Daily Unit Values

Discovery Select Variable Annuity1
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Daily closing unit values for Discovery Select variable investment options (also known as sub-accounts) are listed below. To learn more about each option, click the portfolio name.  


"Unit Value" is the $U.S. value of a single unit of the variable product's investment option. Each unit value is net of all portfolio investment management fees and expenses, as well as the variable product's specific mortality and expense risk charge. The change in the unit value does not reflect any applicable surrender or lapse charges. "Net Change" shows the change in $U.S. value over the previous day: Gain= Gain, Loss= Loss,  No Change = No Change. All information is as of market close, May 13, 2005.
 

Money Market Portfolio Unit Value Net Change Change %
Prudential Money Market 1.25231   +0.00004   Gain 0.00319%  
 
Fixed Income Portfolios Unit Value Net Change Change %
SP PIMCO Total Return Portfolio 1.22522   +0.00210   Gain 0.17169%  
Prudential Diversified Bond 1.57236   +0.00135   Gain 0.08593%  
Prudential High Yield Bond 1.45089   -0.00285   Loss 0.19605%  
 
Balanced Portfolios Unit Value Net Change Change %
Prudential Diversified Conservative Growth 1.24679   -0.00238   Loss 0.19053%  
 
Large Cap Growth Portfolios Unit Value Net Change Change %
Jennison Portfolio 1.66906   +0.00281   Gain 0.16864%  
Prudential Stock Index 1.75556   -0.00789   Loss 0.44742%  
Prudential 20/20 Focus 1.16519   -0.00682   Loss 0.58191%  
SP MFS Capital Opportunities Portfolio N/A   N/A     N/A  
AIM V.I. Core Equity 1.44824   -0.00670   Loss 0.46050%  
AllianceBernstein Premier Growth Portfolio 0.54044   +0.00222   Gain 0.41247%  
Janus Aspen Series Growth 1.32818   -0.00075   Loss 0.05644%  
MFS Emerging Growth Series 1.18907   +0.00289   Gain 0.24364%  
MFS Research Series 1.30736   -0.00546   Loss 0.41590%  
SP Strategic Partners Focused Growth Portfolio 0.80206   +0.00118   Gain 0.14734%  
 
Large Cap Value Portfolios Unit Value Net Change Change %
Prudential Equity 1.61927   -0.00768   Loss 0.47205%  
AIM V.I. Premier Equity Fund 1.31166   -0.00519   Loss 0.39412%  
Davis Value Portfolio 0.98539   -0.00697   Loss 0.70237%  
PIMCO Advisors VIT OpCap Managed Portfolio 1.47247   -0.00411   Loss 0.27835%  
T. Rowe Price Equity Income 1.89457   -0.01157   Loss 0.60699%  
SP Large Cap Value Portfolio 1.06799   -0.00892   Loss 0.82830%  
Prudential Value Portfolio 2.11080   -0.01750   Loss 0.82225%  
 
Small/Mid Cap Growth Portfolios Unit Value Net Change Change %
Prudential Small Capitalization Stock 2.05459   -0.01773   Loss 0.85556%  
SP Mid-Cap Growth Portfolio 0.61968   -0.00002   Loss 0.00323%  
Franklin Small Cap Investments Fund-Class 2 1.38206   -0.00636   Loss 0.45807%  
SP Prudential U.S. Emerging Growth Portfolio 0.91252   -0.00003   Loss 0.00329%  
SP INVESCO Small Company Growth Portfolio 0.74944   -0.00768   Loss 1.01437%  
 
Small/Mid Cap Value Portfolio Unit Value Net Change Change %
American Century VP Value Fund 1.77055   -0.00944   Loss 0.53034%  
PIMCO Advisors VIT OpCap Small Cap Portfolio 1.79525   -0.01352   Loss 0.74747%  
SP Goldman Sachs Small Cap Value Portfolio 1.19898   -0.01069   Loss 0.88371%  
 
International Equity Portfolios Unit Value Net Change Change %
Prudential Global 1.50434   -0.00681   Loss 0.45065%  
Janus Aspen Series International Growth 1.77072   -0.00343   Loss 0.19333%  
T. Rowe Price International Stock 1.09780   -0.00514   Loss 0.46603%  
SP Jennison International Growth Portfolio 0.86192   -0.00280   Loss 0.32380%  
Credit Suisse Trust Global Post-Venture Capital Portfolio 1.08035   -0.00405   Loss 0.37348%  
 
Specialty Portfolios Unit Value Net Change Change %
SP Technology Portfolio, managed by The Dreyfus Corporation N/A   N/A     N/A  
 
Profile Portfolios Unit Value Net Change Change %
SP Aggressive Growth Asset Allocation Portfolio 0.94129   -0.00462   Loss 0.48842%  
SP Growth Asset Allocation Portfolio 1.00418   -0.00449   Loss 0.44514%  
SP Balanced Asset Allocation Portfolio 1.06448   -0.00327   Loss 0.30625%  
SP Conservative Asset Allocation Portfolio 1.10472   -0.00215   Loss 0.19424%