Prestatie Pensioen. Lifecycle onder de loep (Data as per December 31, 2015) January 2016. www.nnip.nl. Return (%) (Net)* 1 month 3 months 3 years**



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Prestatie Pensioen Lifecycle onder de loep (Data as per December 31, 2015) The Prestatie Pensioen takes advantage of LifeCycle Investing by NN Investment Partners (NN IP). With LifeCycle Investing, the experts at NN IP have developed a solution to achieve an optimal risk-return ratio. At a young age, one can afford to take a relatively high risk. If the value development Anisa Salomons of investments is negative, e.g. due to a drop in equity prices, there is still plenty of time to make up for the losses. As retirement approaches, however, there is increasingly less time to offset shocks in the financial markets. At that point, there will be more focus on safer pension investments and risks will be hedged. LifeCycle Investing is therefore composed of two parts: Pension returns: by means of five equity funds and one mediumterm fixed income fund, thus investing in a broadly diversified basket of actively managed funds, with the aim of achieving attractive returns. Pension matching: using two long-term fixed income funds with a duration profile, for the purpose of limiting interest rate risks. (%) (Net)* s s** 35 years -3.5 4.5 10.4 45 years -3.0 3.4 9.2 55 years -2.4 1.7 7.4 66 years -2.4 1.2 7.9 * All figures are based on a pensionable age of 67 years and a defensive risk profile as calculated on the basis of the current weights in the LifeCycle model (2014-2015). Source: NN IP Performance Measurement Europe The LifeCycle is unique thanks to the dynamic nature. This has a good reason: our world is changing faster than ever. All around the world there are economic trends with impact and in the Netherlands, for example, laws and regulations regarding pensions are changing. Such changes may affect the course of the LifeCycle and therefore the expected pension at retirement. And so we find it a matter of course to evaluate and, if necessary, adjust the LifeCycle twice a year. LifeCycle Investing has three different risk profiles: defensive, neutral and offensive. Based on these profiles, we consecutively invest more and more in the return part. Accordingly, the defensive profile has the lowest downside risk, compared to the neutral and offensive profiles. www.nnip.nl

Prestatie Pensioen (Defensive risk profile) Net % NN Global Fund -4.46-1.60 6.83 2.45 14.09 5.04 35.8 NN Hoog Dividend Aandelen Fonds -5.43-0.71 6.88 0.89 13.69 1.78 13.0 NN Global Opportunities Fund -4.02-0.26 9.35 0.61 12.27 0.80 6.5 NN Global Real Estate Fund -1.29-0.04 6.79 0.22 12.67 0.41 3.2 NN Global Emerging Markets Fund -3.48-0.23 5.57 0.36 0.86 0.06 6.5 NN First Class Obligatie Fonds -1.30-0.13 0.18 0.02 3.60 0.36 10.0 NN (L) Euro Long Duration -2.20-0.47 0.18 0.04 9.17 1.94 21.2 NN (L) Global Inflation Linked -1.80-0.07-1.67-0.06 0.06 0.00 3.8 TOTAL -3.50 4.52 10.39 100 Net % NN Global Fund -4.46-1.18 6.83 1.81 14.09 3.73 26.5 NN Hoog Dividend Aandelen Fonds -5.43-0.52 6.88 0.66 13.69 1.31 9.6 NN Global Opportunities Fund -4.02-0.19 9.35 0.45 12.27 0.59 4.8 NN Global Real Estate Fund -1.29-0.03 6.79 0.16 12.67 0.30 2.4 NN Global Emerging Markets Fund -3.48-0.17 5.57 0.27 0.86 0.04 4.8 NN First Class Obligatie Fonds -1.30-0.26 0.18 0.04 3.60 0.71 19.7 NN (L) Euro Long Duration -2.20-0.60 0.18 0.05 9.17 2.51 27.4 NN (L) Global Inflation Linked -1.80-0.09-1.67-0.08 0.06 0.00 4.8 TOTAL -3.04 3.35 9.21 100 Net % NN Global Fund -4.46-0.60 6.83 0.92 14.09 1.90 13.5 NN Hoog Dividend Aandelen Fonds -5.43-0.27 6.88 0.34 13.69 0.67 4.9 NN Global Opportunities Fund -4.02-0.10 9.35 0.23 12.27 0.31 2.5 NN Global Real Estate Fund -1.29-0.02 6.79 0.08 12.67 0.15 1.2 NN Global Emerging Markets Fund -3.48-0.09 5.57 0.14 0.86 0.02 2.5 NN First Class Obligatie Fonds -1.30-0.47 0.18 0.07 3.60 1.31 36.4 NN (L) Euro Long Duration -2.20-0.73 0.18 0.06 9.17 3.04 33.1 NN (L) Global Inflation Linked -1.80-0.11-1.67-0.10 0.06 0.00 5.9 TOTAL -2.38 1.74 7.40 100 Net % NN Global Fund -4.46-0.47 6.83 0.72 14.09 1.49 10.6 NN Hoog Dividend Aandelen Fonds -5.43-0.19 6.88 0.24 13.69 0.48 3.5 NN Global Opportunities Fund -4.02-0.07 9.35 0.16 12.27 0.21 1.7 NN Global Real Estate Fund -1.29 0.00 6.79 0.00 12.67 0.00 0.0 NN Global Emerging Markets Fund -3.48-0.06 5.57 0.09 0.86 0.01 1.7 NN First Class Obligatie Fonds -1.30-0.23 0.18 0.03 3.60 0.63 17.5 NN (L) Euro Long Duration -2.20-1.21 0.18 0.10 9.17 5.06 55.2 NN (L) Global Inflation Linked -1.80-0.18-1.67-0.16 0.06 0.01 9.8 TOTAL -2.41 1.19 7.89 100 2

Prestatie Pensioen (Neutral risk profile) Net % NN Global Fund -4.46-1.84 6.83 2.82 14.09 5.82 41.3 NN Hoog Dividend Aandelen Fonds -5.43-0.81 6.88 1.03 13.69 2.05 15.0 NN Global Opportunities Fund -4.02-0.30 9.35 0.70 12.27 0.92 7.5 NN Global Real Estate Fund -1.29-0.05 6.79 0.25 12.67 0.47 3.7 NN Global Emerging Markets Fund -3.48-0.26 5.57 0.42 0.86 0.06 7.5 NN (L) Euro Long Duration -2.20-0.47 0.18 0.04 9.17 1.94 21.2 NN (L) Global Inflation Linked -1.80-0.07-1.67-0.06 0.06 0.00 3.8 TOTAL -3.80 5.20 11.27 100 Net % NN Global Fund -4.46-1.64 6.83 2.51 14.09 5.19 36.8 NN Hoog Dividend Aandelen Fonds -5.43-0.73 6.88 0.92 13.69 1.83 13.4 NN Global Opportunities Fund -4.02-0.27 9.35 0.63 12.27 0.82 6.7 NN Global Real Estate Fund -1.29-0.04 6.79 0.22 12.67 0.42 3.3 NN Global Emerging Markets Fund -3.48-0.23 5.57 0.37 0.86 0.06 6.7 NN First Class Obligatie Fonds -1.30-0.05 0.18 0.01 3.60 0.13 3.6 NN (L) Euro Long Duration -2.20-0.55 0.18 0.05 9.17 2.30 25.1 NN (L) Global Inflation Linked -1.80-0.08-1.67-0.07 0.06 0.00 4.4 TOTAL -3.59 4.64 10.75 100 Net % NN Global Fund -4.46-0.90 6.83 1.37 14.09 2.83 20.1 NN Hoog Dividend Aandelen Fonds -5.43-0.40 6.88 0.50 13.69 1.00 7.3 NN Global Opportunities Fund -4.02-0.15 9.35 0.35 12.27 0.45 3.7 NN Global Real Estate Fund -1.29-0.02 6.79 0.12 12.67 0.23 1.8 NN Global Emerging Markets Fund -3.48-0.13 5.57 0.21 0.86 0.03 3.7 NN First Class Obligatie Fonds -1.30-0.34 0.18 0.05 3.60 0.95 26.3 NN (L) Euro Long Duration -2.20-0.69 0.18 0.06 9.17 2.89 31.5 NN (L) Global Inflation Linked -1.80-0.10-1.67-0.09 0.06 0.00 5.6 TOTAL -2.73 2.56 8.38 100 Net % NN Global Fund -4.46-0.50 6.83 0.76 14.09 1.56 11.1 NN Hoog Dividend Aandelen Fonds -5.43-0.23 6.88 0.30 13.69 0.59 4.3 NN Global Opportunities Fund -4.02-0.09 9.35 0.22 12.27 0.28 2.3 NN Global Real Estate Fund -1.29 0.00 6.79 0.00 12.67 0.00 0.0 NN Global Emerging Markets Fund -3.48-0.08 5.57 0.13 0.86 0.02 2.3 NN First Class Obligatie Fonds -1.30-0.23 0.18 0.03 3.60 0.63 17.5 NN (L) Euro Long Duration -2.20-1.17 0.18 0.10 9.17 4.87 53.1 NN (L) Global Inflation Linked -1.80-0.17-1.67-0.16 0.06 0.01 9.4 TOTAL -2.47 1.37 7.96 100 3

Prestatie Pensioen (Offensive risk profile) Net % NN Global Fund -4.46-2.21 6.83 3.38 14.09 6.97 49.5 NN Hoog Dividend Aandelen Fonds -5.43-0.98 6.88 1.24 13.69 2.46 18.0 NN Global Opportunities Fund -4.02-0.36 9.35 0.84 12.27 1.10 9.0 NN Global Real Estate Fund -1.29-0.06 6.79 0.31 12.67 0.57 4.5 NN Global Emerging Markets Fund -3.48-0.31 5.57 0.50 0.86 0.08 9.0 NN (L) Euro Long Duration -2.20-0.19 0.18 0.02 9.17 0.78 8.5 NN (L) Global Inflation Linked -1.80-0.03-1.67-0.03 0.06 0.00 1.5 TOTAL -4.13 6.26 11.97 100 Net % NN Global Fund -4.46-2.17 6.83 3.33 14.09 6.86 48.7 NN Hoog Dividend Aandelen Fonds -5.43-0.96 6.88 1.22 13.69 2.42 17.7 NN Global Opportunities Fund -4.02-0.35 9.35 0.82 12.27 1.08 8.8 NN Global Real Estate Fund -1.29-0.06 6.79 0.30 12.67 0.56 4.4 NN Global Emerging Markets Fund -3.48-0.31 5.57 0.49 0.86 0.08 8.8 NN (L) Euro Long Duration -2.20-0.22 0.18 0.02 9.17 0.91 9.9 NN (L) Global Inflation Linked -1.80-0.03-1.67-0.03 0.06 0.00 1.7 TOTAL -4.10 6.15 11.91 100 Net % NN Global Fund -4.46-1.34 6.83 2.06 14.09 4.24 30.1 NN Hoog Dividend Aandelen Fonds -5.43-0.60 6.88 0.76 13.69 1.51 11.0 NN Global Opportunities Fund -4.02-0.22 9.35 0.51 12.27 0.67 5.5 NN Global Real Estate Fund -1.29-0.03 6.79 0.18 12.67 0.34 2.7 NN Global Emerging Markets Fund -3.48-0.19 5.57 0.31 0.86 0.05 5.5 NN First Class Obligatie Fonds -1.30-0.22 0.18 0.03 3.60 0.61 17.0 NN (L) Euro Long Duration -2.20-0.53 0.18 0.04 9.17 2.20 24.0 NN (L) Global Inflation Linked -1.80-0.08-1.67-0.07 0.06 0.00 4.2 TOTAL -3.21 3.82 9.63 100 Net % NN Global Fund -4.46-0.56 6.83 0.86 14.09 1.78 12.6 NN Hoog Dividend Aandelen Fonds -5.43-0.25 6.88 0.32 13.69 0.63 4.6 NN Global Opportunities Fund -4.02-0.09 9.35 0.22 12.27 0.28 2.3 NN Global Real Estate Fund -1.29-0.02 6.79 0.08 12.67 0.15 1.2 NN Global Emerging Markets Fund -3.48-0.08 5.57 0.13 0.86 0.02 2.3 NN First Class Obligatie Fonds -1.30-0.22 0.18 0.03 3.60 0.61 17.0 NN (L) Euro Long Duration -2.20-1.12 0.18 0.09 9.17 4.68 51.0 NN (L) Global Inflation Linked -1.80-0.16-1.67-0.15 0.06 0.01 9.0 TOTAL -2.50 1.57 8.15 100 4

Disclaimer The elements contained in this document have been prepared solely for the purpose of information and do not constitute an offer, in particular a prospectus or any invitation to treat, buy or sell any security or to participate in any trading strategy. Investors should seek their own advice if in doubt about the suitability of any investment. While particular attention has been paid to the contents of this document, no guarantee, warranty or representation, express or implied, is given to the accuracy, correctness or completeness thereof. Any information given in this document may be subject to change or update without notice. Neither NN Investment Partners Holdings N.V. nor any other company or unit belonging to the NN Group or the ING Group, nor any of its officers, directors or employees can be held direct or indirect liable or responsible with respect to the information and/or recommendations of any kind expressed herein. Investment sustains risks. Please note that the value of your investment may rise or fall and also that past performance is not indicative of future results and shall in no event be deemed as such. This document and information contained herein must not be copied, reproduced, distributed or passed to any person at any time without our prior written consent. For more detailed information about the funds we refer to the prospectus and the corresponding supplements. In relation all the funds mentioned in this document, a Key Investor Information Document (KIID) has been published containing all necessary information about the product, the costs and the risks involved. Do not take unnecessary risk. Read the prospectus and the KIID before investing. Investments are accompanied by risks. The value of your investments depends in part upon developments on the financial markets. In addition, each fund has its own specific risks. See the prospectus for fund-specific costs and risks. The prospectus, supplement and the Key Investor Information Document are available on the following website: www.nnip.com. NN Investment Partners B.V. is the manager of all NN Investment Partners funds and, in that capacity, and pursuant to the Dutch Financial Markets Supervisory Act, possesses the applicable permits granted by the Netherlands Financial Markets Authority. All investment funds are registered with the Netherlands Financial Markets Authority. This document is not directed at, and must not be acted upon by citizens of the United States (US) and is otherwise only directed at persons residing in jurisdictions where the relevant share classes/(sub)funds are authorised for distribution or where no such authorisation is required. Any claims arising out of or in connection with the terms and conditions of this disclaimer are governed by Dutch law. 5