0001104659-13-085006.txt : 20131115 0001104659-13-085006.hdr.sgml : 20131115 20131115100004 ACCESSION NUMBER: 0001104659-13-085006 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 8 FILED AS OF DATE: 20131115 DATE AS OF CHANGE: 20131115 EFFECTIVENESS DATE: 20131115 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SEASONS SERIES TRUST CENTRAL INDEX KEY: 0001003239 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 333-08653 FILM NUMBER: 131222708 BUSINESS ADDRESS: STREET 1: 1 SUNAMERICA CENTER CITY: LOS ANGELES STATE: CA ZIP: 90067-6022 BUSINESS PHONE: 800-445-7862 MAIL ADDRESS: STREET 1: 2929 ALLEN PARKWAY A28-40 CITY: HOUSTON STATE: TX ZIP: 77019 0001003239 S000008047 Focus Value Portfolio C000021840 Class 2 C000021841 Class 3 C000109743 CLASS 1 497 1 a13-23462_1497.htm 497

 

SEASONS SERIES TRUST

 

Incorporated herein by reference is the Supplement to the Fund’s prospectus filed pursuant to Rule 497(e) under the Securities Act of 1933, as amended, on November 1, 2013 (SEC Accession No. 0001193125-13-423207).

 


EX-101.INS 2 ck0001003239-20131101.xml XBRL INSTANCE DOCUMENT 0001003239 2013-11-01 2013-11-01 0001003239 ck0001003239:S000008047Member 2013-11-01 2013-11-01 SEASONS SERIES TRUST 497 false 0001003239 2013-11-01 2013-11-01 2013-11-01 2013-07-29 Focus Value Portfolio <p align="center" style="margin-top:12pt; margin-bottom:0pt; font-size:12pt; font-family:Times New Roman"> <b>SEASONS SERIES TRUST</b> </p> <br/><p align="center" style="margin-top:12pt; margin-bottom:0pt; font-size:10pt; font-family:Times New Roman"> <b>Supplement to the Statutory Prospectus dated July&#160;29, 2013,</b> </p> <br/><p align="center" style="margin-top:0pt; margin-bottom:0pt; font-size:10pt; font-family:Times New Roman"> <b>as supplemented to date</b> </p> <br/><p align="center" style="margin-top:12pt; margin-bottom:0pt; font-size:10pt; font-family:Times New Roman"> <b>Focused Value Portfolio</b> </p> <br/><p align="center" style="margin-top:0pt; margin-bottom:0pt; font-size:10pt; font-family:Times New Roman"> <b>(the &#8220;Portfolio&#8221;)</b> </p> <br/><p style="margin-top:12pt; margin-bottom:0pt; font-size:10pt; font-family:Times New Roman"> Effective immediately: </p> <p style="margin-top:12pt; margin-bottom:0pt; font-size:10pt; font-family:Times New Roman"> <i/>In the <i/><b>Portfolio Summary</b><i/>, the <i>Principal Investment Strategies of the Portfolio</i> is deleted in its entirety and replaced with the following: <i/> </p> <br/><p style="margin-top:6pt; margin-bottom:0pt; margin-left:13%; font-size:10pt; font-family:Times New Roman"> The Portfolio attempts to achieve its investment goal by investing in equity securities selected on the basis of value criteria, without regard to market capitalization. </p> <br/><p style="margin-top:6pt; margin-bottom:0pt; margin-left:13%; font-size:10pt; font-family:Times New Roman"> The Portfolio offers you access to two different professional managers. The Portfolio utilizes a &#8220;focus&#8221; strategy, which means each manager actively invests in a small number of holdings which constitute some of its favorite stock-picking ideas at any given moment. A focus strategy reflects the belief that, over time, the performance of most investment managers&#8217; &#8220;highest confidence&#8221; stocks exceeds that of their more diversified portfolios. </p> <br/><p style="margin-top:6pt; margin-bottom:0pt; margin-left:13%; font-size:10pt; font-family:Times New Roman"> The Portfolio will generally hold up to a total of 30 securities. Under normal circumstances, one subadviser will invest in up to 20 securities and the other subadviser will invest in up to 10 securities. Examples of when the Portfolio may hold more than the specified number of securities include, but are not limited to, re-balancing or purchase and sale transactions, including following the employment of a new subadviser to manage the Portfolio or a portion of the Portfolio. In this situation the new manager may be selling securities and buying new securities at the same time, resulting in the Portfolio holding more than its usual number of holdings. Each subadviser may invest in additional financial instruments for the purpose of cash management or to hedge a security position. The Portfolio is non-diversified. </p> <br/><p align="center" style="margin-top:24pt; margin-bottom:0pt; font-size:10pt; font-family:Times New Roman"> <b>Please retain this supplement for future reference.</b> </p> EX-101.SCH 3 ck0001003239-20131101.xsd XBRL TAXONOMY EXTENSION SCHEMA DOCUMENT 000001 - Document - Document and Entity Information link:presentationLink link:definitionLink link:calculationLink 020000 - Document - Risk/Return Summary {Unlabeled} - Focus Value Portfolio link:presentationLink link:definitionLink link:calculationLink 020001 - Disclosure - Risk/Return Detail Data {Elements} - Focus Value Portfolio link:presentationLink link:definitionLink link:calculationLink EX-101.CAL 4 ck0001003239-20131101_cal.xml XBRL TAXONOMY EXTENSION CALCULATION LINKBASE DOCUMENT EX-101.DEF 5 ck0001003239-20131101_def.xml XBRL TAXONOMY EXTENSION DEFINITION LINKBASE DOCUMENT EX-101.LAB 6 ck0001003239-20131101_lab.xml XBRL TAXONOMY EXTENSION LABELS LINKBASE DOCUMENT EX-101.PRE 7 ck0001003239-20131101_pre.xml XBRL TAXONOMY EXTENSION PRESENTATION LINKBASE DOCUMENT GRAPHIC 9 g234621bci001.jpg GRAPHIC begin 644 g234621bci001.jpg M_]C_X``02D9)1@`!`0$`8`!@``#_VP!#``H'!P@'!@H("`@+"@H+#A@0#@T- M#AT5%A$8(Q\E)"(?(B$F*S7J#A(6&AXB)BI*3E)66EYB9FJ*CI*6FIZBI MJK*SM+6VM[BYNL+#Q,7&Q\C)RM+3U-76U]C9VN'BX^3EYN?HZ>KQ\O/T]?;W M^/GZ_]H`"`$!```_`/8;FYAL[6:ZN9!%!`C22.W15`R2?H!7G?AKQ'X@^(MY M?7>FZP-#TVSD\J.**V2:2;/(9BX(''8#_&K.F:_XN@^)$'AK6VM6M/LSS)<6 M\!3[4,#DY)QM.1@8_$$5Z!11117)?$?QB/!WALW,$D7]H3NJ6L4@W;L$%SC/ M0+GGU*^M=%I>HV^KZ7;:C:L&AN8Q(A'H15NBBBBBBN&^*/C#6/".F64ND60E M>YF*O.Z%TC`QA2!W;/'/\)_#K=)NY;_1[*\GA,$UQ;QRR1,""C,H)4@],$XJ MY111111115/5M/35M'O=-DD,:7EO)`SJ,E0RE["DNWYE9 MOY;-Y8)'C=D&0S#*C"8`QQT/XU?^,FL>(/#.IV%WI>OWD,-^K@VR[0L939RI MQGG=GG/.><<#*\<:MXYTC2=#\1S^)GC>]7*V=K'Y<<.4!&[G$AQUW#@YQQ7K M/@_5YM>\):;JESL\^X@#2;.A8<'Z9?,MW\^W4]2C??`]@<'_`('6U\7=_#&+Q<=?2VBMVV MF..)`]S^^9-Y(4!<%E7;T(4D\U"I+W3]1M-/\`[/#I<7)4>9=N M!NX`7$8"E>G4^G0:/PW^(]YJ7A36[O7W\^314$S3`*C2H58A<<#=E",]\CZG M*TKQ3XR\7:5XB\3V^K/I-GI:-):6L4$;HQ5"S(S,N6(4*3GN^1CH+5S\1-8U MOX7S^(M+OO[+U'2IDCO(U@21)]Q505W`[1\V?7@CT-8^G^,OBAKG@]M2TDFX M^R71BFGB@B>:7(!"K$$Z+D9(&3O'8-B;QCXT\>:#H7AR^EOSI]U?VTBW-JUI M'D/&W$AW`X+*ZDK@8(Z(/B,WAKX?:-J(_%WCCP?9>'=6N];6^74XS-/9O91(J8"MLW*,]'Q]5)YZ5O^*O&V MJS>-=*\):-26Z3.I9253RVX&,#)SGGVYR7\=^)_!OQ!30-?U*+ M6K.=HAYHMEA=`_&X!1U!/(.<@<$5Z_111117/^/+RYT_P/JUW9S/!/%;EHY$ M.&4Y'(JEX6UC1OB'X/B^V107K*BI>6TRABDH'7!Z9Y((_F#7FOA[P[!:_'J2 MT\/EA8:;(TDC*V\1#R\.F<_WV*=R/?!JKJMU!IO[0#W5]*MO!%>HSR2RMX<@N+CQ-KMO<:D@N[R.WG1%:60`MD%"2>@))YQ^%>3QF7X9 M_$X*97DBL+C:Y!PTD+#N/4J`O'IFNK\2 MVOAEOA?XGM_"L,<,$,L8FE7=Y4CHZ,0K'.[CCCC./K4_P%_Y$>\_["3_`/HN M*L;]H3_F7_\`MY_]I5A?$O3KMO!_@S4UA+6JZ3#"T@Z*Y12`?J,_D:]8\&^* MM-O/`>G:A/M,T'2;J#3H MT:,?VHT:LX69%8E"PRHVL/3)ZD"N2\;I91?%"VBL+^6^CC>W5II;EIV+9!(W M$GUZ#@5](4444457O;*VU*REL[R%9[>9=LD;=&'I7(^)_#G@SPWH-[K4^B+# M'`BEA8N\#.\,66C0:+!=Z)8)9VU_&ES@(`S;E!!;KDX/J:B MUSP3X;\1W"W.K:3#<3KC$N61B!T!*D$CV--;P)X39X&;P]8'R$"1@PC:!DGD M=#R2>?6B]\#>%]1F6:[T2UE=46-%O!5K]BT2XTNV47DSM;6Q5RK.J$L>.!A0>3BMVPTF MQTFQ:SL+410=?*5CCH!@9/'``KS6?4/A?_PDO]C:AX?:#4&G$,AGC!"N<`;F M#D=QS7;7/@GPJ]E'#@:_X"\3(/#&DZ#=SP,WGM M;>5B),<%SE\`<_B2.IQ78V_@OPY:6LMK;:5%#!,:ETCPIH6@W#3 MZ5IL5G(Z[7,1(W#T(SS6/J/PL\':GJ0OYM*"2EMTBPR,B2'W4''Y8ZUIWW@S MP]J.CPZ/<::OV"!MR012/&H/OM()_&ET#P?H?A=I3HMI):B8?.GVF5U;WVLQ M&??&:3Q!X,\/^*989=:L#=-`I6/]_(FT'KPK#TJ2/PKHD?A_^P#8B33<8%O- M(\@'.>"Q)&#TP>.U8>G?"7P?IM\MTFGR3%&W+'/,SQ@]CM/!QSUSUJSXB^&W MAGQ1J/\`:.H6D@NF4*\D,I0R`#`W#H2`,9ZX^@JI=_"'P7=M"1IC0+$NW;#, MR[A_M'.2??.:["TM8+&SAM+:,1P01K'&@Z*JC`'Y"IJ**B^TP&Y-J)H_/""0 MQ;AO"DX#8ZXR",U+17`?$^POO$]LGAG31F40/?R<9SLXC3J/O,2.?2LCX$^( MUN]#N?#\SCSK%S+"I(YB<\X'LVJZ-#:I)I]U;!4-Q(S8"G#'^\N6`Q@9'.16)/ M\0M>T30]`\0ZE<6=S9ZO+B>W2U*&W3.PPQP..=QYX`KO(/$#^-?`6C:7%<-'>:VWV6Z=, M[DCC&9V&F>._$/B2\\0+ MIBV5B-%W%8;FT>43`;@-T@==I^4\!?SQ3(OB3J]Y\+)_%EM%81WEC/Y-S`\+ MM&Y+H!MPX*\.#SFLV;XE^.(O!5KXK.EZ*+&68Q,,R%W^9AN"[L*N5V\DG/., M5T'B3XB7>G6GA@Z?9J'U\1.9IXFD2%'V\!58;F^?IN[>].T_QOJ]O\2V\&ZO M#97'FIN@NK2-XL?NRYW*S-V&.#^>>,FU^)NN^(#XBO-!MM/CT[1;=ID:YBDD M><#=CD.FW*JQQ@XQCFC1OBS?OX(OO$>JVFGR>1,+>&"U=TL:??^&V\06UC_9_B*$-%);JT;6[DC`;<[!EPZ9/R_>)[8-2/XA^+ MI_'6H^%;33=*NYH3(L$I+PJN.0[Y9MPQU48.>]-\+?$CQ?XH_M#3+71--_M6 MTY,CS,D*`$@@KDECD8&"!SDD8YN^%_BS#JG@S5M:U6U2&YT@*98X=VR7?D1[ M>I7!OL]V9) M758XTD((A&T\`Y(!QGN=> M#%L?%^LZUJNH)JEOJ$D^(E66>UV6HP(URA4,7+0NHWKA@"=I)QGNHKK?%$'A'Q/-J$NL65_97C-NLM1@L9?WZ> M6I7<`ISC(!W`$8P".<9NBV$D/AZPT;Q]87<^FO%)/;R+#(\ME\R(BY7)"D;S MCGMQ5'1_`FLZKIOB73M'FNI-%`#6`NPT(N)PZ$$*P&#L5E).!DKGIQM>#)M) MDT*'1+CP#'<:_"&B#W&GIY;D$X=Y&&0!WZGCC-2^)5N=$^.=CKO]D7ES;/$% M_P!$A#-(YB:,=2!G)4:(/O\HXRR[A]['(R.N* MX#PI)I.OZCXMTVYBN=FJW;,HEA=%EAV!=RDKPKK M+#]FG-G$[JV"FX;F`'4,=G(_NUS?PQNGTKX@ZE?7=K++'4=3N8[=Q;Z;%$YB@E'&3'G"X]3^IJ+0KE3\$ M=?TD17#7DNHH8XU@<[^8B0"!C($;9]./45:U2_MX/V?M,T^1F6Z-[)&8RA!5 MEE=B#Z8!'Y_6I/%/BJ]MO"O@M+&ZFM[!K*-9YH5VR!XPJN%?J",'H1U]#2:3 M-S)*7A9`YZGER*/%<1N[W0[. 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Risk/Return: rr_RiskReturnAbstract  
Prospectus Date rr_ProspectusDate Jul. 29, 2013
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Focus Value Portfolio
 
Risk/Return: rr_RiskReturnAbstract  
Supplement [Text Block] ck0001003239_SupplementTextBlock

SEASONS SERIES TRUST


Supplement to the Statutory Prospectus dated July 29, 2013,


as supplemented to date


Focused Value Portfolio


(the “Portfolio”)


Effective immediately:

Risk/Return [Heading] rr_RiskReturnHeading Focus Value Portfolio
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock

In the Portfolio Summary, the Principal Investment Strategies of the Portfolio is deleted in its entirety and replaced with the following:


The Portfolio attempts to achieve its investment goal by investing in equity securities selected on the basis of value criteria, without regard to market capitalization.


The Portfolio offers you access to two different professional managers. The Portfolio utilizes a “focus” strategy, which means each manager actively invests in a small number of holdings which constitute some of its favorite stock-picking ideas at any given moment. A focus strategy reflects the belief that, over time, the performance of most investment managers’ “highest confidence” stocks exceeds that of their more diversified portfolios.


The Portfolio will generally hold up to a total of 30 securities. Under normal circumstances, one subadviser will invest in up to 20 securities and the other subadviser will invest in up to 10 securities. Examples of when the Portfolio may hold more than the specified number of securities include, but are not limited to, re-balancing or purchase and sale transactions, including following the employment of a new subadviser to manage the Portfolio or a portion of the Portfolio. In this situation the new manager may be selling securities and buying new securities at the same time, resulting in the Portfolio holding more than its usual number of holdings. Each subadviser may invest in additional financial instruments for the purpose of cash management or to hedge a security position. The Portfolio is non-diversified.


Please retain this supplement for future reference.

XML 16 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
Focus Value Portfolio
Focus Value Portfolio

SEASONS SERIES TRUST


Supplement to the Statutory Prospectus dated July 29, 2013,


as supplemented to date


Focused Value Portfolio


(the “Portfolio”)


Effective immediately:

In the Portfolio Summary, the Principal Investment Strategies of the Portfolio is deleted in its entirety and replaced with the following:


The Portfolio attempts to achieve its investment goal by investing in equity securities selected on the basis of value criteria, without regard to market capitalization.


The Portfolio offers you access to two different professional managers. The Portfolio utilizes a “focus” strategy, which means each manager actively invests in a small number of holdings which constitute some of its favorite stock-picking ideas at any given moment. A focus strategy reflects the belief that, over time, the performance of most investment managers’ “highest confidence” stocks exceeds that of their more diversified portfolios.


The Portfolio will generally hold up to a total of 30 securities. Under normal circumstances, one subadviser will invest in up to 20 securities and the other subadviser will invest in up to 10 securities. Examples of when the Portfolio may hold more than the specified number of securities include, but are not limited to, re-balancing or purchase and sale transactions, including following the employment of a new subadviser to manage the Portfolio or a portion of the Portfolio. In this situation the new manager may be selling securities and buying new securities at the same time, resulting in the Portfolio holding more than its usual number of holdings. Each subadviser may invest in additional financial instruments for the purpose of cash management or to hedge a security position. The Portfolio is non-diversified.


Please retain this supplement for future reference.

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Document and Entity Information
0 Months Ended
Nov. 01, 2013
Risk/Return:  
Document Type 497
Document Period End Date Nov. 01, 2013
Registrant Name SEASONS SERIES TRUST
Central Index Key 0001003239
Amendment Flag false
Document Creation Date Nov. 01, 2013
Document Effective Date Nov. 01, 2013
Prospectus Date Jul. 29, 2013