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Accumulation Unit Values for New York Life Premium Plus Variable Annuity for Policies Purchased Prior to June 2, 2003*

This daily updated chart is your resource for tracking the accumulation unit values of the Investment Divisions of the New York Life Premium Plus Variable Annuity. For current to the most recent month-end performance information including average annual total return, please click on the Performance Summary (PDF, 56KB).

Performance data quoted represents past performance. Past performance is no guarantee of future results. Due to current market volatility, current performance may be lower or higher than the figures shown. The investment return and the Accumulation Value of your policy will fluctuate so that a policy, when surrendered, may be worth more or less than the premium payments. All performance reflects the percentage change for the period shown with capital gains and dividends reinvested and includes an annualized Separate Account Expense Charge of 1.60% but does not include any credits applied. A policy service charge of $30 is not included in these charges, but will be deducted each year from the policy's Accumulation Value on the policy anniversary and upon surrender if the on that date Accumulation Value is less than $100,000. The Investment Divisions offered under the New York Life Premium Plus Variable Annuity and described herein are different from mutual funds that may have similar names but are available directly to the general public. Investment results may differ.

New allocations to the Alger American SmallCap Growth Investment Division will be not be accepted from Policyowners who were not invested in the Investment Division as of June 1, 2007.


    11/20/2009   Change from 11/19/2009   % Change from 11/19/2009   % Change YTD
Alger American SmallCap Grwth Cls O Shrs   7.125042   (.038942)   (.54)   34.48
CVS Calvert Social Balanced Portfolio   8.305402   (.016619)   (.20)   21.10
Columbia Small Cap Value Class B Shares   10.109917   (.000443)   .00   15.74
Dreyfus IP Tech Growth Initial Shares   8.769392   (.065973)   (.75)   45.64
Fidelity VIP Contrafund Initial Class   11.258958   (.045466)   (.40)   28.45
Fidelity VIP Equity-Income Int Class   9.899398   (.059294)   (.60)   26.00
Fidelity VIP Mid Cap - Service Class 2   16.154053   (.091725)   (.56)   35.30
Janus Aspen Balanced Port Inst Shrs   12.687158   (.019558)   (.15)   21.71
Janus Aspen Worldwide Port Inst Shares   5.564493   (.022025)   (.39)   31.74
MFS Investors Trust Series Initial Class   8.277443   (.023787)   (.29)   21.20
MFS Research Series Initial Class   6.916054   (.013183)   (.19)   25.13
MFS Utilities Series - Svc Cls   20.549912   (.039226)   (.19)   24.05
MainStay VP U.S. Small Cap Int Cls   9.393862   (.047599)   (.50)   32.80
MainStay VP Balanced Service Class   10.024057   (.031621)   (.31)   18.64
MainStay VP Bond Initial Class   15.104066   (.004017)   (.03)   7.16
MainStay VP Cash Management   1.089987   (.000144)   (.01)   (1.34)
MainStay VP Common Stock Int Cls   7.203019   (.031444)   (.43)   17.41
MainStay VP Conserv Allocation Svc Cls   10.704997   (.024569)   (.23)   18.99
MainStay VP Convertible Initial Class   10.835549   (.048424)   (.44)   37.15
MainStay VP Floating Rate Svc Cls   10.317731   (.001577)   (.02)   28.90
MainStay VP Government Int Cls   14.419227   (.002676)   (.02)   1.47
MainStay VP Growth Allocation Svc Cls   8.855933   (.050173)   (.56)   22.93
MainStay VP Growth Equity Int Cls   5.371324   (.021830)   (.40)   28.87
MainStay VP Hi Yield Corp Bond Int Cls   16.329146   (.000437)   .00   37.69
MainStay VP ICAP Select Equity Int Cls   10.157672   (.043646)   (.43)   26.47
MainStay VP Income Builder Int Cls   7.992179   (.022416)   (.28)   18.46
MainStay VP International Equity Int Cls   13.436145   (.106119)   (.78)   17.18
MainStay VP Large Cap Growth Int Cls   5.893598   (.019210)   (.32)   32.28
MainStay VP Mid Cap Core Int Cls   13.093610   (.088076)   (.67)   29.04
MainStay VP Mid Cap Growth Int Cls   10.984682   (.070918)   (.64)   27.10
MainStay VP Mid Cap Value Int Class   11.185466   (.044983)   (.40)   20.46
MainStay VP Mod Growth Allocat Svc Cls   9.550410   (.043247)   (.45)   23.61
MainStay VP Moderate Allocation Svc Cls   10.100490   (.034551)   (.34)   20.51
MainStay VP S&P 500 Index Int Cls   7.607569   (.023970)   (.31)   21.58
MainStay VP Small Cap Growth Int Cls   7.376051   (.033988)   (.46)   18.68
Neuberger Berman AMT MidCap Gwth Cls S   12.858260   (.072513)   (.56)   21.98
Royce Micro-Cap Portfolio - Inv Cls   12.093950   (.013924)   (.12)   47.64
Royce Small-Cap Portfolio - Inv Cls   10.796610   (.013514)   (.13)   27.15
T. Rowe Price Equity Inc Portfolio   11.961271   (.055938)   (.47)   20.68
Van Eck Worldwide Hard Assets - Int Cls   32.500664   (.369086)   (1.12)   50.16
Van Kampen's UIF Emg Mkts Eq Port Cls I   18.284397   (.043861)   (.24)   63.97
Victory VIF Diversified Stock (Class A)   10.617498   (.050552)   (.47)   21.02

New York Life Premium Plus Variable Annuity is issued by New York Life Insurance and Annuity Corporation (A Delaware Corporation) and distributed by NYLIFE Distributors LLC, member FINRA/SIPC, wholly owned subsidiaries of New York Life Insurance Company, 51 Madison Avenue, New York, New York 10010. For more complete information, refer to your New York Life Premium Plus Variable Annuity product prospectus and the individual fund prospectuses. Investors are asked to consider the investment objectives, risks, charges, and expenses of the investment carefully before investing. Both the product prospectus and the underlying fund prospectuses contain this and other information. Please read the prospectuses carefully before investing.

* Product is not available in all jurisdictions. In certain jurisdictions, this product is sold as a single premium variable annuity that has a different surrender charge schedule and minimum premium payment.

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Accumulation Unit Values for New York Life Premium Plus Variable Annuity for Policies Purchased Prior to June 2, 2003*

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