NATIONWIDE VL SEPARATE ACCOUNT A
497, 1999-06-28
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<PAGE>   1

                        SUPPLEMENT DATED JULY 1, 1999 TO

                        PROSPECTUS DATED MAY 1, 1999 FOR

                MULTIPLE PAYMENT VARIABLE LIFE INSURANCE POLICIES

                                    ISSUED BY

                  NATIONWIDE LIFE AND ANNUITY INSURANCE COMPANY

                                   THROUGH ITS

                        NATIONWIDE VL SEPARATE ACCOUNT-A

THIS SUPPLEMENT UPDATES CERTAIN INFORMATION CONTAINED IN YOUR PROSPECTUS. PLEASE
READ IT AND KEEP IT WITH YOUR PROSPECTUS FOR FUTURE REFERENCE.

1.    INFORMATION FOR THE FOLLOWING UNDERLYING MUTUAL FUNDS CONTAINED IN THE
      "UNDERLYING MUTUAL FUND ANNUAL EXPENSES" TABLE LOCATED ON PAGE 7 OF YOUR
      PROSPECTUS, IS AMENDED AS FOLLOWS:

<TABLE>
<CAPTION>

                                      UNDERLYING MUTUAL FUND ANNUAL EXPENSES
            (AS A PERCENTAGE OF UNDERLYING MUTUAL FUND AVERAGE NET ASSETS, AFTER EXPENSE REIMBURSEMENT)
- --------------------------------------------------------------------------------------------------------------------
                                                           Management       Other         12b-1      Total Mutual
                                                              Fees         Expenses       Fees      Fund Expenses
- --------------------------------------------------------------------------------------------------------------------
<S>                                                           <C>           <C>            <C>         <C>
NSAT Capital Appreciation Fund                                0.58%         0.22%          0.00%       0.80%
- --------------------------------------------------------------------------------------------------------------------
NSAT Government Bond Fund                                     0.44%         0.22%          0.00%       0.66%
- --------------------------------------------------------------------------------------------------------------------
NSAT Money Market Fund                                        0.34%         0.21%          0.00%       0.55%
- --------------------------------------------------------------------------------------------------------------------
NSAT Total Return Fund                                        0.57%         0.21%          0.00%       0.78%
- --------------------------------------------------------------------------------------------------------------------
</TABLE>

      The expenses shown above are deducted by the underlying mutual fund before
      it provides Nationwide with the daily net asset value. Nationwide then
      deducts applicable policy charges from the net asset value to calculate
      the unit value of the corresponding sub-account. The management fees and
      other expenses are more fully described in the prospectus for each
      underlying mutual fund. Information relating to the underlying mutual
      funds was provided by the underlying mutual funds and not independently
      verified by Nationwide.

      Some underlying mutual funds are subject to fee waivers and expense
      reimbursements. The following chart shows what the expenses would have
      been for such funds without fee waivers and expense reimbursements.
<TABLE>
<CAPTION>

                                                             Management      Other        12b-1      Total Mutual
                                                                Fees       Expenses       Fees       Fund Expenses
- --------------------------------------------------------------------------------------------------------------------
<S>                                                            <C>           <C>          <C>          <C>
NSAT Capital Appreciation Fund                                 0.60%         0.22%        0.00%        0.82%
- --------------------------------------------------------------------------------------------------------------------
NSAT Government Bond Fund                                      0.50%         0.22%        0.00%        0.72%
- --------------------------------------------------------------------------------------------------------------------
NSAT Money Market Fund                                         0.40%         0.21%        0.00%        0.61%
- --------------------------------------------------------------------------------------------------------------------
NSAT Total Return Fund                                         0.59%         0.21%        0.00%        0.80%
- --------------------------------------------------------------------------------------------------------------------
</TABLE>


2.    THE FIRST PARAGRAPH OF THE "DOLLAR COST AVERAGING" PROVISION ON PAGE 19 OF
      YOUR PROSPECTUS IS AMENDED TO DELETE THE FOLLOWING SENTENCE:

      "Policy owners may participate in this program if their policy value is at
      least $15,000."

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