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 Fund Information for Mutual of America's Separate Account No. 2 Fidelity Investments® VIP Asset Manager(SM) Portfolio |
 | This Separate Account Fund invests in the Fidelity VIP Asset Manager SM Portfolio, which
seeks high total return with reduced risk over the long term by allocating its assets among
stocks, bonds, and short-term instruments. The Underlying Portfolio's Advisor allocates the
Fund’s assets among the following asset classes, or types of investments within the following
investment parameters: 30%-70% in stocks (equities), 20%-60% in bonds (intermediate- to
long-term debt securities) and 0%-50% in short-term/money market instruments. The expected
neutral mix will consist of 50% in stocks, 40% in bonds and 10% in short-term and money market
instruments. The Portfolio may invest in securities of domestic and foreign issuers.
Mutual of America and Fidelity Investments are not affiliated. Fidelity Investments &
Pyramid Design is a registered service mark of FMR Corp.
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 Fund Information for Mutual of America's Separate Account No. 2 Fidelity Investments® VIP Asset Manager(SM) Portfolio |
 | For more detailed information on the investment strategies for this fund, select the Statutory Prospectus document from the link below and follow these instructions:
Upon opening the Statutory Prospectus document, a navigation bar at the top will appear; in the Page Number box next to the right-facing arrow, enter page number ‘3’ and press ‘Enter’ on your keyboard. View Statutory Prospectus. | |
 Fund Information for Mutual of America's Separate Account No. 2 Fidelity Investments® VIP Asset Manager(SM) Portfolio |
 | For more detailed information on the investment risks for this fund, select the Statutory Prospectus document from the link below and follow these instructions:
Upon opening the Statutory Prospectus document, a navigation bar at the top will appear; in the Page Number box next to the right-facing arrow, enter page number ‘4’ and press ‘Enter’ on your keyboard. View Statutory Prospectus. | |
Fund Information for Mutual of America's Separate Account No. 2 Fidelity Investments® VIP Asset Manager(SM) Portfolio |
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TOTAL RETURN PERFORMANCE DATA FOR MUTUAL OF AMERICA SEPARATE ACCOUNT NO. 2
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| AS OF 05/22/2013 |
| Year to Date |
6.68% |
| FOR PERIODS ENDED 4/30/2013 |
| Prior 3 Months |
2.77%
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| ANNUALIZED |
| Prior 1 Year |
8.38%
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| Prior 3 Years |
6.87%
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| Prior 5 Years |
3.02%
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| Prior 10 Years |
5.51%
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| Date of Inception1 |
5/1/1995 |
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1 Date of Inception shown is the date the Underlying Fund became available
to the Separate Account, in accordance with a current SEC staff position. An Underlying
Fund may have begun operations at an earlier date.
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The performance data shown above represent past performance, which is not a guarantee of future results. Investment returns and unit values will fluctuate so that units, when redeemed, may be worth more or less than their original cost. Investment Fund total return performance currently may be lower or higher than the figures stated above. The total return performance data are based on a hypothetical investment of $1,000, which is redeemed at the end of the periods shown. The total return figures reflect the reinvestment of investment income and capital gains and losses, and are net of expenses which include a contract fee, an expense risk fee, administrative charges, a distribution expense charge and Underlying Funds fees and expenses. Before investing in our variable accumulation annuity contracts, you should consider the investment objectives, risks, charges and expenses (a contract fee, Separate Account expenses and Underlying Funds expenses) carefully. This and other information is contained in the contract prospectus or brochure and Underlying Funds prosectuses. Please read the prospectuses and brochure carefully before investing. The prospectuses and brochure can be obtained by mail or by calling 1-800-468-3785. The total return figures for periods extending beyond a year are average rates of return and do not reflect the Funds' actual year-to-year results, which varied over the periods shown. Contributions or withdrawals made within a period would experience different rates of return based on the unit values on the dates of such transactions.
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The investment adviser for the American Century VP Capital Appreciation Fund reimburses Mutual of America Life Insurance Company for certain administrative expenses, and the transfer agent and distributor for the Fidelity VIP Portfolios reimburse Mutual of America for certain services Mutual of America provides. We pass these reimbursements on to our contractholders, and, as such, the administrative charges for the corresponding Separate Account Funds are reduced to the extent Mutual of America receives such reimbursements.
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 Fund Information for Mutual of America's Separate Account No. 2 Fidelity Investments® VIP Asset Manager(SM) Portfolio |
 | Portfolio Turnover Rate(%): 54%*
*Excludes all short-term securities.
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| Portfolio Information for the Fidelity Investments® VIP Asset Manager(SM) Portfolio | Asset Allocation as of 3/31/2013 (reflects most recent information available) | Return to Top | | | | | | | | | |  | | Asset Type | % of Portfolio | | Equities | 53.8% | | Fixed Income | 39.5% | | Cash | 6.7% | | | | The above Portfolio Information is provided to illustrate the types of securities in which the Portfolio may invest. The information is subject to change and may not represent the Portfolio's current or future holdings. | | Portfolio Information for the Fidelity Investments® VIP Asset Manager(SM) Portfolio | | | | | | | | |  | | Industry | % of Equity Holdings | | Materials | 6.4% | | Industrials | 8.8% | | Telecomunication Services | 2.3% | | Consumer Discretionary | 24.4% | | Consumer Staples | 5.1% | | Energy | 12.3% | | Financials | 13.2% | | Healthcare | 14.9% | | Information Technology | 11.7% | | Utilities | 0.9% | | | | The above Portfolio Information is provided to illustrate the types of securities in which the Portfolio may invest. The information is subject to change and may not represent the Portfolio's current or future holdings. | | Portfolio Information for the Fidelity Investments® VIP Asset Manager(SM) Portfolio | | | | | | | | |  | | Sector | % of Fixed Income Holdings | | U.S. Govt. Treasuries | 39.0% | | Mortgage Backed | 22.7% | | Corporates | 28.8% | | Asset/Commercial Mtge Backed | 3.5% | | Other | 6.0% | | | | The above Portfolio Information is provided to illustrate the types of securities in which the Portfolio may invest. The information is subject to change and may not represent the Portfolio's current or future holdings. | | Portfolio Information for the Fidelity Investments® VIP Asset Manager(SM) Portfolio | | | | | | | | |  | | Rating | % of Fixed Income Holdings | | AAA | 2.8% | | AA | 63.2% | | A | 9.2% | | BBB | 13.6% | | BB | 4.6% | | B | 4.8% | | CCC and Below | 0.7% | | Not Rated/Not Available | 1.1% | | | | The above Portfolio Information is provided to illustrate the types of securities in which the Portfolio may invest. The information is subject to change and may not represent the Portfolio's current or future holdings. | | Portfolio Information for the Fidelity Investments® VIP Asset Manager(SM) Portfolio | Top Ten Holdings as of 3/31/2013 (reflects most recent information available) | Return to Top | | | | | | | | | Company | % of Portfolio | | Apple Inc. | | | USTN 2.625% 7/31/14 | | | UST Note .875% 1/31/18 | | | USTN 1.25% 02/29/20 | | | USTN 2.750% 11/15/42 | | | USTN 1.625% 8/15/22 | | | USTN 2.375% 8/31/14 | | | Fannie Mae 4.0% 30 Year | | | Pioneer Natural Resources Co. | | | General Electric Co | | | | |
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| | | | The above Portfolio Information is provided to illustrate the types of securities in which the Portfolio may invest. The information is subject to change and may not represent the Portfolio's current or future holdings. | |
| Portfolio Information for the Fidelity Investments® VIP Asset Manager(SM) Portfolio | | | | | | | Geoffrey Stein (lead portfolio manager) has managed the fund since June 2009.
Robert Bertelson (co-manager) has managed the fund since January 2006.
| | | | Before investing in our variable accumulation annuity contracts, you should consider the investment objectives, risks, charges and expenses (a contract fee, Separate Account expenses and Underlying Funds expenses) carefully. This and other information is contained in the contract prospectus or brochure and Underlying Funds prospectuses. Please read the prospectuses and brochure carefully before investing. The prospectuses and brochure can be obtained by mail or by calling 1-800-468-3785
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