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Symetra Complete℠ Advisor Variable Life Insurance Morningstar Logo
Release date as of 10-31-2024. Data on page is subject to change.
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Total Returns as of 09-30-2024
Initial
Annualized
Sh. Class Since
Portfolio Incep. 1-Mo 3-Mo YTD 1-Yr 3-Yr 5-Yr 10-Yr Incep.

U.S. EQUITY
Large Blend
Vanguard VIF Equity Index 04-29-912.135.8621.9536.1711.7615.8113.2210.57
Vanguard VIF Total Stock Mkt Idx 01-08-032.056.1320.5235.1410.0315.0512.6410.98
 
Large Growth
CVT Nasdaq 100 Index I 04-27-002.511.9419.4536.7011.3521.4017.927.65
Fidelity VIP Contrafund Initial 01-03-951.833.6629.6444.3912.0718.5613.6912.17
Franklin DynaTech VIP Fund - Class 2 03-01-051.930.9523.8942.202.2913.9512.499.63
 
Large Value
Fidelity VIP Equity-Income Initial 10-09-861.318.4018.5128.9410.3412.269.739.49
Pioneer Equity Income VCT I 03-01-950.777.6211.6120.627.008.319.079.41
Vanguard VIF Equity Income 06-07-931.538.5416.1826.6710.6811.5010.449.98
 
Mid-Cap Blend
Fidelity VIP Mid Cap Initial 12-28-982.057.4818.0031.207.8613.069.7312.08
Vanguard VIF Mid-Cap Index 02-09-992.499.2814.6028.635.1711.0710.0710.22
 
Mid-Cap Growth
Neuberger Berman AMT Mid-Cap Growth I 11-03-973.584.7617.3930.740.5010.8110.719.59
 
Mid-Cap Value
Neuberger Berman AMT M/C Intrinsic Val I 08-22-010.654.237.8719.745.577.846.237.68
 
Small Blend
CVT Russell 2000 Small Cap Idx I 04-27-000.689.2011.0126.521.659.138.437.34
 
Small Value
Franklin Small Cap Value VIP 1 05-01-98-0.789.4911.3524.846.2310.239.108.36
 
 
INTERNATIONAL EQUITY
Diversified Emerging Mkts
Templeton Developing Markets VIP 1 03-04-965.318.0515.5824.580.315.224.363.71
 
Foreign Large Growth
Fidelity VIP Overseas Initial 01-28-870.346.4514.8829.883.669.557.016.34
Invesco VI EQV International Equity I 05-05-930.876.008.8622.843.106.365.136.87
LVIP American Century Intl Std II 04-29-94-0.376.2311.3623.37-1.107.325.515.90
Vanguard VIF International 06-03-943.287.2515.3128.32-3.4610.308.677.69
 
Global Large-Stock Blend
Templeton Growth VIP 1 03-15-94-0.303.119.7622.556.097.434.426.52
 
 
ALLOCATION
Aggressive Allocation
Morningstar Agrsv Gr ETF Asset Allc I 04-30-071.896.0916.1228.617.5810.768.676.24
 
Moderate Allocation
Franklin Allocation VIP 1 07-02-071.125.2511.8122.724.257.355.744.77
LVIP American Century Bal Std II 05-01-911.574.7913.0124.265.128.157.247.27
Vanguard VIF Balanced 05-23-911.325.1813.8324.766.109.098.619.39
 
Moderately Aggressive Allocation
Morningstar Growth ETF Asset Allc I 04-30-071.775.8314.2125.576.229.217.625.88
 
Moderately Conservative Allocation
Franklin Income VIP 1 01-24-891.646.7410.3018.836.376.835.598.27
 
Tactical Allocation
PIMCO VIT All Asset Admin 04-30-031.915.707.4814.811.856.044.425.63
 
 
TAXABLE BOND
Global Bond
Templeton Global Bond VIP 1 01-24-892.929.841.1810.73-0.39-1.81-0.645.67
 
High Yield Bond
Vanguard VIF High Yield Bond 06-03-961.234.656.8814.492.823.994.685.73
 
Inflation-Protected Bond
LVIP American Century InflProtStdII 12-31-021.514.174.899.94-1.042.262.253.47
 
Intermediate Core Bond
Fidelity VIP Investment Grade Bd Init 12-05-881.305.145.0012.13-0.951.192.405.33
Vanguard VIF Total Bond Mkt Idx 04-29-911.415.174.4411.46-1.480.231.744.73
 
Intermediate Core-Plus Bond
PIMCO VIT Total Return Admin 12-31-971.395.175.5212.77-1.470.501.974.47
Pioneer Strategic Income VCT I 07-29-991.676.257.2815.540.532.572.915.63
 
 
MONEY MARKET
Money Market-Taxable
Fidelity VIP Government MMKT Initial 04-01-820.421.313.925.253.412.181.501.30
7-Day Yield %: 4.62
 
 
COMMODITIES
Commodities Broad Basket
PIMCO VIT CommodityRealReturn® Strat Adm 06-30-045.181.776.573.152.018.770.321.01
 
 
SECTOR EQUITY
Real Estate
Vanguard VIF Real Estate Index 02-09-993.2517.1313.4934.072.374.637.269.36
 
Technology
BNY Mellon IP Technology Growth Init 08-31-992.48-1.4119.5643.492.1516.6714.887.49
 
PORTFOLIOS AVAILABLE ONLY TO CONTRACT OWNERS CONTINUOUSLY INVESTED AS OF April 28, 2020
Vanguard VIF Small Co Gr 06-03-960.736.9810.3024.030.128.819.6010.21
Disclosure

Symetra Complete℠ Advisor Variable Life Insurance is no longer available for new business.

This material must be preceded or accompanied by a current prospectus.

Before investing, carefully consider the investment objectives, risks, charges and expenses. The policy's value allocated to the subaccounts will fluctuate. Variable life insurance involves fees and charges such as administrative charges, expense charges, cost of insurance charges, variable policy value charges, premium charges, surrender charges, underlying fund expenses, and, if applicable, transfer processing fees or withdrawal processing fees. Certain policy features may differ depending on the state regulations under which the policy is governed. This and other information is contained in the policy prospectus and the underlying portfolio prospectuses. Please contact your Registered Representative or Symetra for free copies of the prospectuses or visit www.symetra.com for an online copy. Please read them carefully before investing.

The performance figures quoted represent past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than the performance data quoted. Performance data as of the most recent month end can be obtained at www.symetra.com. Investment return and principal value may fluctuate with changes in market conditions. Market volatility and interest rate changes, among other factors, can drastically affect a portfolio's return. Thus, when redeemed, units may be worth more or less than what was paid.

Securities are offered through Symetra Securities, Inc. (SSI). Variable life insurance is issued by Symetra Life Insurance Company (SLIC) and is not available in all U.S. states or any U.S. territory. SSI and SLIC are affiliates and are located at 777 108th Ave. NE, Suite 1200, Bellevue, WA 98004-5135. Each company is responsible for its own financial obligations.

Guarantees and benefits are subject to the claims-paying ability of Symetra Life Insurance Company.

This policy is not available in all U.S. states or any U.S. territory; however, where available, it is usually issued under policy form number L-9971 6/06. In Oregon, the policy form number is L-9974/OR 6/06.

A portfolio is a pooled funding vehicle established by an investment company and made available exclusively to a participating insurance company's separate account. There are special risks associated with investing in certain portfolios. Examples may include small company, geographic, international, emerging markets, interest rate, defaulted debt and sector focus. See the underlying portfolio prospectus(es) before investing.

You could lose money by investing in the Fidelity VIP Government Money Market Portfolio. Although the Portfolio seeks to preserve the value of your investment at $1.00 per share, it cannot guarantee it will do so. An investment in the Portfolio is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Fidelity Investments and its affiliates, the portfolios sponsor, have no legal obligation to provide financial support to the Portfolio, and you should not expect that the sponsor will provide financial support to the portfolio at any time.

Money market yield is a function of type, quality and maturity of a portfolio's investment portfolio and operating expenses. Money market portfolio yield is the annualization on a 365-day basis of the portfolio's net income over a 7-day period. Effective yield is the yield calculated with dividends reinvested. These yields should not be considered representative of future yields as they are not fixed or guaranteed, and the portfolio is not insured. The 7-day yield quotation more closely reflects the current earnings of the portfolio than the total return quotations.

The portfolio performance figures reflect past performance, net of common charges including investment management fees, 12b-1 fees and other expenses. They do not include the mortality and expense risk charge, monthly administration charge, distribution charge or the cost of insurance protection. If these charges were included, total returns would be significantly lower. The performance figures are hypothetical because they are based on the investment company's inception date of the earliest share class of each portfolio, which is prior to the portfolio's inclusion in the separate account. This date is listed under the heading, "Initial Sh. Class Incep."

Average annual total return is the average annual percentage change in the unit value of an investment, assuming the reinvestment of dividends and capital gains, over a stated period of time. The YTD total return is the total percentage change in the unit value of an investment, assuming reinvestment of dividends and capital gains, over the stated period of time.

Current investors are encouraged to review the hypothetical illustration included in the product prospectus that shows the effect fees and charges have on performance.

The Morningstar Rating™ for funds, or "star rating", is calculated for managed products (including mutual funds, variable annuity and variable life subaccounts, exchange-traded funds, closed-end funds, and separate accounts) with at least a three-year history. Exchange-traded funds and open-ended mutual funds are considered a single population for comparative purposes. It is calculated based on a Morningstar Risk-Adjusted Return measure that accounts for variation in a managed product's monthly excess performance, placing more emphasis on downward variations and rewarding consistent performance. The Morningstar Rating does not include any adjustment for sales loads. The top 10% of products in each product category receive 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars, and the bottom 10% receive 1 star. The Overall Morningstar Rating for a managed product is derived from a weighted average of the performance figures associated with its three-, five-, and 10-year (if applicable) Morningstar Rating metrics.

Overall ratings represent a weighted average of specific time period (3-, 5- and 10-year) ratings.

Symetra Complete℠ Advisor is a Patented FutureSystem™ Life Model Design.

Symetra® is a registered service mark of Symetra Life Insurance Company.