Ameritas Advisor VUL (Policy Years 1-15) Ameritas
 
Investment Option Performance
Average Annual Total Return as of Monday, May 21, 2018

Performance reports available via this website are authorized for use with 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 and about total return performance reports is at the end of this screen.

 
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 American Century Investment Management, Inc. (American Century)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

VP Mid Cap Value I   33.791859   1.01%   1.84%   1.38%   0.34%   8.54%   8.98%   11.06%   10.11%* 12/01/2004

 Calvert Research and Management (Calvert)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

VP EAFE International Index I   104.05735   0.68%   0.8%   1.55%   1.72%   10.62%   3.23%   4.15%   0.79%* 11/12/2002
VP Russell 2000 Small Cap Index I   101.964296   0.65%   4.69%   6.98%   6.68%   20.11%   9.54%   10.54%   8.56%* 04/27/2000
VP S&P 500 Index   175.695529   0.4%   2.44%   1.4%   2.56%   15.8%   9.77%   11.47%   8.18%* 12/29/1995
VP SRI Balanced I   3.085896   0.69%   1.29%   1.17%   0.62%   7.65%   4%   6.38%   5.13%* 09/02/1986
VP Volatility Managed Growth Class F   19.264916   0.97%   1.69%   0.35%   -1.05%   8.57%   3.48%   4.62%   5.06% 04/30/2013
VP Volatility Managed Moderate Class F   18.473592   0.97%   1.57%   0.44%   -1.38%   5.12%   3.45%   4.05%   4.22% 04/30/2013
VP Volatility Managed Moderate Growth Class F   19.075949   1%   1.45%   0.58%   -1.07%   7.01%   3.73%   4.55%   4.88% 04/30/2013

 Deutsche Investment Management Americas Inc. (Deutsche)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

Capital Growth VIP A   47.783757   0.5%   3.41%   3.68%   6.73%   19.96%   11.01%   14.27%   9.2%* 07/16/1985
International Growth VIP A   14.340857   1.33%   1.19%   -0.22%   0.32%   10.72%   5.52%   6.63%   2.67%* 05/01/1998
Small Mid Cap Value VIP A   23.328836   0.83%   3.13%   5.04%   1.59%   11.16%   4.85%   8.55%   7.19%* 05/01/1996

 Dimensional Fund Advisors LP (DFA)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

VA Global Bond   12.026546   0.24%   0.03%   0.2%   -0.75%   -0.86%   0.49%   0.66%   2.35%* 01/12/1995
VA Global Moderate Allocation   13.425007   0.51%   1.1%   1.07%   1.2%   9.88%   5.19%   5.86%   6.54% 04/08/2013
VA International Small   19.42843   0.57%   0.43%   1.02%   1.71%   14.95%   8.75%   9.28%   5.37%* 10/02/1995
VA International Value   16.792794   0.44%   0.51%   2.08%   2.42%   16.23%   4.53%   5.41%   1.49%* 10/02/1995
VA Short-Term Fixed   10.066488   0.27%   0.03%   0.12%   0.02%   -0.07%   -0.06%   -0.22%   0.25%* 10/02/1995
VA U.S. Large Value   35.707257   0.27%   1.36%   0.68%   0.43%   15.51%   9.06%   10.94%   8.17%* 01/12/1995
VA U.S. Targeted Value   26.552333   0.37%   4.48%   6.35%   4.89%   18.19%   9.04%   11.03%   9.24%* 10/02/1995

 Fidelity Management & Research Company (Fidelity)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

VIP Contrafund IC   53.684014   0.62%   2.52%   2.44%   4.15%   15.2%   8.52%   11.23%   7.65%* 01/03/1995
VIP Equity-Income IC   39.920187   0.56%   1.99%   -0.75%   -1.96%   7.48%   5.73%   7.48%   5.72%* 10/09/1986
VIP Government Money Market IC   0.999014   0.26%   0.06%   0.17%   0.23%   0.3%   -0.24%   -0.42%   -0.28%* 02/04/1987
7-Day Yield 0.84%, effective yield 0.85%                                              
VIP High Income IC   10.293665   0.67%   -0.62%   -0.36%   -0.84%   1.42%   2.96%   3.05%   5.32%* 09/19/1985
VIP Investment Grade Bond IC   17.293899   0.41%   -0.39%   -0.34%   -2.73%   -1.54%   0.96%   1.14%   3.34%* 12/05/1988
VIP Mid Cap IC   64.886147   0.63%   2.25%   1.8%   4.06%   18.25%   8.4%   10.89%   8%* 12/28/1998
VIP Overseas IC   26.501377   0.8%   0.85%   1.22%   1.15%   11%   3.9%   5.84%   1.93%* 01/28/1987
VIP Strategic Income IC   17.326017   0.68%   -0.85%   -0.7%   -1.18%   1.83%   2.74%   2.37%   4.77%* 12/23/2003

 Franklin Advisers, Inc. (Franklin Templeton)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

Global Bond VIP Cl2   25.961992   0.85%   -1.02%   -0.35%   0.45%   0.22%   -0.77%   -0.49%   4.33%* 01/06/1999

 Guggenheim Investments (Rydex)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

Long Short Equity   15.526934   1.78%   -1.61%   -5.66%   -6.4%   6.83%   1.62%   3.65%   0.36%* 05/01/2002
Precious Metals   6.686177   1.61%   -3.43%   2.31%   -6.47%   -7.61%   2.78%   -4.65%   -8.46%* 05/29/1997

 Invesco Advisers Inc. (Invesco)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

V.I. International Growth I   41.807527   0.94%   -1.48%   -2.97%   -2.7%   5.64%   1.44%   4.46%   2.88%* 05/05/1993

 Massachusetts Financial Services Company (MFS)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

Research International IC   18.079938   1%   0.57%   1.17%   1.36%   11.88%   3.31%   4.07%   1.39%* 05/06/1998
Utilities IC   46.500714   0.8%   0.24%   3.63%   -0.58%   3.63%   0.65%   4.43%   4.56%* 01/03/1995

 Morgan Stanley Investment Management, Inc. (Morgan Stanley)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

VIF Emerging Markets Equity I   16.652981   1.32%   -3.86%   -7.63%   -4.07%   9.05%   4.09%   1.58%   -0.12%* 10/01/1996

 Pacific Investment Management Company LLC (PIMCO)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

CommodityRealReturn Strategy Adm   7.230011   1.54%   1.31%   3.45%   3.2%   7.94%   -4.03%   -8.54%   -7.67%* 06/30/2004
Total Return Adm   14.332101   0.69%   -0.42%   -0.63%   -2.64%   -0.94%   0.92%   0.65%   3.56%* 12/31/1997

 T. Rowe Price Associates, Inc. (T. Rowe Price)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

Blue Chip Growth   33.061366   0.85%   2.92%   3.36%   11.16%   30.22%   15.33%   16.74%   11.55%* 12/29/2000

 Third Avenue Management LLC (Third Avenue)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

Value   27.8452   1.42%   1.91%   2.62%   3.07%   10.32%   3.9%   4.89%   3.21%* 09/14/1999

 The Vanguard Group, Inc. (Vanguard)
Investment Option Unit
Price
  Gross Fund
Operating
Expense***
  1
Month**
  3
Month**
  Year to
Date**
  1
Year
  3
Year
  5
Year
  10 Year*
(or life of fund)
  Inception
Date
 

VIF Balanced   37.097356   0.23%   1.26%   0.57%   -0.47%   8.61%   6.57%   7.56%   6.78%* 05/23/1991
VIF Conservative Allocation   26.465525   0.14%   0.42%   0.45%   -0.31%   5.12%   3.84%   4.59%   5.95% 10/19/2011
VIF Diversified   26.425589   0.27%   2.29%   0.19%   -1.21%   7.45%   5.09%   7.59%   6.5%* 02/08/1999
VIF Equity Income   37.550202   0.31%   1.84%   0.84%   -0.58%   12.41%   8.92%   10.03%   8.43%* 06/07/1993
VIF Equity Index   60.182685   0.15%   2.46%   1.44%   2.64%   16.01%   10%   11.72%   8.43%* 04/29/1991
VIF Growth   34.376059   0.4%   2.82%   3.06%   7.89%   24.93%   11.25%   14.24%   9.83%* 06/07/1993
VIF High Yield Bond   13.290529   0.28%   -0.71%   -0.5%   -1.46%   0.85%   3.29%   3.28%   5.53%* 06/03/1996
VIF International   33.58305   0.39%   2.53%   0.98%   5.75%   22.55%   10.09%   9.28%   4.66%* 06/03/1994
VIF Mid-Cap Index   35.423054   0.19%   1.98%   2.21%   2.53%   13.64%   7.28%   10.53%   8.49%* 02/08/1999
VIF Moderate Allocation   30.416178   0.14%   0.83%   0.74%   0.5%   8.21%   5.29%   6.25%   8.1% 10/19/2011
VIF Real Estate Index   22.002981   0.27%   3.07%   5.29%   -6.02%   -2.34%   2.51%   3.26%   5.3%* 02/08/1999
VIF ST Investment Grade   10.614331   0.16%   -0.06%   -0.3%   -1.06%   -0.83%   0.59%   0.72%   2.04%* 02/08/1999
VIF Small Company Growth   44.377336   0.34%   4.33%   5.83%   8.3%   24.35%   11.18%   12.98%   11.78%* 06/03/1996
VIF Total Bond Market Index   14.719236   0.15%   -0.51%   -0.46%   -3%   -2.17%   0.27%   0.66%   2.65%* 04/29/1991
VIF Total Stock Market Index   63.380917   0.15%   2.62%   2.07%   3.11%   16.49%   9.72%   11.55%   8.54%* 01/08/2003


Ameritas Fixed Account current rate 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.


* 10-year figure
** Returns are cumulative, not average annual
*** Total annual fund operating expense ratio gross of any expense reimbursements or fee waivers. Note, however, that performance reflected in the chart is based on fund operating expense ratios that are net of any expense reimbursement or fee waiver. See the fund's prospectus for information concerning any reimbursements, waivers, or permitted recovery of same. The performance of an investment option with an applicable expense reimbursement or fee waiver would be lower without such waiver or reimbursement, and the performance of an investment option subject to recovery of a previous reimbursement or waiver would be higher without such recovery of reimbursement or waiver.

Performance Data
The above performance returns reflect fees and charges assessed by the fund companies and current mortality and expenses and administrative risk charges deducted from separate account assets. Some portfolio advisors have agreed to limit their expenses; without these limits, performance would have been lower. The above returns do not reflect the individual cost of insurance or monthly administrative charges associated with the policy and levied on total policy value, or premium taxes levied by some states. Had these fees and charges been deducted, the performance quoted would have been lower. This policy has no surrender charges. 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.

We encourage you to obtain a personalized illustration which reflects all charges of the policy and the impact of those charges upon performance; contact your registered representative or us. See the prospectus for detailed information about policy charges and fund expenses.

For periods prior to the date the policy subaccount began operation, performance data will be calculated based on the performance of the underlying portfolio and the assumption that the subaccounts were in existence for the same periods as those indicated for the underlying portfolio with the level of morbidity and expense risk charges that were in effect at the inception of the subaccount.

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