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NYLIAC Variable Universal Life (VUL) 2000 (Series 1) & Single Premium Variable Universal Life (SPVUL) (Series 1) Accumulation Unit Values

This daily-updated chart is your resource for tracking the accumulation unit values of the Investment Divisions of NYLIAC VUL 2000 (Series 1) and SPVUL (Series 1). Series 1 refers to the VUL 2000 and SPVUL policies offered for sale prior to May 10, 2002 and they are no longer for sale. For more complete Portfolio Performance, including Average Annual Total Return, and the current to most recent month end performance information, please click on the performance summary.

These performance figures reflect investment management fees and direct operating expenses of the Investment Divisions. They do not reflect administrative costs, cost of insurance, and other policy charges (see the prospectus for details.) If these charges were applied, the returns would be lower. Consequently, the returns shown are greater than actual returns that would have been received under the policy during the periods shown. Policy fees and expenses vary by product. We recommend that you obtain a personalized illustration from your registered representative which takes into account the amount of insurance purchased, complete fees and charges under your specific policy, gender, age and underwriting classification. Performance data shown represents past performance and is not a guarantee of future results. Due to market volatility, current performance may be more or less than the figures shown.

These rates of return are not an estimate or guarantee of future performance. Your policy and the actual investment return of the subaccounts will fluctuate in response to market conditions and the specific Investment Divisions you choose. As a result, your contract when surrendered may be worth more or less than the original cost. The advisors to some of the Investment Divisions have assumed or reduced some of the Investment Division’s fees and expenses. Had these expenses not been assumed or reduced, the total returns for these Investment Divisions would have been significantly lower.


    09/02/2015   Change from 09/01/2015   % Change from 09/01/2015   % Change YTD
AB VPS Small/Mid Cap Value Portfolio-Class A   16.729821   .153878   .93   (5.37)
American Funds IS Global Small Cap - Class 2   9.634175   .128172   1.35   N/A
American Funds IS New World Fund - Class 2   8.570785   .090204   1.06   (7.22)
BlackRock Global Allocation V.I. Fund - Class III   11.548368   .075764   .66   (2.31)
BlackRock High Yield V.I. Fund - Class I   9.961591   .001221   .01   .43
Columbia VP Commodity Strategy Fund - Class 1   8.545209   .013447   .16   N/A
Columbia VP Emerging Markets Bond Fund - Class 1   9.484405   (.032649)   (.34)   N/A
Delaware VIP Emerging Markets Series-Standard Class   9.048675   .080158   .89   (17.36)
Delaware VIP Small Cap Value Series-Standard Class   13.557197   .161744   1.21   (7.17)
Deutsche Small Mid Cap Value VIP - Class A Shares   15.905830   .171360   1.09   (3.53)
Dreyfus IP Technology Growth Portfolio - Initial Shares   19.531605   .432480   2.26   (.62)
Fidelity VIP Contrafund Portfolio - Initial Class   27.359080   .477310   1.78   (3.55)
Fidelity VIP Equity-Income Portfolio - Initial Class   20.869272   .271143   1.32   (6.75)
Fidelity VIP Freedom 2020 Portfolio - Initial Class   11.061775   .097039   .89   (2.21)
Fidelity VIP Freedom 2030 Portfolio - Initial Class   11.369373   .134556   1.20   (2.91)
Fidelity VIP Freedom 2040 Portfolio - Initial Class   11.547615   .152795   1.34   (3.17)
Fidelity VIP Growth Opportunities Portfolio - Initial Class   11.368972   .255372   2.30   .12
Fidelity VIP Mid Cap Portfolio - Initial Class   12.696220   .197785   1.58   (2.16)
Invesco V.I. American Value Fund - Series I   14.719281   .216720   1.49   (4.94)
Invesco V.I. International Growth Fund - Series I   11.148427   .139206   1.26   (6.25)
Janus Aspen Global Research Portfolio - Institutional Shares   13.886363   .200565   1.47   (3.15)
MFS International Value Portfolio - Initial Class   13.729458   .179539   1.33   1.23
MFS Investors Trust Series - Initial Class   10.599231   .172740   1.66   (3.24)
MFS New Discovery Series - Initial Class   13.756590   .238322   1.76   1.95
MFS Research Series - Initial Class   14.432510   .246710   1.74   (3.15)
MainStay VP U.S. Small Cap - Initial Class   19.952257   .283009   1.44   (3.03)
MainStay VP Balanced - Initial Class   17.994959   .144120   .81   (4.37)
MainStay VP Bond - Initial Class   21.229539   (.021875)   (.10)   (.05)
MainStay VP Cash Management   1.220132   (.000016)   .00   (.32)
MainStay VP Common Stock - Initial Class   19.690753   .386222   2.00   (4.39)
MainStay VP Conservative Allocation - Initial Class   16.169188   .092424   .57   (2.09)
MainStay VP Convertible - Initial Class   26.170566   .252083   .97   (1.59)
MainStay VP Cornerstone Growth - Initial Class   12.568521   .282962   2.30   (1.08)
MainStay VP Eagle Small Cap Growth - Initial Class   13.118031   .243345   1.89   (.79)
MainStay VP Emerging Markets Equity - Initial Class   7.015213   .057031   .82   (15.51)
MainStay VP Floating Rate - Initial Class   13.902269   .002402   .02   2.13
MainStay VP Government - Initial Class   19.439442   (.018916)   (.10)   .32
MainStay VP Growth Allocation Initial Cls   15.718187   .230671   1.49   (5.19)
MainStay VP High Yield Corporate Bond - Initial Class   28.537141   .022287   .08   1.73
MainStay VP ICAP Select Equity - Initial Class   20.791698   .352522   1.72   (6.48)
MainStay VP Income Builder - Initial Class   18.246089   .143221   .79   (4.81)
MainStay VP International Equity - Initial Class   16.775407   .134121   .81   (2.21)
MainStay VP Janus Balanced - Initial Class   13.174691   .132092   1.01   (2.98)
MainStay VP Large Cap Growth - Initial Class   20.170066   .445771   2.26   .66
MainStay VP MFS Utilities - Initial Class   13.215527   .032739   .25   (9.24)
MainStay VP Marketfield - Initial Class   8.575298   .005638   .07   (5.91)
MainStay VP Mid Cap Core - Initial Class   30.864039   .499114   1.64   (4.72)
MainStay VP Moderate Allocation - Initial Class   16.309784   .146579   .91   (3.08)
MainStay VP Moderate Growth Allocation - Initial Class   16.325993   .198272   1.23   (4.04)
MainStay VP PIMCO Real Return - Initial Class   9.559589   (.033295)   (.35)   (1.62)
MainStay VP S&P 500 Index - Initial Class   18.256754   .325310   1.81   (4.50)
MainStay VP T. Rowe Price Equity Income - Initial Class   13.423857   .183222   1.38   (10.12)
MainStay VP Unconstrained Bond - Initial Class   11.136445   .005572   .05   (1.01)
MainStay VP Van Eck Global Hard Assets - Initial Class   6.327775   .060136   .96   (21.54)
Neuberger Berman AMT Mid Cap Growth Portfolio - Class I   14.383143   .288919   2.05   5.24
PIMCO VIT Foreign Bond Port (US Dollar-Hedged) - Inst. Cls.   10.590124   .000195   .00   (1.24)
PIMCO VIT Total Return Portfolio - Institutional Class   10.224531   (.008379)   (.08)   .14
Royce Micro-Cap Portfolio - Investment Class   13.997972   .194230   1.41   (11.64)
UIF U.S. Real Estate Portfolio - Class I   13.522576   .147124   1.10   (7.81)

NYLIAC VUL 2000 (Series 1) & SPVUL (Series 1) are issued by New York Life Insurance and Annuity Corporation (A Delaware Corporation) and distributed by NYLIFE Distributors, LLC, member FINRA/SIPC, wholly owned and subsidiaries of New York Life Insurance Company, 51 Madison Avenue, New York, New York 10010. For more complete information refer to the NYLIAC VUL 2000 Series 1, SPVUL Series 1 product prospectuses and the individual fund prospectuses. To obtain the current prospectuses, please click here. Investors are asked to consider the investment objectives, risks, charges, and expenses of the investment carefully before investing. The prospectuses contain this and other information. Please read them carefully before investing.

In the State of Oregon, the NYLIAC Variable Universal Life 2000 (Series 1) policy form number is 302-150.27.
In the State of Oregon, the Single Premium Variable Universal Life (Series 1) policy form number is 303-95.27.