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Effective Date:

ECI Plus 5

annual point-to-point : 5-year surrender and MVA* period : fixed interest crediting 4.25%
Rate Enhanced Rate
Cap Rate: S&P 500 Index 9.00% 12.00%
Par Rate: S&P 500 Index 55% 70%
Par Rate: S&P MARC 5% ER Index 190% 245%
Par Rate: S&P 500 Daily RC 5% ER Index 190% 245%
Par Rate: S&P 500 ESG Daily RC 5% ER Index 190% 245%
Par Rate: BofA Global MegaTrends Index 135% 170%

ECI Plus 7

annual point-to-point : 7-year surrender and MVA* period : fixed interest crediting 4.25%
Rate Enhanced Rate
Cap Rate: S&P 500 Index 9.50% 12.50%
Par Rate: S&P 500 Index 57% 72%
Par Rate: S&P MARC 5% ER Index 195% 250%
Par Rate: S&P 500 Daily RC 5% ER Index 195% 250%
Par Rate: S&P 500 ESG Daily RC 5% ER Index 195% 250%
Par Rate: BofA Global MegaTrends Index 140% 175%

ECI Plus 10

annual point-to-point : 10-year surrender and MVA* period : fixed interest crediting 4.25%
Rate Enhanced Rate
Cap Rate: S&P 500 Index 9.00% 12.00%
Par Rate: S&P 500 Index 57% 72%
Par Rate: S&P MARC 5% ER Index 200% 255%
Par Rate: S&P 500 Daily RC 5% ER Index 200% 255%
Par Rate: S&P 500 ESG Daily RC 5% ER Index 200% 255%
Par Rate: BofA Global MegaTrends Index 145% 180%

* No MVA on products sold in California.

Effective Date:

ISA 5

annual point-to-point : 5-year surrender and MVA* period : fixed interest crediting 4.75%
$15,000 $100,000
Cap Rate 8.50% 8.75%
Participation Rate 54% 56%

ISA 7

annual point-to-point : 7-year surrender and MVA* period : fixed interest crediting 4.75%
$15,000 $100,000
Cap Rate 8.65% 8.90%
Participation Rate 55% 57%

ISA 10

annual point-to-point : 10-year surrender and MVA* period : fixed interest crediting 4.75%
$15,000 $100,000
Cap Rate 8.40% 8.65%
Participation Rate 54% 56%

* No MVA on products sold in California.

Effective Date:

MCA 3

3-year repeating guarantee : 3-year repeating surrender and MVA* period
$15,000 $100,000
Crediting Rate 3.80% 4.10%
Crediting Rate Interest-Only Withdrawal 3.75% 4.05%
Crediting Rate 10% Withdrawal Provision 3.70% 4.00%
Principal Guarantee Crediting Rate 3.60% 3.90%

MCA 5

5-year repeating guarantee : 5-year repeating surrender and MVA* period
$15,000 $100,000
Crediting Rate 4.35% 4.65%
Crediting Rate Interest-Only Withdrawal 4.30% 4.60%
Crediting Rate 10% Withdrawal Provision 4.25% 4.55%
Principal Guarantee Crediting Rate 4.15% 4.45%

MCA 7

7-year repeating guarantee : 7-year repeating surrender and MVA* period
$15,000 $100,000
Crediting Rate 4.25% 4.55%
Crediting Rate Interest-Only Withdrawal 4.20% 4.50%
Crediting Rate 10% Withdrawal Provision 4.15% 4.45%
Principal Guarantee Crediting Rate 4.05% 4.35%

* No MVA on products sold in California.
Crediting Rate does not include an optional withdrawal provision.
Principal Guarantee Crediting Rate includes a 10% withdrawal provision.

Effective Date:

Total Choice Annuity 3

3-year repeating guarantee : 3-year repeating surrender period
$15,000
Crediting Rate 3.70%
Principal Guarantee Crediting Rate 3.60%

Total Choice Annuity 5

5-year repeating guarantee : 5-year repeating surrender period
$15,000
Crediting Rate 4.15%
Principal Guarantee Crediting Rate 4.05%

Total Choice Annuity 7

7-year repeating guarantee : 7-year repeating surrender period
$15,000
Crediting Rate 4.10%
Principal Guarantee Crediting Rate 4.00%

For producers only. Not for use with consumers.

Not FDIC-Insured • No Bank Guarantee • May Lose Value • Not Insured by Any Federal Government Agency • Not a Bank Deposit

Distributor: Cetera Financial Group


45-Day Rate Lock:
We'll lock a fixed interest crediting rate, cap rate or participation rate for 45 calendar days from the date we receive the original application, according to the timeline below. We don’t provide a rate lock for minimum guaranteed rates.
If we receive the expected premium within the 45-day period, your client receives the locked-in rate or the rate on the date we receive the premium ─ whichever is higher.

  • If rates are increasing: Premium must arrive on or after the date of the rate increase.
  • If rates are decreasing: Sign and date the application and all required supplemental forms before the date of the rate decrease. We must receive all documents in our home office within seven business days of the rate change, including the date of the rate change.


Guaranteed Minimum Interest Rates:

  • ECI Plus Participation Rate: 10%  |  ECI Plus Enhanced Participation Rate: 10%  |  ECI Plus Fixed Rate: 0.10%
  • ECI Participation Rate: 10%  |  ECI Enhanced Participation Rate: 10%  |  ECI Fixed Rate: 0.10%
  • ISA Rate Cap: 1.00%  |  ISA Participation Rate: 10%  |  ISA Fixed Rate: 0.10%
  • Multi-Choice Annuity: 0.10%
  • Total Choice Annuity: 0.10%


Products of Standard Insurance Company. Rates may change without notice. Product features and availability varies by state. 

The S&P 500® Index, S&P MARC 5% Excess Return Index, S&P 500 Daily Risk Control 5% Excess Return Index and the S&P 500 ESG Daily Risk Control 5% Excess Return Index are products of S&P Dow Jones Indices LLC or its affiliates (“SPDJI”) and have been licensed for use by Standard Insurance Company. S&P®, S&P 500®, US 500, The 500, iBoxx®, iTraxx® and CDX® are trademarks of S&P Global, Inc. or its affiliates (“S&P”); Dow Jones® is a registered trademark of Dow Jones Trademark Holdings LLC (“Dow Jones”); and these trademarks have been licensed for use by SPDJI and sublicensed for certain purposes by Standard Insurance Company. Standard Insurance Company products are not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P, their respective affiliates, and none of such parties make any representation regarding the advisability of investing in such product(s) nor do they have any liability for any errors, omissions, or interruptions of the S&P 500® Index, S&P MARC 5% Excess Return Index, S&P 500 Daily Risk Control 5% Excess Return Index and the S&P 500 ESG Daily Risk Control 5% Excess Return Index.

BofA Securities, Inc. and its Affiliates (“BofAS”), BofA Global MegaTrends Index (the “Index”) and related information, the name “BofAS”, and related trademarks, are intellectual property of BofAS, licensed from BofAS to Standard Insurance Company (“Licensee”). In connection with the Index, BofAS has licensed the use of certain marks and data from Salt Financial LLC (collectively with BofAS, the “Licensors”). Neither the Licensee nor any fixed index annuity product (“Product”) referencing the Index is sponsored, operated, endorsed, sold or promoted by the Licensors. Obligations to make payments under any Product are solely the obligation of Licensee pursuant to the term of the contract between Licensee and you, and are not the responsibility of the Licensors. The Licensors, the Index and related information, the names of the Licensors, and related trademarks may not be copied, used, or distributed without the relevant Licensors’ prior written approval. The Products have not been passed on as to their legality or suitability, and are not regulated, issued, endorsed, sold, guaranteed, or promoted by the Licensors. The Licensors’ only relationship to Licensee is the licensing (or sublicensing) of certain trademarks and trade names and the Index or components thereof and the Licensors are not party to any transaction contemplated herein. THE LICENSORS MAKE NO WARRANTIES AND BEAR NO LIABILITY WITH RESPECT TO THE INDEX, ANY RELATED INFORMATION, THE TRADEMARKS, OR THE PRODUCT(S) (INCLUDING WITHOUT LIMITATION, THEIR QUALITY, ACCURACY, SUITABILITY AND/OR COMPLETENESS).

MSCI indexes are the exclusive property of MSCI Inc. (“MSCI”). MSCI and the MSCI index names are service mark(s) of MSCI or its affiliates and have been licensed for use for certain purposes by BofA Securities, Inc. The fixed index annuity product referred to herein is not sponsored, endorsed, or promoted by MSCI, and MSCI bears no liability with respect to such fixed index annuity product. The annuity contract contains a more detailed description of the limited relationship MSCI has with BofA Securities, Inc. and any related fixed index annuity product. No purchaser, seller or holder of this fixed index annuity product, or any other person or entity, should use or refer to any MSCI trade name, trademark or service mark to sponsor, endorse, market or promote this fixed index annuity product without first contacting MSCI to determine whether MSCI’s permission is required. Under no circumstances may any person or entity claim any affiliation with MSCI without the prior written permission of MSCI. Additional information about MSCI Inc. with respect to, among other matters, licensing, trademarks and limitation of liability can be found at MSCIDisclaimer.pdf (ml.com).

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