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Showing 1-13 of 13    Display: Print/Save |<  <<   Page 1 of 1   >>  >|
Fixed Annuities
Company / Product Name AM
Best
Years
Gtd
Last
Change
Base
Rate
Bonus
Rate
Current
Rate
Premium
Bonus
Bail Out Effective
Rate
CUR GTD Commissions
Age: Rate
Yield to Surrender
Surrender Charges Last 5 Years
I love this product
Western National Life Insurance Company
WNL Flex 5 - 1 Year High-Band
A 1 02/21/12 1.15 2.00 3.15     1.55 1.43
Call
I love this product
Western National Life Insurance Company
WNL Flex 5 - 1 Year Low-Band
A 1 02/21/12 1.15 1.00 2.15     1.35 1.23
Call

MYGAs
Company / Product Name AM
Best
Years
Gtd
Last
Change
Base
Rate
Bonus
Rate
Current
Rate
Premium
Bonus
Bail Out Effective
Rate
CUR GTD Commissions
Age: Rate
Yield to Surrender
Rate Guaranteed 10 Years
Allianz Life Insurance Company of North America
Dominator Plus 10 High-Band [MVA, LOAN]
A 10 02/07/12 2.00 0.00 2.00     2.00 2.00 0-75: 4.00
76-80: 3.00
81-85: 2.00
Allianz Life Insurance Company of North America
Dominator Plus 10 Low-Band [MVA, LOAN]
A 10 02/07/12 1.90 0.00 1.90     1.90 1.90 0-75: 4.00
76-80: 3.00
81-85: 2.00

Fixed Indexed Annuities
Company / Product / Account Index Product Type Surender
Charges
Premium
Bonus
Bail
Out
Last
Change
Part Rate Spread Cap Commissions
Age: Rate
Reset Averaging Min Part Rate Max Spread Min Cap
Surrender Charges Last 7 Years
Allianz Life Insurance Company of North America
MasterDex Plus Annuity
Fixed Interest Account
Fixed 7
Years
      02/07/12 1.50% 1-Yr Fixed 0-75: 6.00+
76-80: 5.00+
Min Rates:
Allianz Life Insurance Company of North America
MasterDex Plus Annuity
1 Year S&P 500 Monthly Sum Cap
S&P 500 Point to Point 7
Years
      02/07/12     1.80 0-75: 6.00+
76-80: 5.00+
Annual Monthly Sum Min Rates: 100   0.50
Allianz Life Insurance Company of North America
MasterDex Plus Annuity
1 Year Nasdaq 100 Monthly Sum Cap
Nasdaq 100 Point to Point 7
Years
      02/07/12     1.80 0-75: 6.00+
76-80: 5.00+
Annual Monthly Sum Min Rates: 100   0.50
Allianz Life Insurance Company of North America
MasterDex Plus Annuity
1 Year FTSE 100 Monthly Sum Cap
FTSE 100 Point to Point 7
Years
      02/07/12     1.90 0-75: 6.00+
76-80: 5.00+
Annual Monthly Sum Min Rates: 100   0.50
Allianz Life Insurance Company of North America
MasterDex Plus Annuity
1 Year S&P 500 Point-to-Point Cap
S&P 500 Point to Point 7
Years
      02/07/12     3.25 0-75: 6.00+
76-80: 5.00+
Annual None Min Rates: 100   1.00
Allianz Life Insurance Company of North America
MasterDex Plus Annuity
1 Year Blended Point-to-Point Cap
Blended Indicies Point to Point 7
Years
      02/07/12     3.50 0-75: 6.00+
76-80: 5.00+
Annual None Min Rates: 100   1.00
Allianz Life Insurance Company of North America
MasterDex Plus Annuity
1 Year Nasdaq 100 Point-to-Point Cap
Nasdaq 100 Point to Point 7
Years
      02/07/12     3.50 0-75: 6.00+
76-80: 5.00+
Annual None Min Rates: 100   1.00
Allianz Life Insurance Company of North America
MasterDex Plus Annuity
1 Year FTSE 100 Point-to-Point Cap
FTSE 100 Point to Point 7
Years
      02/07/12     3.50 0-75: 6.00+
76-80: 5.00+
Annual None Min Rates: 100   1.00
Allianz Life Insurance Company of North America
MasterDex Plus Annuity
1 Year Blended Monthly Average Spread
Blended Indicies Point to Point 7
Years
      02/07/12   4.50   0-75: 6.00+
76-80: 5.00+
Annual Monthly Min Rates: 100 12.00  
Showing 1-13 of 13    Display: Page:   1

Seek complete details and the suitability of any product from a qualified licensed insurance professional. Verify with your MGA all interest rates, state approvals, and commissions prior to contracting. Changes may occur without notice.

Any reproduction of this data or presentation of this data in print, electronically or on any other website is strictly prohibited and protected under copyright law. "Yield to Surrender", "Current Yield to Surrender" and "Guaranteed Yield to Surrender" are Trademarks of AnnuityRateWatch.com, Inc.

"Guaranteed Yield to Surrender" expresses the annualized return on premium, assuming no withdrawals, based on interest credited on a guaranteed basis, for the duration of the surrender period.

"Current Yield to Surrender" expresses the annualized return on premium, assuming no withdrawals, based on a current “base rate” issued by the carrier for the duration of the surrender period

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