-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, ORFO0SlLw/0v14E07i3VCYi/kh06nXnvE/v6Sg5NPGh10n39ONpbaXaZe55zIhNB 1h7coCid47uMtWrp5a64HQ== 0000950123-10-020002.txt : 20100302 0000950123-10-020002.hdr.sgml : 20100302 20100302154730 ACCESSION NUMBER: 0000950123-10-020002 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 20100302 DATE AS OF CHANGE: 20100302 EFFECTIVENESS DATE: 20100302 FILER: COMPANY DATA: COMPANY CONFORMED NAME: METLIFE OF CT SEPARATE ACCOUNT ELEVEN FOR VARIABLE ANNUITIES CENTRAL INDEX KEY: 0001209404 IRS NUMBER: 060566090 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 333-152269 FILM NUMBER: 10649144 BUSINESS ADDRESS: STREET 1: METLIFE INSURANCE COMPANY OF CONNECTICUT STREET 2: 1300 HALL BOULEVARD CITY: BLOOMFIELD STATE: CT ZIP: 06002-2910 BUSINESS PHONE: 860-656-3000 MAIL ADDRESS: STREET 1: METLIFE INSURANCE COMPANY OF CONNECTICUT STREET 2: 1300 HALL BOULEVARD CITY: BLOOMFIELD STATE: CT ZIP: 06002-2910 FORMER COMPANY: FORMER CONFORMED NAME: TIC SEPARATE ACCOUNT ELEVEN FOR VARIABLE ANNUITIES DATE OF NAME CHANGE: 20021210 0001209404 S000005920 METLIFE OF CT SEPARATE ACCOUNT ELEVEN FOR VARIABLE ANNUITIES C000068864 Marquis Portfolios (A) 497 1 y82973c2e497.txt METLIFE OF CT SEPARATE ACCOUNT ELEVEN FOR VARIABLE ANNUITIES SUPPLEMENT DATED MARCH 2, 2010 TO THE VARIABLE ANNUITY CONTRACT AND VARIABLE LIFE INSURANCE POLICY PROSPECTUSES LISTED BELOW METLIFE INSURANCE COMPANY OF CONNECTICUT METLIFE OF CT SEPARATE ACCOUNT ELEVEN FOR VARIABLE ANNUITIES METLIFE OF CT SEPARATE ACCOUNT QPN METLIFE OF CT FUND UL FOR VARIABLE LIFE INSURANCE METLIFE OF CT FUND UL III FOR VARIABLE LIFE INSURANCE The following information supplements, and to the extent inconsistent therewith, replaces the information contained in the variable annuity contract and variable life insurance policy prospectuses listed below. Please retain this supplement and keep it with the prospectus for future reference. UNDERLYING FUND FEES AND EXPENSES Your variable annuity contract or variable life insurance policy offers one or more of the following Legg Mason Partners Variable Equity Trust and/or Legg Mason Partners Variable Income Trust portfolios (the "Portfolios") as an Underlying Fund. The information in the table below replaces the disclosure regarding the Portfolios in your prospectus, contained in the sub-section of the prospectus titled "Underlying Fund Fees and Expenses." The figures in the table are for the fiscal year ended October 31, 2009 and are expressed as a percentage of the Underlying Fund's average daily net assets. There is no guarantee that actual expenses will be the same as those shown in the table. For more complete information on these fees and expenses, please refer to the Underlying Fund prospectus. UNDERLYING FUND FEES AND EXPENSES (as a percentage of average daily net assets)
DISTRIBUTION CONTRACTUAL FEE NET TOTAL AND/OR ACQUIRED TOTAL ANNUAL WAIVER AND/OR ANNUAL MANAGEMENT SERVICE OTHER FUND FEES OPERATING EXPENSE OPERATING UNDERLYING FUND: FEE (12B-1) FEES EXPENSES AND EXPENSES EXPENSES REIMBURSEMENT EXPENSES - ---------------- ---------- ------------ -------- ------------ ------------ --------------- --------- LEGG MASON PARTNERS VARIABLE EQUITY TRUST Legg Mason ClearBridge Variable Aggressive Growth Portfolio(1) 0.75% -- 0.06% -- 0.81% -- 0.81% Legg Mason ClearBridge Variable Dividend Strategy Portfolio(2) 0.65% -- 0.41% -- 1.06% 0.11% 0.95%(3) Legg Mason ClearBridge Variable Large Cap Growth Portfolio(4) 0.75% -- 0.10% -- 0.85% -- 0.85% Legg Mason ClearBridge Variable Mid Cap Core Portfolio(5) 0.75% -- 0.24% -- 0.99% 0.04% 0.95%(6)
- ---------- (1) Formerly, Legg Mason Partners Variable Aggressive Growth Portfolio. (2) Formerly, Legg Mason Partners Variable Dividend Strategy Portfolio. (3) The manager has agreed to forgo fees and/or reimburse operating expenses (other than interest, brokerage, taxes and extraordinary expenses) so that total annual operating expenses are not expected to exceed 0.95%. This arrangement cannot be terminated prior to December 31, 2011 without the Board of Trustees' consent. (4) Formerly, Legg Mason Partners Variable Large Cap Growth Portfolio. (5) Formerly, Legg Mason Partners Variable Mid Cap Core Portfolio. (6) The manager has agreed to forgo fees and/or reimburse operating expenses (other than interest, brokerage, taxes and extraordinary expenses) so that total annual operating expenses are not expected to exceed 0.95%. This arrangement cannot be terminated prior to December 31, 2011 without the Board of Trustees' consent. March 2010
DISTRIBUTION CONTRACTUAL FEE NET TOTAL AND/OR ACQUIRED TOTAL ANNUAL WAIVER AND/OR ANNUAL MANAGEMENT SERVICE OTHER FUND FEES OPERATING EXPENSE OPERATING UNDERLYING FUND: FEE (12B-1) FEES EXPENSES AND EXPENSES EXPENSES REIMBURSEMENT EXPENSES - ---------------- ---------- ------------ -------- ------------ ------------ --------------- --------- Legg Mason Global Currents Variable International All Cap Opportunity Portfolio(7) 0.85% -- 0.25% -- 1.10% -- 1.10% LEGG MASON PARTNERS VARIABLE INCOME TRUST Legg Mason Western Asset Variable Adjustable Rate Income Portfolio(8) 0.55% 0.25% 0.56% -- 1.36% 0.36% 1.00%(9) Legg Mason Western Asset Variable High Income Portfolio(10) 0.60% -- 0.15% -- 0.75% -- 0.75%
- ---------- (7) Formerly, Legg Mason Partners Variable International All Cap Opportunity Portfolio. (8) Formerly, Legg Mason Partners Variable Adjustable Rate Income Portfolio. (9) The manager has agreed to forgo fees and/or reimburse operating expenses (other than interest, brokerage, taxes and extraordinary expenses) so that total annual operating expenses are not expected to exceed 1.00%. This arrangement cannot be terminated prior to December 31, 2011 without the Board of Trustees' consent. (10) Formerly, Legg Mason Partners Variable High Income Portfolio. *** Supplement to the following prospectuses dated May 2, 2005 (as supplemented): InVest MarketLife(SM) MetLife Variable Life Accumulator MetLife Variable Life Accumulator (Series 2) MetLife Variable Survivorship Life VintageLife Supplement to the following prospectuses dated April 28, 2008 (as supplemented): MetLife Variable Life MetLife Variable Survivorship Life II MetLife Variable Life Accumulator Series III Supplement to the following prospectuses dated May 1, 2009 (as supplemented): Corporate Owned Variable Universal Life Insurance 2000 Policy (COLI 2000) Corporate Owned Variable Universal Life Insurance III Policy (COLI III) Corporate Owned Variable Universal Life Insurance IV Policy (COLI IV) Corporate Owned Variable Universal Life Insurance Policy - Series 2 (COLI I Series 2) (Siemens) Corporate Owned Variable Universal Life Insurance Policy (COLI I) Corporate Select Policy (COLI Select) Gold Track Gold Track Select Marquis Portfolios(SM) MetLife Access Annuity MetLife Access Select Annuity MetLife Retirement Account (MRA) MetLife Retirement Perspectives Portfolio Architect 3 Annuity Portfolio Architect Access Annuity Portfolio Architect Annuity March 2010 Portfolio Architect II Annuity Portfolio Architect L Variable Annuity Portfolio Architect Plus Annuity Portfolio Architect Select Annuity Portfolio Architect XTRA Annuity Premier Advisers III (Series II) Premier Advisers III Annuity Premier Advisers L Annuity Premier Advisers L Annuity (Series II) PrimElite II(SM) Annuity PrimElite(SM) Annuity Unallocated Group Variable Annuity Universal Annuity Universal Annuity Advantage Universal Select Annuity Vintage 3(SM) Annuity Vintage Access(SM) Annuity Vintage II (Series II)(SM) Variable Annuity Vintage II(SM) Annuity Vintage L(SM) Variable Annuity Vintage XTRA (Series II)(SM) Variable Annuity Vintage XTRA(SM) Annuity Vintage(SM) Annuity March 2010
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