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Ibbotson ETF Allocation Series Class II
Cumulative Total Return as of 7/31/2010 Average Annual Total Return as of 6/30/2010 Expense Ratio
1 Month 3 Month YTD 1 Year 3 Year Since Incpt.† 1 Year 3 Year Since Incpt.† Gross‡ Net
Ibbotson Conservative ETF Asset Allocation Portfolio Class II - CETFX  (NAV: $10.85*)
2.07% 0.65% 3.04% 7.19% 2.92% 9.24% 7.22% 2.32% 2.17% 1.37% 0.90%
Dow Jones Conservative Benchmark1
1.99% 1.79% 5.77% 10.41% 5.96% 18.88% 11.31% 5.25% 4.96%    
Conservative Benchmark2
2.25% 1.47% 5.14% 9.90% 4.75% 15.49% 10.48% 4.07% 3.66%    
Ibbotson Income & Growth ETF Asset Allocation Portfolio Class II - IETFX  (NAV: $10.07*)
3.39% -0.69% 2.55% 9.29% 0.61% 1.43% 9.61% -0.70% -0.60% 1.24% 0.91%
Dow Jones Moderately Conservative Benchmark3
3.17% -0.35% 5.20% 12.64% 2.84% 7.74% 13.77% 1.36% 1.38%    
Income & Growth Benchmark4
3.44% -0.57% 3.83% 10.88% 1.87% 6.59% 11.47% 0.60% 0.54%    
Ibbotson Balanced ETF Asset Allocation Portfolio Class II - BETFX  (NAV: $9.40*)
5.03% -1.88% 2.51% 11.95% -1.39% -5.18% 12.29% -3.57% -3.18% 1.10% 0.91%
Dow Jones Moderate Benchmark5
4.46% -2.71% 4.47% 14.89% 0.27% -0.58% 16.24% -1.96% -1.55%    
Balanced Benchmark6
4.63% -2.61% 2.51% 11.87% -1.02% -2.31% 12.46% -2.87% -2.58%    
Ibbotson Growth ETF Asset Allocation Portfolio Class II - GETFX  (NAV: $8.68*)
6.50% -3.34% 1.76% 13.65% -3.96% -12.48% 14.13% -6.74% -6.01% 1.10% 0.92%
Dow Jones Moderately Aggressive Benchmark7
5.76% -5.11% 3.60% 17.05% -2.34% -8.52% 18.69% -5.24% -4.48%    
Growth Benchmark8
5.82% -4.65% 1.20% 12.85% -3.90% -11.21% 13.44% -6.34% -5.70%    
Ibbotson Aggressive Growth ETF Asset Allocation Portfolio Class II - AGTFX  (NAV: $8.20*)
7.47% -3.64% 1.74% 14.76% -5.78% -17.37% 15.09% -8.90% -7.96% 1.76% 0.94%
Dow Jones Aggressive Benchmark9
7.06% -7.28% 2.97% 19.50% -4.81% -15.72% 21.46% -8.33% -7.28%    
Aggressive Growth Benchmark10
6.41% -5.67% 0.54% 13.34% -5.34% -15.66% 13.94% -8.08% -7.26%    

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted.

The performance shown here does not reflect the impact of costs associated with variable contracts, qualified pension and retirement plans or registered and unregistered separate accounts which when deducted will reduce the return figures shown.

* NAV as of 7/31/2010

† Inception date is 4/30/2007

‡ The Advisor and Subadvisor have contractually agreed to jointly waive its management fee and subadvisory fee, respectively, and/or reimburse expenses so that total annual fund operating expenses ("gross expense ratio") excluding acquired fund fees and expenses and extraordinary expenses, do not exceed a maximum of 0.73% of Class II shares average daily net assets through April 30, 2011. The addition of excluded expenses may cause the gross expense ratio to exceed 0.73%.

An investor cannot invest directly in an index.

For more information regarding the benchmarks, please read the index definitions.

1 Benchmark is based on the Dow Jones Relative Risk Index and consists of 20% equities and 80% fixed income.
2 Blended benchmark of 20% S&P 500 Index/80% Barclays Capital U.S. Aggregate Bond Index.
3 Benchmark is based on the Dow Jones Relative Risk Index and consists of 40% equities and 60% fixed income.
4 Blended benchmark of 40% S&P 500 Index/60% Barclays Capital U.S. Aggregate Bond Index.
5 Benchmark is based on the Dow Jones Relative Risk Index and consists of 60% equities and 40% fixed income.
6 Blended benchmark of 60% S&P 500 Index/40% Barclays Capital U.S. Aggregate Bond Index.
7 Benchmark is based on the Dow Jones Relative Risk Index and consists of 80% equities and 20% fixed income.
8 Blended benchmark of 80% S&P 500 Index/20% Barclays Capital U.S. Aggregate Bond Index.
9 Benchmark is based on the Dow Jones Relative Risk Index and consists of 100% stocks.
10 Blended benchmark of 90% S&P 500 Index/10% Barclays Capital U.S. Aggregate Bond Index.

The Ibbotson ETF Allocation Series Portfolios are not Exchange Traded Funds (ETFs), instead they consist of five risk-based asset allocation portfolios that invest in underlying ETFs, which are typically open-end investment companies or unit investment trusts.

Asset allocation cannot assure a profit nor protect against a loss.

An investor should consider the investment objectives, risks, charges and expenses of the Fund (or of the Investment Company) carefully before investing. To obtain a prospectus containing this and other information, please call 1-866-432-2926. Read the prospectus carefully before you invest.

Investing involves risk including loss of principle. Additional information regarding the risks of this investment is available by clicking the disclosure link at the top of the page.

Shares of the Portfolios are offered only to participating insurance companies and their separate accounts to fund the benefits of Variable Contracts, and to qualified pension and retirement plans and registered and unregistered separate accounts.

ALPS Distributors, Inc. is the distributor for the Ibbotson Portfolios. ALPS Advisors, Inc. is the investment adviser to the Portfolio and Ibbotson Associates, Inc. is the investment sub-adviser to the Portfolio. ALPS and Ibbotson Associates are unaffiliated entities.

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