This daily-updated chart is your resource for tracking the accumulation unit values of the Investment Divisions of NYLIAC Variable Universal 2000 and Single Premium Variable Universal Life for Series 1. Series 1 refers to the VUL 2000 and SPVUL policies offered for sale prior to May 10, 2002. These policies will also continue to be offered in those jurisdictions where Series 2 is not yet available. Series 2 policies (VUL 2000, SPVUL) began accepting applications and premium payments beginning May 10, 2002 where approved. The accumulation unit values for Series 2 policies are different. For more complete Portfolio Performance, including Average Annual Total Return, please click on the performance summary.
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05/15/2008 |
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Change from 05/14/2008 |
|
% Change from 05/14/2008 |
|
% Change YTD |
 |
| AIM International Growth |
|
10.130990 |
|
0.130990 |
|
1.31 |
|
N/A |
| Alger American SmallCap Grwth Cls O Shrs |
|
11.738534 |
|
0.109916 |
|
0.95 |
|
(9.47) |
| Alliance Bernstein Sml Mid Cap Val - Cls |
|
10.000000 |
|
0.000000 |
|
0.00 |
|
N/A |
| CVS Calvert Social Balanced Portfolio |
|
12.265750 |
|
0.090500 |
|
0.74 |
|
(1.43) |
| DWS Dreman Small Mid Cap Val - Cls A |
|
10.000000 |
|
0.000000 |
|
0.00 |
|
N/A |
| Dreyfus IP Tech Growth Initial Shares |
|
10.652732 |
|
0.185124 |
|
1.77 |
|
(4.61) |
| Fidelity VIP Contrafund Initial Class |
|
18.486603 |
|
0.240391 |
|
1.32 |
|
(4.02) |
| Fidelity VIP Equity-Income Int Class |
|
15.978197 |
|
0.177246 |
|
1.12 |
|
(2.18) |
| Janus Aspen Series Balanced Inst Shrs |
|
16.281891 |
|
0.183967 |
|
1.14 |
|
2.77 |
| Janus Aspen Series WW Growth Inst Shares |
|
11.298758 |
|
0.172757 |
|
1.55 |
|
(4.00) |
| MFS VIT Utilities Series Initial Class |
|
10.095478 |
|
0.051231 |
|
0.51 |
|
N/A |
| MainStay VP Balanced Fund Initial Class |
|
11.847175 |
|
0.096676 |
|
0.82 |
|
(.32) |
| MainStay VP Bond Initial Class |
|
15.817770 |
|
0.094194 |
|
0.60 |
|
1.10 |
| MainStay VP Capital Appreciation Int Cls |
|
8.960598 |
|
0.117627 |
|
1.33 |
|
(3.58) |
| MainStay VP Cash Management |
|
1.251921 |
|
0.000056 |
|
0.00 |
|
1.00 |
| MainStay VP Common Stock Int Cls |
|
12.920943 |
|
0.163412 |
|
1.28 |
|
(2.17) |
| MainStay VP Conserv Allocation Int Cls |
|
11.372801 |
|
0.085864 |
|
0.76 |
|
(.21) |
| MainStay VP Convertible Initial Class |
|
17.355974 |
|
0.170926 |
|
0.99 |
|
.12 |
| MainStay VP Floating Rate Int Cls |
|
10.888133 |
|
0.005136 |
|
0.05 |
|
(.58) |
| MainStay VP Government Int Cls |
|
15.445760 |
|
0.084962 |
|
0.55 |
|
1.71 |
| MainStay VP Growth Allocation Int Cls |
|
11.896268 |
|
0.142743 |
|
1.21 |
|
(1.72) |
| MainStay VP Hi Yield Corp Bond Int Cls |
|
18.114398 |
|
0.036106 |
|
0.20 |
|
(.40) |
| MainStay VP ICAP Select Equity Int Cls |
|
14.596793 |
|
0.166766 |
|
1.16 |
|
(2.28) |
| MainStay VP International Equity Int Cls |
|
16.597871 |
|
0.177643 |
|
1.08 |
|
(2.23) |
| MainStay VP Large Cap Growth Int Cls |
|
12.211778 |
|
0.165672 |
|
1.38 |
|
(.20) |
| MainStay VP Mid Cap Core Int Cls |
|
18.470295 |
|
0.250777 |
|
1.38 |
|
(.17) |
| MainStay VP Mid Cap Growth Int Cls |
|
16.661691 |
|
0.226299 |
|
1.38 |
|
(3.31) |
| MainStay VP Mid Cap Value Int Class |
|
14.872470 |
|
0.125104 |
|
0.85 |
|
.62 |
| MainStay VP Mod Growth Allocat Int Cls |
|
11.765926 |
|
0.120963 |
|
1.04 |
|
(1.25) |
| MainStay VP Moderate Allocation Int Cls |
|
11.627331 |
|
0.105079 |
|
0.91 |
|
(.67) |
| MainStay VP S&P 500 Index Int Cls |
|
11.999653 |
|
0.127483 |
|
1.07 |
|
(2.53) |
| MainStay VP Small Cap Growth Int Cls |
|
11.054207 |
|
0.106122 |
|
0.97 |
|
(4.17) |
| MainStay VP Total Return Int Cls |
|
12.283071 |
|
0.125046 |
|
1.03 |
|
(1.76) |
| MainStay VP Value Int Cls |
|
16.352520 |
|
0.188397 |
|
1.17 |
|
(1.64) |
| Morgan Stanley U.S. Real Estate Cls I |
|
10.110203 |
|
0.110203 |
|
1.10 |
|
N/A |
| Royce Micro-Cap Portfolio - Inv Cls |
|
12.331162 |
|
0.122768 |
|
1.01 |
|
(3.37) |
| Royce Small-Cap Portfolio - Inv Cls |
|
11.877401 |
|
0.089735 |
|
0.76 |
|
5.93 |
| T. Rowe Price Equity Inc Portfolio |
|
16.957419 |
|
0.158394 |
|
0.94 |
|
(2.13) |
| Van Eck Worldwide Hard Assets |
|
23.266910 |
|
0.553133 |
|
2.44 |
|
18.16 |
| Van Kampen UIF Emerg Mkts Eq Class I |
|
33.910767 |
|
0.505250 |
|
1.51 |
|
(3.48) |
NYLIAC Variable Universal Life 2000 and Single Premium Variable Universal Life are issued by New York Life Insurance and Annuity Corporation (A Delaware Corporation) and distributed by NYLIFE Distributors LLC (Member FINRA) 51 Madison Avenue, New York, NY 10010. For more complete information on all product features, obtain a NYLIAC Variable Universal Life 2000 Prospectus and/or NYLIAC Single Premium Variable Universal Life Prospectus from your NYLIFE Securities Inc. Registered Representative or call 1-800-598-2019 to request a copy by mail. Please read the Prospectus carefully, including charges and expenses, before you invest or send money.
Consult an Agent
At no charge to you, a New York Life agent professionally trained and experienced can help you analyze your needs and recommend appropriate solutions through insurance and financial products and concepts. Request a no obligation review with a New York Life agent.
New York Life Insurance and
Annuity Company does not
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before making any decisions.
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