USALLIANZ VARIABLE INSURANCE PRODUCTS TRUST
497, 2000-05-30
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                   USALLIANZ VARIABLE INSURANCE PRODUCTS TRUST

                          SUPPLEMENT DATED MAY 30, 2000
                        TO PROSPECTUSES DATED MAY 1, 2000

This Supplement is provided to update,  and should be read in conjunction  with,
the  information  provided  in the  Prospectus.  The  following  replaces in its
entirety the Adviser's Prior Performance section of the Prospectus on pages 19 -
20:

                           Adviser's Prior Performance

Each of the Growth Fund,  Fixed Income Fund,  Money Market Fund and  Diversified
Assets Fund is  substantially  similar to other pooled  accounts  advised by the
Adviser.  The  performance   information  shown  below  is  the  performance  of
unregistered  master  trust  portfolios  managed by the Adviser  for  tax-exempt
investors.  Each master trust  portfolio has  investment  objectives,  policies,
styles  and   strategies   substantially   similar  to  ones   employed  by  the
corresponding   Fund.  Each  master  trust  portfolio  is  not  subject  to  the
diversification   requirements,   specific  tax   restrictions   and  investment
limitations  imposed  on the  Funds by the  Investment  Company  Act of 1940 and
Subchapter M of the Internal Revenue Code. Consequently, the performance of each
master trust portfolio may have been adversely affected if it had been regulated
as an  investment  company  under the federal  securities  laws.  Although  this
performance reflects the fees and expenses of the master trust portfolios,  this
performance  has not been  adjusted to reflect the fees and expenses  which will
apply to the  Funds.  Had  such  performance  been  adjusted  for such  fees and
expenses,  the performance  results would have been lower.  The information does
not  represent  the Funds'  performance,  as such,  nor is it  indicative of the
Funds' future  performance.  The  performance  was calculated in accordance with
recommended  standards of the Association for Investment Management and Research
(AIMR),  retroactively applied to all time periods.  Investment results were not
calculated  pursuant  to  the  methodology  established  by the  Securities  and
Exchange  Commission  that  will be used to  calculate  the  Funds'  performance
results. For information  concerning the Funds' performance through December 31,
1999, see "Funds: Average Annual Rates of Return for Periods Ending December 31,
1999" below.

                   Master Trust Portfolio Annual Total Return
<TABLE>
<S>                                  <C>           <C>           <C>           <C>           <C>           <C>
-------------------------------- ------------- ------------- ------------- ------------- ------------- -------------
Master Trust Portfolio               1994          1995          1996          1997          1998          1999
-------------------------------- ------------- ------------- ------------- ------------- ------------- -------------
-------------------------------- ------------- ------------- ------------- ------------- ------------- -------------
Equity                                 -1.95%        33.73%        22.50%        33.94%        27.55%        25.88%
-------------------------------- ------------- ------------- ------------- ------------- ------------- -------------
-------------------------------- ------------- ------------- ------------- ------------- ------------- -------------
Fixed Income                           -3.16%        20.47%         3.45%        10.48%         9.84%        -2.47%
-------------------------------- ------------- ------------- ------------- ------------- ------------- -------------
-------------------------------- ------------- ------------- ------------- ------------- ------------- -------------
Money Market                            3.98%         6.10%         5.50%         5.67%         5.49%         5.39%
-------------------------------- ------------- ------------- ------------- ------------- ------------- -------------
-------------------------------- ------------- ------------- ------------- ------------- ------------- -------------
Diversified Assets                     -1.65%        20.66%        10.36%        15.91%        13.82%         9.96%
-------------------------------- ------------- ------------- ------------- ------------- ------------- -------------
</TABLE>

                             Master Trust Portfolio
       Average Annual Rates of Return for Periods Ending December 31, 1999

The table below  provides an  indication  of the risks of an  investment  in the
Funds by showing performance of the master trust portfolios, as described above,
as compared to a broad-based securities index and in the case of the diversified
assets master trust portfolio, additionally to an index created by the Adviser.

<TABLE>
<S>                                                                              <C>                  <C>
                                                                                 1 Year               5 Years
-------------------------------------------------------------------------- -------------------- --------------------
-------------------------------------------------------------------------- -------------------- --------------------
Equity Master Trust Portfolio                                                     25.88%              28.64%
                                                                           -------------------- --------------------
                                                                           -------------------- --------------------
S&P 500(R)Index                                                                    21.04%              28.55%
-------------------------------------------------------------------------- -------------------- --------------------
-------------------------------------------------------------------------- -------------------- --------------------
Fixed Income Master Trust Portfolio                                               -2.47%               8.08%
                                                                           -------------------- --------------------
                                                                           -------------------- --------------------
Lehman Brothers Government/Corporate Bond Index                                   -2.15%               7.60%
-------------------------------------------------------------------------- -------------------- --------------------
-------------------------------------------------------------------------- -------------------- --------------------
Money Market Master Trust Portfolio                                                5.39%               5.63%
                                                                           -------------------- --------------------
                                                                           -------------------- --------------------
3 Month Treasury Bill                                                              4.96%               5.28%
-------------------------------------------------------------------------- -------------------- --------------------
-------------------------------------------------------------------------- -------------------- --------------------
Diversified Assets Master Trust Portfolio                                          9.96%              14.07%
                                                                           -------------------- --------------------
                                                                           -------------------- --------------------
Lehman Brothers Intermediate Government/Corporate Bond Index                       0.39%               7.09%
                                                                           -------------------- --------------------
                                                                           -------------------- --------------------
Diversified Assets Index*                                                          5.81%              12.13%
-------------------------------------------------------------------------- -------------------- --------------------
</TABLE>

*        An index created by the Adviser consisting of several securities market
         indices   including   65%   of   the   Lehman   Brothers   Intermediate
         Government/Corporate Bond Index, 25% of the S&P 500(R) Index and 10% of
         the 90-day Treasury Bill.

                                                          * * *



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