OVERTURE ACCENT! Variable Annuity Ameritas
 
Investment Option Performance
Non-standardized Average Annual Total Return as of Wednesday, March 27, 2024

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.

 
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Performance by Investment Advisor

Performance by Morningstar Category

Month End Fund Performance

Standardized Returns

Asset Allocation Models

Historical Fund Numbers

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 ALPS Advisors, Inc. (Morningstar)
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
 

Morningstar Balanced ETF Asset Allocation II   17.645078   0.88%   2.46%   4.26%   4.26%   12.7%   2.18%   5.05%   4.26%* 04/30/2007
Morningstar Growth ETF Asset Allocation II   12.43051   0.87%   2.99%   5.82%   5.82%   16.57%   3.77%   6.92%   5.62%* 04/30/2007
Morningstar Income and Growth ETF Asset Allocation II   10.16   0.9%   1.92%   2.89%   2.89%   9.07%   0.57%   3.24%   2.84%* 04/30/2007

 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
 

American Century VP Disciplined Core Value I   25.853951   0.71%   4.36%   9.76%   9.76%   20.05%   4.03%   8.65%   7.94%* 10/30/1997
American Century VP Mid Cap Value I   47.439487   0.86%   3.6%   3.91%   3.91%   8.24%   5.25%   8.16%   7.76%* 12/01/2004

 BNY Mellon Investment Adviser, Inc. (BNY Mellon)
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
 

BNY Mellon MidCap Stock Service   63.932912   1.11%   4.67%   10.24%   10.24%   24.04%   6.53%   8.95%   6.96%* 05/01/1998

 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
 

Calvert VP SRI Balanced I   6.058301   0.64%   1.92%   6.9%   6.9%   18.29%   5.11%   8.49%   6.97%* 09/02/1986
Calvert VP EAFE International Index I   130.15176   0.72%   3.49%   5.75%   5.75%   14.01%   3.6%   6.03%   3.36%* 11/12/2002
Calvert VP Investment Grade Bond Index I   60.832796   0.48%   0.79%   -0.93%   -0.93%   0.64%   -3.3%   -0.62%   0.45%* 03/31/2003
Calvert VP Nasdaq 100 Index I   44.196819   0.6%   1.25%   8.48%   8.48%   37.83%   11.11%   19.23%   17.13%* 04/27/2000
Calvert VP Russell 2000 Small Cap Index I   42.438319   0.58%   2.98%   4.38%   4.38%   17.64%   -1.43%   6.71%   6.13%* 04/27/2000
Calvert VP S&P 500 Index   383.897984   0.43%   2.99%   10.07%   10.07%   28.11%   10.07%   13.62%   11.52%* 12/29/1995
Calvert VP S&P MidCap 400 Index I   70.155437   0.44%   5.06%   9.15%   9.15%   21.28%   5.48%   10.22%   8.52%* 05/03/1999
Calvert VP SRI Mid Cap #   94.339038   1.03%   3.22%   6.37%   6.37%   11.85%   0.67%   6.13%   5.74%* 07/16/1991
Calvert VP Volatility Managed Moderate F   22.211326   1.01%   1.97%   3.07%   3.07%   9.9%   1.58%   3.73%   3.66%* 04/30/2013
Calvert VP Volatility Managed Moderate Growth F   23.701786   1.03%   2.49%   4.82%   4.82%   13.6%   3.1%   4.84%   4.29%* 04/30/2013

 DWS Investment Management Americas Inc. (DWS)
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
 

DWS International Growth VIP A   17.058417   1.32%   3.39%   7.94%   7.94%   12.68%   -1.6%   5.3%   4.14%* 05/01/1998
DWS Small Mid Value VIP A   28.469771   0.87%   4.62%   5.58%   5.58%   17.19%   3.86%   6.49%   5.03%* 05/01/1996

 Delaware Ivy Investment Management Company (Delaware Ivy)
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
 

Delaware Ivy VIP Balanced II   9.547407   1.07%   2.57%   6.95%   6.95%   17.94%   4.04%   8.02%   5.99%* 05/02/1994

 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
 

Fidelity® VIP Asset Manager SC   48.622325   0.7%   1.82%   3.62%   3.62%   10.64%   1.57%   5.53%   4.4%* 09/06/1989
Fidelity® VIP Asset Manager: Growth SC   46.357224   0.78%   2.27%   5.26%   5.26%   14.5%   3.06%   7.57%   5.71%* 01/03/1997
Fidelity® VIP Contrafund℠ SC   187.586225   0.7%   3.32%   16.66%   16.66%   41.16%   11.7%   15.88%   11.96%* 11/03/1997
Fidelity® VIP Equity-Income SC   107.063416   0.61%   4.46%   8.39%   8.39%   18.31%   8.17%   10.46%   8.08%* 11/03/1997
Fidelity® VIP Government Money Market IC   1.024192   0.24%   0.29%   1%   1%   4.08%   1.53%   0.88%   0.26%* 02/04/1987
7-Day Yield 4.18%, effective yield 4.27%                                              
Fidelity® VIP Growth SC   289.11669   0.71%   2.44%   15.78%   15.78%   42.01%   11.44%   18.27%   14.83%* 11/03/1997
Fidelity® VIP High Income SC   24.284793   0.91%   1%   1.54%   1.54%   8.37%   0.18%   1.7%   2.23%* 11/03/1997
Fidelity® VIP Investment Grade Bond IC   27.630228   0.4%   0.82%   -0.66%   -0.66%   1.47%   -2.91%   0.19%   1.11%* 12/05/1988
Fidelity® VIP Mid Cap SC2   93.64472   0.86%   4.68%   11.89%   11.89%   23.57%   6.29%   10.62%   7.9%* 01/12/2000
Fidelity® VIP Overseas SC   54.702062   0.87%   3.27%   7.97%   7.97%   17.15%   3.92%   8.25%   4.95%* 11/03/1997

 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
 

FTVIPT Franklin Income VIP 2   20.879543   0.71%   2.45%   1.86%   1.86%   6.67%   3.68%   4.44%   3.75%* 01/06/1999
FTVIPT Templeton Global Bond VIP 2   15.164646   0.79%   0.15%   -4.53%   -4.53%   -3.62%   -3.8%   -4.28%   -2.12%* 01/06/1999

 Fred Alger Management Inc. (Alger)
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
 

Alger Balanced I-2   48.548016   1.04%   2.25%   5.91%   5.91%   18.86%   7.08%   8.99%   7.66%* 09/05/1989

 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
 

Invesco V.I. Discovery Mid Cap Growth I   111.034995   0.86%   3.17%   15.57%   15.57%   23.4%   1.11%   11.05%   10.28%* 08/15/1986
Invesco V.I. EQV International Equity I   54.03187   0.91%   1.24%   4.43%   4.43%   11.25%   0.31%   5.52%   3.74%* 05/05/1993
Invesco V.I. Global Core Equity I   33.860551   0.98%   2.92%   9.24%   9.24%   21.14%   3.9%   7.66%   5.38%* 01/02/1997
Invesco V.I. Global Real Estate I   20.423926   1.02%   3.98%   -1.47%   -1.47%   5%   -2.35%   -1.92%   1.6%* 03/31/1998

 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
 

MFS® New Discovery IC   71.383913   0.95%   1.38%   5.92%   5.92%   12.38%   -5.81%   7.26%   7.6%* 05/01/1998
MFS® Research International IC   22.647992   0.99%   3.53%   4.83%   4.83%   9.99%   1.31%   6.07%   3.71%* 05/06/1998
MFS® Strategic Income IC   12.158338   1%   0.87%   -0.25%   -0.25%   3.12%   -2.45%   0.74%   1.43%* 05/06/1998
MFS® Total Return IC   45.7614   0.71%   3.06%   3.95%   3.95%   12.8%   3.3%   6.58%   5.74%* 01/03/1995
MFS® Utilities IC   111.864461   0.79%   4.57%   -1.52%   -1.52%   -3.86%   2.13%   4.54%   4.59%* 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
 

Morgan Stanley VIF Emerging Markets Equity I   28.670288   1.22%   2.82%   3.85%   3.85%   12.44%   -5.08%   1.76%   1.31%* 10/01/1996
Morgan Stanley VIF Global Strategist I   23.117033   1.77%   2.11%   2.77%   2.77%   10.89%   -0.02%   4.08%   3.02%* 01/02/1997
Morgan Stanley VIF U.S. Real Estate I   54.788749   1.01%   0.26%   -1.28%   -1.28%   8.09%   1.67%   -1.12%   2.48%* 03/03/1997

 Neuberger Berman Investment Advisers LLC (Neuberger Berman)
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
 

Neuberger Berman AMT Mid Cap Intrinsic Value I   39.676201   1.03%   3.45%   5.38%   5.38%   14.94%   5.1%   5.87%   5.39%* 08/22/2001

 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
 

PIMCO Low Duration Adm   10.614699   0.67%   0.31%   0.36%   0.36%   3%   -1.39%   -0.12%   -0.05%* 02/16/1999
PIMCO Real Return Advisor   11.58   0.87%   0.75%   -0.01%   -0.01%   -0.2%   -1.7%   1.4%   0.98%* 02/28/2006
PIMCO Total Return Adm   14.25238   0.67%   0.98%   -0.24%   -0.24%   2.22%   -3.49%   -0.47%   0.61%* 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
 

T. Rowe Price Blue Chip Growth-II   56.824744   1.1%   2.19%   13.93%   13.93%   44.84%   5.8%   11.77%   12.58%* 04/30/2002

 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
 

Third Avenue Value   58.108371   1.36%   7%   7.38%   7.38%   18.92%   14.31%   11.52%   5.82%* 09/14/1999


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 3.00%
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
** 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.

These returns are for a sample Overture Accent! Variable Annuity flexible premium deferred variable annuity policy. These annualized charges were deducted: 0.80% mortality and expense risk charge (current and maximum 0.80%), 0.15% administrative expense charge (current and maximum 0.15%), and $18 annual policy fee (maximum $40). The non-standardized average annual total returns are calculated based on a hypothetical $110,000 (which is the current average policy size for the Overture Accent! Variable Annuity policies) investment in a subaccount on the first day of the period. Surrender charges and optional rider charges, if deducted, would further reduce performance. For these reasons, non-standardized total returns for a subaccount are usually higher than standardized total returns for a subaccount. Standardized performance information reflects past performance from the inclusion date of the underlying subaccount into the applicable separate account (the "subaccount inception date"). All non-standardized performance information reflects hypothetical past performance that may include performance that predates the offering of the fund in the Ameritas subaccount (the "inception date" of the underlying fund). The performance of a subaccount within a policy may differ from the performance of a subaccount within the applicable separate account when the policy has not been in existence for the life of the separate account. See the prospectus for detailed information about policy charges, including maximum charges and fund expenses.

THE PERFORMANCE DATA QUOTED REPRESENTS PAST PERFORMANCE AND IS NOT INDICATIVE OF FUTURE RESULTS. The investment return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Some portfolio advisors have agreed to limit their expenses; without these limits, performance would have been lower.

The 1 Year, 3 Year, 5 Year, and 10 Year (or life of fund) returns are average before-tax annual total returns which assume reinvestment of dividends and capital gains. Returns of less than one year are not annualized.

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.

STANDARDIZED RETURNS reflect the performance of investment options within the variable annuity after the deduction of all recurring product fees and surrender charges. Optional rider charges are not deducted. The average annual total return for a specific period is calculated by taking a hypothetical $1,000 investment in a subaccount on the first day of the period ("initial investment"); and computing the ending surrender value ("surrender value") of that investment at the end of the period. The surrender value is then divided by the initial investment, then annualized, and expressed as a percentage.

NON-STANDARDIZED RETURNS reflect the performance of the investment options within the variable annuity after the deduction of all recurring product fees. Surrender and optional rider charges are not deducted.

Although some portfolios may have names or investment objectives that resemble retail mutual funds managed by the same money manager, these portfolios may not have the same underlying holdings or performance as the retail mutual funds. Investment results may be higher or lower.

Variable products are issued by Ameritas Life Insurance Corp. and underwritten by its affiliate Ameritas Investment Company, LLC. Variable annuities are suitable for long-term investing and are subject to investment risk, including possible loss of principal. Before investing, carefully consider the investment objectives, risks, charges, expenses and other important information about the policy issuer and underlying investment options. This information can be found in the policy and investment option prospectuses. Prospectuses are available on this website or by calling 800-745-1112. Read the prospectuses carefully before investing.

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.

Please Note: The following footnotes may not apply to all products.

Risks of Certain Kinds of Portfolios
Investment options are subject to market risk, which is the possibility that the market values of securities owned by the portfolio will decline and that the value of portfolio shares may therefore be less than what you paid for them. Accordingly, you can lose money investing in any investment option. Please be aware that some portfolios are subject to additional risks, which may include those listed below. More information about the specific risks involved can be found in each such portfolio's prospectus and by clicking on the fund portfolio name, above. The prospectuses for all of the portfolios available through the policy may be downloaded from this website, or contact us to send you a free copy.

Money Market Risk. You could lose money by investing in the Fund. Although the Fund seeks to preserve the value of your investment at $1.00 per share, it cannot guarantee it will do so. An investment in the Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The Fund's sponsor has no legal obligation to provide financial support to the Fund, and you should not expect that the sponsor will provide financial support to the Fund at any time.

International/global, emerging market, high income, international/global, sector, and small cap portfolios involve additional risk than may exist in portfolios investing in larger, more established or diversified companies in established countries.

Derivatives Risk. Derivatives can be highly volatile and involve risks in addition to the risks of the underlying indicator(s) on which the derivative is based. Gains or losses from derivatives can be substantially greater than the derivatives' original costs. Derivatives can involve leverage.

Emerging Markets Risk. International and global investments in emerging countries are subject to all the risks of international/global investing generally, and have additional, heightened risks due to lack of established legal, political, business and social frameworks to support securities markets.

High Yield Risk. Investment options that may invest up to 100% of net assets in lower rated bonds, commonly known as "junk bonds," entail greater risk than those portfolios that invest in higher rated securities.

International/Global Risk. International and global investment options involve risks associated with changes in currency values, economic, political and social uncertainty and market price swings. International and global portfolios may exhibit greater volatility of returns in the short-term.

Leveraged Risk. Investment options that borrow money to leverage involve more risk than portfolios that do not borrow money because the cost of borrowing money could exceed the returns for securities purchased or the securities purchased may go down in value.

Multisector Bond Risk. These investment options may invest in lower quality debt securities which generally offer higher yields, but also carry more risk. Investments in foreign securities, especially those in emerging markets involve risks in addition to those of U.S. investments, including increased political and economic risks as well as exposure to currency fluctuations.

Nondiversified Risk. Investment options that often invest in a more limited number of issuers involve more risk than portfolios that invest in a larger number of issuers because changes in the financial condition or market value of a single issuer may cause great volatility.

Sector Concentration Risk. Investment options that are at times more heavily invested in certain economic sectors may have more volatile performance than that of more broad-based portfolios.

Small Company Risk. Small company stocks, as a whole, may experience larger price fluctuations than large company stocks or other types of investments. Small companies tend to have shorter operating histories and may have less experienced management.

Volatility Managed Funds Risk. Volatility managed funds seek to stabilize the volatility of a portfolio to a predetermined target level. Unlike other investment options, these funds may not perform as well in a rising market but are designed to provide protection in a declining market. Losses are still possible. The strategies used by volatility managed funds limit the volatility risks associated with offering living benefit riders. See prospectus for complete details.

Additional Information
Franklin Templeton Variable Insurance Products Trust portfolios are generally sold only to insurance company separate accounts as investment options for variable insurance products.

The Calvert VP EAFE International Index portfolio is not sponsored, endorsed, sold or promoted by Morgan Stanley Capital International, Inc. (MSCI) or any affiliate of MSCI and MSCI makes no representation regarding the advisability of investing in the portfolio.

"Nasdaq" and related marks are trademarks or service marks of The Nasdaq Stock Market, Inc. and have been licensed for use for certain purposes by the Nasdaq 100® Index Portfolio. The Nasdaq 100® Index is composed and calculated by Nasdaq without regard to Calvert Research and Management. Nasdaq makes no warranty, express or implied, and bears no liability with respect to the Calvert VP Nasdaq 100 Index Portfolio.

The "Russell 2000 Index" is a trademark/service mark of the Frank Russell Company. Russell is a trademark of the Frank Russell Company. Calvert Research and Management and the Calvert VP Russell 2000 Small Cap Index Portfolio are not promoted, sponsored or endorsed by, nor in any way affiliated with Frank Russell Company. Frank Russell Company is not responsible for and makes no representation of warranty, express or implied, as to its accuracy, or completeness, or otherwise.

"S&P 500®" and "S&P MidCap 400 Index" are trademarks of McGraw-Hill, Inc. The Calvert VP S&P MidCap 400 and S&P 500 Index Portfolios are not sponsored, endorsed, sold or promoted by Standard & Poor's and Standard & Poor's makes no representation regarding the advisability of investing in the portfolios.

Insurance product and rider guarantees, including optional benefits and any Fixed Account crediting rates or annuity payout rates, are backed by the financial strength and claims-paying ability of the issuing insurance company and do not protect the value of the variable investment options. They are not backed by the broker/dealer from which this annuity is purchased, by the insurance agency from which this annuity is purchased, or any affiliates of those entities, and none makes any representations or guarantees regarding the claims-paying ability of the issuing insurance company.

Ameritas Life Insurance Corp. is a product provider. It is not a fiduciary and therefore does not give advice or make recommendations regarding insurance or investment products.



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