Principal Benefit Variable Universal Life Performance Update

As of November 22, 2008, this product is no longer available for new sales.

The investment results shown represent historical returns based upon the assumption Benefit VUL was available for the periods shown. Past performance is no guarantee of future results. Since the investment results and unit values of the divisions will fluctuate, the policy's accumulated value may at any time be more or less than the total premiums paid under the contract, including upon surrender of the contract.

Returns shown reflect all investment management charges and any miscellaneous expenses incurred by the underlying accounts of the divisions. Returns do not include premium expense charges and various monthly deductions (administration charges, cost of insurance and mortality and expense risks charges) that vary by contract. In addition, results do not reflect the premium expense charge or the surrender charge levied if the policy is surrendered during the first 10 policy years, or within 10 years after a face amount increase. If these fees and charges had been deducted, the results shown would be significantly lower. These charges are explained fully in the prospectus, and their effect upon cash surrender values is best explained by reviewing several hypothetical illustrations contained in the prospectus. For a personalized illustration of historical performance that reflects the cost of insurance protection, contact your Registered Representative.

Principal Benefit Variable Universal Life
Performance Update
Quarterly Performance Update
as of 03/31/2019
Average Annual Total Returns %
Division Inception
Date
Total
Expenses
Unit Value
(UV)
as of
04/18/2019
Daily
Change
in UV
YTD 1 Yr 3 Yr 5 Yr 10 Yr Since
Inception
SHORT-TERM FIXED INCOME
Fidelity Gov Money Market 07/07/2000 0.36% 10.287170 0.000601 0.51 1.79 0.91 0.55 0.32 1.59
PIM Low DurationPortfolio 02/16/1999 0.65% 10.376371 0.003482 1.30 1.81 1.29 0.98 3.13 3.50
PIMCO Short-Term 09/30/1999 0.75% 11.646862 0.003709 1.00 2.30 2.53 1.75 1.98 2.77
Short-Term Income 01/12/1994 0.50% 13.558166 0.000000 1.59 3.02 1.98 1.76 2.84 3.81
FIXED INCOME
AFIS Global Bond 10/04/2006 0.81% 10.591133 0.000000 2.47 -0.83 1.70 0.96 3.38 3.62
Bond Market Index Account 05/15/2012 0.16% 11.379835 0.010942 2.86 4.27 1.75 2.43 n/a 1.95
Core Plus Bond 12/18/1987 0.46% 26.696153 0.023857 3.70 3.97 2.75 2.74 6.16 5.97
Delaware VIP High Yield 05/01/2000 1.05% 11.193220 0.000000 7.53 4.22 6.57 1.93 9.15 5.80
Dreyfus VIF Quality Bond 08/31/1990 1.23% 18.016338 0.015653 2.94 1.68 1.22 1.32 4.25 5.05
Fidelity VIP High Income 10/01/1985 0.92% 31.449596 0.000000 7.39 4.72 7.29 3.60 8.89 4.88
Franklin Strategic Income 07/01/1999 0.93% 16.805923 0.000000 4.77 3.78 4.58 2.13 6.28 5.75
Franklin US Govt Securiti 01/06/1999 0.75% 11.825100 0.000000 1.95 3.49 0.95 1.42 2.03 3.68
FID VIP Stra Inc 12/23/2003 0.93% 10.655421 0.009471 5.07 2.32 4.82 3.23 6.74 5.35
Govt & High Quality Bond 05/06/1993 0.51% 14.043011 0.014567 2.11 4.22 1.48 2.25 3.16 4.56
Janus H Flexible Bond 12/31/1999 0.85% 22.455262 0.035728 3.11 3.57 1.76 2.00 4.48 5.07
JPMorgan Core Bond 05/01/1997 0.60% 14.876383 0.027271 2.81 4.29 1.92 2.62 3.85 4.98
MFS Inflation Adjstd Bond 10/01/2008 0.81% 10.239862 0.009903 4.09 -2.45 1.71 0.97 2.98 3.08
PIMCO Emerg Market Bond 09/30/2002 1.00% 13.136748 - 0.003796 6.77 3.22 6.49 4.15 7.49 8.81
PIMCO High Yield 04/30/1998 0.76% 18.989717 0.010748 7.55 6.23 6.87 4.44 9.98 5.79
PIMCO Long Term US Govt 04/30/1999 0.765% 11.966282 0.064184 4.61 5.84 1.20 5.00 5.69 6.84
PIMCO Real Return 09/30/1999 1.04% 13.023387 0.042702 3.57 2.30 1.95 1.63 3.91 5.58
PIMCO Total Return 12/31/1997 0.69% 13.809372 0.017877 2.96 3.69 2.67 2.68 4.43 5.26
Templeton Global Bond VIP 01/24/1989 0.78% 17.048713 0.048655 1.84 2.33 3.17 1.05 5.30 6.92
BALANCED/ASSET ALLOCATION
Fidelity VIP AssetManager 09/06/1989 0.88% 24.634470 0.035293 10.44 2.44 6.34 4.14 9.17 7.07
Franklin Income VIP 01/24/1989 0.72% 32.329338 - 0.019749 9.70 7.30 9.04 4.06 10.29 8.39
Janus Henderson Balanced 12/31/1999 0.88% 34.872866 0.070970 8.49 8.37 10.67 7.60 10.74 6.29
LifeTime Strat Income 08/30/2004 0.65% 18.588865 0.015491 5.49 3.34 4.60 3.46 7.15 4.30
LifeTime 2010 08/30/2004 0.66% 20.887796 0.015969 6.49 3.28 5.85 4.12 9.16 5.12
LifeTime 2020 08/30/2004 0.68% 23.973837 0.017322 8.33 3.37 7.34 5.10 10.65 6.08
LifeTime 2030 08/30/2004 0.72% 24.916762 0.019167 10.36 3.27 8.57 5.80 11.45 6.34
LifeTime 2040 08/30/2004 0.69% 26.582164 0.033458 11.76 3.31 9.57 6.33 12.26 6.79
LifeTime 2050 08/30/2004 0.72% 27.140580 0.035270 12.64 3.17 10.11 6.63 12.60 6.93
LifeTime 2060 05/01/2013 0.81% 15.832078 0.011110 13.07 2.83 10.16 6.65 n/a 8.41
Multi Asset Income 07/28/2015 0.81% 12.047059 0.000000 7.57 2.52 6.52 n/a n/a 4.92
PIMCO All Asset 04/30/2003 1.315% 13.113772 - 0.012513 5.38 -0.52 6.77 2.71 6.84 5.55
SAM Balanced Portfolio 06/03/1997 0.86% 19.783474 0.012897 8.85 4.28 7.99 5.78 10.57 7.29
SAM Conservative Balanced 04/23/1998 0.84% 18.736693 0.015719 6.88 3.99 6.42 4.82 8.76 5.55
SAM Conservative Growth 06/03/1997 0.96% 20.228684 0.020897 10.78 4.13 9.71 6.72 12.12 7.68
SAM Flexible Income 09/09/1997 0.79% 18.355862 0.014580 5.56 4.62 5.55 4.24 7.78 6.01
SAM Strategic Growth 06/03/1997 0.97% 20.282214 0.019252 12.25 3.22 10.00 6.94 13.00 8.11
TOPS Mngd Risk Growth ETF 04/26/2011 0.82% 14.403254 0.000000 7.40 0.26 6.18 2.26 n/a 3.61
TOPS Mngd Rsk Balancd ETF 06/09/2011 0.83% 13.564998 0.011837 6.48 1.39 4.75 2.72 n/a 3.80
TOPS MngdRskModGrowthETF 06/09/2011 0.82% 14.342646 0.000000 7.19 1.06 5.76 2.79 n/a 4.32
Vanguard VIF Balanced 05/23/1991 0.23% 35.817148 0.047863 8.59 6.95 9.44 7.48 11.70 9.35
Wells Fargo IndexAssetAll 04/15/1994 1.00% 31.292149 0.046176 9.52 7.60 8.01 8.12 12.63 8.01
LARGE US EQUITY
AmCent VP Income & Growth 10/30/1997 0.96% 30.709636 0.032705 12.42 5.12 11.23 7.97 14.12 6.61
AmCent VP Ultra 05/01/2001 0.98% 36.109698 0.098553 16.80 14.00 18.13 13.62 17.10 6.80
AmCent VP Value 05/01/1996 0.93% 32.528823 0.000000 11.43 4.07 8.87 6.79 12.97 8.41
AFIS Blue Chip Inc & Gr 07/05/2001 0.66% 13.383792 - 0.009691 10.70 4.58 10.04 8.91 14.46 6.17
AFIS Growth 02/08/1984 0.60% 18.838149 0.025954 13.36 10.03 17.63 12.91 16.72 12.46
Capital Appreciation 04/28/1998 0.63% 14.630140 0.019416 13.38 10.21 12.73 10.19 15.27 9.93
Dreyfus IP Core Value 05/01/1998 1.42% 28.062760 0.020574 9.87 -0.25 10.04 6.54 12.93 5.80
Dreyfus Sus US Equity 10/07/1993 0.95% 27.703787 0.049545 13.83 9.35 10.65 7.86 13.94 7.82
Dreyfus VIF Appreciation 04/05/1993 1.06% 30.544548 0.098557 14.59 8.57 12.64 8.85 13.15 8.89
Equity Income 04/28/1998 0.50% 24.041552 0.055566 10.98 7.82 12.87 9.14 14.53 8.54
Fidelity VIP Contrafund 01/03/1995 0.87% 41.565669 0.090811 14.63 6.67 12.43 9.06 14.94 10.74
Fidelity VIP Eqty-Income 11/03/1986 0.81% 27.649761 0.052516 11.82 7.06 9.92 6.62 13.83 8.78
Fidelity VIP Growth 10/31/1986 0.89% 35.881319 0.109188 16.56 12.20 18.03 12.41 17.44 10.20
Franklin Mut Shares VIP 11/08/1996 0.97% 27.177232 - 0.041513 9.94 2.80 7.78 4.59 11.18 7.08
Franklin Risng Divdns VIP 01/27/1992 0.87% 35.947760 0.172826 14.74 12.02 13.24 9.61 14.87 9.47
Invesco American Franchse 07/03/1995 0.89% 23.310760 0.013682 16.90 8.31 15.62 10.98 16.91 9.50
Invesco Core Equity 05/02/1994 0.81% 24.682253 0.075460 12.96 3.68 7.54 4.75 11.50 7.82
LargeCap Growth 05/02/1994 0.69% 35.989269 0.107207 17.20 3.62 12.89 10.14 14.45 7.11
LargeCap Growth I 06/01/1994 0.75% 63.825773 0.249598 17.18 15.36 19.25 13.94 18.55 10.73
MFS Growth 07/24/1995 1.01% 46.862596 0.198497 17.92 14.74 18.02 13.59 17.33 9.51
MFS Value 01/02/2002 0.98% 35.297449 0.054193 12.68 4.36 9.72 7.78 13.42 7.70
Neuberger Berman Guardian 11/03/1997 1.20% 34.047821 0.107203 14.00 5.78 12.14 8.33 14.10 7.94
Neuberger Berman LC Port 03/22/1994 1.12% 22.498535 0.055245 9.95 12.64 14.90 8.08 14.73 8.54
Putnam VT Eqty Inc 04/30/2003 0.82% 11.954583 0.005021 11.92 4.59 11.52 8.13 14.59 9.51
Putnam VT Growth Opportun 01/31/2000 0.91% 16.151216 0.114316 17.10 16.49 19.49 13.67 17.48 2.78
TR Price Equity Income 04/30/2002 1.10% 23.715284 - 0.008986 10.88 2.55 10.29 6.19 13.33 6.52
Vanguard VIF Equity Index 04/29/1991 0.15% 36.408780 0.060194 13.60 9.35 13.35 10.76 15.76 9.62
Wells Fargo Omega Growth 03/06/1997 1.00% 34.057830 0.188287 18.87 14.91 19.35 11.47 16.19 8.94
SMALL/MID US EQUITY
AmCent VP Capital Apprctn 11/20/1987 1.12% 16.176566 0.045123 19.71 10.59 13.33 8.76 15.14 8.70
AmCent VP Mid Cap Value 10/29/2004 1.00% 33.328619 0.017588 13.26 0.89 8.66 8.24 15.03 9.86
Calvert R2000 SC Index 04/27/2000 0.63% 25.181577 - 0.033494 14.41 1.53 12.33 6.32 14.45 6.68
ClearBridge VarMidCap 11/01/1999 0.85% 12.312833 0.005977 16.63 4.77 8.67 6.23 14.17 8.03
ClearBridge VarSmllCapGrw 11/08/1999 0.82% 19.363989 - 0.041479 15.87 13.30 19.84 9.44 17.88 9.36
Delaware Small Cap Value 05/01/2000 1.08% 26.351836 - 0.109514 13.23 -3.06 9.94 5.73 15.02 10.06
Dreyfus IP MidCap Stock 12/29/2000 1.12% 13.868677 0.007796 12.61 -2.70 6.84 6.02 15.20 6.95
Dreyfus VIF Opp Small Cap 08/31/1990 1.10% 22.938560 - 0.071814 14.50 -5.96 11.89 5.59 14.83 13.09
DWS Small MidCap Value 05/01/1996 1.16% 21.582564 - 0.015329 12.05 -3.54 6.03 4.22 12.86 7.81
Fidelity VIP Mid Cap 12/28/1998 0.88% 47.736315 - 0.015692 14.59 -2.62 9.77 6.27 13.57 11.87
Franklin Small Cap Value 05/01/1998 0.91% 37.726096 - 0.067368 11.10 -1.26 9.86 5.04 14.82 7.60
GS Sm Cap Equity Insights 02/13/1998 0.81% 23.896119 - 0.099650 13.89 2.27 12.61 8.23 16.39 6.92
Invesco American Value 01/02/1997 0.94% 11.443555 0.013939 13.78 -2.00 8.42 4.19 14.17 8.49
Invesco Mid Cap Growth 09/25/2000 1.00% 20.568104 0.036148 17.82 7.24 12.92 8.06 14.96 1.84
Invesco MidCap CoreEquity 09/10/2001 1.22% 22.949789 0.055124 13.53 2.32 8.00 4.83 10.87 6.94
Invesco Small Cap Equity 08/29/2003 0.97% 20.079274 0.000000 14.50 -2.86 7.27 3.78 12.90 7.92
Janus Hendrson Enterprise 09/13/1993 0.98% 42.150175 0.038650 17.86 11.44 17.56 13.71 19.05 10.91
JPMorgan Small Cap Core 01/03/1995 0.83% 40.789429 - 0.066109 14.88 0.75 13.34 7.55 16.33 9.25
LordAbbettDevlopGrowth 04/30/2010 0.95% 18.907173 - 0.097022 27.15 24.36 23.52 9.63 n/a 14.83
MidCap 12/18/1987 0.54% 105.824807 0.441010 19.29 12.04 15.22 11.84 18.66 12.98
MFS BlendResearchSmallCap 04/28/2006 0.78% 15.306326 - 0.047242 16.76 10.34 14.71 8.85 17.16 7.49
MFS Mid Cap Value 03/07/2008 1.06% 12.693982 0.014574 14.56 3.22 8.57 6.61 15.50 8.47
MFS MidCap Growth 05/01/2000 1.06% 31.491746 0.134580 19.14 14.18 17.11 12.43 17.78 3.60
MFS New Discovery 05/01/1998 1.19% 40.008964 0.000000 20.49 13.77 19.68 8.72 17.96 8.78
MFS New Discovery Value 10/01/2008 1.13% 14.668294 - 0.044226 15.04 6.43 12.73 8.01 14.87 9.91
Neuberger Berman MdCp Gro 11/03/1997 1.11% 13.989413 0.015778 18.23 6.91 14.21 9.19 15.23 9.07
Oppnhmr Main St Small Cap 07/16/2001 1.05% 27.593058 0.023890 11.93 0.77 10.40 6.21 16.12 8.46
Real Estate Securities 05/01/1998 0.89% 85.762415 0.786431 17.53 18.73 7.29 10.31 18.53 10.88
SmallCap 05/01/1998 0.83% 36.040937 - 0.021077 15.80 2.24 12.02 6.90 15.66 6.13
Vanguard VIF MidCap Index 02/09/1999 0.19% 44.279665 0.100819 16.71 5.83 11.44 8.71 16.52 10.01
INTERNATIONAL EQUITY
AlBernstn Internatl Value 05/10/2001 0.86% 7.918802 0.000000 8.80 -15.99 2.30 0.01 6.67 4.39
AmCent VP International 05/02/1994 1.17% 23.598883 - 0.022779 12.85 -6.89 7.01 2.38 9.61 5.53
AF Global Balance 05/02/2011 0.96% 10.183024 - 0.007974 8.93 0.41 8.02 5.00 n/a 5.48
AFIS International 05/01/1990 0.79% 12.432011 - 0.080446 12.67 -2.71 10.82 4.43 9.80 7.83
AFIS New World 06/17/1999 1.01% 12.162128 - 0.040023 14.81 -2.24 10.52 3.86 9.46 7.90
Diversified International 05/02/1994 0.91% 30.030734 0.000000 10.93 -7.71 6.34 2.57 9.29 5.86
Franklin Mut Glb DscvyVIP 11/08/1996 1.27% 35.609582 - 0.147604 10.97 1.18 7.01 3.54 9.27 8.25
Interntl Emerging Markets 10/24/2000 1.35% 40.886984 0.047905 9.06 -16.16 8.61 2.50 7.86 7.95
Invesco Interntl Growth 05/05/1993 0.93% 31.647552 - 0.049079 14.22 -1.93 5.34 2.97 9.38 6.93
Janus H Global Research 12/31/1999 0.89% 23.136179 0.025831 13.04 3.92 11.77 7.08 12.33 1.73
Janus H Overseas 12/31/1999 0.82% 27.314589 - 0.102476 10.57 -7.70 8.17 -1.67 5.74 2.55
LordAbbettInternatlOppor 09/15/1999 1.25% 11.602352 - 0.097226 9.52 -14.67 4.35 2.82 12.10 4.17
MFS Global Equity 05/03/1999 1.22% 28.747610 0.000000 14.60 5.44 10.28 6.74 13.33 7.30
MFS International Value 08/23/2001 1.15% 16.019564 - 0.005701 12.11 2.17 9.14 7.26 12.82 9.13
MFS Research Internatl 08/24/2001 1.25% 11.409894 - 0.014325 12.01 -3.28 8.02 2.12 8.53 5.42
Putnam VT Interntl Equity 01/02/1997 1.09% 19.708251 - 0.028961 9.96 -10.97 4.57 0.61 8.11 5.21
Templeton Dev Markets VIP 03/04/1996 1.41% 19.154265 - 0.076617 12.65 -4.68 13.96 3.61 8.57 3.30
Templeton Foreign VIP 05/01/1992 1.08% 12.027167 - 0.085970 7.30 -6.36 4.81 -1.18 7.38 6.34
Wanger International 05/03/1995 1.15% 11.353684 - 0.066241 12.61 -9.38 6.34 2.80 11.75 11.23
SPECIALTY
Dreyfus IP Tech Growth 08/31/1999 1.07% 29.338213 0.025324 17.76 9.06 20.34 13.94 18.49 5.42
DWS Alt Asset Allocation 01/30/2009 1.15% 10.397237 0.007943 8.02 2.84 2.53 0.71 4.94 4.75
Invesco Global Real Est 03/31/1998 1.02% 12.537620 0.057119 15.08 11.00 6.23 6.27 12.90 7.92
Invesco Health Care 05/22/1997 1.01% 29.672084 0.036542 11.92 15.87 9.89 6.56 13.54 8.58
Invesco Technology 05/21/1997 1.06% 18.535647 0.028342 16.56 9.95 19.73 12.67 16.20 6.47
PIMCO CommRealReturnStrat 06/30/2004 1.40% 6.053284 0.009200 8.94 -6.03 2.56 -9.15 -0.29 -1.25
Rydex VI Basic Materials 05/02/2001 1.70% 9.411280 0.001247 12.11 -2.63 9.54 3.01 8.26 5.81
Rydex VI Utilities 05/02/2001 1.70% 11.778017 0.015331 9.99 18.08 8.82 9.16 11.96 4.20
TR Price Health Sciences 12/29/2000 1.20% 12.109289 0.041168 15.48 15.06 14.69 13.05 20.90 11.04
VanEck Global Hard Assets 09/01/1989 1.09% 7.070570 - 0.024624 13.10 -14.63 1.08 -9.52 1.52 5.26



Principal Benefit Variable Universal Life
Performance Update
Monthly Performance Update
as of 03/31/2019
Average Annual Total Returns %
Division Inception
Date
Total
Expenses
Unit Value
(UV)
as of
04/18/2019
Daily
Change
in UV
YTD 1 Yr 3 Yr 5 Yr 10 Yr Since
Inception
SHORT-TERM FIXED INCOME
Fidelity Gov Money Market 07/07/2000 0.36% 10.287170 0.000601 0.51 1.79 0.91 0.55 0.32 1.59
PIM Low DurationPortfolio 02/16/1999 0.65% 10.376371 0.003482 1.30 1.81 1.29 0.98 3.13 3.50
PIMCO Short-Term 09/30/1999 0.75% 11.646862 0.003709 1.00 2.30 2.53 1.75 1.98 2.77
Short-Term Income 01/12/1994 0.50% 13.558166 0.000000 1.59 3.02 1.98 1.76 2.84 3.81
FIXED INCOME
AFIS Global Bond 10/04/2006 0.81% 10.591133 0.000000 2.47 -0.83 1.70 0.96 3.38 3.62
Bond Market Index Account 05/15/2012 0.16% 11.379835 0.010942 2.86 4.27 1.75 2.43 n/a 1.95
Core Plus Bond 12/18/1987 0.46% 26.696153 0.023857 3.70 3.97 2.75 2.74 6.16 5.97
Delaware VIP High Yield 05/01/2000 1.05% 11.193220 0.000000 7.53 4.22 6.57 1.93 9.15 5.80
Dreyfus VIF Quality Bond 08/31/1990 1.23% 18.016338 0.015653 2.94 1.68 1.22 1.32 4.25 5.05
Fidelity VIP High Income 10/01/1985 0.92% 31.449596 0.000000 7.39 4.72 7.29 3.60 8.89 4.88
Franklin Strategic Income 07/01/1999 0.93% 16.805923 0.000000 4.77 3.78 4.58 2.13 6.28 5.75
Franklin US Govt Securiti 01/06/1999 0.75% 11.825100 0.000000 1.95 3.49 0.95 1.42 2.03 3.68
FID VIP Stra Inc 12/23/2003 0.93% 10.655421 0.009471 5.07 2.32 4.82 3.23 6.74 5.35
Govt & High Quality Bond 05/06/1993 0.51% 14.043011 0.014567 2.11 4.22 1.48 2.25 3.16 4.56
Janus H Flexible Bond 12/31/1999 0.85% 22.455262 0.035728 3.11 3.57 1.76 2.00 4.48 5.07
JPMorgan Core Bond 05/01/1997 0.60% 14.876383 0.027271 2.81 4.29 1.92 2.62 3.85 4.98
MFS Inflation Adjstd Bond 10/01/2008 0.81% 10.239862 0.009903 4.09 -2.45 1.71 0.97 2.98 3.08
PIMCO Emerg Market Bond 09/30/2002 1.00% 13.136748 - 0.003796 6.77 3.22 6.49 4.15 7.49 8.81
PIMCO High Yield 04/30/1998 0.76% 18.989717 0.010748 7.55 6.23 6.87 4.44 9.98 5.79
PIMCO Long Term US Govt 04/30/1999 0.765% 11.966282 0.064184 4.61 5.84 1.20 5.00 5.69 6.84
PIMCO Real Return 09/30/1999 1.04% 13.023387 0.042702 3.57 2.30 1.95 1.63 3.91 5.58
PIMCO Total Return 12/31/1997 0.69% 13.809372 0.017877 2.96 3.69 2.67 2.68 4.43 5.26
Templeton Global Bond VIP 01/24/1989 0.78% 17.048713 0.048655 1.84 2.33 3.17 1.05 5.30 6.92
BALANCED/ASSET ALLOCATION
Fidelity VIP AssetManager 09/06/1989 0.88% 24.634470 0.035293 10.44 2.44 6.34 4.14 9.17 7.07
Franklin Income VIP 01/24/1989 0.72% 32.329338 - 0.019749 9.70 7.30 9.04 4.06 10.29 8.39
Janus Henderson Balanced 12/31/1999 0.88% 34.872866 0.070970 8.49 8.37 10.67 7.60 10.74 6.29
LifeTime Strat Income 08/30/2004 0.65% 18.588865 0.015491 5.49 3.34 4.60 3.46 7.15 4.30
LifeTime 2010 08/30/2004 0.66% 20.887796 0.015969 6.49 3.28 5.85 4.12 9.16 5.12
LifeTime 2020 08/30/2004 0.68% 23.973837 0.017322 8.33 3.37 7.34 5.10 10.65 6.08
LifeTime 2030 08/30/2004 0.72% 24.916762 0.019167 10.36 3.27 8.57 5.80 11.45 6.34
LifeTime 2040 08/30/2004 0.69% 26.582164 0.033458 11.76 3.31 9.57 6.33 12.26 6.79
LifeTime 2050 08/30/2004 0.72% 27.140580 0.035270 12.64 3.17 10.11 6.63 12.60 6.93
LifeTime 2060 05/01/2013 0.81% 15.832078 0.011110 13.07 2.83 10.16 6.65 n/a 8.41
Multi Asset Income 07/28/2015 0.81% 12.047059 0.000000 7.57 2.52 6.52 n/a n/a 4.92
PIMCO All Asset 04/30/2003 1.315% 13.113772 - 0.012513 5.38 -0.52 6.77 2.71 6.84 5.55
SAM Balanced Portfolio 06/03/1997 0.86% 19.783474 0.012897 8.85 4.28 7.99 5.78 10.57 7.29
SAM Conservative Balanced 04/23/1998 0.84% 18.736693 0.015719 6.88 3.99 6.42 4.82 8.76 5.55
SAM Conservative Growth 06/03/1997 0.96% 20.228684 0.020897 10.78 4.13 9.71 6.72 12.12 7.68
SAM Flexible Income 09/09/1997 0.79% 18.355862 0.014580 5.56 4.62 5.55 4.24 7.78 6.01
SAM Strategic Growth 06/03/1997 0.97% 20.282214 0.019252 12.25 3.22 10.00 6.94 13.00 8.11
TOPS Mngd Risk Growth ETF 04/26/2011 0.82% 14.403254 0.000000 7.40 0.26 6.18 2.26 n/a 3.61
TOPS Mngd Rsk Balancd ETF 06/09/2011 0.83% 13.564998 0.011837 6.48 1.39 4.75 2.72 n/a 3.80
TOPS MngdRskModGrowthETF 06/09/2011 0.82% 14.342646 0.000000 7.19 1.06 5.76 2.79 n/a 4.32
Vanguard VIF Balanced 05/23/1991 0.23% 35.817148 0.047863 8.59 6.95 9.44 7.48 11.70 9.35
Wells Fargo IndexAssetAll 04/15/1994 1.00% 31.292149 0.046176 9.52 7.60 8.01 8.12 12.63 8.01
LARGE US EQUITY
AmCent VP Income & Growth 10/30/1997 0.96% 30.709636 0.032705 12.42 5.12 11.23 7.97 14.12 6.61
AmCent VP Ultra 05/01/2001 0.98% 36.109698 0.098553 16.80 14.00 18.13 13.62 17.10 6.80
AmCent VP Value 05/01/1996 0.93% 32.528823 0.000000 11.43 4.07 8.87 6.79 12.97 8.41
AFIS Blue Chip Inc & Gr 07/05/2001 0.66% 13.383792 - 0.009691 10.70 4.58 10.04 8.91 14.46 6.17
AFIS Growth 02/08/1984 0.60% 18.838149 0.025954 13.36 10.03 17.63 12.91 16.72 12.46
Capital Appreciation 04/28/1998 0.63% 14.630140 0.019416 13.38 10.21 12.73 10.19 15.27 9.93
Dreyfus IP Core Value 05/01/1998 1.42% 28.062760 0.020574 9.87 -0.25 10.04 6.54 12.93 5.80
Dreyfus Sus US Equity 10/07/1993 0.95% 27.703787 0.049545 13.83 9.35 10.65 7.86 13.94 7.82
Dreyfus VIF Appreciation 04/05/1993 1.06% 30.544548 0.098557 14.59 8.57 12.64 8.85 13.15 8.89
Equity Income 04/28/1998 0.50% 24.041552 0.055566 10.98 7.82 12.87 9.14 14.53 8.54
Fidelity VIP Contrafund 01/03/1995 0.87% 41.565669 0.090811 14.63 6.67 12.43 9.06 14.94 10.74
Fidelity VIP Eqty-Income 11/03/1986 0.81% 27.649761 0.052516 11.82 7.06 9.92 6.62 13.83 8.78
Fidelity VIP Growth 10/31/1986 0.89% 35.881319 0.109188 16.56 12.20 18.03 12.41 17.44 10.20
Franklin Mut Shares VIP 11/08/1996 0.97% 27.177232 - 0.041513 9.94 2.80 7.78 4.59 11.18 7.08
Franklin Risng Divdns VIP 01/27/1992 0.87% 35.947760 0.172826 14.74 12.02 13.24 9.61 14.87 9.47
Invesco American Franchse 07/03/1995 0.89% 23.310760 0.013682 16.90 8.31 15.62 10.98 16.91 9.50
Invesco Core Equity 05/02/1994 0.81% 24.682253 0.075460 12.96 3.68 7.54 4.75 11.50 7.82
LargeCap Growth 05/02/1994 0.69% 35.989269 0.107207 17.20 3.62 12.89 10.14 14.45 7.11
LargeCap Growth I 06/01/1994 0.75% 63.825773 0.249598 17.18 15.36 19.25 13.94 18.55 10.73
MFS Growth 07/24/1995 1.01% 46.862596 0.198497 17.92 14.74 18.02 13.59 17.33 9.51
MFS Value 01/02/2002 0.98% 35.297449 0.054193 12.68 4.36 9.72 7.78 13.42 7.70
Neuberger Berman Guardian 11/03/1997 1.20% 34.047821 0.107203 14.00 5.78 12.14 8.33 14.10 7.94
Neuberger Berman LC Port 03/22/1994 1.12% 22.498535 0.055245 9.95 12.64 14.90 8.08 14.73 8.54
Putnam VT Eqty Inc 04/30/2003 0.82% 11.954583 0.005021 11.92 4.59 11.52 8.13 14.59 9.51
Putnam VT Growth Opportun 01/31/2000 0.91% 16.151216 0.114316 17.10 16.49 19.49 13.67 17.48 2.78
TR Price Equity Income 04/30/2002 1.10% 23.715284 - 0.008986 10.88 2.55 10.29 6.19 13.33 6.52
Vanguard VIF Equity Index 04/29/1991 0.15% 36.408780 0.060194 13.60 9.35 13.35 10.76 15.76 9.62
Wells Fargo Omega Growth 03/06/1997 1.00% 34.057830 0.188287 18.87 14.91 19.35 11.47 16.19 8.94
SMALL/MID US EQUITY
AmCent VP Capital Apprctn 11/20/1987 1.12% 16.176566 0.045123 19.71 10.59 13.33 8.76 15.14 8.70
AmCent VP Mid Cap Value 10/29/2004 1.00% 33.328619 0.017588 13.26 0.89 8.66 8.24 15.03 9.86
Calvert R2000 SC Index 04/27/2000 0.63% 25.181577 - 0.033494 14.41 1.53 12.33 6.32 14.45 6.68
ClearBridge VarMidCap 11/01/1999 0.85% 12.312833 0.005977 16.63 4.77 8.67 6.23 14.17 8.03
ClearBridge VarSmllCapGrw 11/08/1999 0.82% 19.363989 - 0.041479 15.87 13.30 19.84 9.44 17.88 9.36
Delaware Small Cap Value 05/01/2000 1.08% 26.351836 - 0.109514 13.23 -3.06 9.94 5.73 15.02 10.06
Dreyfus IP MidCap Stock 12/29/2000 1.12% 13.868677 0.007796 12.61 -2.70 6.84 6.02 15.20 6.95
Dreyfus VIF Opp Small Cap 08/31/1990 1.10% 22.938560 - 0.071814 14.50 -5.96 11.89 5.59 14.83 13.09
DWS Small MidCap Value 05/01/1996 1.16% 21.582564 - 0.015329 12.05 -3.54 6.03 4.22 12.86 7.81
Fidelity VIP Mid Cap 12/28/1998 0.88% 47.736315 - 0.015692 14.59 -2.62 9.77 6.27 13.57 11.87
Franklin Small Cap Value 05/01/1998 0.91% 37.726096 - 0.067368 11.10 -1.26 9.86 5.04 14.82 7.60
GS Sm Cap Equity Insights 02/13/1998 0.81% 23.896119 - 0.099650 13.89 2.27 12.61 8.23 16.39 6.92
Invesco American Value 01/02/1997 0.94% 11.443555 0.013939 13.78 -2.00 8.42 4.19 14.17 8.49
Invesco Mid Cap Growth 09/25/2000 1.00% 20.568104 0.036148 17.82 7.24 12.92 8.06 14.96 1.84
Invesco MidCap CoreEquity 09/10/2001 1.22% 22.949789 0.055124 13.53 2.32 8.00 4.83 10.87 6.94
Invesco Small Cap Equity 08/29/2003 0.97% 20.079274 0.000000 14.50 -2.86 7.27 3.78 12.90 7.92
Janus Hendrson Enterprise 09/13/1993 0.98% 42.150175 0.038650 17.86 11.44 17.56 13.71 19.05 10.91
JPMorgan Small Cap Core 01/03/1995 0.83% 40.789429 - 0.066109 14.88 0.75 13.34 7.55 16.33 9.25
LordAbbettDevlopGrowth 04/30/2010 0.95% 18.907173 - 0.097022 27.15 24.36 23.52 9.63 n/a 14.83
MidCap 12/18/1987 0.54% 105.824807 0.441010 19.29 12.04 15.22 11.84 18.66 12.98
MFS BlendResearchSmallCap 04/28/2006 0.78% 15.306326 - 0.047242 16.76 10.34 14.71 8.85 17.16 7.49
MFS Mid Cap Value 03/07/2008 1.06% 12.693982 0.014574 14.56 3.22 8.57 6.61 15.50 8.47
MFS MidCap Growth 05/01/2000 1.06% 31.491746 0.134580 19.14 14.18 17.11 12.43 17.78 3.60
MFS New Discovery 05/01/1998 1.19% 40.008964 0.000000 20.49 13.77 19.68 8.72 17.96 8.78
MFS New Discovery Value 10/01/2008 1.13% 14.668294 - 0.044226 15.04 6.43 12.73 8.01 14.87 9.91
Neuberger Berman MdCp Gro 11/03/1997 1.11% 13.989413 0.015778 18.23 6.91 14.21 9.19 15.23 9.07
Oppnhmr Main St Small Cap 07/16/2001 1.05% 27.593058 0.023890 11.93 0.77 10.40 6.21 16.12 8.46
Real Estate Securities 05/01/1998 0.89% 85.762415 0.786431 17.53 18.73 7.29 10.31 18.53 10.88
SmallCap 05/01/1998 0.83% 36.040937 - 0.021077 15.80 2.24 12.02 6.90 15.66 6.13
Vanguard VIF MidCap Index 02/09/1999 0.19% 44.279665 0.100819 16.71 5.83 11.44 8.71 16.52 10.01
INTERNATIONAL EQUITY
AlBernstn Internatl Value 05/10/2001 0.86% 7.918802 0.000000 8.80 -15.99 2.30 0.01 6.67 4.39
AmCent VP International 05/02/1994 1.17% 23.598883 - 0.022779 12.85 -6.89 7.01 2.38 9.61 5.53
AF Global Balance 05/02/2011 0.96% 10.183024 - 0.007974 8.93 0.41 8.02 5.00 n/a 5.48
AFIS International 05/01/1990 0.79% 12.432011 - 0.080446 12.67 -2.71 10.82 4.43 9.80 7.83
AFIS New World 06/17/1999 1.01% 12.162128 - 0.040023 14.81 -2.24 10.52 3.86 9.46 7.90
Diversified International 05/02/1994 0.91% 30.030734 0.000000 10.93 -7.71 6.34 2.57 9.29 5.86
Franklin Mut Glb DscvyVIP 11/08/1996 1.27% 35.609582 - 0.147604 10.97 1.18 7.01 3.54 9.27 8.25
Interntl Emerging Markets 10/24/2000 1.35% 40.886984 0.047905 9.06 -16.16 8.61 2.50 7.86 7.95
Invesco Interntl Growth 05/05/1993 0.93% 31.647552 - 0.049079 14.22 -1.93 5.34 2.97 9.38 6.93
Janus H Global Research 12/31/1999 0.89% 23.136179 0.025831 13.04 3.92 11.77 7.08 12.33 1.73
Janus H Overseas 12/31/1999 0.82% 27.314589 - 0.102476 10.57 -7.70 8.17 -1.67 5.74 2.55
LordAbbettInternatlOppor 09/15/1999 1.25% 11.602352 - 0.097226 9.52 -14.67 4.35 2.82 12.10 4.17
MFS Global Equity 05/03/1999 1.22% 28.747610 0.000000 14.60 5.44 10.28 6.74 13.33 7.30
MFS International Value 08/23/2001 1.15% 16.019564 - 0.005701 12.11 2.17 9.14 7.26 12.82 9.13
MFS Research Internatl 08/24/2001 1.25% 11.409894 - 0.014325 12.01 -3.28 8.02 2.12 8.53 5.42
Putnam VT Interntl Equity 01/02/1997 1.09% 19.708251 - 0.028961 9.96 -10.97 4.57 0.61 8.11 5.21
Templeton Dev Markets VIP 03/04/1996 1.41% 19.154265 - 0.076617 12.65 -4.68 13.96 3.61 8.57 3.30
Templeton Foreign VIP 05/01/1992 1.08% 12.027167 - 0.085970 7.30 -6.36 4.81 -1.18 7.38 6.34
Wanger International 05/03/1995 1.15% 11.353684 - 0.066241 12.61 -9.38 6.34 2.80 11.75 11.23
SPECIALTY
Dreyfus IP Tech Growth 08/31/1999 1.07% 29.338213 0.025324 17.76 9.06 20.34 13.94 18.49 5.42
DWS Alt Asset Allocation 01/30/2009 1.15% 10.397237 0.007943 8.02 2.84 2.53 0.71 4.94 4.75
Invesco Global Real Est 03/31/1998 1.02% 12.537620 0.057119 15.08 11.00 6.23 6.27 12.90 7.92
Invesco Health Care 05/22/1997 1.01% 29.672084 0.036542 11.92 15.87 9.89 6.56 13.54 8.58
Invesco Technology 05/21/1997 1.06% 18.535647 0.028342 16.56 9.95 19.73 12.67 16.20 6.47
PIMCO CommRealReturnStrat 06/30/2004 1.40% 6.053284 0.009200 8.94 -6.03 2.56 -9.15 -0.29 -1.25
Rydex VI Basic Materials 05/02/2001 1.70% 9.411280 0.001247 12.11 -2.63 9.54 3.01 8.26 5.81
Rydex VI Utilities 05/02/2001 1.70% 11.778017 0.015331 9.99 18.08 8.82 9.16 11.96 4.20
TR Price Health Sciences 12/29/2000 1.20% 12.109289 0.041168 15.48 15.06 14.69 13.05 20.90 11.04
VanEck Global Hard Assets 09/01/1989 1.09% 7.070570 - 0.024624 13.10 -14.63 1.08 -9.52 1.52 5.26

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Principal Benefit Variable Universal Life is issued by Principal Life Insurance Company and distributed by Principal Securities, Inc., 800/247-9988, Member SIPC, and/or independent broker/dealers. Principal Life and Principal Securities are members of the Principal Financial Group®, Des Moines, IA 50392.

The initial offering of Principal Benefit Variable Universal Life (Benefit VUL) was September 13, 2002. Some of the underlying funds into which the divisions invest were offered prior to that date. Inception dates are noted.

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