Investment Manager
Jackson

JNL/Mellon Financial Sector I

As of 02/28/26

Operations

Gross Expense Ratio (04/28/25) 0.34% of fund assets
Net Expense Ratio (04/28/25) 0.29% of fund assets
Inception Date 07/02/99
Advisor Jackson National Asset Management LLC
Subadvisor Mellon Investments Corporation

Prospectus Benchmarks**

Primary Morningstar US Market Ext TR USD
Secondary Morningstar US Fin Svc TR USD

Portfolio Managers

David France 2020; Marlene Walker-Smith 2020; Michael Stoll 2020; Todd Frysinger 2020; Vlasta Sheremeta 2020

These portfolios are only available as sub-accounts within variable annuity products. Variable annuities are long-term, tax-deferred investments designed for retirement, involve investment risks and may lose value. Earnings are taxable as ordinary income when distributed. Individuals may be subject to a 10% additional tax for withdrawals before age 59½ unless an exception to the tax is met.

Portfolio Composition 12/31/25

Asset Allocation

188
10%
$1,393.83
Assets
Berkshire Hathaway Inc Class B 10.86%
JPMorgan Chase & Co 10.39%
Visa Inc Class A 7.00%
Mastercard Inc Class A 5.52%
Bank of America Corp 4.32%
Wells Fargo & Co 3.44%
The Goldman Sachs Group Inc 3.10%
Morgan Stanley 2.57%
Citigroup Inc 2.45%
American Express Co 2.35%
Assets
United States 98.55%
Switzerland 1.35%
Puerto Rico 0.10%
Morningstar Category
Financial
Overall Morningstar RatingTM
Star Rating
Morningstar Return
Above Average
Morningstar Risk
Below Average
Out of 97 Financial funds. An investment’s overall Morningstar Rating, based on its risk-adjusted return, is a weighted average of its applicable 3-, 5-, and 10-year Ratings. See important disclosures for details.

Morningstar Proprietary Statistics 02/28/26

1 Year 3 Year 5 Year 10 Year
Morningstar Rating -- 3yr Rating 5yr Rating 10yr Rating
Out of # of Investments -- 97 89 73
VA - Underlying Fund Peer Group
Fund Rank Percentile 57 19 38 31
Out of # of Investments 99 97 89 73

Investment Strategyfrom the prospectus

The investment seeks to track the performance of the Morningstar ® US Financial Services IndexSM to provide total return through capital appreciation and dividend income. The fund invests under normal circumstances at least 80% of its assets in the securities in the index in proportion to their market capitalization weighting in the index. The index measures the performance of companies that provide financial services, which include banks, savings and loans, asset management companies, credit services, investment brokerage firms, and insurance companies. The fund is non-diversified.

Portfolio Analysis

Morningstar Ownership ZoneTM 12/31/25 More Information...

Morningstar Ownership Zone
Giant Large Medium Small Micro
Deep
Value
Core
Value
Blend
Core
Growth
High
Growth

3 Year Risk Measures 02/28/26

Standard Deviation* Sharpe Ratio*
Sub-account 16.05 0.74
Morningstar Category 19.25 0.48
Modern Portfolio Theory Statistics
Relative to: Alpha* Beta* R-Squared*
Primary Prospectus Benchmark** (Morningstar US Market Ext TR USD) -2.87 0.97 53.14
Morningstar Category**
(Morningstar US Fin Svc TR USD)
-0.25 1.00 100.00

Morningstar Style BoxTM 12/31/25 More Information...

Morningstar Equity Style Box
Market Cap
Giant 35.11%
Large 37.51%
Medium 19.43%
Small 7.30%
Micro 0.09%

Top Sectors 02/28/26 12/31/25

Sub-acct Bmark
Cyclical icon Cyclical 100.00% 27.36%
Basic Materials icon Basic Materials 0.00% 2.20%
Consumer Cyclical icon Consumer Cyclical 0.00% 10.28%
Financial Services icon Financial Services 100.00% 12.45%
Real Estate icon Real Estate 0.00% 2.43%
Sensitive icon Sensitive 0.00% 54.89%
Communication Services icon Communication Services 0.00% 10.11%
Energy icon Energy 0.00% 3.58%
Industrials icon Industrials 0.00% 9.93%
Technology icon Technology 0.00% 31.27%
Defensive icon Defensive 0.00% 17.76%
Consumer Defensive icon Consumer Defensive 0.00% 5.15%
Healthcare icon Healthcare 0.00% 10.19%
Utilities Utilities 0.00% 2.42%

Jackson Retirement Investment Annuity Sub-account Performance02/28/26

Contract Disclosure
Marketing Name Jackson Retirement Investment Annuity
Contract Form Number VA730NY, VA730NY-FB1
Current Contract Offering Date August 16, 2021
Prospectus Link www.jackson.com/pdf/legal/jmv25288ny.pdf
Underlying Separate Account with Establishment Date JNL/NY Separate Account I; September 12, 1997
Annual Contract Maintenance Charge $30 - Waived for contract values over $50,000 on the contract anniversary.
Core Contract Charge 0.40%, 0.35% for contract values over $1,000,000 as assessed on the contract quarterly anniversary.
Monthly Contract Charge N/A
Withdrawal Charge Schedule N/A
Minimum Initial Premium $50,000 (Non-Qualified, Qualified); In certain states, we reserve the right to refuse any subsequent premium payments.
Death Benefit The standard death benefit is equal to the contract value on the date of the claim and does not include any additional guarantees. Add-on death benefits are available for an additional cost. Add-on death benefits terminate when contract value falls to zero and upon spousal continuation.

Standardized average annual total returns are calculated based on a $10,000 hypothetical investment and reflect the deduction of the applicable withdrawal charge, core contract charge or mortality, expense, and administration charge, whichever is applicable, fund expenses, and annual contract maintenance charge or monthly contract charge, whichever is applicable (based as a percentage of average contract size). Non-Standardized returns with withdrawal charges reflect the deduction of the applicable withdrawal charge, core contract charge or mortality and expense risk and administration charge, whichever is applicable, and fund expenses. Non-standardized returns reflect the deduction of the core contract charge or mortality, expense, and administration charge, whichever is applicable, and fund expenses. Please refer to the contract disclosure table for the applicable charges. The costs of add-on benefits are not included in any of these performance results. Selection of an add-on benefit, if available, would reduce the returns shown.

Past performance does not guarantee future results. Performance data shown represents past performance. Current performance may be lower or higher than the performance quoted. If viewing a printed version of this material, the most recent month-end performance may be found at www.jackson.com. The investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost.

This fund has a portion of its fees waived and/or reimbursed. Performance returns would be lower without the fee waivers and/or reimbursements. Contractual waivers and/or expense reimbursements will continue for at least one year from the date of the most recent fund prospectus and continue thereafter unless the Board of Trustees approves a change in or elimination of the waivers and/or reimbursements. There is no guarantee that an existing voluntary waiver will be provided in the future. For additional information, and to view the current fund prospectus and summary fund prospectuses, please refer to the current fund literature.

Growth of 10k02/29/16 to 02/27/26(Non-Standardized) More Information...

Calendar Year Returns(Non-Standardized)

All indices referenced herein are unmanaged and not available for direct investment.

Total Returns

-------------------------- Annualized --------------------------
Report Type YTD 1 Year 3 Year 5 Year 10 Year Inclusion/
Inception
Non-Standardized
02/28/26
-6.04% 3.72% 16.06% 10.90% 12.73% 5.62%
07/02/99
Quarterly Standardized
12/31/25
16.10% 16.10% 20.38% 14.45% N/A 10.65%
04/30/18
Monthly Standardized
02/28/26
-6.05% 3.71% 16.05% 10.89% N/A 9.54%
04/30/18