Fidelity VIP FundsManager 60

(FVFJC)
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YTD Return as of 05/14/2012 4.34%
1 Year* as of 04/30/2012 -1.89%
3 Year* as of 04/30/2012 12.10%
Life* as of 04/30/2012 0.74%
Morningstar Category Moderate Allocation
Overall Morningstar Rating as of 04/30/2012 Morningstar Rating 3 star
Net Assets ($M) as of 03/31/2012 $676.30

* Average annual returns. Life return is from the subaccount inception 09/04/2007

Performance & Volatility (FVFJC)

Average Annual Total Returns (%)

1, 2 as of 04/30/2012More information
FVFJC
Load-Adj
FVFJC
Not Load-Adj
S&P 500
1 Year -3.85 -1.89 4.76
3 Year 11.35 12.10 19.46
Life 0.31 0.74 N/A

Life return is from the subaccount inception 09/04/2007

The performance data featured represents past performance, which is no guarantee of future results. Investment returns and the principal value of a variable annuity will fluctuate; therefore, you may have a gain or loss when money is withdrawn or received. Fund performance fluctuates and currently may be significantly higher or lower than stated.

Volatility Measures

as of 04/30/2012 More information
Beta 0.68
R2 0.95
Standard Deviation 10.86

   More about Performance & Risk

Rating (FVFJC)

Overall Morningstar Rating

as of 04/30/2012 More information
Overall MorningStar Rating 3stars

The number of Overall funds in Morningstar's Moderate Allocation category was 3779. The Overall Morningstar RatingTM for a fund is derived from a weighted average of the performance figures associated with its 3-, 5-, and 10-year (if applicable) Morningstar Ratings Metrics as of the date stated. See more information on the fund's Morningstar Ratings.

Fund Price History (FVFJC)

View the price (unit value) history of this annuity fund. The interactive price history chart can also be used for other useful analyses such as viewing different price performance time horizons, frequencies, comparing price performance with other funds, benchmark indices, etc.

Composition (FVFJC)

Strategy

More information

Normally investing in a combination of underlying Fidelity funds using a target asset allocation of approximately 42% domestic equity funds, 18% international equity funds, 35% fixed-income funds, and 5% money market funds.

Objective

More information

The fund seeks high total return.

Fund Managers

More information
Fund Manager(s): Xuehai En

Strategic Advisers®, Inc., a registered investment adviser and a subsidiary of FMR LLC, serves as the investment manager

StyleMapSM

as of 03/31/2012 More information
Value Blend Growth
Large     current
Mid      
Small      
 Current
 Historical
Current fund assets covered: 60.32%
Morningstar Data provided by Morningstar, Inc.
  1. Total returns / rankings reflect a 1.25% annual annuity charge. Contracts purchased on or after 1/1/2009 are assessed an annual annuity charge of 1.25% if issued with a single annuitant and 1.40% if issued with joint annuitants. See performance / ranking reflecting 1.40%. Contracts purchased prior to 1/1/2009 are assessed an annual annuity charge of 1.10% if issued with a single annuitant and 1.25% if issued with joint annuitants. If the 1.10% annual annuity charge had been reflected, the above performance / rankings would have been higher. Total returns are historical and include change in unit price and the automatic reinvestment of dividends and capital gains.
  2. The subaccount inception date is the date the portfolio was first made available in the annuity product.

Before investing, consider the investment objectives, risks, charges and expenses of the annuity and its investment options. For this and other information, call Fidelity at 1-800-544-4936 for a free prospectus and, if available, summary prospectus containing this information, or view one online. Read it carefully before you invest.

Withdrawals of taxable amounts from an annuity are subject to ordinary income tax, and, if taken before age 59 1/2, may be subject to a 10% IRS penalty.

Annuities are distributed by Fidelity Brokerage Services (Member NYSE,SIPC), and Fidelity Insurance Agency, Inc.