Premier Advisers - AssetManager
MetLife Insurance Company USA
Premier Advisers - AssetManager
Variable Funding Options
Portfolio Inception
Date One Month
Year-to-Date 1 Year 3 Year* 5 Year*
10 Year or Since Portfolio Inception*
BlackRock Money Market Portfolio - Class A 12/11/00 -0.15% -1.76% -1.76% -1.76% -1.76% -0.51%
Clarion Global Real Estate Portfolio - Class A 07/03/95 0.53% -2.97% -2.97% 3.37% 4.98% 2.23%
ClearBridge Variable Large Cap Value Portfolio - Class I 02/17/98 -2.41% -4.58% -4.58% 10.84% 9.95% 4.71%
ClearBridge Variable Small Cap Growth Portfolio - Class I 11/01/99 -4.77% -6.06% -6.06% 11.53% 10.14% 6.90%
Invesco Comstock Portfolio - Class A 04/30/99 -3.93% -7.39% -7.39% 9.93% 8.54% 4.00%
Invesco Mid Cap Value Portfolio - Class A 01/02/97 -5.77% -10.37% -10.37% 7.50% 5.22% 3.53%
Invesco V.I. Comstock Fund - Series I++ 01/02/97 -3.98% -7.64% -7.64% 9.85% 8.47% 4.23%
Invesco V.I. Government Securities Fund - Series I 04/07/86 -0.32% -1.43% -1.43% -1.19% 0.60% 1.24%
MFS® Emerging Markets Equity Portfolio - Class A 10/01/96 -4.94% -15.18% -15.18% -9.93% -7.29% 0.96%
Morgan Stanley Mid Cap Growth Portfolio - Class A 10/18/99 -0.28% -6.47% -6.47% 8.39% 4.67% 5.58%
Oppenheimer Global Equity Portfolio - Class A 01/02/97 -1.78% 2.34% 2.34% 8.82% 6.76% 4.81%
T. Rowe Price Large Cap Growth Portfolio - Class A 07/03/95 -0.55% 8.82% 8.82% 17.42% 10.76% 6.42%
T. Rowe Price Large Cap Value Portfolio - Class E 12/03/93 -2.00% -5.19% -5.19% 10.51% 7.03% 3.92%
UIF Growth Portfolio - Class I 01/02/97 -0.55% 10.26% 10.26% 18.78% 12.45% 7.99%
Western Asset Management Strategic Bond Opportunities Portfolio - Class B 02/17/98 -1.88% -3.73% -3.73% -0.46% 2.23% 2.15%
Western Asset Variable Global High Yield Bond Portfolio - Class I 05/01/98 -3.40% -7.50% -7.50% -2.12% 1.72% 3.14%
- Return Not Available
*Annualized for Investment Options/Portfolios in existence for more than one year.
Variable Investment Option Performance Update
Non-Standardized Performance: Without surrender charges applied
as of 12/31/2015
An investment in the BlackRock Money Market Portfolio is not insured or guaranteed by the Federal Deposit Insurance Company or any other government agency. Although the Portfolio seeks to preserve the value of your investment at $100 per share, it is possible to lose money by investing in the Portfolio.
++ Closed to new investments except under dollar cost averaging and rebalancing programs in existence at the time of closing.
The performance data quoted represents past performance and does not guarantee future results. Current performance may be lower or higher than the performance figures quoted. Performance current to the most recent month-end may be viewed at www.metlifeinvestors.com. The investment return and principal value of an investment will fluctuate and an investor's shares, when redeemed, may be worth more or less than their original cost. Returns for Sub-Accounts that invest in Portfolios that were in existence prior to the Sub-Account inception date have been adjusted to reflect the charges and expenses of the Premier Advisers - AssetManager Variable Annuity, as if the contract had existed during the stated period(s), including all Portfolio-level expenses, the M&E risk and administrative expense charges of 1.75% and the annual Account Fee of $50. The Premier Advisers - AssetManager product does not impose any withdrawal charges on withdrawals. These figures represent past performance and are not an indication of future performance.
Certain optional benefit riders have investment allocation restrictions. Not all investment portfolios are available for all products and/or optional benefit riders. Please see the product prospectus for more information.
Current performance may be lower or higher than the performance quoted. This is past performance and is no guarantee of future results.
Effective April 30, 2012, the Lord Abbett Mid Cap Value Portfolio of the Metropolitan Series Fund merged into the Lord Abbett Mid Cap Value Portfolio (currently known as Invesco Mid Cap Value Portfolio) of the Met Investors Series Trust. Values before April 30, 2012 reflect the performance of the Lord Abbett Mid Cap Value Portfolio of the Metropolitan Series Fund.
Effective April 29, 2013, the Oppenheimer Global Equity Portfolio of the Metropolitan Series Fund merged into the Met/Templeton Growth Portfolio of Met Investors Series Trust (MIST) and the Met/Templeton Growth Portfolio was renamed the MIST Oppenheimer Global Equity Portfolio. Values before April 29, 2013 reflect the performance of the Oppenheimer Global Equity Portfolio of the Metropolitan Series Fund.
The performance shown may reflect, for some periods, the management of previous subadvisers.
As of May 2, 2011, the following portfolio substitution took effect: Legg Mason Western Asset Variable Strategic Bond Portfolio into Western Asset Management Strategic Bond Opportunities Portfolio.
Performance for the Western Asset Management Strategic Bond Opportunities Portfolio consists of the performance of the Legg Mason Western Asset Variable Strategic Bond Portfolio before and on April 29, 2011 and the Western Asset Management Strategic Bond Opportunities Portfolio after April 29, 2011.
As of May 2, 2011, the following portfolio merger took effect: Invesco Van Kampen V.I. Government Fund into Invesco V.I. Government Securities Fund.
Performance for the Invesco V.I. Government Securities Fund consists of the performance of the Invesco Van Kampen V.I. Government Fund before and on April 29, 2011 and the Invesco V.I. Government Securities Fund after April 29, 2011.
Effective April 28, 2014, the T. Rowe Price Large Cap Value Portfolio of the Met Investors Series Trust replaced ClearBridge Variable All Cap Value Portfolio of the Legg Mason Partners Variable Equity Trust. Values before April 28, 2014 reflect the performance of the ClearBridge Variable All Cap Value Portfolio.
Effective April 28, 2014, the T. Rowe Price Large Cap Growth Portfolio of the Metropolitan Series Fund replaced the Invesco V.I. American Franchise Fund of the AIM Variable Insurance Funds (Invesco Variable Insurance Funds). Values before April 28, 2014 reflect the performance of the Invesco V.I. American Franchise Fund.
Effective on April 30, 2007, the following investment portfolio merged: Legg Mason Partners Variable All Cap Portfolio merged into Legg Mason Partners Variable Fundamental Value Performance for the Invesco Van Kampen V.I. Comstock Fund consists of the performance of the Invesco Van Kampen V. I. Value Fund before and on April 29, 2011 and the Invesco Van Kampen V.I. Comstock Fund after April 29, 2011.
On May 1, 2009, the following investment portfolio substitution was made: Van Kampen Life Investment Trust Comstock Portfolio into Van Kampen Comstock Portfolio.
Performance for the Van Kampen Comstock Portfolio consists of the performance for Van Kampen Life Investment Trust Comstock Portfolio before and on May 1, 2009 and the Van Kampen Comstock Portfolio after May 1, 2009.
Effective on April 30, 2007, the following investment portfolio substitutions were made: Van Kampen UIF Emerging Markets Equity Portfolio into MFS® Emerging Markets Equity Portfolio; Van Kampen UIF Global Value Equity Portfolio into Oppenheimer Global Equity Portfolio – Class A; Van Kampen UIF U.S. Mid Cap Value Portfolio into Neuberger Berman Mid Cap Value Portfolio.
As of May 2, 2011, the following portfolio merger took effect: Invesco Van Kampen V. I. Value Fund into Invesco Van Kampen V.I. Comstock Fund.
Effective on April 28, 2008, the following investment portfolio substitution was made: Van Kampen UIF Mid Cap Growth Portfolio into Van Kampen Mid Cap Growth Portfolio (now known as Morgan Stanley Mid Cap Growth Portfolio).
L1215449181[exp1216][All States]
Variable annuities are long-term investments designed for retirement purposes. Variable annuities have limitations, exclusions, charges,
termination provisions and terms for keeping it in force. There is no guarantee that any of the variable investment options in this product will
meet its stated goals or objectives. The account value is subject to market fluctuations and investment risk so that, when withdrawn, it may be
worth more or less than its original value. All product guarantees, including optional benefits, are subject to the claims-paying ability and
financial strength of the issuing insurance company. Please contact your financial professional for complete details.
Effective on November 13, 2006, the following investment portfolio substitution was made: Van Kampen UIF U.S. Real Estate Securities Portfolio into Neuberger Berman Real Estate Portfolio (now known as Clarion Global Real Estate Portfolio) – Class A.
MetLife Insurance Company USA • Charlotte, NC 28277
Premier Advisers - AssetManager variable annuities are issued by MetLife Insurance Company USA Policy Form Number TL-14529 and TL-14539 and are distributed by MetLife Investors Distribution Company (member FINRA).
Prospectuses for the investment portfolios are available from your financial professional or at www.metlifeinvestors.com. The contract
prospectus contains information about the contract’s features, risks, charges and expenses. The investment objectives, risks and policies of the
investment options, as well as other information about the investment options, are described in their respective prospectuses. Investors should
consider the investment objectives, risks, charges and expenses of the investment company carefully before investing. Please read the
prospectuses and consider this information carefully before investing. Product availability and features may vary by state.
Investment Performance Is Not Guaranteed.
Withdrawals of taxable amounts are subject to ordinary income tax and if made before age 59½, may be subject to a 10% Federal income tax
penalty. Distributions of taxable amounts from a non-qualified annuity may also be subject to the 3.8% Unearned Income Medicare
Contribution Tax on Net Investment Income if your modified adjusted gross income exceeds the applicable threshold amount. Withdrawals
will reduce the living and death benefits and account value. Withdrawals may be subject to withdrawal charges.
Premier Advisers - AssetManager
Premier Advisers - AssetManager
Variable Funding Options Inception DatePortfolio 1 Year 5 Years*
10 Year or Since Portfolio Inception*
Sub-Account
Inception Date 1 Year 5 Years*
10 Year or Since Sub-Account Inception*
BlackRock Money Market Portfolio - Class A 12/11/00 -1.76% -1.76% -0.51% 12/18/00 -1.76% -1.76% -0.51%
Clarion Global Real Estate Portfolio - Class A 07/03/95 -2.97% 4.98% 2.23% 07/01/99 -2.97% 4.98% 2.23%
ClearBridge Variable Large Cap Value Portfolio - Class I 02/17/98 -4.58% 9.95% 4.71% 05/01/00 -4.58% 9.95% 4.71% ClearBridge Variable Small Cap Growth Portfolio - Class I 11/01/99 -6.06% 10.14% 6.90% 05/01/00 -6.06% 10.14% 6.90%
Invesco Comstock Portfolio - Class A 04/30/99 -7.39% 8.54% 4.00% 07/12/99 -7.39% 8.54% 4.00%
Invesco Mid Cap Value Portfolio - Class A 01/02/97 -10.37% 5.22% 3.53% 07/01/99 -10.37% 5.22% 3.53%
Invesco V.I. Comstock Fund - Series I++ 01/02/97 -7.64% 8.47% 4.23% 06/28/99 -7.64% 8.47% 4.23%
Invesco V.I. Government Securities Fund - Series I 04/07/86 -1.43% 0.60% 1.24% 07/06/99 -1.43% 0.60% 1.24% MFS® Emerging Markets Equity Portfolio - Class A 10/01/96 -15.18% -7.29% 0.96% 07/01/99 -15.18% -7.29% 0.96% Morgan Stanley Mid Cap Growth Portfolio - Class A 10/18/99 -6.47% 4.67% 5.58% 05/01/00 -6.47% 4.67% 5.58%
Oppenheimer Global Equity Portfolio - Class A 01/02/97 2.34% 6.76% 4.81% 07/01/99 2.34% 6.76% 4.81%
T. Rowe Price Large Cap Growth Portfolio - Class A 07/03/95 8.82% 10.76% 6.42% 07/15/99 8.82% 10.76% 6.42% T. Rowe Price Large Cap Value Portfolio - Class E 12/03/93 -5.19% 7.03% 3.92% 05/22/98 -5.19% 7.03% 3.92%
UIF Growth Portfolio - Class I 01/02/97 10.26% 12.45% 7.99% 05/01/00 10.26% 12.45% 7.99%
Western Asset Management Strategic Bond Opportunities Portfolio - Class B 02/17/98 -3.73% 2.23% 2.15% 07/01/99 -3.73% 2.23% 2.15% Western Asset Variable Global High Yield Bond Portfolio - Class I 05/01/98 -7.50% 1.72% 3.14% 07/01/99 -7.50% 1.72% 3.14%
- Return Not Available
**Current yield for the seven-day period ending 12/31/2015 is -1.69% and for the seven-day period ending 12/31/2015 is -1.69%
The performance data quoted represents past performance and does not guarantee future results. Performance current to the most recent month-end may be viewed at www.metlifeinvestors.com. The investment return and principal value of an investment will fluctuate and an investor's shares, when redeemed, may be worth more or less than their original cost. Each Investment Option consists of a sub-account of the separate account supporting the contract (a "Sub-Account") that invests solely in shares of a fund portfolio (a "Portfolio").
Standardized Performance for an Investment Option, as defined by the SEC, is the Average Annual Total Return for periods commencing no earlier than the Sub-Account inception date and
terminating at the end of the most recent calendar quarter. Average Annual Total Returns shown that include periods prior to the Sub-Account inception date are Non-Standardized
Performance .Charges for Standardized Performance include all Portfolio-level expenses, the M&E risk and administrative expense charges of 1.75%, the contract administrative charge $50, and the surrender charge of 0%. Past performance does not guarantee future results.
Average Annual Total Return as of 12/31/2015
Assuming Contract Surrender
Standardized as of 12/31/2015 Assuming Contract Surrender
++ Closed to new investments except under dollar cost averaging and rebalancing programs in existence at the time of closing. *Annualized for Investment Options/Portfolios in existence for more than one year.
L1215449181[exp1216][All States]
Variable annuities are long-term investments designed for retirement purposes. Variable annuities have limitations, exclusions, charges, termination
provisions and terms for keeping them in force. There is no guarantee that any of the variable investment options in this product will meet its stated goals
or objectives. The account value is subject to market fluctuations and investment risk so that, when withdrawn, it may be worth more or less than its
original value. All product guarantees are subject to the claims-paying ability and financial strength of the issuing insurance company. Please contact
your financial professional for complete details.
Withdrawals of taxable amounts are subject to ordinary income tax and if made before age 59½, may be subject to a 10% Federal income tax penalty.
Distributions of taxable amounts from a non-qualified annuity may also be subject to the 3.8% Unearned Income Medicare Contribution Tax on Net
Investment Income if your modified adjusted gross income exceeds the applicable threshold amount. Withdrawals will reduce the living and death
benefits and account value. Withdrawals may be subject to withdrawal charges.
Prospectuses for the investment portfolios are available from your financial professional or at www.metlifeinvestors.com. The contract prospectus
contains information about the contract’s features, risks, charges and expenses. The investment objectives, risks and policies of the investment options, as
well as other information about the investment options, are described in their respective prospectuses. Investors should consider the investment
objectives, risks, charges and expenses of the investment company carefully before investing. Please read the prospectuses and consider this information
carefully before investing. Product availability and features may vary by state.
MetLife Insurance Company USA • Charlotte, NC 28277
Premier Advisers - AssetManager variable annuities are issued by MetLife Insurance Company USA Policy Form Number TL-14529 and TL-14539 and are distributed by MetLife Investors Distribution Company (member FINRA).