No-Load Variable Annuity Ameritas
 
No-Load Variable Annuity
Standardized Average Annual Total Return as of Friday, June 28, 2019

Performance reports available via this website are authorized for use with current and prospective investors only when accompanied or preceded by current product and fund prospectuses containing detailed information about the policy, investment options, limitations and risks. You may access all prospectuses via this website or by contacting us; our address and telephone number are listed elsewhere in this website. Please read the prospectuses carefully before you invest or send any money. More information about the risks of certain investments as well as important disclosures relating to performance reporting appears at the end of this report.

 
  View Performance:

Performance by Investment Advisor

Performance by Morningstar Category

Month End Fund Performance

Standardized Returns

Asset Allocation Models

Print Page

Trade Online


 American Century Investment Management, Inc. (American Century)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

VP International I   -5.39%   -2.01%   4.28%*
  05/01/2008
VP Mid Cap Value I   -1.56%   3.6%   10.74%*
  05/01/2008

 Calvert Research and Management (Calvert)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

VP EAFE International Index I   -2.97%   -3.41%   -0.6%
  05/03/2010
VP Russell 2000 Small Cap Index I   -8.26%   2.09%   2.43%
  05/01/2014
VP S&P 500 Index   5.51%   5.93%   11.12%*
  11/01/2008
VP S&P MidCap 400 Index I   -3.44%   3.26%   6.6%
  05/03/2010
VP SRI Balanced I   7.21%   1.88%   6.44%*
  05/01/2000
VP SRI Mid Cap #   5.6%   2.2%   11.06%*
  05/01/2000
VP Volatility Managed Moderate Class F   0.92%   -0.16%   -0.37%
  05/01/2013
VP Volatility Managed Moderate Growth Class F   0.39%   -0.04%   0.14%
  05/01/2013

 DWS Investment Management Americas Inc. (DWS)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

Capital Growth VIP A   9.41%   9.39%   8.7%
  05/02/2011
International Growth VIP A   1.27%   -0.1%   4.98%*
  05/01/2008
Small Cap Index VIP A   -8.23%   2.36%   10.04%*
  05/01/2000
Small Mid Cap Value VIP A   -9.27%   -0.56%   8.26%*
  05/01/2008

 Fidelity Management & Research Company (Fidelity)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

VIP Contrafund SC   4.36%   4.83%   10.55%*
  05/01/2000
VIP Government Money Market IC   -2.55%   N/A   -4.86%
  05/02/2016
7-Day Yield 1.36%, effective yield 1.37%                  
VIP High Income SC   2.65%   -0.93%   4.22%*
  05/01/2000
VIP Investment Grade Bond IC   3.04%   -1.6%   0.22%*
  05/01/2000
VIP Mid Cap SC   -7.11%   1.66%   8.77%*
  05/01/2000
VIP Strategic Income IC   1.73%   -1.39%   2.03%*
  05/01/2008

 Franklin Advisers, Inc. (Franklin Templeton)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

Global Bond VIP Cl2   0.78%   -4.33%   0.53%*
  05/01/2008

 Guggenheim Investments (Rydex)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

Government Long Bond 1.2x   7.91%   0.85%   2.44%*
  05/01/1999
NASDAQ-100   3.48%   10.3%   14.46%*
  05/01/1999
Nova   6.56%   8.9%   16.67%*
  05/01/1999
Precious Metals   4.19%   -8.95%   -11.17%*
  05/01/1999

 Invesco Advisers Inc. (Invesco)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

V.I. American Franchise Fund I   2.74%   6.54%   8.41%
  04/27/2012
V.I. Diversified Dividend Fund I   4.54%   2.76%   5.65%
  04/28/2011
V.I. Health Care I   9.03%   1.55%   9.16%*
  05/01/2001
V.I. International Growth I   4.68%   -2.16%   4.27%*
  05/01/2008
V.I. Technology I   4.2%   8.66%   11.83%*
  05/01/2001

 Janus Capital Management LLC (Janus)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

Research Portfolio Inst #   8.9%   7.57%   11.03%*
  03/24/2003

 Massachusetts Financial Services Company (MFS)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

Research International IC   -1.06%   N/A   -1.79%
  03/27/2015
Utilities IC   10.58%   -0.68%   8%*
  05/01/2008

 Morgan Stanley Investment Management, Inc. (Morgan Stanley)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

VIF Emerging Markets Equity I   -2.67%   -3.94%   1.28%*
  05/01/2008

 Neuberger Berman Investment Advisers LLC (Neuberger Berman)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

AMT Mid Cap Intrinsic Value I   -9.98%   0.13%   10.23%*
  05/01/2008
AMT Mid-Cap Growth I   6.22%   N/A   6.35%
  11/04/2015
AMT Short Duration Bond I   -0.98%   -3.8%   -2.39%*
  01/22/1997
AMT Sustainable Equity I   N/A   N/A   -26.33%
  04/26/2019

 Pacific Investment Management Company LLC (PIMCO)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

CommodityRealReturn Strategy Adm   -10.7%   -17.1%   -7.2%*
  11/18/2005
Low Duration Adm   -1%   -3.81%   -4.56%
  05/01/2014
Total Return Adm   2.8%   -1.91%   -0.14%*
  05/01/2009

 T. Rowe Price Associates, Inc. (T. Rowe Price)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

Blue Chip Growth   5.86%   10.56%   14.23%*
  05/01/2008

 The Vanguard Group, Inc. (Vanguard)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

VIF Conservative Allocation   2.78%   N/A   0.7%
  05/02/2016
VIF Diversified   2.64%   1.15%   8.64%*
  05/01/2001
VIF Equity Income   4.59%   4.36%   11.03%*
  05/01/2001
VIF Equity Index   5.69%   6.19%   11.4%*
  05/01/2001
VIF Growth   9.13%   9.04%   12.49%*
  05/01/2001
VIF High Yield Bond   4.34%   -0.07%   4.52%*
  05/01/2001
VIF International   -4.12%   1.77%   6.37%*
  05/01/2001
VIF Mid-Cap Index   3.21%   4.28%   12.23%*
  05/01/2001
VIF Moderate Allocation   2.44%   N/A   2.42%
  05/02/2016
VIF Real Estate Index   7.58%   3.27%   12.91%*
  05/01/2001
VIF ST Investment Grade   0.8%   N/A   -3.51%
  05/02/2016
VIF Small Company Growth #   -3.36%   5.54%   13.08%*
  05/01/2001
VIF Total Bond Market Index   3.13%   -2%   -0.9%*
  05/01/2001

 Third Avenue Management LLC (Third Avenue)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

Value   -16.03%   -5.34%   2.02%*
  05/01/2001

 Wells Fargo Funds Management, LLC (Wells Fargo)
Portfolio   1
Year
  5
Years
  10 Years
or Since
Inception
  Subaccount
Inception
Date

VT Discovery 2   13%   7.61%   14.95%*
  04/08/2005
VT Opportunity 2   3.74%   3.76%   10.3%*
  01/22/1997


Contact the Service Center at 1-800-745-1112 for the current interest rate on the Fixed Account. Ameritas Fixed Account guaranteed interest rate is 3.000%
Initial rates guaranteed from policy date until policy anniversary. Thereafter, all amounts will earn the interest rate declared in the month of the last policy anniversary.


# Closed to new money
* 10-year figure

Standardized Performance Data
Standardized average annual total returns are shown for periods beginning on the date each subaccount first invested in a corresponding series fund portfolio, and are current as of the end of the previous calendar quarter.

Standardized average annual total return for a specific period is calculated by taking a hypothetical $1,000 investment in a subaccount at the offering on the first day of the period ("initial investment"), and computing the ending redeemable value ("redeemable value") of that investment at the end of the period. The redeemable value is then divided by the initial investment and expressed as a percentage. Standardized average annual total return is annualized and reflects the deduction of fund company expenses, the maximum policy current and expense charge, and the current annual policy fee (if any). This product has no withdrawal charges. No deduction is made for premium taxes which may be assessed by certain states. Some portfolio advisors have agreed to limit their expenses; without these limits, performance would have been lower. Yields shown are "annualized" yields. This means the income generated during the measured seven days is assumed to be generated each week over a 52 week period, and not reinvested, and is shown as a percentage of the investment. See the prospectus for detailed information about policy charges, including maximum charges and fund expenses.

Past performance is no guarantee of future results. The return and principal value of an investment will fluctuate so that investor's shares, when redeemed, may be worth more or less than their original cost.



This is not an offer in any jurisdiction, nor is it specifically directed to residents of any jurisdiction. This policy may only be sold
pursuant to a prospectus and in those states where it is approved.
Not FDIC Insured May Lose Value No Bank Guarantee