N-4Talcott Resolution Life Insurance Co Separate Account 110001140019N-4falsexbrli:pure00011400192026-05-012026-05-010001140019ck0001140019:C000055031Member2026-05-012026-05-010001140019ck0001140019:C000055031Memberck0001140019:C000000765Member2026-05-012026-05-010001140019ck0001140019:C000055031Memberck0001140019:C000000115Member2026-05-012026-05-010001140019ck0001140019:C000055031Memberck0001140019:C000000295Member2026-05-012026-05-010001140019ck0001140019:C000055031Memberck0001140019:C000000296Member2026-05-012026-05-010001140019ck0001140019:C000055031Memberck0001140019:C000002222Member2026-05-012026-05-01

Rule 497(e)
File Nos. 333-72042; 811-10559

TALCOTT RESOLUTION LIFE INSURANCE COMPANY
SEPARATE ACCOUNT ELEVEN


HV-4899 - PremierSolutions New Jersey Institutions of Higher Education

Supplement dated September 1, 2026 to Prospectus dated May 1, 2026


Effectively immediately, the following funds in the above-referenced product Prospectus are closed to new investors:

American Century Investments® Equity Income Fund - Class A
American Century Investments® Ginnie Mae Fund - Class A
American Century Investments® Small Company Fund - Class A
Hartford Dividend and Growth HLS Fund - Class IA
Hartford MidCap HLS Fund - Class IA
Hartford Small Company HLS Fund - Class IA
Hartford Total Return Bond HLS Fund - Class IA
Hartford Ultrashort Bond HLS Fund - Class IA
Invesco Equity and Income Fund - Class A
Invesco Global Opportunities Fund - Class A
MassMutual Diversified Value Fund - Class R5
MassMutual Global Fund - Class R4
MassMutual Small Cap Growth Equity Fund - Class R4
MassMutual Small Cap Opportunities Fund - Class R4
Nomura Small Cap Growth Fund - Class Y
Oakmark Equity and Income Fund - Investor Class


Effectively immediately, the following funds are added to the table of funds in the “Appendix A – General Account Options and Underlying Funds” section of the above-referenced product Prospectus (all other information in the table of funds remains unchanged):
2026-PROSUPP-22



UNDERLYING
FUND TYPE

UNDERLYING FUND AND ADVISER/SUBADVISER

CURRENT EXPENSES
AVERAGE ANNUAL TOTAL RETURNS (as of December 31, 2025)
1 YEAR
5 YEARS
(or since inception)
10 YEARS
(or since inception)
US Fund Intermediate Core BondBNY Mellon Bond Market Index Fund - Investor Class*0.40%6.66%-0.82%1.56%
Adviser: BNY Mellon Investment Adviser, Inc
Subadviser: N/A
US Fund Mid-Cap BlendBNY Mellon Midcap Index Fund, Inc. - Investor Shares* (Closed to new investors)0.50%6.94%8.58%10.19%
Adviser: BNY Mellon Investment Adviser, Inc
Subadviser: N/A
US Fund Large BlendBNY Mellon S&P 500 Index Fund*0.50%17.28%13.86%14.24%
Adviser: BNY Mellon Investment Adviser, Inc
Subadviser: N/A
US Fund Small BlendBNY Mellon Smallcap Stock Index Fund - Investor Shares* 0.50%5.49%6.80%9.28%
Adviser: BNY Mellon Investment Adviser, Inc
Subadviser: N/A
US Fund Small GrowthMFS® New Discovery Fund - Class R3*1.21%12.36%-0.70%10.22%
Adviser: Massachusetts Financial Services Company
Subadviser: N/A
* Denotes Underlying Funds and their investment advisers that have entered into temporary expense reimbursements and /or fee waivers. See the prospectus for the Underlying Fund for further information.










PLEASE RETAIN THIS SUPPLEMENT WITH YOUR PROSPECTUS
2026-PROSUPP-22

ATTACHMENTS / EXHIBITS

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