Equibuilder

Prospectuses, Reports and Performance Information

EquiBuilder, policy form T1735A, are issued by American General Life Insurance Company and distributed by AIG Capital Services, Inc., member FINRA. This policy is not available in the state of New York.
The links below to the policy prospectus, fund prospectuses, 1st quarter report, semi-annual report, 3rd quarter report, annual report or performance information, as applicable, utilize Adobe Acrobat PDF files.
You will need the free Adobe Acrobat Reader to properly access these files.

A current policy prospectus is not published for this policy.

Information about certain investment options below may be contained in a combined fund prospectus, 1st quarter report, semi-annual report, 3rd quarter report or annual report booklet for the applicable fund family. By clicking on the appropriate “Fund Prospectus,” "1st Quarter Report," “Semi-Annual Report,” "3rd Quarter Report" or “Annual Report” button, you can view the applicable combined fund prospectus or report booklet. (Best viewed in Chrome browser)  

Fund Name Fund Prospectus 1st Quarter Report
Semi Annual Report 3rd Quarter Report Annual Report
EQ Premier VIP EQ/Core Plus Bond Portfolio - Class A PDF PDF PDF PDF PDF
EQ Premier VIP EQ/Moderate Allocation Portfolio - Class A   PDF PDF PDF PDF PDF
EQ Advisors EQ/Common Stock Index Portfolio Class 1A*
PDF PDF PDF PDF PDF
EQ Advisors EQ/International Equity Index Portfolio Class 1A
PDF PDF PDF PDF PDF
EQ Advisors EQ/Money Market Portfolio Class 1A
PDF PDF PDF PDF PDF
EQ Advisors Multimanager Aggressive Equity Portfolio Class 1A*
PDF PDF PDF PDF PDF
Fidelity VIP Contrafund® Portfolio - Initial Class* PDF PDF PDF PDF PDF
Fidelity VIP Growth Portfolio - Initial Class* PDF PDF PDF PDF PDF
Fidelity VIP Index 500 Portfolio - Initial Class* PDF PDF PDF PDF PDF
Fidelity VIP Investment Grade Bond Portfolio - Initial Class PDF PDF PDF PDF PDF
VALIC Company I Mid Cap Index Fund PDF PDF PDF PDF PDF
VALIC Company I Nasdaq-100® Index Fund PDF PDF PDF PDF PDF
VALIC Company I Science & Technology Fund PDF PDF PDF PDF PDF
           

* These portfolios have performed favorably and, to ensure proper administration, the Company instituted unit splits for the portfolio as of June 7, 2018, April 4, 2019, July 19, 2018, March 29, 2018 and April 4, 2019, respectively. Each unit a Policy owner owned in a portfolio was increased by 9 units (a 10 for 1 split) and the unit value was reduced accordingly. The value of the units owned in a portfolio will continue to properly reflect market performance.