KANSAS CITY LIFE INSURANCE COMPANY Supplement Dated August 2, 2018 To .

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KANSAS CITY LIFE INSURANCE COMPANY Kansas City Life Variable Annuity Separate Account Kansas City Life Variable Life Separate Account Supplement dated August 2, 2018 to the Prospectuses dated May 1, 2018 for the Century II Variable Annuity Contract Century II Affinity Variable Annuity Contract Century II Freedom Variable Annuity Contract Century II Single Premium Affinity Variable Annuity Contract Century II Variable Universal Life Insurance Contract Century II Alliance Variable Universal Life Insurance Contract Century II Survivorship Variable Universal Life Insurance Contract Century II Heritage Survivorship Variable Universal Life Insurance Contract Century II Accumulator Variable Universal Life Insurance Contract Effective August 1, 2018, the Prospectuses are amended as follows: Under the heading ANNUAL PORTFOLIO OPERATING EXPENSES, please replace the information relating to American Century Variable Portfolios, Inc., and American Century Variable Portfolios II, Inc., with the following: Portfolio American Century Variable Portfolios, Inc. VP Capital Appreciation Fund – Class I VP Income & Growth Fund – Class I VP International Fund – Class I VP Mid Cap Value Fund – Class I VP Ultra Fund – Class I VP Value Fund – Class I American Century Variable Portfolios II, Inc. VP Inflation Protection Fund – Class II Acquired Total Portfolio Contractual Fee Total Portfolio Other Fund Fees Annual Waiver or Annual Operating Expenses and Operating Expense Expenses After Expenses Expenses Reimbursement Reimbursement Management Fees 12b-1/ Service Fees 1.00% NA 0.01% NA 1.01% 0.11%1 0.90% 0.70% NA 0.01% NA 0.71% NA NA 1.34% 1.00% NA NA 0.01% 0.01% NA NA 1.35% 1.01% 2 1.03% 3 0.85% 3 0.32% 0.16% 1.00% 0.96% NA NA 0.00% 0.01% NA NA 1.00% 0.97% 0.17% 0.20%4 0.83% 0.77% 0.46% 0.25% 0.01% NA 0.72% NA NA 1 The advisor has agreed to waive 0.11 percentage points of the fund’s management fee. The advisor expects this waiver to continue until July 31, 2019 and cannot terminate it prior to such date without the approval of the Board of Directors. 2 The advisor has agreed to waive 0.32 percentage points of the fund’s management fee. The advisor expects this waiver to continue until July 31, 2019 and cannot terminate it prior to such date without the approval of the Board of Directors. 3 On August 1, 2017, the advisor agreed to waive percentage points indicated of the funds' management fees, and prospectuses were supplemented. At that time, the advisor expected these waivers to continue until July 31, 2018. In January 2018, the advisor agreed to extend the waivers until April 30, 2019 and cannot terminate them prior to such date without the approval of the Board of Directors. The May 1, 2018 prospectuses will reference the new date. 4 The advisor has agreed to waive 0.20 percentage points of the fund’s management fee. The advisor expects this waiver to continue until July 31, 2019 and cannot terminate it prior to such date without the approval of the Board of Directors. THIS SUPPLEMENT SHOULD BE READ CAREFULLY TOGETHER WITH THE PROSPECTUS, AND BOTH DOCUMENTS SHOULD BE KEPT TOGETHER FOR FUTURE REFERENCE.

KANSAS CITY LIFE INSURANCE COMPANY Kansas City Life Variable Annuity Separate Account Kansas City Life Variable Life Separate Account Supplement dated August 17, 2018 to the Prospectuses dated May 1, 2018 for the Century II Variable Annuity Contract Century II Affinity Variable Annuity Contract Century II Freedom Variable Annuity Contract Century II Single Premium Affinity Variable Annuity Contract Century II Variable Universal Life Insurance Contract Century II Alliance Variable Universal Life Insurance Contract Century II Survivorship Variable Universal Life Insurance Contract Century II Heritage Survivorship Variable Universal Life Insurance Contract Century II Accumulator Variable Universal Life Insurance Contract Kansas City Life has been informed that on August 3, 2018, the shareholders of Federated Managed Tail Risk Fund II approved an Agreement and Plan of Reorganization, which provides for the reorganization of Federated Managed Tail Risk Fund II into Federated Managed Volatility Fund II. The table below identifies the Acquired Portfolio, the Surviving Portfolio, and the date on which the reorganization occurred (“Reorganization Date”). Acquired Portfolio Surviving Portfolio Reorganization Date Federated Insurance Series Federated Insurance Series Federated Managed Tail Risk Fund II – P Federated Managed Volatility Fund II – P August 17, 2018 Effective August 17, 2018, the Prospectuses are amended as follows: Replace all references of the Acquired Portfolio with that of the Surviving Portfolio. Replace the information under the heading “Annual Portfolio Operating Expenses” relating to the Acquired Portfolio with the following information relating to the Surviving Portfolio: Portfolio Federated Insurance Series Federated Managed Volatility Fund II – P Management Fee 12b-1/ Service Fees 0.75% NA Acquired Total Portfolio Contractual Fee Total Portfolio Other Fund Fees Annual Waiver or Annual Operating Expenses and Operating Expense Expenses After Expenses Expenses Reimbursement Reimbursement 0.18% 1 0.12% 1.05% 0.00% 2 1.05% 1 The Fund may incur or charge administrative service fees on its P class up to a maximum amount of 0.25%. No such fees are currently incurred or charged by the P class of the Fund. The P class of the Fund will not incur or charge such fees until such time as approved by the Fund’s Board of Trustees (the “Trustees”). 2 The Co-Advisers and certain of their affiliates, on their own initiative, have agreed to waive certain amounts of their respective fees and/or reimburse expenses. Effective May 1, 2018, total annual fund operating expenses (excluding Acquired Fund Fees and Expenses, interest expense, extraordinary expenses and proxy-related expenses paid by the Fund, if any) paid by the Fund’s P class (after the voluntary waivers and/or reimbursements) will not exceed 0.93% (the “Fee Limit”) up to but not including the later of (the “Termination Date”): (a) May 1, 2019; or (b) the date of the Fund’s next effective Prospectus. While the Co-Advisers and their affiliates currently do not anticipate terminating or increasing these arrangements prior to the Termination Date, these arrangements may only be terminated or the Fee Limit increased prior to the Termination Date with the agreement of the Trustees.

Replace the information under the heading “The Funds” relating to the Acquired Portfolio with the following information relating to the Surviving Portfolio: Federated Insurance Series Federated Managed Volatility Fund II – P (Managers: Federated Global Investment Management Corp., Federated Investment Management Company, and Federated Equity Management Company of Pennsylvania). The investment objective of the Federated Managed Volatility Fund II is to achieve high current income and moderate capital appreciation. THIS SUPPLEMENT SHOULD BE READ CAREFULLY TOGETHER WITH THE PROSPECTUS, AND BOTH DOCUMENTS SHOULD BE KEPT TOGETHER FOR FUTURE REFERENCE.

KANSAS CITY LIFE INSURANCE COMPANY Kansas City Life Variable Annuity Separate Account Kansas City Life Variable Life Separate Account Supplement dated October 1, 2018 to the Prospectuses dated May 1, 2018 for the Century II Variable Annuity Contract Century II Affinity Variable Annuity Contract Century II Freedom Variable Annuity Contract Century II Single Premium Affinity Variable Annuity Contract Century II Variable Universal Life Insurance Contract Century II Alliance Variable Universal Life Insurance Contract Century II Survivorship Variable Universal Life Insurance Contract Century II Heritage Survivorship Variable Universal Life Insurance Contract Century II Accumulator Variable Universal Life Insurance Contract Effective October 1, 2018, the Prospectuses are amended as follows: Replace the information under the heading “Annual Portfolio Operating Expenses” relating to American Funds Insurance Series Managed Risk Growth-Income Fund with the following: Portfolio American Funds Insurance Series Managed Risk Funds Managed Risk Growth-Income Fund – Class P2 Shares Management Fees 12b-1/ Service Fees 0.15% 0.25% Acquired Total Portfolio Contractual Fee Total Portfolio Other Fund Fees Annual Waiver or Annual Operating Expenses and Operating Expense Expenses After Expenses Expenses Reimbursement Reimbursement 0.30% 0.29% 0.99% 0.07%1 0.92% 1 The investment adviser is currently waiving a portion of its management fee equal to .05% of the fund’s net assets. In addition, the investment adviser is currently reimbursing a portion of the other expenses. This waiver and reimbursement will be in effect through at least October 1, 2019. The adviser may elect at its discretion to extend, modify or terminate the reimbursement at that time. The waiver may only be modified or terminated with the approval of the fund’s board. THIS SUPPLEMENT SHOULD BE READ CAREFULLY TOGETHER WITH THE PROSPECTUS, AND BOTH DOCUMENTS SHOULD BE KEPT TOGETHER FOR FUTURE REFERENCE.

FEDERATED MANAGED VOLATILITY FUND II A Portfolio of Federated Insurance Series PRIMARY SHARES SERVICE SHARES SUPPLEMENT TO SUMMARY PROSPECTUSES AND PROSPECTUSES DATED APRIL 30, 2018 Federated Managed Volatility Fund II (IFMVF) is entering into an Agreement and Plan of Reorganization (the “Agreement”) providing for: (i) the transfer of all or substantially all of the assets of Federated Managed Tail Risk Fund II (IFMTR) (which offers Primary Shares and Service Shares) (the “IFMTR Shares”) in exchange solely for Primary Shares and Service Shares of IFMVF; (ii) the distribution of Primary Shares and Service Shares of IFMVF to the holders of the outstanding IFMTR Shares; and (iii) the liquidation and termination of IFMTR upon the terms and conditions set forth in the Agreement (the “Reorganization”). The Reorganization is subject to the approval of IFMTR shareholders at a special meeting of shareholders currently scheduled for August 3, 2018. If the Reorganization is approved by IFMTR shareholders, the “Termination Date” of the voluntary waiver and/or reimbursement of expenses described in the footnote to the table in the section entitled “Risk/Return Summary: Fees and Expenses” shall be changed to the later of: (a) June 1, 2019; or (b) the date of IFMVF’s next effective Prospectus. June 19, 2018 ederated Federated Managed Volatility Fund II Federated Investors Funds 4000 Ericsson Drive Warrendale, PA 15086-7561 Contact us at FederatedInvestors.com or call 1-800-341-7400. Federated Securities Corp., Distributor Q454371 (6/18) Federated is a registered trademark of Federated Investors, Inc. 2018 Federated Investors, Inc.

American Funds Insurance Series Prospectus Supplement July 2, 2018 (for Class 1, Class 1A, Class 2, Class 3 and Class 4 shares prospectuses each dated May 1, 2018) 1. With respect to the Class 1, Class 1A, Class 2 and Class 4 shares prospectuses only, the information under the heading “Portfolio managers” in the “Management” section of the Global Small Capitalization Fund summary portion of the prospectus is amended in its entirety to read as follows: Portfolio managers The individuals primarily responsible for the portfolio management of the fund are: Portfolio manager/ Series title (if applicable) Portfolio manager experience in this fund Primary title with investment adviser 15 years Partner – Capital Research Global Investors Less than 1 year Partner – Capital Research Global Investors Claudia P. Huntington 5 years Partner – Capital Research Global Investors Harold H. La 10 years Partner – Capital Research Global Investors Aidan O’Connell 4 years Partner – Capital Research Global Investors Gregory W. Wendt 6 years Partner – Capital Research Global Investors J. Blair Frank Bradford F. Freer 2. With respect to the Class 1, Class 1A, Class 2 and Class 4 shares prospectuses only, the information under the heading “Portfolio managers” in the “Management” section of the New World Fund summary portion of the prospectus is amended in its entirety to read as follows: Portfolio managers The individuals primarily responsible for the portfolio management of the fund are: Portfolio manager/ Series title (if applicable) Carl M. Kawaja Vice President Portfolio manager experience in this fund 19 years Primary title with investment adviser Partner – Capital World Investors Bradford F. Freer 1 year Partner – Capital Research Global Investors Nicholas J. Grace 6 years Partner – Capital Research Global Investors Robert H. Neithart 6 years Partner – Capital Fixed Income Investors Tomonori Tani Less than 1 year Partner – Capital World Investors 3. With respect to the Class 1, Class 1A, Class 2 and Class 4 shares prospectuses only, the information under the heading “Portfolio managers” in the “Management” section of the Blue Chip Income and Growth Fund summary portion of the prospectus is amended in its entirety to read as follows: Portfolio managers The individuals primarily responsible for the portfolio management of the fund are: Portfolio manager/ Series title (if applicable) Portfolio manager experience in this fund Primary title with investment adviser Christopher D. Buchbinder 11 years Partner – Capital Research Global Investors James B. Lovelace 11 years Partner – Capital Research Global Investors Less than 1 year Partner – Capital Research Global Investors 6 years Partner – Capital Research Global Investors Lawrence R. Solomon James Terrile

4. With respect to the Class 1, Class 1A, Class 2 and Class 4 shares prospectuses only, the information under the heading “Portfolio managers” in the “Management” section of the Global Growth and Income Fund summary portion of the prospectus is amended in its entirety to read as follows: Portfolio managers The individuals primarily responsible for the portfolio management of the fund are: Portfolio manager/ Series title (if applicable) Michael Cohen Portfolio manager experience in this fund Less than 1 year Primary title with investment adviser Partner – Capital World Investors Bradford F. Freer 4 years Partner – Capital Research Global Investors Nicholas J. Grace 2 years Partner – Capital Research Global Investors Andrew B. Suzman 9 years Partner – Capital World Investors 5. The information under the heading “Portfolio managers” in the “Management” section of the Growth-Income Fund summary portion of the prospectus is amended in its entirety to read as follow: Portfolio managers The individuals primarily responsible for the portfolio management of the fund are: Portfolio manager/ Series title (if applicable) Portfolio manager experience in this fund Primary title with investment adviser Donald D. O’Neal Vice Chairman of the Board 13 years Partner – Capital International Investors Dylan Yolles Vice President 13 years Partner – Capital International Investors J. Blair Frank 12 years Partner – Capital Research Global Investors Claudia P. Huntington 24 years Partner – Capital Research Global Investors S. Keiko McKibben 4 years Partner – Capital Research Global Investors William L. Robbins 6 years Partner – Capital International Investors 6. The information under the heading “Portfolio managers” in the “Management” section of the Asset Allocation Fund summary portion of the prospectus is amended in its entirety to read as follow: Portfolio managers The individuals primarily responsible for the portfolio management of the fund are: Portfolio manager/ Series title (if applicable) Portfolio manager experience in this fund Primary title with investment adviser Alan N. Berro President 18 years Partner – Capital World Investors David A. Daigle 9 years Partner – Capital Fixed Income Investors Peter Eliot 2 years Partner – Capital International Investors Jeffrey T. Lager 11 years Partner – Capital International Investors Jin Lee Less than 1 year Partner – Capital World Investors James R. Mulally 12 years Partner – Capital Fixed Income Investors John R. Queen 2 years Partner – Capital Fixed Income Investors 7. The table under the heading “The Capital SystemSM” in the “Management and organization” section of the prospectus is amended in its entirety to read as follows: Portfolio manager for the Series/Title (if applicable) Primary title with investment adviser (or affiliate) and investment experience Portfolio manager’s role in management of, and experience in, the fund(s) Donald D. O’Neal Vice Chairman of the Board Partner – Capital International Investors Investment professional for 33 years, all with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Growth-Income Fund — 13 years Alan N. Berro President Partner – Capital World Investors Investment professional for 32 years in total; 27 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Asset Allocation Fund — 18 years Carl M. Kawaja Vice President Partner – Capital World Investors Investment professional for 31 years in total; 27 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: New World Fund — 19 years

Portfolio manager for the Series/Title (if applicable) Primary title with investment adviser (or affiliate) and investment experience Portfolio manager’s role in management of, and experience in, the fund(s) Sung Lee Vice President Partner – Capital Research Global Investors Investment professional for 24 years, all with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: International Fund — 12 years International Growth and Income Fund — 10 years Dylan Yolles Vice President Partner – Capital International Investors Investment professional for 21 years in total; 18 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Growth-Income Fund — 13 years (plus 5 years of prior experience as an investment analyst for the fund) Hilda L. Applbaum Partner – Capital World Investors Investment professional for 31 years in total; 23 years with Capital Research and Management Company or affiliate Serves as an equity/fixed-income portfolio manager for: Global Balanced Fund — 7 years Pramod Atluri Vice President – Capital Fixed Income Investors Investment professional for 20 years in total; 2 years with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: Bond Fund — 2 years L. Alfonso Barroso Partner – Capital Research Global Investors Investment professional for 24 years, all with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: International Fund — 9 years David J. Betanzos Partner – Capital Fixed Income Investors Investment professional for 18 years in total; 16 years with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: Capital Income Builder — 4 years Mortgage Fund — 4 years U.S. Government/AAA-Rated Securities Fund — 3 years Mark A. Brett Partner – Capital Fixed Income Investors Investment professional for 39 years in total; 25 years with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: Global Balanced Fund — 7 years Global Bond Fund — 3 years Christopher D. Buchbinder Partner – Capital Research Global Investors Investment professional for 23 years, all with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Blue Chip Income and Growth Fund — 11 years Mark L. Casey Partner – Capital International Investors Investment professional for 18 years, all with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Growth Fund — 1 year (plus 11 years of prior experience as an investment analyst for the fund) Thomas H. Chow Vice President – Capital Fixed Income Investors Investment professional for 29 years in total; 3 years with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: High-Income Bond Fund — 3 years Michael Cohen Partner – Capital World Investors Investment professional for 28 years in total; 18 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Global Growth and Income Fund — Less than 1 year Patrice Collette Partner – Capital World Investors Investment professional for 24 years in total, 18 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Global Growth Fund — 3 years (plus 14 years of prior experience as an investment analyst for the fund) David A. Daigle Partner – Capital Fixed Income Investors Investment professional for 24 years, all with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: Asset Allocation Fund — 9 years Global Bond Fund — 3 years High-Income Bond Fund — 9 years (plus 9 years of prior experience as an investment analyst for the fund) Gerald Du Manoir Partner – Capital International Investors Investment professional for 28 years, all with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Capital Income Builder — 1 year

Portfolio manager for the Series/Title (if applicable) Primary title with investment adviser (or affiliate) and investment experience Portfolio manager’s role in management of, and experience in, the fund(s) Peter Eliot Partner – Capital International Investors Investment professional for 23 years in total; 14 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Asset Allocation Fund — 2 years Paul Flynn Partner – Capital World Investors Investment professional for 22 years in total; 20 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Global Growth Fund — 1 year Global Balanced Fund — 5 years J. Blair Frank Partner – Capital Research Global Investors Investment professional for 25 years in total; 24 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Global Small Capitalization Fund — 15 years Growth-Income Fund — 12 years Bradford F. Freer Partner – Capital Research Global Investors Investment professional for 26 years in total; 24 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: New World Fund — 1 year (plus 13 years of prior experience as an investment analyst for the fund) Global Growth and Income Fund — 4 years (plus 6 years of prior experience as an investment analyst for the fund) Global Small Capitalization Fund – Less than 1 year Nicholas J. Grace Partner – Capital Research Global Investors Investment professional for 28 years in total; 24 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: New World Fund — 6 years (plus 8 years of prior experience as an investment analyst for the fund) Global Growth and Income Fund — 2 years David A. Hoag Partner – Capital Fixed Income Investors Investment professional for 30 years in total; 27 years with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: Bond Fund — 11 years Thomas H. Høgh Partner – Capital Fixed Income Investors Investment professional for 31 years in total; 28 years with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: Global Bond Fund — 12 years Claudia P. Huntington Partner – Capital Research Global Investors Investment professional for 45 years in total; 43 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Global Small Capitalization Fund — 5 years Growth-Income Fund — 24 years (plus 5 years of prior experience as an investment analyst for the fund) Michael T. Kerr Partner – Capital International Investors Investment professional for 35 years in total; 33 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Growth Fund — 13 years Jonathan Knowles Partner – Capital World Investors Investment professional for 26 years, all with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Global Growth Fund — 5 years (plus 10 years of prior experience as an investment analyst for the fund) Harold H. La Partner – Capital Research Global Investors Investment professional for 20 years in total; 19 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Global Small Capitalization Fund — 10 years (plus 4 years of prior experience as an investment analyst for the fund) Jeffrey T. Lager Partner – Capital International Investors Investment professional for 23 years in total; 22 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Asset Allocation Fund — 11 years Jin Lee Partner – Capital World Investors Investment professional for 22 years in total; 21 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Asset Allocation Fund — Less than 1 year Steven D. Lotwin Partner – Capital Fixed Income Investors Investment professional for 17 years, all with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: Ultra-Short Bond Fund — Less than 1 year

Portfolio manager for the Series/Title (if applicable) Primary title with investment adviser (or affiliate) and investment experience Portfolio manager’s role in management of, and experience in, the fund(s) James B. Lovelace Partner – Capital Research Global Investors Investment professional for 36 years, all with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Blue Chip Income and Growth Fund — 11 years Jesper Lyckeus Partner – Capital Research Global Investors Investment professional for 23 years in total; 22 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: International Fund — 11 years (plus 8 years of prior experience as an investment analyst for the fund) International Growth and Income Fund — 10 years Fergus N. MacDonald Partner – Capital Fixed Income Investors Investment professional for 26 years in total; 15 years with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: Mortgage Fund — 7 years U.S. Government/AAA-Rated Securities Fund — 8 years S. Keiko McKibben Partner – Capital Research Global Investors Investment professional for 22 years in total; 20 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Growth-Income Fund — 4 years (plus 10 years of prior experience as an investment analyst for the fund) James R. Mulally Partner – Capital Fixed Income Investors Investment professional for 42 years in total; 38 years with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: Asset Allocation Fund — 12 years Robert H. Neithart Partner – Capital Fixed Income Investors Investment professional for 31 years, all with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: New World Fund — 6 years (plus 2 years of prior experience as an investment analyst for the fund) Global Balanced Fund — 7 years Global Bond Fund — 5 years Aidan O’Connell Partner – Capital Research Global Investors Investment professional for 20 years in total; 14 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Global Small Capitalization Fund — 4 years (plus 9 years of prior experience as an investment analyst for the fund) John R. Queen Partner – Capital Fixed Income Investors Investment professional for 27 years in total; 15 years with Capital Research and Management Company or affiliate Serves as a fixed-income portfolio manager for: Asset Allocation Fund — 2 years Andraz Razen Partner – Capital World Investors Investment professional for 20 years in total; 14 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Growth Fund — 5 years (plus 3 years of prior experience as an investment analyst for the fund) David M. Riley Partner – Capital Research Global Investors Investment professional for 24 years, all with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: International Growth and Income Fund — 10 years William L. Robbins Partner – Capital International Investors Investment professional for 26 years in total; 23 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Growth-Income Fund — 6 years (plus 12 years of prior experience as an investment analyst for the fund) Martin Romo Partner – Capital Research Global Investors Investment professional for 26 years in total; 25 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Growth Fund — 2 years (plus 15 years of prior experience as an investment analyst for the fund) Lawrence R. Solomon Partner – Capital Research Global Investors Investment professional for 34 years in total; 33 years with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Blue Chip Income and Growth Fund — Less than 1 year Andrew B. Suzman Partner – Capital World Investors Investment professional for 25 years, all with Capital Research and Management Company or affiliate Serves as an equity portfolio manager for: Global Growth and Income Fund — 9 years

Portfolio manager for the Series

KANSAS CITY LIFE INSURANCE COMPANY. Kansas City Life Variable Annuity Separate Account. Kansas City Life Variable Life Separate Account. Supplement dated August 17, 2018 to the Prospectuses dated May 1, 2018 for the. Century II Variable Annuity Contract. Century II Affinity Variable Annuity Contract. Century II Freedom Variable Annuity Contract

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