Polaris Platinum III
American General Life Insurance Company

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Year to Date
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  • "Dogs" of Wall Street
  • 23.708534
  • 0.89
  • 0.21
  • 22.343073
  • 0.88
  • 0.19
  • Aggressive Growth
  • 15.227231
  • 1.05
  • 0.16
  • 14.370535
  • 1.04
  • 0.15
  • American Funds Asset Allocation SAST
  • 17.307450
  • 0.60
  • 0.10
  • 16.258376
  • 0.60
  • 0.10
  • American Funds Global Growth SAST
  • 19.725169
  • 0.91
  • 0.18
  • 18.657795
  • 0.91
  • 0.17
  • American Funds Growth SAST
  • 20.437556
  • 0.95
  • 0.19
  • 19.335945
  • 0.95
  • 0.18
  • American Funds Growth-Income SAST
  • 18.521705
  • 0.79
  • 0.15
  • 17.522885
  • 0.78
  • 0.14
  • Asset Allocation
  • 17.485976
  • 0.52
  • 0.09
  • 16.328501
  • 0.51
  • 0.08
  • Asset Allocation: Diversified Growth
  • 11.284771
  • 0.70
  • 0.08
  • 11.220355
  • 0.70
  • 0.08
  • Balanced (JPM)
  • 17.240121
  • 0.58
  • 0.10
  • 16.254469
  • 0.58
  • 0.09
  • Blue Chip Growth
  • 19.518964
  • 1.30
  • 0.25
  • 18.452219
  • 1.29
  • 0.24
  • Capital Appreciation
  • 28.488501
  • 1.52
  • 0.43
  • 26.932848
  • 1.52
  • 0.40
  • Capital Growth
  • 17.242040
  • 1.25
  • 0.21
  • 16.164663
  • 1.24
  • 0.20
  • Corporate Bond
  • 17.586222
  • -0.01
  • -0.00
  • 16.618538
  • -0.01
  • -0.00
  • Emerging Markets
  • 12.561769
  • 1.38
  • 0.17
  • 11.886311
  • 1.38
  • 0.16
  • Equity Opportunities
  • 19.078726
  • 0.91
  • 0.17
  • 17.812271
  • 0.90
  • 0.16
  • Foreign Value
  • 11.674072
  • 0.41
  • 0.05
  • 11.038883
  • 0.41
  • 0.04
  • Franklin Founding Funds Allocation VIP Fund
  • 13.989519
  • 0.56
  • 0.08
  • 13.126690
  • 0.55
  • 0.07
  • Franklin Income VIP Fund
  • 14.815906
  • 0.31
  • 0.05
  • 13.987928
  • 0.31
  • 0.04
  • Fundamental Growth
  • 19.303744
  • 1.08
  • 0.21
  • 18.215936
  • 1.08
  • 0.19
  • Global Bond
  • 12.710705
  • -0.30
  • -0.04
  • 12.007900
  • -0.31
  • -0.04
  • Global Equities
  • 14.333089
  • 0.75
  • 0.11
  • 13.546411
  • 0.75
  • 0.10
  • Goldman Sachs VIT Government Money Market Fund
  • 9.860325
  • -0.01
  • -0.00
  • 9.777919
  • -0.01
  • -0.00
  • Government and Quality Bond
  • 12.460432
  • -0.11
  • -0.01
  • 11.775567
  • -0.11
  • -0.01
  • Growth
  • 17.580171
  • 0.91
  • 0.16
  • 16.471033
  • 0.91
  • 0.15
  • Growth Opportunities
  • 20.343680
  • 1.09
  • 0.22
  • 19.238634
  • 1.09
  • 0.21
  • Growth-Income
  • 18.289035
  • 0.96
  • 0.17
  • 17.075502
  • 0.95
  • 0.16
  • High-Yield Bond
  • 15.895625
  • 0.22
  • 0.03
  • 15.008086
  • 0.21
  • 0.03
  • International Diversified Equities
  • 11.609001
  • 0.31
  • 0.04
  • 10.974970
  • 0.30
  • 0.03
  • International Growth and Income
  • 10.070380
  • 0.18
  • 0.02
  • 9.477503
  • 0.17
  • 0.02
  • Invesco V.I. American Franchise Fund
  • 22.765192
  • 1.17
  • 0.26
  • 21.058973
  • 1.17
  • 0.24
  • Invesco V.I. Comstock Fund
  • 17.306682
  • 0.82
  • 0.14
  • 16.370445
  • 0.81
  • 0.13
  • Invesco V.I. Growth and Income Fund
  • 18.230391
  • 0.90
  • 0.16
  • 17.240038
  • 0.90
  • 0.15
  • Lord Abbett Growth and Income
  • 15.394180
  • 0.89
  • 0.14
  • 14.571481
  • 0.88
  • 0.13
  • Managed Allocation Balanced
  • 15.224805
  • 0.30
  • 0.05
  • 14.200838
  • 0.30
  • 0.04
  • Managed Allocation Growth
  • 16.400632
  • 0.65
  • 0.11
  • 15.289553
  • 0.64
  • 0.10
  • Managed Allocation Moderate
  • 15.522856
  • 0.44
  • 0.07
  • 14.489127
  • 0.44
  • 0.06
  • Managed Allocation Moderate Growth
  • 15.559656
  • 0.52
  • 0.08
  • 14.514339
  • 0.52
  • 0.07
  • Mid-Cap Growth
  • 22.926616
  • 1.11
  • 0.25
  • 21.632040
  • 1.10
  • 0.24
  • Natural Resources
  • 8.188867
  • 0.07
  • 0.01
  • 7.727415
  • 0.06
  • 0.00
  • Real Estate
  • 13.021676
  • 1.77
  • 0.23
  • 12.310716
  • 1.76
  • 0.21
  • Real Return
  • 11.491478
  • -0.22
  • -0.02
  • 10.721299
  • -0.22
  • -0.02
  • SA AB Growth
  • 23.544649
  • 1.02
  • 0.24
  • 22.039688
  • 1.01
  • 0.22
  • SA BlackRock Multi-Asset Income
  • 11.738201
  • 0.34
  • 0.04
  • 11.418323
  • 0.34
  • 0.04
  • SA BlackRock VCP Global Multi Asset Portfolio
  • 11.138208
  • 0.14
  • 0.02
  • 11.025969
  • 0.13
  • 0.01
  • SA Index Allocation 60/40 Portfolio
  • 10.497790
  • 0.44
  • 0.05
  • 10.461980
  • 0.44
  • 0.05
  • SA Index Allocation 80/20 Portfolio
  • 10.607298
  • 0.61
  • 0.06
  • 10.571115
  • 0.60
  • 0.06
  • SA Index Allocation 90/10 Portfolio
  • 10.681925
  • 0.68
  • 0.07
  • 10.645487
  • 0.68
  • 0.07
  • SA Janus Focused Growth
  • 19.219990
  • 1.40
  • 0.27
  • 18.182135
  • 1.40
  • 0.25
  • SA JPMorgan MFS Core Bond Portfolio
  • 14.224639
  • -0.08
  • -0.01
  • 13.929608
  • 3.46
  • 0.47
  • SA Legg Mason BW Large Cap Value
  • 17.564226
  • 0.99
  • 0.17
  • 16.626491
  • 0.98
  • 0.16
  • SA MFS Massachusetts Investors Trust
  • 20.308907
  • 1.11
  • 0.22
  • 19.204015
  • 1.10
  • 0.21
  • SA MFS Total Return
  • 16.231272
  • 0.50
  • 0.08
  • 15.341968
  • 0.50
  • 0.08
  • SA Schroders VCP Global Allocation Portfolio
  • 11.532681
  • 0.38
  • 0.04
  • 11.487829
  • 1.00
  • 0.11
  • SA T. Rowe Price VCP Balanced Portfolio
  • 11.744651
  • 0.61
  • 0.07
  • 11.698974
  • 1.24
  • 0.14
  • Small & Mid Cap Value
  • 21.340872
  • 1.05
  • 0.22
  • 20.176666
  • 1.05
  • 0.21
  • Small Company Value
  • 17.732977
  • 1.25
  • 0.22
  • 16.765536
  • 1.25
  • 0.21
  • Strategic Multi-Asset Portfolio
  • 10.880060
  • 0.61
  • 0.07
  • 10.817959
  • 0.61
  • 0.07
  • SunAmerica Dynamic Allocation Portfolio
  • 13.353940
  • 0.70
  • 0.09
  • 12.780365
  • 0.70
  • 0.09
  • SunAmerica Dynamic Strategy Portfolio
  • 13.146987
  • 0.67
  • 0.09
  • 12.661629
  • 0.66
  • 0.08
  • Technology
  • 24.802450
  • 2.04
  • 0.49
  • 23.312086
  • 2.03
  • 0.46
  • Telecom Utility
  • 19.431680
  • 0.82
  • 0.16
  • 18.273608
  • 0.81
  • 0.15
  • Ultra Short Bond Portfolio
  • 8.936059
  • -0.02
  • -0.00
  • 8.407993
  • -0.03
  • -0.00
  • VCP Managed Asset Allocation SAST
  • 13.509756
  • 0.61
  • 0.08
  • 13.053003
  • 0.60
  • 0.08
  • VCP Total Return Balanced
  • 12.325656
  • 0.56
  • 0.07
  • 11.986830
  • 0.55
  • 0.07
  • VCP Value
  • 12.753500
  • 0.60
  • 0.08
  • 12.402902
  • 0.59
  • 0.07

Please note: If you have selected a date which falls on Saturday, Sunday, or a legal holiday, the information shown reflects share prices as of the previous business day.

The Daily Unit Prices (Lowest) assume no election of optional features and reflect the deduction of the minimum separate account annual expenses and the total operating expenses charged by the applicable Underlying Fund of the Trusts including management fees, 12b-1 fees, if applicable, and other expenses.

The Daily Unit Prices (Highest) assume election of optional features and reflect the deduction of the maximum separate account annual expense and the total operating expenses charged by the applicable Underlying Fund of the Trusts including management fees, 12b-1 fees, if applicable, and other expenses.

Please see a current prospectus for current separate account expenses.

The performance data shown represents past performance, which does not guarantee future results. The investment return and principal value of an investment will fluctuate and an investor’s shares, when redeemed, may be worth more or less than their original cost.

M4913TDP.2 (02/17)

Variable annuities are sold by prospectus only. Please contact your investment representative or call 1-800-445-7862 to obtain a prospectus. The prospectus contains the investment objectives, risks, fees, charges, expenses and other information regarding the contract and underlying funds, which should be considered carefully before investing. Please read the prospectus carefully before investing.

The Company, its distributors and representatives are not authorized to give legal, tax or accounting advice. Applicable laws and regulations are complex and subject to change. Any tax statements made in this material are not intended to suggest the avoidance of U.S. federal, state or local tax penalties. For advice concerning your situation, consult your professional attorney, tax advisor, or accountant.

Variable annuities are issued by American General Life Insurance Company (AGL) or, in New York, by The United States Life Insurance Company in the City of New York, (US Life) except the Polaris Platinum Elite and Polaris Choice Elite variable annuities, which are issued in all states by The Variable Annuity Life Insurance Company (VALIC). Products and features may not be available in all states. The purchase of an annuity is not required for, and is not a term of, the provision of any banking service or activity. Variable annuities are distributed by AIG Capital Services, Inc. (ACS), Member FINRA, 21650 Oxnard St., Suite 750, Woodland Hills, CA 91367-4997, 1-800-445-7862.

AGL, US Life, VALIC and ACS are members of American International Group, Inc. (AIG). All contract and optional benefit guarantees are backed by the claims-paying ability of the issuing insurance company and are not the obligation or responsibility of AIG