497VPU 1 prm3selecttlpn.htm 497VPU Document
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PERSONAL RETIREMENT MANAGER SELECT SERIES III
TALCOTT RESOLUTION LIFE INSURANCE COMPANY

Annual Product Notice for Existing Investors
May 2, 2022

This product notice provides updated information about Personal Retirement Manager Select Series III, an individual deferred flexible premium variable annuity contract. The contract is issued by us, Talcott Resolution Life Insurance Company, (“Talcott Resolution”).The most recent prospectus for the contract, dated June 28, 2018, contains more information about the contract, including its features, benefits, and risks. You can find the most recent audited financial statements of Talcott Resolution and the separate account supporting the contract online at https://vpx.broadridge.com/GetContract1.asp?&doctyp=prfs&clientid=talcottvpx&fundid=41659Y319.
You can also obtain this information at no cost by calling 1-800-862-6668 or by sending an email request as instructed below.
Additional information about certain investment products, including variable annuities, has been prepared by the staff of the Securities and Exchange Commission (SEC) and is available at Investor.gov.
For additional information, please contact your investment professional or contact us by:
a.Mailing:     Talcott Resolution
PO Box 14293
Lexington, KY 40512-4293
a.Calling:        1-800-862-6668
b.Emailing:     asccontactus@talcottresolution.com
c.Visiting:     www.talcottresolution.com
The Securities and Exchange Commission (“SEC”) has not approved or disapproved of this security or passed upon the accuracy or adequacy of this summary prospectus. Any representation to the contrary is a criminal offense.





























Table of Contents

2

Special Terms Used in this Product Notice
Contract ValueThe total value of your investments in the Sub-Accounts (and the Fixed Accumulation Feature, if applicable).
Fixed Accumulation Feature or FAFA fixed account option that guarantees principal and a rate of interest. Effective October 4, 2013, we no longer accept new allocations or premium payments to the Fixed Accumulation Feature except for contracts issued in Massachusetts.
Payment BaseThe amount used to determine benefit payments under certain optional benefits under the contract.
Sub-AccountA fund option under the contract. There is a Sub-Account that corresponds to each fund that is available under the contract.


Updated Information About Your Contract
The following is a summary of certain contract features that have changed since May 3, 2021, the date of the last prospectus. This does not reflect all of the changes that have occurred since you entered into your contract.

Summary of recent contract changes:

Effective May 2, 2022, new Portfolio Planner models are available. Each Portfolio Planner model offers diversification with a customized allocation of assets so you can match it to your investment objective and risk tolerance. These models will be automatically rebalanced each quarter in order to restore your investment to the original percentages of your Portfolio Planner model. You can elect one of these models by calling our Annuity Service Center at 1-800-862-6668. If you choose to participate in a Portfolio Planner model, you are responsible for determining which model portfolio is best for you. Please refer to Appendix A for more information on the new models, and the “Static Asset Allocations” disclosure in Section 4.a. Purchases and Contract Value in the Prospectus on how asset allocation works.
Effective May 1, 2022 the AB VPS Balanced Wealth Strategy Portfolio was renamed AB VPS Balanced Hedged Allocated Portfolio.
Effective April 29, 2022, the Invesco V.I. International Growth Fund was renamed Invesco V.I. EQV International Equity Fund.
Effective April 29, 2022, the Invesco V.I. High Yield Fund is available as an investment option.
Effective April 29, 2022, the Invesco V.I. Government Securities Fund is available as an investment option.
Effective December 6, 2021, the Wells Fargo VT International Equity Fund was renamed Allspring VT International Equity Fund.
Effective December 6, 2021, the Wells Fargo VT Omega Growth Fund was renamed Allspring VT Omega Growth Fund.
Effective December 6, 2021, the Wells Fargo VT Opportunity Fund was renamed Allspring VT Opportunity Fund.
Effective December 6, 2021, the Wells Fargo VT Small Cap Growth Fund was renamed Allspring VT Small Cap Growth Fund.
Effective May 11, 2021, BlackRock (Singapore) Limited is a sub-adviser for the BlackRock Global Allocation V.I. Fund Sub-Account.
On June 30, 2021, pursuant to the Agreement and Plan of Merger dated as of January 18, 2021, by and among Sutton Holdings Investments, Ltd. (“Buyer”), Sutton Holdings Merger Sub, L.P., Hopmeadow Holdings, LP (“HHLP”) and Hopmeadow Holdings GP LLC, the owners of HHLP sold all of the issued and outstanding equity interests in HHLP, a parent of Talcott Resolution Life Insurance Company and Talcott Resolution Life and Annuity Insurance Company (“Talcott Resolution”), to Buyer, an affiliate of Sixth Street, a global investment firm. Talcott Resolution will continue to administer your Contract and remains responsible for paying all contractual guarantees and General Account liabilities under your Contract subject to its financial strength and claims paying ability. The terms, features and benefits of your Contract will NOT change as a result of the sale. Talcott Resolution Distribution Company remains the principal underwriter for the Contracts.
3

Key Information Table
Important Information You Should Consider About the Contract
FEES AND EXPENSESLocation in Prospectus
Charges for Early Withdrawals
Your Contract may be subject to surrender charges. Surrender charges may apply to both partial and full Surrenders.
If you withdraw money from your contract within 8 years following your last premium payment, you may be assessed a surrender charge of up to 7% (as a percentage if premium payments withdrawn), declining to 0% over that time period.
For example, if you were to withdraw $100,000 during a surrender charge period, you could be assessed a charge of up to $7,000.
If you elect the Liquidity rider, your surrender charges are reduced to 4 years and will be reduced to 0% beginning in year 5. If you elect this rider, additional Deposits will only be accepted during Contract Year 1. This rider cannot be revoked.
If you receive services for your Contract from a third-party financial intermediary who charges an advisory fee for their services, withdrawals to pay advisory fees will also reduce death benefits and other guaranteed benefits under the Contract and may be subject to federal and state income taxes and a 10% federal penalty tax.
2. Fee Summary

4. Information on your Account - b. Charges and Fees - Sales Charges - Contingent Deferred Sales Charge and Liquidity Feature

Transaction ChargesOther than surrender charges (if any), there are no charges for other contract transactions (e.g., transferring money between investment options).
Ongoing Fees and Expenses (annual charges)
The table below describes the current fees and expenses of the contract that you may pay each year, depending on the options you choose. Please refer to your contract specifications page for information about the specific fees you will pay each year based on the options you have elected. Fees and expenses do not reflect any advisory fees paid to financial intermediaries from Contract Value or other assets of the Contract Owner, and that if such charges were reflected, the fees and expenses would be higher.
2. Fee Summary

4. Information on your Account - b. Charges and Fees - Sales Charges - Contingent Deferred Sales Charge
Annual FeeMinimumMaximum
Base Contract*1.26%¹1.26%¹
Investment Options
(fund fees and expenses)
0.39%²1.34%²
Optional benefits available for an additional charge
(for a single optional benefit, if elected)
0.50%3
2.50%3
As a percentage of average daily Contract Value excluding FAF investments plus an amount attributable to the Premium Based Charge (Premium Based Charge is a percentage of Remaining Gross Premiums).
1 As a percentage of average daily Sub-Account Values.
2 As a percentage of fund net assets.
3 As a percentage of average daily Contract Value or Payment Base depending on the
   optional benefit selected.
Because your contract is customizable, the choices you may effect how much you will pay. To help you understand the cost of owning your contract, the following table shows the lowest and highest cost you could pay each year, based on current charges. This estimate assumes that you do not take withdrawals from the contract, which could add surrender charges that substantially increase costs.
Lowest Annual Cost: $2,057Highest Annual Cost: $7,507
Assumes:Assumes:
Investment of $100,000
Investment of $100,000
5% annual appreciation
5% annual appreciation
Least expensive fund fees and expenses
Most expensive combination of optional benefits and fund fees and expenses
No sales charges or advisory fees
No sales charges or advisory fees
4

No additional premium payments, transfers or withdrawals
No additional premium payments, transfers or withdrawals
No optional benefits
RISKSLocation in Prospectus
Risk of LossYou can lose money by investing in this contract, including loss of principal.2. Fee Summary

3. Management of the Contract - Fixed Accumulation Feature

4. Information on your Account b. Charges and Fees - Sales Charges - Contingent Deferred Sales Charge

Appendix Tax

Not a Short-Term Investment
This contract is not designed for short-term investing and is not appropriate for an investor who needs ready access to cash.
Surrender charges may apply to withdrawals. If you take a withdrawal, a surrender charge may reduce the value of your contract or the amount of money that you actually receive.
The benefits of tax deferral, long-term income, and living benefit guarantees mean the contract is generally more beneficial to investors with a long-time horizon.
A 10% penalty tax may be applied to Surrenders before age 59½.
Risks Associated with Investment Options
An investment in this contract is subject to the risk of poor investment performance. Performance can vary depending on the performance of the investment options that you choose under the contract (e.g., Funds).
Each investment option (including the FAF, if available) has its own unique risks.
You should review the investment options before making an investment decision.
Insurance Company RisksAn investment in the contract is subject to the risks related to us. Any obligations (including under the FAF), guarantees or benefits of the contract are subject to our claims-paying ability. If we experience financial distress, we may not be able to meet our obligations to you. More information about Talcott Resolution, including our financial strength ratings, is available upon request by visiting the "About Us" tab at www.talcottresolution.com or by calling 1-800-862-6668.
RESTRICTIONSLocation in Prospectus
Investment Options
Certain investment options may not be available under your contract.
You are allowed to make 1 transfer between the fund options per day. You are allowed to make 20 transfers between the fund options per year before we require you to submit additional transfer requests by mail. Your transfer between the fund options are subject to policies designed to deter excessively frequent transfers and market timing. These transfer restrictions do not apply to transfers under the contract's automatic transfer programs.
There are restrictions on the maximum amount that may be transferred annually from the FAF to the fund options. If the FAF is available for investment, you must wait 6 months after your most recent transfer from the FAF before making a subsequent transfer into the FAF. These transfer restrictions may apply to the contract's automatic income programs.
We reserve the right to remove or substitute funds as investment options.
3. Management of the Contract

4. Information on your Account -
a. Purchasing Your Contract



Optional Benefits
Optional benefits may further limit or restrict the investment options that you may select under the contract. We may change these restrictions in the future.
Withdrawals may reduce the value of an optional benefit by an amount greater than the value withdrawn or result in termination of the benefit.
6. Optional Withdrawal Benefits
a - c

7. Optional Accumulation Benefit - Safety Plus
TAXESLocation in Prospectus
Tax Implications
Consult with a tax professional to determine the tax implications of an investment in and payments received under the contract.
If you purchased the contract through a tax-qualified plan or IRA, you do not get any additional tax benefit under the contract.
Earnings on your contract are taxed at ordinary income rates when you withdraw them and you may have to pay a penalty if you take a withdrawal before age 59-1/2.
Appendix Tax
5

CONFLICTS OF INTERESTLocation in Prospectus
Investment Professional Compensation
Your investment professional may receive compensation for selling this contract to you, in the form of commissions, additional payments, and non-cash compensation. We may share the revenue we earn on this contract with your investment professional's firm. This conflict of interest may influence your investment professional to recommend this contract over another investment for which the investment professional is not compensated or compensated less.
8. Miscellaneous e. How Contracts Are Sold
ExchangesSome investment professionals may have a financial incentive to offer you a new contract in place of the one you already own. You should only exchange a contract you already own if you determine, after comparing the features, fees and risks of both contract's, that it is better for you to purchase the new contract rather than continue to own your existing contract.4. The Contract a. Purchasing a Contract - Replacement of Annuities
6

Appendix A — Funds Available Under the Contract
The following is a list of Funds available under the Contract. More information about the Funds is available in the prospectuses for the Funds, which may be amended from time to time and can be found online at: https://vpx.broadridge.com/GetContract1.asp?clientid=talcottvpx&fundid=41659Y319. Availability of portfolio companies may vary by employer. Participants should reference their plan documents for a list of available portfolio companies.
You can also request this information at no cost by calling 1-800-862-6668 or by sending an email request to asccontactus@talcottresolution.com.
The current expenses and performance information below reflects fee and expenses of the Funds, but do not reflect the other fees and expenses that your Contract may charge. Expenses would be higher and performance would be lower if these other charges were included. Each Fund’s past performance is not necessarily an indication of future performance.
See "Optional Benefit Investment Restrictions" following this table for information on investment restrictions.
TypeFund and Adviser/SubadviserCurrent
Expenses
Average Annual Total Returns
(as of 12/31/21)
1 Year5 Year10 Year
AllocationAB VPS Balanced Hedged Allocation Portfolio - Class B (formerly AB VPS Balanced Wealth Strategy Portfolio)
Adviser: AllianceBernstein, L.P.
1.02%*13.36%9.64%9.00%
U.S. EquityAB VPS Small/Mid Cap Value Portfolio - Class B
Adviser: AllianceBernstein, L.P.
1.08%35.60%9.88%12.85%
International EquityAllspring VT International Equity Fund - Class 2 (formerly Wells Fargo VT International Equity Fund)
Adviser: Allspring Funds Management, LLC
Subadviser: Allspring Global Investments, LLC
0.94%*6.87%5.90%6.04%
U.S. EquityAllspring VT Omega Growth Fund - Class 2 (formerly Wells Fargo VT Omega Growth Fund)
Adviser: Allspring Funds Management, LLC
Subadviser: Allspring Global Investments, LLC
1.00%*14.97%24.94%18.43%
U.S. EquityAllspring VT Opportunity Fund - Class 2 (formerly Wells Fargo VT Opportunity Fund)
Adviser: Allspring Funds Management, LLC
Subadviser: Allspring Global Investments, LLC
1.00%*24.78%17.29%14.94%
U.S. EquityAllspring VT Small Cap Growth Fund - Class 2 (formerly Wells Fargo VT Small Cap Growth Fund)
Adviser: Allspring Funds Management, LLC
Subadviser: Allspring Global Investments, LLC
1.17%7.64%22.00%16.23%
U.S. EquityAmerican Century VP Growth Fund - Class II
Adviser: American Century Investment Management, Inc.
0.96%*27.14%24.32%18.05%
U.S. EquityAmerican Century VP Mid Cap Value Fund - Class II
Adviser: American Century Investment Management, Inc.
0.90%*23.02%9.25%12.68%
U.S. EquityAmerican Century VP Value Fund - Class II
Adviser: American Century Investment Management, Inc.
0.88%*24.28%9.39%11.89%
Fixed IncomeAmerican Funds Capital World Bond Fund - Class 4
Adviser: Capital Research and Management Company
1.00%(5.18)%3.24%1.88%
International EquityAmerican Funds Capital World Growth and Income Fund - Class 4
Adviser: Capital Research and Management Company
0.92%*14.46%12.99%11.42%
International EquityAmerican Funds Global Small Capitalization Fund - Class 4
Adviser: Capital Research and Management Company
1.15%*6.43%15.16%12.26%
U.S. EquityAmerican Funds Growth Fund - Class 4
Adviser: Capital Research and Management Company
0.85%21.68%25.12%19.46%
U.S. EquityAmerican Funds Growth-Income Fund - Class 4
Adviser: Capital Research and Management Company
0.79%23.80%16.10%15.17%
International EquityAmerican Funds International Fund - Class 4
Adviser: Capital Research and Management Company
1.04%(1.71)%9.37%7.91%
International EquityAmerican Funds New World Fund - Class 4
Adviser: Capital Research and Management Company
1.07%*4.63%12.96%8.43%
Fixed IncomeAmerican Funds The Bond Fund of America - Class 4
Adviser: Capital Research and Management Company
0.70%*(0.59)%3.96%3.04%
U.S. EquityAmerican Funds Washington Mutual Investors Fund - Class 4
Adviser: Capital Research and Management Company
0.77%*27.51%12.22%13.56%
U.S. EquityBlackRock Capital Appreciation V.I. Fund - Class III
Adviser: BlackRock Advisors, LLC
1.05%*20.89%25.03%18.26%
APP A-1

TypeFund and Adviser/SubadviserCurrent
Expenses
Average Annual Total Returns
(as of 12/31/21)
1 Year5 Year10 Year
U.S. EquityBlackRock Equity Dividend V.I. Fund - Class III
Adviser: BlackRock Advisors, LLC
0.91%*20.30%11.36%11.56%
AllocationBlackRock Global Allocation V.I. Fund - Class III
Adviser: BlackRock Advisors, LLC
1.00%*6.42%9.71%7.68%
AllocationBlackRock Managed Volatility V.I. Fund - Class III
Adviser: BlackRock Advisors, LLC
Subadviser: BlackRock International Limited Edinburgh, United Kingdom, BlackRock Asset Management North Asia Limited, Hong Kong, and BlackRock (Singapore) Limited, 079912 Singapore
0.84%*0.53%2.20%3.49%
U.S. EquityBlackRock S&P 500 Index V.I. Fund - Class III
Adviser: BlackRock Advisors, LLC
0.39%28.23%17.96%15.95%
U.S. EquityFidelity® VIP Contrafund® Portfolio - Service Class 2
Adviser: Fidelity Management & Research Company (FMR)
Subadviser: FMR Co., Inc. (FMRC) and other investment advisers
0.85%27.51%19.87%16.35%
U.S. EquityFidelity® VIP Mid Cap Portfolio - Service Class 2
Adviser: Fidelity Management & Research Company (FMR)
Subadviser: FMR Co., Inc. (FMRC) and other investment advisers
0.86%25.31%13.32%13.00%
Fixed IncomeFidelity® VIP Strategic Income Portfolio - Service Class 2
Adviser: Fidelity Management & Research Company (FMR)
Subadviser: Fidelity Investments Money Management, Inc. (FIMM), FMR Co., Inc. (FMRC), FIL Investment Advisors (UK) Limited (FIA(UK)), and other investment advisers
0.91%3.44%5.11%4.47%
AllocationFranklin Income VIP Fund - Class 4
Adviser: Franklin Advisers, Inc.
Subadviser: Templeton Investment Counsel, LLC
0.82%16.59%7.34%7.27%
International EquityFranklin Mutual Global Discovery VIP Fund - Class 4
Adviser: Franklin Mutual Advisers, LLC
Subadviser: Franklin Templeton Investment Management Limited
1.33%18.98%6.32%8.37%
AllocationFranklin Mutual Shares VIP Fund - Class 4
Adviser: Franklin Mutual Advisers, LLC
1.08%19.06%6.33%8.89%
U.S. EquityFranklin Rising Dividends VIP Fund - Class 4
Adviser: Franklin Advisory Services, LLC
0.98%26.63%16.69%14.28%
U.S. EquityFranklin Small Cap Value VIP Fund - Class 4
Adviser: Franklin Advisory Services, LLC
1.01%25.17%9.82%12.01%
Fixed IncomeFranklin Strategic Income VIP Fund - Class 4
Adviser: Franklin Advisers, Inc.
1.13%*2.06%3.06%3.60%
U.S. EquityHartford Capital Appreciation HLS Fund - Class IB
Adviser: Hartford Funds Management Company, LLC
Subadviser: Wellington Management Company LLP
0.92%14.45%15.56%14.38%
U.S. EquityHartford Disciplined Equity HLS Fund - Class IB
Adviser: Hartford Funds Management Company, LLC
Subadviser: Wellington Management Company LLP
0.85%25.21%18.59%17.12%
U.S. EquityHartford Dividend and Growth HLS Fund - Class IB
Adviser: Hartford Funds Management Company, LLC
Subadviser: Wellington Management Company LLP
0.91%31.68%15.15%14.41%
International EquityHartford International Opportunities HLS Fund - Class IB
Adviser: Hartford Funds Management Company, LLC
Subadviser: Wellington Management Company LLP
0.99%7.57%10.54%8.97%
Fixed IncomeHartford Total Return Bond HLS Fund - Class IB
Adviser: Hartford Funds Management Company, LLC
Subadviser: Wellington Management Company LLP
0.75%(1.18)%4.24%3.56%
Fixed IncomeHartford Ultrashort Bond HLS Fund - Class IB
Adviser: Hartford Funds Management Company, LLC
Subadviser: Wellington Management Company LLP
0.69%(0.46)%1.08%0.57%
AllocationInvesco V.I. Balanced Risk Allocation Fund - Series II
Adviser: Invesco Advisers, Inc.
1.13%*9.26%7.18%5.99%
U.S. EquityInvesco V.I. Core Equity Fund - Series II
Adviser: Invesco Advisers, Inc.
1.05%27.38%13.69%11.99%
International EquityInvesco V.I. EQV International Growth Fund - Series II (formerly Invesco V.I. International Growth Fund)
Adviser: Invesco Advisers, Inc.
1.14%5.61%9.90%7.82%
APP A-2

TypeFund and Adviser/SubadviserCurrent
Expenses
Average Annual Total Returns
(as of 12/31/21)
1 Year5 Year10 Year
Money MarketInvesco V.I. Government Money Market Fund - Series II**
Adviser: Invesco Advisers, Inc.
0.59%0.01%0.69%0.36%
Fixed IncomeInvesco V.I. Government Securities Fund - Series II
Adviser: Invesco Advisers, Inc.
0.93%(2.43)%2.21%1.52%
Fixed IncomeInvesco V.I. High Yield Fund - Series II
Adviser: Invesco Advisers, Inc.
1.19%4.00%4.38%5.34%
U.S. EquityInvesco V.I. Main Street Mid Cap Fund - Series II
Adviser: Invesco Advisers, Inc.
1.18%22.86%11.15%10.52%
U.S. EquityInvesco V.I. Small Cap Equity Fund - Series II
Adviser: Invesco Advisers, Inc.
1.20%20.09%13.15%12.01%
Fixed IncomeLord Abbett Bond-Debenture Portfolio - Class VC
Adviser: Lord, Abbett & Co. LLC
0.89%3.28%5.66%6.33%
U.S. EquityLord Abbett Fundamental Equity Portfolio - Class VC
Adviser: Lord, Abbett & Co. LLC
1.08%*27.31%10.23%11.33%
U.S. EquityLord Abbett Growth and Income Portfolio - Class VC
Adviser: Lord, Abbett & Co. LLC
0.93%29.02%11.07%12.17%
U.S. EquityMFS® Growth Series - Service Class
Adviser: MFS Investment Management
0.96%*23.24%24.56%19.03%
U.S. EquityMFS® New Discovery Series - Service Class
Adviser: MFS Investment Management
1.12%*1.57%21.00%15.87%
Fixed IncomeMFS® Total Return Bond Series - Service Class
Adviser: MFS Investment Management
0.78%*(1.07)%3.87%3.39%
AllocationMFS® Total Return Series - Service Class
Adviser: MFS Investment Management
0.86%*13.84%9.57%9.31%
U.S. EquityMFS® Value Series - Service Class
Adviser: MFS Investment Management
0.95%*25.16%11.97%13.13%
AllocationPIMCO All Asset Portfolio - Advisor Class
Adviser: Pacific Investment Management Company LLC
Subadviser: Research Affiliates
1.34%*16.04%8.45%5.91%
AllocationPIMCO Global Managed Asset Allocation Portfolio - Advisor Class
Adviser: Pacific Investment Management Company LLC
1.21%*12.60%10.59%6.03%
International EquityPIMCO StocksPLUS Global Portfolio - Advisor Class
Adviser: Pacific Investment Management Company LLC
0.87%*19.33%13.56%9.35%
U.S. EquityPutnam VT Growth Opportunities Fund - Class IB
Adviser: Putnam Investment Management, LLC
Subadviser: Putnam Investments Limited
0.89%22.65%25.54%19.86%
U.S. EquityPutnam VT Large Cap Value Fund - Class IB
Adviser: Putnam Investment Management, LLC
Subadviser: Putnam Investments Limited
0.81%27.30%13.81%14.11%
U.S. EquityPutnam VT Multi-Cap Core Fund - Class IB
Adviser: Putnam Investment Management, LLC
Subadviser: Putnam Investments Limited
0.91%31.07%18.08%16.30%
International EquityTempleton Foreign VIP Fund - Class 4
Adviser: Templeton Investment Counsel, LLC
1.21%*4.10%2.62%3.90%
Fixed IncomeTempleton Global Bond VIP Fund - Class 4
Adviser: Franklin Advisers, Inc.
0.86%*(5.01)%(1.03)%1.04%
International EquityTempleton Growth VIP Fund - Class 4
Adviser: Templeton Global Advisors Limited
1.28%4.85%5.11%7.26%
*Annual expenses reflect temporary fee reduction under an expense reimbursement or fee waiver arrangement.
**In a low interest rate environment, yields for money market funds, after deduction of Contract charges, may be negative even though the fund’s yield, before deducting for such charges, is positive. If you allocate a portion of your Contact value to a money market Sub-Account or participate in an Asset Allocation Program, if available, where Contract value is allocated to a money market Sub-Account, that portion of the value of your Contract value may decrease in value.




APP A-3

Asset Allocation Models

This section provides information about the asset allocation models (or Portfolio Planner Models) that may be available for participation under the contract. Models may not be available to you. You may be required to participate in a certain model depending on the optional benefits you have chosen. See "Optional Benefit Investment Restrictions" below.
You may participate in only one asset allocation model at a time. Your investments related to an asset allocation model will be rebalanced quarterly. For additional information, see "Static Asset Allocation Models" in the prospectus.

Models Available For The Following Contracts:

Personal Retirement Manager Select B-Share 3

The Portfolio Planner Models
The following model(s) (introduced as of May 2, 2022) are available for the Contract(s) listed above.
The percentage allocations below apply to value in the Sub-Accounts.

Fund2022
Series 113
2022
Series 213
2022
Series 313
2022
Series 413
2022
Series 513
AB VPS Small/Mid-Cap Value Portfolio2%3%3%4%5%
American Funds Growth Fund5%6%8%10%11%
Fidelity VIP Mid Cap Portfolio2%3%4%4%5%
Hartford Disciplined Equity HLS Fund5%7%9%10%12%
Hartford Dividend and Growth HLS Fund5%7%8%10%12%
Hartford International Opportunities HLS Fund9%12%15%18%21%
Hartford Total Return Bond HLS Fund55%48%40%32%24%
Invesco V.I. Government Securities Fund5%4%3%3%2%
Invesco V.I. High Yield Fund10%8%7%5%4%
MFS New Discovery Series2%2%3%4%4%
Total100%100%100%100%100%

APP A-4

Optional Benefit Investment Restrictions

1. Investment Restrictions For the Following Optional Benefits
Daily Lock Income Benefit        Future6
Legacy Lock                Safety Plus

Applicable To The Following Contracts*
Personal Retirement Manager Select B-Share VA 3

You must choose one of the following models. The models will be re-balanced monthly. For Future6, in the event that your Contract Value reduces below the minimum amount rule and you fail to transfer your remaining Contract Value to an approved Sub-Account(s) and/or Programs within ten business days, we will exercise our reserved contractual rights to reallocate these sums to the money market Sub-Account.

PERSONAL PROTECTION PORTFOLIOS

Series 8076
Fund
BlackRock Managed Volatility V.I. Fund50 %
Hartford Capital Appreciation HLS Fund20 %
Hartford Dividend and Growth HLS Fund20 %
Hartford International Opportunities HLS Fund10 %
Total100 %

Series 8077
Fund
American Funds Growth Fund20 %
American Funds Growth-Income Fund20 %
American Funds International Fund10 %
BlackRock Managed Volatility V.I. Fund50 %
Total100 %

Series 8078
Fund
BlackRock Managed Volatility V.I. Fund50 %
Franklin Mutual Shares VIP Fund20 %
Franklin Rising Dividends VIP Fund10 %
Templeton Growth VIP Fund20 %
Total100 %

Series 8079
Fund
American Funds Growth-Income Fund20 %
BlackRock Managed Volatility V.I. Fund50 %
Hartford International Opportunities HLS Fund10 %
Invesco V.I. Core Equity Fund20 %
Total100 %

APP A-5

Series 8080
Fund
BlackRock Capital Appreciation V.I. Fund17 %
BlackRock Equity Dividend V.I. Fund18 %
BlackRock Managed Volatility V.I. Fund50 %
PIMCO StocksPLUS Global Portfolio15 %
Total100 %

Series 8081
Fund
American Funds Growth HLS Fund20 %
BlackRock Managed Volatility V.I. Fund50 %
Invesco V.I. International Growth Fund10 %
Lord Abbett Fundamental Equity Portfolio20 %
Total100 %

Series 8082
Fund
American Funds Washington Mutual Investors Fund20 %
BlackRock Managed Volatility V.I. Fund50 %
Hartford Dividend and Growth HLS Fund Class IB20 %
Templeton Foreign VIP Fund10 %
Total100 %

Series 8083
Fund
BlackRock Managed Volatility V.I. Fund50 %
Fidelity VIP Contrafund Portfolio20 %
Invesco V.I. International Growth Fund%
MFS Value Series20 %
Templeton Foreign VIP Fund%
Total100 %

Series 8084
Fund
BlackRock Managed Volatility V.I. Fund50 %
BlackRock S&P 500 Index V.I. Fund50 %
Total100 %

Series 8095
Fund
American Century VP Value Fund20 %
BlackRock Managed Volatility V.I. Fund50 %
Invesco V.I. International Growth Fund%
Putnam VT Growth Opportunities Fund20 %
Templeton Foreign VIP Fund%
Total100 %
APP A-6

Investment Restrictions For
Future5
Maximum Anniversary Value V
Maximum Daily Value
Applicable To The Following Product
Personal Retirement Manager Select B-Share VA 3


You may choose to invest in either the Portfolio Planner Asset Allocation Models, the Investment Strategy Models or approved individual Sub-Accounts. The Models will be re-balanced quarterly. For Future5, in the event that your Contract Value reduces below the minimum amount rule and you fail to transfer your remaining Contract Value to an approved Sub-Account(s) and/or Programs within ten business days, we will exercise our reserved contractual rights to reallocate these sums to the money market Sub-Account.

PORTFOLIO PLANNER MODELS

As of May 2, 2022, the following models are available:
Fund2022
Series 113
2022
Series 213
2022
Series 313
2022
Series 413
2022
Series 513
AB VPS Small/Mid-Cap Value Portfolio2%3%3%4%5%
American Funds Growth Fund5%6%8%10%11%
Fidelity VIP Mid Cap Portfolio2%3%4%4%5%
Hartford Disciplined Equity HLS Fund5%7%9%10%12%
Hartford Dividend and Growth HLS Fund5%7%8%10%12%
Hartford International Opportunities HLS Fund9%12%15%18%21%
Hartford Total Return Bond HLS Fund55%48%40%32%24%
Invesco V.I. Government Securities Fund5%4%3%3%2%
Invesco V.I. High Yield Fund10%8%7%5%4%
MFS New Discovery Series2%2%3%4%4%
Total100%100%100%100%100%


INVESTMENT STRATEGIES MODELS

Series 8028
Fund
Hartford Capital Appreciation HLS Fund33 %
Hartford Dividend and Growth HLS Fund33 %
Hartford Total Return Bond HLS Fund34 %
Total100 %

Series 8029
Fund
Franklin Income VIP Fund34 %
Franklin Mutual Shares VIP Fund33 %
Templeton Growth VIP Fund33 %
Total100 %

APP A-7

Series 8074
Fund
American Funds Global Small Capitalization Fund10 %
American Funds Growth Fund25 %
American Funds Growth-Income Fund20 %
American Funds International Fund15 %
American Funds The Bond Fund of America30 %
Total100 %

Series 8075
Fund
American Funds International Fund25 %
Franklin Income VIP Fund25 %
Hartford Disciplined Equity HLS Fund25 %
Hartford Total Return Bond HLS Fund25 %
Total100 %


INDIVIDUAL SUB-ACCOUNTS
AB VPS Balanced Wealth Strategy Portfolio
BlackRock Global Allocation V.I. Fund
Invesco V.I. Balanced Risk Allocation Fund
MFS Total Return Series
PIMCO All Asset Portfolio
PIMCO Global Multi-Asset Managed Allocation Portfolio
HIMCO VIT American Funds Bond Fund
Hartford Total Return Bond HLS Fund
Hartford U.S. Government Securities HLS Fund
Hartford Ultrashort HLS Fund
MFS Total Return Bond Series


* * *
Please retain this product notice for future reference. The last prospectus and statement of additional information for the contract, dated June 28, 2018, contain more information about the contract. You may contact us to request this additional information free of charge. Instructions for contacting us are included in the front cover page of this product notice.

EDGAR Identifier: C000105760

APP A-8