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CorpExec Variable Universal Life Series III-VI Accumulation Unit Values

The following chart may be used as a resource for tracking the accumulation unit values of the Investment Divisions of the New York Life Insurance and Annuity Corporation (NYLIAC) Corporate Sponsored Variable Universal Life Separate Account – I.

The CorpExec Variable Universal Life (CEVUL) Series II-V Prospectus describes the flexible premium variable universal life insurance policies through which the Investment Divisions are offered. While CEVUL Series II-V policies are no longer offered for sale, NYLIAC continues to accept additional premiums paid under existing CEVUL Series II-V policies.

The CEVUL Series VI Prospectus describes the flexible premium variable universal life insurance policies through which the Investment Divisions are offered. CEVUL Series VI policies are currently offered for sale.

The percentage change in accumulation unit values shown below represents an Investment Division's past performance and is no guarantee of future results. Due to market volatility, current performance may vary from these values. The investment return and the accumulation value of your policy will fluctuate and may be worth more or less than the cumulative value of the premiums that you paid. Performance information shown below reflects the percentage change in accumulation unit value, with capital gains and dividends reinvested, for the periods shown. The accumulation unit values shown below reflect investment management fees and direct operating expenses of the portfolios held within the Investment Divisions. These accumulation unit values do not reflect your policy's mortality and expense risk charges, cost of insurance charges, monthly contract charges, sales expense charges or state and federal premium tax charges. If these charges were reflected, the returns would be significantly lower. Consequently, the returns shown below are greater than actual returns that would have been received under your policy during the periods shown. We recommend that you obtain a personalized illustration which takes into account the amount of insurance purchased, complete fees and charges for the policy, gender, age and underwriting classification of the insured.

For the average annual total returns of the Investment Divisions as of the most current month-end, you may download the CEVUL Series II-VI Performance Summary. The information contained within the Performance Summary should not be used to determine actual policy values. It reflects investment management fees and direct operating expenses of the portfolios held in the Investment Divisions. It does not reflect your policy's mortality and expense risk charges, cost of insurance charges, monthly contract charges, sales expense charges or state and federal premium tax charges. If these charges were reflected, the returns would be significantly lower.

New investments into the Alliance Bernstein® VPS International Value Portfolio, Dreyfus VIF-Opportunistic Small Cap Portfolio, MFS® Investors Trust Series, MFS® New Discovery Series, and Core Bond Fund/VA Investment Divisions are no longer accepted.


    09/02/2015   Change from 09/01/2015   % Change from 09/01/2015   % Change YTD
AB VPS International Value Portfolio - Class A   6.463334   .067578   1.06   (.80)
AB VPS Small/Mid Cap Value Portfolio-Class A   19.056751   .175537   .93   (5.05)
Alger Smid Cap Growth Portfolio - Class I-2 Shares   14.744452   .296073   2.05   (.40)
Amer Cent Invstmnts VP Inflation Protection Fund - Class 2   9.665487   (.038623)   (.40)   (2.07)
Amer Cent Invstmnts VP Value Fund - Class 2   18.290513   .255514   1.42   (7.87)
American Century VP Mid Cap Value - Class II   11.321099   .144658   1.29   (4.27)
American Funds IS Asset Allocation Fund - Class 2 Shares   15.688627   .181874   1.17   (2.88)
American Funds IS Global Growth Fund - Class 1 Shares   17.136329   .322061   1.92   2.68
American Funds IS Global Small Cap - Class 2   14.801969   .197121   1.35   3.96
American Funds IS Growth Fund - Class 2 Shares   16.797114   .324369   1.97   1.68
American Funds IS Growth-Income Fund - Class 2 Shares   14.841715   .237576   1.63   (2.55)
American Funds IS International Fund - Class 2 Shares   12.136126   .099531   .83   (4.33)
BlackRock Global Allocation V.I. Fund - Class I   9.663876   .061397   .64   (1.79)
DFA VA International Small Portfolio   10.094884   .053601   .53   2.17
DFA VA U.S. Large Value Portfolio   9.423488   .144438   1.56   (6.27)
DFA VA U.S. Targeted Value Portfolio   10.320551   .130415   1.28   (4.60)
Davis Value Portfolio   15.726274   .241070   1.56   (2.03)
Delaware VIP Emerging Markets Series-Standard Class   8.793720   .078018   .90   (17.08)
Delaware VIP Intl Value Equity Series-Standard Class   7.991952   .088147   1.12   .86
Delaware VIP Small Cap Value Series-Standard Class   13.531455   .161618   1.21   (6.86)
Deutsche Alternative Asset Allocation VIP - Class A Shares   9.340119   .021994   .24   (5.25)
Deutsche Global Small Cap VIP - Class A Shares   13.506812   .122696   .92   1.47
Deutsche Small Cap Index VIP - Class A   21.972946   .346031   1.60   (4.22)
Deutsche Small Mid Cap Value VIP - Class A Shares   14.579152   .157262   1.09   (3.20)
Dreyfus IP Technology Growth Portfolio - Initial Shares   21.893323   .485062   2.27   (.29)
Dreyfus VIF-Opportunistic Small Cap Portfolio-Initial Shares   15.877488   .131105   .83   (2.28)
Fidelity VIP Contrafund Portfolio - Initial Class   25.116863   .438524   1.78   (3.22)
Fidelity VIP Equity-Income Portfolio - Initial Class   18.563109   .241428   1.32   (6.44)
Fidelity VIP Freedom 2010 Portfolio - Initial Class   16.412925   .093712   .57   (1.48)
Fidelity VIP Freedom 2020 Portfolio - Initial Class   16.435260   .144399   .89   (1.88)
Fidelity VIP Freedom 2030 Portfolio - Initial Class   16.297340   .193096   1.20   (2.59)
Fidelity VIP Freedom 2040 Portfolio - Initial Class   17.131532   .226908   1.34   (2.85)
Fidelity VIP Growth Portfolio - Initial Class   21.134981   .461522   2.23   1.18
Fidelity VIP Index 500 Portfolio - Initial Class   21.510854   .390694   1.85   (4.04)
Fidelity VIP Investment Grade Bond Portfolio-Initial Class   16.414202   (.025728)   (.16)   (.07)
Fidelity VIP Mid Cap Portfolio - Initial Class   28.502313   .444396   1.58   (1.83)
Fidelity VIP Money Market Portfolio - Initial Class   10.072135   .000007   .00   .02
Fidelity VIP Overseas Portfolio - Initial Class   16.814414   .177930   1.07   1.07
Fidelity VIP Real Estate Portfolio - Initial Class   11.787796   .116200   1.00   (6.97)
Fidelity VIP Value Portfolio - Initial Class   9.262293   .107188   1.17   N/A
Fidelity VIP Value Strategies Portfolio - Service Class 2   22.426919   .408037   1.85   (2.82)
Invesco V.I. American Value Fund - Series I   34.075672   .502168   1.50   (4.62)
Invesco V.I. Global Real Estate Fund - Series I   13.090414   .139173   1.07   (7.25)
Invesco V.I. International Growth Fund - Series I   14.872338   .185904   1.27   (5.94)
Invesco V.I. Mid Cap Core Equity Fund - Series I   14.968120   .226953   1.54   (1.49)
Janus Aspen Enterprise Portfolio - Institutional Shares   31.046153   .524127   1.72   .76
Janus Aspen Flexible Bond Portfolio - Institutional Shares   10.035981   .000000   .00   .70
Janus Aspen Forty Portfolio - Institutional Shares   23.490161   .518516   2.26   6.23
Janus Aspen Global Research Portfolio - Institutional Shares   16.373496   .236706   1.47   (2.82)
LVIP Baron Growth Opportunities Fund - Service Class   22.103191   .345937   1.59   (4.09)
LVIP Mondrian International Value Fund - Standard Class   9.435656   .075888   .81   (1.66)
LVIP SSgA Bond Index Std   10.602772   (.012033)   (.11)   .26
LVIP SSgA Developed International 150 Fund   12.817926   .108341   .85   (3.55)
LVIP SSgA Emerging Markets 100 Fund   8.016482   .017463   .22   (15.98)
LVIP SSgA International Index Std   12.132314   .135612   1.13   (1.83)
Lazard Retirement International Equity Portfolio-Service Shr   15.885491   .226217   1.44   1.48
Lord Abbett Mid Cap Value Portfolio   20.859809   .284604   1.38   (4.22)
Lord Abbett Series Fund - Dev Growth Portfolio - Cls VC   9.946546   .205592   2.11   (1.10)
MFS Global Tactical Allocation Portfolio - Initial Class   12.927873   .069411   .54   (2.36)
MFS International Value Portfolio - Initial Class   15.548339   .203531   1.33   1.57
MFS Investors Trust Series - Initial Class   17.268383   .281659   1.66   (2.91)
MFS New Discovery Series - Initial Class   23.935797   .414986   1.76   2.30
MFS Value Series - Initial Class   22.094536   .350707   1.61   (4.78)
MainStay VP U.S. Small Cap - Initial Class   20.537489   .291583   1.44   (2.70)
MainStay VP Bond - Initial Class   16.483152   (.016758)   (.10)   .29
MainStay VP Cash Management   1.162844   .000000   .00   .00
MainStay VP Common Stock - Initial Class   22.132260   .434402   2.00   (4.07)
MainStay VP Convertible - Initial Class   22.563093   .217638   .97   (1.26)
MainStay VP Cornerstone Growth - Initial Class   18.564347   .418192   2.30   (.75)
MainStay VP Eagle Small Cap Growth - Initial Class   13.442407   .249540   1.89   (.45)
MainStay VP Emerging Markets Equity - Initial Class   7.419375   .060416   .82   (15.23)
MainStay VP Floating Rate - Initial Class   14.278562   .002663   .02   2.47
MainStay VP Government - Initial Class   15.683812   (.015047)   (.10)   .66
MainStay VP High Yield Corporate Bond - Initial Class   21.070925   .016744   .08   2.07
MainStay VP ICAP Select Equity - Initial Class   20.924243   .355046   1.73   (6.17)
MainStay VP International Equity - Initial Class   17.681873   .141607   .81   (1.89)
MainStay VP Janus Balanced - Initial Class   13.127896   .131799   1.01   (2.66)
MainStay VP Large Cap Growth - Initial Class   22.817256   .504574   2.26   1.00
MainStay VP MFS Utilities - Initial Class   13.181486   .032834   .25   (8.94)
MainStay VP Marketfield - Initial Class   8.518834   .005718   .07   (5.59)
MainStay VP Mid Cap Core - Initial Class   28.605501   .462970   1.65   (4.40)
MainStay VP S&P 500 Index - Initial Class   21.247190   .378876   1.82   (4.18)
MainStay VP T. Rowe Price Equity Income - Initial Class   13.390027   .182939   1.39   (9.81)
MainStay VP Van Eck Global Hard Assets - Initial Class   6.873615   .065416   .96   (21.28)
Neuberger Berman AMT Large Cap Value Portfolio - Class I   12.265765   .232842   1.94   (10.01)
Oppenheimer Capital Appreciation Fund/VA-Non-Service Shares   16.073677   .325304   2.07   (1.35)
Oppenheimer Core Bond Fund/VA - Non-Service Shares   11.777800   (.015296)   (.13)   .83
PIMCO VIT Global Bond Port Unhedged - Administrative Class   13.205759   (.045570)   (.34)   (2.90)
PIMCO VIT High Yield Portfolio - Administrative Class   14.314135   .020371   .14   1.30
PIMCO VIT Long-Term US Govt Portfolio - Administrative Class   21.141197   (.161383)   (.76)   (1.69)
PIMCO VIT Low Duration Portfolio - Administrative Class   14.540382   .000750   .01   .31
PIMCO VIT Real Return Portfolio - Administrative Class   15.380283   (.061060)   (.40)   (1.40)
PIMCO VIT Total Return Portfolio - Administrative Class   18.033746   (.014606)   (.08)   .37
Royce Micro-Cap Portfolio - Investment Class   17.659263   .245268   1.41   (11.35)
T. Rowe Price Blue Chip Growth Portfolio   26.303661   .560950   2.18   4.10
T. Rowe Price Equity Index 500 Portfolio   19.563481   .356660   1.86   (4.10)
T. Rowe Price International Stock Portfolio   17.750689   .202253   1.15   (2.23)
T. Rowe Price Limited-Term Bond Portfolio   13.433135   .000340   .00   .54
T. Rowe Price New America Growth Portfolio   25.108159   .563451   2.30   2.01
T. Rowe Price Personal Strategy Balanced Portfolio   20.596642   .195668   .96   (1.85)
TOPS Aggressive Growth ETF Portfolio - Class 2 Shares   14.674438   .212311   1.47   (5.62)
TOPS Balanced ETF Portfolio - Class 2 Shares   12.487185   .092241   .74   (3.56)
TOPS Conservative ETF Portfolio - Class 2 Shares   11.654728   .043126   .37   (2.52)
TOPS Growth ETF Portfolio - Class 2 Shares   13.976441   .167986   1.22   (5.60)
TOPS Managed Risk Balanced ETF Portfolio - Class 2 Shares   11.686930   .052408   .45   (4.04)
TOPS Managed Risk Growth ETF Portfolio - Class 2 Shares   11.812570   .065504   .56   (7.99)
TOPS Managed Risk Moderate Growth ETF Port - Cls 2 Shares   12.018722   .053039   .44   (5.35)
TOPS Moderate Growth ETF Portfolio - Class 2 Shares   13.240585   .125266   .96   (4.26)
UIF Emerging Markets Debt Portfolio - Class I   20.492971   (.082301)   (.40)   (.85)
UIF U.S. Real Estate Portfolio - Class I   28.521260   .310689   1.10   (7.50)
Van Eck VIP Unconstrained Emerging Markets Bond Fund - IC   11.148716   (.072207)   (.64)   (12.06)
Voya Russell Mid Cap Index Portfolio - Initial Class   15.053376   .218165   1.47   (3.83)
Voya Small Company Portfolio - Class I   10.064523   .138573   1.40   (1.39)

Prior to May 1, 2013, this fund was known as DWS Global Small Cap Growth VIP
Prior to May 1, 2013, this fund was known as TOPS Capital Preservation ETF Portfolio
Prior to May 1, 2013, this fund was known as ING Russell Mid Cap Index Portfolio

For more complete information, please refer to the CEVUL II-V Prospectus, the CEVUL Series VI Prospectus, and the individual prospectuses for the portfolios held in the Investment Divisions. If you are unable to print these documents, please call (888) 695-4748 to request current copies. Investors should consider the investment objectives, risks, charges, and expenses of a portfolio carefully before investing. The prospectuses contain this and other information. Please read them carefully before investing.

Please click on the Terms of use link for an explanation of site disclosures.

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Issued by: Distributed by:
New York Life Insurance and Annuity Corporation NYLIFE Distributors LLC
(A Delaware Corporation) Member FINRA/SIPC
51 Madison Avenue 169 Lackawanna Avenue
New York, NY 10010 Parsippany, NJ 07054

NYLIAC and NYLIFE Distributors LLC are both wholly owned subsidiaries of New York Life Insurance Company, 51 Madison Avenue, New York, NY 10010.

In most jurisdictions, the CEVUL Series II-V policy form number is 300-40 and the CEVUL Series VI policy form number is 307-43.
In the State of Oregon, the CEVUL Series II-V policy form number is 300-40.27 and the CEVUL Series VI policy form number is 307-43.27.