Fund Information   
 Investment ObjectivePrincipal Investment StrategiesPrincipal Investment Risks
 Performance 

Portfolio Information  
  Portfolio Turnover Rate Asset Allocation
as of 6/30/2018
Equity Industry Allocation  
  Fixed Income Sector Allocation Fixed Income Quality Top Ten Holdings  
  Manager Biography


Fund Information for Mutual of America's Group Products (Except Defined Benefit and Pension Investment Contract), SEP and SIMPLE Contracts Separate Account No. 2 - Standard Pricing
Fidelity® VIP Asset Manager Portfolio
Investment ObjectiveReturn to Top

The fund seeks to obtain high total return with reduced risk over the long term by allocating its assets among stocks, bonds, and short-term instruments.


Fund Information for Mutual of America's Group Products (Except Defined Benefit and Pension Investment Contract), SEP and SIMPLE Contracts Separate Account No. 2 - Standard Pricing
Fidelity® VIP Asset Manager Portfolio
Principal Investment StrategiesReturn to Top

  • Allocating the fund’s assets among three main asset classes: the stock class (equity securities of all types), the bond class (fixed-income securities of all types, maturing in more than one year, including lower-quality debt securities which are sometimes referred to as high yield debt securities or junk bonds), and the short-term/money market class (fixed-income securities of all types maturing in one year or less);
  • Maintaining a neutral mix over time of 50% of assets in stocks, 50% of assets in bonds, and 20% of assets in short-term and money market instruments.

  • Adjusting allocation among asset classes gradually within the following ranges: stock class (30%-70%), bond class (20%-60%), and short-term/money market class (0%-50%).

  • Investing in domestic and foreign issuers.

  • Investing in Fidelity’s central funds (specialized investment vehicles used by Fidelity® funds to invest in particular security types or investment disciplines).

     


Fund Information for Mutual of America's Group Products (Except Defined Benefit and Pension Investment Contract), SEP and SIMPLE Contracts Separate Account No. 2 - Standard Pricing
Fidelity® VIP Asset Manager Portfolio
Principal Investment RisksReturn to Top

An investment in the Fund is subject to the following risks which are described in more detail in the Statutory Prospectus.

Stock Market Volatility. Stock markets are volatile and can decline significantly in response to adverse issuer, political, regulatory, market, or economic developments. Different parts of the market, including different market sectors, and different types of securities can react differently to these developments.

Interest Rate Changes. Interest rate increases can cause the price of a debt security to decrease.

Foreign Exposure. Foreign markets, particularly emerging markets, can be more volatile than the U.S. market due to increased risks of adverse issuer, political, regulatory, market, or economic developments and can perform differently from the U.S. market. Emerging markets can be subject to greater social, economic, regulatory, and political uncertainties and can be extremely volatile. Foreign exchange rates also can be extremely volatile.

Prepayment. The ability of an issuer of a debt security to repay principal prior to a security’s maturity can cause greater price volatility if interest rates change.

Issuer-Specific Changes. The value of an individual security or particular type of security can be more volatile than, and can perform differently from, the market as a whole. Lower-quality debt securities (those of less than investment-grade quality, also referred to as high yield debt securities or junk bonds) and certain types of other securities involve greater risk of default or price changes due to changes in the credit quality of the issuer. The value of lower-quality debt securities and certain types of other securities can be more volatile due to increased sensitivity to adverse issuer, political, regulatory, market, or economic developments.

You could lose money by investing in the fund.


Fund Information for Mutual of America's Group Products (Except Defined Benefit and Pension Investment Contract), SEP and SIMPLE Contracts Separate Account No. 2 - Standard Pricing
Fidelity® VIP Asset Manager Portfolio
Performance Return to Top


TOTAL RETURN PERFORMANCE DATA
FOR MUTUAL OF AMERICA GROUP PRODUCTS (EXCEPT DEFINED BENEFIT AND PENSION INVESTMENT CONTRACT), SEP AND SIMPLE CONTRACTS SEPARATE ACCOUNT NO. 2 - STANDARD PRICING
AS OF 8/17/2018
Year to Date 0.88%
FOR PERIODS ENDED 7/31/2018
Prior 3 Months 1.98%
ANNUALIZED
Prior 1 Year 5.34%
Prior 3 Years 3.45%
Prior 5 Years 5.24%
Prior 10 Years 4.63%
Date of Inception1 5/1/1995

1 Date of Inception shown is the date the Underlying Fund became available to the Separate Account, in accordance with a current SEC staff position. An Underlying Fund may have begun operations at an earlier date.



The performance data shown represent past performance, which is not a guarantee of future results. Investment returns and unit values will fluctuate so that units, when redeemed, may be worth more or less than their original cost. Investment Fund total return performance currently may be lower or higher than the figures stated above.

The total return performance data are based on a hypothetical investment of $1,000, which is redeemed at the end of the periods shown. The total return figures reflect the reinvestment of investment income and capital gains and losses, and are net of expenses which include a contract fee, an expense risk fee, administrative charges, a distribution expense charge and Underlying Funds fees and expenses.

The total return figures for periods extending beyond a year are average rates of return and do not reflect the Funds' actual year-to-year results, which varied over the periods shown. Contributions or withdrawals made within a period would experience different rates of return based on the unit values on the dates of such transactions.

The transfer agent and distributor for the Fidelity VIP Portfolios and the investment advisers for the PIMCO Variable Insurance Trust Real Return Portfolio, and the T. Rowe Price Blue Chip Growth Portfolio reimburse Mutual of America Life Insurance Company for certain administrative expenses or services Mutual of America provides. We pass these reimbursements on to our contractholders, and as such, the Separate Account expenses for the corresponding Separate Account Funds are reduced to the extent Mutual of America receives such reimbursements. Without such reimbursements, the performance returns of the corresponding Separate Account Funds would have been lower. Please refer to the prospectuses of these Underlying Funds for more information on such expense reimbursements.

Fund Information for Mutual of America's Group Products (Except Defined Benefit and Pension Investment Contract), SEP and SIMPLE Contracts Separate Account No. 2 - Standard Pricing
Fidelity® VIP Asset Manager Portfolio
Portfolio Turnover RateReturn to Top

Portfolio Turnover Rate(%): 26%*

*Excludes all short-term securities.


Portfolio Information for the Fidelity® VIP Asset Manager Portfolio
Asset Allocation as of 6/30/2018
(reflects most recent information available)
Return to Top

         
  Asset Allocation
Asset Type % of Portfolio
Equities53.3%
Fixed Income38.4%
Cash8.3%
 
The above Portfolio Information is provided to illustrate the types of securities in which the Portfolio may invest. The information is subject to change and may not represent the Portfolio's current or future holdings.
Portfolio Information for the Fidelity® VIP Asset Manager Portfolio
Equity Industry Allocation as of 6/30/2018
Return to Top

         
  Equity Industry Allocation
Industry % of Equity Holdings
Cash 0.0%
Materials4.1%
Industrials10.1%
Telecomunication Services1.8%
Consumer Discretionary12.5%
Consumer Staples6.8%
Energy6.1%
Financials19.3%
Healthcare12.4%
Information Technology20.0%
Real Estate4.2%
Utilities2.7%
 
The above Portfolio Information is provided to illustrate the types of securities in which the Portfolio may invest. The information is subject to change and may not represent the Portfolio's current or future holdings.
Portfolio Information for the Fidelity® VIP Asset Manager Portfolio
Fixed Income Sector Allocation as of 6/30/2018
Return to Top

         
  Fixed Income Sector Allocation
Sector % of Fixed Income
Holdings
Cash and Other9.9%
U.S. Govt. Treasuries43.9%
U.S. Govt. Agencies0.0%
Mortgage Backed19.0%
Corporates26.1%
Foreign & Yankee0.0%
Utilities0.0%
Municipals0.0%
Asset/Commercial Mtge Backed1.1%
Telephone0.0%
Intl0.0%
Other0.0%
 
The above Portfolio Information is provided to illustrate the types of securities in which the Portfolio may invest. The information is subject to change and may not represent the Portfolio's current or future holdings.
Portfolio Information for the Fidelity® VIP Asset Manager Portfolio
Fixed Income Quality as of 6/30/2018
Return to Top

         
  Fixed Income Quality
Rating % of Fixed Income
Holdings
AAA0.2%
AA65.6%
A9.9%
BBB16.7%
BB4.5%
B2.8%
CCC and Below0.3%
Not Rated/Not Available0.0%
 
The above Portfolio Information is provided to illustrate the types of securities in which the Portfolio may invest. The information is subject to change and may not represent the Portfolio's current or future holdings.

Portfolio Information for the Fidelity® VIP Asset Manager Portfolio
Top Ten Holdings as of 6/30/2018
(reflects most recent information available)
Return to Top



Company % of Portfolio



The above Portfolio Information is provided to illustrate the types of securities in which the Portfolio may invest. The information is subject to change and may not represent the Portfolio's current or future holdings.

Portfolio Information for the Fidelity® VIP Asset Manager Portfolio
Manager Biography Return to Top


Geoffrey Stein is lead portfolio manager of the fund, which he has managed since June 2009. He also manages other funds. Since joining Fidelity Investments in 1994, Mr. Stein has worked as director of the Portfolio Analysis Group, director of Portfolio Strategy for Strategic Advisers, Inc., and as a portfolio manager.

Robert Bertelson is co-manager of the fund, which he has managed the since January 2006. He also manages other funds. Since joining Fidelity Investments in 1991, Mr. Bertelson has worked as a research analyst and portfolio manager.


Before investing, you should carefully consider the investment objectives, risks, charges and expenses of the variable annuity contract and the underlying investment funds. This and other information is contained in the contract prospectus or brochure and underlying funds prospectuses and summary prospectuses. Please read the contract prospectus or brochure and underlying fund prospectuses and summary prospectuses carefully before investing. The contract prospectus or brochure and underlying fund prospectuses and summary prospectuses can be obtained by mail or by calling 1-800-468-3785.



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