Social Choice Equity
Lifetime Variable Select
After-Tax Annuity
Investment Objective
The fund seeks a favorable long-term total return that reflects the investment performance of the overall U.S. stock market while giving special consideration to certain social criteria.
Portfolio Strategy
The fund invests primarily in equity securities that meet its social criteria. The fund attempts to track the return of the U.S. stock market as represented by the Russell 3000® Index, while investing only in companies whose activities are consistent with the fund's social criteria. It does this by investing in companies included in the KLD Research & Analytics, Inc.'s ("KLD") Broad Market Social IndexSM (the "KLD BMS Index"), which is a subset of companies in the Russell 3000® Index screened to eliminate companies that do not meet certain "social" criteria.
Top 10 holdingsas of 12/31/2009
| Company Name | % Assets | |
| 1 | Microsoft Corp | 2.55 |
| 2 | Johnson & Johnson | 1.97 |
| 3 | Procter & Gamble Co | 1.96 |
| 4 | International Business Machines Corp | 1.92 |
| 5 | Google, Inc (Class A) | 1.71 |
| 6 | Cisco Systems, Inc | 1.61 |
| 7 | Merck & Co, Inc | 1.53 |
| 8 | Hewlett-Packard Co | 1.53 |
| 9 | Wells Fargo & Co | 1.44 |
| 10 | Intel Corp | 1.42 |
portfolio analysis

The risks that the fund is subject to include the risk of socially screened investing, market risk, company risk, index risk and foreign investment risks.
The holdings information provided above is as of the date indicated, and may not reflect the current holdings of this fund.
C41011

