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After-Tax Annuities: Current Performance

TIAA-CREF Investment Horizon Annuity from TIAA-CREF Life Insurance Company
Current Clients - call 1 877 694-0305
Rates as of a 10/1/2014 (TIAA-CREF Life Insurance Company reserves the right to change the rates without notice.)
Guarantee Period (fixed term deposit) 1 Interest Rates 2
1 Year --
2 Year --
3 Year --
4 Year --
5 Year 1.50%
6 Year 1.70%
7 Year 1.85%
8 Year 2.15%
9 Year 2.35%
10 Year 2.45%
Intelligent Variable Annuity from TIAA-CREF Life Insurance Company 3
Current Clients - call 1 877 694-0305
  Performance Data
as of 10/30/2014 4
Average Annual Total Returns
as of 09/30/2014 4
  Unit
Values
Net
Change 5
YTD
Return 5
1 Year 3 Year 5 Year 10 Year Since Inception 6, 7
International
Delaware VIP International Value Equity Series - Standard Class $13.82 + 0.05 -6.40% 3.23% 12.32% 5.95% -- 1.31%
Janus Aspen Overseas Portfolio - Institutional Shares 8 $56.28 + 0.40 -6.14% 3.47% 7.28% 1.65% -- -0.82%
MFS Global Equity Series - Initial Class $22.17 + 0.14 0.35% 8.04% 19.09% 11.83% -- 7.21%
TIAA-CREF Life International Equity $27.32 + 0.09 -9.34% 0.87% 15.38% 7.22% 5.81% 1.68%
Templeton Developing Markets VIP Fund 9 $13.78 + 0.03 -3.81% -0.50% 4.82% 3.07% -- -0.18%
Wanger International $53.23 + 0.14 -3.03% 3.68% 13.45% 9.53% -- 4.91%
DFA VA International Small Portfolio $31.35 + 0.03 -5.19% 3.88% -- -- -- 11.11%
DFA VA International Value Portfolio $30.98 + 0.07 -5.33% 3.46% -- -- -- 10.84%
Matson Money International Equity VI Portfolio $23.62 + 0.05 -- -- -- -- -- -2.72%
U.S. Equity
ClearBridge Variable Aggressive Growth Portfolio - Class 1 10 $33.13 + 0.14 16.23% 28.33% 31.46% 21.60% -- 12.33%
ClearBridge Variable Small Cap Growth Portfolio - Class 1 11 $28.17 + 0.18 -3.26% 2.31% 24.20% 16.96% -- 10.30%
DFA VA US Large Value Portfolio $39.96 + 0.07 5.19% 19.27% -- -- -- 21.90%
DFA VA US Targeted Value Portfolio $39.10 + 0.08 0.56% 10.53% -- -- -- 19.53%
Delaware VIP Small Cap Value Series - Standard Class $52.02 + 0.04 2.64% 10.10% 20.75% 15.82% -- 9.89%
Franklin Mutual Shares VIP Fund 12 $26.70 + 0.09 4.47% 13.69% 19.47% 11.81% -- 5.50%
Franklin Small-Mid Cap Growth VIP Fund 13 $36.52 + 0.21 3.85% 11.33% 20.42% 14.95% -- 8.74%
Janus Aspen Forty Portfolio - Institutional Shares $54.33 + 0.58 2.98% 12.07% 20.82% 10.97% -- 5.77%
Janus Aspen Perkins Mid Cap Value Portfolio - Institutional Shares $26.23 + 0.11 5.36% 11.49% 16.81% 10.87% -- 7.16%
MFS Growth Series - Initial Class 8 $40.30 + 0.48 5.02% 14.36% 21.06% 14.69% -- 9.00%
MFS Investors Growth Stock Series - Initial Class $18.11 + 0.18 4.61% 13.01% 18.84% 13.43% -- 8.03%
Matson Money US Equity VI Portfolio $25.94 + 0.10 -- -- -- -- -- 2.14%
Neuberger Berman AMT Large Cap Value Portfolio-Class I $24.10 0.00 3.30% 15.01% 20.52% 10.98% -- 4.04%
Neuberger Berman AMT Mid Cap Intrinsic Value Portfolio-Class I $24.75 + 0.10 6.62% 14.26% 23.82% 15.63% -- 7.99%
PVC Equity Income Account I - Class 1 $28.29 + 0.15 8.70% 16.60% 19.60% 14.38% -- 7.13%
PVC Mid Cap Account - Class 1 14 $30.69 + 0.17 7.34% 13.59% 23.43% -- -- 18.28%
Prudential Series Fund - Jennison 20/20 Focus Portfolio - Class II $24.52 + 0.10 4.39% 12.16% 17.15% 11.06% -- 7.12%
Prudential Series Fund - Value Portfolio - Class II $36.08 + 0.11 5.69% 14.92% 20.67% 12.21% -- 5.91%
Royce Capital Fund Micro-Cap Portfolio - Investment Class $18.18 + 0.13 -5.54% -2.82% 8.74% 7.19% -- 3.74%
Royce Capital Fund Small-Cap Portfolio - Investment Class $17.36 + 0.11 -0.93% 4.18% 16.20% 11.21% -- 7.93%
TIAA-CREF Life Growth & Income $48.81 + 0.32 7.11% 17.43% 22.20% 14.52% 9.49% 4.10%
TIAA-CREF Life Growth Equity $28.81 + 0.37 7.43% 18.20% 23.17% 15.88% 8.37% 0.62%
TIAA-CREF Life Large Cap Value $70.59 + 0.33 4.01% 14.70% 23.36% 13.28% 7.35% 9.30%
TIAA-CREF Life Small Cap Equity $82.79 + 0.66 2.27% 5.07% 21.11% 14.07% 7.46% 10.61%
TIAA-CREF Life Social Choice $47.16 + 0.29 7.30% 16.08% 21.51% 14.52% 7.85% 3.82%
TIAA-CREF Life Stock Index $56.89 + 0.34 7.98% 16.98% 22.25% 14.99% 7.77% 4.91%
Wanger Select Fund $37.96 + 0.14 -0.30% 9.03% 19.58% 12.01% -- 6.08%
Wanger U.S.A. $57.91 + 0.38 1.03% 3.88% 19.76% 13.91% -- 8.16%
Balanced
TIAA-CREF Life Balanced $25.73 + 0.07 -- -- -- -- -- 2.17%
Calamos Growth & Income Portfolio 15 $20.71 + 0.09 4.80% 9.69% 10.63% 8.32% -- 5.60%
DFA VA Global Moderate Allocation Portfolio $26.13 + 0.07 1.85% -- -- -- -- 4.46%
Franklin Income VIP Fund 16 $25.75 + 0.08 5.67% 12.23% 13.43% 10.62% -- 6.47%
PIMCO VIT All Asset Portfolio - Institutional Class $16.73 0.00 3.62% 4.25% 6.90% 6.55% -- 4.66%
Fixed Income
DFA VA Global Bond Portfolio $25.90 0.00 2.12% 1.29% -- -- -- 1.19%
DFA VA Short-Term Fixed Portfolio $24.85 0.00 -0.20% -0.44% -- -- -- -0.27%
Delaware VIP Diversified Income Series - Standard Class $15.27 + 0.01 5.08% 5.01% 3.60% 5.02% -- 5.79%
Matson Money Fixed Income VI Portfolio $24.98 0.00 -- -- -- -- -- -0.41%
PIMCO VIT Emerging Markets Bond Portfolio-Inst. Class $26.27 + 0.02 6.81% -- -- -- -- 3.78%
PIMCO VIT Global Bond Portfolio (Unhedged) - Inst. Class $17.57 -0.03 3.20% -0.08% -0.23% 3.49% -- 4.11%
PIMCO VIT Real Return Portfolio - Institutional Class $16.84 -0.01 4.38% 1.32% 1.32% 4.40% -- 3.63%
T Rowe Price Limited-Term Bond Portfolio $25.23 0.00 0.38% 0.33% -- -- -- 0.34%
TIAA-CREF Life Bond $37.55 + 0.01 4.29% 3.77% 2.94% 3.93% 3.74% 3.62%
Western Asset Variable Global High Yield Bond Portfolio - Class 1 17 $15.32 0.00 2.44% 5.39% 10.17% 9.17% -- 7.40%
Real Estate
TIAA-CREF Life Real Estate $83.37 + 0.58 21.16% 12.51% 15.82% 15.34% 7.02% 10.45%
VY Clarion Global Real Estate Portfolio - Class 1 18 $37.28 + 0.25 10.65% 6.26% 13.51% -- -- 8.33%
Sector Specific
Credit Suisse Trust-Commodity Return Strategy Portfolio $23.53 -0.20 -6.98% -- -- -- -- -5.19%
MFS Utilities Series - Initial Class $51.90 + 0.58 13.10% 16.34% 17.75% 13.80% -- 7.53%
PIMCO VIT Commodity Real Return Strategy Portfolo - Inst. Class $23.65 -0.21 -5.64% -- -- -- -- -4.87%
Prudential Series Fund - Natural Resources Portfolio- Class II $53.77 -0.75 -8.40% 3.08% 7.10% 3.87% -- -0.39%
Money Market 19
TIAA-CREF Life Money Market $11.27 0.00 -0.50% -0.60% -0.59% -0.55% 1.14% 1.07%
  7-day current annualized yield -0.60% as of 10/30/2014
7-day effective annualized yield -0.60% as of 10/30/2014
Lifetime Variable Select from TIAA-CREF Life Insurance Company 20
Current Clients - call 1 800 223-1200
  Performance Data
as of 10/31/2014 4
Average Annual Total Returns
as of 09/30/2014 4
  Unit
Values 21
Net
Change 5
YTD
Return 5
1 Year 3 Year 5 Year 10 Year Since Inception 6, 22
International
International Equity $27.7627 + 0.43 -7.91% 0.87% 15.38% 7.22% 5.81% 1.65%
U.S. Equity
Growth & Income $49.3842 + 0.57 8.37% 17.43% 22.20% 14.52% 9.49% 4.06%
Growth Equity $29.1226 + 0.30 8.56% 18.20% 23.17% 15.88% 8.38% 0.61%
Large-Cap Value $71.6014 + 0.98 5.45% 14.70% 23.36% 13.28% 7.35% 9.30%
Small-Cap Equity $84.2099 + 1.35 3.94% 5.07% 21.11% 14.07% 7.47% 10.62%
Social Choice Equity $47.8986 + 0.54 8.52% 16.08% 21.51% 14.52% 7.89% 3.85%
Stock Index $57.5707 + 0.69 9.28% 16.98% 22.25% 14.99% 7.76% 4.90%
Fixed Income
Bond $37.5198 -0.03 4.21% 3.77% 2.94% 3.93% 3.74% 3.77%
Real Estate
Real Estate Securities $84.6705 + 1.24 22.95% 12.51% 15.82% 15.34% 7.02% 10.45%
Money Market 19
Money Market $11.2609 0.00 -0.50% -0.60% -0.59% -0.55% 1.14% 1.07%
  7-day current annualized yield -0.60% as of 10/30/2014
7-day effective annualized yield -0.60% as of 10/30/2014
Personal Annuity Select from TIAA-CREF Life Insurance Company
Current Clients - call 1 800 223-1200
  Performance Data
as of 10/31/2014 4
Average Annual Total Returns
as of 09/30/2014 4
  Unit
Values 21
Net
Change 5
YTD
Return 5
1 Year 3 Year 5 Year 10 Year Since Inception 6, 22
International
International Equity $27.7598 + 0.43 -7.91% 0.87% 15.38% 7.22% 5.81% 1.71%
U.S. Equity
Growth & Income $49.4082 + 0.58 8.37% 17.43% 22.20% 14.52% 9.50% 4.13%
Growth Equity $29.1042 + 0.30 8.56% 18.20% 23.17% 15.88% 8.37% 0.68%
Large-Cap Value $71.5874 + 0.98 5.45% 14.70% 23.36% 13.28% 7.35% 9.32%
Small-Cap Equity $84.1603 + 1.35 3.94% 5.07% 21.11% 14.07% 7.46% 10.63%
Social Choice Equity $47.7179 + 0.54 8.52% 16.08% 21.51% 14.53% 7.85% 3.89%
Stock Index $57.5984 + 0.69 9.28% 16.98% 22.25% 14.99% 7.77% 5.00%
Real Estate
Real Estate Securities $84.6113 + 1.23 22.95% 12.51% 15.82% 15.34% 7.02% 10.46%
Teachers Personal Annuity from Teachers Insurance and Annuity Association
Current Clients - call 1 800 223-1200
  Performance Data
as of 10/31/2014 4
Average Annual Total Returns
as of 09/30/2014 4
  Unit
Values 21
Net
Change 5
YTD
Return 5
1 Year 3 Year 5 Year 10 Year Since Inception 6, 22
U.S. Equity
Stock Index $148.5172 + 1.78 9.20% 16.84% 22.17% 14.95% 7.73% 9.08%
Fixed Interest Accounts
Current Clients - call 1 800 223-1200
  Current Interest Rates 23
Personal Annuity Select Fixed View Rates (PDF)
Teachers Personal Annuity Fixed View Rates (PDF)

The performance data quoted represent past performance, and is no guarantee of future results. Your returns and the principal value of your investment will fluctuate so that your accumulation units, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance quoted above. For investments with exceptional performance, please note that performance fluctuates and currently may be lower than noted here.

Beginning July 7, 2011, part or all of the investment management fees of the TIAA-CREF Life Money Market Fund may be voluntarily waived. Without this waiver, current and effective annualized yields and total returns would be lower. This fee waiver may be discontinued at any time without notice.

 

1.
Assets withdrawn (PDF) from a fixed term deposit before it matures will be subject to taxes, surrender charge and a market value adjustment which can be either positive or negative (check prospectus for any state variations). Both the market value adjustment and the surrender charge can reduce your original investment.
2.
TIAA-CREF Life Insurance Company will declare the interest rates for each fixed term deposit and cannot predict or guarantee what future interest rates will be.
3.
Intelligent Variable Annuity's contract issuance date was February 5th, 2008 and the separate account established date was July 27th, 1998. Performance includes investment account performance prior to introduction of contract, adjusted to reflect Intelligent Variable Annuity's contract expenses. All unit values displayed assume a 0.40% M&E charge and election of the optional GMDB at an additional expense of 0.10%. The M&E charges may be less. Please see the prospectus for more information.
4.
Rates of return reflect past performance and are no guarantee of comparable future results. The value of your accumulation in the variable annuities can rise or fall. The units you own may be worth more or less than their original price when you redeem them. Investment results shown here are after all investment, administrative, and distribution expenses.
5.
Net change from the previous business day. Both the "Net Change" and "YTD Return" columns for variable annuities are only updated once final valuations have been performed; this usually occurs at approximately 10:00 p.m. ET.
6.
To see the inception date for each account, click on that account and review the account profile information.
7.
For funds less than 1 year from inception, "since inception" will display cumulative returns. All other funds will display annualized returns.
8.
Effective February 18, 2013, the Janus Aspen Overseas - Inst. Shares and the MFS Growth - Initial Class are closed to new investors.
9.
Formerly Templeton Developing Markets Securities Fund-Class 1
10.
Formerly Legg Mason ClearBridge Variable Aggressive Growth Portfolio - Class 1
11.
Formerly Legg Mason ClearBridge Variable Small Cap Growth Portfolio - Class 1
12.
Formerly Mutual Shares Securities Fund -Class 1
13.
Formerly Franklin Small-Mid Cap Growth Securities Fund-Class 1
14.
Formerly PVC Mid Cap Blend Account - Class 1
Closed to new investors effective August 15, 2013
15.
Effective July 30, 2012, the Calamos Growth & Income Portfolio is closed to new investors.
16.
Formerly Franklin Income Securities Fund-Class 1
17.
Formerly Legg Mason Western Asset Variable GL High Yield Bond Portfolio - Class I
18.
Formerly ING Clarion Global Real Estate Portfolio - Class I
19.
An investment in a money market account is not a deposit of any bank and is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other U.S. government agency. It is possible to lose money in these accounts.
The current yield more closely reflects the account's current earnings than does the total return. Yields shown here for the Money Market Account reflects annual expenses inclusive of the 0.60% charged by the separate account.
20.
Lifetime Variable Select performance includes investment account performance prior to introduction of contract, adjusted to reflect Lifetime Variable Select contract expenses.
21.
Each business day, estimated unit values are usually posted between 6:00 p.m. and 8:00 p.m., ET. Final unit values are usually posted between 10:00 p.m. and 11:00 p.m., ET. On days when stock trading is particularly active, the estimated unit values may be posted a little later, and the final unit values may be posted the following morning. If the net change and YTD return figures do not appear, the unit values you're looking at are preliminary estimates.
22.
From November 30, 2007 on, the since inception performance shown is computed from the inception date of the fund/account (the date on which the fund/account became publicly available). Previously, since inception performance for this fund/account was computed from the net asset value per share on the day prior to the inception date.
23.
Current effective annual rate credited on new fixed account premiums. This rate is subject to change.

The Teachers Personal Annuity Fixed Account and the Personal Annuity Select Fixed Account provide the opportunity for additional interest on top of a guaranteed minimum. Additional interest comes from earnings over and above the amounts needed to meet contractual guarantees. The rates do not apply to accumulations in the variable components of the Teachers Personal Annuity and the Personal Annuity Select. Contracts issued prior to 03/01/2004 have a guaranteed minimum interest rate of 3%. Contracts issued after 02/29/2004 have a guaranteed minimum interest rate which varies by state of issue. Please call 1 800 223-1200 for the guaranteed minimum in your state.

TIAA-CREF Individual & Institutional Services, LLC, and Teachers Personal Investors Services, Inc., and Nuveen Securities, LLC, members FINRA and SIPC, distribute securities products. Intelligent Variable Annuity, Personal Annuity Select, Lifetime Variable Select annuities are issued by TIAA-CREF Life Insurance Company, New York, NY. Teachers Personal Annuity is issued by Teachers Insurance and Annuity Association, New York, NY. Investment products, insurance and annuity products: are not FDIC insured, are not bank guaranteed, are not deposits, are not insured by any federal government agency, are not a condition to any banking service or activity, and may lose value.

© 2014 and prior years, Teachers Insurance and Annuity Association - College Retirement Equities Fund (TIAA-CREF), New York, NY 10017