COVA VARIABLE ANNUITY ACCOUNT ONE
497, 1999-01-05
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CL-4045.DOC

                 COVA FINANCIAL SERVICES LIFE INSURANCE COMPANY
                        COVA VARIABLE ANNUITY ACCOUNT ONE

                          Supplement dated May 1, 1998
                         to Prospectus dated May 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" or "Cova") and Cova Variable Annuity Account One ("Variable
Account One").

Proposed Substitution

One of the  purposes  of this  supplement  is to  notify  you of a  proposal  to
substitute  shares of certain  Portfolios  of Cova  Series  Trust and of General
American  Capital Company for shares of certain other  Portfolios of Cova Series
Trust and for shares of Lord Abbett Series Fund, Inc. as follows:

<TABLE>
<CAPTION>
                                                       Substitution
<S>                                                                             <C>
                  From the Following Portfolios                                 Into the Following Portfolios

                  COVA SERIES TRUST                                             COVA SERIES TRUST
                  Stock Index Portfolio                                         Large Cap Stock Portfolio
                  Quality Income Portfolio                                      Quality Bond Portfolio
                  High Yield Portfolio                                          Bond Debenture Portfolio
                  VKAC Growth and Income Portfolio                              Lord Abbett Growth and Income Portfolio

                  LORD ABBETT SERIES FUND, INC.                                 COVA SERIES TRUST
                  Growth and Income Portfolio                                   Lord Abbett Growth and Income Portfolio

                  COVA SERIES TRUST                                             GENERAL AMERICAN CAPITAL COMPANY
                  Money Market Portfolio                                        Money Market Fund
</TABLE>

Cova Life has filed an application  with the Securities and Exchange  Commission
("Commission")  requesting an order approving the  Substitution.  Upon obtaining
the order from the  Commission  approving the  Substitution,  and subject to any
prior approval by applicable state insurance authorities, Cova Life and Variable
Account One propose to effect the Substitution as soon as it is practical.

A Contract owner,  prior to the date of Substitution,  may transfer  Sub-Account
Values involved in the Substitution to any other sub-account of Variable Account
One without any  limitation  or charge being  imposed.  Moreover,  following the
Substitution  for a period of 30 days, Cova Life will permit transfers from such
sub-accounts  to any other  sub-account of Variable  Account One available under
your Contract without any limitation or charge being imposed. After the 30 days,
any  transfers  from  such  sub-accounts  will be  subject  to the  restrictions
described in the Prospectus.

A complete  list of all  available  Portfolios  in which  Variable  Account  One
invests is set forth in the  Prospectus.  You may obtain a Prospectus by writing
or calling Cova Life at the address or telephone number set forth below.

Cova Life will effect the  Substitution  by  simultaneously  placing an order to
redeem  the  shares of each  Portfolio  being  substituted  from and an order to
purchase shares of each Portfolio being substituted into.

Cova Life will bear the expenses  attributable  to the  Substitution.  Cova Life
will send affected Owners a notice within five days after the Substitution.

Shares of the Stock Index,  Quality Income,  High Yield,  VKAC Growth and Income
and Money Market  Portfolios are no longer offered for sale.  However,  Contract
owners  participating  in the Dollar Cost  Averaging  program will be allowed to
continue to have monies  transferred  into these Portfolios until the earlier of
the completion of their programs or the Substitution.

                        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

Until the  substitution  is  completed,  Cova Life and Variable  Account One are
required  to  continue  to  provide  certain   information  to  Contract  owners
concerning  the Portfolios  managed by Van Kampen  American  Capital  Investment
Advisory  Corp.  This  information  is  contained  in  the  pages  that  follow.
(Information  concerning all other  Portfolios  listed above is contained in the
Prospectus).

INVESTMENT PORTFOLIOS MANAGED BY VAN KAMPEN
AMERICAN CAPITAL INVESTMENT ADVISORY CORP.:

Cova Series Trust

Cova  Series  Trust is managed by Cova  Investment  Advisory  Corporation  (Cova
Advisory),  which is an indirect  subsidiary  of Cova.  Cova  Series  Trust is a
mutual fund with multiple portfolios.  Each investment portfolio has a different
investment  objective.   Cova  Advisory  has  engaged  sub-advisers  to  provide
investment  advice  for the  individual  investment  portfolios.  

The  following  investment  portfolios  of Cova Series  Trust are managed by Van
Kampen American Capital Investment Advisory Corp.:

VKAC Growth and Income
Money Market
Quality Income
High Yield
Stock Index

<TABLE>
<CAPTION>
Investment Portfolio Expenses
(as a percentage of the average daily net assets of an investment portfolio)

                                                                                  Other Expenses
                                                                                  (after expense            Total Annual
                                                                Management       reimbursement for            Portfolio
                                                                   Fees        certain Portfolios)            Expenses
- ---------------------------------------------------------------------------------------------------------------------------

Cova Series Trust (a)
Managed by Van Kampen American
Capital Investment Advisory Corp.
<S>                                                                <C>                 <C>                      <C> 
       VKAC Growth and Income                                      .60%                .10%                     .70%
       Money Market(b)                                             .00%                .11%                     .11%
       Quality Income                                              .50%                .10%                     .60%
       High Yield                                                  .75%                .10%                     .85%
       Stock Index                                                 .50%                .10%                     .60%
- ---------------------------------------------------------------------------------------------------------------------------
<FN>
(a) Since August 20, 1990, Cova has been  reimbursing the investment  portfolios
of Cova Series Trust for all operating  expenses  (exclusive  of the  management
fees) in excess of approximately  .10%. Absent the expense  reimbursement  (and,
with respect to the Money Market  Portfolio,  the  management  fee waiver),  the
percentages  shown for total annual portfolio  expenses (on an annualized basis)
for the year or period  ended  December  31,  1997  would have been .70% for the
Quality Income Portfolio,  .99% for the High Yield Portfolio, .68% for the Money
Market  Portfolio,  .69% for the  Stock  Index  Portfolio  and .88% for the VKAC
Growth and Income Portfolio.

(b) Cova  Advisory,  the  investment  adviser for Cova Series  Trust,  currently
waives its fees for the Money Market Portfolio.  Although not obligated to, Cova
Advisory  expects to continue to waive its fees for the Money Market  Portfolio.
In the future, Cova Advisory may charge its fees on a partial or complete basis.
Absent the  management fee waiver,  the total  management fee on an annual basis
for the Money Market  Portfolio is .50%.  The examples shown below for the Money
Market Portfolio are calculated based upon a waiver of the management fee.
</FN>
</TABLE>

<TABLE>
<CAPTION>
Examples
You would pay the following expenses on a $1,000 investment, assuming a
5% annual return on assets:

                                        (a)   upon surrender at the end of each time period;
                                        (b)   if the contract is not surrendered or is annuitized.

                                                                          Time Periods

                                                  1 year          3 years           5 years          10 years
- ---------------------------------------------------------------------------------------------------------------------------

Cova Series Trust
Managed by Van Kampen American
Capital Investment Advisory Corp.
<S>                                                   <C>             <C>               <C>              <C>    
       VKAC Growth and Income                     (a) $72.29      (a) $113.63       (a) $162.42      (a) $251.04
                                                  (b) $22.29      (b) $ 68.63       (b) $117.42      (b) $251.04
       Money Market                               (a) $66.36      (a) $ 95.62       (a) $132.07      (a) $188.79
                                                  (b) $16.36      (b) $ 50.62       (b) $  87.07     (b) $188.79
       Quality Income                             (a) $71.29      (a) $110.60       (a) $157.34      (a) $240.77
                                                  (b) $21.29      (b) $ 65.60       (b) $112.34      (b) $240.77
       High Yield                                 (a) $73.80      (a) $118.16       (a) $169.99      (a) $266.24
                                                  (b) $23.80      (b) $ 73.16       (b) $124.99      (b) $266.24
       Stock Index                                (a) $71.29      (a) $110.60       (a) $157.34      (a) $240.77
                                                  (b) $21.29      (b) $ 65.60       (b) $112.34      (b) $240.77
- ---------------------------------------------------------------------------------------------------------------------------
</TABLE>

<TABLE>
<CAPTION>
Condensed Financial Information

Accumulation  Unit Value History

The  following  schedule  includes  accumulation  unit  values  for the  periods
indicated.  This data has been extracted from the Separate  Account's  Financial
Statements.  This  information  should be read in conjunction  with the Separate
Account's  Financial  Statements  and related  notes  which are  included in the
Statement of Additional Information.

                                                                                                                          For the
                                                                                                                       period from
                                                                                                                         12/11/89
                                      Year or   Year or   Year or   Year or     Year or  Year or   Year or   Year or    (Start of
                                      Period     Period    Period    Period     Period    Period    Period    Period    Operations)
                                       Ended      Ended     Ended     Ended      Ended     Ended     Ended     Ended      through
                                     12/31/97   12/31/96  12/31/95  12/31/94   12/31/93  12/31/92  12/31/91  12/31/90    12/31/89
- ------------------------------------------------------------------------------------------------------------------------------------
Cova Series Trust
Managed by Van Kampen American
Capital Investment Advisory Corp.
Quality Income Sub-Account
<S>                                    <C>        <C>       <C>       <C>       <C>       <C>       <C>       <C>           <C>   
     Beginning of Period               $15.54     $15.33    $13.17    $13.97    $12.75    $12.02    $10.62    $  9.97       $10.00
     End of Period                     $16.72      15.54     15.33      13.17    $13.97     12.75     12.02      10.62        9.97
     Number of Accum. Units
       Outstanding                  2,931,053  3,334,960 2,690,633  2,576,412 3,659,656 1,891,499   563,960    564,940     253,695
- ---------------------------------------------------------------------------------------------------------------------------

High Yield Sub-Account
     Beginning of Period               $21.42     $19.52   $16.98     $18.02    $14.99    $12.75    $10.06     $10.02       $10.00
     End of Period                     $23.57      21.42     19.52      16.98     18.02     14.99     12.75      10.06       10.02
     Number of Accum. Units
       Outstanding                  1,409,290  2,001,184 1,870,232  1,157,642 1,045,815   361,296   298,202    280,854     250,000

Money Market Sub-Account
     Beginning of Period               $11.88     $11.43   $10.90     $10.61    $10.46    $10.21    $10.00          *            *
     End of Period                     $12.38      11.88     11.43      10.90     10.61     10.46     10.21
     Number of Accum. Units
       Outstanding                  1,742,444  2,584,926 2,987,132  6,963,421   617,575   385,448   527,571

VKAC Growth and Income Sub-Account
     Beginning of Period               $17.01     $14.61   $11.20     $11.92    $10.47    $10.00         *          *            *
     End of Period                     $20.98      17.01     14.61      11.20     11.92     10.47
     Number of Accum. Units
       Outstanding                  2,198,250  1,905,896 1,342,833    977,209   547,643   250,919

Stock Index Sub-Account
     Beginning of Period               $19.04     $15.77   $11.68     $11.87    $11.05    $10.55    $10.00          *            *
     End of Period                     $24.96      19.04     15.77      11.68     11.87     11.05     10.55
     Number of Accum. Units
       Outstanding                  3,547,220  4,680,855 5,436,980  3,151,443 7,691,151 3,164,251   639,923
- ------------------------------------------------------------------------------------------------------------------------------------
<FN>
* The Cova Series  Trust  Money  Market  Portfolio  started  regular  investment
operations on July 1, 1991, the Cova Series Trust Stock Index Portfolio  started
regular  investment  operations  on November 1, 1991,  and the Cova Series Trust
VKAC Growth and Income Portfolio started regular investment operations on May 1,
1992.
</FN>
</TABLE>


PERFORMANCE INFORMATION

Future  performance  will  vary  and  the  results  shown  are  not  necessarily
representative of future results.

Van Kampen American Capital Investment Advisory Corp. is the sub-adviser for the
following  portfolios of Cova Series  Trust:  Money  Market,  Stock Index,  High
Yield, Quality Income and VKAC Growth and Income. Each of these portfolios began
operations before May 1, 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.

<TABLE>
<CAPTION>
Cova Series Trust
Average Annual Total Return for the periods ended 12/31/97
- ------------------------------------------------------------------------------------------------------------------------------------


                                                                                    Accumulation Unit Performance

                                                                       Column A                                Column B
                                                                  (reflects insurance                    (reflects all charges
                                                                      charges and                            and portfolio
                                                                  portfolio expenses)                          expenses)
- ------------------------------------------------------------------------------------------------------------------------------------
                                 Separate Account
                                 Inception Date                                    Since                                   Since
Portfolio                        in Portfolio               1 yr         5 yrs     Inception          1 yr      5 yrs      Inception
- ------------------------------------------------------------------------------------------------------------------------------------

<S>                                  <C> <C>                <C>         <C>        <C>               <C>        <C>       <C>   
   VKAC Growth and Income            5/1/92                 23.34%      14.91%     13.95%            18.05%     14.01%    13.62%
   Money Market                      7/1/91                  4.17%       3.43%      3.33%            (1.00)%     2.28%     2.99%
   Quality Income                   12/11/89                 7.57%       5.56%      6.58%             2.34%      4.39%     6.21%
   High Yield                       12/11/89                10.03%       9.48%     11.23%             4.71%      8.32%    10.83%
   Stock Index                      10/31/91                31.13%      17.69%     15.98%            25.79%     16.81%    15.58%
- ------------------------------------------------------------------------------------------------------------------------------------
</TABLE>
CL-4045 (5/98)


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