May 3, 206 Monthly Performance Annuities can provide an effective and systematic method of saving for retirement. Variable annuities offer growth potential which can help build wealth by keeping up with inflation. Variable annuities also offer the potential of greater returns in exchange for a higher degree of risk. The AFMAXX 457(b) Group Variable Annuity was designed for people seeking tax-deferred earnings, generally for retirement savings or other long-term purposes. Investment in a variable annuity contract is subject to risks, including possible loss of the principal amount invested. The shorther the time period for the investment the greater the possibility of loss. These investment accounts are not insured by the U.S. Government or any other agency. The performance data presented represents past performance, and is not a guarantee of future results. Current performance may be lower or higher than the performance presented here. Investment return and principal value of an investment will fluctuate so that an investor s units, when redeemed, may be worth more or less than their original cost. Consider the investment objectives, risks, charges and expenses of the investment product carefully before investing. The separate account and portfolio prospectuses contain this and other important information about the variable annuity product. Please contact your American Fidelity representative to obtain the separate account and portfolio prospectuses, or call American Fidelity directly at 800-662-3. The separate account and applicable portfolio prospectus should be read carefully before investing. In certain instances these pages contain measures of performance earned by the various portfolios, at times prior to their offering as eligible investment options in the AFMAXX 457(b) Group Variable Annuity - Separate Account C. This is referred to as pre-dated performance. These pre-dated fund performance measures are hypothetical because the portfolio was not available in the variable annuity prior to its inception date. Because of market volatility, current fund performance may have changed since these returns were compiled. Please reference these notes when reviewing the performance information on the following pages. N/A Performance information not available for all or part of the period indicated. () Date the sub-account was first offered by the AFMAXX 457(b) Group Variable Annuity - Separate Account C. (2) The original inception date of each portfolio offered by the AFMAXX 457(b) Group Variable Annuity - Separate Account C. (3) May be derived from the portfolio s performance prior to being offered by Separate Account C, if portfolio inception date is before the date of inclusion in Separate Account C. This performance is net of portfolio and Separate Account C expenses, except the early withdrawal charge. The early withdrawal charge is reflected in the Average Annual Total Return With Withdrawal Charges. (4) Reflects Average Annual Total Return Without Withdrawal Charges since the sub-account was first offered by the AFMAXX 457(b) Group Variable Annuity - Separate Account C. If less than one year, reflects total return for the period and is not annualized. * GVA-02: Product may not be available in all states. Information Published: June 206 Page of 6 - Not Complete Without All Pages.
AFMAXX 457(b) Group Variable Annuity - American Fidelity Separate Account C May 3, 206 Monthly Performance (5) Average Annual Total Return With Withdrawal Charges assumes the funds were offered by the AFMAXX 457(b) Group Variable Annuity - Separate Account C for the periods indicated, and the original investment amount is $,000. It is calculated by determining the average annual compounded rate of return over each period, net of portfolio expenses. Separate account annual expenses equal.50% of the average daily account value. (6) May be derived from the portfolio s performance prior to being offered by the AFMAXX 457(b) Group Variable Annuity - Separate Account C, if portfolio inception date is before the date of inclusion in Separate Account C. This performance is net of portfolio and Separate Account C expenses, including the early withdrawal charge. (7) Reflects Average Annual Total Return With Withdrawal Charges since the sub-account was first offered by the AFMAXX 457(b) Group Variable Annuity - Separate Account C. This performance is net of portfolio and Separate Account C expenses, including the early withdrawal charge. If less than one year, reflects total return for the period and is not annualized. The variable annuity policy contains a penalty for early withdrawal. The withdrawal charge is a percentage of the amount withdrawn, and would vary depending on the year a policy was surrendered, and if the withdrawal charge applied to the transaction. After one year of participation, there are no American Fidelity AFMAXX 457(b) Group Variable Annuity charges for plan benefit withdrawals paid to the participant or the participant s beneficiary. This waiver applies to withdrawals for the following plan benefit: Retirement; Separation from service; Certain unforeseen emergencies. A withdrawal charge is never applied to a death benefit. Under American Fidelity s AFMAXX 457(b) Group Variable Annuity, amounts withdrawn from the account for any other reason may be subject to withdrawal charges. The withdrawal charges are: years one-five, 8 percent; years six-ten, 4 percent; year eleven and thereafter, 0 percent. Total early withdrawal charges will never exceed 8 percent of total contributions. Inclusion of the withdrawal charge would affect the net performance. American Fidelity Assurance Company 9000 Cameron Parkway Oklahoma City, OK 734-800-662-3 www.americanfidelity.com Page 2 of 6 - Not Complete Without All Pages.
AFMAXX 457(b) Group Variable Annuity - American Fidelity Separate Account C May 3, 206 Monthly Performance Separate Account C Date: June 4, 2002 Account C () Date (2) Average Annual Total Return Without Withdrawal Charges If Inclusion 5 0 Less Than Year (3 Year (3) Year (3) 0 Years (3) Account C (4) Vanguard VIF Total Bond Market Index 0-May-2005 Apr 99.36%.63% 3.3% N/A 2.77% Vanguard VIF Balanced 0-May-2005 May 99 0.45% 6.89% 5.78% N/A 5.90% BlackRock Basic Value V.I. Fund 0-Jul-2003 Jul 993-5.60% 7.90% 4.83% N/A 6.39% Dreyfus Stock Index Fund, Inc. 0-Jul-2003 Sep 989-0.05% 9.72% 5.7% N/A 6.39% Vanguard VIF Total Stock Market Index 0-Dec-204 Aug 2003 -.43% 9.32% 5.69% N/A.49% Dreyfus Socially Responsible Growth Fund, Inc. 0-Jul-2003 Oct 993-4.98% 7.9% 5.79% N/A 5.84% Vanguard VIF Capital Growth 0-May-200 Dec 2002 -.30% 0.73% 7.49% N/A 3.57% BlackRock Value Opportunities V.I. Fund 0-Jul-2003 Apr 982-7.8% 6.33% 3.58% N/A 6.62% Vanguard VIF Mid-Cap Index 0-Dec-204 Feb 999-2.28% 4.99% 4.45% N/A 0.49% American Funds IS International Fund 0-Dec-204 May 990-2.93% 0.8%.94% N/A -6.56% * GVA-02: Product may not be available in all states. Information Published: June 206 Page 3 of 6 - Not Complete Without All Pages.
May 3, 206 Monthly Performance Separate Account C Date: June 4, 2002 Average Annual Total Return With Withdrawal Charges (5) Account C Date 5 0 If Less Than 0 Years (6) Inclusion Account C (7) Vanguard VIF Total Bond Market Index 0-May-2005 Apr 99-6.64% 0.89% 2.89% N/A 2.77% Vanguard VIF Balanced 0-May-2005 May 99-7.55% 6.% 5.35% N/A 5.90% BlackRock Basic Value V.I. Fund 0-Jul-2003 Jul 993-3.6% 7.% 4.40% N/A 6.39% Dreyfus Stock Index Fund, Inc. 0-Jul-2003 Sep 989-8.05% 8.92% 5.28% N/A 6.39% Vanguard VIF Total Stock Market Index 0-Dec-204 Aug 2003-9.3% 8.8% 5.26% N/A -3.88% Dreyfus Socially Responsible Growth Fund, Inc. 0-Jul-2003 Oct 993-2.58% 7.3% 5.36% N/A 5.84% Vanguard VIF Capital Growth 0-May-200 Dec 2002-9.9% 9.65% 7.07% N/A 2.87% BlackRock Value Opportunities V.I. Fund 0-Jul-2003 Apr 982-4.60% 5.55% 3.6% N/A 6.62% Vanguard VIF Mid-Cap Index 0-Dec-204 Feb 999-9.30% 3.64% 4.02% N/A -4.9% American Funds IS International Fund 0-Dec-204 May 990-9.89% -.46%.52% N/A -.62% * GVA-02: Product may not be available in all states. Information Published: June 206 Page 4 of 6 - Not Complete Without All Pages.
March 3, 206 Quarterly Performance Separate Account C Date: June 4, 2002 Account C () Date (2) Average Annual Total Return Without Withdrawal Charges (5) Year (3) 5 Year (3) 0 Year (3) If Less Than 0 Years (3) Inclusion Account C (4) Vanguard VIF Total Bond Market Index 0-May-2005 Apr 99 0.27% 2.0% 3.23% N/A 2.80% Vanguard VIF Balanced 0-May-2005 May 99-0.33% 6.89% 5.60% N/A 5.80% BlackRock Basic Value V.I. Fund 0-Jul-2003 Jul 993-9.07% 6.8% 4.8% N/A 6.03% Dreyfus Stock Index Fund, Inc. 0-Jul-2003 Sep 989 0.03% 9.64% 5.3% N/A 6.33% Vanguard VIF Total Stock Market Index 0-Dec-204 Aug 2003 -.98% 9.8% 5.2% N/A 0.06% Dreyfus Socially Responsible Growth Fund, Inc. 0-Jul-2003 Oct 993-4.65% 8.9% 5.25% N/A 5.87% Vanguard VIF Capital Growth 0-May-200 Dec 2002-2.55% 0.8% 6.93% N/A 3.53% BlackRock Value Opportunities V.I. Fund 0-Jul-2003 Apr 982-9.3% 5.7% 3.06% N/A 6.52% Vanguard VIF Mid-Cap Index 0-Dec-204 Feb 999-3.78% 4.97% 3.92% N/A -.04% American Funds IS International Fund 0-Dec-204 May 990 -.96% 0.59%.75% N/A -8.26% * GVA-02: Product may not be available in all states. Information Published: April 206 ESB-74-05 Page 5 of 6 - Not Complete Without All Pages.
March 3, 206 Quarterly Performance Separate Account C Date: June 4, 2002 Average Annual Total Return With Withdrawal Charges (5) Account C Date 5 0 If Less Than 0 Years (6) Inclusion Account C (7) Vanguard VIF Total Bond Market Index 0-May-2005 Apr 99-7.73%.35% 2.8% N/A 2.42% Vanguard VIF Balanced 0-May-2005 May 99-8.30% 6.% 5.7% N/A 5.40% BlackRock Basic Value V.I. Fund 0-Jul-2003 Jul 993-6.34% 6.03% 3.75% N/A 6.03% Dreyfus Stock Index Fund, Inc. 0-Jul-2003 Sep 989-7.97% 8.84% 4.88% N/A 6.33% Vanguard VIF Total Stock Market Index 0-Dec-204 Aug 2003-9.82% 8.03% 4.78% N/A -6.0% Dreyfus Socially Responsible Growth Fund, Inc. 0-Jul-2003 Oct 993-2.28% 7.40% 4.82% N/A 5.87% Vanguard VIF Capital Growth 0-May-200 Dec 2002-0.34% 9.73% 6.49% N/A 2.80% BlackRock Value Opportunities V.I. Fund 0-Jul-2003 Apr 982-6.56% 4.94% 2.64% N/A 6.52% Vanguard VIF Mid-Cap Index 0-Dec-204 Feb 999-20.68% 3.62% 3.50% N/A -7.05% American Funds IS International Fund 0-Dec-204 May 990-9.00% -.03%.34% N/A -3.83% * GVA-02: Product may not be available in all states. Information Published: April 206 ESB-74-05 Page 6 of 6 - Not Complete Without All Pages.