PruLife® Custom Premier II (2014)
Monthly Performance Review - 2/29/2024

Past performance does not guarantee future results. Current performance may be lower or higher than the past performance data quoted. The 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.
Monthly Performance Review - 2/29/2024
 Fund InformationMonthly Average Annual Total Returns
As of - 2/29/2024
Quarterly Average Annual Total
Returns
As of - 12/31/2023
Variable Investment Subaccounts Inception DateYTD
%
1 Year
%
3 Years
%
5 Years
%
10 Years
%
Since
Inception
%
1 Year
%
5 Years
%
10
Yrs/Since
Inception
%††
Asset Allocation:
AST Balanced Asset Allocation Portfolio 2,15Opens a PDF12/05/20053.2616.423.836.846.215.9915.657.766.03
AST Preservation Asset Allocation Portfolio 3Opens a PDF12/05/20051.4011.240.693.783.994.6511.674.534.03
TOPS® Agressive Growth ETF Portfolio 6Opens a PDF4/26/20112.4815.294.788.597.537.6117.2510.447.32
TOPS® Balanced ETF Portfolio 6Opens a PDF4/26/20110.669.642.295.124.374.6911.286.294.40
TOPS® Conservative ETF Portfolio 6Opens a PDF4/26/20110.557.971.793.983.243.619.084.743.27
TOPS® Growth ETF Portfolio 6Opens a PDF4/26/20112.1414.324.327.746.617.4315.979.376.44
TOPS® Managed Risk Balanced ETF Portfolio 7Opens a PDF6/09/20110.638.121.013.793.123.678.934.723.13
TOPS® Managed Risk Growth ETF Portfolio 7Opens a PDF4/26/20111.9410.812.174.843.453.9811.035.763.23
TOPS® Managed Risk Moderate Growth ETF Portfolio 7Opens a PDF6/09/20111.309.811.594.423.494.2510.235.413.42
TOPS® Moderate Growth ETF Portfolio 6Opens a PDF4/26/20111.3511.723.196.455.525.7313.367.855.47
Balanced:
AST J.P. Morgan Tactical Preservation Portfolio 16Opens a PDF5/03/19931.4510.390.304.213.985.5010.244.973.96
AST Prudential Growth Allocation Portfolio 17Opens a PDF3/20/20064.0718.964.886.256.305.0617.947.166.07
Fixed Income:
AST Core Fixed Income Portfolio Opens a PDF11/19/2007-1.533.64-4.060.241.772.776.251.012.18
AST Global Bond Portfolio Opens a PDF7/13/2015-1.164.08-2.370.08No data available1.226.180.461.38
MFS® Total Return Bond Series Opens a PDF10/24/1995-1.304.60-2.731.121.774.327.271.742.12
PSF PGIM Total Return Bond Portfolio Opens a PDF4/17/1989-1.004.93-2.731.132.315.147.171.652.66
PSF PGIM High Yield Bond PortfolioOpens a PDF4/17/19890.4410.351.614.694.855.8311.715.835.05
Global/International:
American Funds Insurance Series® International Fund Opens a PDF5/01/19902.8513.75-2.643.253.617.0015.734.733.31
AST International Equity Portfolio 18Opens a PDF1/02/19972.8114.70-1.178.446.166.2017.6410.285.97
AST MFS Global Equity Portfolio Opens a PDF10/18/19992.4411.633.878.097.177.0313.9010.047.00
Janus Henderson Overseas Portfolio Opens a PDF5/02/19942.958.733.849.283.897.6810.4710.813.27
PSF Global PortfolioOpens a PDF4/17/19896.6923.346.1010.448.766.7919.4711.538.17
Large-Cap Blend:
American Funds Insurance Series® Growth-Income Fund Opens a PDF4/17/19897.2431.0211.1212.6611.3110.2926.0113.2510.80
BNY Mellon Sustainable U.S. Equity Portfolio Opens a PDF1/02/20018.3129.768.7114.1410.736.0023.3814.7310.07
Hartford Capital Appreciation HLS Fund Opens a PDF4/01/19985.4922.406.3611.179.277.9219.5812.908.89
PSF Stock Index Portfolio Opens a PDF4/17/19897.0329.9211.4714.3112.289.9025.7915.2311.62
Large-Cap Growth:
American Funds Insurance Series® Growth Fund Opens a PDF4/17/19899.4839.288.2318.0615.0012.5738.3418.5614.24
AST Large-Cap Growth Portfolio1Opens a PDF5/01/199612.1250.757.3714.6314.059.6043.4914.9213.29
Fidelity® VIP Contrafund® Portfolio Opens a PDF1/03/199513.0544.7911.9916.4012.3611.5632.9816.2411.22
Hartford Disciplined Equity HLS Fund Opens a PDF5/29/19988.6229.189.5013.1912.068.1320.8313.9111.45
PSF PGIM Jennison Blend PortfolioOpens a PDF4/17/19899.2739.058.3713.8410.999.0732.3814.6010.41
PSF PGIM Jennison Growth Portfolio Opens a PDF4/25/199513.0758.777.8517.7515.0011.2653.3518.1614.21
Large-Cap Value:
AST Large-Cap ValueOpens a PDF1/03/19942.3211.119.6410.539.107.649.6413.269.08
Franklin Income VIP Fund Opens a PDF1/06/1999-0.445.905.145.044.536.488.516.874.90
Franklin Mutual Shares VIP Fund 11Opens a PDF1/06/19993.0511.117.046.315.556.5113.357.715.32
MFS® Value SeriesOpens a PDF1/02/20024.0713.509.059.658.858.257.8211.238.41
Hartford Dividend and Growth HLS Fund Opens a PDF4/01/19982.6116.4010.2011.6810.387.6213.7813.3210.20
PSF PGIM Jennison Value Portfolio Opens a PDF4/17/19895.6621.4310.6310.807.988.5815.0911.997.60
Templeton Growth VIP Fund 13Opens a PDF1/06/19992.0716.044.004.743.114.7820.896.363.14
Mid-Cap Blend:
BNY Mellon MidCap Stock Portfolio Opens a PDF1/02/20015.4815.397.628.647.526.0417.8710.317.06
Mid-Cap Growth:
AST Mid-Cap Growth Portfolio Opens a PDF5/01/20006.8421.89-0.298.458.063.4021.8210.207.71
Fidelity® VIP MidCap Portfolio Opens a PDF12/28/19987.0415.336.7310.468.2911.5614.6912.067.75
PSF Mid-Cap Growth Portfolio Opens a PDF9/22/20007.5824.351.0112.9110.207.5223.4315.089.72
Mid-Cap Value:
American Century Investments® VP Mid Cap Value FundOpens a PDF12/01/20040.453.067.368.398.549.156.0310.948.66
Money Market:
PSF PGIM Government Money Market
7-Day Current Net Yield as of 2/29/2024: 5.01%Opens a PDF
4/17/19890.834.922.281.711.062.734.741.610.98
Small-Cap Blend:
PSF Small-Cap Stock Index Portfolio 19Opens a PDF4/25/1995-0.806.111.897.298.1310.1315.6210.588.25
Small-Cap Growth:
AST Small-Cap Growth Portfolio 14Opens a PDF1/03/19948.3417.96-3.548.748.808.0416.9811.248.48
Small-Cap Value:
AST Small-Cap Value Portfolio Opens a PDF1/02/1997-0.704.954.136.306.067.9713.649.686.23
Specialty:
AST Cohen & Steers Realty Portfolio Opens a PDF1/02/1998-1.805.604.205.767.058.3211.978.688.18
MFS® Utilities Series Portfolio Opens a PDF1/03/1995-5.69-3.234.305.235.3310.09-2.218.206.28
Neuberger Berman AMT Sustainable Equity PortfolioOpens a PDF5/01/20068.7033.8310.1013.0810.528.8026.4413.589.63
PSF Natural Resources PortfolioOpens a PDF4/17/1989-0.022.6411.2611.670.868.131.8814.071.26

The average annual total returns reflect the reinvestment of all dividends and capital gains, and the deduction of investment management fees, expenses, as well as contract’s specific Mortality and Expense Risk Charge. The returns do not reflect other life insurance contract charges (sales, administration, and actual cost of insurance) nor any applicable surrender or lapse charges, which would significantly lower the stated returns. You may obtain a personalized illustration from your licensed financial professional, which reflects the cost of your contract's insurance protection.

The yield quotation of the “7-Day Current Net Yield” more closely reflects the current earnings of the fund than the total return quotation.

The table above shows the historical performance of the select Sub-accounts of the Separate account available under this Contract. The performance in this table assumes that the subaccount was available from inception of the separate account that supports your variable life Contract, or in cases where the subaccount was created after the separate account, from inception date of the subaccount. Performance may be hypothetical for periods prior to when the subaccount was added to the separate account, when indicated by a footnote.

PLEASE REVIEW THIS MATERIAL WITH A CURRENT VARIABLE PRODUCT PROSPECTUS and PRODUCT MATERIALS (product brochure or illustration).
Investors should consider the contract and the underlying portfolios' investment objectives, risks, and charges and expenses carefully before investing. The contract's prospectus and the underlying portfolio prospectus contain information relating to investment objectives, risks, and charges and expenses as well as other important information. You should read the prospectuses carefully before investing.
An investment in the PSF PGIM Government Money Market Portfolio is neither insured nor guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Although the Portfolio seeks to preserve the value of your investment at $10.00 per share, it is possible to lose money by investing in the Portfolio. The yield quotation more closely reflects the current earnings of the Money Market Portfolio than the total return quotation.
Investing in a particular sector increases vulnerability to any single economic, political, or regulatory developments. Small cap stocks may be subject to more erratic movements than large cap stocks; foreign securities are subject to currency fluctuation and political uncertainty. Fixed income investments are subject to interest rate risks, and their value will decline as interest rates rise. These risks may result in greater share price volatility.
The Prudential Series Fund (PSF) and Advanced Series Trust (AST) investment portfolios are available to the public only through variable life and variable annuity contracts. The performance of these portfolios is not related to that of any other retail mutual funds, despite any similarities in their names, investment objectives or policies.
Life insurance contracts contain exclusions, limitations, reductions of benefits, and terms for keeping them in force. For cost and complete details for coverage, contact your licensed financial professional or refer to the prospectus.
PruLife® Custom Premier II (2014) was issued by Pruco Life Insurance Company in all states except New York, where it was issued by Pruco Life Insurance Company of New Jersey, 213 Washington Street, Newark, NJ 07102, and offered through Pruco Securities, LLC, 751 Broad Street, Newark, NJ 07102. All are Prudential Financial, Inc. companies. Prudential Investments, Prudential, the Prudential logo, and the Rock symbol are service marks of Prudential Financial, Inc. and its related entities, registered in many jurisdictions worldwide.
The policy form number for PruLife® Custom Premier II (2014) is VUL-2014 or ICC14 VUL-2014 and may be followed by state codes. This product, riders and features may not be available for all states.
Fidelity Institutional AM is a registered service mark of FMR LLC. Used with permission.

††Since Inception returns are presented for investment options with less than ten years of performance, otherwise the performance reflects for the ten year period.

1 Performance for this subaccount is hypothetical prior to May 1, 2008, when it was added to the separate account.

2 Performance for this subaccount is hypothetical prior to November 13, 2009, when it was added to the separate account.

3 Performance for this subaccount is hypothetical prior to November 20, 2009, when it was added to the separate account.

4 Performance for this subaccount is hypothetical prior to December 4, 2009, when it was added to the separate account.

5 Performance for this subaccount is hypothetical prior to May 1, 2011, when it was added to the separate account.

6 Performance for this subaccount is hypothetical prior to August 22, 2011, when it was added to the separate account.

7 Performance for this subaccount is hypothetical prior to May 1, 2012, when it was added to the separate account.

8 Performance for this subaccount is hypothetical prior to October 7, 2013, when it was added to the separate account.

9 Performance for this subaccount is hypothetical prior to May 1, 2015, when it was added to the separate account.

10 Effective August 16, 2010, the Oppenheimer Discovery Mid-Cap Growth Fund/VA was closed to new business.

11 Effective November 15, 2018, the Franklin Mutual Shares VIP Fund was closed to new money/additional deposits.

12 Effective May 02, 2022, the Invesco V.I. Technology Fund was closed to new money.

13 Effective September 12, 2022, the Templeton Growth VIP Fund was closed to new money.

14 Effective September 12, 2022, AST Small-Cap Opportunity Portfolio merged into AST Small-Cap Growth Portfolio.

15 Effective December 5, 2022, AST Moderate Multi-Asset Portfolio merged into AST Balanced Asset Allocation Portfolio.

16 Effective January 23, 2023, AST BlackRock Global Strategies Portfolio merged into AST J.P. Morgan Tactical Preservation Portfolio.

17 Effective February 27, 2023, AST American Funds Growth Allocation Portfolio and AST Wellington Management Hedged Equity Portfolio merged into AST Prudential Growth Allocation Portfolio.

18 Effective March 13, 2023, AST International Value Portfolio, AST J.P. Morgan International Equity Portfolio, and PSF International Growth Portfolio merged into AST International Equity Portfolio (formerly known as the AST International Growth Portfolio).

19 Effective June 12, 2023, PSF Small-Cap Value Portfolio merged into PSF Small-Cap Stock Index Portfolio.

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For Compliance use Only1008767-00016-00 Ed.06/2023