Investment Option | AUV as of 04/03/2025 | AUV as of 04/02/2025 | AUV Change | Percentage Change |
Alger Mid Cap Growth I-2 | 39.4272 | 42.2951 | -2.8679 | -7.27% |
Allspring VT Discovery SMID Growth Fund | 58.8318 | 62.9157 | -4.0839 | -6.94% |
American Funds Insurance Series New World Class 1 | 32.7670 | 33.5538 | -0.7868 | -2.40% |
American Funds IS Growth Fund | 299.1251 | 317.0283 | -17.9032 | -5.99% |
American Funds IS International Growth & Income Class 1 | 20.9585 | 21.2675 | -0.3090 | -1.47% |
American Funds IS Managed Risk Asset Allocation | 18.5123 | 18.9435 | -0.4312 | -2.33% |
American Funds IS New World Fund | 35.7452 | 36.6098 | -0.8646 | -2.42% |
American Funds IS US Government Securities Fund Cl1 | 12.3692 | 12.2585 | 0.1107 | 0.89% |
American Funds IS Washington Mutual Investors Class 1 | 28.0591 | 29.1382 | -1.0791 | -3.85% |
American Funds IS Washington Mutual Investors FundCl 4 | 33.1816 | 34.4584 | -1.2768 | -3.85% |
BlackRock High Yield Variable Insurance Fund Class1 | 9.6209 | 9.7186 | -0.0977 | -1.02% |
BlackRock High Yield Variable Insurance Fund III | 9.4404 | 9.5504 | -0.1100 | -1.17% |
BNY Mellon Investment Products: Small Cap Stock Index Portfolio | 43.5974 | 46.9534 | -3.3560 | -7.70% |
Calvert VP SRI Balanced I | 3.3646 | 3.4546 | -0.0900 | -2.67% |
ClearBridge Variable Small Cap Growth | 32.1313 | 34.4195 | -2.2882 | -7.12% |
CVT S&P Mid Cap 400 Index Portfolio | 202.1296 | 216.5653 | -14.4357 | -7.14% |
DFA VA US Targeted Value | 31.2321 | 33.8220 | -2.5899 | -8.29% |
Fidelity VIP Freedom 2015 Service Class 2 | 18.4810 | 18.6813 | -0.2003 | -1.08% |
Fidelity VIP Freedom 2020 Fund Initial Class | 19.1340 | 19.4182 | -0.2842 | -1.49% |
Fidelity VIP Freedom 2025 Fund Initial Class | 20.6206 | 21.0059 | -0.3853 | -1.87% |
Fidelity VIP Freedom 2025 Service Class 2 | 21.3846 | 21.7889 | -0.4043 | -1.89% |
Fidelity VIP Freedom 2030 Fund Initial Class | 21.4533 | 21.9179 | -0.4646 | -2.17% |
Fidelity VIP Freedom 2035 Fund Initial Class | 35.6291 | 36.5635 | -0.9344 | -2.62% |
Fidelity VIP Freedom 2035 Service Class 2 | 37.0332 | 38.0018 | -0.9686 | -2.62% |
Fidelity VIP Freedom 2040 Fund Initial Class | 35.6816 | 36.8706 | -1.1890 | -3.33% |
Fidelity VIP Freedom 2045 Fund Initial Class | 35.5517 | 36.8597 | -1.3080 | -3.68% |
Fidelity VIP Freedom 2045 Service Class 2 | 37.2094 | 38.5788 | -1.3694 | -3.68% |
Fidelity VIP Freedom 2050 Fund Initial Class | 32.1862 | 33.3730 | -1.1868 | -3.69% |
Fidelity VIP Freedom 2055 Fund Initial Class | 15.8064 | 16.3799 | -0.5735 | -3.63% |
Fidelity VIP Freedom 2055 Service Class 2 | 15.6677 | 16.2514 | -0.5837 | -3.73% |
Fidelity VIP Freedom 2060 Initial Class | 15.8950 | 16.4710 | -0.5760 | -3.62% |
Fidelity VIP Freedom 2065 SC2 | 15.6073 | 16.1729 | -0.5656 | -3.62% |
Fidelity VIP Freedom Retirement Income Initial | 13.6563 | 13.7053 | -0.0490 | -0.36% |
Fidelity VIP FundsManager 20% Service Class 2 | 13.5554 | 13.6449 | -0.0895 | -0.66% |
Fidelity VIP FundsManager 50% Service Class 2 | 18.1327 | 18.5029 | -0.3702 | -2.04% |
Fidelity VIP FundsManager 60% Service Class 2 | 18.1214 | 18.5715 | -0.4501 | -2.48% |
Fidelity VIP FundsManager 70% Service Class 2 | 21.0099 | 21.6258 | -0.6159 | -2.93% |
Fidelity VIP FundsManager 85% Service Class 2 | 22.7362 | 23.5846 | -0.8484 | -3.73% |
Fidelity VIP Index 500 Portfolio (SC2) | 656.6227 | 690.0565 | -33.4338 | -5.09% |
Fidelity VIP Investment Grade Bond Portfolio (SC2) | 22.9073 | 22.7824 | 0.1249 | 0.55% |
Fidelity VIP Overseas Portfolio (SC2) | 44.0807 | 45.0767 | -0.9960 | -2.26% |
Fidelity VIP Real Estate Portfolio Service Class 2 | 24.6942 | 25.5341 | -0.8399 | -3.40% |
Fidelity VIT Investment Grade Bond Initial Class | 12.8256 | 12.7581 | 0.0675 | 0.53% |
Goldman Sachs Government Money Market Fund Institutional | 1.0681 | 1.0680 | 0.0001 | 0.01% |
Janus Henderson VIT Enterprise | 124.8415 | 131.4508 | -6.6093 | -5.29% |
JPMorgan Small Cap Value | 38.1851 | 41.0267 | -2.8416 | -7.44% |
Lord Abbett Developing Growth Portfolio | 41.8549 | 44.3708 | -2.5159 | -6.01% |
LVIP JPM US Equity Fund | 74.2145 | 78.1862 | -3.9717 | -5.35% |
MFS Mid Cap Value Portfolio | 18.6227 | 19.6976 | -1.0749 | -5.77% |
MFS VIT III Blended Research Small Cap Equity Portfolio Initial Class | 18.8902 | 20.4546 | -1.5644 | -8.28% |
MFS VIT III Mid Cap Value Portfolio Initial Class | 14.7147 | 15.5801 | -0.8654 | -5.88% |
MFS VIT International Growth Service | 20.5715 | 20.8919 | -0.3204 | -1.56% |
MFS VIT New Discovery Initial | 21.5491 | 23.0291 | -1.4800 | -6.87% |
Putnam VT Sustainable Leaders IA | 62.9908 | 66.6217 | -3.6309 | -5.76% |
T Rowe Price Blue Chip Growth Portfolio | 64.7876 | 68.7642 | -3.9766 | -6.14% |
T Rowe Price Emerging Markets Stock Fund - Invest | 35.5730 | 36.3312 | -0.7582 | -2.13% |
T Rowe Price Equity Income Fund - Investor Class | 57.3390 | 59.8295 | -2.4905 | -4.34% |
T Rowe Price Global Real Estate - Investor Class | 22.0523 | 22.6254 | -0.5731 | -2.60% |
T Rowe Price Growth Stock Fund - Investor Class | 134.0972 | 141.9788 | -7.8816 | -5.88% |
T Rowe Price International Bond Fund-Investor Class | 7.5991 | 7.4808 | 0.1183 | 1.56% |
T Rowe Price New Horizons Fund - Investor Class | 85.5987 | 91.7538 | -6.1551 | -7.19% |
T Rowe Price New Income Fund - Investor Class | 9.3842 | 9.3367 | 0.0475 | 0.51% |
T Rowe Price Overseas Stock Fund - Investor Class | 14.1053 | 14.4725 | -0.3672 | -2.60% |
T Rowe Price Small Cap Value - Investor Class | 66.1025 | 70.7135 | -4.6110 | -6.98% |
T Rowe Price Spectrum Income Fund-Investor Class | 14.4019 | 14.4007 | 0.0012 | 0.01% |
Templeton Global Bond Securities Fund - Class 4 | 16.9874 | 16.7425 | 0.2449 | 1.44% |
Templeton Global Bond VIP Fund Class 1 | 13.8419 | 13.6391 | 0.2028 | 1.47% |
Vanguard 500 Index Admiral Shares | 515.6064 | 541.8298 | -26.2234 | -5.09% |
Vanguard Developed Markets Index Admiral Shares | 18.5715 | 18.9762 | -0.4047 | -2.18% |
Vanguard Emerging Markets Stock Index Admiral Shares | 42.4188 | 43.2342 | -0.8154 | -1.92% |
Vanguard Extended Market Index Signal Shares | 125.0210 | 134.4135 | -9.3925 | -7.51% |
Vanguard Federal Money Market Fund | 1.0803 | 1.0802 | 0.0001 | 0.01% |
Vanguard High-Yield Corporate Fund Admiral Shares | 7.4814 | 7.5218 | -0.0404 | -0.54% |
Vanguard Mid-Growth Fund | 40.7427 | 43.7882 | -3.0455 | -7.47% |
Vanguard REIT Index Admiral Shares | 154.8043 | 160.1302 | -5.3259 | -3.44% |
Vanguard Retirement Income Fund | 16.7570 | 16.8723 | -0.1153 | -0.69% |
Vanguard Selected Value Fund | 51.1511 | 54.2751 | -3.1240 | -6.11% |
Vanguard Small Cap Index Admiral Shares | 103.0063 | 110.3984 | -7.3921 | -7.18% |
Vanguard Target Retirement 2025 Fund | 25.5597 | 25.9727 | -0.4130 | -1.62% |
Vanguard Target Retirement 2030 Fund | 47.8210 | 48.8325 | -1.0115 | -2.12% |
Vanguard Target Retirement 2035 Fund | 30.4987 | 31.2371 | -0.7384 | -2.42% |
Vanguard Target Retirement 2040 Fund | 54.4368 | 55.9715 | -1.5347 | -2.82% |
Vanguard Target Retirement 2045 Fund | 35.3837 | 36.5001 | -1.1164 | -3.16% |
Vanguard Target Retirement 2050 Fund | 57.4831 | 59.4846 | -2.0015 | -3.48% |
Vanguard Target Retirement 2055 Fund | 60.6881 | 62.8075 | -2.1194 | -3.49% |
Vanguard Target Retirement 2060 Fund | 53.6006 | 55.4806 | -1.8800 | -3.51% |
Vanguard Target Retirement Fund 2020 | 41.7257 | 42.1504 | -0.4247 | -1.02% |
Vanguard Total Bond Market Index Admiral Shares | 10.9683 | 10.9111 | 0.0572 | 0.52% |
Vanguard Variable Insurance Fund Equity Index Fund | 84.2469 | 88.5369 | -4.2900 | -5.09% |
Vanguard Variable Insurance Fund International Fund | 37.9534 | 39.3446 | -1.3912 | -3.67% |
Vanguard Variable Insurance Fund Mid-Cap Index | 38.4483 | 40.4396 | -1.9913 | -5.18% |
Vanguard Variable Insurance Fund REIT Index Portfolio | 16.6835 | 17.2497 | -0.5662 | -3.39% |
Vanguard Variable Insurance Fund Small Co Growth | 31.8894 | 34.1217 | -2.2323 | -7.00% |
Vanguard Variable Insurance Fund Total Bond Mkt Idx | 11.8386 | 11.7710 | 0.0676 | 0.57% |
Vanguard VIF Global Bond Index | 20.1635 | 20.0649 | 0.0986 | 0.49% |
Vanguard VIF Short-Term Investment Grade Bond | 11.2022 | 11.1588 | 0.0434 | 0.39% |
Wilshire VIT Global Allocation Fund | 41.9156 | 42.9891 | -1.0735 | -2.56% |