Reset Month

Frequency

Downside

Upside

Milliman 6-Month Buffered S&P 500 with Par Up Outcome Fund (Current/Net)
As of 09/29/2022
Reset Month
Fund AUV
Fund Return
Index Return
Fixed Income Contribution
Index Strategy Zone
Remaining Buffer
Remaining Downside Before Buffer
Remaining Upside Par Rate
Remaining Option Premium / Discount
Outcome Period Days Remaining
Jan/Jul$7.69-7.87%-5.55%-5.03%Within Buffer7.21% / 6.56%0.00% / -0.63%72.87% / 72.41%2.50% / 1.85%103
Feb/Aug$7.87-13.67%-13.53%-5.70%Below Buffer Range4.68% / 3.79%0.00% / -0.82%75.56% / 74.95%4.69% / 3.83%134
Mar/Sep$8.23-9.75%-11.43%-2.76%Below Buffer Range5.95% / 4.89%0.00% / -0.99%78.42% / 77.65%5.98% / 4.93%162
Apr/Oct$8.37-16.29%-17.50%-7.68%Below Buffer Range-0.05% / -0.13%0.00% / -0.07%75.37% / 75.31%0.18% / 0.10%12
May/Nov$8.94-10.64%-9.01%-6.82%Within Buffer4.35% / 4.09%0.00% / -0.26%77.38% / 77.18%3.27% / 3.00%42
Jun/Dec$9.17-8.25%-6.68%-4.85%Within Buffer6.48% / 6.02%0.00% / -0.45%72.74% / 72.41%2.92% / 2.45%74
Milliman 6-Year Buffered S&P 500 with Par Up Outcome Fund (Current/Net)
As of 09/29/2022
Reset Month
Fund AUV
Fund Return
Index Return
Fixed Income Contribution
Index Strategy Zone
Remaining Buffer
Remaining Downside Before Buffer
Remaining Upside Par Rate
Remaining Option Premium / Discount
Outcome Period Days Remaining
Jan (I)$7.65-23.49%-22.05%-12.27%Below Buffer Range7.98% / -4.37%0.00% / -11.16%109.81% / 97.55%7.97% / -4.08%1,929
Apr (I)$8.27-17.29%-17.50%-6.19%Within Buffer13.54% / 0.66%0.00% / -11.66%123.38% / 108.99%10.51% / -2.37%2,020
Jul (I)$9.27-7.25%-5.55%-5.01%Within Buffer15.75% / 3.55%0.00% / -12.15%120.83% / 106.14%0.45% / -11.75%2,111
Milliman 1-Year Buffered S&P 500 with Spread Outcome Fund (Current/Net)
As of 09/29/2022
Reset Month
Fund AUV
Fund Return
Index Return
Fixed Income Contribution
Index Strategy Zone
Remaining Buffer
Remaining Downside Before Buffer
Remaining Upside Before Spread
Remaining Spread
Remaining Option Premium / Discount
Outcome Period Days Remaining
Jan$7.86-21.41%-22.05%-7.54%Below Buffer Range0.11% / -0.61%0.00% / -0.63%15.57% / 14.85%15.06% / 15.79%0.49% / -0.15%103
Feb$8.11-18.94%-19.17%-7.17%Below Buffer Range1.39% / 0.46%0.00% / -0.82%12.74% / 11.82%14.26% / 15.19%1.58% / 0.75%134
Mar$8.35-16.48%-14.53%-7.37%Below Buffer Range4.03% / 2.95%0.00% / -0.99%9.34% / 8.25%9.85% / 10.93%3.97% / 2.95%162
Apr$8.29-17.09%-17.50%-5.77%Below Buffer Range3.21% / 1.89%0.00% / -1.18%12.30% / 10.98%11.21% / 12.53%3.35% / 2.13%193
May$8.99-10.14%-9.01%-4.13%Within Buffer6.72% / 5.29%0.00% / -1.36%5.64% / 4.20%6.60% / 8.03%5.64% / 4.20%223
Jun$9.21-7.85%-6.68%-3.32%Within Buffer7.66% / 6.04%0.00% / -1.56%4.10% / 2.48%5.52% / 7.14%4.10% / 2.48%256
Jul$9.27-7.26%-5.55%-3.61%Within Buffer8.00% / 6.22%0.00% / -1.73%3.29% / 1.51%5.03% / 6.82%3.29% / 1.51%284
Aug$8.64-13.65%-13.53%-3.90%Below Buffer Range6.70% / 4.58%0.00% / -1.91%10.79% / 8.67%7.46% / 9.58%6.71% / 4.67%315
Sep$8.94-10.55%-11.43%-1.80%Below Buffer Range7.97% / 5.66%0.00% / -2.11%9.59% / 7.28%6.53% / 8.84%7.99% / 5.71%347
Milliman 1-Year Floored S&P 500 with Par Up Outcome Fund (Current/Net)
As of 09/29/2022
Reset Month
Fund AUV
Fund Return
Index Return
Fixed Income Contribution
Index Strategy Zone
Remaining Downside Before Floor
Remaining Upside Par Rate
Remaining Option Premium / Discount
Outcome Period Days Remaining
Jan$8.12-18.83%-22.05%-7.52%Floor Reached-0.19% / -0.82%49.50% / 49.19%-0.19% / -0.82%103
Feb$8.24-17.56%-19.17%-7.31%Floor Reached-1.28% / -2.09%57.12% / 56.65%-1.28% / -2.09%134
Mar$8.45-15.49%-14.53%-7.26%Floor Reached-3.49% / -4.44%60.80% / 60.20%-3.49% / -4.44%162
Apr$8.47-15.30%-17.50%-5.96%Floor Reached-1.99% / -3.14%56.23% / 55.56%-1.99% / -3.14%193
May$9.06-9.44%-9.01%-4.21%Downside Before Floor-6.21% / -7.49%59.76% / 58.95%-5.13% / -6.42%223
Jun$9.30-6.95%-6.68%-2.96%Downside Before Floor-7.19% / -8.64%59.77% / 58.84%-3.64% / -5.14%256
Jul$9.31-6.86%-5.55%-3.94%Downside Before Floor-8.18% / -9.77%60.54% / 59.50%-3.43% / -5.10%284
Aug$8.93-10.65%-13.53%-3.79%Floor Reached-3.96% / -5.80%62.92% / 61.72%-3.96% / -5.80%315
Sep$9.25-7.45%-11.43%-2.00%Floor Reached-5.09% / -7.09%63.73% / 62.39%-5.09% / -7.09%347
Milliman 6-Month Parred Down S&P 500 with Par Up Outcome Fund (Current/Net)
As of 09/29/2022
Reset Month
Fund AUV
Fund Return
Index Return
Fixed Income Contribution
Index Strategy Zone
Remaining Downside Par Rate
Remaining Upside Par Rate
Remaining Option Premium / Discount
Outcome Period Days Remaining
Jan/Jul$7.55-8.55%-5.55%-5.21%Downside Participation51.39% / 51.07%71.95% / 71.49%0.04% / -0.59%103
Feb/Aug$7.64-13.53%-13.53%-5.56%Downside Participation49.85% / 49.44%74.77% / 74.16%0.96% / 0.13%134
Mar/Sep$8.10-9.59%-11.43%-2.97%Downside Participation48.93% / 48.44%75.62% / 74.87%0.83% / -0.17%162
Apr/Oct$8.26-17.39%-17.50%-7.51%Downside Participation49.41% / 49.38%71.87% / 71.82%0.20% / 0.13%12
May/Nov$8.75-12.53%-9.01%-6.99%Downside Participation51.56% / 51.43%73.04% / 72.85%0.20% / -0.06%42
Jun/Dec$9.08-9.25%-6.68%-5.11%Downside Participation51.07% / 50.84%72.35% / 72.02%0.12% / -0.33%74
Milliman 6-Year Parred Down S&P 500 with Par Up Outcome Fund (Current/Net)
As of 09/29/2022
Reset Month
Fund AUV
Fund Return
Index Return
Fixed Income Contribution
Index Strategy Zone
Remaining Downside Par Rate
Remaining Upside Par Rate
Remaining Option Premium / Discount
Outcome Period Days Remaining
Jan (I)$7.74-22.60%-22.05%-11.76%Downside Participation49.55% / 44.02%99.10% / 88.04%-3.95% / -14.68%1,929
Apr (I)$8.26-17.39%-17.50%-6.14%Downside Participation49.41% / 43.65%107.81% / 95.24%0.32% / -11.38%2,020
Jul (I)$9.30-6.96%-5.55%-4.41%Downside Participation50.51% / 44.37%113.64% / 99.83%-2.03% / -13.93%2,111
Milliman 1-Year Buffered S&P 500 & Nasdaq with Stacker Cap Outcome Fund (Current/Net)
As of 09/29/2022
Reset Month
Fund AUV
Fund Return
Index Returns
Fixed Income Contribution
Index Strategy Zones (Primary/Secondary)
Remaining Buffer
Remaining Downside Before Buffer
Remaining Cap
Remaining Option Premium / Discount
Outcome Period Days Remaining
Jan$7.83-21.71%-22.05% / -28.50%-7.82%Below Buffer Range / Within Buffer0.20% / -0.53%0.00% / -0.63%30.07% / 29.25%0.52% / -0.12%103
Feb$8.09-19.14%-19.17% / -24.08%-7.50%Below Buffer Range / Within Buffer1.25% / 0.33%0.00% / -0.82%27.61% / 26.56%1.41% / 0.58%134
Mar$8.42-15.79%-14.53% / -17.85%-7.62%Below Buffer Range / Within Buffer2.84% / 1.77%0.00% / -0.99%26.32% / 25.07%2.83% / 1.81%162
Apr$8.31-16.89%-17.50% / -20.20%-6.17%Below Buffer Range / Within Buffer2.45% / 1.13%0.00% / -1.18%28.28% / 26.77%2.61% / 1.40%193
May$9.15-8.55%-9.01% / -9.57%-4.48%Within Buffer / Within Buffer4.49% / 3.08%0.00% / -1.36%20.79% / 19.15%3.40% / 2.00%223
Jun$9.40-5.96%-6.68% / -5.65%-3.62%Within Buffer / Within Buffer5.24% / 3.65%0.00% / -1.56%19.91% / 18.04%1.68% / 0.09%256
Jul$9.36-6.36%-5.55% / -5.86%-3.87%Within Buffer / Within Buffer6.73% / 4.96%0.00% / -1.73%19.99% / 17.92%2.01% / 0.25%284
Aug$8.69-13.15%-13.53% / -16.55%-4.45%Below Buffer Range / Within Buffer5.40% / 3.31%0.00% / -1.91%27.89% / 25.45%5.43% / 3.42%315
Sep$9.04-9.55%-11.43% / -12.36%-2.41%Below Buffer Range / Within Buffer6.06% / 3.79%0.00% / -2.11%26.21% / 23.55%6.10% / 3.86%347
Milliman 1-Year Buffered S&P 500 & Russell 2000 with Stacker Cap Outcome Fund (Current/Net)
As of 09/29/2022
Reset Month
Fund AUV
Fund Return
Index Returns
Fixed Income Contribution
Index Strategy Zones (Primary/Secondary)
Remaining Buffer
Remaining Downside Before Buffer
Remaining Cap
Remaining Option Premium / Discount
Outcome Period Days Remaining
Jan$7.83-21.71%-22.05% / -22.86%-7.88%Below Buffer Range / Within Buffer0.13% / -0.60%0.00% / -0.63%30.68% / 29.86%0.45% / -0.19%103
Feb$8.12-18.85%-19.17% / -18.34%-7.48%Below Buffer Range / Within Buffer0.86% / -0.06%0.00% / -0.82%26.92% / 25.88%1.06% / 0.24%134
Mar$8.41-15.89%-14.53% / -16.74%-7.74%Below Buffer Range / Within Buffer2.82% / 1.75%0.00% / -0.99%26.33% / 25.08%2.80% / 1.78%162
Apr$8.34-16.59%-17.50% / -15.42%-6.32%Below Buffer Range / Within Buffer1.87% / 0.56%0.00% / -1.18%27.83% / 26.33%2.06% / 0.86%193
May$9.23-7.65%-9.01% / -4.93%-4.45%Within Buffer / Within Buffer3.53% / 2.13%0.00% / -1.36%20.43% / 18.79%2.44% / 1.05%223
Jun$9.38-6.16%-6.68% / -6.96%-3.57%Within Buffer / Within Buffer5.50% / 3.92%0.00% / -1.56%20.19% / 18.32%1.94% / 0.35%256
Jul$9.38-6.16%-5.55% / -3.30%-3.89%Within Buffer / Within Buffer6.49% / 4.73%0.00% / -1.73%19.72% / 17.65%1.78% / 0.02%284
Aug$8.70-13.05%-13.53% / -14.95%-4.49%Below Buffer Range / Within Buffer5.23% / 3.14%0.00% / -1.91%27.68% / 25.23%5.26% / 3.25%315
Sep$9.03-9.65%-11.43% / -12.13%-2.45%Below Buffer Range / Within Buffer6.13% / 3.86%0.00% / -2.11%26.33% / 23.66%6.16% / 3.93%347
Milliman 1-Year Buffered S&P 500 & MSCI EAFE with Stacker Cap Outcome Fund (Current/Net)
As of 09/29/2022
Reset Month
Fund AUV
Fund Return
Index Returns
Fixed Income Contribution
Index Strategy Zones (Primary/Secondary)
Remaining Buffer
Remaining Downside Before Buffer
Remaining Cap
Remaining Option Premium / Discount
Outcome Period Days Remaining
Jan$7.85-21.51%-22.05% / -28.22%-7.59%Below Buffer Range / Within Buffer0.20% / -0.53%0.00% / -0.63%31.44% / 30.61%0.55% / -0.08%103
Feb$8.06-19.44%-19.17% / -27.98%-7.66%Below Buffer Range / Within Buffer1.47% / 0.54%0.00% / -0.82%27.64% / 26.59%1.59% / 0.76%134
Mar$8.35-16.48%-14.53% / -19.40%-7.69%Below Buffer Range / Within Buffer3.66% / 2.58%0.00% / -0.99%26.74% / 25.49%3.60% / 2.57%162
Apr$8.22-17.78%-17.50% / -22.17%-6.52%Below Buffer Range / Within Buffer3.24% / 1.91%0.00% / -1.18%28.78% / 27.26%3.30% / 2.08%193
May$8.99-10.14%-9.01% / -13.74%-4.54%Within Buffer / Within Buffer6.26% / 4.83%0.00% / -1.36%22.69% / 21.03%5.17% / 3.74%223
Jun$9.18-8.25%-6.68% / -14.42%-3.69%Within Buffer / Within Buffer7.70% / 6.08%0.00% / -1.56%20.95% / 19.06%4.14% / 2.52%256
Jul$9.15-8.45%-5.55% / -9.51%-3.81%Within Buffer / Within Buffer9.13% / 7.33%0.00% / -1.73%22.20% / 20.09%4.42% / 2.62%284
Aug$8.62-13.85%-13.53% / -15.91%-4.52%Below Buffer Range / Within Buffer6.21% / 4.10%0.00% / -1.91%28.06% / 25.61%6.21% / 4.17%315
Sep$9.01-9.85%-11.43% / -11.78%-2.47%Below Buffer Range / Within Buffer6.35% / 4.07%0.00% / -2.11%26.61% / 23.94%6.38% / 4.13%347
Risk Disclosures

The funds have characteristics unlike many other traditional investment products and may not be suitable for all investors. The potential returns an investor can receive from an investment in any of the above funds is subject to each fund's specific parameters (i.e., cap, participation rate, buffer, floor, and spread). There is no guarantee that the outcomes for an outcome period will be realized. A shareholder may lose their entire investment. For more information regarding whether an investment in these funds is right for you, please see the funds' prospectus.

Quoted performance data represents past performance; past performance does not guarantee or predict future performance. Accumulated unit values reflected in any calculation are provided by the insurance company. Milliman cannot warrant the correctness of this data. Current performance may be lower or higher than the performance data quoted. Investment return and principal value of an investment will fluctuate so that an investor’s account values, when sold, may be worth more or less than their original cost. The fund prospectus and, if available, the summary prospectus, contain this and other important information. Read them carefully before investing.

Investing involves risks. Loss of principal is possible. The funds face numerous market risks, including: fixed income risk, active markets risk, participation rate change risk, capped upside return risk, correlation risk, liquidity risk, management risk, market risk, non-diversification risk, operation risk, options risk, FLEX options risk, trading issues risk, upside participation risk and valuation risk.

The fund will utilize FLEX Options issued and guaranteed for settlement by the Options Clearing Corporation (OCC). In the unlikely event that the OCC becomes insolvent or is otherwise unable to meet its settlement obligations, the fund could suffer significant losses. Additionally, FLEX Options may be less liquid than standard options. In a less liquid market for the FLEX Options, the fund may have difficulty closing out certain FLEX Options positions at desired times and prices. The values of FLEX Options do not increase or decrease at the same rate as the reference asset and may vary due to factors other than the price of reference asset.

Any reference to a market index is included for illustrative purposes only, as it is not possible to directly invest in an index. Indices are unmanaged, hypothetical vehicles that serve as market indicators and do not account for the deduction of management fees or transaction costs generally associated with investable products, which otherwise have the effect of reducing the results of an actual investment portfolio.

The fund invests in fixed income assets, from which a portion of the expected yield is derived to support the fund's overall investment strategy. This is atypical from a traditional investment in fixed income assets, whereby the investor directly receives income from the fixed income positions. Because the fund invests in fixed income assets, some credit risk is introduced, and the strategy may not achieve its desired objective.

Advanced Outcomes Annuity offers structured outcome strategies with underlying funds that have characteristics unlike many other traditional investment products and may not be suitable for all investors. There is no guarantee that the outcomes for a specific fund term will be realized. For more information regarding whether an investment in these funds is right for you, please see the product and fund prospectuses.

Variable annuities are long-term investments designed for retirement. Early withdrawals may be subject to withdrawal charges. Partial withdrawals may reduce benefits available under the contract, as well as the amount available upon a full surrender. Withdrawals of taxable amounts are subject to ordinary income tax and if taken prior to age 59½, an additional 10% federal tax may apply.

An investment in Advanced Outcomes Annuity involves investment risk, including possible loss of principal. The contract, when redeemed, may be worth more or less than the total amount invested. Products and features may vary by state and may not be available in all states or firms. We reserve the right to change fees for features described in this material; however, once a contract is issued, the fees will not change. The purchase of Advanced Outcomes Annuity is not required for, and is not a term of, the provision of any banking service or activity.

This material is general in nature, was developed for educational use only, and is not intended to provide financial, legal, fiduciary, accounting or tax advice, nor is it intended to make any recommendations. Applicable laws and regulations are complex and subject to change. Please consult with your financial professional regarding your situation. For legal, accounting or tax advice consult the appropriate professional.

All contract and optional benefit guarantees are backed by the claims-paying ability of the issuing insurance company. They are not backed by the broker/dealer from which this annuity is purchased.

Advanced Outcomes Annuity is sold by prospectus only. The prospectus contains the investment objectives, risks, fees, charges, expenses and other information regarding the contract and underlying funds, which should be considered carefully before investing. A prospectus may be obtained by calling 1-877-445-1262. Investors should read the prospectus carefully before investing.

Contracts and features may vary by state or may not be available in all states.

Advanced Outcomes Annuity is issued by American General Life Insurance Company (AGL), Houston, TX, in all states except New York. AGL does not solicit, issue or deliver policies or contracts in the state of New York. Distributed by AIG Capital Services, Inc. (ACS), member FINRA. AGL and ACS are members of American International Group, Inc. (AIG).