Quarterly SEC Standardized Performance for: 12/31/2025

Thrivent Financial Flexible Premium Deferred Variable Annuity
(contract form #W-BB-FPVA (02))
     1 year      5 Year     10 Year Since Inception Subaccount Inception Date
Real Estate Securities -0.58% 2.59% 3.38% 7.16% 04/30/2003
Choice Multisector Bond Subaccount 6.59% 1.15% 2.19% 2.40% 04/30/2003
Aggressive Allocation 14.37% 8.25% 9.88% 7.49% 04/29/2005
Moderately Aggressive Allocation 14.03% 6.95% 8.33% 6.55% 04/29/2005
Moderate Allocation 12.22% 5.79% 7.03% 5.72% 04/29/2005
Moderately Conservative Allocation 10.70% 3.19% 4.72% 4.21% 04/29/2005
Choice International Equity Subaccount 29.25% 7.19% 6.07% 3.04% 04/30/2008
Emerging Markets Equity 30.56% 0.83% 6.14% 3.44% 04/30/2008
Choice Dynamic Allocation 11.22% 4.60% 5.51% 5.37% 10/31/2002
Choice Conservative Allocation Subaccount 8.80% 2.74% 4.11% 5.56% 10/31/2002
Small Cap Stock 1.17% 6.16% 10.54% 8.73% 10/31/2002
Mid Cap Stock 3.43% 5.54% 9.92% 9.39% 10/31/2002
Mid Cap Value 9.45% 9.93% N/A 13.71% 04/29/2020
Mid Cap Growth 1.23% -0.15% N/A 6.62% 04/29/2020
International Index 29.53% 7.26% N/A 10.71% 04/29/2020
ESG Index 16.32% 12.15% N/A 15.19% 04/29/2020
Money Market 2.77% 1.77% 0.66% 0.36% 04/25/2003
All Cap 16.58% 10.51% 11.03% 9.28% 10/31/2002
Large Cap Growth 15.49% 11.49% 14.91% 10.73% 10/31/2002
High Yield 7.43% 2.77% 4.02% 5.81% 10/31/2002
Income 6.59% -0.87% 2.31% 3.24% 10/31/2002
Choice Short-Term Bond Subaccount 4.75% 1.47% 1.61% 1.60% 10/31/2002
Large Cap Value 18.17% 12.55% 10.77% 8.54% 04/25/2003
Healthcare 11.67% 3.32% 6.04% 8.12% 04/30/2008
Small Cap Growth 0.61% 0.11% N/A 7.70% 04/27/2018
Large Cap Index 16.16% 12.75% 13.12% 9.63% 10/31/2002
Small Cap Index 4.48% 5.73% 8.21% 8.90% 10/31/2002
Government Bond 5.99% -1.23% 0.48% 1.85% 10/31/2002
Mid Cap Index 5.90% 7.51% 9.09% 9.12% 10/31/2002
Global Stock 19.32% 9.32% 9.30% 6.83% 10/31/2002