You are now leaving the Pacific Life Annuities site. Content, links, and changes to the Invesco site, are not owned, nor managed, by Pacific Life.
Step 1. After navigating to the Invesco site, scroll down to the section labeled "Fund Name" and click on a Defined Outcome fund.
Step 2. You will be taken to a new page with a tab menu. Click on the "Performance" tab.
Step 3. Use your cursor to hover over the chart and see each day's:
Step 4. Scroll below the chart to compare the current cap and buffer values to the initial values set at the beginning of the outcome period.
Pacific Life, its distributors, and respective representatives do not provide tax, accounting, or legal advice. Any taxpayer should seek advice based on the taxpayer's particular circumstances from an independent tax advisor or attorney.
Pacific Life is a product provider. It is not a fiduciary and therefore does not give advice or make recommendations regarding insurance or investment products.
Pacific Life refers to Pacific Life Insurance Company and its affiliates, including Pacific Life & Annuity Company. Insurance products are issued by Pacific Life Insurance Company in all states except New York and in New York by Pacific Life & Annuity Company. Product availability and features may vary by state. Each insurance company is solely responsible for the financial obligations accruing under the products it issues.
Variable insurance products are distributed by Pacific Select Distributors, LLC (member FINRA & SIPC), a subsidiary of Pacific Life Insurance Company (Newport Beach, CA) and an affiliate of Pacific Life & Annuity Company. Variable and fixed annuity products are available through licensed third parties.
No bank guarantee • Not a deposit • Not FDIC/NCUA insured • May lose value • Not insured by any federal government agency
For financial professional use only. Not for use with the public.