COVA VARIABLE ANNUITY ACCOUNT ONE
497, 1998-12-22
Previous: COVA VARIABLE ANNUITY ACCOUNT ONE, 497, 1998-12-22
Next: CHILDRENS COMPREHENSIVE SERVICES INC, S-8, 1998-12-22



                 COVA FINANCIAL SERVICES LIFE INSURANCE COMPANY
                        COVA VARIABLE ANNUITY ACCOUNT ONE

                      Supplement dated November 13, 1998 to
             Prospectus dated May 1, 1998, as amended August 1, 1998


This  supplement  should  be  attached  to your copy of the  Prospectus  for the
variable  annuity  contracts  issued by Cova  Financial  Services Life Insurance
Company ("Cova Life") and Cova Variable  Annuity Account One ("Variable  Account
One").

Shares of the MFS/Foreign & Colonial  Emerging  Markets Equity Series of the MFS
Variable  Insurance  Trust are no longer  offered for sale. No initial  purchase
payments,  additional purchase payments, Dollar Cost Averaging or transfers will
be allowed into this Series.  All other  investment  options remain available to
you.





                        CUSTOMER SERVICE: (800) 343-8496
            Issued by Cova Financial Services Life Insurance Company
                     Distributed by: Cova Life Sales Company
                           One Tower Lane, Suite 3000
                      Oakbrook Terrace, Illinois 60181-4644








CL-4135(11/98)


                 COVA FINANCIAL SERVICES LIFE INSURANCE COMPANY

                        COVA VARIABLE ANNUITY ACCOUNT ONE

                      Supplement dated October 28, 1998 to

             Prospectus dated May 1, 1998, as amended August 1, 1998

The following  information  is in addition to certain  information  contained in
your prospectus for the Cova variable annuity.

1.   The following paragraph is added to Section 4 - Investment Options - Dollar
     Cost Averaging:

     Cova  reserves  the right to modify,  terminate  or suspend the Dollar Cost
     Averaging Program.

2.   The  following  information  for the period ended June 30, 1998 is added to
     Appendix A - Condensed Financial Information:

                                                              Period
                                                              Ended
                                                              6/30/98
                                                             (unaudited)
                                                             -----------
COVA SERIES TRUST

Managed by Lord, Abbett & Co.

Bond Debenture Sub-Account
Beginning of Period                                           $12.88
End of Period                                                 $13.51
Number of Accum. Units Outstanding                         6,151,600

Mid-Cap Value Sub-Account
Beginning of Period                                           $10.47
End of Period                                                 $11.21
Number of Accum. Units Outstanding                           795,251

Large Cap Research Sub-Account
Beginning of Period                                           $  9.90
End of Period                                                  $11.34
Number of Accum. Units Outstanding                            464,192

Developing Growth Sub-Account
Beginning of Period                                           $10.53
End of Period                                                 $11.31
Number of Accum. Units Outstanding                           701,432

Managed by J.P. Morgan Investment
Management Inc.
 
Select Equity Sub-Account
Beginning of Period                                           $14.05
End of Period                                                 $15.80
Number of Accum. Units Outstanding                         8,986,842
 
Small Cap Stock Sub-Account
Beginning of Period                                           $13.49
End of Period                                                 $14.02
Number of Accum. Units Outstanding                         4,937,599
 
International Equity Sub-Account
Beginning of Period                                           $11.46
End of Period                                                 $13.06
Number of Accum. Units Outstanding                         6,578,152
 
Quality Bond Sub-Account
Beginning of Period                                           $11.16
End of Period                                                 $11.53
Number of Accum. Units Outstanding                         2,191,199
 
Large Cap Stock Sub-Account
Beginning of Period                                           $14.89
End of Period                                                 $17.66
Number of Accum. Units Outstanding                         2,624,260

LORD ABBETT SERIES FUND, INC.
Growth and Income Sub-Account
Beginning of Period                                           $30.84
End of Period                                                 $33.66
Number of Accum. Units Outstanding                        18,092,138
 
GENERAL AMERICAN CAPITAL COMPANY
Money Market Sub-Account
Beginning of Period                                           $10.67
End of Period                                                 $10.89
Number of Accum. Units Outstanding                           966,618

AIM VARIABLE INSURANCE FUNDS, INC.

AIM V.I. Capital Appreciation Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $11.21
Number of Accum. Units Outstanding                            94,788

AIM V.I. International Equity Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $11.80
Number of Accum. Units Outstanding                           147,132

AIM V.I. Value Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $11.76
Number of Accum. Units Outstanding                           232,878

MFS VARIABLE INSURANCE TRUST

MFS Emerging Growth Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $12.07
Number of Accum. Units Outstanding                           224,942

MFS Research Sub-Account

Beginning of Period                                           $10.00
End of Period                                                 $11.81
Number of Accum. Units Outstanding                           182,395

MFS Growth With Income Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $11.54
Number of Accum. Units Outstanding                           245,170

MFS High Income Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $10.40
Number of Accum. Units Outstanding                            68,090

MFS World Governments Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $10.17
Number of Accum. Units Outstanding                               961

MFS/Foreign & Colonial Emerging Markets Equity Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $ 8.68
Number of Accum. Units Outstanding                            55,324

VARIABLE INSURANCE PRODUCTS FUND

VIP Growth Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $11.25
Number of Accum. Units Outstanding                             3,710

VIP Equity-Income Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $10.60
Number of Accum. Units Outstanding                             3,470

VARIABLE INSURANCE PRODUCTS FUND II

VIP II Contrafund Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $11.18
Number of Accum. Units Outstanding                             2,210

VARIABLE INSURANCE PRODUCTS FUND III

VIP III Growth Opportunities Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $10.56
Number of Accum. Units Outstanding                             3,657

VIP III Growth & Income Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $11.09
Number of Accum. Units Outstanding                            38,401

ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.

Premier Growth Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $12.75
Number of Accum. Units Outstanding                           252,882

Real Estate Investment Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $ 9.30
Number of Accum. Units Outstanding                            91,408

INVESTORS FUND SERIES

Kemper Small Cap Value Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $10.16
Number of Accum. Units Outstanding                            98,352

Kemper Government Securities Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $10.26
Number of Accum. Units Outstanding                             9,388

Kemper Small Cap Growth Sub-Account
Beginning of Period                                           $10.00
End of Period                                                 $11.25
Number of Accum. Units Outstanding                            32,699

The  investment  portfolios  managed  by  A I M  Advisors,  Inc.,  Massachusetts
Financial Services Company,  Alliance Capital Management L.P. and Scudder Kemper
Investments,  Inc.,  commenced  investment  operations  on January 2, 1998.  The
investment  portfolios managed by Fidelity  Management & Research Company,  Inc.
commenced investment operations on February 17, 1998.

3.   The following  information replaces the information contained in Appendix B
     - Performance Information:

FUTURE  PERFORMANCE  WILL  VARY  AND  THE  RESULTS  SHOWN  ARE  NOT  NECESSARILY
REPRESENTATIVE OF FUTURE RESULTS.

Note:  The  figures in Part 1 and Part 2 below  present  investment  performance
information for the periods ended June 30, 1998.  While these numbers  represent
the returns as of that date,  they do not represent  performance  information of
the portfolios  since that date.  Performance  information for the periods after
June 30, 1998 may be  significantly  different  (lower)  than the numbers  shown
below.

PART 1

The portfolios  listed below began operations before June 30, 1998. As a result,
performance  information is available for the accumulation unit values investing
in these portfolios.

Column A presents  performance  figures for the accumulation units which reflect
the  insurance  charges  as well as the  fees  and  expenses  of the  investment
portfolio.  Column B presents  performance  figures for the  accumulation  units
which reflect the insurance charges,  the contract  maintenance charge, the fees
and expenses of the investment portfolio,  and assume that you make a withdrawal
at the end of the period and therefore the withdrawal  charge is reflected.  The
inception  dates  shown  below  reflect  the dates the  Separate  Account  first
invested  in the  Portfolio.  The  performance  returns for  accumulation  units
investing  in the  portfolios  in  existence  for  less  than  one  year are not
annualized.

<TABLE>
<CAPTION>
PART 1       COVA SERIES TRUST
             AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98

                                                                  Accumulation
                                                  Column A        Unit Performance
                                                 (reflects                               Column B
                                                 insurance                              (reflects
                                                 charges and                             all charges
                         Separate Account        portfolio                               and portfolio
                         Inception Date          expenses)                               expenses)
Portfolio                in Portfolio            1 yr          5 yrs     since           1 yr         5 yrs      since
- -----------------        ----------------        ----------    --------  -------------   ----------   ---------  ----------
                                                                         inception                               inception
                                                                        -------------                           ----------

<S>                          <C> <C>              <C>                     <C>              <C>                     <C>   
Select Equity                5/1/96               22.89%          --      23.01%           17.76%         --       21.19%
Small Cap Stock              5/1/96               16.63%          --      14.20%           11.51%         --       12.25%
International Equity         5/1/96                8.34%          --      12.00%            3.23%         --       10.01%
Quality Bond                 5/1/96                8.94%          --       7.28%            3.83%         --        5.20%
Large Cap Stock              5/1/96               29.38%          --      29.99%           24.25%         --       28.27%
Bond Debenture               5/1/96               11.92%          --      14.39%            6.81%         --       12.44%
Mid-Cap Value               8/20/97                 --            --      12.10%             --           --        6.87%
Large Cap Research          8/20/97                 --            --      13.44%             --           --        8.21%
Developing Growth           8/20/97                 --            --      13.14%             --           --        7.91%
</TABLE>


<TABLE>
<CAPTION>
PART 1       LORD ABBETT SERIES FUND, INC.
             AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98

                                                                 Accumulation
                                                  Column A       Unit Performance
                                                 (reflects                               Column B
                                                 insurance                              (reflects
                                                 charges and                             all charges
                         Separate Account        portfolio                               and portfolio
                         Inception Date          expenses)                               expenses)
Portfolio                in Portfolio            1 yr          5 yrs     since           1 yr         5 yrs      since
- -----------------        ----------------        ----------    --------  -------------   ----------   ---------  ----------
                                                                         inception                               inception
                                                                         -------------                           ----------
<S>                         <C>   <C>              <C>         <C>         <C>           <C>          <C>        <C>   
Growth and Income           12/11/89               15.78%      16.73%      15.24%        10.66%       16.12%     15.12%
</TABLE>



<TABLE>
<CAPTION>
PART 1      GENERAL AMERICAN CAPITAL COMPANY
            AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98


                                                                  Accumulation
                                                  Column A        Unit Performance
                                                 (reflects                               Column B
                                                 insurance                              (reflects
                                                 charges and                             all charges
                         Separate Account        portfolio                               and portfolio
                         Inception Date          expenses)                               expenses)
Portfolio                in Portfolio            1 yr             since           1 yr            since
- -----------------        ----------------        ----------       -------------   ----------      ----------
                                                                  inception                       inception
                                                                  -------------                   ----------

<S>                          <C> <C>              <C>                <C>            <C>            <C>  
Money Market                 6/3/96               4.30%              4.20%         -0.81%          1.95%
</TABLE>



<TABLE>
<CAPTION>
PART 1            VARIABLE INSURANCE PRODUCTS FUND
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98



                                      Accumulation   Unit     Performance
                                      Column   A                     Column B
                    Separate          (reflects insurance            (reflects all
                    Account           charges and                    charges and
                    Inception         portfolio expenses)            portfolio expenses)
Portfolio           Date in           1 yr         since         1 yr        since
                    Portfolio                      inception                 inception
- ----------------    ---------       --------       ---------  -------------  ----------

<S>                  <C>  <C>                        <C>                       <C>  
VIP Growth           2/17/98          --             12.47%        --          7.35%

VIP Equity-Income    2/17/98          --              5.98%        --          0.87%
</TABLE>


<TABLE>
<CAPTION>
PART 1            VARIABLE INSURANCE PRODUCTS FUND II
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98


                                      Accumulation   Unit     Performance
                                      Column   A                     Column B
                    Separate          (reflects insurance            (reflects all
                    Account           charges and                    charges and
                    Inception         portfolio expenses)            portfolio expenses)
Portfolio           Date in           1 yr         since         1 yr        since
                    Portfolio                      inception                 inception
- ----------------    ---------       --------       ---------  -------------  ----------

<S>                  <C>  <C>                        <C>                        <C>  
VIP II Contrafund    2/17/98           --            11.78%       --            6.66%
</TABLE>



<TABLE>
<CAPTION>
PART 1            VARIABLE INSURANCE PRODUCTS FUND III
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98



                                      Accumulation   Unit     Performance
                                      Column   A                     Column B
                    Separate          (reflects insurance            (reflects all
                    Account           charges and                    charges and
                    Inception         portfolio expenses)            portfolio expenses)
Portfolio           Date in           1 yr         since         1 yr        since
                    Portfolio                      inception                 inception
- ----------------    ---------       --------       ---------  -------------  ----------


<S>                  <C>  <C>                        <C>                       <C>  
VIP III Growth       2/17/98           --            5.65%        --           0.54%
Opportunities
 
VIP III Growth       2/17/98           --           10.87%        --           5.76%
& Income
</TABLE>


<TABLE>
<CAPTION>
PART 1            AIM VARIABLE INSURANCE FUNDS, INC.
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98



                                      Accumulation   Unit     Performance
                                      Column   A                     Column B
                    Separate          (reflects insurance            (reflects all
                    Account           charges and                    charges and
                    Inception         portfolio expenses)            portfolio expenses)
Portfolio           Date in           1 yr         since         1 yr        since
                    Portfolio                      inception                 inception
- ----------------    ---------       --------       ---------  -------------  ----------

<S>                  <C> <C>                         <C>                         <C>  
AIM V.I. Capital     1/2/98           --             12.11%       --             7.00%
Appreciation
 
AIM V.I.             1/2/98           --             18.01%       --            12.89%
International
Equity

AIM V.I. Value       1/2/98           --             17.65%       --            12.53%
</TABLE>


<TABLE>
<CAPTION>
PART 1            MFS VARIABLE INSURANCE TRUST
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98



                                          Accumulation   Unit     Performance
                                          Column   A                     Column B
                        Separate          (reflects insurance            (reflects all
                        Account           charges and                    charges and
                        Inception         portfolio expenses)            portfolio expenses)
Portfolio               Date in           1 yr         since         1 yr        since
                        Portfolio                      inception                 inception
- ----------------        ---------       --------       ---------  -------------  ----------

<S>                      <C> <C>                         <C>                       <C>   
MFS Emerging Growth      1/2/98          --              20.73%        --          15.61%
MFS Research             1/2/98          --              18.09%        --          12.97%
MFS Growth With Income   1/2/98          --              15.36%        --          10.24%
MFS High Income          1/2/98          --               3.97%        --          -1.14%
MFS World Governments    1/2/98          --               1.73%        --          -3.38%
MFS/Foreign & Colonial
 Emerging Markets Equity 1/2/98          --             -13.24%        --         -18.33%
</TABLE>

<TABLE>
<CAPTION>
PART 1            ALLIANCE VARIABLE PRODUCTS
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98


                                          Accumulation   Unit     Performance
                                          Column   A                     Column B
                        Separate          (reflects insurance            (reflects all
                        Account           charges and                    charges and
                        Inception         portfolio expenses)            portfolio expenses)
Portfolio               Date in           1 yr         since         1 yr        since
                        Portfolio                      inception                 inception
- ----------------        ---------       --------       ---------  -------------  ----------

<S>                      <C> <C>                         <C>                       <C>   
Premier Growth           1/2/98            --            27.52%         --         22.39%
Real Estate Investment   1/2/98            --            -7.04%         --        -12.14%
</TABLE>

<TABLE>
<CAPTION>
PART 1            INVESTORS FUND SERIES
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98

                                          Accumulation   Unit     Performance
                                          Column   A                     Column B
                        Separate          (reflects insurance            (reflects all
                        Account           charges and                    charges and
                        Inception         portfolio expenses)            portfolio expenses)
Portfolio               Date in           1 yr         since         1 yr        since
                        Portfolio                      inception                 inception
- ----------------        ---------       --------       ---------  -------------  ----------

<S>                      <C> <C>                         <C>                        <C>  
Kemper Small Cap Value   1/2/98            --            1.60%          --         -3.50%
Kemper Government        1/2/98            --            2.64%          --         -2.46%
Securities
Kemper Small Cap Growth  1/2/98            --           12.45%          --          7.34%
</TABLE>


PART 2

Certain investment portfolios ("Existing Funds") have been in existence for some
time and therefore have an investment  performance history. In order to show how
investment  performance of the Existing Funds affects  accumulation unit values,
we have developed performance information.

The chart below shows the  investment  performance of the Existing Funds and the
accumulation  unit performance  calculated by assuming that  accumulation  units
were invested in the Existing Funds for the same periods.

The performance  figures in Column A for the Existing Funds reflect the fees and
expenses paid by the Portfolio.  Column B presents  performance  figures for the
accumulation  units which reflect the insurance  charges as well as the fees and
expenses  of the  Portfolio.  Column  C  presents  performance  figures  for the
accumulation units which reflect the insurance charges, the contract maintenance
charge,  the fees and  expenses of the  Portfolio  and  assumes  that you make a
withdrawal  at the end of the  period and  therefore  the  withdrawal  charge is
reflected.


<TABLE>
<CAPTION>
PART 2   GENERAL AMERICAN CAPITAL COMPANY MONEY MARKET FUND
         AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98

                                           Fund    Performance       Accumulation   Unit     Performance
                                           Column A                  Column   B                        Column C
                                                                     (reflects insurance               (reflects all
                    Portfolio                                         charges and                       charges and
                    Inception                                         portfolio expenses)               portfolio expenses)
Portfolio           Date          1 yr     5 yrs        10 yrs     1 yr    5 yrs         10 yrs         1 yr      5 yrs     10 yrs
- ----------------    ---------    -------   ------  ------------  -------  -----------    -------------  -------  ---------  --------

<S>                 <C>  <C>      <C>       <C>        <C>        <C>       <C>            <C>            <C>      <C>       <C>  
Money Market        10/1/87       5.76%     5.15%      6.02%      4.36%     3.75%          4.62%         -0.74%   -0.85%     4.52%
</TABLE>

<TABLE>
<CAPTION>
PART 2            VARIABLE INSURANCE PRODUCTS FUND
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98


                                           Fund Performance                     Accumulation Unit Performance
                                           Column A                  Column   B                        Column C
                                                                     (reflects insurance               (reflects all
                    Portfolio                                         charges and                       charges and
                    Inception                                         portfolio expenses)               portfolio expenses)
Portfolio           Date           1 yr    5 yrs        10 yrs     1 yr    5 yrs         10 yrs         1 yr      5 yrs     10 yrs
- ----------------    ---------    -------  ------  ------------   -------  ---------      -------------  -------  ---------  --------

<S>                 <C>  <C>      <C>     <C>        <C>          <C>       <C>             <C>          <C>      <C>        <C>   
VIP Growth          10/9/86       29.23%  19.56%     16.58%       27.83%    18.16%          15.18%       22.73%   13.56%     15.08%
VIP Equity-Income   10/9/86       21.65%  20.01%     14.97%       20.25%    18.61%          13.57%       15.15%   14.01%     13.47%
</TABLE>

 
<TABLE>
<CAPTION>
PART 2            VARIABLE INSURANCE PRODUCTS FUND II
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98


                               Fund    Performance              Accumulation   Unit     Performance
                                Column A                         Column   B              Column C
                                                                (reflects insurance      (reflects all
                                                                 charges and              charges and
                                                                 portfolio expenses)      portfolio expenses)
                    Portfolio
                    Inception                     since                   since                        since
Portfolio           Date         1 yr             inception      1 yr     inception       1 yr         inception
- ----------------    ---------   -------------     ------------   -------  -------------  -----------  ------------
<S>                  <C> <C>      <C>               <C>           <C>       <C>            <C>          <C>   
VIP II Contrafund    1/3/95       29.82%            29.34%        28.42%    27.94%         23.32%       23.34%
</TABLE>


<TABLE>
<CAPTION>
PART 2            VARIABLE INSURANCE PRODUCTS FUND III
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98


                               Fund Performance                     Accumulation Unit Performance
                                Column A                         Column   B              Column C
                                                                (reflects insurance      (reflects all
                                                                 charges and              charges and
                                                                 portfolio expenses)      portfolio expenses)
                    Portfolio
                    Inception                     since                   since                        since
Portfolio           Date         1 yr             inception      1 yr     inception       1 yr         inception
- ----------------    ---------   -------------     ------------   -------  -------------  -----------  ------------
VIP III Growth
<S>                  <C> <C>      <C>               <C>           <C>        <C>           <C>           <C>   
Opportunities        1/3/95       25.31%            26.44%        23.91%     25.04%        18.81%        20.44%

VIP III Growth
& Income            12/31/96      31.05%            31.39%        29.65%     29.99%        24.55%        25.39%
</TABLE>


<TABLE>
<CAPTION>
PART 2            AIM VARIABLE INSURANCE FUNDS, INC.
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98


                               Fund Performance                    Accumulation Unit Performance
                                Column A                         Column B                  Column C
                                                                (reflects insurance      (reflects all
                                                                 charges and              charges and
                                                                 portfolio expenses)      portfolio expenses)
                    Portfolio
                    Inception                     since                           since                         since
Portfolio           Date         1 yr    5 yrs    inception      1 yr    5 yrs    inception    1 yr     5 yrs   inception
- ----------------    ---------   -------  ------   ------------   ------  -------  ----------   ------   -----   ----------

AIM V.I. Capital
<S>                 <C> <C>      <C>      <C>        <C>         <C>      <C>       <C>        <C>       <C>      <C>   
Appreciation        5/5/93       18.21%   19.66%     19.48%      16.81%   18.26%    18.08%     11.71%    13.66%   17.98%

AIM V.I.
International
Equity              5/5/93       13.76%   16.18%     15.40%      12.36%   14.78%    14.00%      7.26%    10.18%   13.90%

AIM V.I. Value      5/5/93       26.33%   20.73%     21.62%      24.93%   19.33%    20.22%     19.83%    14.73%   20.12%
</TABLE>


<TABLE>
<CAPTION>
PART 2            MFS VARIABLE INSURANCE TRUST
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98

 

                               Fund    Performance              Accumulation   Unit     Performance
                                Column A                         Column   B              Column C
                                                                (reflects insurance      (reflects all
                                                                charges and              charges and
                                                                 portfolio expenses)      portfolio expenses)
                        Portfolio
                        Inception                     since                   since                        since
Portfolio               Date         1 yr             inception      1 yr     inception       1 yr         inception
- ---------------         ---------   -------------     ------------   -------  -------------  ---------     ------------

<S>                        <C>  <C>   <C>               <C>           <C>       <C>            <C>           <C>   
MFS Emerging Growth        7/24/95    33.72%            27.38%        32.32%    25.98%         27.22%        21.38%
MFS Research               7/26/95    25.78%            25.24%        24.38%    23.84%         19.28%        19.24%
MFS Growth With Income     10/9/95    27.77%            28.96%        26.37%    27.56%         21.27%        22.96%
MFS High Income            7/26/95    11.34%            12.15%         9.94%    10.75%          4.84%         6.15%
MFS World Governments      6/14/94     2.75%             4.85%         1.35%     3.45%         -3.75%        -1.15%
MFS Bond                   10/24/95   10.91%             7.02%         9.51%     5.62%          4.41%         1.02%
MFS/Foreign & Colonial
Emerging Markets Equity    10/16/97     --             -21.39%          --     -22.38%           --         -27.48%
</TABLE>

<TABLE>
<CAPTION>
PART 2            ALLIANCE VARIABLE PRODUCTS SERIES FUND, INC.
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98



                               Fund    Performance              Accumulation   Unit     Performance
                                Column A                         Column   B              Column C
                                                                (reflects insurance      (reflects all
                                                                 charges and              charges and
                                                                 portfolio expenses)      portfolio expenses)

                        Portfolio                    10 yrs                  10 yrs                    10 yrs
                        Inception                    or since                or since                 or since
Portfolio               Date         1 yr  5 yrs     inception   1 yr  5 yrs inception 1 yr   5 yrs   inception
- ---------------         ---------   ------ ------    ---------- ------ ----- --------- -----  ------- ----------

<S>                     <C>  <C>    <C>    <C>         <C>      <C>    <C>    <C>      <C>     <C>       <C>   
Premier Growth          6/26/92     43.63% 26.24%      24.87%   42.23% 24.84% 23.47%   37.13%  20.24%    23.37%
Real Estate Investment  1/9/97       8.35%  --         10.23%    6.95%   --    8.83%    1.85%    --       4.23%
</TABLE>


<TABLE>
<CAPTION>
PART 2            INVESTORS FUND SERIES
                  AVERAGE ANNUAL TOTAL RETURN FOR THE PERIODS ENDED 6/30/98


                               Fund    Performance              Accumulation   Unit     Performance
                                Column A                         Column   B              Column C
                                                                (reflects insurance      (reflects all
                                                                 charges and              charges and
                                                                 portfolio expenses)      portfolio expenses)

                        Portfolio                    10 yrs                  10 yrs                    10 yrs
                        Inception                    or since                or since                 or since
Portfolio               Date         1 yr  5 yrs     inception   1 yr  5 yrs inception 1 yr   5 yrs   inception
- ---------------         ---------   ------ ------    ---------- ------ ----- --------- -----  ------- ----------

<S>                      <C> <C>    <C>               <C>       <C>           <C>      <C>               <C>  
Kemper Small Cap Value   5/1/96     9.14%    --       11.60%    7.74%    --   10.20%   2.64%    --       5.60%
Kemper Government
Securities               9/3/87     8.73%   6.35%      7.87%    7.33%   4.95%  6.47%   2.23%   0.35%     6.37%
Kemper Small Cap Growth  5/2/94    32.29%    --       26.14%   30.89%    --   24.74%  25.79%    --      20.14%
</TABLE>


CL-4119(10/98)


© 2022 IncJournal is not affiliated with or endorsed by the U.S. Securities and Exchange Commission