Quarterly SEC Standardized Performance for: 03/31/2026

Thrivent Variable Annuity Account B Subaccount      1 year      5 Year     10 Year Since Inception Subaccount Inception Date
International Index 14.95% 6.58% N/A 10.77% 04/29/2020
Mid Cap Growth -1.20% -1.60% N/A 5.56% 04/29/2020
ESG Index 11.83% 9.19% N/A 13.75% 04/29/2020
Mid Cap Value 12.08% 7.05% N/A 14.18% 04/29/2020
Aggressive Allocation 9.85% 6.53% 9.94% 7.43% 04/29/2005
Moderately Aggressive Allocation 8.33% 5.70% 8.30% 6.53% 04/29/2005
Moderate Allocation 6.12% 4.79% 6.90% 5.70% 04/29/2005
Moderately Conservative Allocation 3.69% 2.76% 4.60% 4.25% 04/29/2005
Healthcare -5.43% 1.86% 7.09% 7.81% 04/30/2008
Emerging Markets Equity 24.38% 0.94% 5.84% 3.73% 04/30/2008
Real Estate Securities -3.51% 1.70% 3.33% 7.39% 04/30/2003
Small Cap Growth 6.06% -1.01% N/A 7.49% 04/27/2018
Small Cap Stock 6.17% 3.11% 10.68% 7.35% 04/30/2002
Small Cap Index 12.64% 2.78% 8.51% 7.67% 04/30/2002
Mid Cap Stock 2.25% 3.52% 10.06% 8.26% 04/30/2002
Mid Cap Index 9.63% 5.16% 9.14% 8.03% 04/30/2002
LB Variable Annuity Account I International Equity Subaccount 16.94% 6.40% 6.42% 3.22% 04/30/2008
All Cap 10.08% 8.17% 10.95% 6.77% 11/30/2001
Large Cap Growth 9.05% 8.59% 14.33% 9.47% 02/03/1994
Large Cap Value 12.64% 10.06% 11.16% 7.08% 11/30/2001
Global Stock 12.38% 7.66% 9.53% 5.83% 04/30/2002
Large Cap Index 10.10% 10.23% 12.66% 8.39% 04/30/2002
LB Variable Annuity Account I Dynamic Allocation Subaccount 4.27% 3.61% 5.47% 4.96% 04/30/2002
LB Variable Annuity Account I Conservative Allocation Subaccount 2.09% 2.21% 4.13% 5.12% 04/30/2002
High Yield 0.52% 2.45% 3.88% 3.98% 02/03/1994
LB Variable Annuity Account I Multisector Bond Subaccount -0.57% 1.12% 2.15% 2.53% 04/30/2003
Income -1.70% -0.35% 2.12% 3.72% 02/03/1994
Government Bond -2.37% -0.86% 0.37% 2.16% 04/30/2002
LB Variable Annuity Account I Short-Term Bond Subaccount -2.07% 1.35% 1.73% 1.79% 11/30/2001
Money Market -2.70% 1.77% 0.92% 1.36% 02/03/1994

The performance information on this page is as of 03/31/2026. Each subaccount invests in a corresponding portfolio of the Thrivent Series Fund, Inc.

Past performance is no indication of future results. Total returns and unit values are subject to fluctuation. Accumulation units, when redeemed, may be worth more or less than their original value.

To receive a prospectus for the Flexible Premium Deferred Variable Annuity, click here. The prospectus contains more complete information about early withdrawal and other charges, fees, expenses, contract limitations, income taxation and a potential 10-percent federal tax penalty on withdrawals prior to age 59 1/2. You should read the prospectus carefully before you apply.

The Flexible Premium Deferred Variable Annuity is an insurance product of Thrivent and is distributed by Thrivent Investment Management Inc.

Form #15965(1)
Product Form #W2-BA-FPVA-1, V2-VY-FPVA-1