88% |
8.60% |
8.40% |
Long-term growth of
capital |
Mid Cap Growth Stock
Portfolio2 |
MSA/J.P. Morgan Investment
Management, Inc. |
0.54%1 |
8.21% |
5.55% |
7.03% |
Investment results that
approximate the
performance of the
Standard & Poor’s
MidCap 400® Stock Price
Index |
Index 400 Stock
Portfolio2 |
MSA/Northern Trust
Investments, Inc. |
0.24%1 |
13.63% |
10.07% |
9.41% |
Long-term growth of
capital; current income is
a secondary objective |
Mid Cap Value Portfolio2 |
MSA/American Century
Investment Management,
Inc. |
0.72%1 |
8.65% |
7.42% |
8.15% |
Long-term growth of
capital |
Small Cap Growth Stock
Portfolio2 |
MSA/Wellington
Management Company LLP |
0.56% |
13.18% |
5.89% |
8.12% |
Investment results that
approximate the
performance of the
Standard & Poor’s
SmallCap 600® Index |
Index 600 Stock
Portfolio2 |
MSA/Northern Trust
Investments, Inc. |
0.27% |
8.43% |
8.01% |
8.61% |
Long-term growth of
capital |
Small Cap Value
Portfolio2 |
MSA/T. Rowe Price
Investment Management,
Inc. |
0.87%1 |
10.36% |
6.59% |
7.77% |
Long-term growth of
capital |
International Growth
Portfolio2 |
MSA/FIAM LLC |
0.61%1 |
5.30% |
5.96% |
7.03% |
Capital appreciation |
Research International
Core Portfolio2 |
MSA/Massachusetts
Financial Services Company |
0.72%1 |
3.25% |
4.20% |
5.48% |
Long-term growth of
capital and income |
International Equity
Portfolio2 |
MSA/Dodge & Cox |
0.68% |
3.94% |
2.81% |
3.02% |
Capital appreciation |
Emerging Markets Equity Portfolio2
|
MSA/abrdn Investments
Limited |
0.89%1 |
4.02% |
0.12% |
2.50% |
Investment Objective |
Portfolio |
Adviser/
Sub-adviser (if applicable) |
Current Expenses |
Average Annual
Total Returns
(as of 12/31/2024) | ||
1 Year |
5 Year |
10 Year | ||||
Maximum current income
to the extent consistent
with liquidity and stability
of capital3 |
Government Money
Market Portfolio2 |
MSA/BlackRock Advisors, LLC |
0.33%1 |
4.99% |
2.28% |
1.56% |
Provide as high a level of
current income as is
consistent with prudent
investment risk |
Short-Term Bond
Portfolio2 |
MSA/T. Rowe Price
Associates, Inc. |
0.40% |
5.04% |
1.92% |
1.90% |
Provide as high a level of
total return consistent
with prudent investment
risk; a secondary
objective is to seek
preservation of
shareholders’ capital |
Select Bond Portfolio2 |
MSA/Allspring Global
Investments, LLC |
0.31%1 |
1.76% |
0.09% |
1.57% |
Maximum total return,
consistent with
preservation of capital
and prudent investment
management |
Long-Term U.S.
Government Bond
Portfolio2 |
MSA/Pacific Investment
Management Company LLC |
2.68%1 |
-5.78% |
-5.29% |
-0.93% |
Pursue total return using
a strategy that seeks to
protect against U.S.
inflation |
Inflation Managed
Portfolio2(“Inflation
Protection Portfolio”
until 9/30/2025) |
MSA/American Century
Investment Management,
Inc. |
0.45%1 |
1.96% |
1.50% |
1.95% |
High current income and
capital appreciation |
High Yield Bond
Portfolio2 |
MSA/Federated Investment
Management Company |
0.46% |
6.38% |
3.71% |
4.95% |
Maximum total return,
consistent with prudent
investment management |
Multi-Sector Bond
Portfolio2 |
MSA/Pacific Investment
Management Company LLC |
0.75%1 |
6.42% |
0.93% |
3.33% |
Realize as high a level of
total return as is
consistent with
conservative investment
risk, through income and
secondarily through
capital appreciation |
Active/Passive
Conservative Portfolio2 |
MSA |
0.55%1 |
N/A |
N/A |
N/A |
Realize as high a level of
total return as is
consistent with
reasonable investment
risk through appreciation
and income |
Active/Passive Balanced
Portfolio2 (formerly
“Balanced Portfolio”)
|
MSA |
0.47%1 |
7.43% |
4.76% |
5.53% |
Realize as high a level of
total return as is
consistent with moderate
investment risk through
appreciation and
secondarily through
income |
Active/Passive Moderate
Portfolio2(formerly
“Asset Allocation
Portfolio”) |
MSA |
0.53%1 |
9.72% |
6.17% |
6.72% |
Realize as high a level of
total return as is
consistent with aggressive
investment risk, primarily
through appreciation and
some income |
Active/Passive
Aggressive Portfolio2 |
MSA |
0.64%1 |
N/A |
N/A |
N/A |
Long-term growth of
capital |
Active/Passive All Equity
Portfolio2 |
MSA |
0.66%1 |
N/A |
N/A |
N/A |
Growth of capital |
American
Funds® IS
Growth Fund - Class 1A4 |
Capital Research and
Management Company
(CRMC) |
0.59% |
31.61% |
18.83% |
N/A |
Investment Objective |
Portfolio |
Adviser/
Sub-adviser (if applicable) |
Current Expenses |
Average Annual
Total Returns
(as of 12/31/2024) | ||
1 Year |
5 Year |
10 Year | ||||
Long-term growth of
capital |
American Funds® IS
Global Growth Fund -
Class 1A4 |
CRMC |
0.66%1 |
13.67% |
9.77% |
N/A |
Long-term capital
appreciation |
American Funds® IS New
World Fund® - Class
1A4 |
CRMC |
0.82%1 |
6.58% |
4.55% |
N/A |
Provide as high a level of
current income as is
consistent with the
preservation of capital |
American Funds® IS The
Bond Fund of America® -
Class 1A4 |
CRMC |
0.48%1 |
1.23% |
0.31% |
N/A |
Provide, over the long
term, a high level of total
return consistent with
prudent investment
management |
American Funds® IS
Capital World Bond
Fund® - Class
1A4 |
CRMC |
0.73% |
-2.97% |
-2.40% |
N/A |
Provide a high level of
current income; a
secondary objective is
capital appreciation |
American Funds® IS
American High-Income
Trust® - Class
1A4 |
CRMC |
0.58%1 |
9.73% |
5.54% |
N/A |
Seek to match the
performance of the MSCI
EAFE Index in U.S. dollars
with net dividends as
closely as possible before
deduction of fund
expenses |
BlackRock International
Index V.I. Fund - Class I5 |
BlackRock Advisors , LLC |
0.27%1 |
3.43% |
4.70% |
5.14% |
Maximize total return,
consistent with income
generation and prudent
investment management |
BlackRock Total Return
V.I. Fund - Class I5 |
BlackRock Advisors, LLC/
BlackRock International
Limited & BlackRock
(Singapore) Limited |
0.47%1 |
1.38% |
-0.21% |
1.42% |
Long-term capital
appreciation |
Columbia VP Small Cap
Value Fund - Class 16 |
Columbia Management
Investment Advisers, LLC |
0.88%1 |
8.87% |
11.24% |
9.24% |
Total return |
Commodity Return
Strategy Portfolio – Class
27 |
UBS Asset Management
(Americas) LLC 8 |
0.80%1 |
5.12% |
N/A |
N/A |
Long-term growth of
capital |
Fidelity® VIP Mid Cap
Portfolio – Initial Class9 |
Fidelity Management &
Research Company LLC
(FMR)10 |
0.57% |
17.49% |
11.34% |
9.21% |
Long-term capital
appreciation |
Fidelity® VIP
ContrafundSM Portfolio –
Initial Class9 |
FMR10 |
0.56% |
33.79% |
17.04% |
13.62% |
Capital appreciation |
Fidelity® VIP Value
Strategies Portfolio -
Initial Class9 |
FMR10 |
0.59% |
9.40% |
12.20% |
9.64% |
Capital appreciation |
Fidelity® VIP Health Care
Portfolio - Initial Class9 |
FMR10 |
0.59% |
5.14% |
5.46% |
7.96% |
Capital appreciation |
Fidelity® VIP Technology
Portfolio - Initial Class9 |
FMR10 |
0.57% |
35.59% |
23.82% |
21.93% |
Seek to provide
investment results that
correspond to the
aggregate price and
interest performance of
debt securities in the
Bloomberg U.S. Aggregate
Bond Index |
Fidelity® VIP Bond Index
Portfolio - Initial Class9 |
FMR 10 |
0.14% |
1.21% |
-0.46% |
N/A |
Long-term growth of
capital |
John Hancock Disciplined Value International Trust - Series
NAV11 |
John Hancock Variable Trust
Advisers LLC/Boston Partners
Global Investors, Inc. |
0.78% |
-0.35% |
5.89% |
4.45% |
Investment Objective |
Portfolio |
Adviser/
Sub-adviser (if applicable) |
Current Expenses |
Average Annual
Total Returns
(as of 12/31/2024) | ||
1 Year |
5 Year |
10 Year | ||||
Long-term capital
appreciation and current
income |
John Hancock Real Estate
Securities Trust - Series
NAV11 |
John Hancock Variable Trust
Advisers LLC/Wellington
Management Company LLP |
0.76% |
10.79% |
4.43% |
6.14% |
High level of current
income |
John Hancock Strategic
Income Opportunities
Trust - Series NAV11 |
John Hancock Variable Trust
Advisers LLC/Manulife
Investment Management
(US) LLC |
0.73%1 |
3.16% |
1.81% |
2.65% |
Long-term growth of
capital by investing
primarily in securities of
companies that meet the
Portfolio’s environmental,
social and governance
criteria |
Sustainable Equity
Portfolio12 |
Neuberger Berman
Investment Advisers LLC |
0.89% |
25.84% |
13.97% |
11.44% |
Long-term growth of
capital |
U.S. Strategic Equity
Fund13 |
Russell Investment
Management LLC (RIM)14 |
0.90%1 |
20.50% |
12.42% |
11.07% |
Long-term growth of
capital |
U.S. Small Cap Equity
Fund13 |
RIM14 |
1.14%1 |
8.53% |
8.00% |
7.31% |
Current income and long-
term growth of capital |
Global Real Estate
Securities Fund13 |
RIM14 |
0.91% |
1.42% |
-0.20% |
2.75% |
Long-term growth of
capital |
International Developed
Markets Fund13 |
RIM14 |
1.03%1 |
2.78% |
4.23% |
4.70% |
Provide total return |
Strategic Bond Fund13 |
RIM14 |
0.65%1 |
0.83% |
-0.87% |
1.04% |
Current income and
moderate long-term
capital appreciation |
LifePoints® Variable
Target Portfolio Series
Moderate Strategy
Fund13 |
RIM14 |
0.85%1 |
6.48% |
2.86% |
3.67% |
Above-average long-term
capital appreciation and a
moderate level of current
income |
LifePoints® Variable
Target Portfolio Series
Balanced Strategy Fund13 |
RIM14 |
0.90%1 |
9.48% |
5.00% |
5.15% |
High long-term capital
appreciation; and as a
secondary objective,
current income |
LifePoints® Variable
Target Portfolio Series
Aggressive Strategy
Fund13 |
RIM14 |
0.97%1 |
11.94% |
7.10% |
6.50% |
High long-term capital
appreciation |
LifePoints®
Variable Target Portfolio Series Equity Aggressive Strategy
Fund13 |
RIM14 |
1.00%1 |
13.09% |
7.58% |
6.97% |