497 1 vdc-html7496_497.htm VOYA DEFERRED COMP (033-75996) - 497

 

Voya Retirement Insurance and Annuity Company

and its

Variable Annuity Account B

 

Group Variable Annuity Contract for

Employer-Sponsored Deferred Compensation Plans

 

Supplement Dated March 7, 2024 to the Contract Prospectus,

Initial Summary Prospectuses, and Updating Summary Prospectus,

each dated May 1, 2023, as amended

 

This supplement to the variable annuity account prospectus (“contract prospectus”), initial summary prospectus and updating summary prospectus (“summary prospectuses”), updates and amends certain information contained in them. Please read this supplement carefully and keep it with the contract prospectus and summary prospectuses that you may have received, for future reference. Capitalized terms not defined in this supplement shall have the meaning given to them in the contract prospectus and summary prospectuses.

 

 

NOTICE OF IMPORTANT INFORMATION

ABOUT YOUR CONTRACT PROSPECTUS

AND SUMMARY PROSPECTUSES

 

Certain information has been corrected in the CURRENT EXPENSES and AVERAGE ANNUAL TOTAL RETURNS sections of the APPENDIX A: FUNDS AVAILABLE UNDER THE CONTRACT (“APPENDIX A”), in the contract prospects and the APPENDIX: FUNDS AVAILABLE UNDER THE CONTRACT (“APPENDIX”), in the summary prospectuses. In that regard, the APPENDIX A of the contract prospectus and the APPENDIX of the summary prospectuses are replaced in its entirety, after the words “APPENDIX A” or “APPENDIX”, as applicable, with the following:

 

The following is a list of Funds available under the Contract. The Funds available to you may vary based on employer and state approval and participants should refer to their plan documents for a list of available Funds. The Funds available to you are also found online at https://vpx.broadridge.com/getcontract1.asp?dtype=pros&cid=voyavpx&fid=NRVA00980. You can also request this information at no cost by calling Customer Service at 1-800-584-6001 or by sending an email request to ProspectusRequests@voya.com.

 

The current expenses and performance information below reflects fee and expenses of the Funds, but do not reflect the other fees and expenses that your Contract may charge. Expenses would be higher and performance would be lower if these other charges were included. Each Fund’s past performance is not necessarily an indication of future performance.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks growth of capital.

American Funds Insurance Series® – Growth Fund (Class 2)

 

Investment Adviser: Capital Research and Management CompanySM

0.59% -29.94% 11.14% 13.64%
Seeks long-term growth of capital and income.

American Funds Insurance Series® – Growth-Income Fund (Class 2)

 

Investment Adviser: Capital Research and Management CompanySM

0.53% -16.50% 7.83% 11.54%
Seeks long-term growth of capital.

American Funds Insurance Series® – International Fund (Class 2)

 

Investment Adviser: Capital Research and Management CompanySM

0.78% -20.79% -1.03% 3.92%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks to provide a competitive total return through an actively managed portfolio of stocks, bonds and money market instruments which offer income and capital growth opportunity.

Calvert VP SRI Balanced Portfolio (Class I)

 

Investment Adviser: Calvert Research and Management

0.64% -15.41% 6.32% 7.57%
Seeks to provide current income.

Federated Hermes Fund for U.S. Government Securities II

 

Investment Adviser: Federated Investment Management Company

0.78% -12.55% -0.84% 0.23%
Seeks high current income.

Federated Hermes High Income Bond Fund II (Primary Shares)

 

Investment Adviser: Federated Investment Management Company

0.74% -11.78% 1.59% 3.58%
Seeks long-term capital appreciation.

Fidelity® VIP ContrafundSM Portfolio (Initial Class)

 

Investment Adviser: Fidelity Management & Research Company LLC (“FMR”)

 

Subadvisers: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited

0.60% -26.31% 8.66% 11.43%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks reasonable income. Also considers the potential for capital appreciation. Seeks to achieve a yield which exceeds the composite yield on the securities comprising the S&P 500® Index.

Fidelity® VIP Equity-Income Portfolio (Initial Class)SM

 

Investment Adviser: Fidelity Management & Research Company LLC (“FMR”)

 

Subadvisers: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited

0.51% -4.96% 8.16% 10.19%
Seeks to achieve capital appreciation.

Fidelity® VIP Growth Portfolio (Initial Class)

 

Investment Adviser: Fidelity Management & Research Company LLC (“FMR”)

 

Subadvisers: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited and Fidelity Management & Research (Japan) Limited

0.61% -24.46% 12.42% 14.61%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks long-term growth of capital.

Fidelity® VIP Overseas Portfolio (Initial Class)

 

Investment Adviser: Fidelity Management & Research Company LLC (“FMR”)

 

Subadvisers: FMR Investment Management (UK) Limited, Fidelity Management & Research (Hong Kong) Limited, Fidelity Management & Research (Japan) Limited, FIL Investment Advisors, FIL Investment Advisors (UK) and FIL Investments (Japan) Limited

0.77% -24.48% 2.61% 5.74%
Seeks long-term total return. Under normal market conditions, the Fund invests at least 80% of its net assets in investments of small-capitalization companies.

Franklin Small Cap Value VIP Fund (Class 2)

 

Investment Adviser: Franklin Mutual Advisers, LLC

0.91% -10.06% 5.48% 9.09%
A non-diversified Fund that seeks capital growth.

Invesco V.I. American Franchise Fund (Series I)

 

Investment Adviser: Invesco Advisers, Inc.

0.86% -31.11% 7.66% 11.64%
Seeks long-term growth of capital.

Invesco V.I. Core Equity Fund (Series I)

 

Investment Adviser: Invesco Advisers, Inc.

0.80% -20.55% 6.19% 8.30%
Seeks total return.

Invesco V.I. Main Street Small Cap Fund® (Series I)

 

Investment Adviser: Invesco Advisers, Inc.

0.93% -15.83% 7.01% 10.88%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks to deliver long-term growth of capital by investing primarily in stocks of mid-sized U.S. companies.

Lord Abbett Series Fund, Inc. – Mid Cap Stock Portfolio (Class VC)

 

Investment Adviser: Lord, Abbett & Co. LLC

1.16% -11.21% 4.06% 7.81%
Seeks maximum real return, consistent with preservation of real capital and prudent investment management.

PIMCO Real Return Portfolio (Administrative Class)

 

Investment Adviser: Pacific Investment Management Company LLC

0.92% -12.09% 1.86% 0.79%
Maximize total return through a combination of income and capital appreciation.

Pioneer High Yield VCT Portfolio (Class I)

 

Investment Adviser: Amundi Asset Management US, Inc.

0.94% -11.20% 1.25% 3.51%
Seeks total return consisting of capital appreciation (both realized and unrealized) and current income; the secondary investment objective is long-term capital appreciation.

Voya Balanced Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.74% -17.24% 3.37% 5.91%
Seeks investment results (before fees and expenses) that correspond to the total return (which includes capital appreciation and income) of an index that measures the investment return of emerging markets securities.

Voya Emerging Markets Index Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.55% -20.90% -2.18% 0.37%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks to maximize total return through a combination of current income and capital appreciation.

Voya Global Bond Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.69% -18.35% -2.13% -0.35%
Seeks long-term capital growth and current income.

Voya Global High Dividend Low Volatility Portfolio (Class I)1

 

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.60% -4.90% 4.80% N/A
Seeks capital appreciation.

Voya Global Insights Portfolio (Class I)2

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co LLC3

0.80% -31.93% 2.80% 7.84%
Seeks total return.

Voya Global Perspectives® Portfolio (Class I)4

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.83% -19.33% 1.38% N/A
Seeks to provide high current return, consistent with preservation of capital and liquidity, through investment in high-quality money market instruments while maintaining a stable share price of $1.00.

Voya Government Money Market Portfolio (Class I)5

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.45% 1.39% 1.05% 0.61%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.
1This Fund employs a managed volatility strategy. See “THE INVESTMENT OPTIONS – The Variable Investment Options – Funds with Managed Volatility Strategies” for more information.
2Effective December 1, 2023, the VY® Invesco Global Portfolio changed its name to Voya Global Insights Portfolio.
3Effective December 1, 2023, Invesco Advisors, Inc. was replaced as subadviser for the Voya Global Insights Portfolio with Voya Investment Management Co. LLC.
4This Fund is structured as a Fund of Funds that invests directly in shares of underlying Funds. See “THE INVESTMENT OPTIONS – The Variable Investment Options – Fund of Funds” for more information.
5There is no guarantee that the Voya Government Money Market Portfolio Subaccount will have a positive or level return.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks to maximize total return through investments in a diversified portfolio of common stock and securities convertible into common stocks. It is anticipated that capital appreciation and investment income will both be major factors in achieving total return.

Voya Growth and Income Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.67% -14.71% 9.70% 11.59%
Seeks to provide Investors with a high level of current income and total return.

Voya High Yield Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.48% -12.28% 1.85% 3.53%
Seeks to outperform the total return performance of the S&P 500® Index while maintaining a market level of risk.

Voya Index Plus LargeCap Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.55% -19.04% 8.01% 11.92%
Seeks to outperform the total return performance of the S&P MidCap 400® Index while maintaining a market level of risk.

Voya Index Plus MidCap Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.60% -14.29% 5.23% 9.62%
Seeks to outperform the total return performance of the S&P SmallCap 600® Index while maintaining a market level of risk.

Voya Index Plus SmallCap Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.60% -14.00% 4.43% 9.73%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks to maximize total return consistent with reasonable risk. The Portfolio seeks its objective through investments in a diversified portfolio consisting primarily of debt securities. It is anticipated that capital appreciation and investment income will both be major factors in achieving total return.

Voya Intermediate Bond Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.55% -14.44% -0.02% 1.61%
Seeks maximum total return.

Voya International High Dividend Low Volatility Portfolio (Class I)6

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co., LLC

0.72% -8.90% 0.13% 3.14%
Seeks investment results (before fees and expenses) that correspond to the total return (which includes capital appreciation and income) of a widely accepted international index.

Voya International Index Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.45% -14.59% 1.37% 4.32%
A non-diversified Fund that seeks long-term capital growth.

Voya Large Cap Growth Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.92% -30.50% 7.30% 11.75%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.
6This Fund employs a managed volatility strategy. See “THE INVESTMENT OPTIONS – The Variable Investment Options – Funds with Managed Volatility Strategies” for more information.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks long-term growth of capital and current income.

Voya Large Cap Value Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.64%% -3.21% 8.55% 10.37%
Seeks long-term capital appreciation.

Voya MidCap Opportunities Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.66% -25.07% 7.24% 10.64%
Seeks investment results (before fees and expenses) that correspond to the total return (which includes capital appreciation and income) of the Russell Top 200® Growth Index.

Voya RussellTM Large Cap Growth Index Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.43% -30.03% 11.24% 14.36%
Seeks investment results (before fees and expenses) that correspond to the total return (which includes capital appreciation and income) of the Russell Top 200® Index.

Voya RussellTM Large Cap Index Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.36% -20.07% 9.49% 12.53%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks investment results (before fees and expenses) that correspond to the total return (which includes capital appreciation and income) of the Russell Top 200® Value Index.

Voya RussellTM Large Cap Value Index Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.35% -5.48% 6.76% 10.02%
Seeks investment results (before fees and expenses) that correspond to the total return (which includes capital appreciation and income) of the Russell Midcap® Growth Index.

Voya RussellTM Mid Cap Growth Index Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.65% -27.16% 6.92% 10.69%
Seeks investment results (before fees and expenses) that correspond to the total return (which includes capital appreciation and income) of the Russell Midcap® Index.

Voya RussellTM Mid Cap Index Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.40% -17.61% 6.71% 10.53%
Seeks investment results (before fees and expenses) that correspond to the total return (which includes capital appreciation and income) of the Russell 2000® Index.

Voya RussellTM Small Cap Index Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.45% -20.69% 3.78% 8.76%
Seeks growth of capital primarily through investment in a diversified portfolio of common stock of companies with smaller market capitalizations.

Voya Small Company Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.86% -16.68% 2.66% 8.69%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks long-term capital appreciation.

Voya SmallCap Opportunities Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.86% -23.09 1.47% 7.74%

Until the day prior to its Target Date, the Portfolio seeks to provide total return consistent with an asset allocation targeted at retirement in approximately 2025. On the Target Date, the Portfolio’s investment objective will be to seek to provide a combination of total return and stability of principal consistent with an asset allocation

targeted to retirement.

Voya Solution 2025 Portfolio (Class S)7,5

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.97% -17.46% 2.92% 5.63%
Until the day prior to its Target Date, the Portfolio seeks to provide total return consistent with an asset allocation targeted at retirement in approximately 2035. On the Target Date, the Portfolio’s investment objective will be to seek to provide a combination of total return and stability of principal consistent with an asset allocation targeted to retirement.

Voya Solution 2035 Portfolio (Class S)5

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.98% -18.62% 3.50% 6.67%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.
7This Fund is structured as a Fund of Funds that invests directly in shares of underlying Funds. See “THE INVESTMENT OPTIONS – The Variable Investment Options - Funds of Funds” for more information.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Until the day prior to its Target Date, the Portfolio seeks to provide total return consistent with an asset allocation targeted at retirement in approximately 2045. On the Target Date, the Portfolio’s investment objective will be to seek to provide a combination of total return and stability of principal consistent with an asset allocation targeted to retirement.

Voya Solution 2045 Portfolio (Class S)8

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

1.00% -19.50% 4.07% 7.41%
Until the day prior to its Target Date, the Portfolio seeks to provide total return consistent with an asset allocation targeted at retirement in approximately 2055. On the Target Date, the Portfolio’s investment objective will be to seek to provide a combination of total return and stability of principal consistent with an asset allocation targeted to retirement.

Voya Solution 2055 Portfolio (Class S)8

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

1.03% -19.80% 3.99% 7.43%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.
8This Fund is structured as a Fund of Funds that invests directly in shares of underlying Funds. See “THE INVESTMENT OPTIONS – The Variable Investment Options – Funds of Funds” for more information.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks to provide a combination of total return and stability of principal consistent with an asset allocation targeted to retirement.

Voya Solution Income Portfolio (Class S)9

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.93% -15.01% 2.09% 3.68%
Seeks to provide total return (i.e., income and capital growth, both realized and unrealized) consistent with preservation of capital.

Voya Strategic Allocation Conservative Portfolio (Class I)9

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.71% -16.46% 2.10% 4.45%

 

 
*Operating Expenses are reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.
9This Fund is structured as a Fund of Funds that invests directly in shares of underlying Funds. See “THE INVESTMENT OPTIONS – The Variable Investment Options – Funds of Funds” for more information.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks to provide capital appreciation.

Voya Strategic Allocation Growth Portfolio (Class I)10

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.77% -19.35% 4.05% 7.08%
Seeks to provide total return (i.e., income and capital appreciation, both realized and unrealized).

Voya Strategic Allocation Moderate Portfolio (Class I)10

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.75% -18.16% 3.31% 5.92%
Seeks investment results (before fees and expenses) that correspond to the total return (which includes capital appreciation and income) of the Bloomberg Barclays U.S. Aggregate Bond Index.

Voya U.S. Bond Index Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.36% -13.10% -0.27% 0.74%
Seeks total return.

Voya U.S. Stock Index Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Voya Investment Management Co. LLC

0.27% -18.35% 9.14% 12.26%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.
10This Fund is structured as a Fund of Funds that invests directly in shares of underlying Funds. See “THE INVESTMENT OPTIONS – The Variable Investment Options – Funds of Funds” for more information.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

 Year 5 Years 10 Years
Seeks long-term capital growth. Income is a secondary objective.

VY® American Century Small-Mid Cap Value Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: American Century Investment Management, Inc.

1.10% -5.60% 6.85% 10.79%
Seeks capital appreciation.

VY® Baron Growth Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: BAMCO, Inc.

1.24% -23.69% 10.72% 11.95%
Seeks high total return consisting of capital appreciation and current income.

VY® CBRE Global Real Estate Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: CBRE Clarion Securities LLC

0.87% -24.95% 1.85% 3.65%
Seeks total return including capital appreciation and current income.

VY® CBRE Real Estate Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: CBRE Clarion Securities LLC

0.93% -27.14% 4.14% 6.24%
Seeks total return consisting of long-term capital appreciation and current income.

VY® Columbia Contrarian Core Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Columbia Management Investment Advisers, LLC

0.95% -18.64% 8.20% 11.83%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks long-term growth of capital.

VY® Columbia Small Cap Value II Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Columbia Management Investment Advisers, LLC

1.17% -13.91% 4.59% 9.30%
Seeks capital growth and income.

VY® Invesco Comstock Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Invesco Advisers, Inc.

0.95% 0.38% 7.82% 10.84%
Seeks total return consisting of long-term capital appreciation and current income.

VY® Invesco Equity and Income Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Invesco Advisers, Inc.

0.64% -7.60% 5.60% 8.39%
Seeks long-term growth of capital and income.

VY® Invesco Growth and Income Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: Invesco Advisers, Inc.

0.86% -5.84% 6.14% 10.16%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
Seeks capital appreciation.

VY® JPMorgan Emerging Markets Equity Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: J.P. Morgan Investment Management Inc.

1.46% -26.11% -0.56% 2.32%
Seeks growth from capital appreciation.

VY® JPMorgan Mid Cap Value Portfolio (Class S)11

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: J.P. Morgan Investment Management Inc.

1.10% -8.62% 5.63% 9.66%
Seeks capital growth over the long term.

VY® JPMorgan Small Cap Core Equity Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: J.P. Morgan Investment Management Inc.

1.12% -17.76% 5.06% 10.06%
Seeks, over the long-term, a high total investment return, consistent with the preservation of capital and with prudent investment risk.

VY® T. Rowe Price Capital Appreciation Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: T. Rowe Price Associates, Inc.

0.89% -12.18% 8.92% 10.64%
Seeks long-term capital appreciation.

VY® T. Rowe Price Diversified Mid Cap Growth Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: T. Rowe Price Associates, Inc.

1.03% -24.47% 8.30% 11.77%
Seeks a high level of dividend income as well as long-term growth of capital primarily through investments in stocks.

VY® T. Rowe Price Equity Income Portfolio (Class S)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: T. Rowe Price Associates, Inc.

0.86% -3.41% 6.81% 9.63%

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.
11VY® JPMorgan Mid Cap Value Portfolio is only available to plans offering the Fund prior to the close of business on February 7, 2014.

 

X.75996-23B   March 2024
 

 

INVESTMENT OBJECTIVE

FUND NAME

INVESTMENT ADVISER/SUBADVISER

CURRENT EXPENSES*

AVERAGE ANNUAL TOTAL RETURNS

(as of 12/31/2022)

1 Year 5 Years 10 Years
A non-diversified Fund that seeks long-term growth through investments in stocks.

VY® T. Rowe Price Growth Equity Portfolio (Class I)

 

Investment Adviser: Voya Investments, LLC

 

Subadviser: T. Rowe Price Associates, Inc.

0.71% -40.66% 4.75% 11.11%
Seeks long-term capital appreciation.

Wanger Acorn

 

Investment Adviser: Columbia Wanger Asset Management, LLC

0.95% -17.53% -1.67% 0.72%

 

MORE INFORMATION IS AVAILABLE

 

More information about the funds available through your contract, including information about the risks associated with investing in them can be found in the contract prospectus, summary prospectus, and Statement of Additional Information for each fund. You may obtain these documents by contacting us at our:

 

Customer Service

P.O. Box 990063

Hartford, CT 06199-0063

1-800-584-6001

 

If you received a summary prospectus for any of the funds available through your contract, you may obtain a full contract prospectus and other fund information free of charge by either accessing the internet address, calling the telephone number or sending an email request to the email address shown on the front of the fund’s summary prospectus.

 

Insurance products, annuities and retirement plan funding issued by (third party administrative services may also be provided by) Voya Retirement Insurance and Annuity Company, One Orange Way, Windsor, CT 06095. Securities are distributed by Voya Financial Partners, LLC (member SIPC). Securities may also be distributed through other broker-dealers with which Voya Financial Partners, LLC has selling agreements.

 

 
*Operating Expenses reflecting applicable waivers or expense limitations as reported in the Fund’s expenses.

 

 

X.75996-23B   March 2024