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    <vip:PortfolioCompanyAdviserTextBlock
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      unitRef="Unit_pure">0.1176</vip:AverageAnnualTotalReturns10YearsPercent>
    <vip:PortfolioCompanyObjectiveTextBlock
      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundInternationalPortfolioMembervipPortfolioCompanyAxis"
      id="ixv-2501">Equity Fund&#160;Seeks to provide long-term capital appreciation</vip:PortfolioCompanyObjectiveTextBlock>
    <vip:PortfolioCompanyNameTextBlock
      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundInternationalPortfolioMembervipPortfolioCompanyAxis"
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    <vip:PortfolioCompanyAdviserTextBlock
      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundInternationalPortfolioMembervipPortfolioCompanyAxis"
      id="ixv-2503">Advisers: Baillie Gifford Overseas Ltd. And Schroder Investment Management North America Inc.</vip:PortfolioCompanyAdviserTextBlock>
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      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundInternationalPortfolioMembervipPortfolioCompanyAxis"
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      unitRef="Unit_pure">0.0032</vip:CurrentExpensesPercent>
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      unitRef="Unit_pure">0.1997</vip:AverageAnnualTotalReturns1YearPercent>
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      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundInternationalPortfolioMembervipPortfolioCompanyAxis"
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      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundRealEstateIndexPortfolioMembervipPortfolioCompanyAxis"
      id="ixv-2508">Real Estate Fund&#160;Seeks to provide a high level of income and moderate long-term capital appreciation by tracking performance of a benchmark index that measures&#160;performance of publicly traded equity REITs and other real estate-related investments</vip:PortfolioCompanyObjectiveTextBlock>
    <vip:PortfolioCompanyNameTextBlock
      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundRealEstateIndexPortfolioMembervipPortfolioCompanyAxis"
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    <vip:PortfolioCompanyAdviserTextBlock
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      unitRef="Unit_pure">0.0026</vip:CurrentExpensesPercent>
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      id="ixv-2512"
      unitRef="Unit_pure">0.0311</vip:AverageAnnualTotalReturns1YearPercent>
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      unitRef="Unit_pure">0.0451</vip:AverageAnnualTotalReturns5YearsPercent>
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      contextRef="P07_07_2026To07_07_2026_GoldmanSachsVitGovernmentMoneyMarketFundInstitutionalMembervipPortfolioCompanyAxis"
      id="ixv-2516">Fixed Income Fund&#160;Seeks to maximize current income to the extent consistent with the preservation of capital and the maintenance of liquidity by investing exclusively in high quality money market instruments</vip:PortfolioCompanyObjectiveTextBlock>
    <vip:PortfolioCompanyNameTextBlock
      contextRef="P07_07_2026To07_07_2026_GoldmanSachsVitGovernmentMoneyMarketFundInstitutionalMembervipPortfolioCompanyAxis"
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    <vip:PortfolioCompanyAdviserTextBlock
      contextRef="P07_07_2026To07_07_2026_GoldmanSachsVitGovernmentMoneyMarketFundInstitutionalMembervipPortfolioCompanyAxis"
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      contextRef="P07_07_2026To07_07_2026_GoldmanSachsVitGovernmentMoneyMarketFundInstitutionalMembervipPortfolioCompanyAxis"
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      unitRef="Unit_pure">0.0043</vip:CurrentExpensesPercent>
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      id="ixv-2521"
      unitRef="Unit_pure">0.042</vip:AverageAnnualTotalReturns1YearPercent>
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      decimals="INF"
      id="ixv-2522"
      unitRef="Unit_pure">0.0318</vip:AverageAnnualTotalReturns5YearsPercent>
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      unitRef="Unit_pure">0.0211</vip:AverageAnnualTotalReturns10YearsPercent>
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      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundsShortTermInvestmentGradePortfolioMembervipPortfolioCompanyAxis"
      id="ixv-2524">Fixed Income Fund&#160;Seeks to provide current income while maintaining limited price volatility</vip:PortfolioCompanyObjectiveTextBlock>
    <vip:PortfolioCompanyNameTextBlock
      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundsShortTermInvestmentGradePortfolioMembervipPortfolioCompanyAxis"
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      unitRef="Unit_pure">0.0014</vip:CurrentExpensesPercent>
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      unitRef="Unit_pure">0.0223</vip:AverageAnnualTotalReturns5YearsPercent>
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      id="ixv-2532">Fixed Income Fund&#160;Seeks to provide as high a level of current income as is consistent with the preservation of capital</vip:PortfolioCompanyObjectiveTextBlock>
    <vip:PortfolioCompanyNameTextBlock
      contextRef="P07_07_2026To07_07_2026_AmericanFundsInsuranceSeriesTheBondFundOfAmericaClass1MembervipPortfolioCompanyAxis"
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      unitRef="Unit_pure">0.0022</vip:CurrentExpensesPercent>
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      unitRef="Unit_pure">0.074</vip:AverageAnnualTotalReturns1YearPercent>
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      decimals="INF"
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      unitRef="Unit_pure">0.001</vip:AverageAnnualTotalReturns5YearsPercent>
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      contextRef="P07_07_2026To07_07_2026_PimcoVariableInsuranceTrustRealReturnPortfolioInstitutionalClassMembervipPortfolioCompanyAxis"
      id="ixv-2540">Fixed Income&#160;Seeks to achieve its investment objective by investing under normal circumstances at least 80% of its net assets in inflation-indexed bonds of varying maturities issued by the U.S. and &lt;div style="white-space: nowrap; letter-spacing: 0px; top: 0px;display:inline;"&gt;non-U.S.&lt;/div&gt; governments, their agencies or instrumentalities and corporations, which may be represented by forwards or derivatives such as options, futures contracts or swap agreements</vip:PortfolioCompanyObjectiveTextBlock>
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      contextRef="P07_07_2026To07_07_2026_PimcoVariableInsuranceTrustRealReturnPortfolioInstitutionalClassMembervipPortfolioCompanyAxis"
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      unitRef="Unit_pure">0.0124</vip:CurrentExpensesPercent>
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      unitRef="Unit_pure">0.0801</vip:AverageAnnualTotalReturns1YearPercent>
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      decimals="INF"
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      unitRef="Unit_pure">0.0136</vip:AverageAnnualTotalReturns5YearsPercent>
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      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundTotalBondMarketIndexPortfolioMembervipPortfolioCompanyAxis"
      id="ixv-2547">Fixed Income Fund&#160;Seeks to track the performance of a broad, market-weighted bond index</vip:PortfolioCompanyObjectiveTextBlock>
    <vip:PortfolioCompanyNameTextBlock
      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundTotalBondMarketIndexPortfolioMembervipPortfolioCompanyAxis"
      id="ixv-1336">Vanguard Variable Insurance Fund Total Bond Market Index Portfolio&lt;div style="font-size:75%; vertical-align:top;display:inline;font-size:8.3px"&gt;&#xae;&lt;/div&gt;</vip:PortfolioCompanyNameTextBlock>
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      id="ixv-2554">Balanced Fund&#160;Seeks to obtain high total return with reduced risk over the long term by allocating Fund assets among stocks, bonds, and short-term instruments</vip:PortfolioCompanyObjectiveTextBlock>
    <vip:PortfolioCompanyNameTextBlock
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      unitRef="Unit_pure">0.0012</vip:CurrentExpensesPercent>
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      decimals="INF"
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      decimals="INF"
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      decimals="INF"
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    <vip:PortfolioCompanyNameTextBlock
      contextRef="P07_07_2026To07_07_2026_VanguardVariableInsuranceFundsBalancedPortfolioMembervipPortfolioCompanyAxis"
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      unitRef="Unit_pure">0.1646</vip:AverageAnnualTotalReturns1YearPercent>
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