ACL VARIABLE ANNUITY ACCOUNT 2
497, 1999-10-07
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Prospectus Supplement Oct. 8, 1999*

Variable Annuity ACL Personal Portfolio Plus2
45066 E (4/99)

SHAREHOLDER MEETINGS

At the recent regular meetings, shareholders of the American Express(R) Variable
Portfolio Funds (formerly the Retirement Annuity Mutual Funds and referred to in
this  supplement  as the "Funds," or  individually  as the "Fund")  approved the
following proposals:

1. Change the Fund Name from IDS Life to AXP. Shareholders of all Funds approved
the name change from IDS Life to AXP. AXP is an abbreviated  form of the name of
the funds' investment  manager,  American Express Financial  Corporation (AEFC).
The Funds also added the words "Variable  Portfolio" to their name. For example,
IDS Life  Capital  Resource  Fund  changed to AXP  Variable  Portfolio - Capital
Resource  Fund.  In  addition,   some  Funds  changed  their  names  to  reflect
similarities with the retail funds with the same investment objectives, as shown
in the following table.
<TABLE>
<CAPTION>

                                   Fund Names
- ------------------------------------------------------- -----------------------------------------------------
                     Current Name                                          Proposed Name
- ------------------------------------------------------- -----------------------------------------------------
<S>                                                    <C>
- ------------------------------------------------------- -----------------------------------------------------
IDS Life Investment Series, Inc.                        AXPsm Variable Portfolio - Investment Series, Inc.
    -IDS Life Aggressive Growth Fund                        -AXPsm Variable Portfolio - Strategy Aggressive
                                                             Fund
    -IDS Life Capital Resource Fund                         -AXPsm Variable Portfolio - Capital Resource
                                                             Fund
    -IDS Life Growth Dimensions Fund                        -AXPsm Variable Portfolio - New Dimensions Fund
                                                            -AXPsm Variable Portfolio - International Fund
    -IDS Life International Equity Fund
- ------------------------------------------------------- -----------------------------------------------------
- ------------------------------------------------------- -----------------------------------------------------
IDS Life Managed Fund, Inc.                             AXPsm Variable Portfolio - Managed Series, Inc.
    -IDS Life Managed Fund                                  -AXPsm Variable Portfolio - Managed Fund
- ------------------------------------------------------- -----------------------------------------------------
- ------------------------------------------------------- -----------------------------------------------------
IDS Life Moneyshare Fund, Inc.                          AXPsm Variable Portfolio - Money Market Series, Inc.
                                                            -AXPsm Variable Portfolio - Cash Management Fund
    -IDS Life Moneyshare Fund
- ------------------------------------------------------- -----------------------------------------------------
- ------------------------------------------------------- -----------------------------------------------------
IDS Life Special Income Fund, Inc.                      AXPsm Variable Portfolio - Income Series, Inc.
    -IDS Life Global Yield Fund                             -AXPsm Variable Portfolio - Global Bond Fund
    -IDS Life Income Advantage Fund                         -AXPsm Variable Portfolio - Extra Income Fund
    -IDS Life Special Income Fund                           -AXPsm Variable Portfolio - Bond Fund
- ------------------------------------------------------- -----------------------------------------------------
</TABLE>

Where the Fund has changed its name, the Fund will have certain  characteristics
of the retail fund. After a transition period, which will vary by Fund, the Fund
will have  substantially the same investment  policies,  goals and objectives as
the retail  fund.  In addition,  the Fund will be managed by the same  portfolio
manager  and  will  have  substantially   similar  strategies,   techniques  and
characteristics  as the retail  fund.  However,  the Fund is not the same as the
retail fund. The Fund will have its own portfolio  holdings and its own fees and
operating  expenses.  Therefore,  the  performance  of the Fund  will  likely be
greater or less than the performance of the retail fund.

2.   New Distribution  Plan. Fund shareholders  approved a new distribution plan
     (also  known as a 12b-1  plan) of 0.125% of average  daily net assets  that
     will provide additional  services and education.  The Board of Directors of
     the Fund approved this 12b-1 plan. It will be  implemented on September 21,
     1999.  The  following  tables  reflect  this new 12b-1 fee and replaces the
     tables in your prospectus for the IDS Life funds:


<PAGE>
<TABLE>
<CAPTION>

Annual  operating  expenses of the funds
(as a percentage  of average  daily net assets):

- ------------ -------- ---------- -------------- ------------- ------------- ------------- --------------
             AXP VP   AXP VP     AXP VP Cash    AXP VP        AXP VP        AXP VP New    AXP VP
             Bond     Capital    Management     International Managed       Dimensions    Strategy
                      Resource                                                            Aggressive
- ------------ -------- ---------- -------------- ------------- ------------- ------------- --------------
<S>         <C>      <C>        <C>            <C>           <C>           <C>           <C>
- ------------ -------- ---------- -------------- ------------- ------------- ------------- --------------
Management   .60%     .59%       .50%            .83%         .59%          .61%          .59%
fees
- ------------ -------- ---------- -------------- ------------- ------------- ------------- --------------
- ------------ -------- ---------- -------------- ------------- ------------- ------------- --------------
12b-1 fees   .13%     .13%       .13%            .13%         .13%          .13%          .13%
- ------------ -------- ---------- -------------- ------------- ------------- ------------- --------------
- ------------ -------- ---------- -------------- ------------- ------------- ------------- --------------
Other        .07%     .07%       .06%            .15%         .04%          .06%          .09%
expenses
- ------------ -------- ---------- -------------- ------------- ------------- ------------- --------------
- ------------ -------- ---------- -------------- ------------- ------------- ------------- --------------
Total        .80%  2  .79%  2    .69%  2        1.11%  2      .76%  2       .80%  2       .81%  2
- ------------ -------- ---------- -------------- ------------- ------------- ------------- --------------

</TABLE>

2Annualized operating expenses of underlying mutual funds at Dec. 31, 1998.

Example:*

You would pay the  following  expenses  on a $1,000  investment,  assuming  a 5%
annual return and full withdrawal at the end of each time period:
<TABLE>
<CAPTION>

- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
             AXP VP    AXP VP     AXP VP Cash    AXP VP        AXP VP        AXP VP New    AXP VP
             Bond      Capital    Management     International Managed       Dimensions    Strategy
                       Resource                                                            Aggressive
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
<S>         <C>       <C>        <C>            <C>           <C>           <C>           <C>
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
1 Year         $93.80    $93.70     $92.67         $96.98        $93.39        $93.80        $93.90
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
3 Years      $123.29   $122.98    $119.89        $132.81       $122.06       $123.29       $123.60
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
5 Years      $155.40   $154.89    $149.73        $171.25       $153.34       $155.40       $155.92
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
10 Years     $268.12   $267.09    $256.74        $299.52       $264.00       $268.12       $269.15
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
</TABLE>



<PAGE>
<TABLE>
<CAPTION>

You  would  pay the  following  expenses  on the  same  investment  assuming  no
withdrawal  or  selection  of an  annuity  payout  plan at the end of each  time
period:


- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
             AXP VP    AXP VP     AXP VP Cash    AXP VP        AXP VP        AXP VP New    AXP VP
             Bond      Capital    Management     International Managed       Dimensions    Strategy
                       Resource                                                            Aggressive
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
<S>         <C>       <C>        <C>            <C>           <C>           <C>           <C>
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
1 Year         $23.80    $23.70     $22.67         $26.98        $23.39        $23.80        $23.90
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
3 Years        $73.29    $72.98     $69.89         $82.81        $72.06        $73.29        $73.60
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
5 Years      $125.40   $124.89    $119.73        $141.25       $123.34       $125.40       $125.92
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
10 Years     $268.12   $267.09    $256.74        $299.52       $264.00       $268.12       $269.15
- ------------ --------- ---------- -------------- ------------- ------------- ------------- --------------
</TABLE>

*In this example, the $30 annual contract  administrative charge is approximated
as a 0.127% charge based on our average  contract  size. We entered into certain
arrangements  under  which we are  compensated  by the  funds'  advisers  and/or
distributors for the administrative services we provide to the funds.

You should not  consider  this  example  as a  representation  of past or future
expenses. Actual expenses may be more or less than those shown.







45066-11 A (10/99)
*Destroy - next prospectus update







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