Form 497VPSUB CML VARIABLE ANNUITY

October 6, 2025 4:43 PM EDT

Supplement dated October 6, 2025

 

to the Prospectuses, each dated March 1, 1996 (each a “Prospectus”), as supplemented, for:

 

Account A

Account B
Issued by Massachusetts Mutual Life Insurance Company

 

THIS SUPPLEMENT MUST BE READ IN CONJUNCTION WITH YOUR PROSPECTUS.

PLEASE RETAIN THIS SUPPLEMENT FOR FUTURE REFERENCE.

 

NOTICE OF FUND SUBSTITUTION

 

The purpose of this Supplement is to announce a fund change. Capitalized terms used in this Supplement are defined in your Prospectus unless otherwise defined here. “We,” “Us,” or “Our” refer to Massachusetts Mutual Life Insurance Company. “You” or “Your” refer to the Owner of the Contract.

At the close of the New York Stock Exchange (“NYSE”) on or about November 14, 2025 (the “Substitution Date”), in accordance with applicable law, shares of the following Existing Fund will be replaced with shares of the following Replacement Fund (the “Substitution”), set forth in the table below:

Existing Fund (Share Class) Replacement Fund (Share Class)
Invesco V.I. Main Street Fund® (Series I) MML Fundamental Equity Fund (Class II)

 

Transfer of Contract Value from the Existing Fund

On the Substitution Date, all Contract Value in the Sub-Account investing in the Existing Fund will automatically be reallocated to the Sub-Account investing in the corresponding Replacement Fund. Such reallocation will not count toward transfer limits imposed by Our frequent trading and market timing policies. After the Substitution Date, You may not make any allocations to the Sub-Account investing in the Existing Fund, and such Sub-Account will no longer be available for investment under the Contract.

The Substitution will occur at the relative net asset values of the Existing Fund’s and Replacement Fund’s shares. Your Contract Value immediately prior to the Substitution will equal Your Contract Value immediately after the Substitution. There will not be any tax consequences for You as a result of the Substitution. The Substitution will be performed at no cost to You. The fees and charges under Your Contract will not increase as a result of the Substitution. The overall fees and expenses of the Replacement Fund are equal to or less than those of the corresponding Existing Fund. Your rights and Our obligations will not be altered in any way.

If Your Contract Value is automatically transferred on the Substitution Date, You will receive a confirmation showing the transfer of Your Contract Value from the Sub-Account that invests in the Existing Fund to the Sub-Account that invests in the corresponding Replacement Fund.

 

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Impact on Transaction Requests

The Sub-Account that invests in the Existing Fund will continue to be available for purchase payments and withdrawals until the close of the NYSE on the Substitution Date. Any purchase payment or withdrawal request involving the Sub-Account that invests in the Existing Fund on or after the Substitution Date will default to the Sub-Account that invests in the corresponding Replacement Fund.

Impact on Future Purchase Payment Allocations

 

On the Substitution Date, the Replacement Fund will automatically replace the corresponding Existing Fund under Your purchase payment allocation instructions.

Fund Addition(s)

In connection with the Substitution, the Replacement Fund that is not currently offered as an investment option under Your Contract will be added to Your Contract on the Substitution Date. Information about the new Replacement Fund is below:

 

 

 

Fund Type

 

 

 

Fund and Adviser/Sub-Adviser

Current Expenses (expenses/

average assets)

 

Average Annual Total Returns

(as of 12/31/2024)

1 Year 5 Year 10 Year

Large Cap

Blend

MML Fundamental Equity Fund (Class II)
Adviser: MML Investment Advisers, LLC
Sub-Adviser: Invesco Advisers, Inc.
0.80%* 23.71%


13.21%


13.43%


 

*This Fund is subject to an expense reimbursement or fee waiver arrangement. As a result, this Fund’s annual expenses reflect temporary expense reductions. See the Fund prospectus for additional information.

 

If You have questions about this Supplement or wish to make any changes to Your Contract, please contact Your registered representative, visit Us online at www.MassMutual.com/contact-us, or call Our Service Center at (800) 272-2216 (8 a.m.– 8 p.m. Eastern Time).

For more information about the funds, read each fund prospectus. Prospectuses are available by going to www.MassMutual.com/variable-products, selecting the name of Your variable product, and then selecting the applicable fund. You can also request paper copies of fund prospectuses by calling Our Service Center at the number listed above or by emailing [email protected].

 

 

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