COVA VARIABLE ANNUITY ACCOUNT FIVE
497, 2000-10-05
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COVA FINANCIAL LIFE INSURANCE COMPANY

COVA VARIABLE ANNUITY ACCOUNT FIVE


Supplement dated September 1, 2000


The following  supplements certain  information  contained in your Cova variable
annuity prospectus:

1. The MFS New Discovery Series of MFS Variable  Insurance Trust is an available
investment  portfolio  under your  contract.  Massachusetts  Financial  Services
Company is the investment adviser to the MFS New Discovery Series.

     Investment   Objective:   The  Series'  investment   objective  is  capital
appreciation.  The Series invests, under normal market conditions,  at least 65%
of its total assets in equity securities of emerging growth companies.

2.   The following is added to the Investment Portfolio Expenses table -
MFS Variable Insurance Trust:

                      Management Other Expenses(a)  Total Annual (a)
                        Fees     (after expense    Portfolio Expenses
                                 reimbursement) (after expense reimbursement)
MFS New Discovery Series   .90%        .17%(b)                1.07% (b)


(a)  The Series has an expense  offset  arrangement  which  reduces  the Series'
     custodian fee based on cash maintained by the Series with its custodian and
     dividend   disbursing   agent.   The  Series  may  enter  into  other  such
     arrangements and directed brokerage arrangements, which would also have the
     effect of reducing the Series' expenses. "Other Expenses" above do not take
     into account these expense  reductions,  and are therefore  higher than the
     actual  expenses of the Series.  Had these fee  reductions  been taken into
     account, net expenses would be lower and would equal 1.05%.


(b)  MFS has contractually  agreed,  subject to reimbursement,  to bear expenses
     for the Series such that the Series'  "Other  Expenses"  (after taking into
     account the expense offset arrangement  described above) do not exceed .15%
     of the average  daily net assets of the Series  during the  current  fiscal
     year. This  contractual fee arrangement will continue until at least May 1,
     2001,  unless  changed  with the  consent  of the board of  trustees  which
     oversees the series.  Absent the  reimbursement,  "Total  Annual  Portfolio
     Expenses" were 2.49%.


3.  The following Examples are added:

You would pay the  following  expenses  on a $1,000  investment,  assuming  a 5%
annual  return on assets:  (a) if you  surrender the contract at the end of each
time  period;  (b) if you do not  surrender  the  contract  or if you  apply the
contract value to an annuity option.



<PAGE>



                                            Time Periods

                                   1 Year            3 Years

MFS New Discovery Series       (a) $76.00          (a) $124.77
                               (b) $26.00          (b) $ 79.77

4. The following accumulation unit values for the period ended June 30, 2000 are
added to Appendix A:


AIM Variable Insurance Funds Managed by A I M Advisors, Inc.
AIM V.I. Capital Appreciation Sub-Account

     Beginning of Period                                    $16.83
     End of Period                                          $18.09
     Number of Accum. Units Outstanding                     144,086
- ----------------------------------------------------------------------------


AIM V.I. International Equity Sub-Account
     Beginning of Period                                    $17.46
     End of Period                                          $15.46
     Number of Accum. Units Outstanding                     33,438
- ----------------------------------------------------------------------------

AIM V.I. Value Sub-Account
     Beginning of Period                                    $16.75
     End of Period                                          $16.59
     Number of Accum. Units Outstanding                     267,530
- ----------------------------------------------------------------------------

Alliance Variable Products Series Fund, Inc. (Class A)
Managed by Alliance Capital Management L.P.
Premier Growth Sub-Account
     Beginning of Period                                    $19.08
     End of Period                                          $19.53
     Number of Accum. Units Outstanding                     183,290
- ----------------------------------------------------------------------------

Real Estate Investment Sub-Account
     Beginning of Period                                    $ 7.49
     End of Period                                          $ 8.62
     Number of Accum. Units Outstanding                     43,763
- ----------------------------------------------------------------------------


American Century Variable Portfolios, Inc
Managed by American Century Investment Management, Inc.
     Beginning of Period                                    $10.32
     End of Period                                          $ 9.88
     Number of Accum. Units Outstanding                     23,649

-----------------------------------------------------------------------------
VP International Sub-Account
     Beginning of Period                                    $12.52
     End of Period                                          $11.71
     Number of Accum. Units Outstanding                     1,110
-----------------------------------------------------------------------------
VP Value Sub-Account
     Beginning of Period                                    $ 9.59
     End of Period                                          $ 9.14
     Number of Accum. Units Outstanding                     14,030
------------------------------------------------------------------------------

Cova Series Trust
Managed by Lord, Abbett & Co.

Bond Debenture Sub-Account
     Beginning of Period                                    $13.77
     End of Period                                          $13.86
     Number of Accum. Units Outstanding                     852,246
- ----------------------------------------------------------------------------
Developing Growth Sub-Account
     Beginning of Period                                    $14.45
     End of Period                                          $12.66
     Number of Accum. Units Outstanding                     173,414
- ----------------------------------------------------------------------------
Large Cap Research Sub-Account
     Beginning of Period                                    $14.64
     End of Period                                          $13.84
     Number of Accum. Units Outstanding                     168,976
- ----------------------------------------------------------------------------
Lord Abbett Growth and Income Sub Account
     Beginning of Period                                    $39.46
     End of Period                                          $38.33
     Number of Accum. Units Outstanding                     1,259,585
- ----------------------------------------------------------------------------

Mid-Cap Value Sub-Account
     Beginning of Period                                    $10.88
     End of Period                                          $12.72
     Number of Accum. Units Outstanding                     146,325
- ----------------------------------------------------------------------------

Managed by J.P. Morgan Investment Management Inc.

International Equity Sub-Account
     Beginning of Period                                    $16.33
     End of Period                                          $15.56
     Number of Accum. Units Outstanding                     867,246
- ----------------------------------------------------------------------------

Large Cap Stock Sub-Account
     Beginning of Period                                    $22.55
     End of Period                                          $21.91
     Number of Accum. Units Outstanding                     1,589,429
- ----------------------------------------------------------------------------

Quality Bond Sub-Account
     Beginning of Period                                    $11.57
     End of Period                                          $11.90
     Number of Accum. Units Outstanding                     567,481
- ----------------------------------------------------------------------------

Select Equity Sub-Account
     Beginning of Period                                    $18.38
     End of Period                                          $18.07
     Number of Accum. Units Outstanding                     1,241,253
- ----------------------------------------------------------------------------

Small Cap Stock Sub-Account
     Beginning of Period                                    $17.93
     End of Period                                          $17.95
     Number of Accum. Units Outstanding                     672,460
- ----------------------------------------------------------------------------

Dreyfus Stock Index Fund
Managed by The Dreyfus Corporation
Dreyfus Stock Index Fund Sub-Account
     Beginning of Period                                   $10.34
     End of Period                                         $10.22
     Number of Accum. Units Outstanding                    11,713
-----------------------------------------------------------------------------
Dreyfus Variable Investment Fund
Managed by The Dreyfus Corporation
Dreyfus VIF - Appreciation Sub-Account
     Beginning of Period                                   $10.13
     End of Period                                         $10.35
     Number of Accum. Units Outstanding                    21,058
-------------------------------------------------------------------------------
Dreyfus VIF - Disciplined Stock Sub-Account
     Beginning of Period                                   $10.31
     End of Period                                         $10.28
     Number of Accum. Units Outstanding                     3,866

-------------------------------------------------------------------------------
Franklin Templeton Variable Insurance Products Trust,
Class 1 Shares

Managed by Franklin Advisers, Inc.
Franklin Small Cap Sub-Account

     Beginning of Period                                    $17.72
     End of Period                                          $18.37
     Number of Accum. Units Outstanding                     45,972
--------------------------------------------------------------------------------

Managed by Franklin Mutual Advisers, LLC
Mutual Shares Securities Sub-Account

     Beginning of Period                                    $10.43
     End of Period                                          $10.41
     Number of Accum. Units Outstanding                     26,134
- ----------------------------------------------------------------------------

Managed by Templeton Asset Management Ltd.
Templeton Developing Markets Securities Sub-Account
     Beginning of Period                                    $11.48
     End of Period                                          $ 9.47
     Number of Accum. Units Outstanding                     28,284
- ----------------------------------------------------------------------------

Managed by Templeton Investment Counsel, Inc.
Templeton International Securities Sub-Account
     Beginning of Period                                    $11.16
     End of Period                                          $11.14
     Number of Accum. Units Outstanding                      65,773
- -----------------------------------------------------------------------------
Managed by Franklin Advisers, Inc.
Franklin Small Cap Sub-Account
     Beginning of Period                                    $17.72
     End Of Period                                          $18.37
     Number of Accum Units Outstanding                      45,972
- ------------------------------------------------------------------------------
General American Capital Company
Managed by Conning Asset Management Company

Money Market Sub-Account
     Beginning of Period                                    $11.53
     End of Period                                          $11.80
     Number of Accum. Units Outstanding                     185,974


- ------------------------------------------------------------------------------

Goldman Sachs Variable Insurance Trust
Managed by Goldman Sachs Asset Management

Goldman Sachs VIT Growth and Income Sub-Account
     Beginning of Period                                    $10.30
     End of Period                                          $10.31
     Number of Accum. Units Outstanding                     29,973
- -----------------------------------------------------------------------------

Managed by Goldman Sachs Asset Management International

Goldman Sachs VIT Global Income Sub-Account
     Beginning of Period                                    $10.56
     End of Period                                          $10.82
     Number of Accum. Units Outstanding                      4,097
- -----------------------------------------------------------------------------

Goldman Sachs VIT International Equity Sub-Account
     Beginning of Period                                    $14.84
     End of Period                                          $14.51
     Number of Accum. Units Outstanding                     27,159
- -----------------------------------------------------------------------------
INVESCO Variable Investment Funds, Inc.
Managed by INVESCO Funds Group, Inc.

INVESCO VIF - Dynamics Sub-Account
     Beginning of Period                                    $11.15
     End of Period                                          $12.59
     Number of Accum. Units Outstanding                     18,450
-------------------------------------------------------------------------------
INVESCO VIF - High Yield Sub-Account
     Beginning of Period                                    $10.12
     End of Period                                          $ 9.92
     Number of Accum. Units Outstanding                      2,812
-------------------------------------------------------------------------------
Kemper Variable Series
Managed by Scudder Kemper Investments, Inc.

Kemper Government Securities Sub-Account
     Beginning of Period                                    $10.56
     End of Period                                          $10.90
     Number of Accum. Units Outstanding                     22,626
- -----------------------------------------------------------------------------

Kemper Small Cap Growth Sub-Account
     Beginning of Period                                    $15.51
     End of Period                                          $16.77
     Number of Accum. Units Outstanding                     10,308
- ------------------------------------------------------------------------------

Kemper Small Cap Value Sub-Account
     Beginning of Period                                    $ 8.89
     End of Period                                          $ 8.66
     Number of Accum. Units Outstanding                     31,724

-------------------------------------------------------------------------------
Liberty Variable Investment Trust
Managed by Newport Fund Management, Inc.

Newport Tiger Fund, Variable Sub-Account
     Beginning of Period                                    $15.40
     End of Period                                          $15.23
     Number of Accum. Units Outstanding                      4,340
- -----------------------------------------------------------------------------

MFS Variable Insurance Trust
Managed by Massachusetts Financial Services Company

MFS Emerging Growth Sub-Account
     Beginning of Period                                    $23.08
     End of Period                                          $22.39
     Number of Accum. Units Outstanding                     78,755
- ------------------------------------------------------------------------------
MFS Global Governments Sub-Account
     Beginning of Period                                    $10.25
     End of Period                                          $10.33
     Number of Accum. Units Outstanding                      1,299
- ------------------------------------------------------------------------------

MFS Growth With Income Sub-Account
     Beginning of Period                                    $12.70
     End of Period                                          $12.68
     Number of Accum. Units Outstanding                     132,313
- -----------------------------------------------------------------------------

MFS High Income Sub-Account
     Beginning of Period                                    $10.35
     End of Period                                          $10.31
     Number of Accum. Units Outstanding                     26,061
- -----------------------------------------------------------------------------

MFS Research Sub-Account
     Beginning of Period                                    $14.90
     End of Period                                          $15.73
     Number of Accum. Units Outstanding                     74,223

- ------------------------------------------------------------------------------

PIMCO Variable Insurance Trust
Managed by Pacific Investment Management Company
PIMCO High Yield Bond Sub-Account
     Beginning of Period                                    $10.08
     End of Period                                          $ 9.93
     Number of Accum. Units Outstanding                     10
--------------------------------------------------------------------------------
PIMCO Low Duration Bond Sub-Account
     Beginning of Period                                    $ 9.97
     End of Period                                          $10.25
     Number of Accum. Units Outstanding                     10
--------------------------------------------------------------------------------
PIMCO StocksPLUS Growth and Income Sub-Account
     Beginning of Period                                    $10.31
     End of Period                                          $10.15
     Number of Accum. Units Outstanding                     10

-------------------------------------------------------------------------------
PIMCO Total Return Bond Sub-Account
     Beginning of Period                                    $ 9.90
     End of Period                                          $10.16
     Number of Accum. Units Outstanding                     3,028

-------------------------------------------------------------------------------
Putnam Variable Trust
Managed by Putnam Investment Management, Inc.

Putnam VT Growth and Income Sub-Account
     Beginning of Period                                   $11.42
     End of Period                                         $11.01
     Number of Accum. Units Outstanding                    140,549
- ------------------------------------------------------------------------------

Putnam VT International Growth Sub-Account
     Beginning of Period                                   $18.52
     End of Period                                         $18.51
     Number of Accum. Units Outstanding                    107,300
- -----------------------------------------------------------------------------

Putnam VT International New Opportunities Sub-Account
     Beginning of Period                                   $22.86
     End of Period                                         $19.19
     Number of Accum. Units Outstanding                    16,456
- ------------------------------------------------------------------------------

Putnam VT New Value Sub-Account
     Beginning of Period                                   $10.38
     End of Period                                         $10.62
     Number of Accum. Units Outstanding                    3,280
- ------------------------------------------------------------------------------

Putnam VT Vista Sub-Account
     Beginning of Period                                    $17.80
     End of Period                                          $20.55
     Number of Accum. Units Outstanding                     26,239
--------------------------------------------------------------------------------

Scudder Variable Life Investment Fund
Managed by Scudder Kemper Investments, Inc.
International Sub-Account
     Beginning of Period                                   $11.64
     End of Period                                         $10.30
     Number of Accum. Units Outstanding                    13,114

------------------------------------------------------------------------------


5. The following replaces Appendix C - Performance Information:


APPENDIX C
PERFORMANCE INFORMATION

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

Note:The  figures  below  present  investment  performance  information  for the
     periods ended June 30, 2000.  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, 2000 may be different than the numbers shown below.

PART 1 - SEPARATE ACCOUNT PERFORMANCE

The portfolios  listed below began operations before June 30, 2000. As a result,
performance  information is available for the  accumulation  units  investing in
these portfolios.

o    Column A presents  performance  figures  for the  accumulation  units which
     reflect the insurance charges,  the contract  maintenance  charge, the fees
     and expenses of each  portfolio,  and assumes that you make a withdrawal at
     the end of the period and therefore the withdrawal charge is reflected.

o    Column B presents  performance  figures  for the  accumulation  units which
     reflect the insurance charges and fees and expenses of each portfolio.

o    Performance  figures shown for  sub-accounts in existence for less than one
     year are not annualized.


Total Return for the periods ended 6/30/00:


<TABLE>
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------------------

                                                                                 Accumulation Unit Performance

                                                                       Column A                                Column B
                                                                     (reflects all                        (reflects insurance
                                                                      charges and                       charges and portfolio
                                                                  portfolio expenses)                          expenses)
- ----------------------------------------------------------------------------------------------------------------------------------
                                Separate Account
                                 Inception Date                                    Since                                Since
Portfolio                        in Portfolio               1 yr         5 yrs     inception          1 yr      5 yrs    inception
- ----------------------------------------------------------------------------------------------------------------------------------
AIM Variable Insurance
Funds
<S>                                 <C>                  <C>            <C>         <C>              <C>        <C>       <C>

   AIM V.I. Capital
     Appreciation                   12/31/97             36.32%          N/A        25.42%           40.92%      N/A       26.76%

   AIM V.I. International
     Equity                         12/31/97             25.91%          N/A        17.56%           30.51%      N/A       19.03%

   AIM V.I. Value                   12/31/97              7.02%          N/A        21.04%           11.62%      N/A       22.45%

- ----------------------------------------------------------------------------------------------------------------------------------

Alliance Variable Products
Series Fund, Inc.
   Premier Growth (Class A)         12/31/97             14.29%          N/A        29.43%           18.89%      N/A        30.71%

   Real Estate Investment (Class A) 12/31/97             -2.26%          N/A        -7.86%            2.35%      N/A        -5.77%

- ----------------------------------------------------------------------------------------------------------------------------------
Cova Series Trust
   Bond Debenture                   5/20/96              -2.18%          N/A         6.90%            2.42%      N/A         7.88%

   Developing Growth                11/7/97              -5.09%          N/A         4.40%           -0.49%      N/A         6.08%

   International Equity             5/14/96              10.43%          N/A        10.14%           15.03%      N/A        11.04%

   Large Cap Research               2/17/98              -0.71%          N/A         9.45%            3.89%      N/A         11.24%

   Large Cap Stock                  5/16/96              -3.91%          N/A        19.79%            0.69%      N/A         20.49%

   Lord Abbett Growth and Income    1/8/99               -6.55%          N/A         1.46%           -1.95%      N/A          4.53%

   Mid-Cap Value                    11/7/97               5.40%          N/A         7.71%           10.01%      N/A          9.31%

   Quality Bond                     5/20/96              -1.82%          N/A         3.37%            2.78%      N/A          4.45%

   Select Equity                    5/15/96              -8.40%          N/A        14.19%           -3.80%      N/A         14.99%

   Small Cap Stock                  5/15/96              30.89%          N/A        11.97%           35.49%      N/A         12.83%

- ----------------------------------------------------------------------------------------------------------------------------------

Franklin Templeton Variable Insurance Products Trust,
Class 1 Shares
   Mutual Shares Securities (1)    9/21/98               -10.97%         N/A        -3.80%           -6.37%      N/A         -1.56%

   Templeton Developing
     Markets Securities (2)        9/21/98               -16.59%         N/A        31.68%          -11.99%      N/A         33.81%

   Templeton International
     Securities (3)                9/21/98                 6.57%         N/A        19.14%           11.17%     N/A          21.44%

   Franklin Small Cap (4)          3/1/99                 60.03%         N/A        64.89%           64.63%     N/A          67.82%

- ----------------------------------------------------------------------------------------------------------------------------------
</TABLE>

   (1) Effective May 1, 2000,  the Mutual Shares  Investments  Fund  (previously
offered  under the  contract)  merged into the Mutual  Shares  Securities  Fund.
Performance  shown  reflects   historical   performance  of  the  Mutual  Shares
Securities Fund.

   (2) Previously, the Templeton Developing Markets Securities Fund was known as
the  Templeton  Developing  Markets Fund.  Effective May 1, 2000,  the Templeton
Developing Markets Securities Fund merged into the Templeton  Developing Markets
Equity Fund.  Performance shown reflects historical performance of the Templeton
Developing Markets Securities Fund.

   (3) Previously,  the Templeton International Securities Fund was known as the
Templeton International Fund. Effective May 1, 2000, the Templeton International
Securities Fund merged into the Templeton International Equity Fund. Performance
shown reflects historical performance of the Templeton International  Securities
Fund.

   (4)  Effective  May  1,  2000,  the  Franklin  Small  Cap  Investments   Fund
(previously offered under the contract) merged into the Franklin Small Cap Fund.
Performance  shown  reflects  historical  performance  of the Franklin Small Cap
Fund.


<TABLE>
<CAPTION>
- ----------------------------------------------------------------------------------------------------------------------------------


                                                                                 Accumulation Unit Performance

                                                                       Column A                                Column B
                                                                     (reflects all                        (reflects insurance
                                                                      charges and                       charges 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>
General American Capital Company
   Money Market                     12/4/97              -0.20%           N/A         2.35%           4.40%       N/A         4.13%

- ----------------------------------------------------------------------------------------------------------------------------------

Goldman Sachs Variable
Insurance Trust
   Goldman Sachs
     VIT Global Income              3/31/98              -2.33%           N/A         0.85%           2.27%       N/A         2.89%

   Goldman Sachs VIT Growth
     and Income                     3/31/98              -9.79%           N/A        -5.85%          -5.19%       N/A        -3.67%

   Goldman Sachs VIT
     International Equity           3/31/98              20.00%           N/A        10.34%          24.60%       N/A        12.18%
- ----------------------------------------------------------------------------------------------------------------------------------

Kemper Variable Series
   Kemper Government
     Securities                     12/31/97             -1.46%           N/A         1.68%           3.14%       N/A         3.49%

   Kemper Small Cap Growth          12/31/97              34.14%          N/A        21.58%          38.74%       N/A        22.98%

   Kemper Small Cap Value           12/31/97             -10.76%          N/A        -7.69%          -6.16%       N/A        -5.60%


- ----------------------------------------------------------------------------------------------------------------------------------
Liberty Variable Investment Trust
   Newport Tiger Fund,
     Variable Series                12/31/97            23.11%           N/A          16.86%         27.71%       N/A        18.35%
- ----------------------------------------------------------------------------------------------------------------------------------

MFS Variable Insurance Trust

   MFS Emerging Growth              12/31/97            46.32%           N/A          36.89%        50.92%       N/A        38.08%

   MFS Global Governments           12/31/97            -4.17%           N/A          -0.57%         0.43%       N/A         1.30%

   MFS Growth With Income           12/31/97            -4.69%           N/A           8.32%        -0.09%       N/A         9.97%

   MFS High Income                  12/31/97            -4.35%           N/A          -0.66%         0.25%       N/A         1.22%

   MFS Research                     12/31/97            14.87%           N/A          18.41%        19.47%       N/A        19.87%
- ----------------------------------------------------------------------------------------------------------------------------------
Putnam Variable Trust
   Putnam VT Growth and
     Income - Class IA Shares       12/31/97           -16.69%           N/A           2.13%       -12.09%       N/A          3.93%
   Putnam VT International
     Growth - Class IA Shares       12/31/97            36.84%           N/A          26.62%        41.44%       N/A         27.95%
   Putnam VT International
     New Opportunities -
     Class IA Shares                12/31/97            36.96%           N/A          28.52%        41.56%       N/A         29.82%

   Putnam VT New Value -
     Class IA Shares                12/31/97           -15.51%           N/A           0.58%       -10.91%       N/A          2.42%

   Putnam VT Vista -
     Class IA Shares                12/31/97            50.82%           N/A          32.15%        55.42%       N/A         33.40%
- ----------------------------------------------------------------------------------------------------------------------------------

</TABLE>

PART 2 - HISTORICAL FUND PERFORMANCE

Certain  portfolios  have been in existence for some time and have an investment
performance  history.  In order to show how the  historical  performance  of the
portfolios  affects the  contract's  accumulation  unit  values,  the  following
performance information was developed.

The information is based upon the historical experience of the portfolios and is
for the periods shown.  The chart below shows the investment  performance of the
portfolios and the accumulation unit performance calculated by assuming that the
contracts were invested in the portfolios for the same periods.

o    The  performance  figures in Column A reflect the fees and expenses paid by
     each portfolio.

o    Column B presents  performance  figures  for the  accumulation  units which
     reflect the insurance charges,  the contract  maintenance  charge, the fees
     and expenses of each  portfolio,  and assumes that you make a withdrawal at
     the end of the period and therefore the withdrawal charge is reflected.

o    Column C presents  performance  figures  for the  accumulation  units which
     reflect the insurance charges and the fees and expenses of each portfolio.

o    Performance  figures  shown for  portfolios  in existence for less than one
     year are not annualized.
<TABLE>
<CAPTION>


Total Return for the periods ended 6/30/00:

- ----------------------------------------------------------------------------------------------------------------------------------



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

                          Portfolio                         10 yrs or                     10 yrs or                     10 yrs or
                          Inception                         since                         since                         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>
AIM Variable Insurance Funds
   AIM V.I. Capital
     Appreciation         5/5/93           42.91%    22.36%  21.98%      25.91%     20.86%    20.48%    30.51%      20.96%   20.58%

   AIM V.I.
     International Equity 5/5/93           32.34%    17.27%  15.54%       7.02%     15.77%    14.04%    11.62%      15.87%   14.14%

   AIM V.I. Value         5/5/93           13.20%    21.82%  21.26%      36.32%     20.32%    19.76%    40.92%      20.42%   19.86%

- ----------------------------------------------------------------------------------------------------------------------------------

Alliance Variable Products Series Fund, Inc.
   Premier Growth
    (Class A)             6/26/92          20.57%   30.30%   24.99%      14.29%     28.80%    23.49%    18.89%      28.90%   23.59%

   Real Estate
     Investment (Class A) 1/9/97            3.79%     N/A     2.76%      -2.26%      N/A      -0.06%     2.35%       N/A      1.36%

- ----------------------------------------------------------------------------------------------------------------------------------
American Century Variable Portfolios, Inc.
   VP Income & Growth   10/30/97             3.68%    N/A    18.05%      -2.32%      N/A      14.84%     2.28%       N/A     16.65%

   VP International       5/1/94            43.62%  21.81%   17.13%      37.62%     20.31%    15.63%    42.22%    20.41%     15.73%

   VP Value               5/1/96           -15.88%   N/A      8.64%     -21.88%     N/A        6.04%   -17.28%      N/A       7.24%

------------------------------------------------------------------------------------------------------------------------------------
Dreyfus Stock Index Fund  9/29/89            6.96%  22.38%   17.31%       0.96%     20.88%    15.81%     5.56%    20.98%     15.91%

------------------------------------------------------------------------------------------------------------------------------------
Dreyfus Variable Investment Fund
   Dreyfus VIF -
      Appreciation        4/5/93             6.56%  22.29%   18.99%       0.56%     20.79%    17.49%     5.16%    20.89%     17.59%

   Dreyfus VIF -
      Disciplined Stock   5/1/96             7.56%   N/A     22.78%       1.56%      N/A      20.18%     6.16%       N/A     21.38%

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Franklin Templeton Variable Insurance Products Trust,
Class 1 Shares

  Mutual Shares
     Securities (1)        11/08/96          0.24%   N/A      9.69%     -10.97%      N/A      6.09%    -6.37%       N/A      8.29%
  Templeton Developing
     Markets Securities
     Fund (2)               3/04/96        -10.74%   N/A     -8.71%     -16.59%      N/A    -11.27%    -11.99%      N/A     -10.11%
  Templeton
     International
     Securities Fund (3)    5/01/92         12.73%  15.54%   14.44%       6.57%     14.04%    12.94%    11.17%      14.14%   13.04%
  Franklin Small Cap
     Fund (4)              11/01/95         80.21%   N/A     28.51%      60.03%      N/A      26.03%    64.63%       N/A     27.11%
-----------------------------------------------------------------------------------------------------------------------------------

(1)  Effective  May 1, 2000,  the Mutual  Shares  Investments  Fund  (previously
     offered under the contract) merged into the Mutual Shares  Securities Fund.
     Performance shown reflects historical performance and inception date of the
     Mutual Shares Securities Fund.

(2)  Previously,  the Templeton  Developing Markets Fund. Effective May 1, 2000,
     the Templeton  Developing Markets Fund merged into the Templeton Developing
     Markets Equity Fund.  Performance shown reflects historical performance and
     inception date of the Templeton Developing Markets Securities Fund.

(3)  Previously,  the Templeton  International Fund.  Effective May 1, 2000, the
     Templeton   International   Securities   Fund  merged  into  the  Templeton
     International   Equity  Fund.   Performance   shown   reflects   historical
     performance  and inception date of the Templeton  International  Securities
     Fund.

(4)  Effective May 1, 2000, the Franklin Small Cap Investments  Fund (previously
     offered  under  the  contract)  merged  into the  Franklin  Small Cap Fund.
     Performance shown reflects historical performance and inception date of the
     Franklin Small Cap Fund.
</TABLE>
<TABLE>
<CAPTION>
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                                                                                      Accumulation Unit Performance
                                                                                  Column B                     Column C
                                                                                (reflects all             (reflects insurance
                                             Portfolio Performance              charges and             charges and portfolio
                                                   Column A                  portfolio expenses)               expenses)
- ----------------------------------------------------------------------------------------------------------------------------------

                          Portfolio                         10 yrs or                     10 yrs or                     10 yrs or
                          Inception                         since                         since                         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>
General American Capital Company
   Money Market           10/1/87          5.88%      5.61%    5.24%      -0.20%      4.11%     3.74%    4.40%     4.41%     3.84%

- ----------------------------------------------------------------------------------------------------------------------------------

Goldman Sachs Variable Insurance Trust
   Goldman Sachs VIT
     Global Income        1/12/98          3.71%       N/A     4.20%      -2.33%      N/A       0.85%    2.27%       N/A      2.80%

   Goldman Sachs VIT
     Growth and Income    1/12/98         -3.83%       N/A     4.70%      -9.79%      N/A       1.35%   -5.19%       N/A      3.30%

   Goldman Sachs VIT
     International Equity 1/12/98          26.28%      N/A    19.68%      20.00%      N/A      16.33%   24.60%       N/A     18.28%

- ----------------------------------------------------------------------------------------------------------------------------------

INVESCO Variable Investment Funds, Inc.
   INVESCO VIF -
      Dynamics            8/25/97         46.96%       N/A       31.51%   40.96%      N/A      28.41%   45.56%       N/A     30.11%
   INVESCO VIF -
      High Yield          5/27/94          1.50%     10.24%     10.14%    -4.50%      8.74%     8.64%    0.10%       8.84%    8.74%
------------------------------------------------------------------------------------------------------------------------------------

Kemper Variable Series
   Kemper Government
     Securities           9/3/87           4.60%      5.91%      7.24%    -1.46%      4.41%     5.74%    3.14%      4.51%     5.84%

   Kemper Small
     Cap Growth           5/2/94          40.72%     27.42%     25.37%    34.14%     25.92%    23.87%   38.74%      26.02%   23.97%

   Kemper Small
     Cap Value            5/1/96          -4.82%       N/A        2.54   -10.76%      N/A      -0.06%   -6.16%       N/A      1.14%


------------------------------------------------------------------------------------------------------------------------------------
Scudder Variable Life Investment Fund
      International       5/1/87          25.18%     16.83%     11.19%    19.18%     15.33%     9.69%   23.78%      15.43%    9.79%
------------------------------------------------------------------------------------------------------------------------------------
Liberty Variable Investment Trust
   Newport Tiger Fund,
     Variable Series      5/1/95          29.44%      4.92%      6.51%    23.11%      3.42%     5.01%   27.71%       3.52%    5.11%

- ----------------------------------------------------------------------------------------------------------------------------------

MFS Variable Insurance Trust
   MFS Emerging
     Growth               7/24/95         53.05%      N/A       31.60%    46.32%      N/A      29.17%   50.92%       N/A     30.20%

   MFS Global
     Governments          6/14/94          1.84%     2.48%      3.97%     -4.17%      0.98%     2.47%    0.43%       1.08%    2.57%

   MFS Growth
     With Income         10/09/95          1.33%      N/A       18.83%    -4.69%      N/A      16.36%   -0.09%       N/A     17.43%

   MFS High Income        7/26/95          1.67%      N/A        7.43%    -4.35%      N/A       5.00%    0.25%       N/A      6.03%

   MFS Research           7/26/95         21.16%      N/A       21.83%    14.87%      N/A      19.40%   19.47%       N/A     20.43%

   MFS New Discovery      5/1/98          56.28%      N/A       35.18%    50.28%      N/A      31.58%   54.88%       N/A     33.78%
- ----------------------------------------------------------------------------------------------------------------------------------
PIMCO Variable Insurance Trust
   PIMCO High Yield Bond   4/30/98         0.60%      N/A        1.80%    -5.40%      N/A      -1.80%   -0.80%       N/A      0.40%
   PIMCO Low
      Duration Bond        2/16/99         4.14%      N/A        3.97%    -1.86%      N/A      -0.84%    2.74%       N/A      2.57%
   PIMCO StocksPLUS
      Growth and Income   12/31/97         6.24%      N/A       18.91%     0.24%      N/A      15.58%    4.84%       N/A     17.51%
   PIMCO Total
      Return Bond         12/31/97         4.62%      N/A        4.51%    -1.38%      N/A       1.18%    3.22%       N/A      3.11%
------------------------------------------------------------------------------------------------------------------------------------

Putnam Variable Trust
   Putnam VT Growth
     and Income -
     Class IA Shares      2/01/88        -10.85%    14.68%     13.25%    -16.69%     13.18%    11.75%  -12.09%   13.28%      11.85%

   Putnam VT International
     Growth - Class
     IA Shares            1/02/97         43.43%     N/A       25.69%     36.84%      N/A      22.88%   41.44%     N/A       24.29%

   Putnam VT International
     New Opportunities -
     Class IA Shares      1/02/97         43.56%     N/A       21.64%     36.96%      N/A      18.83%   41.56%     N/A       20.24%

   Putnam VT New Value -
     Class IA Shares      1/02/97         -9.71%     N/A        7.58%    -15.51%       N/A      4.77%  -10.91%     N/A        6.18%

    Putnam VT Vista -
     Class IA Shares      1/02/97         57.61%     N/A       31.73%     50.82%      N/A      28.92%   55.42%     N/A       30.33%

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</TABLE>

CC-4403 (9/00)                                              21-NAVI-CS-1



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