XML 4 R1.htm IDEA: XBRL DOCUMENT v3.24.3
N-4
Nov. 18, 2024
Prospectus:  
Document Type N-4
Entity Registrant Name THE VARIABLE ANNUITY LIFE INSURANCE COMPANY SEPARATE ACCOUNT A
Entity Central Index Key 0000354912
Entity Investment Company Type N-4
Document Period End Date Nov. 18, 2024
Amendment Flag false
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60  
Prospectus:  
Item 17. Portfolio Companies (N-4) [Text Block] The following table replaces the similar table in its entirety in Appendix A:
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic
Large-Cap
Equity
American Beacon Man Large Cap
Growth Fund3, 5 Investor Class
Adviser: American Beacon Advisors, Inc.
Sub-Adviser: Numeric Investors LLC
1.09%
None
1.09%
31.01%
15.58%
12.22%*
Systematic Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs Asset Management, L.P.
and Wellington Management Company LLP
0.65%
None
0.65%
44.81%
12.46%
11.81%
Capital Appreciation Fund2
Adviser: VALIC
Sub-Adviser: Columbia Management Investment Advisers,
LLC
0.77%
None
0.77%
41.16%
16.74%
12.26%
Dividend Value Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock Investment Management, LLC
and ClearBridge Investments, LLC
0.68%
None
0.68%
12.56%
9.97%
8.15%
Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and SunAmerica Asset
Management, LLC (an affiliate of VALIC due to common
ownership)
0.62%
None
0.62%
46.94%
16.27%
12.40%
Large Capital Growth Fund2
Adviser: VALIC
Sub-Adviser: Massachusetts Financial Services Company
0.70%
None
0.70%
23.93%
16.70%
12.73%
Nasdaq-100® Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
54.49%
22.00%
17.26%
Stock Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.23%
None
0.23%
25.80%
15.32%
11.67%
Systematic Core Fund2, 5
Adviser: VALIC
Sub-Adviser: Goldman Sachs
0.64%
None
0.64%
24.03%
15.42%
11.47%
Systematic Value Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.65%
None
0.65%
11.19%
10.31%
7.52%
U.S. Socially Responsible Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.36%
None
0.36%
21.70%
14.36%
11.20%
Vanguard Windsor II Fund3 – Investor Shares
Advisers: Aristotle Capital Management, LLC; Hotchkis and
Wiley Capital Management, LLC; Lazard Asset
Management LLC; and Sanders Capital, LLC
0.34%
0.25%
0.59%
20.98%
14.87%
10.05%
Domestic Mid-
Cap Equity
Ariel Appreciation Fund3 – Investor Class
Adviser: Ariel Investments, LLC
1.13%
None
1.13%
10.62%
10.28%
6.32%
Mid Cap Strategic Growth Fund2
Adviser: VALIC
Sub-Advisers: Janus Henderson Investors US LLC and
Voya Investment Management Co. LLC
0.74%
None
0.74%
22.41%
15.16%
10.39%
Mid Cap Value Fund2
Adviser: VALIC
Sub-Advisers: Boston Partners Global Investors, Inc. d/b/a
Boston Partners and Wellington Management
0.82%
None
0.82%
16.98%
13.01%
7.97%
Mid Cap Index Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.35%
None
0.35%
15.94%
12.21%
8.92%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic Small-
Cap Equity
Ariel Fund3 – Investor Class
Adviser: Ariel
0.99%
None
0.99%
15.81%
10.95%
7.54%
Small Cap Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: American Century Investment Management,
Inc. and T. Rowe Price Associates, Inc.
0.87%
None
0.87%
14.28%
10.05%
8.78%
Small Cap Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.37%
None
0.37%
16.35%
9.57%
6.88%
Small Cap Special Values Fund2
Adviser: VALIC
Sub-Adviser: Allspring Global Investments, LLC
1.07%
None
1.07%
19.14%
11.68%
8.30%
Small Cap Value Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.81%
None
0.81%
12.79%
9.98%
6.23%
Global Equity
(International
and Domestic)
Global Strategy Fund2, 5
Adviser: VALIC
Sub-Advisers: Franklin Advisers, Inc. and Brandywine
Global Investment Management LLC
0.65%
None
0.65%
15.60%
3.53%
2.38%
International Socially Responsible Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.58%
None
0.58%
18.35%
8.68%
6.96%
International
Equity
Emerging Economies Fund2
Adviser: VALIC
Sub-Adviser: BlackRock
0.95%
None
0.95%
12.11%
3.30%
1.89%
International Equities Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
17.25%
7.70%
3.95%
International Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: MSIM and Morgan Stanley Investment
Management Co.
0.81%
None
0.81%
17.66%
9.54%
5.62%
International Opportunities Fund2, 5
Adviser: VALIC
Sub-Advisers: Invesco Advisers, Inc. and Wellington
Management
1.00%
None
1.00%
14.28%
6.22%
4.75%
International Value Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs and Columbia Management
Investment Advisers, LLC
0.78%
None
0.78%
14.38%
5.91%
1.64%
Specialty
Global Real Estate Fund2
Adviser: VALIC
Sub-Advisers: Duff & Phelps Investment Management Co.
and MFS
0.91%
None
0.91%
10.01%
3.15%
3.66%
Invesco Balanced-Risk Commodity Strategy Fund3, 5
Class R5
Adviser: Invesco Advisers, Inc.
1.15%
None
1.15%
-3.13%
7.08%
0.24%
Science & Technology Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and Voya
0.91%
None
0.91%
55.79%
18.42%
15.69%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Hybrid
(Equity and
Fixed Income)
Aggressive Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
17.04%
9.69%
6.61%
Asset Allocation Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.65%
None
0.65%
18.34%
8.27%
5.61%
Conservative Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.62%
None
0.62%
11.24%
5.86%
4.15%
Dynamic Allocation Fund2, 5
Adviser: VALIC
Sub-Advisers: AllianceBernstein L.P. and SunAmerica
0.84%
None
0.84%
13.32%
6.93%
5.02%
Moderate Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
14.09%
8.46%
5.91%
T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.75%
None
0.75%
12.71%
6.74%
5.28%
T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.77%
None
0.77%
13.17%
7.38%
5.78%
T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.79%
None
0.79%
14.33%
8.17%
6.33%
T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.81%
None
0.81%
16.02%
8.98%
6.85%
T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.84%
None
0.84%
17.83%
9.77%
7.31%
T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.85%
None
0.85%
19.27%
10.41%
7.69%
T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.86%
None
0.86%
20.17%
10.90%
7.94%
T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.88%
None
0.88%
20.49%
10.98%
7.98%
T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.48%
10.93%
7.95%
T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.44%
10.93%
7.72%*
Vanguard LifeStrategy Conservative Growth Fund3, 4
Investor Shares
Adviser: The Vanguard Group, Inc.
0.12%
0.25%
0.37%
12.48%
5.52%
4.77%
Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Adviser: Vanguard
0.14%
0.25%
0.39%
18.55%
9.83%
7.36%
Vanguard LifeStrategy Moderate Growth Fund3, 4
Investor Shares
Adviser: Vanguard
0.13%
0.25%
0.38%
15.49%
7.68%
6.09%
Vanguard Wellington Fund3 – Investor Shares
Adviser: Wellington Management
0.26%
0.25%
0.50%
14.33%
9.58%
7.88%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Fixed Income
Core Bond Fund2
Adviser: VALIC
Sub-Advisers: PineBridge Investments LLC and JPMIM
0.48%
None
0.48%
6.51%
1.70%
1.96%
Goldman Sachs VIT Government Money Market Fund5
Institutional Shares
Adviser: Goldman Sachs
0.18%
None
0.18%
5.05%
1.82%
1.19%
Government Securities Fund2
Adviser: VALIC
Sub-Adviser: JPMIM
0.60%
None
0.60%
4.21%
0.53%
1.27%
High Yield Bond Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.68%
None
0.68%
13.14%
5.28%
4.22%
Inflation Protected Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.59%
None
0.59%
4.09%
3.05%
2.13%
International Government Bond Fund2
Adviser: VALIC
Sub-Adviser: PineBridge
0.81%
None
0.81%
5.98%
0.04%
0.65%
Vanguard Long-Term Investment-Grade Fund3 – Investor
Shares
Advisers: Wellington Management and Vanguard
0.21%
None
0.21%
9.27%
1.96%
3.75%
Vanguard Long-Term Treasury Fund3 – Investor Shares
Adviser: Vanguard
0.20%
None
0.20%
3.31%
-1.32%
2.21%
Portfolio Companies [Table Text Block]
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic
Large-Cap
Equity
American Beacon Man Large Cap
Growth Fund3, 5 Investor Class
Adviser: American Beacon Advisors, Inc.
Sub-Adviser: Numeric Investors LLC
1.09%
None
1.09%
31.01%
15.58%
12.22%*
Systematic Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs Asset Management, L.P.
and Wellington Management Company LLP
0.65%
None
0.65%
44.81%
12.46%
11.81%
Capital Appreciation Fund2
Adviser: VALIC
Sub-Adviser: Columbia Management Investment Advisers,
LLC
0.77%
None
0.77%
41.16%
16.74%
12.26%
Dividend Value Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock Investment Management, LLC
and ClearBridge Investments, LLC
0.68%
None
0.68%
12.56%
9.97%
8.15%
Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and SunAmerica Asset
Management, LLC (an affiliate of VALIC due to common
ownership)
0.62%
None
0.62%
46.94%
16.27%
12.40%
Large Capital Growth Fund2
Adviser: VALIC
Sub-Adviser: Massachusetts Financial Services Company
0.70%
None
0.70%
23.93%
16.70%
12.73%
Nasdaq-100® Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
54.49%
22.00%
17.26%
Stock Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.23%
None
0.23%
25.80%
15.32%
11.67%
Systematic Core Fund2, 5
Adviser: VALIC
Sub-Adviser: Goldman Sachs
0.64%
None
0.64%
24.03%
15.42%
11.47%
Systematic Value Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.65%
None
0.65%
11.19%
10.31%
7.52%
U.S. Socially Responsible Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.36%
None
0.36%
21.70%
14.36%
11.20%
Vanguard Windsor II Fund3 – Investor Shares
Advisers: Aristotle Capital Management, LLC; Hotchkis and
Wiley Capital Management, LLC; Lazard Asset
Management LLC; and Sanders Capital, LLC
0.34%
0.25%
0.59%
20.98%
14.87%
10.05%
Domestic Mid-
Cap Equity
Ariel Appreciation Fund3 – Investor Class
Adviser: Ariel Investments, LLC
1.13%
None
1.13%
10.62%
10.28%
6.32%
Mid Cap Strategic Growth Fund2
Adviser: VALIC
Sub-Advisers: Janus Henderson Investors US LLC and
Voya Investment Management Co. LLC
0.74%
None
0.74%
22.41%
15.16%
10.39%
Mid Cap Value Fund2
Adviser: VALIC
Sub-Advisers: Boston Partners Global Investors, Inc. d/b/a
Boston Partners and Wellington Management
0.82%
None
0.82%
16.98%
13.01%
7.97%
Mid Cap Index Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.35%
None
0.35%
15.94%
12.21%
8.92%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic Small-
Cap Equity
Ariel Fund3 – Investor Class
Adviser: Ariel
0.99%
None
0.99%
15.81%
10.95%
7.54%
Small Cap Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: American Century Investment Management,
Inc. and T. Rowe Price Associates, Inc.
0.87%
None
0.87%
14.28%
10.05%
8.78%
Small Cap Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.37%
None
0.37%
16.35%
9.57%
6.88%
Small Cap Special Values Fund2
Adviser: VALIC
Sub-Adviser: Allspring Global Investments, LLC
1.07%
None
1.07%
19.14%
11.68%
8.30%
Small Cap Value Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.81%
None
0.81%
12.79%
9.98%
6.23%
Global Equity
(International
and Domestic)
Global Strategy Fund2, 5
Adviser: VALIC
Sub-Advisers: Franklin Advisers, Inc. and Brandywine
Global Investment Management LLC
0.65%
None
0.65%
15.60%
3.53%
2.38%
International Socially Responsible Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.58%
None
0.58%
18.35%
8.68%
6.96%
International
Equity
Emerging Economies Fund2
Adviser: VALIC
Sub-Adviser: BlackRock
0.95%
None
0.95%
12.11%
3.30%
1.89%
International Equities Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
17.25%
7.70%
3.95%
International Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: MSIM and Morgan Stanley Investment
Management Co.
0.81%
None
0.81%
17.66%
9.54%
5.62%
International Opportunities Fund2, 5
Adviser: VALIC
Sub-Advisers: Invesco Advisers, Inc. and Wellington
Management
1.00%
None
1.00%
14.28%
6.22%
4.75%
International Value Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs and Columbia Management
Investment Advisers, LLC
0.78%
None
0.78%
14.38%
5.91%
1.64%
Specialty
Global Real Estate Fund2
Adviser: VALIC
Sub-Advisers: Duff & Phelps Investment Management Co.
and MFS
0.91%
None
0.91%
10.01%
3.15%
3.66%
Invesco Balanced-Risk Commodity Strategy Fund3, 5
Class R5
Adviser: Invesco Advisers, Inc.
1.15%
None
1.15%
-3.13%
7.08%
0.24%
Science & Technology Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and Voya
0.91%
None
0.91%
55.79%
18.42%
15.69%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Hybrid
(Equity and
Fixed Income)
Aggressive Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
17.04%
9.69%
6.61%
Asset Allocation Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.65%
None
0.65%
18.34%
8.27%
5.61%
Conservative Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.62%
None
0.62%
11.24%
5.86%
4.15%
Dynamic Allocation Fund2, 5
Adviser: VALIC
Sub-Advisers: AllianceBernstein L.P. and SunAmerica
0.84%
None
0.84%
13.32%
6.93%
5.02%
Moderate Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
14.09%
8.46%
5.91%
T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.75%
None
0.75%
12.71%
6.74%
5.28%
T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.77%
None
0.77%
13.17%
7.38%
5.78%
T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.79%
None
0.79%
14.33%
8.17%
6.33%
T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.81%
None
0.81%
16.02%
8.98%
6.85%
T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.84%
None
0.84%
17.83%
9.77%
7.31%
T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.85%
None
0.85%
19.27%
10.41%
7.69%
T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.86%
None
0.86%
20.17%
10.90%
7.94%
T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.88%
None
0.88%
20.49%
10.98%
7.98%
T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.48%
10.93%
7.95%
T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.44%
10.93%
7.72%*
Vanguard LifeStrategy Conservative Growth Fund3, 4
Investor Shares
Adviser: The Vanguard Group, Inc.
0.12%
0.25%
0.37%
12.48%
5.52%
4.77%
Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Adviser: Vanguard
0.14%
0.25%
0.39%
18.55%
9.83%
7.36%
Vanguard LifeStrategy Moderate Growth Fund3, 4
Investor Shares
Adviser: Vanguard
0.13%
0.25%
0.38%
15.49%
7.68%
6.09%
Vanguard Wellington Fund3 – Investor Shares
Adviser: Wellington Management
0.26%
0.25%
0.50%
14.33%
9.58%
7.88%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Fixed Income
Core Bond Fund2
Adviser: VALIC
Sub-Advisers: PineBridge Investments LLC and JPMIM
0.48%
None
0.48%
6.51%
1.70%
1.96%
Goldman Sachs VIT Government Money Market Fund5
Institutional Shares
Adviser: Goldman Sachs
0.18%
None
0.18%
5.05%
1.82%
1.19%
Government Securities Fund2
Adviser: VALIC
Sub-Adviser: JPMIM
0.60%
None
0.60%
4.21%
0.53%
1.27%
High Yield Bond Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.68%
None
0.68%
13.14%
5.28%
4.22%
Inflation Protected Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.59%
None
0.59%
4.09%
3.05%
2.13%
International Government Bond Fund2
Adviser: VALIC
Sub-Adviser: PineBridge
0.81%
None
0.81%
5.98%
0.04%
0.65%
Vanguard Long-Term Investment-Grade Fund3 – Investor
Shares
Advisers: Wellington Management and Vanguard
0.21%
None
0.21%
9.27%
1.96%
3.75%
Vanguard Long-Term Treasury Fund3 – Investor Shares
Adviser: Vanguard
0.20%
None
0.20%
3.31%
-1.32%
2.21%
Portfolio Company Objective [Text Block] Type
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | AmericanBeaconManLargeCapGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Objective [Text Block] DomesticLarge-CapEquity
Portfolio Company Name [Text Block] American Beacon Man Large CapGrowth Fund3, 5 Investor Class
Portfolio Company Adviser [Text Block] American Beacon Advisors, Inc.
Portfolio Company Subadviser [Text Block] Numeric Investors LLC
Current Expenses [Percent] 1.09%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.09%
Average Annual Total Returns, 1 Year [Percent] 31.01%
Average Annual Total Returns, 5 Years [Percent] 15.58%
Average Annual Total Returns, 10 Years [Percent] 12.22%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyISystematicGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs Asset Management, L.P. and Wellington Management Company LLP
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 44.81%
Average Annual Total Returns, 5 Years [Percent] 12.46%
Average Annual Total Returns, 10 Years [Percent] 11.81%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyICapitalAppreciationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Capital Appreciation Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Columbia Management Investment Advisers, LLC
Current Expenses [Percent] 0.77%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.77%
Average Annual Total Returns, 1 Year [Percent] 41.16%
Average Annual Total Returns, 5 Years [Percent] 16.74%
Average Annual Total Returns, 10 Years [Percent] 12.26%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIDividendValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Dividend Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock Investment Management, LLC and ClearBridge Investments, LLC
Current Expenses [Percent] 0.68%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.68%
Average Annual Total Returns, 1 Year [Percent] 12.56%
Average Annual Total Returns, 5 Years [Percent] 9.97%
Average Annual Total Returns, 10 Years [Percent] 8.15%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock and SunAmerica Asset Management, LLC (an affiliate of VALIC due to common ownership)
Current Expenses [Percent] 0.62%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.62%
Average Annual Total Returns, 1 Year [Percent] 46.94%
Average Annual Total Returns, 5 Years [Percent] 16.27%
Average Annual Total Returns, 10 Years [Percent] 12.40%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyILargeCapitalGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Large Capital Growth Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Massachusetts Financial Services Company
Current Expenses [Percent] 0.70%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.70%
Average Annual Total Returns, 1 Year [Percent] 23.93%
Average Annual Total Returns, 5 Years [Percent] 16.70%
Average Annual Total Returns, 10 Years [Percent] 12.73%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyINasdaq100IndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Nasdaq-100® Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.43%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.43%
Average Annual Total Returns, 1 Year [Percent] 54.49%
Average Annual Total Returns, 5 Years [Percent] 22.00%
Average Annual Total Returns, 10 Years [Percent] 17.26%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIStockIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Stock Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.23%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.23%
Average Annual Total Returns, 1 Year [Percent] 25.80%
Average Annual Total Returns, 5 Years [Percent] 15.32%
Average Annual Total Returns, 10 Years [Percent] 11.67%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyISystematicCoreFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Core Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs
Current Expenses [Percent] 0.64%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.64%
Average Annual Total Returns, 1 Year [Percent] 24.03%
Average Annual Total Returns, 5 Years [Percent] 15.42%
Average Annual Total Returns, 10 Years [Percent] 11.47%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyISystematicValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 11.19%
Average Annual Total Returns, 5 Years [Percent] 10.31%
Average Annual Total Returns, 10 Years [Percent] 7.52%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIUSSociallyResponsibleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] U.S. Socially Responsible Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.36%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.36%
Average Annual Total Returns, 1 Year [Percent] 21.70%
Average Annual Total Returns, 5 Years [Percent] 14.36%
Average Annual Total Returns, 10 Years [Percent] 11.20%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VanguardWindsorIIFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Windsor II Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Aristotle Capital Management, LLC; Hotchkis and Wiley Capital Management, LLC; Lazard Asset Management LLC; and Sanders Capital, LLC
Current Expenses [Percent] 0.34%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.59%
Average Annual Total Returns, 1 Year [Percent] 20.98%
Average Annual Total Returns, 5 Years [Percent] 14.87%
Average Annual Total Returns, 10 Years [Percent] 10.05%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | ArielAppreciationFundInvestorMember  
Prospectus:  
Portfolio Company Objective [Text Block] Domestic Mid-Cap Equity
Portfolio Company Adviser [Text Block] Ariel Investments, LLC
Current Expenses [Percent] 1.13%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.13%
Average Annual Total Returns, 1 Year [Percent] 10.62%
Average Annual Total Returns, 5 Years [Percent] 10.28%
Average Annual Total Returns, 10 Years [Percent] 6.32%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIMidCapStrategicGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Strategic Growth Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Janus Henderson Investors US LLC and Voya Investment Management Co. LLC
Current Expenses [Percent] 0.74%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.74%
Average Annual Total Returns, 1 Year [Percent] 22.41%
Average Annual Total Returns, 5 Years [Percent] 15.16%
Average Annual Total Returns, 10 Years [Percent] 10.39%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIMidCapValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Value Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Boston Partners Global Investors, Inc. d/b/a Boston Partners and Wellington Management
Current Expenses [Percent] 0.82%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.82%
Average Annual Total Returns, 1 Year [Percent] 16.98%
Average Annual Total Returns, 5 Years [Percent] 13.01%
Average Annual Total Returns, 10 Years [Percent] 7.97%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIMidCapIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Index Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.35%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.35%
Average Annual Total Returns, 1 Year [Percent] 15.94%
Average Annual Total Returns, 5 Years [Percent] 12.21%
Average Annual Total Returns, 10 Years [Percent] 8.92%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | ArielFundInvestorMember  
Prospectus:  
Portfolio Company Objective [Text Block] Domestic Small-Cap Equity
Portfolio Company Name [Text Block] Ariel Appreciation Fund3 – Investor ClassAriel Fund3 – Investor Class
Portfolio Company Adviser [Text Block] Ariel
Current Expenses [Percent] 0.99%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.99%
Average Annual Total Returns, 1 Year [Percent] 15.81%
Average Annual Total Returns, 5 Years [Percent] 10.95%
Average Annual Total Returns, 10 Years [Percent] 7.54%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyISmallCapGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] American Century Investment Management, Inc. and T. Rowe Price Associates, Inc.
Current Expenses [Percent] 0.87%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.87%
Average Annual Total Returns, 1 Year [Percent] 14.28%
Average Annual Total Returns, 5 Years [Percent] 10.05%
Average Annual Total Returns, 10 Years [Percent] 8.78%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyISmallCapIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.37%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.37%
Average Annual Total Returns, 1 Year [Percent] 16.35%
Average Annual Total Returns, 5 Years [Percent] 9.57%
Average Annual Total Returns, 10 Years [Percent] 6.88%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyISmallCapSpecialValuesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Special Values Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Allspring Global Investments, LLC
Current Expenses [Percent] 1.07%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.07%
Average Annual Total Returns, 1 Year [Percent] 19.14%
Average Annual Total Returns, 5 Years [Percent] 11.68%
Average Annual Total Returns, 10 Years [Percent] 8.30%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyISmallCapValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 12.79%
Average Annual Total Returns, 5 Years [Percent] 9.98%
Average Annual Total Returns, 10 Years [Percent] 6.23%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIGlobalStrategyFundMember  
Prospectus:  
Portfolio Company Objective [Text Block] Global Equity(Internationaland Domestic)
Portfolio Company Name [Text Block] Global Strategy Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Franklin Advisers, Inc. and Brandywine Global Investment Management LLC
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 15.60%
Average Annual Total Returns, 5 Years [Percent] 3.53%
Average Annual Total Returns, 10 Years [Percent] 2.38%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIInternationalSociallyResponsibleMember  
Prospectus:  
Portfolio Company Name [Text Block] International Socially Responsible Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 18.35%
Average Annual Total Returns, 5 Years [Percent] 8.68%
Average Annual Total Returns, 10 Years [Percent] 6.96%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIEmergingEconomiesFundMember  
Prospectus:  
Portfolio Company Objective [Text Block] InternationalEquity
Portfolio Company Name [Text Block] Emerging Economies Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock
Current Expenses [Percent] 0.95%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.95%
Average Annual Total Returns, 1 Year [Percent] 12.11%
Average Annual Total Returns, 5 Years [Percent] 3.30%
Average Annual Total Returns, 10 Years [Percent] 1.89%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIInternationalEquitiesIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Equities Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.43%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.43%
Average Annual Total Returns, 1 Year [Percent] 17.25%
Average Annual Total Returns, 5 Years [Percent] 7.70%
Average Annual Total Returns, 10 Years [Percent] 3.95%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIInternationalGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] MSIM and Morgan Stanley Investment Management Co.
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 17.66%
Average Annual Total Returns, 5 Years [Percent] 9.54%
Average Annual Total Returns, 10 Years [Percent] 5.62%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIInternationalOpportunitiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Opportunities Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Invesco Advisers, Inc. and Wellington Management
Current Expenses [Percent] 1.00%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.00%
Average Annual Total Returns, 1 Year [Percent] 14.28%
Average Annual Total Returns, 5 Years [Percent] 6.22%
Average Annual Total Returns, 10 Years [Percent] 4.75%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIInternationalValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs and Columbia Management Investment Advisers, LLC
Current Expenses [Percent] 0.78%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.78%
Average Annual Total Returns, 1 Year [Percent] 14.38%
Average Annual Total Returns, 5 Years [Percent] 5.91%
Average Annual Total Returns, 10 Years [Percent] 1.64%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIGlobalRealEstateFundMember  
Prospectus:  
Portfolio Company Objective [Text Block] Specialty
Portfolio Company Name [Text Block] Global Real Estate Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Duff & Phelps Investment Management Co. and MFS
Current Expenses [Percent] 0.91%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.91%
Average Annual Total Returns, 1 Year [Percent] 10.01%
Average Annual Total Returns, 5 Years [Percent] 3.15%
Average Annual Total Returns, 10 Years [Percent] 3.66%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | InvescoBalancedRiskCommodityStrategyFundR5Member  
Prospectus:  
Portfolio Company Name [Text Block] Invesco Balanced-Risk Commodity Strategy Fund3, 5Class R5
Portfolio Company Adviser [Text Block] Invesco Advisers, Inc.
Current Expenses [Percent] 1.15%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.15%
Average Annual Total Returns, 1 Year [Percent] (3.13%)
Average Annual Total Returns, 5 Years [Percent] 7.08%
Average Annual Total Returns, 10 Years [Percent] 0.24%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIScienceTechnologyFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Science & Technology Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock and Voya
Current Expenses [Percent] 0.91%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.91%
Average Annual Total Returns, 1 Year [Percent] 55.79%
Average Annual Total Returns, 5 Years [Percent] 18.42%
Average Annual Total Returns, 10 Years [Percent] 15.69%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIAggressiveGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Objective [Text Block] Hybrid(Equity andFixed Income)
Portfolio Company Name [Text Block] Aggressive Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 17.04%
Average Annual Total Returns, 5 Years [Percent] 9.69%
Average Annual Total Returns, 10 Years [Percent] 6.61%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIAssetAllocationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Asset Allocation Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 18.34%
Average Annual Total Returns, 5 Years [Percent] 8.27%
Average Annual Total Returns, 10 Years [Percent] 5.61%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIConservativeGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Conservative Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.62%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.62%
Average Annual Total Returns, 1 Year [Percent] 11.24%
Average Annual Total Returns, 5 Years [Percent] 5.86%
Average Annual Total Returns, 10 Years [Percent] 4.15%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIDynamicAllocationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Dynamic Allocation Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] AllianceBernstein L.P. and SunAmerica
Current Expenses [Percent] 0.84%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.84%
Average Annual Total Returns, 1 Year [Percent] 13.32%
Average Annual Total Returns, 5 Years [Percent] 6.93%
Average Annual Total Returns, 10 Years [Percent] 5.02%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIModerateGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Moderate Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 14.09%
Average Annual Total Returns, 5 Years [Percent] 8.46%
Average Annual Total Returns, 10 Years [Percent] 5.91%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | TRowePriceRetirement2015AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.75%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.75%
Average Annual Total Returns, 1 Year [Percent] 12.71%
Average Annual Total Returns, 5 Years [Percent] 6.74%
Average Annual Total Returns, 10 Years [Percent] 5.28%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | TRowePriceRetirement2020AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.77%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.77%
Average Annual Total Returns, 1 Year [Percent] 13.17%
Average Annual Total Returns, 5 Years [Percent] 7.38%
Average Annual Total Returns, 10 Years [Percent] 5.78%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | TRowePriceRetirement2025AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.79%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.79%
Average Annual Total Returns, 1 Year [Percent] 14.33%
Average Annual Total Returns, 5 Years [Percent] 8.17%
Average Annual Total Returns, 10 Years [Percent] 6.33%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | TRowePriceRetirement2030AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 16.02%
Average Annual Total Returns, 5 Years [Percent] 8.98%
Average Annual Total Returns, 10 Years [Percent] 6.85%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | TRowePriceRetirement2035AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.84%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.84%
Average Annual Total Returns, 1 Year [Percent] 17.83%
Average Annual Total Returns, 5 Years [Percent] 9.77%
Average Annual Total Returns, 10 Years [Percent] 7.31%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | TRowePriceRetirement2040AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.85%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.85%
Average Annual Total Returns, 1 Year [Percent] 19.27%
Average Annual Total Returns, 5 Years [Percent] 10.41%
Average Annual Total Returns, 10 Years [Percent] 7.69%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | TRowePriceRetirement2045AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.86%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.86%
Average Annual Total Returns, 1 Year [Percent] 20.17%
Average Annual Total Returns, 5 Years [Percent] 10.90%
Average Annual Total Returns, 10 Years [Percent] 7.94%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | TRowePriceRetirement2050AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.88%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.88%
Average Annual Total Returns, 1 Year [Percent] 20.49%
Average Annual Total Returns, 5 Years [Percent] 10.98%
Average Annual Total Returns, 10 Years [Percent] 7.98%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | TRowePriceRetirement2055AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.89%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.89%
Average Annual Total Returns, 1 Year [Percent] 20.48%
Average Annual Total Returns, 5 Years [Percent] 10.93%
Average Annual Total Returns, 10 Years [Percent] 7.95%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | TRowePriceRetirement2060AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.89%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.89%
Average Annual Total Returns, 1 Year [Percent] 20.44%
Average Annual Total Returns, 5 Years [Percent] 10.93%
Average Annual Total Returns, 10 Years [Percent] 7.72%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VanguardLifeStrategyConservativeGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Conservative Growth Fund3, 4Investor Shares
Portfolio Company Adviser [Text Block] The Vanguard Group, Inc.
Current Expenses [Percent] 0.12%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.37%
Average Annual Total Returns, 1 Year [Percent] 12.48%
Average Annual Total Returns, 5 Years [Percent] 5.52%
Average Annual Total Returns, 10 Years [Percent] 4.77%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VanguardLifeStrategyGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.14%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.39%
Average Annual Total Returns, 1 Year [Percent] 18.55%
Average Annual Total Returns, 5 Years [Percent] 9.83%
Average Annual Total Returns, 10 Years [Percent] 7.36%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VanguardLifeStrategyModerateGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Moderate Growth Fund3, 4Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.13%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.38%
Average Annual Total Returns, 1 Year [Percent] 15.49%
Average Annual Total Returns, 5 Years [Percent] 7.68%
Average Annual Total Returns, 10 Years [Percent] 6.09%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VanguardWellingtonFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Wellington Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Wellington Management
Current Expenses [Percent] 0.26%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.50%
Average Annual Total Returns, 1 Year [Percent] 14.33%
Average Annual Total Returns, 5 Years [Percent] 9.58%
Average Annual Total Returns, 10 Years [Percent] 7.88%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyICoreBondFundMember  
Prospectus:  
Portfolio Company Objective [Text Block] Fixed Income
Portfolio Company Name [Text Block] Core Bond Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] PineBridge Investments LLC and JPMIM
Current Expenses [Percent] 0.48%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.48%
Average Annual Total Returns, 1 Year [Percent] 6.51%
Average Annual Total Returns, 5 Years [Percent] 1.70%
Average Annual Total Returns, 10 Years [Percent] 1.96%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | GoldmanSachsVITGovernmentMoneyMarketFundInstitutionalMember  
Prospectus:  
Portfolio Company Name [Text Block] Goldman Sachs VIT Government Money Market Fund5Institutional Shares
Portfolio Company Adviser [Text Block] Goldman Sachs
Current Expenses [Percent] 0.18%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.18%
Average Annual Total Returns, 1 Year [Percent] 5.05%
Average Annual Total Returns, 5 Years [Percent] 1.82%
Average Annual Total Returns, 10 Years [Percent] 1.19%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIGovernmentSecuritiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Government Securities Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.60%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.60%
Average Annual Total Returns, 1 Year [Percent] 4.21%
Average Annual Total Returns, 5 Years [Percent] 0.53%
Average Annual Total Returns, 10 Years [Percent] 1.27%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIHighYieldBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] High Yield Bond Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.68%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.68%
Average Annual Total Returns, 1 Year [Percent] 13.14%
Average Annual Total Returns, 5 Years [Percent] 5.28%
Average Annual Total Returns, 10 Years [Percent] 4.22%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIInflationProtectedFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Inflation Protected Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.59%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.59%
Average Annual Total Returns, 1 Year [Percent] 4.09%
Average Annual Total Returns, 5 Years [Percent] 3.05%
Average Annual Total Returns, 10 Years [Percent] 2.13%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VALICCompanyIInternationalGovernmentBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Government Bond Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] PineBridge
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 5.98%
Average Annual Total Returns, 5 Years [Percent] 0.04%
Average Annual Total Returns, 10 Years [Percent] 0.65%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VanguardLongTermInvestmentGradeFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Long-Term Investment-Grade Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Wellington Management and Vanguard
Current Expenses [Percent] 0.21%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.21%
Average Annual Total Returns, 1 Year [Percent] 9.27%
Average Annual Total Returns, 5 Years [Percent] 1.96%
Average Annual Total Returns, 10 Years [Percent] 3.75%
New Portfolio Director Fixed and Variable Annuity 1.60 - 12.60 | VanguardLongTermTreasuryFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Long-Term Treasury Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.20%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.20%
Average Annual Total Returns, 1 Year [Percent] 3.31%
Average Annual Total Returns, 5 Years [Percent] (1.32%)
Average Annual Total Returns, 10 Years [Percent] 2.21%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80  
Prospectus:  
Item 17. Portfolio Companies (N-4) [Text Block] The following table replaces the similar table in its entirety in Appendix A:
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic
Large-Cap
Equity
American Beacon Man Large Cap
Growth Fund3, 5 Investor Class
Adviser: American Beacon Advisors, Inc.
Sub-Adviser: Numeric Investors LLC
1.09%
None
1.09%
31.01%
15.58%
12.22%*
Systematic Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs Asset Management, L.P.
and Wellington Management Company LLP
0.65%
None
0.65%
44.81%
12.46%
11.81%
Capital Appreciation Fund2
Adviser: VALIC
Sub-Adviser: Columbia Management Investment Advisers,
LLC
0.77%
None
0.77%
41.16%
16.74%
12.26%
Dividend Value Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock Investment Management, LLC
and ClearBridge Investments, LLC
0.68%
None
0.68%
12.56%
9.97%
8.15%
Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and SunAmerica Asset
Management, LLC (an affiliate of VALIC due to common
ownership)
0.62%
None
0.62%
46.94%
16.27%
12.40%
Large Capital Growth Fund2
Adviser: VALIC
Sub-Adviser: Massachusetts Financial Services Company
0.70%
None
0.70%
23.93%
16.70%
12.73%
Nasdaq-100® Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
54.49%
22.00%
17.26%
Stock Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.23%
None
0.23%
25.80%
15.32%
11.67%
Systematic Core Fund2, 5
Adviser: VALIC
Sub-Adviser: Goldman Sachs
0.64%
None
0.64%
24.03%
15.42%
11.47%
Systematic Value Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.65%
None
0.65%
11.19%
10.31%
7.52%
U.S. Socially Responsible Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.36%
None
0.36%
21.70%
14.36%
11.20%
Vanguard Windsor II Fund3 – Investor Shares
Advisers: Aristotle Capital Management, LLC; Hotchkis and
Wiley Capital Management, LLC; Lazard Asset
Management LLC; and Sanders Capital, LLC
0.34%
0.25%
0.59%
20.98%
14.87%
10.05%
Domestic Mid-
Cap Equity
Ariel Appreciation Fund3 – Investor Class
Adviser: Ariel Investments, LLC
1.13%
None
1.13%
10.62%
10.28%
6.32%
Mid Cap Strategic Growth Fund2
Adviser: VALIC
Sub-Advisers: Janus Henderson Investors US LLC and
Voya Investment Management Co. LLC
0.74%
None
0.74%
22.41%
15.16%
10.39%
Mid Cap Value Fund2
Adviser: VALIC
Sub-Advisers: Boston Partners Global Investors, Inc. d/b/a
Boston Partners and Wellington Management
0.82%
None
0.82%
16.98%
13.01%
7.97%
Mid Cap Index Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.35%
None
0.35%
15.94%
12.21%
8.92%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic Small-
Cap Equity
Ariel Fund3 – Investor Class
Adviser: Ariel
0.99%
None
0.99%
15.81%
10.95%
7.54%
Small Cap Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: American Century Investment Management,
Inc. and T. Rowe Price Associates, Inc.
0.87%
None
0.87%
14.28%
10.05%
8.78%
Small Cap Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.37%
None
0.37%
16.35%
9.57%
6.88%
Small Cap Special Values Fund2
Adviser: VALIC
Sub-Adviser: Allspring Global Investments, LLC
1.07%
None
1.07%
19.14%
11.68%
8.30%
Small Cap Value Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.81%
None
0.81%
12.79%
9.98%
6.23%
Global Equity
(International
and Domestic)
Global Strategy Fund2, 5
Adviser: VALIC
Sub-Advisers: Franklin Advisers, Inc. and Brandywine
Global Investment Management LLC
0.65%
None
0.65%
15.60%
3.53%
2.38%
International Socially Responsible Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.58%
None
0.58%
18.35%
8.68%
6.96%
International
Equity
Emerging Economies Fund2
Adviser: VALIC
Sub-Adviser: BlackRock
0.95%
None
0.95%
12.11%
3.30%
1.89%
International Equities Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
17.25%
7.70%
3.95%
International Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: MSIM and Morgan Stanley Investment
Management Co.
0.81%
None
0.81%
17.66%
9.54%
5.62%
International Opportunities Fund2, 5
Adviser: VALIC
Sub-Advisers: Invesco Advisers, Inc. and Wellington
Management
1.00%
None
1.00%
14.28%
6.22%
4.75%
International Value Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs and Columbia Management
Investment Advisers, LLC
0.78%
None
0.78%
14.38%
5.91%
1.64%
Specialty
Global Real Estate Fund2
Adviser: VALIC
Sub-Advisers: Duff & Phelps Investment Management Co.
and MFS
0.91%
None
0.91%
10.01%
3.15%
3.66%
Invesco Balanced-Risk Commodity Strategy Fund3, 5
Class R5
Adviser: Invesco Advisers, Inc.
1.15%
None
1.15%
-3.13%
7.08%
0.24%
Science & Technology Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and Voya
0.91%
None
0.91%
55.79%
18.42%
15.69%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Hybrid
(Equity and
Fixed Income)
Aggressive Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
17.04%
9.69%
6.61%
Asset Allocation Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.65%
None
0.65%
18.34%
8.27%
5.61%
Conservative Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.62%
None
0.62%
11.24%
5.86%
4.15%
Dynamic Allocation Fund2, 5
Adviser: VALIC
Sub-Advisers: AllianceBernstein L.P. and SunAmerica
0.84%
None
0.84%
13.32%
6.93%
5.02%
Moderate Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
14.09%
8.46%
5.91%
T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.75%
None
0.75%
12.71%
6.74%
5.28%
T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.77%
None
0.77%
13.17%
7.38%
5.78%
T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.79%
None
0.79%
14.33%
8.17%
6.33%
T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.81%
None
0.81%
16.02%
8.98%
6.85%
T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.84%
None
0.84%
17.83%
9.77%
7.31%
T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.85%
None
0.85%
19.27%
10.41%
7.69%
T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.86%
None
0.86%
20.17%
10.90%
7.94%
T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.88%
None
0.88%
20.49%
10.98%
7.98%
T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.48%
10.93%
7.95%
T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.44%
10.93%
7.72%*
Vanguard LifeStrategy Conservative Growth Fund3, 4
Investor Shares
Adviser: The Vanguard Group, Inc.
0.12%
0.25%
0.37%
12.48%
5.52%
4.77%
Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Adviser: Vanguard
0.14%
0.25%
0.39%
18.55%
9.83%
7.36%
Vanguard LifeStrategy Moderate Growth Fund3, 4
Investor Shares
Adviser: Vanguard
0.13%
0.25%
0.38%
15.49%
7.68%
6.09%
Vanguard Wellington Fund3 – Investor Shares
Adviser: Wellington Management
0.26%
0.25%
0.50%
14.33%
9.58%
7.88%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Fixed Income
Core Bond Fund2
Adviser: VALIC
Sub-Advisers: PineBridge Investments LLC and JPMIM
0.48%
None
0.48%
6.51%
1.70%
1.96%
Goldman Sachs VIT Government Money Market Fund5
Institutional Shares
Adviser: Goldman Sachs
0.18%
None
0.18%
5.05%
1.82%
1.19%
Government Securities Fund2
Adviser: VALIC
Sub-Adviser: JPMIM
0.60%
None
0.60%
4.21%
0.53%
1.27%
High Yield Bond Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.68%
None
0.68%
13.14%
5.28%
4.22%
Inflation Protected Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.59%
None
0.59%
4.09%
3.05%
2.13%
International Government Bond Fund2
Adviser: VALIC
Sub-Adviser: PineBridge
0.81%
None
0.81%
5.98%
0.04%
0.65%
Vanguard Long-Term Investment-Grade Fund3 – Investor
Shares
Advisers: Wellington Management and Vanguard
0.21%
None
0.21%
9.27%
1.96%
3.75%
Vanguard Long-Term Treasury Fund3 – Investor Shares
Adviser: Vanguard
0.20%
None
0.20%
3.31%
-1.32%
2.21%
Portfolio Companies [Table Text Block]
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic
Large-Cap
Equity
American Beacon Man Large Cap
Growth Fund3, 5 Investor Class
Adviser: American Beacon Advisors, Inc.
Sub-Adviser: Numeric Investors LLC
1.09%
None
1.09%
31.01%
15.58%
12.22%*
Systematic Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs Asset Management, L.P.
and Wellington Management Company LLP
0.65%
None
0.65%
44.81%
12.46%
11.81%
Capital Appreciation Fund2
Adviser: VALIC
Sub-Adviser: Columbia Management Investment Advisers,
LLC
0.77%
None
0.77%
41.16%
16.74%
12.26%
Dividend Value Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock Investment Management, LLC
and ClearBridge Investments, LLC
0.68%
None
0.68%
12.56%
9.97%
8.15%
Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and SunAmerica Asset
Management, LLC (an affiliate of VALIC due to common
ownership)
0.62%
None
0.62%
46.94%
16.27%
12.40%
Large Capital Growth Fund2
Adviser: VALIC
Sub-Adviser: Massachusetts Financial Services Company
0.70%
None
0.70%
23.93%
16.70%
12.73%
Nasdaq-100® Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
54.49%
22.00%
17.26%
Stock Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.23%
None
0.23%
25.80%
15.32%
11.67%
Systematic Core Fund2, 5
Adviser: VALIC
Sub-Adviser: Goldman Sachs
0.64%
None
0.64%
24.03%
15.42%
11.47%
Systematic Value Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.65%
None
0.65%
11.19%
10.31%
7.52%
U.S. Socially Responsible Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.36%
None
0.36%
21.70%
14.36%
11.20%
Vanguard Windsor II Fund3 – Investor Shares
Advisers: Aristotle Capital Management, LLC; Hotchkis and
Wiley Capital Management, LLC; Lazard Asset
Management LLC; and Sanders Capital, LLC
0.34%
0.25%
0.59%
20.98%
14.87%
10.05%
Domestic Mid-
Cap Equity
Ariel Appreciation Fund3 – Investor Class
Adviser: Ariel Investments, LLC
1.13%
None
1.13%
10.62%
10.28%
6.32%
Mid Cap Strategic Growth Fund2
Adviser: VALIC
Sub-Advisers: Janus Henderson Investors US LLC and
Voya Investment Management Co. LLC
0.74%
None
0.74%
22.41%
15.16%
10.39%
Mid Cap Value Fund2
Adviser: VALIC
Sub-Advisers: Boston Partners Global Investors, Inc. d/b/a
Boston Partners and Wellington Management
0.82%
None
0.82%
16.98%
13.01%
7.97%
Mid Cap Index Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.35%
None
0.35%
15.94%
12.21%
8.92%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic Small-
Cap Equity
Ariel Fund3 – Investor Class
Adviser: Ariel
0.99%
None
0.99%
15.81%
10.95%
7.54%
Small Cap Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: American Century Investment Management,
Inc. and T. Rowe Price Associates, Inc.
0.87%
None
0.87%
14.28%
10.05%
8.78%
Small Cap Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.37%
None
0.37%
16.35%
9.57%
6.88%
Small Cap Special Values Fund2
Adviser: VALIC
Sub-Adviser: Allspring Global Investments, LLC
1.07%
None
1.07%
19.14%
11.68%
8.30%
Small Cap Value Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.81%
None
0.81%
12.79%
9.98%
6.23%
Global Equity
(International
and Domestic)
Global Strategy Fund2, 5
Adviser: VALIC
Sub-Advisers: Franklin Advisers, Inc. and Brandywine
Global Investment Management LLC
0.65%
None
0.65%
15.60%
3.53%
2.38%
International Socially Responsible Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.58%
None
0.58%
18.35%
8.68%
6.96%
International
Equity
Emerging Economies Fund2
Adviser: VALIC
Sub-Adviser: BlackRock
0.95%
None
0.95%
12.11%
3.30%
1.89%
International Equities Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
17.25%
7.70%
3.95%
International Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: MSIM and Morgan Stanley Investment
Management Co.
0.81%
None
0.81%
17.66%
9.54%
5.62%
International Opportunities Fund2, 5
Adviser: VALIC
Sub-Advisers: Invesco Advisers, Inc. and Wellington
Management
1.00%
None
1.00%
14.28%
6.22%
4.75%
International Value Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs and Columbia Management
Investment Advisers, LLC
0.78%
None
0.78%
14.38%
5.91%
1.64%
Specialty
Global Real Estate Fund2
Adviser: VALIC
Sub-Advisers: Duff & Phelps Investment Management Co.
and MFS
0.91%
None
0.91%
10.01%
3.15%
3.66%
Invesco Balanced-Risk Commodity Strategy Fund3, 5
Class R5
Adviser: Invesco Advisers, Inc.
1.15%
None
1.15%
-3.13%
7.08%
0.24%
Science & Technology Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and Voya
0.91%
None
0.91%
55.79%
18.42%
15.69%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Hybrid
(Equity and
Fixed Income)
Aggressive Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
17.04%
9.69%
6.61%
Asset Allocation Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.65%
None
0.65%
18.34%
8.27%
5.61%
Conservative Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.62%
None
0.62%
11.24%
5.86%
4.15%
Dynamic Allocation Fund2, 5
Adviser: VALIC
Sub-Advisers: AllianceBernstein L.P. and SunAmerica
0.84%
None
0.84%
13.32%
6.93%
5.02%
Moderate Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
14.09%
8.46%
5.91%
T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.75%
None
0.75%
12.71%
6.74%
5.28%
T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.77%
None
0.77%
13.17%
7.38%
5.78%
T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.79%
None
0.79%
14.33%
8.17%
6.33%
T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.81%
None
0.81%
16.02%
8.98%
6.85%
T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.84%
None
0.84%
17.83%
9.77%
7.31%
T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.85%
None
0.85%
19.27%
10.41%
7.69%
T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.86%
None
0.86%
20.17%
10.90%
7.94%
T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.88%
None
0.88%
20.49%
10.98%
7.98%
T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.48%
10.93%
7.95%
T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.44%
10.93%
7.72%*
Vanguard LifeStrategy Conservative Growth Fund3, 4
Investor Shares
Adviser: The Vanguard Group, Inc.
0.12%
0.25%
0.37%
12.48%
5.52%
4.77%
Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Adviser: Vanguard
0.14%
0.25%
0.39%
18.55%
9.83%
7.36%
Vanguard LifeStrategy Moderate Growth Fund3, 4
Investor Shares
Adviser: Vanguard
0.13%
0.25%
0.38%
15.49%
7.68%
6.09%
Vanguard Wellington Fund3 – Investor Shares
Adviser: Wellington Management
0.26%
0.25%
0.50%
14.33%
9.58%
7.88%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Fixed Income
Core Bond Fund2
Adviser: VALIC
Sub-Advisers: PineBridge Investments LLC and JPMIM
0.48%
None
0.48%
6.51%
1.70%
1.96%
Goldman Sachs VIT Government Money Market Fund5
Institutional Shares
Adviser: Goldman Sachs
0.18%
None
0.18%
5.05%
1.82%
1.19%
Government Securities Fund2
Adviser: VALIC
Sub-Adviser: JPMIM
0.60%
None
0.60%
4.21%
0.53%
1.27%
High Yield Bond Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.68%
None
0.68%
13.14%
5.28%
4.22%
Inflation Protected Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.59%
None
0.59%
4.09%
3.05%
2.13%
International Government Bond Fund2
Adviser: VALIC
Sub-Adviser: PineBridge
0.81%
None
0.81%
5.98%
0.04%
0.65%
Vanguard Long-Term Investment-Grade Fund3 – Investor
Shares
Advisers: Wellington Management and Vanguard
0.21%
None
0.21%
9.27%
1.96%
3.75%
Vanguard Long-Term Treasury Fund3 – Investor Shares
Adviser: Vanguard
0.20%
None
0.20%
3.31%
-1.32%
2.21%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | AmericanBeaconManLargeCapGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] American Beacon Man Large CapGrowth Fund3, 5 Investor Class
Portfolio Company Adviser [Text Block] American Beacon Advisors, Inc.
Portfolio Company Subadviser [Text Block] Numeric Investors LLC
Current Expenses [Percent] 1.09%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.09%
Average Annual Total Returns, 1 Year [Percent] 31.01%
Average Annual Total Returns, 5 Years [Percent] 15.58%
Average Annual Total Returns, 10 Years [Percent] 12.22%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyISystematicGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs Asset Management, L.P. and Wellington Management Company LLP
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 44.81%
Average Annual Total Returns, 5 Years [Percent] 12.46%
Average Annual Total Returns, 10 Years [Percent] 11.81%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyICapitalAppreciationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Capital Appreciation Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Columbia Management Investment Advisers, LLC
Current Expenses [Percent] 0.77%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.77%
Average Annual Total Returns, 1 Year [Percent] 41.16%
Average Annual Total Returns, 5 Years [Percent] 16.74%
Average Annual Total Returns, 10 Years [Percent] 12.26%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIDividendValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Dividend Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock Investment Management, LLC and ClearBridge Investments, LLC
Current Expenses [Percent] 0.68%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.68%
Average Annual Total Returns, 1 Year [Percent] 12.56%
Average Annual Total Returns, 5 Years [Percent] 9.97%
Average Annual Total Returns, 10 Years [Percent] 8.15%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock and SunAmerica Asset Management, LLC (an affiliate of VALIC due to common ownership)
Current Expenses [Percent] 0.62%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.62%
Average Annual Total Returns, 1 Year [Percent] 46.94%
Average Annual Total Returns, 5 Years [Percent] 16.27%
Average Annual Total Returns, 10 Years [Percent] 12.40%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyILargeCapitalGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Large Capital Growth Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Massachusetts Financial Services Company
Current Expenses [Percent] 0.70%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.70%
Average Annual Total Returns, 1 Year [Percent] 23.93%
Average Annual Total Returns, 5 Years [Percent] 16.70%
Average Annual Total Returns, 10 Years [Percent] 12.73%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyINasdaq100IndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Nasdaq-100® Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.43%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.43%
Average Annual Total Returns, 1 Year [Percent] 54.49%
Average Annual Total Returns, 5 Years [Percent] 22.00%
Average Annual Total Returns, 10 Years [Percent] 17.26%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIStockIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Stock Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.23%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.23%
Average Annual Total Returns, 1 Year [Percent] 25.80%
Average Annual Total Returns, 5 Years [Percent] 15.32%
Average Annual Total Returns, 10 Years [Percent] 11.67%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyISystematicCoreFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Core Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs
Current Expenses [Percent] 0.64%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.64%
Average Annual Total Returns, 1 Year [Percent] 24.03%
Average Annual Total Returns, 5 Years [Percent] 15.42%
Average Annual Total Returns, 10 Years [Percent] 11.47%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyISystematicValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 11.19%
Average Annual Total Returns, 5 Years [Percent] 10.31%
Average Annual Total Returns, 10 Years [Percent] 7.52%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIUSSociallyResponsibleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] U.S. Socially Responsible Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.36%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.36%
Average Annual Total Returns, 1 Year [Percent] 21.70%
Average Annual Total Returns, 5 Years [Percent] 14.36%
Average Annual Total Returns, 10 Years [Percent] 11.20%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VanguardWindsorIIFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Windsor II Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Aristotle Capital Management, LLC; Hotchkis and Wiley Capital Management, LLC; Lazard Asset Management LLC; and Sanders Capital, LLC
Current Expenses [Percent] 0.34%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.59%
Average Annual Total Returns, 1 Year [Percent] 20.98%
Average Annual Total Returns, 5 Years [Percent] 14.87%
Average Annual Total Returns, 10 Years [Percent] 10.05%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | ArielAppreciationFundInvestorMember  
Prospectus:  
Portfolio Company Adviser [Text Block] Ariel Investments, LLC
Current Expenses [Percent] 1.13%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.13%
Average Annual Total Returns, 1 Year [Percent] 10.62%
Average Annual Total Returns, 5 Years [Percent] 10.28%
Average Annual Total Returns, 10 Years [Percent] 6.32%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIMidCapStrategicGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Strategic Growth Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Janus Henderson Investors US LLC and Voya Investment Management Co. LLC
Current Expenses [Percent] 0.74%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.74%
Average Annual Total Returns, 1 Year [Percent] 22.41%
Average Annual Total Returns, 5 Years [Percent] 15.16%
Average Annual Total Returns, 10 Years [Percent] 10.39%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIMidCapValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Value Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Boston Partners Global Investors, Inc. d/b/a Boston Partners and Wellington Management
Current Expenses [Percent] 0.82%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.82%
Average Annual Total Returns, 1 Year [Percent] 16.98%
Average Annual Total Returns, 5 Years [Percent] 13.01%
Average Annual Total Returns, 10 Years [Percent] 7.97%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIMidCapIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Index Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.35%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.35%
Average Annual Total Returns, 1 Year [Percent] 15.94%
Average Annual Total Returns, 5 Years [Percent] 12.21%
Average Annual Total Returns, 10 Years [Percent] 8.92%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | ArielFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Ariel Appreciation Fund3 – Investor ClassAriel Fund3 – Investor Class
Portfolio Company Adviser [Text Block] Ariel
Current Expenses [Percent] 0.99%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.99%
Average Annual Total Returns, 1 Year [Percent] 15.81%
Average Annual Total Returns, 5 Years [Percent] 10.95%
Average Annual Total Returns, 10 Years [Percent] 7.54%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyISmallCapGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] American Century Investment Management, Inc. and T. Rowe Price Associates, Inc.
Current Expenses [Percent] 0.87%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.87%
Average Annual Total Returns, 1 Year [Percent] 14.28%
Average Annual Total Returns, 5 Years [Percent] 10.05%
Average Annual Total Returns, 10 Years [Percent] 8.78%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyISmallCapIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.37%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.37%
Average Annual Total Returns, 1 Year [Percent] 16.35%
Average Annual Total Returns, 5 Years [Percent] 9.57%
Average Annual Total Returns, 10 Years [Percent] 6.88%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyISmallCapSpecialValuesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Special Values Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Allspring Global Investments, LLC
Current Expenses [Percent] 1.07%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.07%
Average Annual Total Returns, 1 Year [Percent] 19.14%
Average Annual Total Returns, 5 Years [Percent] 11.68%
Average Annual Total Returns, 10 Years [Percent] 8.30%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyISmallCapValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 12.79%
Average Annual Total Returns, 5 Years [Percent] 9.98%
Average Annual Total Returns, 10 Years [Percent] 6.23%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIGlobalStrategyFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Global Strategy Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Franklin Advisers, Inc. and Brandywine Global Investment Management LLC
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 15.60%
Average Annual Total Returns, 5 Years [Percent] 3.53%
Average Annual Total Returns, 10 Years [Percent] 2.38%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIInternationalSociallyResponsibleMember  
Prospectus:  
Portfolio Company Name [Text Block] International Socially Responsible Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 18.35%
Average Annual Total Returns, 5 Years [Percent] 8.68%
Average Annual Total Returns, 10 Years [Percent] 6.96%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIEmergingEconomiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Emerging Economies Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock
Current Expenses [Percent] 0.95%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.95%
Average Annual Total Returns, 1 Year [Percent] 12.11%
Average Annual Total Returns, 5 Years [Percent] 3.30%
Average Annual Total Returns, 10 Years [Percent] 1.89%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIInternationalEquitiesIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Equities Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.43%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.43%
Average Annual Total Returns, 1 Year [Percent] 17.25%
Average Annual Total Returns, 5 Years [Percent] 7.70%
Average Annual Total Returns, 10 Years [Percent] 3.95%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIInternationalGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] MSIM and Morgan Stanley Investment Management Co.
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 17.66%
Average Annual Total Returns, 5 Years [Percent] 9.54%
Average Annual Total Returns, 10 Years [Percent] 5.62%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIInternationalOpportunitiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Opportunities Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Invesco Advisers, Inc. and Wellington Management
Current Expenses [Percent] 1.00%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.00%
Average Annual Total Returns, 1 Year [Percent] 14.28%
Average Annual Total Returns, 5 Years [Percent] 6.22%
Average Annual Total Returns, 10 Years [Percent] 4.75%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIInternationalValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs and Columbia Management Investment Advisers, LLC
Current Expenses [Percent] 0.78%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.78%
Average Annual Total Returns, 1 Year [Percent] 14.38%
Average Annual Total Returns, 5 Years [Percent] 5.91%
Average Annual Total Returns, 10 Years [Percent] 1.64%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIGlobalRealEstateFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Global Real Estate Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Duff & Phelps Investment Management Co. and MFS
Current Expenses [Percent] 0.91%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.91%
Average Annual Total Returns, 1 Year [Percent] 10.01%
Average Annual Total Returns, 5 Years [Percent] 3.15%
Average Annual Total Returns, 10 Years [Percent] 3.66%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | InvescoBalancedRiskCommodityStrategyFundR5Member  
Prospectus:  
Portfolio Company Name [Text Block] Invesco Balanced-Risk Commodity Strategy Fund3, 5Class R5
Portfolio Company Adviser [Text Block] Invesco Advisers, Inc.
Current Expenses [Percent] 1.15%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.15%
Average Annual Total Returns, 1 Year [Percent] 3.13%
Average Annual Total Returns, 5 Years [Percent] 7.08%
Average Annual Total Returns, 10 Years [Percent] 0.24%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIScienceTechnologyFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Science & Technology Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock and Voya
Current Expenses [Percent] 0.91%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.91%
Average Annual Total Returns, 1 Year [Percent] 55.79%
Average Annual Total Returns, 5 Years [Percent] 18.42%
Average Annual Total Returns, 10 Years [Percent] 15.69%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIAggressiveGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Aggressive Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 17.04%
Average Annual Total Returns, 5 Years [Percent] 9.69%
Average Annual Total Returns, 10 Years [Percent] 6.61%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIAssetAllocationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Asset Allocation Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 18.34%
Average Annual Total Returns, 5 Years [Percent] 8.27%
Average Annual Total Returns, 10 Years [Percent] 5.61%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIConservativeGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Conservative Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.62%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.62%
Average Annual Total Returns, 1 Year [Percent] 11.24%
Average Annual Total Returns, 5 Years [Percent] 5.86%
Average Annual Total Returns, 10 Years [Percent] 4.15%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIDynamicAllocationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Dynamic Allocation Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] AllianceBernstein L.P. and SunAmerica
Current Expenses [Percent] 0.84%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.84%
Average Annual Total Returns, 1 Year [Percent] 13.32%
Average Annual Total Returns, 5 Years [Percent] 6.93%
Average Annual Total Returns, 10 Years [Percent] 5.02%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIModerateGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Moderate Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 14.09%
Average Annual Total Returns, 5 Years [Percent] 8.46%
Average Annual Total Returns, 10 Years [Percent] 5.91%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | TRowePriceRetirement2015AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.75%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.75%
Average Annual Total Returns, 1 Year [Percent] 12.71%
Average Annual Total Returns, 5 Years [Percent] 6.74%
Average Annual Total Returns, 10 Years [Percent] 5.28%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | TRowePriceRetirement2020AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.77%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.77%
Average Annual Total Returns, 1 Year [Percent] 13.17%
Average Annual Total Returns, 5 Years [Percent] 7.38%
Average Annual Total Returns, 10 Years [Percent] 5.78%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | TRowePriceRetirement2025AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.79%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.79%
Average Annual Total Returns, 1 Year [Percent] 14.33%
Average Annual Total Returns, 5 Years [Percent] 8.17%
Average Annual Total Returns, 10 Years [Percent] 6.33%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | TRowePriceRetirement2030AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 16.02%
Average Annual Total Returns, 5 Years [Percent] 8.98%
Average Annual Total Returns, 10 Years [Percent] 6.85%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | TRowePriceRetirement2035AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.84%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.84%
Average Annual Total Returns, 1 Year [Percent] 17.83%
Average Annual Total Returns, 5 Years [Percent] 9.77%
Average Annual Total Returns, 10 Years [Percent] 7.31%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | TRowePriceRetirement2040AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.85%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.85%
Average Annual Total Returns, 1 Year [Percent] 19.27%
Average Annual Total Returns, 5 Years [Percent] 10.41%
Average Annual Total Returns, 10 Years [Percent] 7.69%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | TRowePriceRetirement2045AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.86%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.86%
Average Annual Total Returns, 1 Year [Percent] 20.17%
Average Annual Total Returns, 5 Years [Percent] 10.90%
Average Annual Total Returns, 10 Years [Percent] 7.94%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | TRowePriceRetirement2050AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.88%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.88%
Average Annual Total Returns, 1 Year [Percent] 20.49%
Average Annual Total Returns, 5 Years [Percent] 10.98%
Average Annual Total Returns, 10 Years [Percent] 7.98%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | TRowePriceRetirement2055AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.89%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.89%
Average Annual Total Returns, 1 Year [Percent] 20.48%
Average Annual Total Returns, 5 Years [Percent] 10.93%
Average Annual Total Returns, 10 Years [Percent] 7.95%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | TRowePriceRetirement2060AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.89%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.89%
Average Annual Total Returns, 1 Year [Percent] 20.44%
Average Annual Total Returns, 5 Years [Percent] 10.93%
Average Annual Total Returns, 10 Years [Percent] 7.72%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VanguardLifeStrategyConservativeGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Conservative Growth Fund3, 4Investor Shares
Portfolio Company Adviser [Text Block] The Vanguard Group, Inc.
Current Expenses [Percent] 0.12%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.37%
Average Annual Total Returns, 1 Year [Percent] 12.48%
Average Annual Total Returns, 5 Years [Percent] 5.52%
Average Annual Total Returns, 10 Years [Percent] 4.77%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VanguardLifeStrategyGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.14%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.39%
Average Annual Total Returns, 1 Year [Percent] 18.55%
Average Annual Total Returns, 5 Years [Percent] 9.83%
Average Annual Total Returns, 10 Years [Percent] 7.36%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VanguardLifeStrategyModerateGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Moderate Growth Fund3, 4Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.13%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.38%
Average Annual Total Returns, 1 Year [Percent] 15.49%
Average Annual Total Returns, 5 Years [Percent] 7.68%
Average Annual Total Returns, 10 Years [Percent] 6.09%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VanguardWellingtonFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Wellington Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Wellington Management
Current Expenses [Percent] 0.26%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.50%
Average Annual Total Returns, 1 Year [Percent] 14.33%
Average Annual Total Returns, 5 Years [Percent] 9.58%
Average Annual Total Returns, 10 Years [Percent] 7.88%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyICoreBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Core Bond Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] PineBridge Investments LLC and JPMIM
Current Expenses [Percent] 0.48%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.48%
Average Annual Total Returns, 1 Year [Percent] 6.51%
Average Annual Total Returns, 5 Years [Percent] 1.70%
Average Annual Total Returns, 10 Years [Percent] 1.96%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | GoldmanSachsVITGovernmentMoneyMarketFundInstitutionalMember  
Prospectus:  
Portfolio Company Name [Text Block] Goldman Sachs VIT Government Money Market Fund5Institutional Shares
Portfolio Company Adviser [Text Block] Goldman Sachs
Current Expenses [Percent] 0.18%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.18%
Average Annual Total Returns, 1 Year [Percent] 5.05%
Average Annual Total Returns, 5 Years [Percent] 1.82%
Average Annual Total Returns, 10 Years [Percent] 1.19%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIGovernmentSecuritiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Government Securities Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.60%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.60%
Average Annual Total Returns, 1 Year [Percent] 4.21%
Average Annual Total Returns, 5 Years [Percent] 0.53%
Average Annual Total Returns, 10 Years [Percent] 1.27%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIHighYieldBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] High Yield Bond Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.68%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.68%
Average Annual Total Returns, 1 Year [Percent] 13.14%
Average Annual Total Returns, 5 Years [Percent] 5.28%
Average Annual Total Returns, 10 Years [Percent] 4.22%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIInflationProtectedFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Inflation Protected Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.59%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.59%
Average Annual Total Returns, 1 Year [Percent] 4.09%
Average Annual Total Returns, 5 Years [Percent] 3.05%
Average Annual Total Returns, 10 Years [Percent] 2.13%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VALICCompanyIInternationalGovernmentBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Government Bond Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] PineBridge
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 5.98%
Average Annual Total Returns, 5 Years [Percent] 0.04%
Average Annual Total Returns, 10 Years [Percent] 0.65%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VanguardLongTermInvestmentGradeFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Long-Term Investment-Grade Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Wellington Management and Vanguard
Current Expenses [Percent] 0.21%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.21%
Average Annual Total Returns, 1 Year [Percent] 9.27%
Average Annual Total Returns, 5 Years [Percent] 1.96%
Average Annual Total Returns, 10 Years [Percent] 3.75%
VALIC Portfolio Director Fixed and Variable Annuity 1.80 - 12.80 | VanguardLongTermTreasuryFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Long-Term Treasury Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.20%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.20%
Average Annual Total Returns, 1 Year [Percent] 3.31%
Average Annual Total Returns, 5 Years [Percent] 1.32%
Average Annual Total Returns, 10 Years [Percent] 2.21%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00  
Prospectus:  
Item 17. Portfolio Companies (N-4) [Text Block] The following table replaces the similar table in its entirety in Appendix A:
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic
Large-Cap
Equity
American Beacon Man Large Cap
Growth Fund3, 5 Investor Class
Adviser: American Beacon Advisors, Inc.
Sub-Adviser: Numeric Investors LLC
1.09%
None
1.09%
31.01%
15.58%
12.22%*
Systematic Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs Asset Management, L.P.
and Wellington Management Company LLP
0.65%
None
0.65%
44.81%
12.46%
11.81%
Capital Appreciation Fund2
Adviser: VALIC
Sub-Adviser: Columbia Management Investment Advisers,
LLC
0.77%
None
0.77%
41.16%
16.74%
12.26%
Dividend Value Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock Investment Management, LLC
and ClearBridge Investments, LLC
0.68%
None
0.68%
12.56%
9.97%
8.15%
Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and SunAmerica Asset
Management, LLC (an affiliate of VALIC due to common
ownership)
0.62%
None
0.62%
46.94%
16.27%
12.40%
Large Capital Growth Fund2
Adviser: VALIC
Sub-Adviser: Massachusetts Financial Services Company
0.70%
None
0.70%
23.93%
16.70%
12.73%
Nasdaq-100® Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
54.49%
22.00%
17.26%
Stock Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.23%
None
0.23%
25.80%
15.32%
11.67%
Systematic Core Fund2, 5
Adviser: VALIC
Sub-Adviser: Goldman Sachs
0.64%
None
0.64%
24.03%
15.42%
11.47%
Systematic Value Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.65%
None
0.65%
11.19%
10.31%
7.52%
U.S. Socially Responsible Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.36%
None
0.36%
21.70%
14.36%
11.20%
Vanguard Windsor II Fund3 – Investor Shares
Advisers: Aristotle Capital Management, LLC; Hotchkis and
Wiley Capital Management, LLC; Lazard Asset
Management LLC; and Sanders Capital, LLC
0.34%
0.25%
0.59%
20.98%
14.87%
10.05%
Domestic Mid-
Cap Equity
Ariel Appreciation Fund3 – Investor Class
Adviser: Ariel Investments, LLC
1.13%
None
1.13%
10.62%
10.28%
6.32%
Mid Cap Strategic Growth Fund2
Adviser: VALIC
Sub-Advisers: Janus Henderson Investors US LLC and
Voya Investment Management Co. LLC
0.74%
None
0.74%
22.41%
15.16%
10.39%
Mid Cap Value Fund2
Adviser: VALIC
Sub-Advisers: Boston Partners Global Investors, Inc. d/b/a
Boston Partners and Wellington Management
0.82%
None
0.82%
16.98%
13.01%
7.97%
Mid Cap Index Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.35%
None
0.35%
15.94%
12.21%
8.92%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic Small-
Cap Equity
Ariel Fund3 – Investor Class
Adviser: Ariel
0.99%
None
0.99%
15.81%
10.95%
7.54%
Small Cap Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: American Century Investment Management,
Inc. and T. Rowe Price Associates, Inc.
0.87%
None
0.87%
14.28%
10.05%
8.78%
Small Cap Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.37%
None
0.37%
16.35%
9.57%
6.88%
Small Cap Special Values Fund2
Adviser: VALIC
Sub-Adviser: Allspring Global Investments, LLC
1.07%
None
1.07%
19.14%
11.68%
8.30%
Small Cap Value Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.81%
None
0.81%
12.79%
9.98%
6.23%
Global Equity
(International
and Domestic)
Global Strategy Fund2, 5
Adviser: VALIC
Sub-Advisers: Franklin Advisers, Inc. and Brandywine
Global Investment Management LLC
0.65%
None
0.65%
15.60%
3.53%
2.38%
International Socially Responsible Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.58%
None
0.58%
18.35%
8.68%
6.96%
International
Equity
Emerging Economies Fund2
Adviser: VALIC
Sub-Adviser: BlackRock
0.95%
None
0.95%
12.11%
3.30%
1.89%
International Equities Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
17.25%
7.70%
3.95%
International Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: MSIM and Morgan Stanley Investment
Management Co.
0.81%
None
0.81%
17.66%
9.54%
5.62%
International Opportunities Fund2, 5
Adviser: VALIC
Sub-Advisers: Invesco Advisers, Inc. and Wellington
Management
1.00%
None
1.00%
14.28%
6.22%
4.75%
International Value Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs and Columbia Management
Investment Advisers, LLC
0.78%
None
0.78%
14.38%
5.91%
1.64%
Specialty
Global Real Estate Fund2
Adviser: VALIC
Sub-Advisers: Duff & Phelps Investment Management Co.
and MFS
0.91%
None
0.91%
10.01%
3.15%
3.66%
Invesco Balanced-Risk Commodity Strategy Fund3, 5
Class R5
Adviser: Invesco Advisers, Inc.
1.15%
None
1.15%
-3.13%
7.08%
0.24%
Science & Technology Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and Voya
0.91%
None
0.91%
55.79%
18.42%
15.69%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Hybrid
(Equity and
Fixed Income)
Aggressive Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
17.04%
9.69%
6.61%
Asset Allocation Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.65%
None
0.65%
18.34%
8.27%
5.61%
Conservative Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.62%
None
0.62%
11.24%
5.86%
4.15%
Dynamic Allocation Fund2, 5
Adviser: VALIC
Sub-Advisers: AllianceBernstein L.P. and SunAmerica
0.84%
None
0.84%
13.32%
6.93%
5.02%
Moderate Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
14.09%
8.46%
5.91%
T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.75%
None
0.75%
12.71%
6.74%
5.28%
T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.77%
None
0.77%
13.17%
7.38%
5.78%
T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.79%
None
0.79%
14.33%
8.17%
6.33%
T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.81%
None
0.81%
16.02%
8.98%
6.85%
T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.84%
None
0.84%
17.83%
9.77%
7.31%
T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.85%
None
0.85%
19.27%
10.41%
7.69%
T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.86%
None
0.86%
20.17%
10.90%
7.94%
T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.88%
None
0.88%
20.49%
10.98%
7.98%
T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.48%
10.93%
7.95%
T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.44%
10.93%
7.72%*
Vanguard LifeStrategy Conservative Growth Fund3, 4
Investor Shares
Adviser: The Vanguard Group, Inc.
0.12%
0.25%
0.37%
12.48%
5.52%
4.77%
Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Adviser: Vanguard
0.14%
0.25%
0.39%
18.55%
9.83%
7.36%
Vanguard LifeStrategy Moderate Growth Fund3, 4
Investor Shares
Adviser: Vanguard
0.13%
0.25%
0.38%
15.49%
7.68%
6.09%
Vanguard Wellington Fund3 – Investor Shares
Adviser: Wellington Management
0.26%
0.25%
0.50%
14.33%
9.58%
7.88%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Fixed Income
Core Bond Fund2
Adviser: VALIC
Sub-Advisers: PineBridge Investments LLC and JPMIM
0.48%
None
0.48%
6.51%
1.70%
1.96%
Goldman Sachs VIT Government Money Market Fund5
Institutional Shares
Adviser: Goldman Sachs
0.18%
None
0.18%
5.05%
1.82%
1.19%
Government Securities Fund2
Adviser: VALIC
Sub-Adviser: JPMIM
0.60%
None
0.60%
4.21%
0.53%
1.27%
High Yield Bond Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.68%
None
0.68%
13.14%
5.28%
4.22%
Inflation Protected Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.59%
None
0.59%
4.09%
3.05%
2.13%
International Government Bond Fund2
Adviser: VALIC
Sub-Adviser: PineBridge
0.81%
None
0.81%
5.98%
0.04%
0.65%
Vanguard Long-Term Investment-Grade Fund3 – Investor
Shares
Advisers: Wellington Management and Vanguard
0.21%
None
0.21%
9.27%
1.96%
3.75%
Vanguard Long-Term Treasury Fund3 – Investor Shares
Adviser: Vanguard
0.20%
None
0.20%
3.31%
-1.32%
2.21%
Portfolio Companies [Table Text Block]
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic
Large-Cap
Equity
American Beacon Man Large Cap
Growth Fund3, 5 Investor Class
Adviser: American Beacon Advisors, Inc.
Sub-Adviser: Numeric Investors LLC
1.09%
None
1.09%
31.01%
15.58%
12.22%*
Systematic Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs Asset Management, L.P.
and Wellington Management Company LLP
0.65%
None
0.65%
44.81%
12.46%
11.81%
Capital Appreciation Fund2
Adviser: VALIC
Sub-Adviser: Columbia Management Investment Advisers,
LLC
0.77%
None
0.77%
41.16%
16.74%
12.26%
Dividend Value Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock Investment Management, LLC
and ClearBridge Investments, LLC
0.68%
None
0.68%
12.56%
9.97%
8.15%
Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and SunAmerica Asset
Management, LLC (an affiliate of VALIC due to common
ownership)
0.62%
None
0.62%
46.94%
16.27%
12.40%
Large Capital Growth Fund2
Adviser: VALIC
Sub-Adviser: Massachusetts Financial Services Company
0.70%
None
0.70%
23.93%
16.70%
12.73%
Nasdaq-100® Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
54.49%
22.00%
17.26%
Stock Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.23%
None
0.23%
25.80%
15.32%
11.67%
Systematic Core Fund2, 5
Adviser: VALIC
Sub-Adviser: Goldman Sachs
0.64%
None
0.64%
24.03%
15.42%
11.47%
Systematic Value Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.65%
None
0.65%
11.19%
10.31%
7.52%
U.S. Socially Responsible Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.36%
None
0.36%
21.70%
14.36%
11.20%
Vanguard Windsor II Fund3 – Investor Shares
Advisers: Aristotle Capital Management, LLC; Hotchkis and
Wiley Capital Management, LLC; Lazard Asset
Management LLC; and Sanders Capital, LLC
0.34%
0.25%
0.59%
20.98%
14.87%
10.05%
Domestic Mid-
Cap Equity
Ariel Appreciation Fund3 – Investor Class
Adviser: Ariel Investments, LLC
1.13%
None
1.13%
10.62%
10.28%
6.32%
Mid Cap Strategic Growth Fund2
Adviser: VALIC
Sub-Advisers: Janus Henderson Investors US LLC and
Voya Investment Management Co. LLC
0.74%
None
0.74%
22.41%
15.16%
10.39%
Mid Cap Value Fund2
Adviser: VALIC
Sub-Advisers: Boston Partners Global Investors, Inc. d/b/a
Boston Partners and Wellington Management
0.82%
None
0.82%
16.98%
13.01%
7.97%
Mid Cap Index Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.35%
None
0.35%
15.94%
12.21%
8.92%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic Small-
Cap Equity
Ariel Fund3 – Investor Class
Adviser: Ariel
0.99%
None
0.99%
15.81%
10.95%
7.54%
Small Cap Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: American Century Investment Management,
Inc. and T. Rowe Price Associates, Inc.
0.87%
None
0.87%
14.28%
10.05%
8.78%
Small Cap Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.37%
None
0.37%
16.35%
9.57%
6.88%
Small Cap Special Values Fund2
Adviser: VALIC
Sub-Adviser: Allspring Global Investments, LLC
1.07%
None
1.07%
19.14%
11.68%
8.30%
Small Cap Value Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.81%
None
0.81%
12.79%
9.98%
6.23%
Global Equity
(International
and Domestic)
Global Strategy Fund2, 5
Adviser: VALIC
Sub-Advisers: Franklin Advisers, Inc. and Brandywine
Global Investment Management LLC
0.65%
None
0.65%
15.60%
3.53%
2.38%
International Socially Responsible Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.58%
None
0.58%
18.35%
8.68%
6.96%
International
Equity
Emerging Economies Fund2
Adviser: VALIC
Sub-Adviser: BlackRock
0.95%
None
0.95%
12.11%
3.30%
1.89%
International Equities Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
17.25%
7.70%
3.95%
International Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: MSIM and Morgan Stanley Investment
Management Co.
0.81%
None
0.81%
17.66%
9.54%
5.62%
International Opportunities Fund2, 5
Adviser: VALIC
Sub-Advisers: Invesco Advisers, Inc. and Wellington
Management
1.00%
None
1.00%
14.28%
6.22%
4.75%
International Value Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs and Columbia Management
Investment Advisers, LLC
0.78%
None
0.78%
14.38%
5.91%
1.64%
Specialty
Global Real Estate Fund2
Adviser: VALIC
Sub-Advisers: Duff & Phelps Investment Management Co.
and MFS
0.91%
None
0.91%
10.01%
3.15%
3.66%
Invesco Balanced-Risk Commodity Strategy Fund3, 5
Class R5
Adviser: Invesco Advisers, Inc.
1.15%
None
1.15%
-3.13%
7.08%
0.24%
Science & Technology Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and Voya
0.91%
None
0.91%
55.79%
18.42%
15.69%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Hybrid
(Equity and
Fixed Income)
Aggressive Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
17.04%
9.69%
6.61%
Asset Allocation Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.65%
None
0.65%
18.34%
8.27%
5.61%
Conservative Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.62%
None
0.62%
11.24%
5.86%
4.15%
Dynamic Allocation Fund2, 5
Adviser: VALIC
Sub-Advisers: AllianceBernstein L.P. and SunAmerica
0.84%
None
0.84%
13.32%
6.93%
5.02%
Moderate Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
14.09%
8.46%
5.91%
T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.75%
None
0.75%
12.71%
6.74%
5.28%
T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.77%
None
0.77%
13.17%
7.38%
5.78%
T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.79%
None
0.79%
14.33%
8.17%
6.33%
T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.81%
None
0.81%
16.02%
8.98%
6.85%
T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.84%
None
0.84%
17.83%
9.77%
7.31%
T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.85%
None
0.85%
19.27%
10.41%
7.69%
T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.86%
None
0.86%
20.17%
10.90%
7.94%
T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.88%
None
0.88%
20.49%
10.98%
7.98%
T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.48%
10.93%
7.95%
T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.44%
10.93%
7.72%*
Vanguard LifeStrategy Conservative Growth Fund3, 4
Investor Shares
Adviser: The Vanguard Group, Inc.
0.12%
0.25%
0.37%
12.48%
5.52%
4.77%
Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Adviser: Vanguard
0.14%
0.25%
0.39%
18.55%
9.83%
7.36%
Vanguard LifeStrategy Moderate Growth Fund3, 4
Investor Shares
Adviser: Vanguard
0.13%
0.25%
0.38%
15.49%
7.68%
6.09%
Vanguard Wellington Fund3 – Investor Shares
Adviser: Wellington Management
0.26%
0.25%
0.50%
14.33%
9.58%
7.88%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Fixed Income
Core Bond Fund2
Adviser: VALIC
Sub-Advisers: PineBridge Investments LLC and JPMIM
0.48%
None
0.48%
6.51%
1.70%
1.96%
Goldman Sachs VIT Government Money Market Fund5
Institutional Shares
Adviser: Goldman Sachs
0.18%
None
0.18%
5.05%
1.82%
1.19%
Government Securities Fund2
Adviser: VALIC
Sub-Adviser: JPMIM
0.60%
None
0.60%
4.21%
0.53%
1.27%
High Yield Bond Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.68%
None
0.68%
13.14%
5.28%
4.22%
Inflation Protected Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.59%
None
0.59%
4.09%
3.05%
2.13%
International Government Bond Fund2
Adviser: VALIC
Sub-Adviser: PineBridge
0.81%
None
0.81%
5.98%
0.04%
0.65%
Vanguard Long-Term Investment-Grade Fund3 – Investor
Shares
Advisers: Wellington Management and Vanguard
0.21%
None
0.21%
9.27%
1.96%
3.75%
Vanguard Long-Term Treasury Fund3 – Investor Shares
Adviser: Vanguard
0.20%
None
0.20%
3.31%
-1.32%
2.21%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | AmericanBeaconManLargeCapGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] American Beacon Man Large CapGrowth Fund3, 5 Investor Class
Portfolio Company Adviser [Text Block] American Beacon Advisors, Inc.
Portfolio Company Subadviser [Text Block] Numeric Investors LLC
Current Expenses [Percent] 1.09%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.09%
Average Annual Total Returns, 1 Year [Percent] 31.01%
Average Annual Total Returns, 5 Years [Percent] 15.58%
Average Annual Total Returns, 10 Years [Percent] 12.22%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyISystematicGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs Asset Management, L.P. and Wellington Management Company LLP
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 44.81%
Average Annual Total Returns, 5 Years [Percent] 12.46%
Average Annual Total Returns, 10 Years [Percent] 11.81%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyICapitalAppreciationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Capital Appreciation Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Columbia Management Investment Advisers, LLC
Current Expenses [Percent] 0.77%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.77%
Average Annual Total Returns, 1 Year [Percent] 41.16%
Average Annual Total Returns, 5 Years [Percent] 16.74%
Average Annual Total Returns, 10 Years [Percent] 12.26%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIDividendValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Dividend Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock Investment Management, LLC and ClearBridge Investments, LLC
Current Expenses [Percent] 0.68%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.68%
Average Annual Total Returns, 1 Year [Percent] 12.56%
Average Annual Total Returns, 5 Years [Percent] 9.97%
Average Annual Total Returns, 10 Years [Percent] 8.15%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock and SunAmerica Asset Management, LLC (an affiliate of VALIC due to common ownership)
Current Expenses [Percent] 0.62%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.62%
Average Annual Total Returns, 1 Year [Percent] 46.94%
Average Annual Total Returns, 5 Years [Percent] 16.27%
Average Annual Total Returns, 10 Years [Percent] 12.40%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyILargeCapitalGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Large Capital Growth Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Massachusetts Financial Services Company
Current Expenses [Percent] 0.70%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.70%
Average Annual Total Returns, 1 Year [Percent] 23.93%
Average Annual Total Returns, 5 Years [Percent] 16.70%
Average Annual Total Returns, 10 Years [Percent] 12.73%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyINasdaq100IndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Nasdaq-100® Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.43%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.43%
Average Annual Total Returns, 1 Year [Percent] 54.49%
Average Annual Total Returns, 5 Years [Percent] 22.00%
Average Annual Total Returns, 10 Years [Percent] 17.26%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIStockIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Stock Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.23%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.23%
Average Annual Total Returns, 1 Year [Percent] 25.80%
Average Annual Total Returns, 5 Years [Percent] 15.32%
Average Annual Total Returns, 10 Years [Percent] 11.67%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyISystematicCoreFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Core Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs
Current Expenses [Percent] 0.64%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.64%
Average Annual Total Returns, 1 Year [Percent] 24.03%
Average Annual Total Returns, 5 Years [Percent] 15.42%
Average Annual Total Returns, 10 Years [Percent] 11.47%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyISystematicValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 11.19%
Average Annual Total Returns, 5 Years [Percent] 10.31%
Average Annual Total Returns, 10 Years [Percent] 7.52%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIUSSociallyResponsibleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] U.S. Socially Responsible Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.36%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.36%
Average Annual Total Returns, 1 Year [Percent] 21.70%
Average Annual Total Returns, 5 Years [Percent] 14.36%
Average Annual Total Returns, 10 Years [Percent] 11.20%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VanguardWindsorIIFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Windsor II Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Aristotle Capital Management, LLC; Hotchkis and Wiley Capital Management, LLC; Lazard Asset Management LLC; and Sanders Capital, LLC
Current Expenses [Percent] 0.34%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.59%
Average Annual Total Returns, 1 Year [Percent] 20.98%
Average Annual Total Returns, 5 Years [Percent] 14.87%
Average Annual Total Returns, 10 Years [Percent] 10.05%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | ArielAppreciationFundInvestorMember  
Prospectus:  
Portfolio Company Adviser [Text Block] Ariel Investments, LLC
Current Expenses [Percent] 1.13%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.13%
Average Annual Total Returns, 1 Year [Percent] 10.62%
Average Annual Total Returns, 5 Years [Percent] 10.28%
Average Annual Total Returns, 10 Years [Percent] 6.32%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIMidCapStrategicGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Strategic Growth Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Janus Henderson Investors US LLC and Voya Investment Management Co. LLC
Current Expenses [Percent] 0.74%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.74%
Average Annual Total Returns, 1 Year [Percent] 22.41%
Average Annual Total Returns, 5 Years [Percent] 15.16%
Average Annual Total Returns, 10 Years [Percent] 10.39%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIMidCapValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Value Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Boston Partners Global Investors, Inc. d/b/a Boston Partners and Wellington Management
Current Expenses [Percent] 0.82%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.82%
Average Annual Total Returns, 1 Year [Percent] 16.98%
Average Annual Total Returns, 5 Years [Percent] 13.01%
Average Annual Total Returns, 10 Years [Percent] 7.97%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIMidCapIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Index Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.35%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.35%
Average Annual Total Returns, 1 Year [Percent] 15.94%
Average Annual Total Returns, 5 Years [Percent] 12.21%
Average Annual Total Returns, 10 Years [Percent] 8.92%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | ArielFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Ariel Appreciation Fund3 – Investor ClassAriel Fund3 – Investor Class
Portfolio Company Adviser [Text Block] Ariel
Current Expenses [Percent] 0.99%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.99%
Average Annual Total Returns, 1 Year [Percent] 15.81%
Average Annual Total Returns, 5 Years [Percent] 10.95%
Average Annual Total Returns, 10 Years [Percent] 7.54%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyISmallCapGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] American Century Investment Management, Inc. and T. Rowe Price Associates, Inc.
Current Expenses [Percent] 0.87%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.87%
Average Annual Total Returns, 1 Year [Percent] 14.28%
Average Annual Total Returns, 5 Years [Percent] 10.05%
Average Annual Total Returns, 10 Years [Percent] 8.78%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyISmallCapIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.37%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.37%
Average Annual Total Returns, 1 Year [Percent] 16.35%
Average Annual Total Returns, 5 Years [Percent] 9.57%
Average Annual Total Returns, 10 Years [Percent] 6.88%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyISmallCapSpecialValuesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Special Values Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Allspring Global Investments, LLC
Current Expenses [Percent] 1.07%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.07%
Average Annual Total Returns, 1 Year [Percent] 19.14%
Average Annual Total Returns, 5 Years [Percent] 11.68%
Average Annual Total Returns, 10 Years [Percent] 8.30%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyISmallCapValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 12.79%
Average Annual Total Returns, 5 Years [Percent] 9.98%
Average Annual Total Returns, 10 Years [Percent] 6.23%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIGlobalStrategyFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Global Strategy Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Franklin Advisers, Inc. and Brandywine Global Investment Management LLC
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 15.60%
Average Annual Total Returns, 5 Years [Percent] 3.53%
Average Annual Total Returns, 10 Years [Percent] 2.38%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIInternationalSociallyResponsibleMember  
Prospectus:  
Portfolio Company Name [Text Block] International Socially Responsible Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 18.35%
Average Annual Total Returns, 5 Years [Percent] 8.68%
Average Annual Total Returns, 10 Years [Percent] 6.96%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIEmergingEconomiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Emerging Economies Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock
Current Expenses [Percent] 0.95%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.95%
Average Annual Total Returns, 1 Year [Percent] 12.11%
Average Annual Total Returns, 5 Years [Percent] 3.30%
Average Annual Total Returns, 10 Years [Percent] 1.89%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIInternationalEquitiesIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Equities Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.43%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.43%
Average Annual Total Returns, 1 Year [Percent] 17.25%
Average Annual Total Returns, 5 Years [Percent] 7.70%
Average Annual Total Returns, 10 Years [Percent] 3.95%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIInternationalGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] MSIM and Morgan Stanley Investment Management Co.
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 17.66%
Average Annual Total Returns, 5 Years [Percent] 9.54%
Average Annual Total Returns, 10 Years [Percent] 5.62%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIInternationalOpportunitiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Opportunities Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Invesco Advisers, Inc. and Wellington Management
Current Expenses [Percent] 1.00%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.00%
Average Annual Total Returns, 1 Year [Percent] 14.28%
Average Annual Total Returns, 5 Years [Percent] 6.22%
Average Annual Total Returns, 10 Years [Percent] 4.75%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIInternationalValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs and Columbia Management Investment Advisers, LLC
Current Expenses [Percent] 0.78%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.78%
Average Annual Total Returns, 1 Year [Percent] 14.38%
Average Annual Total Returns, 5 Years [Percent] 5.91%
Average Annual Total Returns, 10 Years [Percent] 1.64%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIGlobalRealEstateFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Global Real Estate Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Duff & Phelps Investment Management Co. and MFS
Current Expenses [Percent] 0.91%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.91%
Average Annual Total Returns, 1 Year [Percent] 10.01%
Average Annual Total Returns, 5 Years [Percent] 3.15%
Average Annual Total Returns, 10 Years [Percent] 3.66%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | InvescoBalancedRiskCommodityStrategyFundR5Member  
Prospectus:  
Portfolio Company Name [Text Block] Invesco Balanced-Risk Commodity Strategy Fund3, 5Class R5
Portfolio Company Adviser [Text Block] Invesco Advisers, Inc.
Current Expenses [Percent] 1.15%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.15%
Average Annual Total Returns, 1 Year [Percent] 3.13%
Average Annual Total Returns, 5 Years [Percent] 7.08%
Average Annual Total Returns, 10 Years [Percent] 0.24%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIScienceTechnologyFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Science & Technology Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock and Voya
Current Expenses [Percent] 0.91%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.91%
Average Annual Total Returns, 1 Year [Percent] 55.79%
Average Annual Total Returns, 5 Years [Percent] 18.42%
Average Annual Total Returns, 10 Years [Percent] 15.69%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIAggressiveGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Aggressive Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 17.04%
Average Annual Total Returns, 5 Years [Percent] 9.69%
Average Annual Total Returns, 10 Years [Percent] 6.61%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIAssetAllocationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Asset Allocation Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 18.34%
Average Annual Total Returns, 5 Years [Percent] 8.27%
Average Annual Total Returns, 10 Years [Percent] 5.61%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIConservativeGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Conservative Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.62%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.62%
Average Annual Total Returns, 1 Year [Percent] 11.24%
Average Annual Total Returns, 5 Years [Percent] 5.86%
Average Annual Total Returns, 10 Years [Percent] 4.15%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIDynamicAllocationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Dynamic Allocation Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] AllianceBernstein L.P. and SunAmerica
Current Expenses [Percent] 0.84%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.84%
Average Annual Total Returns, 1 Year [Percent] 13.32%
Average Annual Total Returns, 5 Years [Percent] 6.93%
Average Annual Total Returns, 10 Years [Percent] 5.02%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIModerateGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Moderate Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 14.09%
Average Annual Total Returns, 5 Years [Percent] 8.46%
Average Annual Total Returns, 10 Years [Percent] 5.91%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | TRowePriceRetirement2015AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.75%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.75%
Average Annual Total Returns, 1 Year [Percent] 12.71%
Average Annual Total Returns, 5 Years [Percent] 6.74%
Average Annual Total Returns, 10 Years [Percent] 5.28%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | TRowePriceRetirement2020AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.77%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.77%
Average Annual Total Returns, 1 Year [Percent] 13.17%
Average Annual Total Returns, 5 Years [Percent] 7.38%
Average Annual Total Returns, 10 Years [Percent] 5.78%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | TRowePriceRetirement2025AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.79%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.79%
Average Annual Total Returns, 1 Year [Percent] 14.33%
Average Annual Total Returns, 5 Years [Percent] 8.17%
Average Annual Total Returns, 10 Years [Percent] 6.33%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | TRowePriceRetirement2030AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 16.02%
Average Annual Total Returns, 5 Years [Percent] 8.98%
Average Annual Total Returns, 10 Years [Percent] 6.85%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | TRowePriceRetirement2035AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.84%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.84%
Average Annual Total Returns, 1 Year [Percent] 17.83%
Average Annual Total Returns, 5 Years [Percent] 9.77%
Average Annual Total Returns, 10 Years [Percent] 7.31%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | TRowePriceRetirement2040AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.85%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.85%
Average Annual Total Returns, 1 Year [Percent] 19.27%
Average Annual Total Returns, 5 Years [Percent] 10.41%
Average Annual Total Returns, 10 Years [Percent] 7.69%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | TRowePriceRetirement2045AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.86%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.86%
Average Annual Total Returns, 1 Year [Percent] 20.17%
Average Annual Total Returns, 5 Years [Percent] 10.90%
Average Annual Total Returns, 10 Years [Percent] 7.94%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | TRowePriceRetirement2050AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.88%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.88%
Average Annual Total Returns, 1 Year [Percent] 20.49%
Average Annual Total Returns, 5 Years [Percent] 10.98%
Average Annual Total Returns, 10 Years [Percent] 7.98%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | TRowePriceRetirement2055AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.89%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.89%
Average Annual Total Returns, 1 Year [Percent] 20.48%
Average Annual Total Returns, 5 Years [Percent] 10.93%
Average Annual Total Returns, 10 Years [Percent] 7.95%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | TRowePriceRetirement2060AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.89%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.89%
Average Annual Total Returns, 1 Year [Percent] 20.44%
Average Annual Total Returns, 5 Years [Percent] 10.93%
Average Annual Total Returns, 10 Years [Percent] 7.72%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VanguardLifeStrategyConservativeGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Conservative Growth Fund3, 4Investor Shares
Portfolio Company Adviser [Text Block] The Vanguard Group, Inc.
Current Expenses [Percent] 0.12%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.37%
Average Annual Total Returns, 1 Year [Percent] 12.48%
Average Annual Total Returns, 5 Years [Percent] 5.52%
Average Annual Total Returns, 10 Years [Percent] 4.77%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VanguardLifeStrategyGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.14%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.39%
Average Annual Total Returns, 1 Year [Percent] 18.55%
Average Annual Total Returns, 5 Years [Percent] 9.83%
Average Annual Total Returns, 10 Years [Percent] 7.36%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VanguardLifeStrategyModerateGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Moderate Growth Fund3, 4Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.13%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.38%
Average Annual Total Returns, 1 Year [Percent] 15.49%
Average Annual Total Returns, 5 Years [Percent] 7.68%
Average Annual Total Returns, 10 Years [Percent] 6.09%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VanguardWellingtonFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Wellington Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Wellington Management
Current Expenses [Percent] 0.26%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.50%
Average Annual Total Returns, 1 Year [Percent] 14.33%
Average Annual Total Returns, 5 Years [Percent] 9.58%
Average Annual Total Returns, 10 Years [Percent] 7.88%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyICoreBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Core Bond Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] PineBridge Investments LLC and JPMIM
Current Expenses [Percent] 0.48%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.48%
Average Annual Total Returns, 1 Year [Percent] 6.51%
Average Annual Total Returns, 5 Years [Percent] 1.70%
Average Annual Total Returns, 10 Years [Percent] 1.96%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | GoldmanSachsVITGovernmentMoneyMarketFundInstitutionalMember  
Prospectus:  
Portfolio Company Name [Text Block] Goldman Sachs VIT Government Money Market Fund5Institutional Shares
Portfolio Company Adviser [Text Block] Goldman Sachs
Current Expenses [Percent] 0.18%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.18%
Average Annual Total Returns, 1 Year [Percent] 5.05%
Average Annual Total Returns, 5 Years [Percent] 1.82%
Average Annual Total Returns, 10 Years [Percent] 1.19%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIGovernmentSecuritiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Government Securities Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.60%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.60%
Average Annual Total Returns, 1 Year [Percent] 4.21%
Average Annual Total Returns, 5 Years [Percent] 0.53%
Average Annual Total Returns, 10 Years [Percent] 1.27%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIHighYieldBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] High Yield Bond Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.68%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.68%
Average Annual Total Returns, 1 Year [Percent] 13.14%
Average Annual Total Returns, 5 Years [Percent] 5.28%
Average Annual Total Returns, 10 Years [Percent] 4.22%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIInflationProtectedFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Inflation Protected Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.59%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.59%
Average Annual Total Returns, 1 Year [Percent] 4.09%
Average Annual Total Returns, 5 Years [Percent] 3.05%
Average Annual Total Returns, 10 Years [Percent] 2.13%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VALICCompanyIInternationalGovernmentBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Government Bond Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] PineBridge
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 5.98%
Average Annual Total Returns, 5 Years [Percent] 0.04%
Average Annual Total Returns, 10 Years [Percent] 0.65%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VanguardLongTermInvestmentGradeFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Long-Term Investment-Grade Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Wellington Management and Vanguard
Current Expenses [Percent] 0.21%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.21%
Average Annual Total Returns, 1 Year [Percent] 9.27%
Average Annual Total Returns, 5 Years [Percent] 1.96%
Average Annual Total Returns, 10 Years [Percent] 3.75%
New Portfolio Director Fixed and Variable Annuity 1.00 - 12.00 | VanguardLongTermTreasuryFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Long-Term Treasury Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.20%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.20%
Average Annual Total Returns, 1 Year [Percent] 3.31%
Average Annual Total Returns, 5 Years [Percent] 1.32%
Average Annual Total Returns, 10 Years [Percent] 2.21%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40  
Prospectus:  
Item 17. Portfolio Companies (N-4) [Text Block] The following table replaces the similar table in its entirety in Appendix A:
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic
Large-Cap
Equity
American Beacon Man Large Cap
Growth Fund3, 5 Investor Class
Adviser: American Beacon Advisors, Inc.
Sub-Adviser: Numeric Investors LLC
1.09%
None
1.09%
31.01%
15.58%
12.22%*
Systematic Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs Asset Management, L.P.
and Wellington Management Company LLP
0.65%
None
0.65%
44.81%
12.46%
11.81%
Capital Appreciation Fund2
Adviser: VALIC
Sub-Adviser: Columbia Management Investment Advisers,
LLC
0.77%
None
0.77%
41.16%
16.74%
12.26%
Dividend Value Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock Investment Management, LLC
and ClearBridge Investments, LLC
0.68%
None
0.68%
12.56%
9.97%
8.15%
Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and SunAmerica Asset
Management, LLC (an affiliate of VALIC due to common
ownership)
0.62%
None
0.62%
46.94%
16.27%
12.40%
Large Capital Growth Fund2
Adviser: VALIC
Sub-Adviser: Massachusetts Financial Services Company
0.70%
None
0.70%
23.93%
16.70%
12.73%
Nasdaq-100® Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
54.49%
22.00%
17.26%
Stock Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.23%
None
0.23%
25.80%
15.32%
11.67%
Systematic Core Fund2, 5
Adviser: VALIC
Sub-Adviser: Goldman Sachs
0.64%
None
0.64%
24.03%
15.42%
11.47%
Systematic Value Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.65%
None
0.65%
11.19%
10.31%
7.52%
U.S. Socially Responsible Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.36%
None
0.36%
21.70%
14.36%
11.20%
Vanguard Windsor II Fund3 – Investor Shares
Advisers: Aristotle Capital Management, LLC; Hotchkis and
Wiley Capital Management, LLC; Lazard Asset
Management LLC; and Sanders Capital, LLC
0.34%
0.25%
0.59%
20.98%
14.87%
10.05%
Domestic Mid-
Cap Equity
Ariel Appreciation Fund3 – Investor Class
Adviser: Ariel Investments, LLC
1.13%
None
1.13%
10.62%
10.28%
6.32%
Mid Cap Strategic Growth Fund2
Adviser: VALIC
Sub-Advisers: Janus Henderson Investors US LLC and
Voya Investment Management Co. LLC
0.74%
None
0.74%
22.41%
15.16%
10.39%
Mid Cap Value Fund2
Adviser: VALIC
Sub-Advisers: Boston Partners Global Investors, Inc. d/b/a
Boston Partners and Wellington Management
0.82%
None
0.82%
16.98%
13.01%
7.97%
Mid Cap Index Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.35%
None
0.35%
15.94%
12.21%
8.92%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic Small-
Cap Equity
Ariel Fund3 – Investor Class
Adviser: Ariel
0.99%
None
0.99%
15.81%
10.95%
7.54%
Small Cap Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: American Century Investment Management,
Inc. and T. Rowe Price Associates, Inc.
0.87%
None
0.87%
14.28%
10.05%
8.78%
Small Cap Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.37%
None
0.37%
16.35%
9.57%
6.88%
Small Cap Special Values Fund2
Adviser: VALIC
Sub-Adviser: Allspring Global Investments, LLC
1.07%
None
1.07%
19.14%
11.68%
8.30%
Small Cap Value Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.81%
None
0.81%
12.79%
9.98%
6.23%
Global Equity
(International
and Domestic)
Global Strategy Fund2, 5
Adviser: VALIC
Sub-Advisers: Franklin Advisers, Inc. and Brandywine
Global Investment Management LLC
0.65%
None
0.65%
15.60%
3.53%
2.38%
International Socially Responsible Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.58%
None
0.58%
18.35%
8.68%
6.96%
International
Equity
Emerging Economies Fund2
Adviser: VALIC
Sub-Adviser: BlackRock
0.95%
None
0.95%
12.11%
3.30%
1.89%
International Equities Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
17.25%
7.70%
3.95%
International Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: MSIM and Morgan Stanley Investment
Management Co.
0.81%
None
0.81%
17.66%
9.54%
5.62%
International Opportunities Fund2, 5
Adviser: VALIC
Sub-Advisers: Invesco Advisers, Inc. and Wellington
Management
1.00%
None
1.00%
14.28%
6.22%
4.75%
International Value Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs and Columbia Management
Investment Advisers, LLC
0.78%
None
0.78%
14.38%
5.91%
1.64%
Specialty
Global Real Estate Fund2
Adviser: VALIC
Sub-Advisers: Duff & Phelps Investment Management Co.
and MFS
0.91%
None
0.91%
10.01%
3.15%
3.66%
Invesco Balanced-Risk Commodity Strategy Fund3, 5
Class R5
Adviser: Invesco Advisers, Inc.
1.15%
None
1.15%
-3.13%
7.08%
0.24%
Science & Technology Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and Voya
0.91%
None
0.91%
55.79%
18.42%
15.69%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Hybrid
(Equity and
Fixed Income)
Aggressive Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
17.04%
9.69%
6.61%
Asset Allocation Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.65%
None
0.65%
18.34%
8.27%
5.61%
Conservative Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.62%
None
0.62%
11.24%
5.86%
4.15%
Dynamic Allocation Fund2, 5
Adviser: VALIC
Sub-Advisers: AllianceBernstein L.P. and SunAmerica
0.84%
None
0.84%
13.32%
6.93%
5.02%
Moderate Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
14.09%
8.46%
5.91%
T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.75%
None
0.75%
12.71%
6.74%
5.28%
T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.77%
None
0.77%
13.17%
7.38%
5.78%
T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.79%
None
0.79%
14.33%
8.17%
6.33%
T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.81%
None
0.81%
16.02%
8.98%
6.85%
T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.84%
None
0.84%
17.83%
9.77%
7.31%
T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.85%
None
0.85%
19.27%
10.41%
7.69%
T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.86%
None
0.86%
20.17%
10.90%
7.94%
T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.88%
None
0.88%
20.49%
10.98%
7.98%
T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.48%
10.93%
7.95%
T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.44%
10.93%
7.72%*
Vanguard LifeStrategy Conservative Growth Fund3, 4
Investor Shares
Adviser: The Vanguard Group, Inc.
0.12%
0.25%
0.37%
12.48%
5.52%
4.77%
Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Adviser: Vanguard
0.14%
0.25%
0.39%
18.55%
9.83%
7.36%
Vanguard LifeStrategy Moderate Growth Fund3, 4
Investor Shares
Adviser: Vanguard
0.13%
0.25%
0.38%
15.49%
7.68%
6.09%
Vanguard Wellington Fund3 – Investor Shares
Adviser: Wellington Management
0.26%
0.25%
0.50%
14.33%
9.58%
7.88%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Fixed Income
Core Bond Fund2
Adviser: VALIC
Sub-Advisers: PineBridge Investments LLC and JPMIM
0.48%
None
0.48%
6.51%
1.70%
1.96%
Goldman Sachs VIT Government Money Market Fund5
Institutional Shares
Adviser: Goldman Sachs
0.18%
None
0.18%
5.05%
1.82%
1.19%
Government Securities Fund2
Adviser: VALIC
Sub-Adviser: JPMIM
0.60%
None
0.60%
4.21%
0.53%
1.27%
High Yield Bond Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.68%
None
0.68%
13.14%
5.28%
4.22%
Inflation Protected Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.59%
None
0.59%
4.09%
3.05%
2.13%
International Government Bond Fund2
Adviser: VALIC
Sub-Adviser: PineBridge
0.81%
None
0.81%
5.98%
0.04%
0.65%
Vanguard Long-Term Investment-Grade Fund3 – Investor
Shares
Advisers: Wellington Management and Vanguard
0.21%
None
0.21%
9.27%
1.96%
3.75%
Vanguard Long-Term Treasury Fund3 – Investor Shares
Adviser: Vanguard
0.20%
None
0.20%
3.31%
-1.32%
2.21%
Portfolio Companies [Table Text Block]
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic
Large-Cap
Equity
American Beacon Man Large Cap
Growth Fund3, 5 Investor Class
Adviser: American Beacon Advisors, Inc.
Sub-Adviser: Numeric Investors LLC
1.09%
None
1.09%
31.01%
15.58%
12.22%*
Systematic Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs Asset Management, L.P.
and Wellington Management Company LLP
0.65%
None
0.65%
44.81%
12.46%
11.81%
Capital Appreciation Fund2
Adviser: VALIC
Sub-Adviser: Columbia Management Investment Advisers,
LLC
0.77%
None
0.77%
41.16%
16.74%
12.26%
Dividend Value Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock Investment Management, LLC
and ClearBridge Investments, LLC
0.68%
None
0.68%
12.56%
9.97%
8.15%
Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and SunAmerica Asset
Management, LLC (an affiliate of VALIC due to common
ownership)
0.62%
None
0.62%
46.94%
16.27%
12.40%
Large Capital Growth Fund2
Adviser: VALIC
Sub-Adviser: Massachusetts Financial Services Company
0.70%
None
0.70%
23.93%
16.70%
12.73%
Nasdaq-100® Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
54.49%
22.00%
17.26%
Stock Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.23%
None
0.23%
25.80%
15.32%
11.67%
Systematic Core Fund2, 5
Adviser: VALIC
Sub-Adviser: Goldman Sachs
0.64%
None
0.64%
24.03%
15.42%
11.47%
Systematic Value Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.65%
None
0.65%
11.19%
10.31%
7.52%
U.S. Socially Responsible Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.36%
None
0.36%
21.70%
14.36%
11.20%
Vanguard Windsor II Fund3 – Investor Shares
Advisers: Aristotle Capital Management, LLC; Hotchkis and
Wiley Capital Management, LLC; Lazard Asset
Management LLC; and Sanders Capital, LLC
0.34%
0.25%
0.59%
20.98%
14.87%
10.05%
Domestic Mid-
Cap Equity
Ariel Appreciation Fund3 – Investor Class
Adviser: Ariel Investments, LLC
1.13%
None
1.13%
10.62%
10.28%
6.32%
Mid Cap Strategic Growth Fund2
Adviser: VALIC
Sub-Advisers: Janus Henderson Investors US LLC and
Voya Investment Management Co. LLC
0.74%
None
0.74%
22.41%
15.16%
10.39%
Mid Cap Value Fund2
Adviser: VALIC
Sub-Advisers: Boston Partners Global Investors, Inc. d/b/a
Boston Partners and Wellington Management
0.82%
None
0.82%
16.98%
13.01%
7.97%
Mid Cap Index Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.35%
None
0.35%
15.94%
12.21%
8.92%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic Small-
Cap Equity
Ariel Fund3 – Investor Class
Adviser: Ariel
0.99%
None
0.99%
15.81%
10.95%
7.54%
Small Cap Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: American Century Investment Management,
Inc. and T. Rowe Price Associates, Inc.
0.87%
None
0.87%
14.28%
10.05%
8.78%
Small Cap Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.37%
None
0.37%
16.35%
9.57%
6.88%
Small Cap Special Values Fund2
Adviser: VALIC
Sub-Adviser: Allspring Global Investments, LLC
1.07%
None
1.07%
19.14%
11.68%
8.30%
Small Cap Value Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.81%
None
0.81%
12.79%
9.98%
6.23%
Global Equity
(International
and Domestic)
Global Strategy Fund2, 5
Adviser: VALIC
Sub-Advisers: Franklin Advisers, Inc. and Brandywine
Global Investment Management LLC
0.65%
None
0.65%
15.60%
3.53%
2.38%
International Socially Responsible Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.58%
None
0.58%
18.35%
8.68%
6.96%
International
Equity
Emerging Economies Fund2
Adviser: VALIC
Sub-Adviser: BlackRock
0.95%
None
0.95%
12.11%
3.30%
1.89%
International Equities Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
17.25%
7.70%
3.95%
International Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: MSIM and Morgan Stanley Investment
Management Co.
0.81%
None
0.81%
17.66%
9.54%
5.62%
International Opportunities Fund2, 5
Adviser: VALIC
Sub-Advisers: Invesco Advisers, Inc. and Wellington
Management
1.00%
None
1.00%
14.28%
6.22%
4.75%
International Value Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs and Columbia Management
Investment Advisers, LLC
0.78%
None
0.78%
14.38%
5.91%
1.64%
Specialty
Global Real Estate Fund2
Adviser: VALIC
Sub-Advisers: Duff & Phelps Investment Management Co.
and MFS
0.91%
None
0.91%
10.01%
3.15%
3.66%
Invesco Balanced-Risk Commodity Strategy Fund3, 5
Class R5
Adviser: Invesco Advisers, Inc.
1.15%
None
1.15%
-3.13%
7.08%
0.24%
Science & Technology Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and Voya
0.91%
None
0.91%
55.79%
18.42%
15.69%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Hybrid
(Equity and
Fixed Income)
Aggressive Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
17.04%
9.69%
6.61%
Asset Allocation Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.65%
None
0.65%
18.34%
8.27%
5.61%
Conservative Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.62%
None
0.62%
11.24%
5.86%
4.15%
Dynamic Allocation Fund2, 5
Adviser: VALIC
Sub-Advisers: AllianceBernstein L.P. and SunAmerica
0.84%
None
0.84%
13.32%
6.93%
5.02%
Moderate Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
14.09%
8.46%
5.91%
T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.75%
None
0.75%
12.71%
6.74%
5.28%
T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.77%
None
0.77%
13.17%
7.38%
5.78%
T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.79%
None
0.79%
14.33%
8.17%
6.33%
T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.81%
None
0.81%
16.02%
8.98%
6.85%
T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.84%
None
0.84%
17.83%
9.77%
7.31%
T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.85%
None
0.85%
19.27%
10.41%
7.69%
T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.86%
None
0.86%
20.17%
10.90%
7.94%
T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.88%
None
0.88%
20.49%
10.98%
7.98%
T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.48%
10.93%
7.95%
T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.44%
10.93%
7.72%*
Vanguard LifeStrategy Conservative Growth Fund3, 4
Investor Shares
Adviser: The Vanguard Group, Inc.
0.12%
0.25%
0.37%
12.48%
5.52%
4.77%
Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Adviser: Vanguard
0.14%
0.25%
0.39%
18.55%
9.83%
7.36%
Vanguard LifeStrategy Moderate Growth Fund3, 4
Investor Shares
Adviser: Vanguard
0.13%
0.25%
0.38%
15.49%
7.68%
6.09%
Vanguard Wellington Fund3 – Investor Shares
Adviser: Wellington Management
0.26%
0.25%
0.50%
14.33%
9.58%
7.88%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Fixed Income
Core Bond Fund2
Adviser: VALIC
Sub-Advisers: PineBridge Investments LLC and JPMIM
0.48%
None
0.48%
6.51%
1.70%
1.96%
Goldman Sachs VIT Government Money Market Fund5
Institutional Shares
Adviser: Goldman Sachs
0.18%
None
0.18%
5.05%
1.82%
1.19%
Government Securities Fund2
Adviser: VALIC
Sub-Adviser: JPMIM
0.60%
None
0.60%
4.21%
0.53%
1.27%
High Yield Bond Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.68%
None
0.68%
13.14%
5.28%
4.22%
Inflation Protected Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.59%
None
0.59%
4.09%
3.05%
2.13%
International Government Bond Fund2
Adviser: VALIC
Sub-Adviser: PineBridge
0.81%
None
0.81%
5.98%
0.04%
0.65%
Vanguard Long-Term Investment-Grade Fund3 – Investor
Shares
Advisers: Wellington Management and Vanguard
0.21%
None
0.21%
9.27%
1.96%
3.75%
Vanguard Long-Term Treasury Fund3 – Investor Shares
Adviser: Vanguard
0.20%
None
0.20%
3.31%
-1.32%
2.21%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | AmericanBeaconManLargeCapGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] American Beacon Man Large CapGrowth Fund3, 5 Investor Class
Portfolio Company Adviser [Text Block] American Beacon Advisors, Inc.
Portfolio Company Subadviser [Text Block] Numeric Investors LLC
Current Expenses [Percent] 1.09%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.09%
Average Annual Total Returns, 1 Year [Percent] 31.01%
Average Annual Total Returns, 5 Years [Percent] 15.58%
Average Annual Total Returns, 10 Years [Percent] 12.22%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyISystematicGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs Asset Management, L.P. and Wellington Management Company LLP
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 44.81%
Average Annual Total Returns, 5 Years [Percent] 12.46%
Average Annual Total Returns, 10 Years [Percent] 11.81%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyICapitalAppreciationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Capital Appreciation Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Columbia Management Investment Advisers, LLC
Current Expenses [Percent] 0.77%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.77%
Average Annual Total Returns, 1 Year [Percent] 41.16%
Average Annual Total Returns, 5 Years [Percent] 16.74%
Average Annual Total Returns, 10 Years [Percent] 12.26%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIDividendValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Dividend Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock Investment Management, LLC and ClearBridge Investments, LLC
Current Expenses [Percent] 0.68%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.68%
Average Annual Total Returns, 1 Year [Percent] 12.56%
Average Annual Total Returns, 5 Years [Percent] 9.97%
Average Annual Total Returns, 10 Years [Percent] 8.15%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock and SunAmerica Asset Management, LLC (an affiliate of VALIC due to common ownership)
Current Expenses [Percent] 0.62%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.62%
Average Annual Total Returns, 1 Year [Percent] 46.94%
Average Annual Total Returns, 5 Years [Percent] 16.27%
Average Annual Total Returns, 10 Years [Percent] 12.40%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyILargeCapitalGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Large Capital Growth Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Massachusetts Financial Services Company
Current Expenses [Percent] 0.70%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.70%
Average Annual Total Returns, 1 Year [Percent] 23.93%
Average Annual Total Returns, 5 Years [Percent] 16.70%
Average Annual Total Returns, 10 Years [Percent] 12.73%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyINasdaq100IndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Nasdaq-100® Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.43%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.43%
Average Annual Total Returns, 1 Year [Percent] 54.49%
Average Annual Total Returns, 5 Years [Percent] 22.00%
Average Annual Total Returns, 10 Years [Percent] 17.26%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIStockIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Stock Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.23%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.23%
Average Annual Total Returns, 1 Year [Percent] 25.80%
Average Annual Total Returns, 5 Years [Percent] 15.32%
Average Annual Total Returns, 10 Years [Percent] 11.67%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyISystematicCoreFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Core Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs
Current Expenses [Percent] 0.64%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.64%
Average Annual Total Returns, 1 Year [Percent] 24.03%
Average Annual Total Returns, 5 Years [Percent] 15.42%
Average Annual Total Returns, 10 Years [Percent] 11.47%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyISystematicValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 11.19%
Average Annual Total Returns, 5 Years [Percent] 10.31%
Average Annual Total Returns, 10 Years [Percent] 7.52%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIUSSociallyResponsibleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] U.S. Socially Responsible Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.36%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.36%
Average Annual Total Returns, 1 Year [Percent] 21.70%
Average Annual Total Returns, 5 Years [Percent] 14.36%
Average Annual Total Returns, 10 Years [Percent] 11.20%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VanguardWindsorIIFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Windsor II Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Aristotle Capital Management, LLC; Hotchkis and Wiley Capital Management, LLC; Lazard Asset Management LLC; and Sanders Capital, LLC
Current Expenses [Percent] 0.34%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.59%
Average Annual Total Returns, 1 Year [Percent] 20.98%
Average Annual Total Returns, 5 Years [Percent] 14.87%
Average Annual Total Returns, 10 Years [Percent] 10.05%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | ArielAppreciationFundInvestorMember  
Prospectus:  
Portfolio Company Adviser [Text Block] Ariel Investments, LLC
Current Expenses [Percent] 1.13%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.13%
Average Annual Total Returns, 1 Year [Percent] 10.62%
Average Annual Total Returns, 5 Years [Percent] 10.28%
Average Annual Total Returns, 10 Years [Percent] 6.32%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIMidCapStrategicGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Strategic Growth Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Janus Henderson Investors US LLC and Voya Investment Management Co. LLC
Current Expenses [Percent] 0.74%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.74%
Average Annual Total Returns, 1 Year [Percent] 22.41%
Average Annual Total Returns, 5 Years [Percent] 15.16%
Average Annual Total Returns, 10 Years [Percent] 10.39%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIMidCapValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Value Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Boston Partners Global Investors, Inc. d/b/a Boston Partners and Wellington Management
Current Expenses [Percent] 0.82%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.82%
Average Annual Total Returns, 1 Year [Percent] 16.98%
Average Annual Total Returns, 5 Years [Percent] 13.01%
Average Annual Total Returns, 10 Years [Percent] 7.97%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIMidCapIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Index Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.35%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.35%
Average Annual Total Returns, 1 Year [Percent] 15.94%
Average Annual Total Returns, 5 Years [Percent] 12.21%
Average Annual Total Returns, 10 Years [Percent] 8.92%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | ArielFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Ariel Appreciation Fund3 – Investor ClassAriel Fund3 – Investor Class
Portfolio Company Adviser [Text Block] Ariel
Current Expenses [Percent] 0.99%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.99%
Average Annual Total Returns, 1 Year [Percent] 15.81%
Average Annual Total Returns, 5 Years [Percent] 10.95%
Average Annual Total Returns, 10 Years [Percent] 7.54%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyISmallCapGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] American Century Investment Management, Inc. and T. Rowe Price Associates, Inc.
Current Expenses [Percent] 0.87%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.87%
Average Annual Total Returns, 1 Year [Percent] 14.28%
Average Annual Total Returns, 5 Years [Percent] 10.05%
Average Annual Total Returns, 10 Years [Percent] 8.78%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyISmallCapIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.37%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.37%
Average Annual Total Returns, 1 Year [Percent] 16.35%
Average Annual Total Returns, 5 Years [Percent] 9.57%
Average Annual Total Returns, 10 Years [Percent] 6.88%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyISmallCapSpecialValuesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Special Values Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Allspring Global Investments, LLC
Current Expenses [Percent] 1.07%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.07%
Average Annual Total Returns, 1 Year [Percent] 19.14%
Average Annual Total Returns, 5 Years [Percent] 11.68%
Average Annual Total Returns, 10 Years [Percent] 8.30%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyISmallCapValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 12.79%
Average Annual Total Returns, 5 Years [Percent] 9.98%
Average Annual Total Returns, 10 Years [Percent] 6.23%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIGlobalStrategyFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Global Strategy Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Franklin Advisers, Inc. and Brandywine Global Investment Management LLC
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 15.60%
Average Annual Total Returns, 5 Years [Percent] 3.53%
Average Annual Total Returns, 10 Years [Percent] 2.38%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIInternationalSociallyResponsibleMember  
Prospectus:  
Portfolio Company Name [Text Block] International Socially Responsible Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 18.35%
Average Annual Total Returns, 5 Years [Percent] 8.68%
Average Annual Total Returns, 10 Years [Percent] 6.96%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIEmergingEconomiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Emerging Economies Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock
Current Expenses [Percent] 0.95%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.95%
Average Annual Total Returns, 1 Year [Percent] 12.11%
Average Annual Total Returns, 5 Years [Percent] 3.30%
Average Annual Total Returns, 10 Years [Percent] 1.89%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIInternationalEquitiesIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Equities Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.43%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.43%
Average Annual Total Returns, 1 Year [Percent] 17.25%
Average Annual Total Returns, 5 Years [Percent] 7.70%
Average Annual Total Returns, 10 Years [Percent] 3.95%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIInternationalGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] MSIM and Morgan Stanley Investment Management Co.
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 17.66%
Average Annual Total Returns, 5 Years [Percent] 9.54%
Average Annual Total Returns, 10 Years [Percent] 5.62%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIInternationalOpportunitiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Opportunities Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Invesco Advisers, Inc. and Wellington Management
Current Expenses [Percent] 1.00%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.00%
Average Annual Total Returns, 1 Year [Percent] 14.28%
Average Annual Total Returns, 5 Years [Percent] 6.22%
Average Annual Total Returns, 10 Years [Percent] 4.75%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIInternationalValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs and Columbia Management Investment Advisers, LLC
Current Expenses [Percent] 0.78%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.78%
Average Annual Total Returns, 1 Year [Percent] 14.38%
Average Annual Total Returns, 5 Years [Percent] 5.91%
Average Annual Total Returns, 10 Years [Percent] 1.64%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIGlobalRealEstateFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Global Real Estate Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Duff & Phelps Investment Management Co. and MFS
Current Expenses [Percent] 0.91%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.91%
Average Annual Total Returns, 1 Year [Percent] 10.01%
Average Annual Total Returns, 5 Years [Percent] 3.15%
Average Annual Total Returns, 10 Years [Percent] 3.66%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | InvescoBalancedRiskCommodityStrategyFundR5Member  
Prospectus:  
Portfolio Company Name [Text Block] Invesco Balanced-Risk Commodity Strategy Fund3, 5Class R5
Portfolio Company Adviser [Text Block] Invesco Advisers, Inc.
Current Expenses [Percent] 1.15%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.15%
Average Annual Total Returns, 1 Year [Percent] 3.13%
Average Annual Total Returns, 5 Years [Percent] 7.08%
Average Annual Total Returns, 10 Years [Percent] 0.24%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIScienceTechnologyFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Science & Technology Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock and Voya
Current Expenses [Percent] 0.91%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.91%
Average Annual Total Returns, 1 Year [Percent] 55.79%
Average Annual Total Returns, 5 Years [Percent] 18.42%
Average Annual Total Returns, 10 Years [Percent] 15.69%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIAggressiveGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Aggressive Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 17.04%
Average Annual Total Returns, 5 Years [Percent] 9.69%
Average Annual Total Returns, 10 Years [Percent] 6.61%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIAssetAllocationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Asset Allocation Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 18.34%
Average Annual Total Returns, 5 Years [Percent] 8.27%
Average Annual Total Returns, 10 Years [Percent] 5.61%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIConservativeGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Conservative Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.62%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.62%
Average Annual Total Returns, 1 Year [Percent] 11.24%
Average Annual Total Returns, 5 Years [Percent] 5.86%
Average Annual Total Returns, 10 Years [Percent] 4.15%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIDynamicAllocationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Dynamic Allocation Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] AllianceBernstein L.P. and SunAmerica
Current Expenses [Percent] 0.84%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.84%
Average Annual Total Returns, 1 Year [Percent] 13.32%
Average Annual Total Returns, 5 Years [Percent] 6.93%
Average Annual Total Returns, 10 Years [Percent] 5.02%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIModerateGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Moderate Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 14.09%
Average Annual Total Returns, 5 Years [Percent] 8.46%
Average Annual Total Returns, 10 Years [Percent] 5.91%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | TRowePriceRetirement2015AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.75%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.75%
Average Annual Total Returns, 1 Year [Percent] 12.71%
Average Annual Total Returns, 5 Years [Percent] 6.74%
Average Annual Total Returns, 10 Years [Percent] 5.28%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | TRowePriceRetirement2020AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.77%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.77%
Average Annual Total Returns, 1 Year [Percent] 13.17%
Average Annual Total Returns, 5 Years [Percent] 7.38%
Average Annual Total Returns, 10 Years [Percent] 5.78%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | TRowePriceRetirement2025AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.79%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.79%
Average Annual Total Returns, 1 Year [Percent] 14.33%
Average Annual Total Returns, 5 Years [Percent] 8.17%
Average Annual Total Returns, 10 Years [Percent] 6.33%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | TRowePriceRetirement2030AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 16.02%
Average Annual Total Returns, 5 Years [Percent] 8.98%
Average Annual Total Returns, 10 Years [Percent] 6.85%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | TRowePriceRetirement2035AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.84%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.84%
Average Annual Total Returns, 1 Year [Percent] 17.83%
Average Annual Total Returns, 5 Years [Percent] 9.77%
Average Annual Total Returns, 10 Years [Percent] 7.31%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | TRowePriceRetirement2040AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.85%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.85%
Average Annual Total Returns, 1 Year [Percent] 19.27%
Average Annual Total Returns, 5 Years [Percent] 10.41%
Average Annual Total Returns, 10 Years [Percent] 7.69%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | TRowePriceRetirement2045AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.86%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.86%
Average Annual Total Returns, 1 Year [Percent] 20.17%
Average Annual Total Returns, 5 Years [Percent] 10.90%
Average Annual Total Returns, 10 Years [Percent] 7.94%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | TRowePriceRetirement2050AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.88%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.88%
Average Annual Total Returns, 1 Year [Percent] 20.49%
Average Annual Total Returns, 5 Years [Percent] 10.98%
Average Annual Total Returns, 10 Years [Percent] 7.98%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | TRowePriceRetirement2055AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.89%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.89%
Average Annual Total Returns, 1 Year [Percent] 20.48%
Average Annual Total Returns, 5 Years [Percent] 10.93%
Average Annual Total Returns, 10 Years [Percent] 7.95%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | TRowePriceRetirement2060AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.89%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.89%
Average Annual Total Returns, 1 Year [Percent] 20.44%
Average Annual Total Returns, 5 Years [Percent] 10.93%
Average Annual Total Returns, 10 Years [Percent] 7.72%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VanguardLifeStrategyConservativeGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Conservative Growth Fund3, 4Investor Shares
Portfolio Company Adviser [Text Block] The Vanguard Group, Inc.
Current Expenses [Percent] 0.12%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.37%
Average Annual Total Returns, 1 Year [Percent] 12.48%
Average Annual Total Returns, 5 Years [Percent] 5.52%
Average Annual Total Returns, 10 Years [Percent] 4.77%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VanguardLifeStrategyGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.14%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.39%
Average Annual Total Returns, 1 Year [Percent] 18.55%
Average Annual Total Returns, 5 Years [Percent] 9.83%
Average Annual Total Returns, 10 Years [Percent] 7.36%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VanguardLifeStrategyModerateGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Moderate Growth Fund3, 4Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.13%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.38%
Average Annual Total Returns, 1 Year [Percent] 15.49%
Average Annual Total Returns, 5 Years [Percent] 7.68%
Average Annual Total Returns, 10 Years [Percent] 6.09%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VanguardWellingtonFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Wellington Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Wellington Management
Current Expenses [Percent] 0.26%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.50%
Average Annual Total Returns, 1 Year [Percent] 14.33%
Average Annual Total Returns, 5 Years [Percent] 9.58%
Average Annual Total Returns, 10 Years [Percent] 7.88%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyICoreBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Core Bond Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] PineBridge Investments LLC and JPMIM
Current Expenses [Percent] 0.48%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.48%
Average Annual Total Returns, 1 Year [Percent] 6.51%
Average Annual Total Returns, 5 Years [Percent] 1.70%
Average Annual Total Returns, 10 Years [Percent] 1.96%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | GoldmanSachsVITGovernmentMoneyMarketFundInstitutionalMember  
Prospectus:  
Portfolio Company Name [Text Block] Goldman Sachs VIT Government Money Market Fund5Institutional Shares
Portfolio Company Adviser [Text Block] Goldman Sachs
Current Expenses [Percent] 0.18%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.18%
Average Annual Total Returns, 1 Year [Percent] 5.05%
Average Annual Total Returns, 5 Years [Percent] 1.82%
Average Annual Total Returns, 10 Years [Percent] 1.19%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIGovernmentSecuritiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Government Securities Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.60%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.60%
Average Annual Total Returns, 1 Year [Percent] 4.21%
Average Annual Total Returns, 5 Years [Percent] 0.53%
Average Annual Total Returns, 10 Years [Percent] 1.27%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIHighYieldBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] High Yield Bond Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.68%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.68%
Average Annual Total Returns, 1 Year [Percent] 13.14%
Average Annual Total Returns, 5 Years [Percent] 5.28%
Average Annual Total Returns, 10 Years [Percent] 4.22%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIInflationProtectedFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Inflation Protected Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.59%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.59%
Average Annual Total Returns, 1 Year [Percent] 4.09%
Average Annual Total Returns, 5 Years [Percent] 3.05%
Average Annual Total Returns, 10 Years [Percent] 2.13%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VALICCompanyIInternationalGovernmentBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Government Bond Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] PineBridge
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 5.98%
Average Annual Total Returns, 5 Years [Percent] 0.04%
Average Annual Total Returns, 10 Years [Percent] 0.65%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VanguardLongTermInvestmentGradeFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Long-Term Investment-Grade Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Wellington Management and Vanguard
Current Expenses [Percent] 0.21%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.21%
Average Annual Total Returns, 1 Year [Percent] 9.27%
Average Annual Total Returns, 5 Years [Percent] 1.96%
Average Annual Total Returns, 10 Years [Percent] 3.75%
New Portfolio Director Fixed and Variable Annuity 1.40 - 12.40 | VanguardLongTermTreasuryFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Long-Term Treasury Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.20%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.20%
Average Annual Total Returns, 1 Year [Percent] 3.31%
Average Annual Total Returns, 5 Years [Percent] 1.32%
Average Annual Total Returns, 10 Years [Percent] 2.21%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20  
Prospectus:  
Item 17. Portfolio Companies (N-4) [Text Block] The following table replaces the similar table in its entirety in Appendix A:
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic
Large-Cap
Equity
American Beacon Man Large Cap
Growth Fund3, 5 Investor Class
Adviser: American Beacon Advisors, Inc.
Sub-Adviser: Numeric Investors LLC
1.09%
None
1.09%
31.01%
15.58%
12.22%*
Systematic Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs Asset Management, L.P.
and Wellington Management Company LLP
0.65%
None
0.65%
44.81%
12.46%
11.81%
Capital Appreciation Fund2
Adviser: VALIC
Sub-Adviser: Columbia Management Investment Advisers,
LLC
0.77%
None
0.77%
41.16%
16.74%
12.26%
Dividend Value Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock Investment Management, LLC
and ClearBridge Investments, LLC
0.68%
None
0.68%
12.56%
9.97%
8.15%
Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and SunAmerica Asset
Management, LLC (an affiliate of VALIC due to common
ownership)
0.62%
None
0.62%
46.94%
16.27%
12.40%
Large Capital Growth Fund2
Adviser: VALIC
Sub-Adviser: Massachusetts Financial Services Company
0.70%
None
0.70%
23.93%
16.70%
12.73%
Nasdaq-100® Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
54.49%
22.00%
17.26%
Stock Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.23%
None
0.23%
25.80%
15.32%
11.67%
Systematic Core Fund2, 5
Adviser: VALIC
Sub-Adviser: Goldman Sachs
0.64%
None
0.64%
24.03%
15.42%
11.47%
Systematic Value Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.65%
None
0.65%
11.19%
10.31%
7.52%
U.S. Socially Responsible Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.36%
None
0.36%
21.70%
14.36%
11.20%
Vanguard Windsor II Fund3 – Investor Shares
Advisers: Aristotle Capital Management, LLC; Hotchkis and
Wiley Capital Management, LLC; Lazard Asset
Management LLC; and Sanders Capital, LLC
0.34%
0.25%
0.59%
20.98%
14.87%
10.05%
Domestic Mid-
Cap Equity
Ariel Appreciation Fund3 – Investor Class
Adviser: Ariel Investments, LLC
1.13%
None
1.13%
10.62%
10.28%
6.32%
Mid Cap Strategic Growth Fund2
Adviser: VALIC
Sub-Advisers: Janus Henderson Investors US LLC and
Voya Investment Management Co. LLC
0.74%
None
0.74%
22.41%
15.16%
10.39%
Mid Cap Value Fund2
Adviser: VALIC
Sub-Advisers: Boston Partners Global Investors, Inc. d/b/a
Boston Partners and Wellington Management
0.82%
None
0.82%
16.98%
13.01%
7.97%
Mid Cap Index Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.35%
None
0.35%
15.94%
12.21%
8.92%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic Small-
Cap Equity
Ariel Fund3 – Investor Class
Adviser: Ariel
0.99%
None
0.99%
15.81%
10.95%
7.54%
Small Cap Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: American Century Investment Management,
Inc. and T. Rowe Price Associates, Inc.
0.87%
None
0.87%
14.28%
10.05%
8.78%
Small Cap Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.37%
None
0.37%
16.35%
9.57%
6.88%
Small Cap Special Values Fund2
Adviser: VALIC
Sub-Adviser: Allspring Global Investments, LLC
1.07%
None
1.07%
19.14%
11.68%
8.30%
Small Cap Value Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.81%
None
0.81%
12.79%
9.98%
6.23%
Global Equity
(International
and Domestic)
Global Strategy Fund2, 5
Adviser: VALIC
Sub-Advisers: Franklin Advisers, Inc. and Brandywine
Global Investment Management LLC
0.65%
None
0.65%
15.60%
3.53%
2.38%
International Socially Responsible Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.58%
None
0.58%
18.35%
8.68%
6.96%
International
Equity
Emerging Economies Fund2
Adviser: VALIC
Sub-Adviser: BlackRock
0.95%
None
0.95%
12.11%
3.30%
1.89%
International Equities Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
17.25%
7.70%
3.95%
International Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: MSIM and Morgan Stanley Investment
Management Co.
0.81%
None
0.81%
17.66%
9.54%
5.62%
International Opportunities Fund2, 5
Adviser: VALIC
Sub-Advisers: Invesco Advisers, Inc. and Wellington
Management
1.00%
None
1.00%
14.28%
6.22%
4.75%
International Value Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs and Columbia Management
Investment Advisers, LLC
0.78%
None
0.78%
14.38%
5.91%
1.64%
Specialty
Global Real Estate Fund2
Adviser: VALIC
Sub-Advisers: Duff & Phelps Investment Management Co.
and MFS
0.91%
None
0.91%
10.01%
3.15%
3.66%
Invesco Balanced-Risk Commodity Strategy Fund3, 5
Class R5
Adviser: Invesco Advisers, Inc.
1.15%
None
1.15%
-3.13%
7.08%
0.24%
Science & Technology Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and Voya
0.91%
None
0.91%
55.79%
18.42%
15.69%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Hybrid
(Equity and
Fixed Income)
Aggressive Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
17.04%
9.69%
6.61%
Asset Allocation Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.65%
None
0.65%
18.34%
8.27%
5.61%
Conservative Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.62%
None
0.62%
11.24%
5.86%
4.15%
Dynamic Allocation Fund2, 5
Adviser: VALIC
Sub-Advisers: AllianceBernstein L.P. and SunAmerica
0.84%
None
0.84%
13.32%
6.93%
5.02%
Moderate Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
14.09%
8.46%
5.91%
T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.75%
None
0.75%
12.71%
6.74%
5.28%
T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.77%
None
0.77%
13.17%
7.38%
5.78%
T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.79%
None
0.79%
14.33%
8.17%
6.33%
T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.81%
None
0.81%
16.02%
8.98%
6.85%
T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.84%
None
0.84%
17.83%
9.77%
7.31%
T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.85%
None
0.85%
19.27%
10.41%
7.69%
T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.86%
None
0.86%
20.17%
10.90%
7.94%
T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.88%
None
0.88%
20.49%
10.98%
7.98%
T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.48%
10.93%
7.95%
T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.44%
10.93%
7.72%*
Vanguard LifeStrategy Conservative Growth Fund3, 4
Investor Shares
Adviser: The Vanguard Group, Inc.
0.12%
0.25%
0.37%
12.48%
5.52%
4.77%
Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Adviser: Vanguard
0.14%
0.25%
0.39%
18.55%
9.83%
7.36%
Vanguard LifeStrategy Moderate Growth Fund3, 4
Investor Shares
Adviser: Vanguard
0.13%
0.25%
0.38%
15.49%
7.68%
6.09%
Vanguard Wellington Fund3 – Investor Shares
Adviser: Wellington Management
0.26%
0.25%
0.50%
14.33%
9.58%
7.88%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Fixed Income
Core Bond Fund2
Adviser: VALIC
Sub-Advisers: PineBridge Investments LLC and JPMIM
0.48%
None
0.48%
6.51%
1.70%
1.96%
Goldman Sachs VIT Government Money Market Fund5
Institutional Shares
Adviser: Goldman Sachs
0.18%
None
0.18%
5.05%
1.82%
1.19%
Government Securities Fund2
Adviser: VALIC
Sub-Adviser: JPMIM
0.60%
None
0.60%
4.21%
0.53%
1.27%
High Yield Bond Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.68%
None
0.68%
13.14%
5.28%
4.22%
Inflation Protected Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.59%
None
0.59%
4.09%
3.05%
2.13%
International Government Bond Fund2
Adviser: VALIC
Sub-Adviser: PineBridge
0.81%
None
0.81%
5.98%
0.04%
0.65%
Vanguard Long-Term Investment-Grade Fund3 – Investor
Shares
Advisers: Wellington Management and Vanguard
0.21%
None
0.21%
9.27%
1.96%
3.75%
Vanguard Long-Term Treasury Fund3 – Investor Shares
Adviser: Vanguard
0.20%
None
0.20%
3.31%
-1.32%
2.21%
Portfolio Companies [Table Text Block]
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic
Large-Cap
Equity
American Beacon Man Large Cap
Growth Fund3, 5 Investor Class
Adviser: American Beacon Advisors, Inc.
Sub-Adviser: Numeric Investors LLC
1.09%
None
1.09%
31.01%
15.58%
12.22%*
Systematic Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs Asset Management, L.P.
and Wellington Management Company LLP
0.65%
None
0.65%
44.81%
12.46%
11.81%
Capital Appreciation Fund2
Adviser: VALIC
Sub-Adviser: Columbia Management Investment Advisers,
LLC
0.77%
None
0.77%
41.16%
16.74%
12.26%
Dividend Value Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock Investment Management, LLC
and ClearBridge Investments, LLC
0.68%
None
0.68%
12.56%
9.97%
8.15%
Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and SunAmerica Asset
Management, LLC (an affiliate of VALIC due to common
ownership)
0.62%
None
0.62%
46.94%
16.27%
12.40%
Large Capital Growth Fund2
Adviser: VALIC
Sub-Adviser: Massachusetts Financial Services Company
0.70%
None
0.70%
23.93%
16.70%
12.73%
Nasdaq-100® Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
54.49%
22.00%
17.26%
Stock Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.23%
None
0.23%
25.80%
15.32%
11.67%
Systematic Core Fund2, 5
Adviser: VALIC
Sub-Adviser: Goldman Sachs
0.64%
None
0.64%
24.03%
15.42%
11.47%
Systematic Value Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.65%
None
0.65%
11.19%
10.31%
7.52%
U.S. Socially Responsible Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.36%
None
0.36%
21.70%
14.36%
11.20%
Vanguard Windsor II Fund3 – Investor Shares
Advisers: Aristotle Capital Management, LLC; Hotchkis and
Wiley Capital Management, LLC; Lazard Asset
Management LLC; and Sanders Capital, LLC
0.34%
0.25%
0.59%
20.98%
14.87%
10.05%
Domestic Mid-
Cap Equity
Ariel Appreciation Fund3 – Investor Class
Adviser: Ariel Investments, LLC
1.13%
None
1.13%
10.62%
10.28%
6.32%
Mid Cap Strategic Growth Fund2
Adviser: VALIC
Sub-Advisers: Janus Henderson Investors US LLC and
Voya Investment Management Co. LLC
0.74%
None
0.74%
22.41%
15.16%
10.39%
Mid Cap Value Fund2
Adviser: VALIC
Sub-Advisers: Boston Partners Global Investors, Inc. d/b/a
Boston Partners and Wellington Management
0.82%
None
0.82%
16.98%
13.01%
7.97%
Mid Cap Index Fund2
Adviser: VALIC
Sub-Adviser: SunAmerica
0.35%
None
0.35%
15.94%
12.21%
8.92%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Domestic Small-
Cap Equity
Ariel Fund3 – Investor Class
Adviser: Ariel
0.99%
None
0.99%
15.81%
10.95%
7.54%
Small Cap Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: American Century Investment Management,
Inc. and T. Rowe Price Associates, Inc.
0.87%
None
0.87%
14.28%
10.05%
8.78%
Small Cap Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.37%
None
0.37%
16.35%
9.57%
6.88%
Small Cap Special Values Fund2
Adviser: VALIC
Sub-Adviser: Allspring Global Investments, LLC
1.07%
None
1.07%
19.14%
11.68%
8.30%
Small Cap Value Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.81%
None
0.81%
12.79%
9.98%
6.23%
Global Equity
(International
and Domestic)
Global Strategy Fund2, 5
Adviser: VALIC
Sub-Advisers: Franklin Advisers, Inc. and Brandywine
Global Investment Management LLC
0.65%
None
0.65%
15.60%
3.53%
2.38%
International Socially Responsible Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.58%
None
0.58%
18.35%
8.68%
6.96%
International
Equity
Emerging Economies Fund2
Adviser: VALIC
Sub-Adviser: BlackRock
0.95%
None
0.95%
12.11%
3.30%
1.89%
International Equities Index Fund2, 5
Adviser: VALIC
Sub-Adviser: SunAmerica
0.43%
None
0.43%
17.25%
7.70%
3.95%
International Growth Fund2, 5
Adviser: VALIC
Sub-Advisers: MSIM and Morgan Stanley Investment
Management Co.
0.81%
None
0.81%
17.66%
9.54%
5.62%
International Opportunities Fund2, 5
Adviser: VALIC
Sub-Advisers: Invesco Advisers, Inc. and Wellington
Management
1.00%
None
1.00%
14.28%
6.22%
4.75%
International Value Fund2, 5
Adviser: VALIC
Sub-Advisers: Goldman Sachs and Columbia Management
Investment Advisers, LLC
0.78%
None
0.78%
14.38%
5.91%
1.64%
Specialty
Global Real Estate Fund2
Adviser: VALIC
Sub-Advisers: Duff & Phelps Investment Management Co.
and MFS
0.91%
None
0.91%
10.01%
3.15%
3.66%
Invesco Balanced-Risk Commodity Strategy Fund3, 5
Class R5
Adviser: Invesco Advisers, Inc.
1.15%
None
1.15%
-3.13%
7.08%
0.24%
Science & Technology Fund2, 5
Adviser: VALIC
Sub-Advisers: BlackRock and Voya
0.91%
None
0.91%
55.79%
18.42%
15.69%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Hybrid
(Equity and
Fixed Income)
Aggressive Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
17.04%
9.69%
6.61%
Asset Allocation Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.65%
None
0.65%
18.34%
8.27%
5.61%
Conservative Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.62%
None
0.62%
11.24%
5.86%
4.15%
Dynamic Allocation Fund2, 5
Adviser: VALIC
Sub-Advisers: AllianceBernstein L.P. and SunAmerica
0.84%
None
0.84%
13.32%
6.93%
5.02%
Moderate Growth Lifestyle Fund2, 5
Adviser: VALIC
Sub-Adviser: JPMIM
0.58%
None
0.58%
14.09%
8.46%
5.91%
T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.75%
None
0.75%
12.71%
6.74%
5.28%
T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.77%
None
0.77%
13.17%
7.38%
5.78%
T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.79%
None
0.79%
14.33%
8.17%
6.33%
T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.81%
None
0.81%
16.02%
8.98%
6.85%
T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.84%
None
0.84%
17.83%
9.77%
7.31%
T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.85%
None
0.85%
19.27%
10.41%
7.69%
T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.86%
None
0.86%
20.17%
10.90%
7.94%
T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.88%
None
0.88%
20.49%
10.98%
7.98%
T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.48%
10.93%
7.95%
T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Adviser: T. Rowe Price
0.89%
None
0.89%
20.44%
10.93%
7.72%*
Vanguard LifeStrategy Conservative Growth Fund3, 4
Investor Shares
Adviser: The Vanguard Group, Inc.
0.12%
0.25%
0.37%
12.48%
5.52%
4.77%
Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Adviser: Vanguard
0.14%
0.25%
0.39%
18.55%
9.83%
7.36%
Vanguard LifeStrategy Moderate Growth Fund3, 4
Investor Shares
Adviser: Vanguard
0.13%
0.25%
0.38%
15.49%
7.68%
6.09%
Vanguard Wellington Fund3 – Investor Shares
Adviser: Wellington Management
0.26%
0.25%
0.50%
14.33%
9.58%
7.88%
Type
Fund – Share Class
Adviser/Sub-Adviser1
Current
Expenses
Platform
Charge6
Current
Expenses
+
Platform
Charge
Average Annual Total Returns
(as of Dec. 31, 2023)
1 Year
5 Year
10 Year
(or life of fund)
Fixed Income
Core Bond Fund2
Adviser: VALIC
Sub-Advisers: PineBridge Investments LLC and JPMIM
0.48%
None
0.48%
6.51%
1.70%
1.96%
Goldman Sachs VIT Government Money Market Fund5
Institutional Shares
Adviser: Goldman Sachs
0.18%
None
0.18%
5.05%
1.82%
1.19%
Government Securities Fund2
Adviser: VALIC
Sub-Adviser: JPMIM
0.60%
None
0.60%
4.21%
0.53%
1.27%
High Yield Bond Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.68%
None
0.68%
13.14%
5.28%
4.22%
Inflation Protected Fund2, 5
Adviser: VALIC
Sub-Adviser: Wellington Management
0.59%
None
0.59%
4.09%
3.05%
2.13%
International Government Bond Fund2
Adviser: VALIC
Sub-Adviser: PineBridge
0.81%
None
0.81%
5.98%
0.04%
0.65%
Vanguard Long-Term Investment-Grade Fund3 – Investor
Shares
Advisers: Wellington Management and Vanguard
0.21%
None
0.21%
9.27%
1.96%
3.75%
Vanguard Long-Term Treasury Fund3 – Investor Shares
Adviser: Vanguard
0.20%
None
0.20%
3.31%
-1.32%
2.21%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | AmericanBeaconManLargeCapGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] American Beacon Man Large CapGrowth Fund3, 5 Investor Class
Portfolio Company Adviser [Text Block] American Beacon Advisors, Inc.
Portfolio Company Subadviser [Text Block] Numeric Investors LLC
Current Expenses [Percent] 1.09%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.09%
Average Annual Total Returns, 1 Year [Percent] 31.01%
Average Annual Total Returns, 5 Years [Percent] 15.58%
Average Annual Total Returns, 10 Years [Percent] 12.22%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyISystematicGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs Asset Management, L.P. and Wellington Management Company LLP
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 44.81%
Average Annual Total Returns, 5 Years [Percent] 12.46%
Average Annual Total Returns, 10 Years [Percent] 11.81%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyICapitalAppreciationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Capital Appreciation Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Columbia Management Investment Advisers, LLC
Current Expenses [Percent] 0.77%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.77%
Average Annual Total Returns, 1 Year [Percent] 41.16%
Average Annual Total Returns, 5 Years [Percent] 16.74%
Average Annual Total Returns, 10 Years [Percent] 12.26%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIDividendValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Dividend Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock Investment Management, LLC and ClearBridge Investments, LLC
Current Expenses [Percent] 0.68%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.68%
Average Annual Total Returns, 1 Year [Percent] 12.56%
Average Annual Total Returns, 5 Years [Percent] 9.97%
Average Annual Total Returns, 10 Years [Percent] 8.15%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock and SunAmerica Asset Management, LLC (an affiliate of VALIC due to common ownership)
Current Expenses [Percent] 0.62%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.62%
Average Annual Total Returns, 1 Year [Percent] 46.94%
Average Annual Total Returns, 5 Years [Percent] 16.27%
Average Annual Total Returns, 10 Years [Percent] 12.40%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyILargeCapitalGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Large Capital Growth Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Massachusetts Financial Services Company
Current Expenses [Percent] 0.70%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.70%
Average Annual Total Returns, 1 Year [Percent] 23.93%
Average Annual Total Returns, 5 Years [Percent] 16.70%
Average Annual Total Returns, 10 Years [Percent] 12.73%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyINasdaq100IndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Nasdaq-100® Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.43%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.43%
Average Annual Total Returns, 1 Year [Percent] 54.49%
Average Annual Total Returns, 5 Years [Percent] 22.00%
Average Annual Total Returns, 10 Years [Percent] 17.26%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIStockIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Stock Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.23%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.23%
Average Annual Total Returns, 1 Year [Percent] 25.80%
Average Annual Total Returns, 5 Years [Percent] 15.32%
Average Annual Total Returns, 10 Years [Percent] 11.67%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyISystematicCoreFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Core Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs
Current Expenses [Percent] 0.64%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.64%
Average Annual Total Returns, 1 Year [Percent] 24.03%
Average Annual Total Returns, 5 Years [Percent] 15.42%
Average Annual Total Returns, 10 Years [Percent] 11.47%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyISystematicValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Systematic Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 11.19%
Average Annual Total Returns, 5 Years [Percent] 10.31%
Average Annual Total Returns, 10 Years [Percent] 7.52%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIUSSociallyResponsibleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] U.S. Socially Responsible Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.36%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.36%
Average Annual Total Returns, 1 Year [Percent] 21.70%
Average Annual Total Returns, 5 Years [Percent] 14.36%
Average Annual Total Returns, 10 Years [Percent] 11.20%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VanguardWindsorIIFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Windsor II Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Aristotle Capital Management, LLC; Hotchkis and Wiley Capital Management, LLC; Lazard Asset Management LLC; and Sanders Capital, LLC
Current Expenses [Percent] 0.34%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.59%
Average Annual Total Returns, 1 Year [Percent] 20.98%
Average Annual Total Returns, 5 Years [Percent] 14.87%
Average Annual Total Returns, 10 Years [Percent] 10.05%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | ArielAppreciationFundInvestorMember  
Prospectus:  
Portfolio Company Adviser [Text Block] Ariel Investments, LLC
Current Expenses [Percent] 1.13%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.13%
Average Annual Total Returns, 1 Year [Percent] 10.62%
Average Annual Total Returns, 5 Years [Percent] 10.28%
Average Annual Total Returns, 10 Years [Percent] 6.32%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIMidCapStrategicGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Strategic Growth Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Janus Henderson Investors US LLC and Voya Investment Management Co. LLC
Current Expenses [Percent] 0.74%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.74%
Average Annual Total Returns, 1 Year [Percent] 22.41%
Average Annual Total Returns, 5 Years [Percent] 15.16%
Average Annual Total Returns, 10 Years [Percent] 10.39%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIMidCapValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Value Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Boston Partners Global Investors, Inc. d/b/a Boston Partners and Wellington Management
Current Expenses [Percent] 0.82%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.82%
Average Annual Total Returns, 1 Year [Percent] 16.98%
Average Annual Total Returns, 5 Years [Percent] 13.01%
Average Annual Total Returns, 10 Years [Percent] 7.97%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIMidCapIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Mid Cap Index Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.35%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.35%
Average Annual Total Returns, 1 Year [Percent] 15.94%
Average Annual Total Returns, 5 Years [Percent] 12.21%
Average Annual Total Returns, 10 Years [Percent] 8.92%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | ArielFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Ariel Appreciation Fund3 – Investor ClassAriel Fund3 – Investor Class
Portfolio Company Adviser [Text Block] Ariel
Current Expenses [Percent] 0.99%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.99%
Average Annual Total Returns, 1 Year [Percent] 15.81%
Average Annual Total Returns, 5 Years [Percent] 10.95%
Average Annual Total Returns, 10 Years [Percent] 7.54%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyISmallCapGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] American Century Investment Management, Inc. and T. Rowe Price Associates, Inc.
Current Expenses [Percent] 0.87%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.87%
Average Annual Total Returns, 1 Year [Percent] 14.28%
Average Annual Total Returns, 5 Years [Percent] 10.05%
Average Annual Total Returns, 10 Years [Percent] 8.78%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyISmallCapIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.37%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.37%
Average Annual Total Returns, 1 Year [Percent] 16.35%
Average Annual Total Returns, 5 Years [Percent] 9.57%
Average Annual Total Returns, 10 Years [Percent] 6.88%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyISmallCapSpecialValuesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Special Values Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Allspring Global Investments, LLC
Current Expenses [Percent] 1.07%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.07%
Average Annual Total Returns, 1 Year [Percent] 19.14%
Average Annual Total Returns, 5 Years [Percent] 11.68%
Average Annual Total Returns, 10 Years [Percent] 8.30%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyISmallCapValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Small Cap Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 12.79%
Average Annual Total Returns, 5 Years [Percent] 9.98%
Average Annual Total Returns, 10 Years [Percent] 6.23%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIGlobalStrategyFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Global Strategy Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Franklin Advisers, Inc. and Brandywine Global Investment Management LLC
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 15.60%
Average Annual Total Returns, 5 Years [Percent] 3.53%
Average Annual Total Returns, 10 Years [Percent] 2.38%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIInternationalSociallyResponsibleMember  
Prospectus:  
Portfolio Company Name [Text Block] International Socially Responsible Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 18.35%
Average Annual Total Returns, 5 Years [Percent] 8.68%
Average Annual Total Returns, 10 Years [Percent] 6.96%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIEmergingEconomiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Emerging Economies Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock
Current Expenses [Percent] 0.95%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.95%
Average Annual Total Returns, 1 Year [Percent] 12.11%
Average Annual Total Returns, 5 Years [Percent] 3.30%
Average Annual Total Returns, 10 Years [Percent] 1.89%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIInternationalEquitiesIndexFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Equities Index Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] SunAmerica
Current Expenses [Percent] 0.43%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.43%
Average Annual Total Returns, 1 Year [Percent] 17.25%
Average Annual Total Returns, 5 Years [Percent] 7.70%
Average Annual Total Returns, 10 Years [Percent] 3.95%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIInternationalGrowthFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Growth Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] MSIM and Morgan Stanley Investment Management Co.
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 17.66%
Average Annual Total Returns, 5 Years [Percent] 9.54%
Average Annual Total Returns, 10 Years [Percent] 5.62%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIInternationalOpportunitiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Opportunities Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Invesco Advisers, Inc. and Wellington Management
Current Expenses [Percent] 1.00%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.00%
Average Annual Total Returns, 1 Year [Percent] 14.28%
Average Annual Total Returns, 5 Years [Percent] 6.22%
Average Annual Total Returns, 10 Years [Percent] 4.75%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIInternationalValueFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Value Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Goldman Sachs and Columbia Management Investment Advisers, LLC
Current Expenses [Percent] 0.78%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.78%
Average Annual Total Returns, 1 Year [Percent] 14.38%
Average Annual Total Returns, 5 Years [Percent] 5.91%
Average Annual Total Returns, 10 Years [Percent] 1.64%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIGlobalRealEstateFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Global Real Estate Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Duff & Phelps Investment Management Co. and MFS
Current Expenses [Percent] 0.91%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.91%
Average Annual Total Returns, 1 Year [Percent] 10.01%
Average Annual Total Returns, 5 Years [Percent] 3.15%
Average Annual Total Returns, 10 Years [Percent] 3.66%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | InvescoBalancedRiskCommodityStrategyFundR5Member  
Prospectus:  
Portfolio Company Name [Text Block] Invesco Balanced-Risk Commodity Strategy Fund3, 5Class R5
Portfolio Company Adviser [Text Block] Invesco Advisers, Inc.
Current Expenses [Percent] 1.15%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 1.15%
Average Annual Total Returns, 1 Year [Percent] 3.13%
Average Annual Total Returns, 5 Years [Percent] 7.08%
Average Annual Total Returns, 10 Years [Percent] 0.24%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIScienceTechnologyFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Science & Technology Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] BlackRock and Voya
Current Expenses [Percent] 0.91%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.91%
Average Annual Total Returns, 1 Year [Percent] 55.79%
Average Annual Total Returns, 5 Years [Percent] 18.42%
Average Annual Total Returns, 10 Years [Percent] 15.69%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIAggressiveGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Aggressive Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 17.04%
Average Annual Total Returns, 5 Years [Percent] 9.69%
Average Annual Total Returns, 10 Years [Percent] 6.61%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIAssetAllocationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Asset Allocation Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.65%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.65%
Average Annual Total Returns, 1 Year [Percent] 18.34%
Average Annual Total Returns, 5 Years [Percent] 8.27%
Average Annual Total Returns, 10 Years [Percent] 5.61%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIConservativeGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Conservative Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.62%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.62%
Average Annual Total Returns, 1 Year [Percent] 11.24%
Average Annual Total Returns, 5 Years [Percent] 5.86%
Average Annual Total Returns, 10 Years [Percent] 4.15%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIDynamicAllocationFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Dynamic Allocation Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] AllianceBernstein L.P. and SunAmerica
Current Expenses [Percent] 0.84%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.84%
Average Annual Total Returns, 1 Year [Percent] 13.32%
Average Annual Total Returns, 5 Years [Percent] 6.93%
Average Annual Total Returns, 10 Years [Percent] 5.02%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIModerateGrowthLifestyleFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Moderate Growth Lifestyle Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.58%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.58%
Average Annual Total Returns, 1 Year [Percent] 14.09%
Average Annual Total Returns, 5 Years [Percent] 8.46%
Average Annual Total Returns, 10 Years [Percent] 5.91%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | TRowePriceRetirement2015AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2015 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.75%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.75%
Average Annual Total Returns, 1 Year [Percent] 12.71%
Average Annual Total Returns, 5 Years [Percent] 6.74%
Average Annual Total Returns, 10 Years [Percent] 5.28%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | TRowePriceRetirement2020AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2020 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.77%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.77%
Average Annual Total Returns, 1 Year [Percent] 13.17%
Average Annual Total Returns, 5 Years [Percent] 7.38%
Average Annual Total Returns, 10 Years [Percent] 5.78%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | TRowePriceRetirement2025AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2025 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.79%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.79%
Average Annual Total Returns, 1 Year [Percent] 14.33%
Average Annual Total Returns, 5 Years [Percent] 8.17%
Average Annual Total Returns, 10 Years [Percent] 6.33%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | TRowePriceRetirement2030AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2030 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 16.02%
Average Annual Total Returns, 5 Years [Percent] 8.98%
Average Annual Total Returns, 10 Years [Percent] 6.85%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | TRowePriceRetirement2035AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2035 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.84%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.84%
Average Annual Total Returns, 1 Year [Percent] 17.83%
Average Annual Total Returns, 5 Years [Percent] 9.77%
Average Annual Total Returns, 10 Years [Percent] 7.31%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | TRowePriceRetirement2040AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2040 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.85%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.85%
Average Annual Total Returns, 1 Year [Percent] 19.27%
Average Annual Total Returns, 5 Years [Percent] 10.41%
Average Annual Total Returns, 10 Years [Percent] 7.69%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | TRowePriceRetirement2045AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2045 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.86%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.86%
Average Annual Total Returns, 1 Year [Percent] 20.17%
Average Annual Total Returns, 5 Years [Percent] 10.90%
Average Annual Total Returns, 10 Years [Percent] 7.94%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | TRowePriceRetirement2050AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2050 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.88%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.88%
Average Annual Total Returns, 1 Year [Percent] 20.49%
Average Annual Total Returns, 5 Years [Percent] 10.98%
Average Annual Total Returns, 10 Years [Percent] 7.98%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | TRowePriceRetirement2055AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2055 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.89%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.89%
Average Annual Total Returns, 1 Year [Percent] 20.48%
Average Annual Total Returns, 5 Years [Percent] 10.93%
Average Annual Total Returns, 10 Years [Percent] 7.95%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | TRowePriceRetirement2060AdvisorMember  
Prospectus:  
Portfolio Company Name [Text Block] T. Rowe Price Retirement 2060 Fund3 – Advisor Class
Portfolio Company Adviser [Text Block] T. Rowe Price
Current Expenses [Percent] 0.89%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.89%
Average Annual Total Returns, 1 Year [Percent] 20.44%
Average Annual Total Returns, 5 Years [Percent] 10.93%
Average Annual Total Returns, 10 Years [Percent] 7.72%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VanguardLifeStrategyConservativeGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Conservative Growth Fund3, 4Investor Shares
Portfolio Company Adviser [Text Block] The Vanguard Group, Inc.
Current Expenses [Percent] 0.12%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.37%
Average Annual Total Returns, 1 Year [Percent] 12.48%
Average Annual Total Returns, 5 Years [Percent] 5.52%
Average Annual Total Returns, 10 Years [Percent] 4.77%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VanguardLifeStrategyGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Growth Fund3, 4 – Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.14%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.39%
Average Annual Total Returns, 1 Year [Percent] 18.55%
Average Annual Total Returns, 5 Years [Percent] 9.83%
Average Annual Total Returns, 10 Years [Percent] 7.36%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VanguardLifeStrategyModerateGrowthFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard LifeStrategy Moderate Growth Fund3, 4Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.13%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.38%
Average Annual Total Returns, 1 Year [Percent] 15.49%
Average Annual Total Returns, 5 Years [Percent] 7.68%
Average Annual Total Returns, 10 Years [Percent] 6.09%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VanguardWellingtonFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Wellington Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Wellington Management
Current Expenses [Percent] 0.26%
Platform Charge [Percent] 0.25%
Current Expenses + Platform Charge [Percent] 0.50%
Average Annual Total Returns, 1 Year [Percent] 14.33%
Average Annual Total Returns, 5 Years [Percent] 9.58%
Average Annual Total Returns, 10 Years [Percent] 7.88%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyICoreBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Core Bond Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] PineBridge Investments LLC and JPMIM
Current Expenses [Percent] 0.48%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.48%
Average Annual Total Returns, 1 Year [Percent] 6.51%
Average Annual Total Returns, 5 Years [Percent] 1.70%
Average Annual Total Returns, 10 Years [Percent] 1.96%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | GoldmanSachsVITGovernmentMoneyMarketFundInstitutionalMember  
Prospectus:  
Portfolio Company Name [Text Block] Goldman Sachs VIT Government Money Market Fund5Institutional Shares
Portfolio Company Adviser [Text Block] Goldman Sachs
Current Expenses [Percent] 0.18%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.18%
Average Annual Total Returns, 1 Year [Percent] 5.05%
Average Annual Total Returns, 5 Years [Percent] 1.82%
Average Annual Total Returns, 10 Years [Percent] 1.19%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIGovernmentSecuritiesFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Government Securities Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] JPMIM
Current Expenses [Percent] 0.60%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.60%
Average Annual Total Returns, 1 Year [Percent] 4.21%
Average Annual Total Returns, 5 Years [Percent] 0.53%
Average Annual Total Returns, 10 Years [Percent] 1.27%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIHighYieldBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] High Yield Bond Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.68%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.68%
Average Annual Total Returns, 1 Year [Percent] 13.14%
Average Annual Total Returns, 5 Years [Percent] 5.28%
Average Annual Total Returns, 10 Years [Percent] 4.22%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIInflationProtectedFundMember  
Prospectus:  
Portfolio Company Name [Text Block] Inflation Protected Fund2, 5
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] Wellington Management
Current Expenses [Percent] 0.59%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.59%
Average Annual Total Returns, 1 Year [Percent] 4.09%
Average Annual Total Returns, 5 Years [Percent] 3.05%
Average Annual Total Returns, 10 Years [Percent] 2.13%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VALICCompanyIInternationalGovernmentBondFundMember  
Prospectus:  
Portfolio Company Name [Text Block] International Government Bond Fund2
Portfolio Company Adviser [Text Block] VALIC
Portfolio Company Subadviser [Text Block] PineBridge
Current Expenses [Percent] 0.81%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.81%
Average Annual Total Returns, 1 Year [Percent] 5.98%
Average Annual Total Returns, 5 Years [Percent] 0.04%
Average Annual Total Returns, 10 Years [Percent] 0.65%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VanguardLongTermInvestmentGradeFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Long-Term Investment-Grade Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Wellington Management and Vanguard
Current Expenses [Percent] 0.21%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.21%
Average Annual Total Returns, 1 Year [Percent] 9.27%
Average Annual Total Returns, 5 Years [Percent] 1.96%
Average Annual Total Returns, 10 Years [Percent] 3.75%
New Portfolio Director Fixed and Variable Annuity 1.20 - 13.20 | VanguardLongTermTreasuryFundInvestorMember  
Prospectus:  
Portfolio Company Name [Text Block] Vanguard Long-Term Treasury Fund3 – Investor Shares
Portfolio Company Adviser [Text Block] Vanguard
Current Expenses [Percent] 0.20%
Platform Charge [Percent] 0.00%
Current Expenses + Platform Charge [Percent] 0.20%
Average Annual Total Returns, 1 Year [Percent] 3.31%
Average Annual Total Returns, 5 Years [Percent] 1.32%
Average Annual Total Returns, 10 Years [Percent] 2.21%