ING FTSE 100 Index Portfolio

Fund Holdings

Asset Allocation

% Long % Net
Cash 0.61 0.61
Stocks 0.0 0.0
Bonds 0.0 0.0
Other 0.34 0.34
Foreign Bonds 0.0 0.0
Foreign Stocks 99.05 99.05
Convertible 0.0 0.0
Preferred 0.0 0.0

Updated 12.31.2013

Top 10 Holdings

Performance as of 02.28.2014

Portfolio as of 12.31.2013

Ticker YTD Return % % Net Assets
HSBC Holdings PLC HBCYF -3.33 6.97
Vodafone Group PLC VODPD -42.25 6.47
BP PLC BPAQF 3.23 5.1
Royal Dutch Shell PLC Class A RYDAF 3.01 4.67
GlaxoSmithKline PLC GLAXF 6.94 4.38
British American Tobacco PLC BTAFF 1.91 3.42
Royal Dutch Shell PLC Class B RYDBF 5.05 3.16
Diageo PLC DGEAF -4.34 2.82
AstraZeneca PLC AZNCF 15.8 2.5
BG Group PLC BRGXF -14.29 2.47