PROTECTIVE VARIABLE LIFE SEPARATE ACCOUNT
497, 2000-12-06
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                      Supplement dated December 1, 2000 to
                       Prospectuses dated May 1, 2000 for
                              PROTECTIVE PREMIERE I
                             PROTECTIVE PREMIERE II
                         PROTECTIVE SINGLE PREMIUM PLUS
                           PROTECTIVE TRANSITIONS; and
                        Prospectus dated June 7, 2000 for
                          PROTECTIVE PREMIERE SURVIVOR
                   issued by Protective Life Insurance Company
                                 (800) 866-3555


As of January 1, 2001, the following Sub-Accounts will no longer be available
for additional investment, including Dollar Cost Averaging, Portfolio
Rebalancing, new policy allocations and transfers of Policy Value from other
Sub- Accounts:

<TABLE>
<S>                                           <C>
Calvert Variable Series, Inc.:                Social Small Cap Growth Portfolio

Van Eck Worldwide Insurance Trust:                   Worldwide Hard Assets Fund
                                                     Worldwide Real Estate Fund
</TABLE>

As of January 1, 2001, the following Sub-Accounts will become available, subject
to state regulatory approval:
<TABLE>
<S>                                                                          <C>
Fidelity-Registered Trademark-Variable Insurance Products Funds:              VIP Index 500 Portfolio, SC
                                                                              VIP Growth Portfolio, SC
                                                                              VIP Contrafund-Registered Trademark- Portfolio, SC
</TABLE>

Expense Table
The Annual Fund Expenses (without reimbursement and expense reductions) are
amended by adding the following  information relating to the period January 1
to December 31, 1999:

<TABLE>
<CAPTION>

Fidelity-Registered Trademark-Variable Insurance     Management        12b-1 Fees          Other Expenses         Total Annual Fund
Products Funds(7):                                  (Advisory)                                After                 Expenses
                                                       Fees                               Reimbursement              (after
                                                                                                                 reimbursement)
<S>                                                 <C>                 <C>                <C>                  <C>
VIP Index 500 Portfolio, SC                             0.24%              0.10%                0.10%                    0.44%
VIP Growth Portfolio, SC                                0.58%              0.10%                0.09%                    0.77%
VIP Contrafund-Registered Trademark- Portfolio, SC      0.58%              0.10%                0.10%                    0.78%
</TABLE>

The footnotes  relating to the Annual Fund Expenses table are amended to add the
following information:

         (7) Fidelity Management & Research Company (FMR) has voluntarily
             agreed to reimburse Service Class of each Portfolio in the
             event that total operating expenses (excluding  interest,
             taxes, certain securities lending costs, brokerage commissions
             and extraordinary expenses), as a percentage of their respective
             net assets, exceed the following thresholds: VIP Index 500
             Portfolio, SC, 0.38%; VIP Growth Portfolio, SC, 1.60%; and VIP
             Contrafund-Registered Trademark- Portfolio, SC, 1.10%. These
             arrangements can be discontinued by FMR at any time. Because
             distribution and/or service (12b-1) fees are paid out of the
             Portfolio's assets on an ongoing basis, over time these fees
             will increase the cost of your investment and may cost you more
             than paying other types of sales charges.




<PAGE>


The information under the caption "Protective Variable Life Separate Account"
is amended to include the following  Sub-Accounts  where  applicable:
Fidelity VIP Index 500, SC; Fidelity VIP Growth, SC; and Fidelity VIP
Contrafund-Registered Trademark-, SC. The information under the caption "The
Funds" is amended to include the Fidelity-Registered Trademark-Variable
Insurance Products Funds managed by Fidelity Management & Research Company
and subadvised by Bankers Trust Company in the case of the Fidelity VIP Index
500 Portfolio, SC and FMR Co., Inc. in the case of the Fidelity VIP Growth
Portfolio, SC and Fidelity VIP Contrafund-Registered Trademark- Portfolio, SC.

The information under the caption "The  Funds" is also amended by adding the
following:

Fidelity-Registered Trademark- Variable Insurance Products Funds
<TABLE>
 <S>                                                       <C>
 VIP                                                       Index 500 Portfolio, SC. This Fund
                                                           seeks investment results that
                                                           correspond to the total return of
                                                           common stocks publicly traded in the
                                                           United States, as represented by the
                                                           S&P 500.

 VIP Growth Portfolio, SC.                                 This Fund seeks to achieve capital
                                                           appreciation.

 VIP Contrafund-Registered Trademark-Portfolio, SC.        This Fund seeks long-term capital
                                                           appreciation.
</TABLE>

         The information under the caption "Other  Investors in the Funds" is
amended to include the Portfolios from the Fidelity-Registered Trademark-
Variable Insurance Products Funds.



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