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Great-West Life & Annuity Insurance Company · Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company Q03 LIABILITIES, SURPLUS AND OTHER FUNDS 1 2 Current

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Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q02

ASSETSCurrent Statement Date 4

1 2 3Net Admitted December 31

Nonadmitted Assets Prior Year NetAssets Assets (Cols. 1 - 2) Admitted Assets

1. Bonds............................................................................................................................................ .........19,183,371,147 .................................... .........19,183,371,147 .........18,369,734,966

2. Stocks:

2.1 Preferred stocks................................................................................................................. .................................... .................................... .................................0 ....................................

2.2 Common stocks.................................................................................................................. ..............109,258,721 ..................1,849,320 ..............107,409,401 ..............106,589,531

3. Mortgage loans on real estate:

3.1 First liens............................................................................................................................ ...........3,128,577,341 .................................... ...........3,128,577,341 ...........3,099,086,751

3.2 Other than first liens........................................................................................................... .................................... .................................... .................................0 ....................................

4. Real estate:

4.1 Properties occupied by the company (less $..........0encumbrances)................................................................................................................... ................36,031,782 .................................... ................36,031,782 ................36,362,464

4.2 Properties held for the production of income (less $..........0encumbrances)................................................................................................................... ..................1,535,237 .................................... ..................1,535,237 ..................1,549,669

4.3 Properties held for sale (less $..........0 encumbrances).................................................... ..................1,803,611 .................................... ..................1,803,611 ..................1,803,611

5. Cash ($.....(26,336,746)), cash equivalents ($.....26,240,441)and short-term investments ($.....696,689,664)........................................................................... ..............696,593,359 .................................... ..............696,593,359 ..............176,616,925

6. Contract loans (including $..........0 premium notes).................................................................... ...........4,044,578,488 .................................... ...........4,044,578,488 ...........4,068,253,592

7. Derivatives.................................................................................................................................... ................67,277,501 .................................... ................67,277,501 ................48,748,703

8. Other invested assets................................................................................................................... ..............499,579,295 ................14,909,807 ..............484,669,488 ..............479,656,381

9. Receivables for securities............................................................................................................. ................26,421,780 .................................... ................26,421,780 ................10,592,698

10. Securities lending reinvested collateral assets............................................................................ ..............106,313,144 .................................... ..............106,313,144 ....................................

11. Aggregate write-ins for invested assets....................................................................................... .................................0 .................................0 .................................0 .................................0

12. Subtotals, cash and invested assets (Lines 1 to 11)................................................................... .........27,901,341,406 ................16,759,127 .........27,884,582,279 .........26,398,995,291

13. Title plants less $..........0 charged off (for Title insurers only)..................................................... .................................... .................................... .................................0 ....................................

14. Investment income due and accrued........................................................................................... ..............299,643,798 .................................... ..............299,643,798 ..............265,427,482

15. Premiums and considerations:

15.1 Uncollected premiums and agents' balances in the course of collection.......................... ..................2,618,772 .......................75,215 ..................2,543,557 ..................3,203,182

15.2 Deferred premiums, agents' balances and installments booked but deferredand not yet due (including $..........0 earned but unbilled premiums)................................ ................12,298,303 .................................... ................12,298,303 ................12,512,299

15.3 Accrued retrospective premiums ($..........0) and contracts subject toredetermination ($..........0)................................................................................................. .................................... .................................... .................................0 ....................................

16. Reinsurance:

16.1 Amounts recoverable from reinsurers................................................................................ ..................2,905,356 .................................... ..................2,905,356 .....................239,742

16.2 Funds held by or deposited with reinsured companies..................................................... .................................... .................................... .................................0 ....................................

16.3 Other amounts receivable under reinsurance contracts................................................... ..................4,984,313 .................................... ..................4,984,313 ..................5,671,226

17. Amounts receivable relating to uninsured plans.......................................................................... .................................... .................................... .................................0 ....................................

18.1 Current federal and foreign income tax recoverable and interest thereon.................................. ................17,393,555 .................................... ................17,393,555 ................38,121,492

18.2 Net deferred tax asset.................................................................................................................. ..............491,622,137 ..............295,132,457 ..............196,489,680 ..............199,916,678

19. Guaranty funds receivable or on deposit..................................................................................... ..................1,764,529 .................................... ..................1,764,529 ..................2,417,610

20. Electronic data processing equipment and software................................................................... ................19,781,855 .................................... ................19,781,855 ................20,888,916

21. Furniture and equipment, including health care delivery assets ($..........0)................................ ..................3,961,265 ..................3,961,265 .................................0 ....................................

22. Net adjustment in assets and liabilities due to foreign exchange rates....................................... .................................... .................................... .................................0 ....................................

23. Receivables from parent, subsidiaries and affiliates.................................................................... ..............123,730,189 ................40,463,027 ................83,267,162 ................61,584,283

24. Health care ($..........0) and other amounts receivable................................................................. .................................... .................................... .................................0 ....................................

25. Aggregate write-ins for other than invested assets...................................................................... ..............492,807,147 ................77,242,052 ..............415,565,095 ..............403,452,012

26. Total assets excluding Separate Accounts, Segregated Accounts and ProtectedCell Accounts (Lines 12 through 25)............................................................................................ .........29,374,852,625 ..............433,633,143 .........28,941,219,482 .........27,412,430,213

27. From Separate Accounts, Segregated Accounts and Protected Cell Accounts......................... .........27,655,244,602 .................................... .........27,655,244,602 .........27,048,079,873

28. Total (Lines 26 and 27)................................................................................................................ .........57,030,097,227 ..............433,633,143 .........56,596,464,084 .........54,460,510,086

DETAILS OF WRITE-INS

1101. ...................................................................................................................................................... .................................... .................................... .................................0 ....................................

1102. ...................................................................................................................................................... .................................... .................................... .................................0 ....................................

1103. ...................................................................................................................................................... .................................... .................................... .................................0 ....................................

1198. Summary of remaining write-ins for Line 11 from overflow page................................................ .................................0 .................................0 .................................0 .................................0

1199. Totals (Lines 1101 thru 1103 plus 1198) (Line 11 above)........................................................... .................................0 .................................0 .................................0 .................................0

2501. Cash value of company owned life insurance............................................................................. ..............246,633,225 .................................... ..............246,633,225 ..............244,742,064

2502. Goodwill........................................................................................................................................ ................10,049,235 .................................... ................10,049,235 ................13,906,047

2503. Other receivables.......................................................................................................................... ..............147,858,505 .......................31,715 ..............147,826,790 ..............131,458,246

2598. Summary of remaining write-ins for Line 25 from overflow page................................................ ................88,266,182 ................77,210,337 ................11,055,845 ................13,345,655

2599. Totals (Lines 2501 thru 2503 plus 2598) (Line 25 above)........................................................... ..............492,807,147 ................77,242,052 ..............415,565,095 ..............403,452,012

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q03

LIABILITIES, SURPLUS AND OTHER FUNDS1 2

Current December 31Statement Date Prior Year

1. Aggregate reserve for life contracts $.....24,954,903,176 less $..........0included in Line 6.3 (including $.....6,209,017,895 Modco Reserve)......................................................................................................... ................24,954,903,176 ................24,554,052,634

2. Aggregate reserve for accident and health contracts (including $.........0 Modco Reserve)....................................................................... .....................251,461,389 .....................250,887,6963. Liability for deposit-type contracts (including $..........0 Modco Reserve).................................................................................................... .....................237,673,353 .....................243,887,3174. Contract claims:

4.1 Life.................................................................................................................................................................................................... .......................78,689,487 .......................81,502,7804.2 Accident and health......................................................................................................................................................................... .......................22,805,427 .......................21,714,237

5. Policyholders' dividends $..........0 and coupons $..........0 due and unpaid................................................................................................ ........................................... ...........................................6. Provision for policyholders' dividends and coupons payable in following calendar year - estimated amounts:

6.1 Dividends apportioned for payment (including $..........0 Modco)................................................................................................... .......................50,960,400 .......................52,381,4006.2 Dividends not yet apportioned (including $..........0 Modco)............................................................................................................ ........................................... ...........................................6.3 Coupons and similar benefits (including $..........0 Modco)............................................................................................................. ........................................... ...........................................

7. Amount provisionally held for deferred dividend policies not included in Line 6........................................................................................ ........................................... ...........................................8. Premiums and annuity considerations for life and accident and health contracts received in advance

less $..........0 discount; including $..........0 accident and health premiums................................................................................................ .........................2,782,542 .........................7,595,9129. Contract liabilities not included elsewhere:

9.1 Surrender values on canceled contracts......................................................................................................................................... ........................................... ...........................................9.2 Provision for experience rating refunds, including the liability of $.....22,828,382 accident and health experience rating

refunds of which $..........0 is for medical loss ratio rebate per the Public Health Service Act........................................................ .......................56,315,933 .....................127,158,6379.3 Other amounts payable on reinsurance, including $.....1,013,170 assumed and $.....3,675,577 ceded...................................... .........................4,688,747 .........................9,120,7559.4 Interest Maintenance Reserve......................................................................................................................................................... .....................115,133,171 .....................109,568,079

10. Commissions to agents due or accrued - life and annuity contracts $.....19,011,423, accident and health $..........0and deposit-type contract funds $..........0................................................................................................................................................... .......................19,011,423 .......................20,503,460

11. Commissions and expense allowances payable on reinsurance assumed............................................................................................... ........................................... ...........................................12. General expenses due or accrued.............................................................................................................................................................. .....................138,987,677 .....................173,090,28713. Transfers to Separate Accounts due or accrued (net) (including $..........0 accrued for expense

allowances recognized in reserves, net of reinsured allowances).............................................................................................................. ........................(3,668,828) ........................(3,107,975)14. Taxes, licenses and fees due or accrued, excluding federal income taxes............................................................................................... .........................6,648,708 .........................6,084,090

15.1 Current federal and foreign income taxes, including $..........0 on realized capital gains (losses)............................................................. ........................................... ...........................................15.2 Net deferred tax liability............................................................................................................................................................................... ........................................... ...........................................16. Unearned investment income...................................................................................................................................................................... .........................4,576,891 ............................640,28217. Amounts withheld or retained by company as agent or trustee.................................................................................................................. .......................58,449,546 .......................34,721,21018. Amounts held for agents' account, including $..........0 agents' credit balances......................................................................................... ........................................... ...........................................19. Remittances and items not allocated.......................................................................................................................................................... .........................3,934,856 .......................48,764,78220. Net adjustment in assets and liabilities due to foreign exchange rates...................................................................................................... ........................................... ...........................................21. Liability for benefits for employees and agents if not included above........................................................................................................ .........................2,257,026 .........................2,243,45622. Borrowed money $.....99,171,254 and interest thereon $..........0.............................................................................................................. .......................99,171,254 .......................93,371,29623. Dividends to stockholders declared and unpaid......................................................................................................................................... ........................................... ...........................................24. Miscellaneous liabilities:

24.01 Asset valuation reserve.................................................................................................................................................................... .....................202,647,040 .....................191,214,24324.02 Reinsurance in unauthorized and certified ($..........0) companies................................................................................................. ..............................19,368 ..............................19,04524.03 Funds held under reinsurance treaties with unauthorized and certified ($..........0) reinsurers...................................................... ........................................... ...........................................24.04 Payable to parent, subsidiaries and affiliates.................................................................................................................................. .......................40,299,459 .......................34,155,24224.05 Drafts outstanding............................................................................................................................................................................ ........................................... ...........................................24.06 Liability for amounts held under uninsured plans............................................................................................................................ ........................................... ...........................................24.07 Funds held under coinsurance........................................................................................................................................................ ........................................... ...........................................24.08 Derivatives........................................................................................................................................................................................ .......................70,457,618 .......................76,666,46424.09 Payable for securities....................................................................................................................................................................... .......................89,523,098 .........................3,843,92624.10 Payable for securities lending.......................................................................................................................................................... .....................106,313,144 ...........................................24.11 Capital notes $..........0 and interest thereon $..........0.................................................................................................................... ........................................... ...........................................

25. Aggregate write-ins for liabilities.................................................................................................................................................................. ..................1,269,914,430 .....................157,595,60626. Total liabilities excluding Separate Accounts business (Lines 1 to 25)...................................................................................................... ................27,883,956,335 ................26,297,674,86127. From Separate Accounts statement............................................................................................................................................................ ................27,656,978,967 ................27,048,071,01128. Total liabilities (Lines 26 and 27)................................................................................................................................................................. ................55,540,935,302 ................53,345,745,87229. Common capital stock.................................................................................................................................................................................. .........................7,232,986 .........................7,232,98630. Preferred capital stock................................................................................................................................................................................. ........................................... ...........................................31. Aggregate write-ins for other-than-special surplus funds........................................................................................................................... ........................................0 ........................................032. Surplus notes............................................................................................................................................................................................... .....................527,880,828 .....................527,873,85733. Gross paid in and contributed surplus......................................................................................................................................................... .....................597,994,516 .....................597,339,10334. Aggregate write-ins for special surplus funds............................................................................................................................................. ........................................0 ........................................035. Unassigned funds (surplus)......................................................................................................................................................................... ......................(77,579,548) ......................(17,681,732)36. Less treasury stock, at cost:

36.1 .....0.000 shares common (value included in Line 29 $..........0)..................................................................................................... ........................................... ...........................................36.2 .....0.000 shares preferred (value included in Line 30 $..........0).................................................................................................... ........................................... ...........................................

37. Surplus (Total Lines 31 + 32 + 33 + 34 + 35 - 36) (including $.....(1,734,365) in Separate Accounts Statement).................................... ..................1,048,295,796 ..................1,107,531,22838. Totals of Lines 29, 30 and 37...................................................................................................................................................................... ..................1,055,528,782 ..................1,114,764,21439. Totals of Lines 28 and 38 (Page 2, Line 28, Col. 3)................................................................................................................................... ................56,596,464,084 ................54,460,510,086

DETAILS OF WRITE-INS2501. Repurchase Agreements............................................................................................................................................................................. ..................1,048,263,542 ...........................................2502. Other contract deposit funds........................................................................................................................................................................ .....................145,178,690 .......................79,386,6662503. Liability for pension and postretirement benefits......................................................................................................................................... .........................2,516,275 .........................2,516,2752598. Summary of remaining write-ins for Line 25 from overflow page............................................................................................................... .......................73,955,923 .......................75,692,6652599. Totals (Lines 2501 thru 2503 plus 2598) (Line 25 above).......................................................................................................................... ..................1,269,914,430 .....................157,595,6063101. ...................................................................................................................................................................................................................... ........................................... ...........................................3102. ...................................................................................................................................................................................................................... ........................................... ...........................................3103. ...................................................................................................................................................................................................................... ........................................... ...........................................3198. Summary of remaining write-ins for Line 31 from overflow page............................................................................................................... ........................................0 ........................................03199. Totals (Lines 3101 thru 3103 plus 3198) (Line 31 above).......................................................................................................................... ........................................0 ........................................03401. ...................................................................................................................................................................................................................... ........................................... ...........................................3402. ...................................................................................................................................................................................................................... ........................................... ...........................................3403. ...................................................................................................................................................................................................................... ........................................... ...........................................3498. Summary of remaining write-ins for Line 34 from overflow page............................................................................................................... ........................................0 ........................................03499. Totals (Lines 3401 thru 3403 plus 3498) (Line 34 above).......................................................................................................................... ........................................0 ........................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q04

SUMMARY OF OPERATIONS1 2 3

Current Prior Prior Year EndedYear to Date Year to Date December 31

1. Premiums and annuity considerations for life and accident and health contracts....................................................................... ........1,693,931,251 ........1,211,018,724 ........5,729,548,8752. Considerations for supplementary contracts with life contingencies........................................................................................... ................................. ................................. .................................3. Net investment income................................................................................................................................................................. ...........305,313,867 ...........302,404,183 ........1,242,917,8534. Amortization of Interest Maintenance Reserve (IMR).................................................................................................................. ...............5,454,517 ...............5,817,657 .............25,377,1025. Separate Accounts net gain from operations excluding unrealized gains or losses................................................................... ....................25,685 ....................52,567 ..................156,8176. Commissions and expense allowances on reinsurance ceded................................................................................................... ..................976,256 ...............1,023,756 ...............5,411,3047. Reserve adjustments on reinsurance ceded................................................................................................................................ ............(82,166,053) ............(46,931,027) ..........(216,297,202)8. Miscellaneous Income:

8.1 Income from fees associated with investment management, administration and contract guaranteesfrom Separate Accounts..................................................................................................................................................... .............35,897,888 .............37,961,475 ...........143,962,631

8.2 Charges and fees for deposit-type contracts...................................................................................................................... ................................. ................................. .................................8.3 Aggregate write-ins for miscellaneous income................................................................................................................... .............22,472,413 .............26,008,990 ...........134,018,264

9. Totals (Lines 1 to 8.3)................................................................................................................................................................... ........1,981,905,824 ........1,537,356,325 ........7,065,095,64410. Death benefits............................................................................................................................................................................... .............82,669,771 .............60,657,104 ...........283,739,87311. Matured endowments (excluding guaranteed annual pure endowments).................................................................................. ................................. ................................. .................................12. Annuity benefits............................................................................................................................................................................. .............50,826,745 .............49,763,235 ...........207,865,10313. Disability benefits and benefits under accident and health contracts.......................................................................................... ...............9,253,519 ...............9,571,586 .............40,641,13314. Coupons, guaranteed annual pure endowments and similar benefits........................................................................................ ................................. ................................. .................................15. Surrender benefits and withdrawals for life contracts.................................................................................................................. ........1,036,884,715 ........1,059,232,331 ........4,304,493,90916. Group conversions........................................................................................................................................................................ ................................. ................................. .................................17. Interest and adjustments on contract or deposit-type contract funds.......................................................................................... ...............2,614,657 ...............2,815,115 .............12,952,48018. Payments on supplementary contracts with life contingencies.................................................................................................... ..................420,627 ..................456,392 ...............1,712,61119. Increase in aggregate reserves for life and accident and health contracts................................................................................. ...........401,424,236 ...........103,052,433 ...........956,537,66920. Totals (Lines 10 to 19).................................................................................................................................................................. ........1,584,094,270 ........1,285,548,196 ........5,807,942,77821. Commissions on premiums, annuity considerations and deposit-type contract funds (direct business only)............................ .............39,169,526 .............38,044,843 ...........169,396,46122. Commissions and expense allowances on reinsurance assumed.............................................................................................. ..................382,510 ..................375,460 ...............1,630,02123. General insurance expenses........................................................................................................................................................ ...........118,878,876 .............92,762,406 ...........422,596,14524. Insurance taxes, licenses and fees, excluding federal income taxes.......................................................................................... .............14,899,410 .............10,326,571 .............37,339,45425. Increase in loading on deferred and uncollected premiums........................................................................................................ .................(568,753) ..................424,601 ...............1,357,70526. Net transfers to or (from) Separate Accounts net of reinsurance................................................................................................ ...........194,335,592 .............36,173,920 ...........380,872,17627. Aggregate write-ins for deductions............................................................................................................................................... ..............................0 ..............................0 ..............................028. Totals (Lines 20 to 27).................................................................................................................................................................. ........1,951,191,431 ........1,463,655,997 ........6,821,134,74029. Net gain from operations before dividends to policyholders and federal income taxes (Line 9 minus Line 28)......................... .............30,714,393 .............73,700,328 ...........243,960,90430. Dividends to policyholders............................................................................................................................................................ .............15,269,912 .............17,574,395 .............54,384,94031. Net gain from operations after dividends to policyholders and before federal income taxes (Line 29 minus Line 30).............. .............15,444,481 .............56,125,933 ...........189,575,96432. Federal and foreign income taxes incurred (excluding tax on capital gains)............................................................................... ...............2,186,293 .................(610,729) ..............(5,954,490)33. Net gain from operations after dividends to policyholders and federal income taxes and before realized

capital gains or (losses) (Line 31 minus Line 32)......................................................................................................................... .............13,258,188 .............56,736,662 ...........195,530,45434. Net realized capital gains (losses) (excluding gains (losses) transferred to the IMR) less capital gains

tax of $.....(551,556) (excluding taxes of $.....5,933,636 transferred to the IMR)........................................................................ ..............(1,024,316) ..............(1,148,084) ..............(8,298,130)35. Net income (Line 33 plus Line 34)................................................................................................................................................ .............12,233,872 .............55,588,578 ...........187,232,324

CAPITAL AND SURPLUS ACCOUNT36. Capital and surplus, December 31, prior year.............................................................................................................................. ........1,114,764,214 ........1,000,937,565 ........1,000,937,56537. Net income (Line 35)..................................................................................................................................................................... .............12,233,872 .............55,588,578 ...........187,232,32438. Change in net unrealized capital gains (losses) less capital gains tax of $.....2,673,101........................................................... .............15,354,518 .............26,042,527 .............26,744,92639. Change in net unrealized foreign exchange capital gain (loss)................................................................................................... .....................(1,720) ......................9,179 ....................83,17140. Change in net deferred income tax.............................................................................................................................................. .............23,449,073 ..............(3,714,266) ..............(1,660,501)41. Change in nonadmitted assets..................................................................................................................................................... ............(24,400,820) ..............(3,793,271) ............(35,743,548)42. Change in liability for reinsurance in unauthorized and certified companies.............................................................................. ........................(323) ..........................(86) ............................5843. Change in reserve on account of change in valuation basis, (increase) or decrease................................................................. ................................. ................................. .................................44. Change in asset valuation reserve............................................................................................................................................... ............(11,432,797) ..............(3,659,553) ...............7,193,22045. Change in treasury stock.............................................................................................................................................................. ................................. ................................. .................................46. Surplus (contributed to) withdrawn from Separate Accounts during period................................................................................ ................................. .....................(6,000) .....................(6,000)47. Other changes in surplus in Separate Accounts Statement........................................................................................................ ..............(1,768,912) .................(970,642) ...............1,148,29248. Change in surplus notes............................................................................................................................................................... ......................6,971 ......................6,970 ....................27,88349. Cumulative effect of changes in accounting principles................................................................................................................ ................................. ................................. .................................50. Capital changes:

50.1 Paid in.................................................................................................................................................................................. ................................. ................................. ..................200,98650.2 Transferred from surplus (Stock Dividend)......................................................................................................................... ................................. ................................. .................................50.3 Transferred to surplus......................................................................................................................................................... ................................. ................................. .................................

51. Surplus adjustment:51.1 Paid in.................................................................................................................................................................................. ..................655,414 ..................735,903 .............63,603,73251.2 Transferred to capital (Stock Dividend).............................................................................................................................. ................................. ................................. .................................51.3 Transferred from capital...................................................................................................................................................... ................................. ................................. .................................51.4 Change in surplus as a result of reinsurance..................................................................................................................... ................................. ................................. .................................

52. Dividends to stockholders............................................................................................................................................................. ............(73,400,559) ............(77,309,450) ..........(139,532,650)53. Aggregate write-ins for gains and losses in surplus..................................................................................................................... ....................69,851 ...................(47,081) ...............4,534,75654. Net change in capital and surplus (Lines 37 through 53)............................................................................................................ ............(59,235,432) ..............(7,117,192) ...........113,826,64955. Capital and surplus as of statement date (Lines 36 + 54)........................................................................................................... ........1,055,528,782 ...........993,820,373 ........1,114,764,214

DETAILS OF WRITE-INS08.301. Other income....................................................................................................................................................................... .............21,785,519 .............25,375,362 ...........131,433,29108.302. Interest on intercompany loan............................................................................................................................................ ..................686,894 ..................633,628 ...............2,584,97308.303. ............................................................................................................................................................................................. ................................. ................................. .................................08.398. Summary of remaining write-ins for Line 8.3 from overflow page...................................................................................... ..............................0 ..............................0 ..............................008.399. Totals (Lines 08.301 thru 08.303 plus 08.398) (Line 8.3 above)....................................................................................... .............22,472,413 .............26,008,990 ...........134,018,2642701. ............................................................................................................................................................................................. ................................. ................................. .................................2702. ............................................................................................................................................................................................. ................................. ................................. .................................2703. ............................................................................................................................................................................................. ................................. ................................. .................................2798. Summary of remaining write-ins for Line 27 from overflow page....................................................................................... ..............................0 ..............................0 ..............................02799. Totals (Lines 2701 thru 2703 plus 2798) (Line 27 above)................................................................................................. ..............................0 ..............................0 ..............................05301. Change in pension and postretirement benefit liability, net of income taxes..................................................................... ....................69,851 ...................(47,081) ...............4,534,7565302. ............................................................................................................................................................................................. ................................. ................................. .................................5303. ............................................................................................................................................................................................. ................................. ................................. .................................5398. Summary of remaining write-ins for Line 53 from overflow page....................................................................................... ..............................0 ..............................0 ..............................05399. Totals (Lines 5301 thru 5303 plus 5398) (Line 53 above)................................................................................................. ....................69,851 ...................(47,081) ...............4,534,756

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q05

CASH FLOW1 2 3

Current Year Prior Year Prior Year Endedto Date To Date December 31

CASH FROM OPERATIONS1. Premiums collected net of reinsurance............................................................................................................................... ..........1,678,651,010 ..........1,180,232,191 ..........5,640,469,2712. Net investment income........................................................................................................................................................ .............256,251,324 .............264,918,547 ..........1,058,119,3573. Miscellaneous income......................................................................................................................................................... ..............(22,132,583) ...............18,416,768 ...............67,988,6344. Total (Lines 1 through 3)..................................................................................................................................................... ..........1,912,769,751 ..........1,463,567,506 ..........6,766,577,2625. Benefit and loss related payments...................................................................................................................................... ..........1,153,805,856 ..........1,184,549,760 ..........4,683,045,0226. Net transfers to Separate Accounts, Segregated Accounts and Protected Cell Accounts................................................ .............194,896,445 ...............36,155,543 .............382,578,7647. Commissions, expenses paid and aggregate write-ins for deductions.............................................................................. .............192,861,707 .............165,071,360 .............593,187,6948. Dividends paid to policyholders........................................................................................................................................... ...............16,690,912 ...............18,761,806 ...............57,559,4169. Federal and foreign income taxes paid (recovered) net of $.....5,933,636 tax on capital gains (losses).......................... ..............(17,853,807) ...............24,180,225 ...............33,056,65910. Total (Lines 5 through 9)..................................................................................................................................................... ..........1,540,401,113 ..........1,428,718,694 ..........5,749,427,55511. Net cash from operations (Line 4 minus Line 10)............................................................................................................... .............372,368,638 ...............34,848,812 ..........1,017,149,707

CASH FROM INVESTMENTS12. Proceeds from investments sold, matured or repaid:

12.1 Bonds........................................................................................................................................................................ ..........2,251,956,067 ........12,165,382,509 ..........5,660,265,60712.2 Stocks........................................................................................................................................................................ ....................287,930 ....................164,250 .................2,257,00012.3 Mortgage loans......................................................................................................................................................... ...............88,310,743 ...............53,104,470 .............556,108,00912.4 Real estate................................................................................................................................................................ ................................... ................................... .................1,094,66112.5 Other invested assets............................................................................................................................................... ...................(141,955) .................2,342,410 .................6,418,54412.6 Net gains or (losses) on cash, cash equivalents and short-term investments......................................................... ........................5,499 .............................43 ......................12,97312.7 Miscellaneous proceeds........................................................................................................................................... ..........1,133,942,714 ..........2,266,822,249 ...................................12.8 Total investment proceeds (Lines 12.1 to 12.7)....................................................................................................... ..........3,474,360,998 ........14,487,815,931 ..........6,226,156,794

13. Cost of investments acquired (long-term only):13.1 Bonds........................................................................................................................................................................ ..........2,013,337,363 ........12,206,087,734 ..........6,694,402,66213.2 Stocks........................................................................................................................................................................ ................................... ....................300,075 ...................................13.3 Mortgage loans......................................................................................................................................................... .............117,750,000 .............127,235,000 .............430,385,00013.4 Real estate................................................................................................................................................................ ....................267,692 ....................109,634 .................2,142,42813.5 Other invested assets............................................................................................................................................... ....................552,537 ......................74,742 .................2,148,36513.6 Miscellaneous applications....................................................................................................................................... ..........1,062,141,896 .................5,738,421 .................7,241,38413.7 Total investments acquired (Lines 13.1 to 13.6)...................................................................................................... ..........3,194,049,488 ........12,339,545,606 ..........7,136,319,839

14. Net increase or (decrease) in contract loans and premium notes...................................................................................... ....................167,796 ................(5,440,495) ..............(97,662,706)15. Net cash from investments (Line 12.8 minus Line 13.7 and Line 14)................................................................................ .............280,143,714 ..........2,153,710,820 ............(812,500,339)

CASH FROM FINANCING AND MISCELLANEOUS SOURCES16. Cash provided (applied):

16.1 Surplus notes, capital notes...................................................................................................................................... ................................... ........................6,970 ...................................16.2 Capital and paid in surplus, less treasury stock....................................................................................................... ....................140,658 ....................735,903 ...............62,253,16616.3 Borrowed funds......................................................................................................................................................... .................5,799,958 ................(8,599,978) ................(5,217,561)16.4 Net deposits on deposit-type contracts and other insurance liabilities.................................................................... ................(6,213,964) ................(8,800,751) ..............(41,221,297)16.5 Dividends to stockholders......................................................................................................................................... ...............73,400,559 ...............77,309,450 .............139,532,65016.6 Other cash provided (applied).................................................................................................................................. ..............(58,862,011) ...............86,077,375 ..............(30,793,034)

17. Net cash from financing and miscellaneous sources (Lines 16.1 through 16.4 minus Line 16.5 plus Line 16.6)............ ............(132,535,918) ................(7,889,931) ............(154,511,376)

RECONCILIATION OF CASH, CASH EQUIVALENTS AND SHORT-TERM INVESTMENTS18. Net change in cash, cash equivalents and short-term investments (Line 11 plus Line 15 plus Line 17).......................... .............519,976,434 ..........2,180,669,701 ...............50,137,99219. Cash, cash equivalents and short-term investments:

19.1 Beginning of year...................................................................................................................................................... .............176,616,925 .............126,478,932 .............126,478,93219.2 End of period (Line 18 plus Line 19.1)..................................................................................................................... .............696,593,359 ..........2,307,148,633 .............176,616,925

Note: Supplemental disclosures of cash flow information for non-cash transactions:20.0001 Share-based compensation expense....................................................................................................................... ...................(514,756) ...................(461,137) ................(1,551,552)

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q06

EXHIBIT 1 DIRECT PREMIUMS AND DEPOSIT-TYPE CONTRACTS

1 2 3Current Year Prior Year Prior Year

To Date To Date Ended December 31

1. Industrial life................................................................................................................................ ................................................. ................................................. .................................................

2. Ordinary life insurance................................................................................................................ ...........................213,071,838 ...........................174,528,205 ...........................874,352,921

3. Ordinary individual annuities...................................................................................................... .............................57,350,943 .............................60,093,079 ...........................239,971,142

4. Credit life (group and individual)................................................................................................ ................................................. ................................................. .................................................

5. Group life insurance................................................................................................................... .............................32,384,004 .............................33,748,829 .............................90,456,304

6. Group annuities.......................................................................................................................... ........................1,382,260,399 ...........................928,770,899 ........................4,531,033,696

7. A&H - group................................................................................................................................ ...............................9,085,891 ...............................1,975,028 .............................44,689,223

8. A&H - credit (group and individual)............................................................................................ ................................................. ................................................. .................................................

9. A&H - other................................................................................................................................. ................................................. ................................................. .................................................

10. Aggregate of all other lines of business..................................................................................... ..............................................0 ..............................................0 ..............................................0

11. Subtotal....................................................................................................................................... ........................1,694,153,075 ........................1,199,116,040 ........................5,780,503,286

12. Deposit-type contracts................................................................................................................ ...............................2,571,164 ...............................3,014,805 .............................23,041,559

13. Total............................................................................................................................................ ........................1,696,724,239 ........................1,202,130,845 ........................5,803,544,845

DETAILS OF WRITE-INS

1001. .................................................................................................................................................... ................................................. ................................................. .................................................

1002. .................................................................................................................................................... ................................................. ................................................. .................................................

1003. .................................................................................................................................................... ................................................. ................................................. .................................................

1098. Summary of remaining write-ins for Line 10 from overflow page.............................................. ..............................................0 ..............................................0 ..............................................0

1099. Total (Lines 1001 thru 1003 plus 1098) (Line 10 above).......................................................... ..............................................0 ..............................................0 ..............................................0

NOTES TO FINANCIAL STATEMENTS

Note 1 - Summary of Significant Accounting Policies A. Accounting Practices

The Company prepares its statutory financial statements in conformity with accounting practices prescribed or permitted by the Colorado Division of Insurance (the “Division”). The Division requires that insurance companies domiciled in the State of Colorado prepare their statutory financial statements in accordance with the National Association of Insurance Commissioners Accounting Practices and Procedures Manual (“NAIC SAP”), subject to any deviations prescribed or permitted by the State of Colorado insurance commissioner. The only prescribed deviation that impacts the Company allows the Company to account for certain separate account products at book value instead of fair value. The Division has not permitted the Company to adopt any other accounting practices that have an impact on the Company’s statutory financial statements as compared to NAIC SAP or the Division’s prescribed accounting practices. There is no impact to either capital and surplus or net income as a result of the prescribed accounting practice.

State of Domicile Current Period Prior Year

NET INCOME

(1) Great-West Life & Annuity Insurance Company state basis (Page 4, Line 35, Columns 1 & 3) Colorado 12,233,872 187,232,324

(2) State Prescribed Practices that increase/decrease NAIC SAP

(3) State Permitted Practices that increase/decrease NAIC SAP

(4) NAIC SAP (1 – 2 – 3 = 4) Colorado 12,233,872 187,232,324 SURPLUS

(5) Great-West Life & Annuity Insurance Company state basis (Page 3, line 38, Columns 1 & 2) Colorado 1,055,528,782 1,114,764,214

(6) State Prescribed Practices that increase/decrease NAIC SAP

(7) State Permitted Practices that increase/decrease NAIC SAP

(8) NAIC SAP (5 – 6 – 7 = 8) Colorado 1,055,528,782 1,114,764,214

C. Loan-backed Securities

(6) Loan-backed and structured securities and bonds not backed by other loans (collectively referred to as “bonds”) are carried at statutory adjusted carrying value in accordance with the NAIC designation of the security. Carrying value is amortized cost, unless the bond is either (a) designated as a six, in which case it is the lower of amortized cost or fair value or (b) required to be carried at fair value due to the structured securities ratings methodology. The Company recognizes the acquisition of its public bonds on a trade date basis and its private placement investments on a funding date basis. Bonds containing call provisions are amortized to the call or maturity value/date which produces the lowest asset value.

Note 2 - Accounting Changes and Corrections of Errors

No significant change. Note 3 - Business Combinations and Goodwill

No significant change. Note 4 - Discontinued Operations

No significant change. Note 5 – Investments 5D – Loan-backed Securities

(1) Prepayment assumptions are based on the average of recent historical prepayments and are obtained from broker/dealer survey values or internal estimates. These assumptions are consistent with the current interest rate and economic environment. Significant changes in estimated cash flows from the original purchase assumptions are accounted for using the retrospective method.

(2) The Company did not have any loan-backed or structured securities with a recognized other-than-temporary impairment

during the period ended March 31, 2016 that occurred due to the Company having the intent to sell the security or due to the inability or lack of intent to retain the investment in the security for a period of time sufficient to recover the amortized cost basis.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q07

NOTES TO FINANCIAL STATEMENTS

(3) There were no loan-backed or structured securities currently held with a recognized other-than-temporary impairment at March 31, 2016.

(4) The following table summarizes unrealized investment losses at March 31, 2016. The Company considers these

investments to be only temporarily impaired.

(5) The underlying collateral on the securities within the portfolio along with credit enhancement and/or guarantees is sufficient to expect full repayment of the principal. At March 31, 2016, the Company does not have the intent to sell the securities before the recovery of the cost of the securities and the Company has the intent and ability to hold the securities for a period of time sufficient to recover the amortized cost. Therefore, the Company does not consider these investments to be other-than-temporarily impaired.

5E – Repurchase Agreements and/or Securities Lending Transactions

(3) Collateral Received

b. Fair value of the collateral and of the portion of the collateral that has been sold or repledged: Collateral received at March 31, 2016: Reverse repurchase agreements – N/A Dollar reverse repurchase agreements – $1,049,937,649 Securities lending – $164,780,554 Collateral received at December 31, 2015: Reverse repurchase agreements – N/A Dollar reverse repurchase agreements – N/A Securities lending – N/A Reinvested collateral at March 31, 2016: Reverse repurchase agreements – N/A Dollar reverse repurchase agreements – $1,049,937,649 Securities lending – $106,313,144

Reinvested collateral at December 31, 2015: Reverse repurchase agreements – N/A Dollar reverse repurchase agreements – N/A Securities lending – N/A

Cash collateral related to the securities lending program and dollar repurchase agreement practices is primarily invested in U.S. Government

securities, investment grade corporate securities and short-term repurchase agreements which are also collateralized by U.S. Government or

U.S. Government Agency securities. In addition, the securities lending agent indemnifies the Company against borrower risk, meaning that

the lending agent agrees contractually to replace securities not returned due to a borrower default. The Company does not enter into these

types of transactions for liquidity purposes, but rather for yield enhancement on its investment portfolio.

5(F) – Real Estate-NONE 5(I) – Working Capital Finance Transactions-NONE 5(J) – Offsetting and Netting of Assets and Liabilities-NONE Note 6 - Joint Ventures, Partnerships and Limited Liability Companies

No significant change. Note 7 - Investment Income

No significant change. Note 8 - Derivative Instruments

No significant change. Note 9 - Income Taxes

No significant change.

a. The aggregate amount of unrealized losses: 1. Less than 12 Months 8,772,835$

2. 12 Months or Longer 11,719,349$

b. The aggregate related fair value of securities with unrealized losses: 1. Less than 12 Months 1,226,002,777$

2. 12 Months or Longer 278,188,337$

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q07.1

NOTES TO FINANCIAL STATEMENTS

Note 10 - Information Concerning Parent, Subsidiaries, Affiliates and Other Related Parties

No significant change. Note 11 – Debt

11 (B) – Debt - NONE Note 12 - Retirement Plans, Deferred Compensation, Postemployment Benefits and Compensated Absences and Other

Postretirement Benefit Plans

Net periodic cost (benefit) of the Post-Retirement Medical and Supplemental Executive Retirement plans included in general insurance expenses in the Summary of Operations for the periods ended March 31, 2016 and December 31, 2015 includes the following components:

Supplemental Executive Post-Retirement

Retirement Plan Medical Plan

2016

2015 2016 2015

(4) Components of net periodic benefit cost

a. Service cost $ 73,527 $ 281,716 $ 292,956 $ 1,041,835

b. Interest cost

443,635 2,122,364 175,028

560,508

c. Expected return on plan assets

0 0 0

0

d. Transition asset or obligation

0 0 0

0

e. Gains and losses

-15,260 662,866 (40,045)

(317,854)

f. Prior service cost or credit

125,352 932,713 37,415

(107,241)

g. Gain or loss recognized due to a settlement

0 0

0

h. Total net periodic cost (benefit) $ 627,254 $ 3,999,659 $ 465,354 $ 1,177,248

Note 13 - Capital and Surplus, Shareholders’ Dividend Restrictions and Quasi-Reorganizations

No significant change. Note 14 - Contingencies

No significant change. Note 15 - Leases

No significant change. Note 16 - Information About Financial Instruments With Off-Balance Sheet Risk and Financial Instruments With

Concentrations of Credit Risk

No significant change. Note 17 - Sale, Transfer and Servicing of Financial Assets and Extinguishments of Liabilities

17 (B) – Transfer and Servicing of Financial Assets - NONE 17 (C) – Wash Sales - NONE

Note 18 - Gain or Loss to the Reporting Entity from Uninsured Plans and the Uninsured Portion of Partially Insured

Plans

No significant change. Note 19 - Direct Premium Written/Produced by Managing General Agents/Third Party Administrators

No significant change. Note 20 - Fair Value

20. Fair Value Measurements

Fair Value Measurements

A. Fair Value Disclosures

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q07.2

NOTES TO FINANCIAL STATEMENTS

(1) Fair Value Measurements at Reporting Date

The following tables present information about the Company’s financial assets and liabilities carried at fair value and indicates

the fair value hierarchy of the valuation techniques utilized by the Company to determine such fair value:

Assets: (Level 1) (Level 2) (Level 3) Total

Bonds

Industrial and miscellaneous -$ 3,812,606$ -$ 3,812,606$

States - 620,030 - 620,030

Derivatives

Interest rate swaps - 21,618,919 - 21,618,919

Cross-currency swaps - 21,715,840 - 21,715,840

Interest rate swaptions - 178,852 - 178,852

Separate Account Assets 14,796,494,502 12,114,193,424 - 26,910,687,926

Total Assets: 14,796,494,502$ 12,162,139,671$ -$ 26,958,634,173$

Liabilities:

Derivatives

Interest rate swaps -$ 7,768,799$ -$ 7,768,799$

Cross-currency swaps - 59,864,698 - 59,864,698

Separate Account Liabilities(1) 37,577 256,884,930 256,922,507

Total Liabilities: 37,577$ 324,518,427$ -$ 324,556,004$

Fair Value Measurements at Reporting Date

March 31, 2016

(1) Includes only separate account instruments which are carried at the fair value of the underlying invested assets owned by the separate

accounts.

Assets: (Level 1) (Level 2) (Level 3) Total

Bonds

Industrial and miscellaneous -$ 4,026,902$ -$ 4,026,902$

States - 642,540 - 642,540

Derivatives -

Interest rate swaps - 8,295,165 - 8,295,165

Cross-currency swaps - 19,536,648 - 19,536,648

Interest rate swaptions - 189,009 - 189,009

Separate Account Assets 14,885,362,219 11,434,039,325 - 26,319,401,544

Total Assets: 14,885,362,219$ 11,466,729,589$ -$ 26,352,091,808$

Liabilities:

Derivatives

Interest rate swaps -$ 5,055,160$ -$ 5,055,160$

Cross-currency swaps - 71,296,089 - 71,296,089

Separate Account Liabilities(1) 23,787 290,293,293 - 290,317,080

Total Liabilities: 23,787$ 366,644,542$ -$ 366,668,329$

(1) Includes only separate account instruments which are carried at the fair value of the underlying invested assets owned by the separate

accounts.

Fair Value Measurements at Reporting Date

December 31, 2015

(2) Fair Value Measurements in (Level 3) of the Fair Value Hierarchy The following table presents additional information about assets carried at fair value and for which the Company has utilized Level 3 inputs to determine fair value:

Gains (losses) Gains (losses)

Balance at Transfers into Transfer out of included included Balance at

Assets: January 1, 2015 Level 3 Level 3 in net income in surplus Purchases Issuances Sales Settlements December 31, 2015

Real Estate Held for Sale -$ 781,333$ -$ 332,614$ -$ -$ -$ (1,113,947)$ -$ -$

Total Assets -$ 781,333$ -$ 332,614$ -$ -$ -$ (1,113,947)$ -$ -$

As of December 31, 2016, there were no transfers into Level 3. At December 31, 2015, transfers into Level 3 were due primarily to assets being carried at fair value. There were no transfers out of Level 3.

(3) Policies for Determining When Transfers between Levels are Recognized Overall, transfers between levels are attributable to a change in the observability of inputs. Assets and liabilities are transferred to a lower level in the hierarchy when a significant input cannot be corroborated with market observable data. This may occur when market activity decreases and underlying inputs cannot be observed, current prices are not available, and/or when there are significant variances in quoted prices, thereby affecting transparency. Assets and liabilities are transferred to a higher level in the hierarchy when circumstances change such that a significant input can be corroborated with market observable data. This may be due to a significant increase in market activity including recent trades, a specific event, or one or more significant input(s) becoming observable. All transfers between levels are recognized at the beginning of the reporting period in which the transfer occurred.

(4) Valuation Techniques and Inputs in Fair Value Measurements Certain assets and liabilities are recorded at fair value on the Company’s Statutory Statements of Admitted Assets, Liabilities, Surplus and Other Funds. The Company defines fair value as the price that would be received to sell an asset or paid to transfer a liability in the principal or most advantageous market for the asset or liability in an orderly transaction between market participants on the measurement date. The Company categorizes its assets and liabilities measured at fair value into a three-level hierarchy, based on the priority of the inputs to the respective valuation technique. The fair value hierarchy gives the highest priority to quoted prices in active markets for identical assets or liabilities (Level 1) and the lowest priority to unobservable inputs (Level 3). The Company’s assets and liabilities have been categorized based upon the following fair value hierarchy:

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q07.3

NOTES TO FINANCIAL STATEMENTS

Level 1 inputs, which are utilized for separate account assets and liabilities, utilize observable, quoted prices (unadjusted) in active markets for identical assets or liabilities that the Company has the ability to access at the measurement date.

Level 2 inputs utilize other than quoted prices included in Level 1 that are observable for the asset or liability, either directly or indirectly. Level 2 inputs, which are utilized for general and separate account assets and liabilities, include quoted prices for similar assets and liabilities in active markets, and inputs other than quoted prices that are observable for the asset or liability, such as interest rates and yield curves that are observable at commonly quoted intervals. The fair values for some Level 2 securities are obtained from pricing services. The inputs used by the pricing services are reviewed at least quarterly or when the pricing vendor issues updates to its pricing methodology. For bond and separate account assets and liabilities, inputs include benchmark yields, reported trades, broker/dealer quotes, issuer spreads, two-sided markets, benchmark securities, bids, evaluated bids, offers and reference data including market research publications. Additional inputs utilized for assets and liabilities classified as Level 2 are:

Asset-backed, residential mortgage-backed, commercial mortgage-backed securities and collateralized debt obligation securities – new issue data, monthly payment information, collateral performance and third party real estate analysis.

U.S. states and their subdivisions – material event notices.

Derivative instruments – trading activity, swap curves, credit spreads, currency volatility, net present value of cash flows and news sources.

Separate account assets and liabilities – various index data and news sources, amortized cost (which approximates fair value), trading activity, swap curves, credit spreads, recovery rates, restructuring, net present value of cash flows and quoted prices in markets that are not active or for which all significant inputs are observable, either directly or indirectly.

Level 3 inputs are unobservable and include situations where there is little, if any, market activity for the asset or liability. In general, the prices of Level 3 securities are obtained from single broker quotes and internal pricing models. If the broker’s inputs are largely unobservable, the valuation is classified as a Level 3.

In certain cases, the inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, the level in the fair value hierarchy within which the fair value measurement in its entirety falls has been determined based on the lowest level input that is significant to the fair value measurement in its entirety. The Company’s assessment of the significance of a particular input to the fair value measurement in its entirety requires judgment and considers factors specific to the asset or liability. The policies and procedures utilized to review, account for and report on the value and level of the Company’s securities were determined and implemented by the Finance division. The Investments division is responsible for the processes related to security purchases and sales and provides valuation and leveling input to the Finance division when necessary. Both divisions within the Company have worked in conjunction to establish thorough pricing, review, approval, accounting and reporting policies and procedures around the securities valuation process. In some instances, securities are priced using external broker quotes. In most cases, when broker quotes are used as pricing inputs, more than one broker quote is obtained. External broker quotes are reviewed internally by comparing the quotes to similar securities in the public market and/or to vendor pricing, if available. Additionally, external broker quotes are compared to market reported trade activity to ascertain whether the price is reasonable, reflective of the current market prices and takes into account the characteristics of the Company’s securities.

B. Fair Value Reporting Under Other Accounting Pronouncements – NONE

C. Aggregate Fair Value for All Financial Instruments

The following tables summarize the fair value hierarchy for all financial instruments and invested assets:

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q07.4

NOTES TO FINANCIAL STATEMENTS

Fair Value of Financial Instruments

March 31, 2016

Assets:

Aggregate Fair

Value Admitted Assets (Level 1) (Level 2) (Level 3)

Not Practicable

(Carrying Value)

Bonds 20,174,161,282$ 19,183,371,146$ -$ 20,129,975,705$ 44,185,577$ -$

Mortgage loans 3,313,281,792 3,128,577,334 - 3,313,281,792 - -

Real estate 139,293,611 39,370,631 - 137,490,000 1,803,611 -

Cash, cash equivalents and

short-term investments 696,746,389 696,593,358 296,712,879 400,033,510 - -

Contract loans 4,044,578,488 4,044,578,488 - 4,044,578,488 - -

Other long-term invested assets 366,786,197 316,351,418 - 327,365,776 39,420,421 -

Securities lending reinvested

collateral assets 106,313,144 106,313,144 - 106,313,144 - -

Collateral under derivative

counterparty collateral

agreements 55,559,058 55,559,058 55,559,058 - - -

Receivable for securities 28,431,100 26,421,780 - 28,431,100 - -

Derivative instruments 85,046,145 67,277,501 97,345 84,948,800 - -

Separate account assets 27,671,179,729 27,655,244,602 14,796,639,647 12,874,540,082 - -

Total assets 56,681,376,935$ 55,319,658,460$ 15,149,008,929$ 41,446,958,397$ 85,409,609$ -$

Liabilities:

Deposit-type contracts 260,607,373$ 237,673,353$ -$ 260,607,373$ -$ -$

Commercial paper 99,171,254 99,171,254 - 99,171,254 - -

Payable under securities lending

agreements 106,313,144 106,313,144 - 106,313,144 - -

Collateral under derivative

counterparty collateral

agreements 22,450,000 22,450,000 22,450,000 - - -

Payable for securities 89,523,098 89,523,098 - 89,523,098 - -

Derivative instruments 72,136,176 70,457,618 28,557 72,107,619 - -

Dollar reverse repurchase agreements 1,048,263,542 1,048,263,542 - 1,048,263,542 - -

Separate account liabilities 256,922,507 256,922,507 37,577 256,884,930 - -

Total Liabilities 1,955,387,094$ 1,930,774,516$ 22,516,134$ 1,932,870,960$ -$ -$

Fair Value of Financial Instruments

December 31, 2015

Assets:

Aggregate Fair

Value Admitted Assets (Level 1) (Level 2) (Level 3)

Not Practicable

(Carrying Value)

Bonds 18,956,499,425$ 18,369,734,965$ -$ 18,917,742,042$ 38,757,383$ -$

Mortgage loans 3,214,811,406 3,099,086,750 - 3,214,811,406 - -

Real estate 139,293,611 39,715,745 - 139,293,611 - -

Cash equivalents and

short-term investments 185,383,097 185,383,097 130,644,550 54,738,547 - -

Contract loans 4,068,253,592 4,068,253,592 - 4,068,253,592 - -

Other long-term invested assets 366,205,600 318,943,279 - 322,785,429 43,420,171 -

Collateral under derivative

counterparty collateral

agreements 69,984,281 69,984,281 69,984,281 - - -

Receivable for securities 14,535,138 10,592,698 - 14,535,138 - -

Derivative instruments 68,155,351 48,748,703 299,927 67,855,424 - -

Separate account assets 27,039,625,499 27,048,079,873 14,885,612,532 12,154,012,967 - -

Total assets 54,122,747,000$ 53,258,522,983$ 15,086,541,290$ 38,954,028,156$ 82,177,554$ -$

Liabilities:

Deposit-type contracts 262,706,727$ 243,887,317$ -$ 262,706,727$ -$ -$

Commercial paper 93,371,296 93,371,296 - 93,371,296 - -

Collateral under derivative

counterparty collateral

agreements 19,060,000 19,060,000 19,060,000 - - -

Payable for securities 3,843,926 3,843,926 - 3,843,926 - -

Derivative instruments 75,639,885 76,666,464 11,371 75,628,514 - -

Separate account liabilities 290,317,080 290,317,080 23,787 290,293,293 - -

Total Liabilities 744,938,914$ 727,146,083$ 19,095,158$ 725,843,756$ -$ -$

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q07.5

NOTES TO FINANCIAL STATEMENTS

Bonds The fair values for bonds are generally based upon market prices from independent pricing services. In cases where market prices are not readily available, fair values are estimated by the Company. To determine estimated fair value for these instruments, the Company generally utilizes discounted cash flow models with market observable pricing inputs such as spreads, average life, and credit quality. Fair value estimates are made at a specific point in time, based on available market information and judgments about financial instruments, including estimates of the timing and amounts of expected future cash flows and the credit standing of the issuer or counterparty. Mortgage loans Mortgage loan fair value estimates are generally based on discounted cash flows. A discount rate matrix is used where the discount rate valuing a specific mortgage generally corresponds to that mortgage’s remaining term and credit quality. Management believes the discount rate used is comparable to the credit, interest rate, term, servicing costs and risks of loans similar to the portfolio loans that the Company would make today given its internal pricing strategy. Real estate The estimated fair value for real estate is based on the unadjusted appraised value which includes factors such as comparable property sales, property income analysis, and capitalization rates. Cash, cash equivalents, short-term investments, collateral receivable and payable under securities lending

agreements, receivable and payable for securities, and commercial paper

The amortized cost of cash, cash equivalents, short-term investments, collateral receivable and payable under

securities lending agreements, receivable and payable for securities, and commercial paper is a reasonable estimate

of fair value due to their short-term nature and the high credit quality of the issuers, counterparties and obligor. Contract loans The Company believes the fair value of contract loans approximates book value. Contract loans are funds provided to contract holders in return for a claim on the contract. The funds provided are limited to the cash surrender value of the underlying contract. The nature of contract loans is to have a negligible default risk as the loans are fully collateralized by the value of the contract. Contract loans do not have a stated maturity and the balances and accrued interest are repaid either by the contractholder or with proceeds from the contract. Due to the collateralized nature of contract loans and unpredictable timing of repayments, the Company believes the fair value of contract loans approximates carrying value. Other long-term invested assets The fair values of other long-term invested assets are based on the specific asset type. Other invested assets that are held as bonds, such as surplus notes, are primarily valued the same as bonds. For low-income housing tax credits, amortized cost approximates fair value. Limited partnership interests represent the Company’s minor ownership interests in pooled investment funds. These funds employ varying investment strategies that principally make private equity investments across diverse industries and geographical focuses. The estimated fair value was determined by using the partnership financial statement reported capital account or net asset value adjusted for other financial information or other relevant variables which may impact the exit value of the investments. Distributions by these investments are generated from investment gains, from operating income generated by the underlying investments of the funds and from liquidation of the underlying assets of the funds. It is estimated that the underlying assets of the funds will be liquidated over the next one to ten years. Collateral under derivative counterparty collateral agreements Included in other assets is cash collateral received from or pledged to derivative counterparties and included in other liabilities is the obligation to return the cash collateral to the counterparties. The carrying value of the collateral is a reasonable estimate of fair value.

Derivative instruments The estimated fair values of OTC derivatives, primarily consisting of cross-currency swaps, interest rate swaps and interest rate swaptions, are the estimated amounts the Company would receive or pay to terminate the agreements at the end of each reporting period, taking into consideration current interest rates and other relevant factors. Separate account assets Assets from separate accounts include investments in mutual funds, bonds and short-term securities. Mutual funds are recorded at net asset value, which approximates fair value, on a daily basis. The bonds and short-term investments are valued in the same manner, and using the same pricing sources and inputs as the bonds and short-term investments of the Company. Deposit-type contracts

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q07.6

NOTES TO FINANCIAL STATEMENTS

Fair values for liabilities under deposit-type insurance contracts are estimated using discounted liability calculations, adjusted to approximate the effect of current market interest rates for the assets supporting the liabilities.

D. Financial Instruments for which an Estimated Fair Value is Not Practicable - NONE Note 21 - Other Items

G. Retained Assets

1. The Company does not have retained asset accounts in which checkbooks or drafts are issued to the beneficiary. However, many of the Company’s contracts contain a contractual provision which allows the beneficiary to leave the funds on deposit with the Company and receive interest. This option is also used for beneficiaries who have not yet reached the age of majority and for whom no trust or guardianship has been established. These amounts are paid out at age of majority. The interest rate paid varies by contract. There are a number of guaranteed rates: 3%, 3.5%, 4% or at the Company’s declared delayed interest rate, which is determined quarterly. Beneficiaries can choose to have interest credited annually, semi-annually quarterly or monthly. These funds are held within the Company’s general account and reported as a deposit-type liability. There are no fees to the beneficiary and amounts can be withdrawn at any time. The retained asset account is not the default method for satisfying life insurance claims.

2.

In Force

As of End of 03/31/2016 As of End of Prior Year -2015

(a) (b) (c) (d)

Number Balance Number Balance

Up to and including 12 Months 27 1,787,956 14 564,044

13 to 24 Months 4 231,648 9 433,482

25 to 36 Months 9 679,386 8 883,937

37 to 48 Months 4 503,279 3 252,970

49 to 60 Months 1 25,833 1 25,833

Over 60 Months 72 3,588,136 76 3,671,154

Total 117 6,816,238 111 5,831,420

3.

Individual Group

(1) (2) (3) (4) Number Balance/Amount Number Balance/Amount

Retained Asset Accts at Beginning of Year 111 5,831,420 0 0

Retained Asset Accts Issued/Added During Year 13 1,223,912 0 0

Investment Earning Credited to Retained Asset Accts During Year N/A 8,483 N/A 0

Fees and Other Charges Assesed to Retained Asset Accts During Year N/A 0 N/A 0

Retained Asset Accts Transferred to State Unclaimed Property funds During Year 0 0 0 0

Retained Asset Accts Closed/Withdrawn During Year (7) (247,577) 0 0

Balance of Retained Asset Accts at End of Year 117 6,816,238 0 0

21(H) – Offsetting and Netting of Assets and Liabilities-NONE Note 22 - Events Subsequent

No significant change.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q07.7

NOTES TO FINANCIAL STATEMENTS

Note 23 - Reinsurance

No significant change. Note 24 - Retrospectively Rated Contracts & Contracts Subject to Redetermination

No significant change. Note 25 - Change in Incurred Losses and Loss Adjustment Expenses

Reserves as of December 31, 2015 were $222.0 million. Reserves remaining for prior years are now $150.9 million. Original estimates are increased or decreased, as additional information becomes known regarding individual claims. Included in this increase (decrease), the Company experienced $0 million of unfavorable (favorable) prior year loss development on retrospectively rated policies. However, the business to which it relates is subject to premium adjustments.

Note 26 - Intercompany Pooling Arrangements

No significant change. Note 27 - Structured Settlements

No significant change. Note 28 - Health Care Receivables

No significant change. Note 29 - Participating Policies

No significant change.

Note 30 - Premium Deficiency Reserves

No significant change. Note 31 - Reserves for Life Contracts and Annuity Contracts

No significant change. Note 32 - Analysis of Annuity Actuarial Reserves and Deposit Liabilities by Withdrawal Characteristics

No significant change. Note 33 - Premiums and Annuity Considerations Deferred and Uncollected

No significant change. Note 34 - Separate Accounts

No significant change. Note 35 - Loss/Claim Adjustment Expenses

No significant change.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q07.8

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q08

GENERAL INTERROGATORIESPART 1 - COMMON INTERROGATORIES

GENERAL1.1 Did the reporting entity experience any material transactions requiring the filing of Disclosure of Material Transactions with the State of Domicile,

as required by the Model Act? Yes [ ] No [ X ]

1.2 If yes, has the report been filed with the domiciliary state? Yes [ ] No [ ]

2.1 Has any change been made during the year of this statement in the charter, by-laws, articles of incorporation, or deed of settlement of thereporting entity? Yes [ ] No [ X ]

2.2 If yes, date of change:

3.1 Is the reporting entity a member of an Insurance Holding Company System consisting of two or more affiliated persons, one or more of which is an insurer? Yes [ X ] No [ ]If yes, complete Schedule Y, Parts 1 and 1A.

3.2 Have there been any substantial changes in the organizational chart since the prior quarter end? Yes [ X ] No [ ]

3.3 If the response to 3.2 is yes, provide a brief description of those changes.

In the ordinary course of business, entity name changes, acquistions, dispositions, formations, and percentage of entity ownership changes, routinelyoccur.

4.1 Has the reporting entity been a party to a merger or consolidation during the period covered by this statement? Yes [ ] No [ X ]

4.2 If yes, provide name of entity, NAIC Company Code, and state of domicile (use two letter state abbreviation) for any entity that has ceased to exist as aresult of the merger or consolidation.

1

Name of Entity

2NAIC

CompanyCode

3

State ofDomicile

5. If the reporting entity is subject to a management agreement, including third-party administrator(s), managing general agent(s), attorney-in-fact, orsimilar agreement, have there been any significant changes regarding the terms of the agreement or principals involved?If yes, attach an explanation. Yes [ ] No [ ] N/A [X ]

6.1 State as of what date the latest financial examination of the reporting entity was made or is being made. 12/31/2015

6.2 State the as of date that the latest financial examination report became available from either the state of domicile or the reporting entity. This dateshould be the date of the examined balance sheet and not the date the report was completed or released. 12/31/2010

6.3 State as of what date the latest financial examination report became available to other states or the public from either the state of domicile or thereporting entity. This is the release date or completion date of the examination report and not the date of the examination (balance sheet date). 02/16/2012

6.4 By what department or departments?

6.5 Have all financial statement adjustments within the latest financial examination report been accounted for in a subsequent financial statement filedwith Departments? Yes [ X ] No [ ] N/A [ ]

6.6 Have all of the recommendations within the latest financial examination report been complied with? Yes [ X ] No [ ] N/A [ ]

7.1 Has this reporting entity had any Certificates of Authority, licenses or registrations (including corporate registration, if applicable) suspended or revokedby any governmental entity during the reporting period? Yes [ ] No [ X ]

7.2 If yes, give full information:

8.1 Is the company a subsidiary of a bank holding company regulated with the Federal Reserve Board? Yes [ ] No [ X ]

8.2 If response to 8.1 is yes, please identify the name of the bank holding company.

8.3 Is the company affiliated with one or more banks, thrifts or securities firms? Yes [ X ] No [ ]

8.4 If the response to 8.3 is yes, please provide below the names and location (city and state of the main office) of any affiliates regulated by a federalregulatory services agency [i.e. the Federal Reserve Board (FRB), the Office of the Comptroller of the Currency (OCC), the Federal Deposit InsuranceCorporation (FDIC) and the Securities Exchange Commission (SEC)] and identify the affiliate’s primary federal regulator].

1Affiliate Name

2Location (City, State)

3FRB

4OCC

5FDIC

6SEC

Advised Asset Group, LLC Greenwood Village, CO SECGreat-West Capital Management, LLC Greenwood Village, CO SECGWFS Equities, Inc. Greenwood Village, CO SECGreat-West Funds, Inc. Baltimore, MD SECPutnam Fiduciary Trust Company Boston, MA SECPutnam Retail Management Limited Partnership Boston, MA SEC

9.1 Are the senior officers (principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similarfunctions) of the reporting entity subject to a code of ethics, which includes the following standards? Yes [ X ] No [ ]

(a) Honest and ethical conduct, including the ethical handling of actual or apparent conflicts of interest between personal and professional relationships;

(b) Full, fair, accurate, timely and understandable disclosure in the periodic reports required to be filed by the reporting entity;

(c) Compliance with applicable governmental laws, rules and regulations;

(d) The prompt internal reporting of violations to an appropriate person or persons identified in the code; and

(e) Accountability for adherence to the code.

9.11 If the response to 9.1 is No, please explain:

9.2 Has the code of ethics for senior managers been amended? Yes [ ] No [ X ]

9.21 If the response to 9.2 is Yes, provide information related to amendment(s).

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q08.1

GENERAL INTERROGATORIESPART 1 - COMMON INTERROGATORIES

9.3 Have any provisions of the code of ethics been waived for any of the specified officers? Yes [ ] No [ X ]

9.31 If the response to 9.3 is Yes, provide the nature of any waiver(s).

FINANCIAL10.1 Does the reporting entity report any amounts due from parent, subsidiaries or affiliates on Page 2 of this statement? Yes [ X ] No [ ]

10.2 If yes, indicate any amounts receivable from parent included in the Page 2 amount: $ 0

INVESTMENT11.1 Were any of the stocks, bonds, or other assets of the reporting entity loaned, placed under option agreement, or otherwise made available for

use by another person? (Exclude securities under securities lending agreements.) Yes [ ] No [ X ]

11.2 If yes, give full and complete information relating thereto:

12. Amount of real estate and mortgages held in other invested assets in Schedule BA: $ 0

13. Amount of real estate and mortgages held in short-term investments: $ 0

14.1 Does the reporting entity have any investments in parent, subsidiaries and affiliates? Yes [ X ] No [ ]

14.2 If yes, please complete the following:1 2

Prior Year-End Current QuarterBook/Adjusted Carrying Value Book/Adjusted Carrying Value

14.21 Bonds $ 34,219,740 $ 32,259,84114.22 Preferred Stock 0 014.23 Common Stock 108,307,186 109,258,72014.24 Short-Term Investments 0 014.25 Mortgage Loans on Real Estate 0 014.26 All Other 171,363,381 179,426,16214.27 Total Investment in Parent, Subsidiaries and Affiliates (Subtotal Lines 14.21 to 14.26) $ 313,890,307 $ 320,944,72314.28 Total Investment in Parent included in Lines 14.21 to 14.26 above $ 0 $ 0

15.1 Has the reporting entity entered into any hedging transactions reported on Schedule DB? Yes [ X ] No [ ]

15.2 If yes, has a comprehensive description of the hedging program been made available to the domiciliary state? Yes [ X ] No [ ]

If no, attach a description with this statement.

16. For the reporting entity's security lending program, state the amount of the following as of current statement date:

16.1 Total fair value of reinvested collateral assets reported on Schedule DL, Parts 1 and 2: $ 106,313,144

16.2 Total book adjusted/carrying value of reinvested collateral assets reported on Schedule DL, Parts 1 and 2: $ 106,313,144

16.3 Total payable for securities lending reported on the liability page: $ 106,313,144

17. Excluding items in Schedule E-Part 3-Special Deposits, real estate, mortgage loans and investments held physically in the reporting entity'soffices, vaults or safety deposit boxes, were all stocks, bonds and other securities, owned throughout the current year held pursuant to acustodial agreement with a qualified bank or trust company in accordance with Section 1, III - General Examination Considerations, F. Outsourcingof Critical Functions, Custodial or Safekeeping Agreements of the NAIC Financial Condition Examiners Handbook?Yes [ X ] No [ ]

17.1 For all agreements that comply with the requirements of the NAIC Financial Condition Examiners Handbook, complete the following:

1Name of Custodian(s)

2Custodian Address

BANK OF NEW YORK MELLON 1 WALL STREET, NEW YORK, NY 1028617.2 For all agreements that do not comply with the requirements of the NAIC Financial Condition Examiners Handbook, provide the name,

location and a complete explanation:

1Name(s)

2Location(s)

3Complete Explanation(s)

17.3 Have there been any changes, including name changes, in the custodian(s) identified in 17.1 during the current quarter? Yes [ ] No [ X ]

17.4 If yes, give full and complete information relating thereto:

1Old Custodian

2New Custodian

3Date ofChange

4Reason

17.5 Identify all investment advisors, broker/dealers or individuals acting on behalf of broker/dealers that have access to the investmentaccounts, handle securities and have authority to make investments on behalf of the reporting entity:

1Central Registration Depository

2Name(s)

3Address

18.1 Have all the filing requirements of the Purposes and Procedures Manual of the NAIC Investment Analysis Office been followed? Yes [ X ] No [ ]

18.2 If no, list exceptions:

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q09

GENERAL INTERROGATORIES (continued) PART 2 - LIFE & HEALTH

1. Report the statement value of mortgage loans at the end of this reporting period for the following categories:

1.1 Long-term mortgages in good standing Amount1.11 Farm mortgages................................................................................................................................................................................................................... $...............................................1.12 Residential mortgages.......................................................................................................................................................................................................... $...............................................1.13 Commercial mortgages........................................................................................................................................................................................................ $......................3,127,648,3031.14 Total mortgages in good standing........................................................................................................................................................................................ $......................3,127,648,303

1.2 Long-term mortgages in good standing with restructured terms1.21 Total mortgages in good standing with restructured terms.................................................................................................................................................. $...............................................

1.3 Long-term mortgage loans upon which interest is overdue more than three months1.31 Farm mortgages................................................................................................................................................................................................................... $...............................................1.32 Residential mortgages.......................................................................................................................................................................................................... $...............................................1.33 Commercial mortgages........................................................................................................................................................................................................ $...............................................1.34 Total mortgages with interest overdue more than three months......................................................................................................................................... $............................................0

1.4 Long-term mortgage loans in process of foreclosure1.41 Farm mortgages................................................................................................................................................................................................................... $...............................................1.42 Residential mortgages.......................................................................................................................................................................................................... $...............................................1.43 Commercial mortgages........................................................................................................................................................................................................ $................................929,0311.44 Total mortgages in process of foreclosure........................................................................................................................................................................... $................................929,031

1.5 Total mortgage loans (Lines 1.14 + 1.21 + 1.34 + 1.44) (Page 2, Column 3, Lines 3.1 + 3.2) ................................................................................................... $......................3,128,577,334

1.6 Long-term mortgages foreclosed, properties transferred to real estate in current quarter1.61 Farm mortgages................................................................................................................................................................................................................... $...............................................1.62 Residential mortgages.......................................................................................................................................................................................................... $...............................................1.63 Commercial mortgages........................................................................................................................................................................................................ $...............................................1.64 Total mortgages foreclosed and transferred to real estate.................................................................................................................................................. $............................................0

2. Operating Percentages:2.1 A&H loss percent.................................................................................................................................................................................................................. .........................................91.22.2 A&H cost containment percent............................................................................................................................................................................................. .................................................2.3 A&H expense percent excluding cost containment expenses............................................................................................................................................. .........................................20.0

3.1 Do you act as a custodian for health savings accounts?................................................................................................................................................................. Yes [ ] No [ X ]3.2 If yes, please provide the amount of custodial funds held as of the reporting date........................................................................................................................ $...............................................3.3 Do you act as an administrator for health savings accounts?......................................................................................................................................................... Yes [ ] No [ X ]3.4 If yes, please provide the balance of the funds administered as of the reporting date................................................................................................................... $...............................................

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q10

SCHEDULE S - CEDED REINSURANCE Showing All New Reinsurance Treaties - Current Year to Date

1 2 3 4 5 6 7 8 9NAIC Type of Certified Effective Date

Company ID Effective Domiciliary Reinsurance Type of Reinsurer Rating of CertifiedCode Number Date Name of Reinsurer Jurisdiction Ceded Reinsurer (1 through 6) Reinsuer Rating

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q11

SCHEDULE T - PREMIUMS AND ANNUITY CONSIDERATIONS Current Year to Date - Allocated by States and Territories

1 Direct Business OnlyLife Contracts 4 5 6 7

2 3

States, Etc.ActiveStatus

Life InsurancePremiums

AnnuityConsiderations

A&H InsurancePremiums,

Including PolicyMembership and

Other FeesOther

ConsiderationsTotal Columns 2

through 5Deposit-Type

Contracts1. Alabama.......................................................................................AL ......L.... ...........2,261,515 .........10,998,361 ..............124,990 .......................... .......13,384,866 .....................812. Alaska..........................................................................................AK ......L.... ...........1,495,380 ...........8,605,580 ................18,245 .......................... .......10,119,205 ..............14,2513. Arizona.........................................................................................AZ ......L.... .........11,048,400 .........25,529,224 ..............164,084 .......................... .......36,741,708 ..............20,7404. Arkansas.....................................................................................AR ......L.... ...........1,033,784 ...........1,380,769 ................68,098 .......................... .........2,482,651 ................8,2775. California.....................................................................................CA ......L.... ...........7,523,318 .......169,109,666 ..............999,982 .......................... .....177,632,966 ..............81,0406. Colorado.....................................................................................CO ......L.... ...........3,207,378 .........83,166,031 ..............335,563 .......................... .......86,708,972 ............220,4597. Connecticut..................................................................................CT ......L.... .........11,456,256 .........21,257,843 ................84,963 .......................... .......32,799,062 ...................6748. Delaware.....................................................................................DE ......L.... ...........7,181,350 ...........5,093,500 ................90,962 .......................... .......12,365,812 ................3,7139. District of Columbia.....................................................................DC ......L.... ..............339,328 ...........4,664,236 ................36,561 .......................... .........5,040,125 ...................30010. Florida..........................................................................................FL ......L.... .........17,182,271 .........32,519,586 ..............443,856 .......................... .......50,145,713 ..............55,40411. Georgia.......................................................................................GA ......L.... ...........3,608,177 .........20,115,190 ..............259,422 .......................... .......23,982,789 ....................(50)12. Hawaii...........................................................................................HI ......L.... ..............328,091 ...........1,561,098 ..............138,314 .......................... .........2,027,503 ...................66213. Idaho.............................................................................................ID ......L.... ..............491,461 ...........3,332,989 ................49,855 .......................... .........3,874,305 ................6,94414. Illinois.............................................................................................IL ......L.... .........14,451,192 .........31,402,168 ..............381,081 .......................... .......46,234,441 ..............69,61415. Indiana..........................................................................................IN ......L.... ...........4,461,773 .........17,425,479 ..............154,670 .......................... .......22,041,922 ..............74,31916. Iowa...............................................................................................IA ......L.... ..............506,484 ...........6,991,559 .....................768 .......................... .........7,498,811 ................6,27417. Kansas.........................................................................................KS ......L.... ...........2,075,528 ...........7,166,901 ..............124,753 .......................... .........9,367,182 ................2,38318. Kentucky......................................................................................KY ......L.... ...........1,845,827 ...........3,259,704 ................91,324 .......................... .........5,196,855 ...................12219. Louisiana......................................................................................LA ......L.... ...........2,297,737 .........37,893,050 ..............138,745 .......................... .......40,329,532 ..............10,62520. Maine..........................................................................................ME ......L.... ..............394,110 ...........4,794,272 ................80,099 .......................... .........5,268,481 ...................23621. Maryland.....................................................................................MD ......L.... ...........2,708,169 .........41,070,337 ..............112,976 .......................... .......43,891,482 ..............50,93322. Massachusetts............................................................................MA ......L.... ...........2,682,833 .......213,215,765 ..............245,004 .......................... .....216,143,602 ................2,92523. Michigan.......................................................................................MI ......L.... .........25,283,175 .........27,273,158 ..............224,200 .......................... .......52,780,533 ................9,10224. Minnesota...................................................................................MN ......L.... ...........2,337,598 .......111,345,647 ..............151,502 .......................... .....113,834,747 ............444,88325. Mississippi...................................................................................MS ......L.... ...........1,192,358 ...........3,404,014 ................60,318 .......................... .........4,656,690 ...................28526. Missouri......................................................................................MO ......L.... ...........4,453,662 .........35,564,184 ................66,167 .......................... .......40,084,013 ............186,77427. Montana......................................................................................MT ......L.... ..............461,236 ...........6,197,930 ................46,765 .......................... .........6,705,931 ................1,39028. Nebraska.....................................................................................NE ......L.... ..............336,167 ...........4,079,837 ..............108,220 .......................... .........4,524,224 ................4,29129. Nevada........................................................................................NV ......L.... ..............321,221 ...........5,267,859 ................77,887 .......................... .........5,666,967 ................3,52130. New Hampshire..........................................................................NH ......L.... ..............265,093 ...........6,877,750 .................(8,540) .......................... .........7,134,303 .......................131. New Jersey..................................................................................NJ ......L.... ...........4,176,564 .........39,675,312 ..............267,355 .......................... .......44,119,231 .............(50,901)32. New Mexico................................................................................NM ......L.... ...........1,215,986 ...........1,598,460 ................91,148 .......................... .........2,905,594 ...................20533. New York.....................................................................................NY ......Q... ...........3,796,877 ..............606,639 ..............798,631 .......................... .........5,202,147 - .....................34. North Carolina.............................................................................NC ......L.... ...........4,903,800 .........31,451,002 ..............276,003 .......................... .......36,630,805 ...................99635. North Dakota...............................................................................ND ......L.... ...........9,777,898 .........20,283,537 ................23,496 .......................... .......30,084,931 ............107,14136. Ohio.............................................................................................OH ......L.... .........11,751,400 .........38,983,380 ..............136,013 .......................... .......50,870,793 ..............42,02437. Oklahoma....................................................................................OK ......L.... ..............468,536 .........23,787,906 ..............125,357 .......................... .......24,381,799 ................2,76138. Oregon........................................................................................OR ......L.... ...........1,660,635 .........11,557,268 ..............252,500 .......................... .......13,470,403 ..............10,81439. Pennsylvania...............................................................................PA ......L.... .........11,895,885 .........52,041,843 ..............385,228 .......................... .......64,322,956 ..............76,64240. Rhode Island................................................................................RI ......L.... ..............152,125 ...........2,892,365 ................11,725 .......................... .........3,056,215 ...................53641. South Carolina............................................................................SC ......L.... ..............938,283 .........20,777,013 ................84,007 .......................... .......21,799,303 ..............47,65842. South Dakota..............................................................................SD ......L.... ..............139,155 ...........2,768,705 ..................9,437 .......................... .........2,917,297 ...................57243. Tennessee...................................................................................TN ......L.... ...........5,082,588 .........12,350,530 ..............284,937 .......................... .......17,718,055 ................2,63144. Texas...........................................................................................TX ......L.... ...........8,542,372 .........62,560,656 ..............701,199 .......................... .......71,804,227 ................6,74845. Utah.............................................................................................UT ......L.... ..............644,894 .........11,072,719 ...............(10,807) .......................... .......11,706,806 ................9,64646. Vermont.......................................................................................VT ......L.... ..............116,099 ...........1,912,375 ................78,102 .......................... .........2,106,576 ................8,94247. Virginia.........................................................................................VA ......L.... .........24,430,273 .........26,284,928 ..............288,571 .......................... .......51,003,772 ..............55,99848. Washington................................................................................WA ......L.... ...........4,389,110 .........21,476,360 ..............205,446 .......................... .......26,070,916 ..............89,88749. West Virginia..............................................................................WV ......L.... ..............678,830 .........71,787,063 ................42,623 .......................... .......72,508,516 ............859,34750. Wisconsin.....................................................................................WI ......L.... ...........2,520,575 .........31,180,789 ................78,953 .......................... .......33,780,317 ................9,72651. Wyoming.....................................................................................WY ......L.... ..............335,525 ...........2,119,805 ..................1,705 .......................... .........2,457,035 ................9,61852. American Samoa.........................................................................AS ......N... - ......................... - ......................... - ....................... .......................... .......................0 ..........................53. Guam..........................................................................................GU ......L.... ................12,734 - ......................... .....................784 .......................... ..............13,518 ..........................54. Puerto Rico..................................................................................PR ......L.... ................65,288 ...........2,244,128 .................(2,943) .......................... .........2,306,473 ..........................55. US Virgin Islands..........................................................................VI ......L.... ................21,850 - ......................... ..................1,584 .......................... ..............23,434 ..........................56. Northern Mariana Islands...........................................................MP ......N... - ......................... - ......................... - ......................... .......................... .......................0 ..........................57. Canada.....................................................................................CAN ......N... ................26,564 ..............341,429 .......................52 .......................... ............368,045 ..........................58. Aggregate Other Alien................................................................OT ....XXX ...............(10,081) .............(706,558) .................(2,614) .......................0 ...........(719,253) .......................059. Subtotal............................................................................................ (a)..53 .......230,964,637 ....1,439,611,341 ...........8,999,326 .......................0 .1,679,575,304 .........2,571,16490. Reporting entity contributions for employee benefit plans.............. ....XXX ............................ ............................ ............................ .......................... .......................0 ..........................91. Dividends or refunds applied to purchase paid-up

additions and annuities.................................................................... ....XXX .........13,341,432 ............................ ............................ .......................... .......13,341,432 ..........................92. Dividends or refunds applied to shorten endowment or

premium paying period.................................................................... ....XXX ............................ ............................ ............................ .......................... .......................0 ..........................93. Premium or annuity considerations waived under disability

or other contract provisions.............................................................. ....XXX ...........1,149,772 ............................ ................86,566 .......................... .........1,236,338 ..........................94. Aggregate other amounts not allocable by State............................ ....XXX .........................0 .........................0 .........................0 .......................0 .......................0 .......................095. Totals (Direct Business)................................................................... ....XXX .......245,455,841 ....1,439,611,341 ...........9,085,892 .......................0 .1,694,153,074 .........2,571,16496. Plus Reinsurance Assumed............................................................. ....XXX ...........9,213,262 ..............573,467 ..................7,337 .......................... .........9,794,066 ..........................97. Totals (All Business)......................................................................... ....XXX .......254,669,103 ....1,440,184,808 ...........9,093,229 .......................0 .1,703,947,140 .........2,571,16498. Less Reinsurance Ceded................................................................. ....XXX ...........9,957,287 ................20,544 ................38,059 .......................... .......10,015,890 ..........................99. Totals (All Business) less Reinsurance Ceded............................... ....XXX .......244,711,816 ....1,440,164,264 ...........9,055,170 .......................0 .1,693,931,250 .........2,571,164

DETAILS OF WRITE-INS58001. Other foreign premiums not included above................................... ....XXX ...............(10,081) ............................ .................(2,614) .......................... .............(12,695) ..........................58002. U.S. premiums of Canadian affiliate included above...................... ....XXX ............................ .............(706,558) ............................ .......................... ...........(706,558) ..........................58003. .......................................................................................................... ....XXX ............................ ............................ ............................ .......................... .......................0 ..........................58998. Summary of remaining write-ins for line 58 from overflow page..... ....XXX .........................0 .........................0 .........................0 .......................0 .......................0 .......................058999. Total (Lines 58001 thru 58003 plus 58998) (Line 58 above).......... ....XXX ...............(10,081) .............(706,558) .................(2,614) .......................0 ...........(719,253) .......................09401. .......................................................................................................... ....XXX ............................ ............................ ............................ .......................... .......................0 ..........................9402. .......................................................................................................... ....XXX ............................ ............................ ............................ .......................... .......................0 ..........................9403. .......................................................................................................... ....XXX ............................ ............................ ............................ .......................... .......................0 ..........................9498. Summary of remaining write-ins for line 94 from overflow page..... ....XXX .........................0 .........................0 .........................0 .......................0 .......................0 .......................09499. Total (Lines 9401 thru 9403 plus 9498) (Line 94 above)................ ....XXX .........................0 .........................0 .........................0 .......................0 .......................0 .......................0

(L) - Licensed or Chartered - Licensed Insurance Carrier or Domicilied RRG; (R) - Registered - Non-domiciled RRGs; (Q) - Qualified - Qualified or Accredited Reinsurer;(E) - Eligible - Reporting Entities eligible or approved to write Surplus Lines in the state; (N) - None of the above - Not allowed to write business in the state.

(a) Insert the number of L responses except for Canada and Other Alien.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12

Organizational Chart – March 31, 2016I. OWNERSHIP OF POWER CORPORATION OF CANADA

The following sets out the ownership, based on votes attached to the outstanding voting shares, of Power Corporation of Canada:

The Desmarais Family Residuary Trust 99.999% - Pansolo Holding Inc.

59.19% - Power Corporation of Canada

The total voting rights of Power Corporation of Canada (PCC) controlled directly and indirectly by the Desmarais Family Residuary Trust are asfollows. There are issued and outstanding as of March 31, 2016 414,366,313 Subordinate Voting Shares (SVS) of PCC carrying one vote pershare and 48,854,772 Participating Preferred Shares (PPS) carrying 10 votes per share; hence the total voting rights are 902,914,033.

Pansolo Holding Inc. owns directly 48,363,392 SVS and 48,603,392 PPS, entitling Pansolo Holding Inc. directly to an aggregate percentage ofvoting rights of 534,397,312 or 59.19% of the total voting rights attached to the shares of PCC.

II. OWNERSHIP BY POWER CORPORATION OF CANADA

Power Corporation of Canada has a 10% or greater voting interest in the following entities:

A. Great-West Life & Annuity Insurance Company Group of Companies (U.S. insurance)

Power Corporation of Canada 100.0% - 171263 Canada Inc. 65.594% - Power Financial Corporation 67.415% - Great-West Lifeco Inc. 100.0% - Great-West Financial (Canada) Inc. 100.0% - Great-West Financial (Nova Scotia) Co.

100.0% - Great-West Lifeco U.S. Inc.100.0% - Great-West Services Singapore I Private Limited

100.0% - Great-West Services Singapore II Private Limited99.0% - Great West Global Business Services India Private Limited (1% owned by Great-West Services Singapore I Private Limited)

1.0% - Great West Global Business Services India Private Limited (99% owned by Great-West Services Singapore II Private Limited)100.0% - GWL&A Financial Inc.

60.0% - Great-West Life & Annuity Insurance Capital (Nova Scotia) Co. (40% owned by Great-West Life & Annuity Insurance Capital, LP)40.0% - Great-West Life & Annuity Insurance Capital, LLC (60% owned by GWL&A Financial Inc.)

60.0% - Great-West Life & Annuity Insurance Capital (Nova Scotia) Co. II (40% owned by Great-West Life & Annuity Insurance Capital, LP II)40.0% - Great-West Life & Annuity Insurance Capital, LLC II (60% owned by GWL&A Financial Inc.)

60.0% - Great-West Life & Annuity Insurance Capital, LLC (40% owned by Great-West Life & Annuity Insurance Capital (Nova Scotia) Co.)

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.1

60.0% - Great-West Life & Annuity Insurance Capital, LLC II (40% owned by Great-West Life & Annuity Insurance Capital (Nova Scotia) Co. II)100.0% - Great-West Life & Annuity Insurance Company (Fed ID # 84-0467907 - NAIC # 68322, CO)

100.0% - Great-West Life & Annuity Insurance Company of New York (Fed ID # 13-2690792 - NAIC # 79359, NY)100.0% - Advised Assets Group, LLC100.0% - GWFS Equities, Inc.100.0% - Great-West Life & Annuity Insurance Company of South Carolina100.0% - Emjay Corporation100.0% - FASCore, LLC 50.0% - Westkin Properties Ltd. 53.59% - Great-West Funds, Inc.100.0% - Great-West Capital Management, LLC100.0% - Great-West Trust Company, LLC100.0% - Lottery Receivable Company One LLC100.0% - LR Company II, L.L.C.100.0% - Singer Collateral Trust IV100.0% - Singer Collateral Trust V100.0% - Great-West Financial Retirement Plan Services, LLC100.0% - Empower Securities, LLC

B. Putnam Investments Group of Companies (Mutual Funds

Power Corporation of Canada 100.0% - 171263 Canada Inc. 65.594% - Power Financial Corporation 67.415% - Great-West Lifeco Inc. 100.0% - Great-West Financial (Canada) Inc. 100.0% - Great-West Financial (Nova Scotia) Co. 100% - Great-West Lifeco U.S. Inc.

99.0% - Great-West Lifeco U.S. Holdings, L.P. (1% owned by Great-West Lifeco U.S. Holdings, LLC) 100.0% - Great-West Lifeco U.S. Holdings, LLC 95.71% - Putnam Investments, LLC (4.29% owned by Putnam senior management)

100.0% - Putnam Acquisition Financing Inc. 100.0% - Putnam Acquisition Financing LLC 100.0% - Putnam Holdings, LLC 100.0% - Putnam U.S. Holdings I, LLC

100.0% - Putnam Investment Management, LLC100.0% - Putnam Fiduciary Trust Company (NH)100.0% - Putnam Investor Services, Inc.100.0% - Putnam Retail Management GP, Inc.

1.0% - Putnam Retail Management Limited Partnership (99% owned by Putnam Retail Management Limited Partnership) 99.0% - Putnam Retail Management Limited Partnership (1% owned by Putnam Retail Management GP, Inc.) 100.0% - PanAgora Holdings, Inc.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.2

80.0% - PanAgora Asset Management, Inc. (17% owned by Nippon Life Insurance Company, 3% non voting by management) 100.0% - Putnam GP Inc.

1.0% - TH Lee Putnam Equity Managers LP (99% owned by Putnam U.S. Holdings I, LLC) 99.0% - TH Lee Putnam Equity Managers LP (1% owned by Putnam GP Inc.) 100.0% - Putnam Investment Holdings, LLC

100.0% - Savings Investments, LLC100.0% - Putnam Capital, LLC

100.0% - The Putnam Advisory Company, LLC 100.0% - Putnam Advisory Holdings LLC

100.0% - Putnam Investments Canada ULC 100.0% - Putnam Investments (Ireland) Limited 100.0% - Putnam Investments Australia Pty 100.0% - Putnam Investments Securities Co., Ltd. 100.0% - Putnam International Distributors, Ltd.

100.0% - Putnam Investments Argentina S.A. 100.0% - Putnam Investments Limited

C. The Great-West Life Assurance Company Group of Companies (Canadian insurance)

Power Corporation of Canada 100.0% - 171263 Canada Inc. 65.594% - Power Financial Corporation 67.415% - Great-West Lifeco Inc.

100.0% - 2142540 Ontario Inc.1.0% - Great-West Lifeco Finance (Delaware) LP (99.0% owned by Great-West Lifeco Inc.)

40.0% - Great-West Lifeco Finance (Delaware) LLC (60.0% owned by The Great-West Life Assurance Company) 100.0% - 2023308 Ontario Inc.

1.0% - Great-West Life & Annuity Insurance Capital, LP (99.0% owned by Great-West Lifeco Inc.) 40.0% - Great-West Life & Annuity Insurance Capital (Nova Scotia) Co. (60.0% owned by GWL&A Financial Inc.)

40.0% - Great-West Life & Annuity Insurance Capital, LLC (60.0% owned by GWL&A Financial Inc.) 1.0% - Great-West Life & Annuity Insurance Capital, LP II (99.0% owned by Great-West Lifeco Inc.)

40.0% - Great-West Life & Annuity Insurance Capital (Nova Scotia) Co. II (60.0% owned by GWL&A Financial Inc.) 40.0% - Great-West Life & Annuity Insurance Capital, LLC II (60.0% owned by GWL&A Financial Inc.)

100.0% - 2171866 Ontario Inc1.0% - Great-West Lifeco Finance (Delaware) LP II (99.0% owned by Great-West Lifeco Inc.) 100.0% - Great-West Lifeco Finance (Delaware) LLC II

100.0% - 2023310 Ontario Inc.100.0% - 2023311 Ontario Inc.100.0% - 6109756 Canada Inc.100.0% - 6922023 Canada Inc.100.0% - 8563993 Canada Inc.100.0% - The Great-West Life Assurance Company (NAIC #80705, MI)

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.3

29.4% - GWL THL Private Equity I Inc. (11.8% owned by The Canada Life Assurance Company, 58.8% owned by The Canada Life Insurance Company of Canada)100.0% - GWL THL Private Equity II Inc.100.0% - Great-West Investors Holdco Inc.100.0% - Great-West Investors LLC

100.0% - Great-West Investors LP Inc.99.0% - Great-West Investors LP (1.0% owned by Great-West Investors GP Inc.)

100.0% - T.H. Lee Interests100.0% - Great-West Investors GP

1.0% - Great-West Investors LP (99.0% owned by Great-West Investors LP Inc.)100.0% - T.H. Lee Interests

100.0% - GWL Realty Advisors Inc.100.0% - GWL Realty Advisors U.S., Inc.100.0% - RA Real Estate Inc.

0.1% - RMA Real Estate LP (70.0% owned by The Great-West Life Assurance Company, 30.0% owned by London Life Insurance Company)100% - RMA Properties Ltd.100% - RMA Properties (Riverside) Ltd.100% - S-8025 Holdings Ltd.

100.0% - Vertica Resident Services Inc. 100.0% - 2278372 Ontario Inc. (0.0001% interest in NF Real Estate Limited Partnership) 100.0% - GLC Asset Management Group Ltd.

100.0% - 200 Graham Ltd.100.0% - 801611 Ontario Limited100.0% - 118050 Canada Inc.100.0% - 1213763 Ontario Inc.

99.99% - Riverside II Limited Partnership (0.01% owned by 2024071 Ontario Limited)70.0% - Kings Cross Shopping Centre Ltd. (30% owned by London Life Insurance Company)

100.0% - 681348 Alberta Ltd. 50.0% - 3352200 Canada Inc.

100.0% - 1420731 Ontario Limited60.0% - Great-West Lifeco Finance (Delaware) LLC (40.0% owned by Great-West Lifeco Finance (Delaware) LP)

100.0% - 1455250 Ontario Limited100.0% - CGWLL Inc. 65.0% - The Walmer Road Limited Partnership (35.0% owned by London Life Insurance Company) 50.0% - Laurier House Apartments Limited (50.0% owned by London Life Insurance Company)100.0% - 2024071 Ontario Limited

100.0% - 431687 Ontario Limited 0.01% - Riverside II Limited Partnership (99.99% owned by 1213763 Ontario Inc.)

100.0% - High Park Bayview Inc.0.001% - High Park Bayview Limited Partnership

75.0% - High Park Bayview Limited Partnership (25.0% owned by London Life Insurance Company)5.6% - MAM Holdings Inc. (94.4% owned by The Canada Life Insurance Company of Canada)

100% - Mountain Asset Management LLC

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.4

100.0% - 647679 B.C. Ltd.70.0% - TGS North American Real Estate Investment Trust (30% owned by London Life Insurance Company)

100.0% - TGS Trust70.0% - RMA Investment Company (Formerly TGS Investment Company) (30.0% owned by London Life Insurance Company)

100.0% - RMA Property Management Ltd. (Formerly TGS REIT Property Management Ltd.)100.0% - RMA Property Management 2004 Ltd. (Formerly TGS REIT Property Management 2004 Ltd.)100.0% - RMA Realty Holdings Corporation Ltd. (Formerly TGS Realty Holdings Corporation Ltd.)

100.0% - RMA (U.S.) Realty LLC (Delaware) [(special shares held by each of 1218023 Alberta Ltd. (50%) and 1214931 Alberta Ltd. (50%)]100.0% - RMA American Realty Corp.

1% - RMA American Realty Limited Partnership [(99% owned by RMA (U.S.) Realty LLC (Delaware)]99.0% - RMA American Realty Limited Partnership (1% owned by RMA American Realty Corp.)

100.0% - 1218023 Alberta Ltd.40% - special shares in RMA (U.S.) Realty LLC (Delaware)

100.0% - 1214931 Alberta Ltd.40% - special shares in RMA (U.S.) Realty LLC (Delaware)

70.0% - RMA Real Estate LP (30.0% owned by London Life Insurance Company)100.0% - RMA Properties Ltd. (Formerly TGS REIT Properties Ltd.)100.0% - S-8025 Holdings Ltd.100.0% - RMA Properties (Riverside) Ltd. (Formerly TGS REIT Properties (Riverside) Ltd.

70.0% - KS Village (Millstream) Inc. (30.0% owned by London Life Insurance Company)70.0% - 0726861 B.C. Ltd. (30.0% owned by London Life Insurance Company)70.0% - Trop Beau Developments Limited (30.0% owned by London Life Insurance Company)70.0% - Kelowna Central Park Properties Ltd. (30.0% owned by London Life Insurance Company)70.0% - Kelowna Central Park Phase II Properties Ltd. (30.0% owned by London Life Insurance Company)40.0% - PVS Preferred Vision Services Inc.

12.5% - Vaudreuil Shopping Centres Limited (75.0% owned by London Life Insurance Company, 12.5% owned by The Canada Life Insurance Company of Canada) 70.0% - Saskatoon West Shopping Centres Limited (30.0% owned by London Life Insurance Company) 12.5% - 2331777 Ontario Ltd. (75.0% owned by London Life Insurance Company, 12.5% owned by The Canada Life Insurance Company of Canada) 12.5% - 2344701 Ontario Ltd. (75.0% owned by London Life Insurance Company, 12.5% owned by The Canada Life Insurance Company of Canada)

12.5% - 2356720 Ontario Ltd. (75.0% owned by London Life Insurance Company, 12.5% owned by The Canada Life Insurance Company of Canada) 12.5% - 0977221 B.C. Ltd. (75.0% owned by London Life Insurance Company, 12.5% owned by The Canada Life Insurance Company of Canada) 100.0% - TMI Systems, Inc.

49.0% - Plan Direct Insurance Services Inc. (51% owned by the Great-West Life Assurance Company) 51.0% - Plan Direct Insurance Services Inc. (49.0% owned by TMI Systems, Inc.)

100.0% - London Insurance Group Inc.100.0% - Trivest Insurance Network Limited100.0% - London Life Insurance Company (Fed ID # 52-1548741 – NAIC # 83550, MI)

100.0% - 9542647 Canada Ltd. 100.0% - 1542775 Alberta Ltd.

100.0% - 0813212 B.C. Ltd.30.0% - Kings Cross Shopping Centre Ltd. (70% owned by The Great-West Life Assurance Company)30.0% - 0726861 B.C. Ltd. (70% owned by The Great-West Life Assurance Company)

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.5

30.0% - TGS North American Real Estate Investment Trust (70% owned by The Great-West Life Assurance Company)100.0% - TGS Trust

30.0% - RMA Investment Company (Formerly TGS Investment Company) (70% owned by The Great-West Life Assurance Company)100.0% - RMA Property Management Ltd. (Formerly TGS REIT Property Management Ltd.)100.0% - RMA Property Management 2004 Ltd. (Formerly TGS REIT Property Management 2004 Ltd.)100.0% - RMA Realty Holdings Corporation Ltd. (Formerly TGS Realty Holdings Corporation Ltd.)

100.0% - RMA (U.S.) Realty LLC (Delaware) [(special shares held by each of 1218023 Alberta Ltd. (50%) and 1214931 Alberta Ltd. 50%)]100.0% - RMA American Realty Corp.

1.0% - RMA American Realty Limited Partnership [(99% owned by RMA (U.S.) Realty LLC (Delaware)] 99.0% - RMA American Realty Limited Partnership (1% owned by RMA American Realty Corp.)

100.0% - 1218023 Alberta Ltd.40% - special shares in RMA (U.S.) Realty LLC (Delaware)

100.0% - 1214931 Alberta Ltd.40% - special shares in RMA (U.S.) Realty LLC (Delaware)

30.0% - RMA Real Estate LP (70% owned by The Great-West Life Assurance Company)100.0% - RMA Properties Ltd. (Formerly TGS REIT Properties Ltd.)100.0% - S-8025 Holdings Ltd.100.0% - RMA Properties (Riverside) Ltd. (Formerly TGS REIT Properties (Riverside) Ltd.

100.0% - 1319399 Ontario Inc.100.0% - 3853071 Canada Limited 50.0% - Laurier House Apartments Limited (50.0% owned by The Great-West Life Assurance Company) 30.0% - Kelowna Central Park Properties Ltd. (70.0% owned by The Great-West Life Assurance Company) 30.0% - Kelowna Central Park Phase II Properties Ltd. (70.0% owned by The Great-West Life Assurance Company) 30.0% - Trop Beau Developments Limited (70.0% owned by The Great-West Life Assurance Company)100.0% - 4298098 Canada Inc.

100.0% - GWLC Holdings Inc.100% - GLC Reinsurance Corporation

100.0% - 389288 B.C. Ltd.100.0% - Quadrus Investment Services Ltd. 35.0% - The Walmer Road Limited Partnership (65.0% owned by The Great-West Life Assurance Company)100.0% - 177545 Canada Limited

88.0% - Neighborhood Dental Services Ltd. 100.0% - Quadrus Distribution Services Ltd.

100.0% - Toronto College Park Ltd.25.0% - High Park Bayview Limited Partnership (75.0% owned by The Great-West Life Assurance Company)

30.0% - KS Village (Millstream) Inc. (70.0% owned by The Great-West Life Assurance Company)100.0% - London Life Financial Corporation

89.4% - London Reinsurance Group, Inc. (10.6% owned by London Life Insurance Company)100.0% - London Life & Casualty Reinsurance Corporation

100.0% - Trabaja Reinsurance Company Ltd.100.0% - London Life and Casualty (Barbados) Corporation

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.6

100.0% - LRG (US), Inc.100.0% - London Life International Reinsurance Corporation100.0% - London Life Reinsurance Company (Fed ID # 23-2044256 – NAIC # 76694, PA)

75.0% - Vaudreuil Shopping Centres Limited (12.5% owned by The Great-West Life Assurance Company, 12.5% owned by The Canada Life Insurance Company of Canada) 10.6% - London Reinsurance Group Inc. (89.4% owned by London Life Financial Corporation) 30.0% - Saskatoon West Shopping Centres Limited (70.0% owned by The Great-West Life Assurance Company) 75.0% - 2331777 Ontario Ltd. (12.5% owned by The Great-West Life Assurance Company, 12.5% owned by The Canada Life Insurance Company of Canada) 75.0% - 2344701 Ontario Ltd. (12.5% owned by The Great-West Life Assurance Company, 12.5% owned by The Canada Life Insurance Company of Canada) 75.0% - 2356720 Ontario Ltd. (12.5% owned by The Great-West Life Assurance Company, 12.5% owned by The Canada Life Insurance Company of Canada) 75.0% - 0977221 B.C. Ltd. (12.5% owned by The Great-West Life Assurance Company, 12.5% owned by The Canada Life Insurance Company of Canada)

100.0% - Canada Life Financial Corporation100.0% - The Canada Life Assurance Company (Fed ID # 38-0397420, NAIC # 80659, MI)

100.0% - Canada Life Brasil LTDA100.0% - Canada Life Capital Corporation, Inc.

100.0% - Canada Life International Holdings, Limited100.0% - Canada Life International Services Limited100.0% - Canada Life International, Limited

100.0% - CLI Institutional Limited100.0% - The Canada Life Group (U.K.) Limited

80.0% - Canada Life International Assurance (Ireland) Designated Activity Company (formerly Legal and General International Ireland Limited- changed named July 29,2015)—(20.0% owned by Canada Life International Assurance Limited)

100.0% - Canada Life Irish Holding Company, Limited100.0% - Canada Life Group Services Limited100.0% - Canada Life Europe Investment Limited

100.0% - Canada Life Europe Management Services, Limited21.33% - Canada Life Assurance Europe Limited (78.67% owned by Canada Life Europe Investment Limited)

78.67% - Canada Life Assurance Europe Limited (21.33% owned by Canada Life Europe Management Services Limited)100.0% - London Life & General Reinsurance Company Limited100.0% - Canada Life International Re: Limited

100.0% - Canada Life Reinsurance International Ltd.100.0% - Canada Life Reinsurance Ltd.

100.0% - Canada Life International Assurance Limited20.0% - Canada Life International Assurance (Ireland) Designated Activity Company (January 1, 2016) (80.0% owned by The Canada Life Group (U.K.)

Limited)100.0% - Irish Life Investment Managers Limited

100.0% - Summit Asset Managers Ltd. 7.0% - Irish Association of Investment Managers

100.0% - Setanta Asset Management Limited - Setanta Asset Management Funds Public Limited Company (interest only)

100.0% - Canada Life Pension Managers & Trustees Limited100.0% - Canada Life Asset Management Limited100.0% - Canada Life European Real Estate Limited

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.7

100.0% - Hotel Operations (Walsall) Limited100.0% - Hotel Operations (Cardiff) Limited

100.0% - Canada Life Trustee Services (U.K.) Limited100.0% - CLFIS (U.K.) Limited100.0% - Canada Life Limited

100.0% - Canada Life (Ireland) Limited11.29% - Irish Life Assurance p.l.c. (88.71% owned by Irish Life Group Limited)

100.0% - Ballsbridge Property Investments Ltd.100.0% - Cathair Ce Ltd.100.0% - Ilona Financial Group, Inc.100.0% - Irish Life Unit Fund Managers Ltd.100.0% - Keko Park Ltd.100.0% - Stephen Court Ltd.100.0% - Tredwell Associates Ltd.100.0% - Irish Life Trustee Services Limited

100.0% - Office Park De Mont-St-Guibert A SA100.0% - Office Park De Mont-St-Guibert B SA100.0% - Office Park De Mont-St-Guibert C SA

100.0% - Mili SAS

66.66% - City Gate Park Administration Limited 98.0% - Westlink Industrial Estate Management Company Ltd. 51.0% - SJRQ Riverside IV Management Company Ltd. 50.0% - Hollins Clough Management Company Ltd. 50.0% - Dakline Company Ltd. 50.0% - Ashtown Management Company Ltd. 20.0% - Choralli Limited 14.0% - Baggot Court Management Limited 11.0% - Richview Office Park Management Company Limited

5.5% - Padamul Ltd. 18.2143% - Tour Esplanade (Paris) LP

100.0% - Canada Life (U.K.) Limited100.0% - Albany Life Assurance Company Limited100.0% - Canada Life Management (U.K.) Limited100.0% - Canada Life Services (U.K.) Limited100.0% - Canada Life Fund Managers (U.K.) Limited100.0% - Canada Life Group Services (U.K.) Limited100.0% - Canada Life Holdings (U.K.) Limited

100.0% - Canada Life Irish Operations Limited100.0% - Canada Life Ireland Holdings Limited.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.8

100.0% - Irish Life Group Limited100.0% - Irish Progressive Services International Ltd100.0% - Irish Life Group Services Limited100.0% - Irish Life Financial Services Ltd. 49.0% - Glohealth Financial Services Limited 49.0% - Affinity First Limited (51.0% interest unknown)100.0% - Vestone Ltd.

100.0% - Cornmarket Group Financial Services Limited100.0% - Cornmarket Insurance Brokers Ltd.100.0% - Cornmarket Insurance Services Limited

25.0% EIS Financial Services Limited (75.0% interest unknown)100.0% - Cornmarket Retail Trading Ltd.100.0% - Savings & Investments Ltd.100.0% - Gregan McGuiness (Life & Pensions) Ltd.

100.0% - Irish Life Associate Holdings100.0% - Irish Life Irish Holdings

30.0% - Allianz-Irish Life Holdings plc.100.0% - Allianz p.l.c.100.0% - Allianz Northern Ireland Ltd.

88.71% - Irish Life Assurance plc. (11.29% owned by Canada Life (Ireland) Limited100.0% - Ballsbridge Property Investments Ltd.100.0% - Cathair Ce Ltd.100.0% - Ilona Financial Group, Inc.100.0% - Irish Life Unit Fund Managers Ltd.100.0% - Keko Park Ltd.100.0% - Stephen Court Ltd.100.0% - Tredwell Associates Ltd.100.0% - Irish Life Trustee Services Limited100.0% - Kohlenberg & Ruppert Premium Properties S.A.100.0% - Office Park De Mont-St-Guibert A S.A.100.0% - Office Park De Mont-St-Guibert B S.A.100.0% - Office Park De Mont-St-Guibert C S.A.100.0% - Ilot St Michel Lux S.A.R.L.

100.0% - Ilot St Michel FH S.P.R.L.100.0% - Ilot St Michel LLH S.P.R.L.

100.0% - Mili SAS

66.66% - City Gate Park Administration Limited 98.0% - Westlink Industrial Estate Management Company Ltd. 51.0% - SJRQ Riverside IV Management Company Ltd. 50.0% - Hollins Clough Management Company Ltd.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.9

50.0% - Dakline Company Ltd. 50.0% - Ashtown Management Company Ltd.

20.0% - Choralli Limited 14.0% - Baggot Court Management Limited 11.0% - Richview Office Park Management Company Limited

5.5% - Padamul Ltd. 18.2143% - Tour Esplanade (Paris) LP

100.0% - Canada Life Group Holdings Limited100.0% - 4073649 Canada, Inc. (1 common share owned by 587443 Ontario, Inc.)

100.0% - Canada Life Finance (U.K.), Limited100.0% - CL Luxembourg Capital Management S.á.r.l.

100.0% - 8478163 Canada Limited100.0% - Canada Life Capital Bermuda Limited

100.0% - The Canada Life Insurance Company of Canada100.0% - 6855572 Manitoba Ltd. 94.4% - MAM Holdings Inc. (5.6% owned by The Great-West Life Assurance Company)

100.0% - Mountain Asset Management LLC 12.5% - 2331777 Ontario Ltd. (75% owned by London Life Insurance Company, 12.5% owned by The Great-West Life Assurance Company) 12.5% - 2344701 Ontario Ltd. (75% owned by London Life Insurance Company, 12.5% owned by The Great-West Life Assurance Company) 12.5% - Vaudreuil Shopping Centres Limited (75% owned by London Life Insurance Company, 12.5% owned by The Great-West Life Assurance Company) 12.5% - 2356720 Ontario Ltd. (75% owned by London Life Insurance Company, 12.5% owned by The Great-West Life Assurance Company) 12.5% - 0977221 B.C. Ltd. (75% owned by London Life Insurance Company, 12.5% owned by The Great-West Life Assurance Company)

58.8% - GWL THL Private Equity I Inc. (11.8% The Canada Life Assurance Company, 29.4% The Great-West Life Assurance Company)100.0% - GWL THL Private Equity II Inc.100.0% - Great-West Investors Holdco Inc.

100.0% - Great-West Investors LLC100.0% - Great-West Investors LP Inc.

99.0% - Great-West Investors LP (1.0% owned by Great-West Investors GP Inc.)100.0% - T.H. Lee Interests

100.0% - Great-West Investors GP Inc.1.0% - Great-West Investors LP (99.0% Great-West Investors LP Inc.)

100.0% - T.H. Lee Interests100.0% - CL Capital Management (Canada), Inc.100.0% - 587443 Ontario Inc.100.0% - Canada Life Mortgage Services Ltd.100.0% - Adason Properties Limited

100.0% - Adason Realty Ltd. 11.8% - GWL THL Private Equity I Inc. (29.4% owned by The Great-West Life Assurance Company, 58.8% owned by The Canada Life Insurance Company of Canada)

100.0% - GWL THL Private Equity II Inc.100.0% - Great-West Investors Holdco Inc.

100.0% - Great-West Investors LLC

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.10

100.0% - Great-West Investors LP Inc.99.0% - Great-West Investors LP (1.0% owned by Great-West Investors GP Inc.)

100% - T.H. Lee Interests100.0% - Great-West Investors GP Inc.

1.0% - Great-West Investors LP (99.0% Great-West Investors LP Inc.)100.0% - T.H. Lee Interests

100.0% - Canada Life Capital Trust

D. IGM Financial Inc. Group of Companies (Canadian mutual funds)

Power Corporation of Canada 100.0% - 171263 Canada Inc. 65.594% - Power Financial Corporation 61.177% - IGM Financial Inc.

100.0% - Investors Group Inc.100.0% - Investors Group Financial Services Inc.100.0% - I.G. International Management Limited

100.0% - I.G. Investment Management (Hong Kong) Limited100.0% - Investors Group Trust Co. Ltd.

100.0% - 391102 B.C. Ltd.100.0% - I.G. Insurance Services Inc.100.0% - Investors Syndicate Limited100.0% - Investors Group Securities Inc.100.0% - 6460675 Manitoba Ltd.100.0% - I.G. Investment Management, Ltd.

100.0% - Investors Group Corporate Class Inc.100.0% - Investors Syndicate Property Corp.100.0% - 0965311 B.C. Ltd.100.0% - 0992480 B.C. Ltd.100.0% - I.G. Investment Corp.

100.0% - Mackenzie Inc.100.0% - Mackenzie Financial Corporation

100.0% - Mackenzie Investments Charitable Foundation 14.28% - Strategic Charitable Giving Foundation100.0% - Mackenzie Cundill Investment Management (Bermuda) Ltd.100.0% - Mackenzie Financial Capital Corporation100.0% - Multi-Class Investment Corp.100.0% - MMLP GP Inc.100.0% - Mackenzie Investments Corporation100.0% - Mackenzie Investments PTE. Ltd.100.0% - Mackenzie Global Macro Asian Credit Fund Ltd.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.11

100% - Mackenzie Global Macro Asian Credit Master Fund, Ltd.100.0% - Mackenzie U.S. Fund Management Inc.

96.93% - Investment Planning Counsel Inc. (and 3.07% owned by Management of IPC)100.0% - IPC Investment Corporation100.0% - IPC Estate Services Inc.100.0% - IPC Securities Corporation 88.62% - IPC Portfolio Services Inc. (and 11.38% owned by advisors of IPC Investment Corporation and IPC Securities Corporation)

100.0% - Counsel Portfolio Services Inc.100.0% - Counsel Portfolio Corporation

E. Pargesa Holding SA Group of Companies (European investments)

Power Corporation of Canada 100.0% - 171263 Canada Inc. 65.594% - Power Financial Corporation 100.0% - Power Financial Europe B.V.

50.0% - Parjointco N.V. 75.4% - Pargesa Holding SA (55.5% capital)

100.0% - Pargesa Netherlands B.V. 52.0% (taking into account the treasury shares - Groupe Bruxelles Lambert (50.0% in capital)

Capital6.8% - Pernod Ricard (7.5% in capital)

16.9% - Umicore 13.5% - Ontex 0.4% - LTI One 0.1% - Sagerpar100.0% - Belgian Securities B.V.

Capital69.8% - Imerys (53.8% in capital)

100.0% - Brussels SecuritiesCapital

99.6% - LTI One0.1% - Groupe Bruxelles Lambert

100.0% - LTI Two0.1% - Groupe Bruxelles Lambert0.1% - Umicore

100.0% - URDAC0.1% - Groupe Bruxelles Lambert

100.0% - FINPAR99.9% - Sagerpar

3.5% - Groupe Bruxelles Lambert

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.12

100.0% - GBL Overseas Finance N.V. (in liquidation) 10.0% - GBL Participations SA 10.0% - GBL Finance S.á.r.l.

100.0% - COFINERGYCapital100.0% - GBL Energy S.á.r.l.

Capital 1.2% - Total SA (1.3% in capital)100.0% - GBL Verwaltung GmbH (in liquidation)

100.0% - GBL Finance & Treasury 90.0% - GBL Participations SA 90.0% - GBL Finance S.á.r.l.100.0% - GBL Verwaltung SA

Capital100.0% - GBL Investments Limited100.0% - GBL R100.0% - Sienna Capital S.á.r.l

Capital 10.9% - Sagard FCPR 0.3% - Sagard II A FPCI75.0% - Sagard II B FPCI50.3% - Sagard 3 Millésime 1 FPCI29.6% - Kartesia Credit Opportunities I SCA, SICAV-SIF40.0% - Kartesia GP SA43.0% - ECP1 5.9% - EC100.0% - ECP3 15.1% - Mérieux Participations I 37.7% - Mérieux Participations II100.0% - PrimeStone Parallel Vehicle SCS 1.7% - PrimeStone Capital Special Limited Partner SCSp 10.1% - BDT Capital Partners Fund II100.0% - Sienna Capital International

100.0% - Serena S.á.r.lCapital 15.0% - SGS 9.4% - LafargeHolcim

2.3% - Engie42.4% - ECP 2

100.0% - Pargesa Netherlands B.V.100.0% - SFPG

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.13

F. Square Victoria Communications Group Inc. Group of Companies (Canadian communications)

Power Corporation of Canada100.0% - Square Victoria Communications Group Inc.

100.0% - Gesca Ltée100.0% - La Presse, ltée

100.0% - Nuglif inc.100.0% - Cyberpresse Inc.100.0% - 9214470 Canada Inc.

100.0% - Square Victoria Digital Properties inc.100.0% - Les Éditions Gesca Ltée100.0% - Les Éditions La Presse Ltée 50.0% - Workopolis 25.0% - Olive Média

100.0% - Square Victoria C.P. Holding Inc.33.3% - Canadian Press Enterprises Inc.

100.0% - Pagemasters North America Inc.

G. Power Corporation (International) Limited Group of Companies (Asian investments)

Power Corporation of Canada100.0% - Power Corporation (International) Limited

99.9% - Power Pacific Corporation Limited100.0% - Power Pacific Mauritius Limited 0.1% - Power Pacific Equities Limited

99.9% - Power Pacific Equities Limited100.0% - Power Communications Inc.

0.1% - Power Pacific Corporation Limited 10.0% - China Asset Management Limited

H. Other PCC Companies

Power Corporation of Canada100.0% - 152245 Canada Inc.

100.0% - Power Tek, LLC100.0% - 3540529 Canada Inc. 18.75% - Société Immobiliére HMM 1.20% - Quinstreet Inc.

100.0% - Square Victoria Real Estate Inc./ Square Victoria Immobilier Inc.100.0% - 3121011 Canada Inc.100.0% - 171263 Canada Inc.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.14

100.0% - Victoria Square Ventures Inc. 32.5% - Bellus Health Inc. 25.0% (voting) - 9314-0093 Québec Inc. (formerly Club de Hockey Les Remparts de Québec Inc.)100.0% - Power Energy Corporation

100.0% - Potentia Solar Inc.100.0% - Power Renewable Energy Corporation

100.0% - Sequoia Energy Inc.100.0% - Sequoia Energy US Inc.

100.0% - Power Energy Eagle Creek Inc. 60.0% - Power Energy Eagle Creek LLP

52.0% - Eagle Creek Renewable Energy, LLC100.0% - Power Communications Inc.

100.0% - Brazeau River Resources Investments Inc.100.0% - PCC Industrial (1993) Corporation100.0% - Power Corporation International100.0% - 3249531 Canada Inc.

100.0% - Sagard Capital Partners GP, Inc.99.35% - Sagard Capital Partners, L.P.

97.3% - IntegraMed America, Inc.97.3% - Vein Clinics of America

100.0% - Power Corporation of Canada Inc.100.0% - PL S.A.100.0% - 4190297 Canada Inc.

100% - Sagard Capital Partners Management Corp.100.0% - Sagard S.A.S.100.0% - Marquette Communications (1997) Corporation100.0% - 4507037 Canada Inc.100.0% - 4524781 Canada Inc.100.0% - 4524799 Canada Inc.100.0% - 4524802 Canada Inc.

I. Other PFC Companies

Power Financial Corporation100.0% - 4400003 Canada Inc.100.0% - 3411893 Canada Inc.100.0% - 3439453 Canada Inc.100.0% - Power Financial Capital Corporation100.0% - 7973594 Canada Inc.100.0% - 7973683 Canada Inc.100.0% - 7974019 Canada Inc.100.0% - 8677964 Canada Inc.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q12.15

100.0% - 9194649 Canada Inc.100.0% - Springboard L.P.

60.4% - WealthSimple Financial Corp.100% - Wealthsimple Inc.100% - Canadian ShareOwner Investments Inc.100% - CSA Computing Inc.

100.0% - PFC Ventures Inc. (9629220 Canada Inc.) 50.0% - Power Financial Ventures GP Inc. (9629246 Canada Inc.) 50.0% - Diagram Ventures GP Inc. (9629262 Canada Inc.)

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

Members.......... ......................................................... 00000..... ..................... ................... .................. ........................... Pansolo Holding Inc....................................... CAN..... UIP............. The Desmarais Family Residual Trust........... Ownership.......... ......99.999 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... 0000801166Toronto StockExchange (TSX) Power Corporation of Canada........................ CAN..... UIP............. Gelco Enterprises Ltd. ................................... Ownership.......... ......59.190 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... 0000801166Toronto StockExchange Power Corporation of Canada........................ CAN..... UIP............. Gelco Enterprises Ltd. ................................... Ownership.......... ......59.190 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... 171263 Canada Inc. ...................................... CAN..... UIP............. Power Corporation of Canada........................ Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... 0000817411Toronto StockExchange Power Financial Corporation ......................... CAN..... UIP............. 171263 Canada Inc. ...................................... Ownership.......... ......65.594 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... 0000850918Toronto StockExchange Great-West Lifeco Inc..................................... CAN..... UIP............. Power Financial Corporation ......................... Ownership.......... ......67.415 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... .......................... Great-West Financial (Canada) Inc............... CAN..... UIP............. Great-West Lifeco Inc..................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... ............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... Great-West Financial (Nova Scotia) Co......... CAN..... UIP............. Great-West Financial (Canada) Inc............... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... 4349800..... ................... ........................... Great-West Lifeco U.S. Inc............................. DE....... UIP............. Great-West Financial (Nova Scotia) Co......... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ...........................Great-West Services Singapore I PrivateLimited SGP..... UIP............. Great-West Lifeco U.S. Inc............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ...........................Great-West Services Singapore II PrivateLimited SGP..... UIP.............

Great-West Services Singapore I PrivateLimited Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ...........................Great West Global Business Services IndiaPrivate Limited IND...... UIP.............

Great-West Services Singapore I PrivateLimited Ownership.......... ........1.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ...........................Great West Global Business Services IndiaPrivate Limited IND...... UIP.............

Great-West Services Singapore II PrivateLimited Ownership.......... ......99.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... GWL&A Financial Inc..................................... DE....... UDP............ Great-West Lifeco U.S. Inc............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... .................. ...........................Great-West Life & Annuity Insurance Capital(Nova Scotia) Co. CAN..... UIP............. GWL&A Financial Inc..................................... Ownership.......... ......60.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ..........................Great-West Life & Annuity Insurance Capital(Nova Scotia) Co. II CAN..... UIP............. GWL&A Financial Inc..................................... Ownership.......... ......60.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ...........................Great-West Life & Annuity Insurance Capital,LLC DE....... UIP............. GWL&A Financial Inc..................................... Ownership.......... ......60.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... ............... ..................... ................... ................... ........................... ....................................................................... ............ UIP.............Great-West Life & Annuity Insurance Capital(Nova Scotia) Co. Ownership.......... ......40.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ...........................Great-West Life & Annuity Insurance Capital,LLC II DE....... UIP............. GWL&A Financial Inc..................................... Ownership.......... ......60.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... ............... ..................... ................... ................... ........................... ....................................................................... ............ UIP.............Great-West Life & Annuity Insurance Capital(Nova Scotia) Co. II Ownership.......... ......40.000 The Desmarais Family Residual Trust........... .............

0769.. Great-West Life................................ 68322..... 84-0467907 . ................... 0000744455 ...........................Great-West Life & Annuity InsuranceCompany CO....... RE.............. GWL&A Financial Inc..................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

0769.. Great-West Life................................ 79359..... 13-2690792 . ................... 0001036213 ...........................Great-West Life & Annuity InsuranceCompany of New York NY....... DS..............

Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.1

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... 84-1532243.. .................... ................... ............................ Advised Assets Group, LLC............................. CO....... DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 84-0965407.. .................... .................... ............................ GWFS Equities, Inc.......................................... DE........ DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

0769... Great-West Life.................................. 12510...... 20-3387742.. .................... .................... ............................Great-West Life & Annuity InsuranceCompany of South Carolina SC........ DS...............

Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 39-6079818.. 2694458...... .................... ............................ Emjay Corporation........................................... WI........ DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 84-1233483.. .................... .................... ............................ FASCore, LLC.................................................. CO....... DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 95-3621044.. .................... .................... ............................ Westkin Properties Ltd..................................... CA........ DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ......50.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 84-1429507.. .................... 0000356476 ............................ Great-West Funds, Inc..................................... MD....... DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ......53.590 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 84-1444062.. ................... .................... ............................ Great-West Capital Management, LLC........... CO....... DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 84-1455663.. 2682718...... .................... ............................ Great-West Trust Company, LLC.................... CO....... DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 52-2277093.. .................... .................... ............................ Lottery Receivables Company One LLC......... DE........ DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 52-2080297.. .................... .................... ............................ LR Company II, L.L.C....................................... DE........ DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 52-2184985.. .................... .................... ........................... Singer Collateral Trust IV................................. DE........ DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 51-6515315.. .................... .................... ............................ Singer Collateral Trust V.................................. DE........ DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Financial Retirment PlanServices, LLC DE........ DS...............

Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 47-1894321.. .................... .................... ............................ Empower Financial Securities, LLC................. CO....... DS...............Great-West Life & Annuity InsuranceCompany Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000801166Toronto StockExchange Power Corporation of Canada......................... CAN..... UIP.............. Gelco Enterprises Ltd. ..................................... Ownership.......... ......53.450 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 171263 Canada Inc. ........................................ CAN..... UIP.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000817411Toronto StockExchange Power Financial Corporation .......................... CAN..... UIP.............. 171263 Canada Inc. ........................................ Ownership.......... ......65.594 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000850918Toronto StockExchange Great-West Lifeco Inc...................................... CAN..... UIP.............. Power Financial Corporation .......................... Ownership.......... ......67.405 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.2

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Financial (Canada) Inc................. CAN..... UIP.............. Great-West Lifeco Inc...................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Financial (Nova Scotia) Co.......... CAN..... UIP.............. Great-West Financial (Canada) Inc................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Lifeco U.S. Inc.............................. DE........ UIP.............. Great-West Financial (Nova Scotia) Co.......... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Lifeco U.S. Holdings, L.P............. DE........ UIP.............. Great-West Lifeco U.S. Inc.............................. Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ........................... Great-West Lifeco U.S. Holdings, LLC............ DE........ UIP.............. Great-West Lifeco U.S. Inc.............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Lifeco U.S. Holdings, L.P............. DE........ UIP.............. Great-West Lifeco U.S. Holdings, LLC............ Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 26-1080669.. .................... .................... ............................ Putnam Investments, LLC................................ DE........ NIA.............. Great-West Lifeco U.S. Inc.............................. Ownership.......... ......95.230 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 98-0539229.. .................... .................... ............................ Putnam Acquisition Financing Inc.................... CO....... NIA.............. Putnam Investments, LLC................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 87-0803672.. .................... .................... ............................ Putnam Acquisition Financing LLC.................. DE........ NIA.............. Putnam Acquisition Financing Inc.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Putnam Holdings, LLC..................................... DE........ NIA.............. Putnam Acquisition Financing LLC.................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 26-0334814.. .................... .................... ............................ Putnam U.S. Holdings I, LLC........................... DE........ NIA.............. Putnam Acquisition Financing LLC.................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 04-3542621.. .................... .................... ............................ Putnam Investment Management, LLC .......... DE........ NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 04-2777224.. 913203........ .................... ............................ Putnam Fiduciary Trust Company (NH).......... NH........ NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 04-2539562.. .................... .................... ............................ Putnam Investor Services, Inc......................... MA....... NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 04-3554902.. .................... .................... ............................ Putnam Retail Management GP, Inc............... MA....... NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 04-1223767.. .................... .................... ............................Putnam Retail Management LimitedPartnership MA....... NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ .......................................................................... ............. NIA.............. Putnam Retail Management GP, Inc............... Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ PanAgora Holdings Inc.................................... DE........ NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 04-3063840.. .................... .................... ............................ PanAgora Asset Management, Inc. ................ DE........ NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ......80.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 26-0648680.. .................... .................... ............................ Putnam GP Inc................................................. DE........ NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 04-3542286.. .................... .................... ............................ TH Lee Putnam Equity Managers LP ............. DE........ NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ .......................................................................... ............. NIA.............. Putnam GP Inc................................................. Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 04-3534983.. .................... .................... ............................ Putnam Investment Holdings, LLC.................. DE........ NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 27-3560340.. .................... .................... ............................ Savings Investments, LLC............................... DE........ NIA.............. Putnam Investment Holdings, LLC.................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... 04-3561914.. .................... .................... ............................ Putnam Capital, LLC........................................ DE........ NIA.............. Putnam Investment Holdings, LLC.................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ The Putnam Advisory Company, LLC............. DE........ NIA.............. Putnam U.S. Holdings I, LLC........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Putnam Advisory Holdings LLC....................... DE........ NIA.............. The Putnam Advisory Company, LLC............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Putnam Investments Canada ULC ................. CAN..... NIA.............. Putnam Advisory Holdings LLC....................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Putnam Investments (Ireland) Limited............. IRL....... NIA.............. The Putnam Advisory Company, LLC............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Putnam Investment+H36s Australia Pty ......... AUS..... NIA.............. The Putnam Advisory Company, LLC............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Putnam Investments Securities Co., Ltd. ....... JPN...... NIA.............. The Putnam Advisory Company, LLC............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Putnam International Distributors, Ltd. ........... KY........ NIA.............. The Putnam Advisory Company, LLC............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Putnam Investments Argentina S.A................. ARG..... NIA.............. The Putnam Advisory Company, LLC............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Putnam Investments Limited ........................... GBR..... NIA.............. The Putnam Advisory Company, LLC............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000801166Toronto StockExchange Power Corporation of Canada......................... CAN..... UIP.............. Gelco Enterprises Ltd. ..................................... Ownership.......... ......53.450 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.3

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................ 171263 Canada Inc. ........................................ CAN..... UIP.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000817411Toronto StockExchange Power Financial Corporation .......................... CAN..... UIP.............. 171263 Canada Inc. ........................................ Ownership.......... ......65.594 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000850918Toronto StockExchange Great-West Lifeco Inc...................................... CAN..... UIP.............. Power Financial Corporation .......................... Ownership.......... ......67.405 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2142540 Ontario Inc........................................ CAN..... NIA.............. Great-West Lifeco Inc...................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Lifeco Finance (Delaware) LP...... DE........ NIA.............. Great-West Lifeco Inc...................................... Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Lifeco Finance (Delaware) LP...... DE........ NIA.............. 2142540 Ontario Inc........................................ Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Lifeco Finance (Delaware) LLC... DE........ NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......60.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Lifeco Finance (Delaware) LLC... DE........ NIA.............. Great-West Lifeco Finance (Delaware) LP...... Ownership.......... ......40.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2023308 Ontario Inc........................................ CAN..... NIA.............. Great-West Lifeco Inc...................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital,LP DE........ IA................. Great-West Lifeco Inc...................................... Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital,LP DE........ IA................. 2023308 Ontario Inc........................................ Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital(Nova Scotia) Co. CAN..... IA................. GWL&A Financial Inc....................................... Ownership.......... ......60.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital(Nova Scotia) Co. CAN..... IA.................

Great-West Life & Annuity Insurance Capital,LP Ownership.......... ......40.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital,LLC DE........ IA................. GWL&A Financial Inc....................................... Ownership.......... ......60.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital,LLC DE........ IA.................

Great-West Life & Annuity Insurance Capital(Nova Scotia) Co. Ownership.......... ......40.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital,LP II DE........ IA................. Great-West Lifeco Inc...................................... Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital,LP II DE........ IA................. 2023308 Ontario Inc........................................ Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital(Nova Scotia) Co. II CAN..... IA................. GWL&A Financial Inc....................................... Ownership.......... ......60.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital(Nova Scotia) Co. II CAN..... IA.................

Great-West Life & Annuity Insurance Capital,LP II Ownership.......... ......40.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital,LLC II DE........ IA................. GWL&A Financial Inc....................................... Ownership.......... ......60.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Great-West Life & Annuity Insurance Capital,LLC II DE........ IA.................

Great-West Life & Annuity Insurance Capital(Nova Scotia) Co. II Ownership.......... ......40.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2171866 Ontario Inc........................................ CAN..... NIA.............. Great-West Lifeco Inc...................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.4

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Lifeco Finance (Delaware) LP II... DE........ NIA.............. Great-West Lifeco Inc...................................... Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Lifeco Finance (Delaware) LP II... DE........ NIA.............. 2171866 Ontario Inc........................................ Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Lifeco Finance (Delaware) LLC II DE........ NIA.............. Great-West Lifeco Finance (Delaware) LP II... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2023310 Ontario Inc........................................ CAN..... NIA.............. Great-West Lifeco Inc...................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2023311 Ontario Inc........................................ CAN..... NIA.............. Great-West Lifeco Inc...................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 6109756 Canada Inc........................................ CAN..... NIA.............. Great-West Lifeco Inc...................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 6922023 Canada Inc........................................ CAN..... NIA.............. Great-West Lifeco Inc...................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 8563993 Canada Inc........................................ CAN..... NIA.............. Great-West Lifeco Inc...................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............0769... Great-West Life.................................. 80705...... 98-0000673.. .................... 0001046192 ............................ The Great-West Life Assurance Company ..... MI......... IA................. Great-West Lifeco Inc...................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ GWL THL Private Equity I Inc. ........................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......29.400 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ .......................................................................... ............. NIA..............The Canada Life Insurance Company ofCanada Ownership.......... ......58.800 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ GWL THL Private Equity II Inc......................... CAN..... NIA.............. GWL THL Private Equity I Inc. ........................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Investors Holdco Inc..................... DE........ NIA.............. GWL THL Private Equity I Inc. ........................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Investors LLC................................ DE........ NIA.............. GWL THL Private Equity I Inc. ........................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Investors LP Inc............................ DE........ NIA.............. Great-West Investors LLC................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Investors GP Inc........................... DE........ NIA.............. Great-West Investors LP Inc............................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Investors LP.................................. DE........ NIA.............. Great-West Investors LP Inc............................ Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Great-West Investors LP.................................. DE........ NIA.............. Great-West Investors GP Inc........................... Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ T.H. Lee Interests............................................. DE........ NIA.............. Great-West Investors LP ................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ GWL Realty Advisors Inc................................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ GWL Realty Advisors U.S., Inc........................ DE........ NIA.............. GWL Realty Advisors Inc................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RA Real Estate Inc........................................... CAN..... NIA.............. GWL Realty Advisors Inc................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Real Estate LP........................................ CAN..... NIA.............. RA Real Estate Inc........................................... Ownership.......... ........0.100 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Vertica Resident Services Inc.......................... CAN..... NIA.............. GWL Realty Advisors Inc................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2278372 Ontario Inc. ...................................... CAN..... NIA.............. GWL Realty Advisors Inc................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ GLC Asset Management Group Ltd................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ 200 Grahm Ltd. ............................................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 801611 Ontario Limited.................................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 118050 Canada Inc.......................................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 1213763 Ontario Inc........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Riverside II Limited Partnership....................... CAN..... NIA.............. 1213763 Ontario Inc........................................ Ownership.......... ......99.990 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Kings Cross Shopping Centre Ltd................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......70.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 681348 Alberta Ltd........................................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 3352200 Canada Inc........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......50.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 1420731 Ontario Limited................................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.5

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... ................ ...................... .................... .................... ............................ Great-West Lifeco Finance (Delaware) LLC... DE........ NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......60.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Great-West Lifeco Finance (Delaware) LLC... DE........ NIA.............. Great-West Lifeco Finance (Delaware) LP...... Ownership.......... ......40.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 1455250 Ontario Limited................................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ CGWLL Inc....................................................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ The Walmer Road Limited Partnership........... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......65.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Laurier House Apartments Limited.................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......50.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2024071 Ontario Limited................................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 431687 Ontario Limited.................................... CAN..... NIA.............. 2024071 Ontario Limited................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Riverside II Limited Partnership....................... CAN..... NIA.............. 2024071 Ontario Limited................................. Ownership.......... ........0.010 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ High Park Bayview Inc..................................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ High Park Bayview Limited Partnership.......... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......75.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ MAM Holdings Inc. .......................................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ........5.600 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ .......................................................................... ............. NIA..............The Canada Life Insurance Company ofCanada Ownership.......... ......94.400 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 647679 B.C. Ltd............................................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................TGS North American Real Estate InvestmentTrust CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......70.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ TGS Trust......................................................... CAN..... NIA..............TGS North American Real Estate InvestmentTrust Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Investment Company ............................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......70.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Property Management Ltd. .................... CAN..... NIA.............. RMA Investment Company ............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Property Management 2004 Ltd. ........... CAN..... NIA.............. RMA Investment Company ............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Realty Holdings Corporation Ltd. ........... CAN..... NIA.............. RMA Investment Company ............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA (U.S.) Realty LLC ................................... DE........ NIA.............. RMA Realty Holdings Corporation Ltd. ........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA American Realty Corp............................ DE........ NIA.............. RMA (U.S.) Realty LLC ................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA American Realty Limited Partnership ... DE........ NIA.............. RMA American Realty Corp............................ Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ .......................................................................... ............. NIA.............. RMA (U.S.) Realty LLC .................................. Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA American Realty Limited Partnership ... DE........ NIA.............. RMA (U.S.) Realty LLC ................................... Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ .......................................................................... ............. NIA.............. RMA American Realty Corp............................. Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 1218023 Alberta Ltd. ....................................... CAN..... NIA.............. RMA Investment Company ............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA (U.S.) Realty LLC ................................... DE........ NIA.............. 1218023 Alberta Ltd. ....................................... Ownership.......... ......40.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 1214931 Alberta Ltd. ....................................... CAN..... NIA.............. RMA Investment Company ............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA (U.S.) Realty LLC .................................. DE........ NIA.............. 1214931 Alberta Ltd. ....................................... Ownership.......... ......40.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Real Estate LP........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......70.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Properties Ltd. ........................................ CAN..... NIA.............. RMA Real Estate LP........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ S-8025 Holdings Ltd........................................ CAN..... NIA.............. RMA Real Estate LP........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Properties (Riverside) Ltd. ..................... CAN..... NIA.............. RMA Real Estate LP........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.6

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................ KS Village (Millstream) Inc............................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......70.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 0726861 B.C. Ltd............................................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......70.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Trop Beau Developments Limited................... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......70.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Kelowna Central Park Properties Ltd.............. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......70.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Kelowna Central Park Phase II Properties Ltd. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......70.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ PVS Preferred Vision Services Inc. ................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......40.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Vaudreuil Shopping Centres Limited............... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......12.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Saskatoon West Shopping Centres Limited.... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......70.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... ................... ............................ 2331777 Ontario Ltd........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......12.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2344701 Ontario Ltd........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......12.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2356720 Ontario Ltd........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......12.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 0977221 B.C. Ltd............................................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......12.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ TMI Systems, Inc.............................................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Plan Direct Insurance Services Inc.................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......51.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Plan Direct Insurance Services Inc.................. CAN..... NIA.............. TMI Systems, Inc.............................................. Ownership.......... ......49.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ London Insurance Group Inc........................... CAN..... IA................. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Trivest Insurance Network Limited.................. CAN..... IA................. London Insurance Group Inc........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............0769... Great-West Life.................................. 83550...... 52-1548741 . .................... 0001089712 ............................ London Life Insurance Company .................... MI......... IA................. London Insurance Group Inc........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... ................ ...................... .................... .................... ............................ 9542647 Canada Ltd....................................... CAN..... NIA.............. London Life Insurance Company .................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ 1542775 Alberta Ltd......................................... CAN..... NIA.............. London Life Insurance Company .................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ 0813212 B.C. Ltd............................................. CAN..... NIA.............. London Life Insurance Company .................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Kings Cross Shopping Centre Ltd................... CAN..... NIA.............. London Life Insurance Company .................... Ownership.......... ......30.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ 0726861 B.C. Ltd............................................. CAN..... NIA.............. London Life Insurance Company .................... Ownership.......... ......30.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................TGS North American Real Estate InvestmentTrust CAN..... NIA.............. London Life Insurance Company .................... Ownership.......... ......30.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ TGS Trust......................................................... CAN..... NIA..............TGS North American Real Estate InvestmentTrust Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Investment Company ............................. CAN..... NIA.............. London Life Insurance Company .................... Ownership.......... ......30.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Property Management Ltd. .................... CAN..... NIA.............. RMA Investment Company ............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Property Management 2004 Ltd. ........... CAN..... NIA.............. RMA Investment Company ............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA Realty Holdings Corporation Ltd. ........... CAN..... NIA.............. RMA Investment Company ............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA (U.S.) Realty LLC .................................. DE........ NIA.............. RMA Realty Holdings Corporation Ltd. ........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA American Realty Corp............................. DE........ NIA.............. RMA (U.S.) Realty LLC .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ RMA American Realty Limited Partnership .... DE........ NIA.............. RMA (U.S.) Realty LLC .................................. Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ .......................................................................... ............. NIA.............. RMA American Realty Limited Partnership ... Ownership.......... ........1.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.7

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

.......... ......................................................... 00000..... ..................... ................... ................... ........................... RMA American Realty Limited Partnership .. DE....... NIA............. RMA (U.S.) Realty LLC ................................. Ownership.......... ......99.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... ............... ..................... ................... ................... ........................... ....................................................................... ............ NIA............. RMA American Realty Corp........................... Ownership.......... ........1.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... 1218023 Alberta Ltd....................................... CAN..... NIA............. RMA Investment Company ............................ Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... RMA (U.S.) Realty LLC ................................. DE....... NIA............. 1218023 Alberta Ltd....................................... Ownership.......... ......40.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... 1214931 Alberta Ltd....................................... CAN..... NIA............. RMA Investment Company ............................ Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... RMA (U.S.) Realty LLC ................................. DE....... NIA............. 1214931 Alberta Ltd....................................... Ownership.......... ......40.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... RMA Real Estate LP....................................... CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ......30.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... RMA Properties Ltd. ...................................... CAN..... NIA............. RMA Real Estate LP....................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... S-8025 Holdings Ltd....................................... CAN..... NIA............. RMA Real Estate LP....................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... RMA Properties (Riverside) Ltd. .................... CAN..... NIA............. RMA Real Estate LP....................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... 1319399 Ontario Inc....................................... CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... 3853071 Canada Limited............................... CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... Laurier House Apartments Limited................. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ......50.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... Kelowna Central Park Properties Ltd............. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ......30.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ...........................Kelowna Central Park Phase II PropertiesLtd. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ......30.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... Trop Beau Developments Limited.................. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ......30.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... 4298098 Canada Inc...................................... CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... GWLC Holdings Inc........................................ CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... GLC Reinsurance Corporation....................... CAN..... IA................ GWLC Holdings Inc........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... 389288 B.C. Ltd............................................. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... Quadrus Investment Services Ltd.................. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... The Walmer Road Limited Partnership.......... CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ......35.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... 177545 Canada Limited................................. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... Neighborhood Dental Services Ltd................. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ......88.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... Quadrus Distribution Services Ltd.................. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... Toronto College Park Ltd............................... CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... High Park Bayview Limited Partnership......... CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ......25.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... KS Village (Millstream) Inc............................. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ......30.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... London Life Financial Corporation................. CAN..... NIA............. London Life Insurance Company ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... London Reinsurance Group, Inc. ................... CAN..... IA................ London Life Financial Corporation................. Ownership.......... ......89.400 The Desmarais Family Residual Trust........... .............

.......... ......................................................... ............... ..................... ................... ................... ........................... ....................................................................... ............ IA................ London Life Insurance Company ................... Ownership.......... ......10.600 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ...........................London Life & Casualty ReinsuranceCorporation BRB..... IA................ London Reinsurance Group, Inc. ................... Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ........................... Trabaja Reinsurance Company Ltd................ BRB..... IA................London Life & Casualty ReinsuranceCorporation Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

.......... ......................................................... 00000..... ..................... ................... ................... ...........................London Life and Casualty (Barbados)Corporation BRB..... NIA.............

London Life & Casualty ReinsuranceCorporation Ownership.......... ....100.000 The Desmarais Family Residual Trust........... .............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.8

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................ LRG (US), Inc................................................... DE........ NIA.............. London Reinsurance Group, Inc. .................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................London Life International ReinsuranceCorporation BRB..... IA................. LRG (US), Inc................................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

0769... Great-West Life.................................. 76694...... 23-2044256 . .................... .................... ............................ London Life Reinsurance Company ............... PA........ IA................. LRG (US), Inc................................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Vaudreuil Shopping Centres Limited............... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......75.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Saskatoon West Chopping Centres Limited.... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......30.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ 2331777 Ontario Ltd........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......75.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ 2344701 Ontario Ltd........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......75.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ 2356720 Ontario Ltd........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......75.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ 0977221 B.C. Ltd............................................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......75.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... 0001123266 ............................ Canada Life Financial Corporation.................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............0769... Great-West Life.................................. 80659...... 38-0397420.. .................... 0001097187 ............................ The Canada Life Assurance Company .......... MI......... IA................. Canada Life Financial Corporation.................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Brasil LTDA................................. BRA..... NIA.............. The Canada Life Assurance Company .......... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Capital Corporation, Inc. ............ CAN..... NIA.............. The Canada Life Assurance Company .......... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life International Holdings, Limited... BMU..... NIA.............. Canada Life Capital Corporation, Inc. ............ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life International Services Limited..... GBR..... NIA.............. Canada Life International Holdings, Limited... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life International, Limited................... GBR..... NIA.............. Canada Life International Holdings, Limited... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ CLI Institutional Limited.................................... GBR..... NIA.............. Canada Life International, Limited................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Irish Holding Company, Limited.. IRL....... NIA.............. Canada Life International Holdings, Limited... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Group Services Limited............... IRL....... NIA.............. Canada Life Irish Holding Company, Limited.. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Europe Investment Limited......... IRL....... NIA.............. Canada Life Irish Holding Company, Limited.. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ......................... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Assurance Europe Limited.......... IRL....... IA................. Canada Life Europe Investment Limited......... Ownership.......... ......78.670 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Canada Life Europe Management Services,Limited IRL....... NIA.............. Canada Life Assurance Europe Limited.......... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Assurance Europe Limited.......... IRL....... IA.................Canada Life Europe Management Services,Limited Ownership.......... ......21.330 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ The Canada Life Group (U.K.), Limited........... GBR..... NIA.............. Canada Life International Holdings, Limited... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................

Canada Life International Assurance (Ireland)(f/k/a Legal and General International IrelandLimited) IRL....... NIA.............. The Canada Life Group (U.K.), Limited........... Ownership.......... ......80.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Life Investment Managers Limited........... IRL....... NIA.............. The Canada Life Group (U.K.), Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Summit Asset Managers Ltd............................ IRL....... NIA.............. Irish Life Investment Managers Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Association of Investment Managers ...... IRL....... NIA.............. Irish Life Investment Managers Limited........... Ownership.......... ........7.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ........................... Setanta Asset Management Limited................ IRL....... NIA.............. Irish Life Investment Managers Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ London Life & General Reinsurance Co. Ltd. IRL....... IA................. The Canada Life Group (U.K.), Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.9

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... ................ ...................... .................... .................... ............................ Canada Life International Re: Limited............. IRL....... NIA.............. The Canada Life Group (U.K.), Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Canada Life Reinsurance International, Ltd. .. IRL....... IA................. Canada Life International Re: Limited............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Canada Life Reinsurance Ltd.......................... IRL....... IA................. Canada Life International Re: Limited............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Canda Life International Assurance Limited ... IRL....... IA................. The Canada Life Group (U.K.), Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................Canda Life International Assurance (Ireland)Designated Activity Company IRL....... IA................. Canda Life International Assurance Limited ... Ownership.......... ......20.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Canada Life Pension Managers & Trustees,Limited GBR..... NIA.............. The Canada Life Group (U.K.), Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Asset Management Limited........ GBR..... NIA.............. The Canada Life Group (U.K.), Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life European Real Estate Limited.... GBR..... NIA.............. The Canada Life Group (U.K.), Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Hotel Operations (Walsall) Limited.................. GBR..... NIA.............. Canada Life European Real Estate Limited.... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Hotel Operations (Cardiff) Limited................... GBR..... NIA.............. Canada Life European Real Estate Limited.... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Trustee Services (U.K.), Limited. GBR..... NIA.............. The Canada Life Group (U.K.), Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ CLFIS (U.K.), Limited....................................... GBR..... NIA.............. The Canada Life Group (U.K.), Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life, Limited........................................ GBR..... NIA.............. The Canada Life Group (U.K.), Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life (Ireland), Limited......................... IRL....... IA................. Canada Life Irish Holding Company, Limited.. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Life Assurance plc. .................................. IRL....... IA................. Canada Life (Ireland), Limited......................... Ownership.......... ......11.290 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life (U.K.), Limited.............................. GBR..... NIA.............. Canada Life, Limited........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Albany Life Assurance Company, Limited....... GBR..... IA................. Canada Life (U.K.), Limited.............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Management (U.K.), Limited....... GBR..... NIA.............. Canada Life (U.K.), Limited.............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Services (U.K.), Limited............... GBR..... NIA.............. Canada Life (U.K.), Limited.............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Fund Managers (U.K.), Limited... GBR..... NIA.............. Canada Life (U.K.), Limited.............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Group Services (U.K.), Limited .. GBR..... NIA.............. Canada Life (U.K.), Limited.............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Holdings (U.K.), Limited.............. GBR..... NIA.............. Canada Life (U.K.), Limited.............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Irish Operations, Limited............. GBR..... NIA.............. Canada Life, Limited........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Ireland Holdings, Limited. .......... GBR..... NIA.............. Canada Life Irish Operations, Limited............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ........................... Irish Life Group Limited ................................... GBR..... NIA.............. Canada Life, Limited........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Progressive Services International Ltd ... GBR..... NIA.............. Irish Life Group Limited ................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Life Group Services Limited .................... GBR..... NIA.............. Irish Life Group Limited ................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Life Financial Services Ltd. ..................... GBR..... NIA.............. Irish Life Group Limited ................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Glohealth Financial Services Limited ............. GBR..... NIA.............. Irish Life Group Limited ................................... Ownership.......... ......49.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Affinity First Limited.......................................... GBR..... NIA.............. Irish Life Group Limited ................................... Ownership.......... ......49.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Vestone Ltd. .................................................... GBR..... NIA.............. Irish Life Group Limited ................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Cornmarket Group Financial Services Limited GBR..... NIA.............. Vestone Ltd. .................................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.10

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................ Cornmarket Insurance Brokers Ltd. ................ GBR..... NIA.............. Cornmarket Group Financial Services Ltd. ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Cornmarket Insurance Services Limited.......... GBR..... NIA.............. Cornmarket Group Financial Services Ltd. ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ EIS Financial Services Limited........................ GBR..... NIA.............. Cornmarket Insurance Services Limited.......... Ownership.......... ......25.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Cornmarket Retail Trading Ltd......................... GBR..... NIA.............. Cornmarket Group Financial Services Ltd. ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Savings & Investments Ltd. ............................ GBR..... NIA.............. Cornmarket Group Financial Services Ltd. ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Gregan McGuiness (Life & Pensions) Ltd. ..... GBR..... NIA.............. Cornmarket Group Financial Services Ltd. ..... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Life Associate Holdings............................ GBR..... NIA.............. Irish Life Group Limited ................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Life Irish Holdings .................................... GBR..... NIA.............. Irish Life Associate Holdings............................ Ownership.......... ......30.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Allianz-Irish Life Holdings plc. ......................... GBR..... NIA.............. Irish Life Irish Holdings .................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Allianz p.l.c....................................................... GBR..... NIA.............. Allianz-Irish Life Holdings plc........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Allianz Northern Ireland Ltd. ........................... GBR..... NIA.............. Allianz-Irish Life Holdings plc........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Life Assurance plc. .................................. GBR..... NIA.............. Irish Life Group Limited ................................... Ownership.......... ......88.710 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Ballsbridge Property Investments Ltd. ............ GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Cathair Ce Ltd. ................................................ GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Ilona Financial Group, Inc. .............................. GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Life Unit Fund Managers Ltd. .................. GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Keko Park Ltd. ................................................. GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Stephen Court Ltd. .......................................... GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Tredwell Associates Ltd. ................................. GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Irish Life Trustee Services Limited .................. GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Office Park De Mont-St-Guibert A S.A. ........... GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Office Park De Mont-St-Guibert B S.A. ........... GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Office Park De Mont-St-Guibert C S.A. .......... GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Mili SAS ........................................................... GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ City Gate Park Administration Limited............. GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ......66.660 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Westlink Industrial Estate ManagementCompany Ltd GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ......98.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................SJRQ Riverside IV Management CompanyLtd. GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ......51.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Hollins Clough Management Company Ltd..... GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ......50.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Dakline Company Ltd. ..................................... GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ......50.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Ashtown Management Company Ltd. ............ GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ......50.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Choralli Limited ................................................ GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ......20.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Baggot Court Management Limited ................ GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ......14.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Richview Office Park Management CompanyLimited GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ......11.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.11

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................ Padamul Ltd. ................................................... GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ........5.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Tour Esplanade (Paris) LP............................... GBR..... NIA.............. Irish Life Assurance plc. .................................. Ownership.......... ......18.214 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Group Holdings Limited.............. GBR..... NIA.............. Canada Life International Holdings, Limited... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 4073649 Canada, Inc. ..................................... CAN..... NIA.............. Canada Life International Holdings, Limited... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Finance (U.K.), Limited............... GBR..... NIA.............. 4073649 Canada, Inc. ..................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ CL Luxembourg Capital Management S.a.r.l.. LUX...... NIA..............CLH International Capital ManagementHungary, Limited Liability Company Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 8478163 Canada Limited................................. CAN..... NIA.............. Canada Life International Holdings, Limited... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Capital Bermuda Limited............. BMU..... NIA.............. 8478163 Canada Limited................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................The Canada Life Insurance Company ofCanada CAN..... IA................. The Canada Life Assurance Company .......... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 6855572 Manitoba Ltd..................................... CAN..... NIA..............The Canada Life Insurance Company ofCanada Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ MAM Holdings Inc............................................ CAN..... NIA..............The Canada Life Insurance Company ofCanada Ownership.......... ......94.400 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Mountain Asset Management LLC.................. DE........ NIA.............. MAM Holdings Inc............................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2331777 Ontario Ltd........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......12.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2344701 Ontario Ltd........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......12.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Vaudreuil Shopping Centres Limited............... CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......12.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 2356720 Ontario Ltd........................................ CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......12.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 0977221 B.C. Ltd............................................. CAN..... NIA.............. The Great-West Life Assurance Company ..... Ownership.......... ......12.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ CL Capital Management (Canada), Inc........... CAN..... NIA.............. The Canada Life Assurance Company .......... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 587443 Ontario Inc. ......................................... CAN..... NIA.............. The Canada Life Assurance Company .......... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Mortgage Services Ltd................ CAN..... NIA.............. The Canada Life Assurance Company .......... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Adason Properties Limited............................... CAN..... NIA.............. The Canada Life Assurance Company .......... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Adason Realty Ltd. .......................................... CAN..... NIA.............. Adason Properties Limited............................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canada Life Capital Trust ............................... CAN..... NIA.............. The Canada Life Assurance Company........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000801166Toronto StockExchange Power Corporation of Canada......................... CAN..... UIP.............. Gelco Enterprises Ltd. ..................................... Ownership.......... ......53.450 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 171263 Canada Inc. ........................................ CAN..... UIP.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000817411Toronto StockExchange Power Financial Corporation .......................... CAN..... UIP.............. 171263 Canada Inc. ........................................ Ownership.......... ......65.594 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... ....................Toronto StockExchange IGM Financial Inc. ........................................... CAN..... NIA.............. Power Financial Corporation .......................... Ownership.......... ......61.177 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Investors Group Inc. ........................................ CAN..... NIA.............. IGM Financial Inc. ........................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Investors Group Financial Services Inc........... CAN..... NIA.............. Investors Group Inc. ........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ I.G. International Management Limited........... IRL....... NIA.............. Investors Group Inc. ........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.12

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................I.G. Investment Management (Hong Kong)Limited HKG..... NIA.............. I.G. International Management Limited........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Investors Group Trust Co. Ltd. ........................ CAN..... NIA.............. Investors Group Inc. ........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 391102 B.C. Ltd. ............................................. CAN..... NIA.............. Investors Group Trust Co. Ltd. ........................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ I.G. Insurance Services Inc. ............................ CAN..... NIA.............. Investors Group Inc. ........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Investors Syndicate Limited............................. CAN..... NIA.............. Investors Group Inc. ........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Investors Group Securities Inc......................... CAN..... NIA.............. Investors Group Inc. ........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 6460675 Manitoba Ltd..................................... CAN..... NIA.............. Investors Group Inc. ........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ I.G. Investment Management, Ltd................... CAN..... NIA.............. Investors Group Inc. ........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Investors Group Corporate Class Inc.............. CAN..... NIA.............. I.G. Investment Management, Ltd................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Investors Syndicate Property Corp.................. CAN..... NIA.............. I.G. Investment Management, Ltd................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 0965311 B.C. Ltd............................................. CAN..... NIA.............. I.G. Investment Management, Ltd................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 0992480 B.C. Ltd............................................. CAN..... NIA.............. I.G. Investment Management, Ltd................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ I.G. Investment Corp........................................ DE........ NIA.............. Investors Group Inc. ........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Mackenzie Inc.................................................. CAN..... NIA.............. IGM Financial Inc. ........................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Mackenzie Financial Corporation.................... CAN..... NIA.............. Mackenzie Inc.................................................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Mackenzie Investments CharitableFoundation CAN..... NIA.............. Mackenzie Financial Corporation.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Strategic Charitable Giving Foundation........... CAN..... NIA.............. Mackenzie Financial Corporation.................... Ownership.......... ......14.280 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Mackenzie Cundill Investment Management(Bermuda) Ltd. BMU..... NIA.............. Mackenzie Financial Corporation.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Mackenzie Financial Capital Corporation ....... CAN..... NIA.............. Mackenzie Financial Corporation.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Multi-Class Investment Corp............................ CAN..... NIA.............. Mackenzie Financial Corporation.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ MMLP GP Inc................................................... CAN..... NIA.............. Mackenzie Financial Corporation.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ MacKenzie Investments Corporation............... CAN..... NIA.............. Mackenzie Financial Corporation.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ MacKenzie Investments PTE, Ltd.................... SGP..... NIA.............. Mackenzie Financial Corporation.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................MacKenzie Global Macro Asian Credit FundLtd. SGP..... NIA.............. Mackenzie Financial Corporation.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................MacKenzie Global Macro Asian Credit MasterFund Ltd. SGP..... NIA..............

MacKenzie Global Macro Asian Credit FundLtd. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Mackenzie U.S. Fund Management Inc.......... CAN..... NIA.............. Mackenzie Financial Corporation.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... ................... ............................ Investment Planning Counsel Inc.................... CAN..... NIA.............. IGM Financial Inc. ........................................... Ownership.......... ......96.930 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ .......................................................................... ............. .................... Management of IPC......................................... ............................ ........3.070 .......................................................................... ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ IPC Investment Corporation ............................ CAN..... NIA.............. Investment Planning Counsel Inc.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ IPC Estate Services Inc................................... CAN..... NIA.............. Investment Planning Counsel Inc.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ IPC Securities Corporation ............................. CAN..... NIA.............. Investment Planning Counsel Inc.................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ IPC Portfolio Services Inc. .............................. CAN..... NIA.............. Investment Planning Counsel Inc.................... Ownership.......... ......88.620 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.13

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... ................ ...................... .................... .................... ............................ .......................................................................... ............. NIA..............IPC Investment Corporation and IPCSecurities Corporation Ownership.......... ......11.380 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Counsel Portfolio Services Inc......................... CAN..... NIA.............. IPC Portfolio Services Inc. .............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Counsel Portfolio Corporation.......................... CAN..... NIA.............. Counsel Portfolio Services Inc......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000801166Toronto StockExchange Power Corporation of Canada......................... CAN..... UIP.............. Gelco Enterprises Ltd. ..................................... Ownership.......... ......53.450 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 171263 Canada Inc. ........................................ CAN..... UIP.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000817411Toronto StockExchange Power Financial Corporation .......................... CAN..... UIP.............. 171263 Canada Inc. ........................................ Ownership.......... ......65.594 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Financial Europe B.V............................ NLD...... NIA.............. Power Financial Corporation .......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... 2317618...... .................... ............................ Parjointco N.V.................................................. NLD...... NIA.............. Power Financial Corporation .......................... Ownership.......... ......50.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... 1850967...... .................... ............................ Pargesa Holding SA......................................... CHE..... NIA.............. Power Financial Corporation .......................... Ownership.......... ......75.400 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Pargesa Netherlands B.V................................ NLD...... NIA.............. Pargesa Holding SA......................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... 1590393...... 0001179313 Euronext Brussels Groupe Bruxelles Lambert .............................. BEL...... NIA.............. Pargesa Netherlands B.V................................ Ownership.......... ......52.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000899108 Euronext Paris.... Pernod Ricard ................................................. FRA...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ........6.800 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Umicore............................................................ BEL...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ......16.900 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Ontex................................................................ BEL...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ......13.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ LTI One............................................................. BEL...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ........0.400 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Sagerpar........................................................... BEL...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ........0.100 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Belgian Securities B.V...................................... NLD...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... 2318503...... 0001450277 Euronext Paris.... Imerys .............................................................. FRA...... NIA.............. Belgian Securities B.V...................................... Ownership.......... ......69.800 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Brussels Securities .......................................... BEL...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ LTI One............................................................. BEL...... NIA.............. Brussels Securities .......................................... Ownership.......... ......99.600 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Groupe Bruxelles Lambert............................... BEL...... NIA.............. LTI One............................................................. Ownership.......... ........0.100 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ LTI Two............................................................. BEL...... NIA.............. Brussels Securities .......................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Groupe Bruxelles Lambert............................... BEL...... NIA.............. LTI Two............................................................. Ownership.......... ........0.100 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Umicore............................................................ BEL...... NIA.............. LTI Two............................................................. Ownership.......... ........0.100 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ URDAC............................................................. BEL...... NIA.............. Brussels Securities .......................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Groupe Bruxelles Lambert .............................. BEL...... NIA.............. URDAC............................................................. Ownership.......... ........0.100 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ FINPAR............................................................ BEL...... NIA.............. Brussels Securities .......................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Sagerpar........................................................... BEL...... NIA.............. Brussels Securities .......................................... Ownership.......... ......99.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... 1590393...... 0001179313 Euronext Brussels Groupe Bruxelles Lambert............................... BEL...... NIA.............. Sagerpar........................................................... Ownership.......... ........3.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ GBL Overseas Finance N.V............................. BEL...... NIA.............. Brussels Securities .......................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ GBL Participations SA...................................... BEL...... NIA.............. Brussels Securities .......................................... Ownership.......... ......10.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.14

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... ................ ...................... .................... .................... ............................ GBL Finance S.a.r.l.......................................... BEL...... NIA.............. Brussels Securities .......................................... Ownership.......... ......10.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ COFINERGY.................................................... BEL...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ GBL Energy S.á.r.l........................................... LUX...... NIA.............. COFINERGY.................................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000879764New York StockExchange Total SA............................................................ FRA...... NIA.............. GBL Energy S.á.r.l........................................... Ownership.......... ........1.200 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ GBL Verwaltung GmbH................................... GMB..... NIA.............. GBL Energy S.á.r.l........................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ GBL Finance & Treasury................................. BEL...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ GBL Participations SA...................................... BEL...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ......90.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ GBL Finance S.a.r.l.......................................... BEL...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ......90.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ GBL Verwaltung SA......................................... LUX...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ GBL Investments Limited................................. IRL....... NIA.............. GBL Verwaltung S.à.r.l.................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ GBL R............................................................... LUX...... NIA.............. GBL Verwaltung S.à.r.l.................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Sienna Capital S.á.r.l....................................... LUX...... NIA.............. GBL Verwaltung S.à.r.l.................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Sagard FCPR................................................... BEL...... NIA.............. Sienna Capital S.à.r.l....................................... Ownership.......... ......10.900 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Sagard II A FPCI.............................................. BEL...... NIA.............. Sienna Capital S.à.r.l....................................... Ownership.......... ........0.300 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Sagard II B FPCI.............................................. BEL...... NIA.............. Sienna Capital S.à.r.l....................................... Ownership.......... ......75.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Sagard 3 Millésime 1 FPCI.............................. BEL...... NIA.............. Sienna Capital S.à.r.l....................................... Ownership.......... ......50.300 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Kartesia Credit Opportunities I SCA, SICAV-SIF LUX...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ......29.600 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Kartesia GP SA................................................ LUX...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ......40.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ ECP1................................................................ BEL...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ......43.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ EC..................................................................... BEL...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ........5.900 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ ECP3................................................................ BEL...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Mérieux Participations I.................................... BEL...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ......15.100 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Mérieux Participations II................................... BEL...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ......37.700 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ PrimeStone Parallel Vehicle CSC................... BEL...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................PrimeStone Capial Special Limited PartnerSCSp BEL...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ........1.700 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ BDT Capial Partners Fund II............................ BEL...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ......10.100 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Sienna Capital International............................. BEL...... NIA.............. Sienna Capital S.á.r.l....................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Serena S.á.r.l................................................... LUX...... NIA.............. GBL Verwaltung S.à.r.l.................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ SGS.................................................................. LUX...... NIA.............. GBL Verwaltung S.à.r.l.................................... Ownership.......... ......15.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ LafargeHolcim.................................................. LUX...... NIA.............. GBL Verwaltung S.à.r.l.................................... Ownership.......... ........9.400 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0001243443New York StockExchange Engie................................................................ FRA...... NIA.............. GBL Verwaltung S.à.r.l.................................... Ownership.......... ........2.300 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ ECP 2............................................................... BEL...... NIA.............. Groupe Bruxelles Lambert .............................. Ownership.......... ......42.400 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Pargesa Netherlands B.V................................ NLD...... NIA.............. Pargesa Holding SA......................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.15

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................ SFPG................................................................ FRA...... NIA.............. Pargesa Netherlands B.V................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000801166Toronto StockExchange Power Corporation of Canada......................... CAN..... UIP.............. Gelco Enterprises Ltd. ..................................... Ownership.......... ......53.450 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Square Victoria Communications Group Inc... CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Gesca Ltée....................................................... CAN..... NIA.............. Square Victoria Communications Group Inc... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ La Presse, Ltée................................................ CAN..... NIA.............. Gesca Ltée....................................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Nuglif Inc........................................................... CAN..... NIA.............. La Presse, Ltée................................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Cyberpresse Inc............................................... CAN..... NIA.............. Gesca Ltée....................................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 9214470 Canada Inc........................................ CAN..... NIA.............. Gesca Ltée....................................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Square Victoria Digital Properties Inc.............. CAN..... NIA.............. Square Victoria Communications Group Inc... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Les Éditions Gesca Ltée.................................. CAN..... NIA.............. Square Victoria Digital Properties Inc.............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Les Éditions La Presse Ltée............................ CAN..... NIA.............. Square Victoria Digital Properties Inc.............. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Workopolis........................................................ CAN..... NIA.............. Square Victoria Digital Properties Inc.............. Ownership.......... ......50.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Olive Média...................................................... CAN..... NIA.............. Square Victoria Digital Properties Inc.............. Ownership.......... ......25.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Square Victoria C.P. Holding Inc..................... CAN..... NIA.............. Square Victoria Communications Group Inc... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Canadian Press Enterprises Inc...................... CAN..... NIA.............. Square Victoria C.P. Holding Inc..................... Ownership.......... ......33.300 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Pagemasters North America Inc...................... CAN..... NIA.............. Canadian Press Enterprises Inc...................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000801166Toronto StockExchange Power Corporation of Canada......................... CAN..... UIP.............. Gelco Enterprises Ltd. ..................................... Ownership.......... ......53.450 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Corporation (International) Limited....... BMU..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Pacific Corporation Limited................... HKG..... NIA.............. Power Corporation (International) Limited....... Ownership.......... ......99.900 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Pacific Mauritius Limited....................... MUS..... NIA.............. Power Pacific Corporation Limited................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Pacific Equities Limited......................... HKG..... NIA.............. Power Pacific Corporation Limited................... Ownership.......... ........0.100 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Pacific Equities Limited......................... HKG..... NIA.............. Power Corporation (International) Limited....... Ownership.......... ......99.900 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Communications Inc............................. CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Pacific Corporation Limited................... HKG..... NIA.............. Power Communications Inc............................. Ownership.......... ........0.100 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ China Asset Management Limited................... CHN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ......10.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000801166Toronto StockExchange Power Corporation of Canada......................... CAN..... UIP.............. Gelco Enterprises Ltd. ..................................... Ownership.......... ......53.450 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 152245 Canada Inc.......................................... CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Tek, LLC............................................... DE........ NIA.............. 152245 Canada Inc.......................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 3540529 Canada Inc........................................ CAN..... NIA.............. 152245 Canada Inc.......................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Societe Immobiliere HMM................................ CAN..... NIA.............. 152245 Canada Inc.......................................... Ownership.......... ......18.750 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Quinstreet Inc................................................... CAN..... NIA.............. 152245 Canada Inc.......................................... Ownership.......... ........1.200 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Square Victoria Real Estate Inc./SquareVictoria Immobilier Inc. CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.16

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................ 3121011 Canada Inc........................................ CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 171263 Canada Inc.......................................... CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Victoria Square Ventures Inc. ......................... CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0001259942Toronto StockExchange Bellus Health Inc.............................................. CAN..... NIA.............. Victoria Square Ventures Inc. ......................... Ownership.......... ......32.500 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 9314-0093 Quebec Inc.................................... CAN..... NIA.............. Victoria Square Ventures Inc. ......................... Ownership.......... ......25.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Energy Corporation.............................. CAN..... NIA.............. Victoria Square Ventures Inc. ......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Potentia Solar Inc............................................. CAN..... NIA.............. Victoria Square Ventures Inc. ......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Renewable Energy Corporation........... CAN..... NIA.............. Victoria Square Ventures Inc. ......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Sequoia Energy Inc.......................................... CAN..... NIA.............. Power Renewable Energy Corporation........... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Sequoia Energy US Inc.................................... CAN..... NIA.............. Sequoia Energy Inc.......................................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Energy Eagle Creek............................. CAN..... NIA.............. Power Energy Eagle Creek............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Energy Eagle Creek LLP...................... CAN..... NIA.............. Power Energy Eagle Creek LLC...................... Ownership.......... ......60.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Eagle Creek Renewable Energy LLC.............. CAN..... NIA.............. Power Energy Eagle Creek LLP...................... Ownership.......... ......52.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Communications Inc............................. CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Brazeau River Resources Investments Inc..... CAN..... NIA.............. Power Communications Inc............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ PCC Industrial (1993) Corporation.................. CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Corporation International...................... CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 3249531 Canada Inc........................................ CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Sagard Capital Partners GP, Inc..................... DE........ NIA.............. 3249531 Canada Inc........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Sagard Capital Partners, L.P........................... DE........ NIA.............. Sagard Capital Partners GP, Inc..................... Ownership.......... ......99.350 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ IntegraMed America, Inc.................................. DE........ NIA.............. Sagard Capital Partners, L.P........................... Ownership.......... ......97.300 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Corporation of Canada Inc................... DE........ NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ PL S.A.............................................................. LUX...... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 4190297 Canada Inc........................................ CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Sagard Capital Partners Management Corp... CAN..... NIA.............. 4190297 Canada Inc........................................ Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Sagard S.A.S.................................................... FRA...... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................Marquette Communications (1997)Corporation CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 4507037 Canada Inc........................................ CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 4524781 Canada Inc........................................ CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 4524799 Canada Inc........................................ CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 4524802 Canada Inc........................................ CAN..... NIA.............. Power Corporation of Canada......................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... 0000817411Toronto StockExchange Power Financial Corporation........................... CAN..... UIP.............. 171263 Canada Inc. ........................................ Ownership.......... ......65.594 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 4400003 Canada Inc........................................ CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 3411893 Canada Inc........................................ CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q13.17

SCHEDULE YPART 1A - DETAIL OF INSURANCE HOLDING COMPANY SYSTEM

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15

GroupCode Group Name

NAICCompany

Code ID NumberFederalRSSD CIK

Name ofSecurities

Exchange ifPublic Traded

(U.S. orInternational) Name of Parent, Subsidiaries or Affiliates

Domi-ciliary

Location

Relationshipto Reporting

Entity Directly Controlled by (Name of Entity/Person)

Type of Control(Ownership,

Board,Management,

Attorney-in-Fact,Influence, Other)

If Control isOwnership

ProvidePercentage Ultimate Controlling Entity(ies)/Person(s) *

........... ........................................................... 00000...... ...................... .................... .................... ............................ 3439453 Canada Inc........................................ CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ Power Financial Capital Corporation............... CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 7973594 Canada Inc........................................ CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 7973683 Canada Inc........................................ CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 7974019 Canada Inc........................................ CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... 00000...... ...................... .................... .................... ............................ 8677964 Canada Inc........................................ CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ 9194649 Canada Inc........................................ CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Springboard L.P............................................... CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ WealthSimple Financial Inc.............................. CAN..... NIA.............. Springboard L.P. ............................................. Ownership.......... ......60.400 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Wealthsimple Inc.............................................. CAN..... NIA.............. WealthSimple Financial Inc.............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ Canadian ShareOwner Investments Inc.......... CAN..... NIA.............. WealthSimple Financial Inc.............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ CSA Computing Inc.......................................... CAN..... NIA.............. WealthSimple Financial Inc.............................. Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................ PFC Ventures Inc. (9629220 Canada Inc.)..... CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ....100.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................Power Financail Ventures GP Inc. (9629246Canada Inc.) CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ......50.000 The Desmarais Family Residual Trust............ ..............

........... ........................................................... ................ ...................... .................... .................... ............................Diagram Ventures GP Inc. (9629262 CanadaInc.) CAN..... NIA.............. Power Financial Corporation........................... Ownership.......... ......50.000 The Desmarais Family Residual Trust............ ..............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q14

SUPPLEMENTAL EXHIBITS AND SCHEDULES INTERROGATORIESThe following supplemental reports are required to be filed as part of your statement filing. However, in the event that your company does not transact the type ofbusiness for which the special report must be filed, your response of NO to the specific interrogatory will be accepted in lieu of filing a "NONE" report and a bar codewill be printed below. If the supplement is required of your company but is not being filed for whatever reason, enter SEE EXPLANATION and provide anexplanation following the interrogatory questions.

Response

1. Will the Trusteed Surplus Statement be filed with the state of domicile and the NAIC with this statement? NO

2. Will the Medicare Part D Coverage Supplement be filed with the state of domicile and the NAIC with this statement? NO

3. Will the Reasonableness of Assumptions Certification required by Actuarial Guideline XXXV be filed with the state of domicile and electronicallywith the NAIC? NO

4. Will the Reasonableness and Consistency of Assumptions Certification required by Actuarial Guideline XXXV be filed with the state of domicileand electronically with the NAIC? NO

5. Will the Reasonableness of Assumptions Certification for Implied Guaranteed Rate Method required by Actuarial Guideline XXXVI be filed withthe state of domicile and electronically with the NAIC? NO

6. Will the Reasonableness and Consistency of Assumptions Certification required by Actuarial Guideline XXXVI (Updated Average Market Value)be filed with the state of domicile and electronically with the NAIC? NO

7. Will the Reasonableness and Consistency of Assumptions Certification required by Actuarial Guideline XXXVI (Updated Market Value) be filedwith the state of domicile and electronically with the NAIC? NO

Explanations:1. The data for this supplement is not required to be filed.2. The data for this supplement is not required to be filed.3. The data for this supplement is not required to be filed.4. The data for this supplement is not required to be filed.5. The data for this supplement is not required to be filed.6. The data for this supplement is not required to be filed.7. The data for this supplement is not required to be filed.

Bar Code:

*68322201649000001* *68322201644700001*

*68322201636500001* *68322201644800001*

*68322201644500001* *68322201644900001*

*68322201644600001*

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

Q15

Overflow Page for Write-Ins

Additional Write-ins for Assets:Current Statement Date 4

1 2 3Net Admitted December 31,

Nonadmitted Assets Prior Year NetAssets Assets (Cols. 1 - 2) Admitted Assets

2504. Other prepaid assets.................................................................................................................... ................16,488,692 ................16,488,692 .................................0 ....................................2505. State tax recoverable.................................................................................................................... ..................6,214,615 .................................... ..................6,214,615 ................11,642,3452506. Premium tax refunds.................................................................................................................... ..................4,841,230 .................................... ..................4,841,230 ..................1,703,3102507. Capitalized costs........................................................................................................................... ................58,712,325 ................58,712,325 .................................0 ....................................2508. Receivable for securities.............................................................................................................. ..................2,009,320 ..................2,009,320 .................................0 ....................................2597. Summary of remaining write-ins for Line 25................................................................................ ................88,266,182 ................77,210,337 ................11,055,845 ................13,345,655

Additional Write-ins for Liabilities:1 2

Current December 31Statement Date Prior Year

2504. Miscellaneous liabilities................................................................................................................................................................................ .......................39,421,422 .......................37,507,5982505. Interest payable........................................................................................................................................................................................... ..............................16,326 ..............................39,4042506. Annuity surrenders in process..................................................................................................................................................................... .......................12,068,175 .......................19,085,6632507. Derivative collateral payable........................................................................................................................................................................ .......................22,450,000 .......................19,060,0002597. Summary of remaining write-ins for Line 25................................................................................................................................................ .......................73,955,923 .......................75,692,665

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QSI01

SCHEDULE A - VERIFICATION Real Estate

1 2Prior Year Ended

Year to Date December 311. Book/adjusted carrying value, December 31 of prior year........................................................................................................... .............................39,715,742 .............................42,023,0082. Cost of acquired:

2.1 Actual cost at time of acquisition............................................................................................................................................ ................................................. ...............................1,803,6112.2 Additional investment made after acquisition........................................................................................................................ ..................................267,692 ..................................338,817

3. Current year change in encumbrances......................................................................................................................................... ................................................. .................................................4. Total gain (loss) on disposals........................................................................................................................................................ ................................................. ..................................313,3285. Deduct amounts received on disposals........................................................................................................................................ ................................................. ...............................1,094,6616. Total foreign exchange change in book/adjusted carrying value................................................................................................. ................................................. .................................................7. Deduct current year's other-than-temporary impairment recognized........................................................................................... ................................................. ..................................462,0008. Deduct current year's depreciation............................................................................................................................................... ..................................612,804 ...............................3,206,3619. Book/adjusted carrying value at end of current period (Lines 1+2+3+4-5+6-7-8)....................................................................... .............................39,370,630 .............................39,715,74210. Deduct total nonadmitted amounts............................................................................................................................................... ................................................. .................................................11. Statement value at end of current period (Line 9 minus Line 10)................................................................................................ .............................39,370,630 .............................39,715,742

SCHEDULE B - VERIFICATION Mortgage Loans

1 2Prior Year Ended

Year to Date December 311. Book value/recorded investment excluding accrued interest, December 31 of prior year.......................................................... ........................3,101,856,750 ........................3,227,583,1562. Cost of acquired:

2.1 Actual cost at time of acquisition............................................................................................................................................ ...........................117,750,000 ...........................425,510,0002.2 Additional investment made after acquisition........................................................................................................................ ................................................. ...............................4,875,000

3. Capitalized deferred interest and other......................................................................................................................................... ................................................. .................................................4. Accrual of discount........................................................................................................................................................................ .....................................16,141 .....................................86,8245. Unrealized valuation increase (decrease).................................................................................................................................... ................................................. .................................................6. Total gain (loss) on disposals........................................................................................................................................................ ................................................. .................................................7. Deduct amounts received on disposals........................................................................................................................................ .............................88,310,743 ...........................556,108,0098. Deduct amortization of premium and mortgage interest points and commitment fees............................................................... .....................................21,499 .....................................90,2219. Total foreign exchange change in book value/recorded investment excluding accrued interest................................................ ................................................. .................................................10. Deduct current year's other-than-temporary impairment recognized........................................................................................... ................................................. .................................................11. Book value/recorded investment excluding accrued interest at end of current period (Lines 1+2+3+4+5+6-7-8+9-10)............ ........................3,131,290,649 ........................3,101,856,75012. Total valuation allowance.............................................................................................................................................................. ..............................(2,713,308) ..............................(2,770,000)13. Subtotal (Line 11 plus Line 12)..................................................................................................................................................... ........................3,128,577,341 ........................3,099,086,75014. Deduct total nonadmitted amounts............................................................................................................................................... ................................................. .................................................15. Statement value at end of current period (Line 13 minus Line 14).............................................................................................. ........................3,128,577,341 ........................3,099,086,750

SCHEDULE BA - VERIFICATION Other Long-Term Invested Assets

1 2Prior Year Ended

Year to Date December 311. Book/adjusted carrying value, December 31 of prior year........................................................................................................... ...........................494,011,666 ...........................506,928,6832. Cost of acquired:

2.1 Actual cost at time of acquisition............................................................................................................................................ ................................................. ..................................548,0992.2 Additional investment made after acquisition........................................................................................................................ ..................................552,537 ...............................1,600,266

3. Capitalized deferred interest and other......................................................................................................................................... ...............................1,535,196 ..............................(2,835,453)4. Accrual of discount........................................................................................................................................................................ .......................................4,838 ..........................................3905. Unrealized valuation increase (decrease).................................................................................................................................... ...............................8,159,490 .................................(740,481)6. Total gain (loss) on disposals........................................................................................................................................................ ................................................. .................................................7. Deduct amounts received on disposals........................................................................................................................................ ...............................4,552,288 .............................10,981,7148. Deduct amortization of premium and depreciation....................................................................................................................... ..................................132,144 ..................................508,1249. Total foreign exchange change in book/adjusted carrying value................................................................................................. ................................................. .................................................10. Deduct current year's other-than-temporary impairment recognized........................................................................................... ................................................. .................................................11. Book/adjusted carrying value at end of current period (Lines 1+2+3+4+5+6-7-8+9-10)............................................................. ...........................499,579,295 ...........................494,011,66612. Deduct total nonadmitted amounts............................................................................................................................................... .............................14,909,807 .............................14,355,28513. Statement value at end of current period (Line 11 minus Line 12).............................................................................................. ...........................484,669,488 ...........................479,656,381

SCHEDULE D - VERIFICATION Bonds and Stocks

1 2Prior Year Ended

Year to Date December 311. Book/adjusted carrying value of bonds and stocks, December 31 of prior year.......................................................................... ......................18,478,042,162 ......................17,438,779,1142. Cost of bonds and stocks acquired............................................................................................................................................... ........................4,516,270,217 ......................33,848,461,5203. Accrual of discount........................................................................................................................................................................ .............................24,354,504 .............................86,756,2494. Unrealized valuation increase (decrease).................................................................................................................................... ..................................788,286 ...............................8,134,6905. Total gain (loss) on disposals........................................................................................................................................................ .............................17,071,425 .............................34,206,5736. Deduct consideration for bonds and stocks disposed of.............................................................................................................. ........................3,708,539,997 ......................32,817,428,5127. Deduct amortization of premium................................................................................................................................................... .............................21,257,932 .............................60,619,7018. Total foreign exchange change in book/adjusted carrying value................................................................................................. ............................(14,098,779) ............................(59,126,326)9. Deduct current year's other-than-temporary impairment recognized........................................................................................... ................................................. ...............................1,121,44510. Book/adjusted carrying value at end of current period (Lines 1+2+3+4+5-6-7+8-9)................................................................... ......................19,292,629,886 ......................18,478,042,16211. Deduct total nonadmitted amounts............................................................................................................................................... ...............................1,849,320 ...............................1,717,65512. Statement value at end of current period (Line 10 minus Line 11).............................................................................................. ......................19,290,780,566 ......................18,476,324,507

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QSI02

SCHEDULE D - PART 1B Showing the Acquisitions, Dispositions and Non-Trading Activity

During the Current Quarter for all Bonds and Preferred Stock by NAIC Designation1 2 3 4 5 6 7 8

Book/Adjusted Carrying Acquisitions Dispositions Non-Trading Activity Book/Adjusted Carrying Book/Adjusted Carrying Book/Adjusted Carrying Book/Adjusted Carrying Value Beginning During During During Value End of Value End of Value End of Value December 31

NAIC Designation of Current Quarter Current Quarter Current Quarter Current Quarter First Quarter Second Quarter Third Quarter Prior Year

BONDS

1. NAIC 1 (a).......................................................................................................... ....................12,878,500,914 ......................9,031,574,788 ......................7,955,860,808 ..........................(32,706,832) ....................13,921,508,062 ............................................... ............................................... ....................12,878,500,914

2. NAIC 2 (a).......................................................................................................... ......................5,374,006,247 .........................377,185,499 ...........................86,889,110 ..........................(74,430,398) ......................5,589,872,238 ............................................... ............................................... ......................5,374,006,247

3. NAIC 3 (a).......................................................................................................... .........................250,273,972 ............................................... .............................2,199,138 ...........................39,254,500 .........................287,329,334 ............................................... ............................................... .........................250,273,972

4. NAIC 4 (a).......................................................................................................... ...........................10,081,902 ............................................... ................................296,084 ...........................57,268,872 ...........................67,054,690 ............................................... ............................................... ...........................10,081,902

5. NAIC 5 (a).......................................................................................................... ...........................38,939,732 ............................................... ................................607,788 ...............................(938,330) ...........................37,393,614 ............................................... ............................................... ...........................38,939,732

6. NAIC 6 (a).......................................................................................................... .............................3,315,295 ............................................... ..................................88,750 .................................(83,232) .............................3,143,313 ............................................... ............................................... .............................3,315,295

7. Total Bonds........................................................................................................ ....................18,555,118,062 ......................9,408,760,287 ......................8,045,941,678 ..........................(11,635,420) ....................19,906,301,251 ...........................................0 ...........................................0 ....................18,555,118,062

PREFERRED STOCK

8. NAIC 1................................................................................................................ ............................................... ............................................... ............................................... ............................................... ...........................................0 ............................................... ............................................... ...............................................

9. NAIC 2................................................................................................................ ...........................................1 ............................................... ............................................... ............................................... ...........................................1 ............................................... ............................................... ...........................................1

10. NAIC 3................................................................................................................ ............................................... ............................................... ............................................... ............................................... ...........................................0 ............................................... ............................................... ...............................................

11. NAIC 4................................................................................................................ ............................................... ............................................... ............................................... ............................................... ...........................................0 ............................................... ............................................... ...............................................

12. NAIC 5................................................................................................................ ............................................... ............................................... ............................................... ............................................... ...........................................0 ............................................... ............................................... ...............................................

13. NAIC 6................................................................................................................ ............................................... ............................................... ............................................... ............................................... ...........................................0 ............................................... ............................................... ...............................................

14. Total Preferred Stock......................................................................................... ...........................................1 ...........................................0 ...........................................0 ...........................................0 ...........................................1 ...........................................0 ...........................................0 ...........................................1

15. Total Bonds and Preferred Stock...................................................................... ....................18,555,118,063 ......................9,408,760,287 ......................8,045,941,678 ..........................(11,635,420) ....................19,906,301,252 ...........................................0 ...........................................0 ....................18,555,118,063(a) Book/Adjusted Carrying Value column for the end of the current reporting period includes the following amount of non-rated short-term and cash equivalent bonds by NAIC designation:

NAIC 1 $.....221,622,719; NAIC 2 $.....175,039,006; NAIC 3 $..........0; NAIC 4 $..........0; NAIC 5 $..........0; NAIC 6 $..........0.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QSI03

SCHEDULE DA - PART 1 Short-Term Investments

1 2 3 4 5Book/Adjusted Actual Interest Collected Paid for Accrued InterestCarrying Value Par Value Cost Year To Date Year To Date

9199999............................................. ...........................696,689,664 ................XXX........................ ..........................697,111,227 ..............................1,148,142 ..............................1,560,878

SCHEDULE DA - VERIFICATION Short-Term Investments

1 2Prior Year Ended

Year To Date December 31

1. Book/adjusted carrying value, December 31 of prior year...................................................................................................... ...............................130,644,549 ...............................111,401,615

2. Cost of short-term investments acquired................................................................................................................................ ............................2,223,048,596 .........................10,349,476,635

3. Accrual of discount.................................................................................................................................................................. ........................................30,194 ..........................................8,268

4. Unrealized valuation increase (decrease)............................................................................................................................... .................................................... ....................................................

5. Total gain (loss) on disposals.................................................................................................................................................. ..........................................5,499 ...............................................21

6. Deduct consideration received on disposals........................................................................................................................... ............................1,656,587,456 .........................10,328,699,761

7. Deduct amortization of premium............................................................................................................................................. ......................................451,718 ...................................1,542,229

8. Total foreign exchange change in book/adjusted carrying value........................................................................................... .................................................... ....................................................

9. Deduct current year's other-than-temporary impairment recognized..................................................................................... .................................................... ....................................................

10. Book/adjusted carrying value at end of current period (Lines 1+2+3+4+5-6-7+8-9)............................................................. ...............................696,689,664 ...............................130,644,549

11. Deduct total nonadmitted amounts......................................................................................................................................... .................................................... ....................................................

12. Statement value at end of current period (Line 10 minus Line 11)........................................................................................ ...............................696,689,664 ...............................130,644,549

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QSI04

SCHEDULE DB - PART A - VERIFICATION Options, Caps, Floors, Collars, Swaps and Forwards

1. Book/adjusted carrying value, December 31, prior year (Line 9, prior year).......................................................................................................................................... (27,917,743)

2. Cost paid/(consideration received) on additions..................................................................................................................................................................................... (34,053)

3. Unrealized valuation increase/(decrease)............................................................................................................................................................................................... 9,457,031

4. Total gain (loss) on termination recognized............................................................................................................................................................................................ (195,200)

5. Considerations received/(paid) on terminations......................................................................................................................................................................................

6. Amortization............................................................................................................................................................................................................................................. 1,409,533

7. Adjustment to the book/adjusted carrying value of hedge item..............................................................................................................................................................

8. Total foreign exchange change in book/adjusted carrying value........................................................................................................................................................... 14,100,331

9. Book/adjusted carrying value at end of current period (Lines 1 + 2 + 3 + 4 - 5 + 6 + 7 + 8).................................................................................................................. (3,180,101)

10. Deduct nonadmitted assets.....................................................................................................................................................................................................................

11. Statement value at end of current period (Line 9 minus Line 10)........................................................................................................................................................... (3,180,101)

SCHEDULE DB - PART B - VERIFICATIONFutures Contracts

1. Book/adjusted carrying value, December 31, prior year (Line 6, prior year).......................................................................................................................................... 2,419,688

2. Cumulative cash change (Section 1, Broker Name/Net Cash Deposits Footnote - Cumulative Cash Change column)...................................................................... 799,077

3.1 Add:

Change in variation margin on open contracts - Highly Effective Hedges:

3.11 Section 1, Column 15, current year to date minus.............................

3.12 Section 1, Column 15, prior year........................................................ 0

Change in variation margin on open contracts - All Other:

3.13 Section 1, Column 18, current year to date minus............................. (931,898)

3.14 Section 1, Column 18, prior year........................................................ (498,013) (433,884) (433,884)

3.2 Add:

Change in adjustment to basis of hedged item:

3.21 Section 1, Column 17, current year to date minus.............................

3.22 Section 1, Column 17, prior year........................................................ 0

Change in amount recognized:

3.23 Section 1, Column 19, current year to date minus............................. (931,891)

3.24 Section 1, Column 19, prior year........................................................ (498,007) (433,884) (433,884)

3.3 Subtotal (Line 3.1 minus Line 3.2)........................................................................................................................................................................................................... (0)

4.1 Cumulative variation margin on terminated contracts during the year....................................................... (1,473,608)

4.2 Less:

4.21 Amount used to adjust basis of hedged item.....................................

4.22 Amount recognized............................................................................. (1,473,608) (1,473,608)

4.3 Subtotal (Line 4.1 minus Line 4.2)........................................................................................................................................................................................................... 0

5. Dispositions gains (losses) on contracts terminated in prior year:

5.1 Total gain (loss) recognized for terminations in prior year............................................................................................................................................................

5.2 Total gain (loss) adjusted into the hedged item(s) for the terminations in prior year...................................................................................................................

6. Book/adjusted carrying value at end of current period (Lines 1 + 2 + 3.3 - 4.3 - 5.1 - 5.2).................................................................................................................... 3,218,764

7. Deduct nonadmitted assets.....................................................................................................................................................................................................................

8. Statement value at end of current period (Line 6 minus Line 7)............................................................................................................................................................. 3,218,764

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QSI05, QSI06

Sch. DB - Pt. C - Sn. 1NONE

Sch. DB - Pt. C - Sn. 2NONE

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QSI07

SCHEDULE DB - VERIFICATIONVerification of Book/Adjusted Carrying Value, Fair Value and Potential Exposure of all Open Derivative Contracts

Book/Adjusted Carrying Value Check

1. Part A, Section 1, Column 14............................................................................................................................................................ (3,180,115)

2. Part B, Section 1, Column 15 plus Part B, Section 1 Footnote - Total Ending Cash Balance......................................................... 3,218,755

3. Total (Line 1 plus Line 2)...................................................................................................................................................................................................................... 38,640

4. Part D, Section 1, Column 5.............................................................................................................................................................. 70,496,259

5. Part D, Section 1, Column 6.............................................................................................................................................................. (70,457,619)

6. Total (Line 3 minus Line 4 minus Line 5)............................................................................................................................................................................................. 0

Fair Value Check

7. Part A, Section 1, Column 16............................................................................................................................................................ 12,841,185

8. Part B, Section 1, Column 13............................................................................................................................................................ 68,788

9. Total (Line 7 plus Line 8)...................................................................................................................................................................................................................... 12,909,973

10. Part D, Section 1, Column 8.............................................................................................................................................................. 87,470,479

11. Part D, Section 1, Column 9.............................................................................................................................................................. (74,560,506)

12. Total (Line 9 minus Line 10 minus Line 11)......................................................................................................................................................................................... 0

Potential Exposure Check

13. Part A, Section 1, Column 21............................................................................................................................................................ 27,660,918

14. Part B, Section 1, Column 20............................................................................................................................................................ (1,654,190)

15. Part D, Section 1, Column 11............................................................................................................................................................ 26,006,728

16. Total (Line 13 plus Line 14 minus Line 15).......................................................................................................................................................................................... 0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QSI08

SCHEDULE E- VERIFICATION Cash Equivalents

1 2Prior Year Ended

Year To Date December 31

1. Book/adjusted carrying value, December 31 of prior year....................................................................................... ........................................54,738,549 ........................................29,719,968

2. Cost of cash equivalents acquired............................................................................................................................ ...................................2,669,728,181 ................................23,438,514,603

3. Accrual of discount.................................................................................................................................................... ...............................................34,120 .............................................875,876

4. Unrealized valuation increase (decrease)................................................................................................................. ........................................................... ...........................................................

5. Total gain (loss) on disposals.................................................................................................................................... ........................................................... ...............................................12,952

6. Deduct consideration received on disposals............................................................................................................ ...................................2,698,178,002 ................................23,414,077,583

7. Deduct amortization of premium............................................................................................................................... ...............................................82,408 .............................................307,267

8. Total foreign exchange change in book/ adjusted carrying value............................................................................ ........................................................... ...........................................................

9. Deduct current year's other-than-temporary impairment recognized....................................................................... ........................................................... ...........................................................

10. Book/adjusted carrying value at end of current period (Lines 1+2+3+4+5-6-7+8-9)............................................... ........................................26,240,440 ........................................54,738,549

11. Deduct total nonadmitted amounts........................................................................................................................... ........................................................... ...........................................................

12. Statement value at end of current period (Line 10 minus Line 11).......................................................................... ........................................26,240,440 ........................................54,738,549

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE01

SCHEDULE A - PART 2 Showing all Real Estate ACQUIRED AND ADDITIONS MADE During the Current Quarter

1 Location 4 5 6 7 8 92 3

Description of Property City State Date Acquired Name of Vendor Actual Cost at Time of Acquisition Amount of EncumbrancesBook/Adjusted Carrying Value

Less EncumbrancesAdditional Investment Made

After AcquisitionAcquired by Internal Transfer GWLA Towers .............................................................................................................................. Greenwood Village ................................. CO 02/28/2016.... Capital Improvements........................................................................................................... ................................................. ................................................. ....................................267,692 ....................................267,6920299999. Totals............................................................................................................................. ................................................................................................... ............................................................................................................................................. ..............................................0 ..............................................0 ....................................267,692 ....................................267,6920399999. Totals............................................................................................................................. ................................................................................................... ............................................................................................................................................. ..............................................0 ..............................................0 ....................................267,692 ....................................267,692

SCHEDULE A - PART 3 Showing all Real Estate DISPOSED During the Quarter, Including Payments During the Final Year on "Sales Under Contract "

1 Location 4 5 6 7 8 Change in Book/Adjusted Carrying Value Less Encumbrances 14 15 16 17 18 19 202 3 9 10 11 12 13

Description of Property City StateDisposal

Date Name of Purchaser Actual Cost

Expended forAdditions,Permanent

Improvementsand Changes inEncumbrances

Book/AdjustedCarrying Value

LessEncumbrances

Prior YearCurrent Year'sDepreciation

Current Year'sOther-Than-TemporaryImpairmentRecognized

Current Year'sChange in

Encumbrances

Total Changein B./A.C.V.(11 - 9 - 10)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value

LessEncumbrances on

Disposal

AmountsReceived

During Year

ForeignExchange

Gain (Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Gross IncomeEarned Less

InterestIncurred on

Encumbrances

Taxes,Repairs, and

ExpensesIncurred

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE02

SCHEDULE B - PART 2 Showing all Mortgage Loans ACQUIRED AND ADDITIONS MADE During the Current Quarter

1 Location 4 5 6 7 8 92 3

Loan Number City State Loan Type Date Acquired Rate of Interest Actual Cost at Time of Acquisition Additional Investment Made After Acquisition Value of Land and BuildingsMortgages in Good Standing - Commercial Mortgages - All Other153965.................................................................. PHOENIX....................................................................................................................................... AZ............................... .................. 02/01/2016.... ...............................3.730 ..............................................................20,000,000 ................................................................................ ..............................................................37,500,000153966.................................................................. FONTANA ..................................................................................................................................... CA............................... .................. 03/23/2016.... ...............................3.480 ..............................................................12,900,000 ................................................................................ ..............................................................24,000,000153967.................................................................. FONTANA ..................................................................................................................................... CA............................... .................. 03/23/2016.... ...............................3.480 ..............................................................25,940,000 ................................................................................ ..............................................................48,000,000153968.................................................................. ROYAL PALM BEACH.................................................................................................................... FL............................... .................. 03/23/2016.... ...............................3.480 ................................................................8,950,000 ................................................................................ ..............................................................15,800,000153969.................................................................. BUFORD........................................................................................................................................ GA............................... .................. 03/23/2016.... ...............................3.480 ................................................................6,200,000 ................................................................................ ..............................................................11,150,000153970.................................................................. HOUSTON..................................................................................................................................... TX............................... .................. 03/23/2016.... ...............................3.480 ................................................................4,980,000 ................................................................................ ................................................................8,800,000153971.................................................................. MOUNT HOLLY.............................................................................................................................. NJ............................... .................. 03/23/2016.... ...............................3.480 ..............................................................13,280,000 ................................................................................ ..............................................................23,500,000153976.................................................................. SECAUCUS.................................................................................................................................... NJ............................... .................. 03/11/2016.... ...............................3.240 ................................................................6,000,000 ................................................................................ ................................................................9,600,000153978.................................................................. AUSTIN.......................................................................................................................................... TX............................... .................. 03/11/2016.... ...............................3.200 ..............................................................19,500,000 ................................................................................ ..............................................................64,800,0000599999. Total - Mortgages in Good Standing - Commercial Mortgages - All Other........................................................................................................ ......................................................... .......XXX....... ................XXX................. ............................................................117,750,000 .............................................................................0 ............................................................243,150,0000899999. Total - Mortgages in Good Standing................................................................................................................................................................ ......................................................... .......XXX....... ................XXX................. ............................................................117,750,000 .............................................................................0 ............................................................243,150,0003399999. Total Mortgages.............................................................................................................................................................................................. ......................................................... .......XXX....... ................XXX................. ............................................................117,750,000 .............................................................................0 ............................................................243,150,000

SCHEDULE B - PART 3 Showing all Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter

1 Location 4 5 6 7 Change in Book Value/Recorded Investment 14 15 16 17 182 3 8 9 10 11 12 13

Loan Number City StateLoanType Date Acquired Disposal Date

Book Value/RecordedInvestment ExcludingAccrued Interest Prior

Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Amortization) /

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred Interest

and Other

Total Change inBook Value (8 + 9 -

10 + 11)

Total ForeignExchange Change

in Book Value

Book Value /Recorded

InvestmentExcluding Accrued

Interest onDisposal Consideration

Foreign ExchangeGain (Loss) on

Disposal

Realized Gain(Loss) onDisposal

Total Gain (Loss) onDisposal

Mortgages Closed by Repayment153400.................................. VANCOUVER....................................................................... WA.............. ......... 01/15/2003.... 02/01/2016.... ..........................8,462 ............................ ........................(4) ............................ ............................ ...........................(4) ............................ ..................8,458 ..................8,458 ............................ ............................ ................................0105746.................................. JACKSON............................................................................. WY.............. ......... 11/24/1992.... 03/29/2016.... ...................1,660,963 ............................ ............................ ............................ ............................ ............................0 ............................ ...........1,660,963 ...........1,660,963 ............................ ............................ ................................0106110.................................. BAXTER............................................................................... MN.............. ......... 09/26/1996.... 02/26/2016.... ...................1,269,499 ............................ ............................ ............................ ............................ ............................0 ............................ ...........1,269,499 ...........1,269,499 ............................ ............................ ................................0106178.................................. WESTFORD......................................................................... MA.............. ......... 09/20/1999.... 02/26/2016.... ......................395,542 ............................ ............................ ............................ ............................ ............................0 ............................ ..............395,542 ..............395,542 ............................ ............................ ................................0153005.................................. MENOMONIE....................................................................... WI............... ......... 01/16/1997.... 02/26/2016.... ...................1,269,499 ............................ ............................ ............................ ............................ ............................0 ............................ ...........1,269,499 ...........1,269,499 ............................ ............................ ................................0153242.................................. BURLINGTON...................................................................... KY............... ......... 01/12/2001.... 02/09/2016.... ...................2,771,460 ............................ ............................ ............................ ............................ ............................0 ............................ ...........2,771,460 ...........2,771,460 ............................ ............................ ................................0153260.................................. PHILADELPHIA.................................................................... PA............... ......... 03/27/2001.... 02/26/2016.... ......................306,584 ............................ ............................ ............................ ............................ ............................0 ............................ ..............306,584 ..............306,584 ............................ ............................ ................................0153365.................................. EL CERRITO........................................................................ CA.............. ......... 05/10/2002.... 03/24/2016.... ......................492,168 ............................ ............................ ............................ ............................ ............................0 ............................ ..............492,168 ..............492,168 ............................ ............................ ................................0153544.................................. PHOENIX.............................................................................. AZ............... ......... 04/28/2006.... 02/01/2016.... ...................4,202,285 ............................ ............................ ............................ ............................ ............................0 ............................ ...........4,202,285 ...........4,202,285 ............................ ............................ ................................0153545.................................. VARIOUS.............................................................................. AZ............... ......... 04/28/2006.... 02/01/2016.... ...................6,155,107 ............................ ............................ ............................ ............................ ............................0 ............................ ...........6,155,107 ...........6,155,107 ............................ ............................ ................................0153546.................................. PHOENIX.............................................................................. AZ............... ......... 04/28/2006.... 02/01/2016.... ......................961,730 ............................ ............................ ............................ ............................ ............................0 ............................ ..............961,730 ..............961,730 ............................ ............................ ................................0153549.................................. LAS VEGAS.......................................................................... NV.............. ......... 05/08/2006.... 03/04/2016.... ...................1,924,240 ............................ ............................ ............................ ............................ ............................0 ............................ ...........1,924,240 ...........1,924,240 ............................ ............................ ................................0153561.................................. ROCKVILLE.......................................................................... MD.............. ......... 05/02/2006.... 01/06/2016.... ...................1,714,694 ............................ ............................ ............................ ............................ ............................0 ............................ ...........1,714,694 ...........1,714,694 ............................ ............................ ................................0153727.................................. ATLANTA.............................................................................. GA.............. ......... 01/02/2001.... 01/07/2016.... .................10,158,766 ............................ ............................ ............................ ............................ ............................0 ............................ .........10,158,766 .........10,158,766 ............................ ............................ ................................0153782.................................. BROOKLYN PARK............................................................... MN.............. ......... 12/28/2011.... 02/26/2016.... ...................5,403,059 ............................ ............................ ............................ ............................ ............................0 ............................ ...........5,403,059 ...........5,403,059 ............................ ............................ ................................0153783.................................. OAKDALE............................................................................. MN.............. ......... 12/28/2011.... 02/26/2016.... ...................5,403,059 ............................ ............................ ............................ ............................ ............................0 ............................ ...........5,403,059 ...........5,403,059 ............................ ............................ ................................0153830.................................. MURFREESBORO............................................................... TN............... ......... 12/20/2012.... 03/21/2016.... .................23,725,000 ............................ ............................ ............................ ............................ ............................0 ............................ .........23,725,000 .........23,725,000 ............................ ............................ ................................00199999. Total - Mortgages Closed by Repayment.............................................................. ............................................................................... .................67,822,119 .........................0 ........................(4) .........................0 .........................0 ...........................(4) .........................0 .........67,822,113 .........67,822,113 .........................0 .........................0 ................................0Mortgages With Partial Repayments66503.................................... CHATSWORTH.................................................................... CA.............. ......... 03/01/1984.... ..................... ........................45,451 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................45,451 ............................ ............................ ................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE02.1

SCHEDULE B - PART 3 Showing all Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter

1 Location 4 5 6 7 Change in Book Value/Recorded Investment 14 15 16 17 182 3 8 9 10 11 12 13

Loan Number City StateLoanType Date Acquired Disposal Date

Book Value/RecordedInvestment ExcludingAccrued Interest Prior

Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Amortization) /

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred Interest

and Other

Total Change inBook Value (8 + 9 -

10 + 11)

Total ForeignExchange Change

in Book Value

Book Value /Recorded

InvestmentExcluding Accrued

Interest onDisposal Consideration

Foreign ExchangeGain (Loss) on

Disposal

Realized Gain(Loss) onDisposal

Total Gain (Loss) onDisposal

66686.................................... WESTLAND.......................................................................... MI............... ......... 10/08/1985.... ..................... ......................324,767 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............324,767 ............................ ............................ ................................070032.................................... GRAND RAPIDS................................................................... MI............... ......... 04/16/1987.... ..................... ........................60,179 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................60,179 ............................ ............................ ................................070219.................................... SANTA BARBARA................................................................ CA.............. ......... 07/01/1988.... ..................... ........................33,483 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................33,483 ............................ ............................ ................................070342.................................... CLAYTON............................................................................. MO.............. ......... 11/30/1989.... ..................... ........................54,026 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................54,026 ............................ ............................ ................................070365.................................... FARMINGTON HILLS........................................................... MI............... ......... 01/22/1990.... ..................... ......................231,601 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............231,601 ............................ ............................ ................................070393.................................... BATAVIA............................................................................... OH.............. ......... 11/23/1993.... ..................... ......................255,774 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............255,774 ............................ ............................ ................................0102106.................................. SANTA ANA......................................................................... CA.............. ......... 10/23/1978.... ..................... ........................11,060 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................11,060 ............................ ............................ ................................0102220.................................. RICHMOND.......................................................................... VA............... ......... 12/29/1994.... ..................... ........................63,568 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................63,568 ............................ ............................ ................................0105217.................................. MOUNT PROSPECT............................................................ IL................ ......... 07/02/1987.... ..................... ........................26,910 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,910 ............................ ............................ ................................0105240.................................. VAN NUYS........................................................................... CA.............. ......... 04/14/1988.... ..................... ........................10,759 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................10,759 ............................ ............................ ................................0105241.................................. VAN NUYS........................................................................... CA.............. ......... 04/14/1988.... ..................... ........................10,149 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................10,149 ............................ ............................ ................................0105381.................................. ORANGE.............................................................................. CA.............. ......... 08/30/1989.... ..................... ........................58,704 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................58,704 ............................ ............................ ................................0105397.................................. ST. PAUL.............................................................................. MN.............. ......... 10/10/1989.... ..................... ......................100,179 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............100,179 ............................ ............................ ................................0105399.................................. LAS VEGAS.......................................................................... NV.............. ......... 10/26/1989.... ..................... ........................17,608 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................17,608 ............................ ............................ ................................0105434.................................. HUNT VALLEY..................................................................... MD.............. ......... 12/14/1989.... ..................... ......................149,035 ............................ ..................4,612 ............................ ............................ .....................4,612 ............................ ............................ ..............153,647 ............................ ............................ ................................0105475.................................. CHANTILLY.......................................................................... VA............... ......... 05/02/1989.... ..................... ........................19,513 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................19,513 ............................ ............................ ................................0105543.................................. LAS VEGAS.......................................................................... NV.............. ......... 08/30/1990.... ..................... ........................19,697 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................19,697 ............................ ............................ ................................0105544.................................. LAS VEGAS.......................................................................... NV.............. ......... 08/30/1990.... ..................... ........................19,697 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................19,697 ............................ ............................ ................................0105597.................................. LAS VEGAS.......................................................................... NV.............. ......... 03/18/1991.... ..................... ........................20,254 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................20,254 ............................ ............................ ................................0105603.................................. CLEVELAND......................................................................... OH.............. ......... 04/16/1991.... ..................... ........................69,170 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................69,170 ............................ ............................ ................................0105623.................................. GREENFIELD....................................................................... WI............... ......... 07/02/1991.... ..................... ......................111,930 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............111,930 ............................ ............................ ................................0105645.................................. PORTLAND.......................................................................... OR.............. ......... 09/12/1991.... ..................... ........................27,079 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................27,079 ............................ ............................ ................................0105648.................................. TUALATIN............................................................................ OR.............. ......... 08/08/1991.... ..................... ........................40,086 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................40,086 ............................ ............................ ................................0105671.................................. LYNDHURST........................................................................ OH.............. ......... 11/27/1991.... ..................... ........................43,911 ............................ ....................(226) ............................ ............................ .......................(226) ............................ ............................ ................43,685 ............................ ............................ ................................0105708.................................. LAS VEGAS.......................................................................... NV.............. ......... 06/04/1992.... ..................... ........................30,022 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................30,022 ............................ ............................ ................................0105742.................................. LIVONIA............................................................................... MI............... ......... 11/19/1992.... ..................... ........................22,029 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................22,029 ............................ ............................ ................................0105746.................................. JACKSON............................................................................. WY.............. ......... 11/24/1992.... ..................... ........................92,120 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................92,120 ............................ ............................ ................................0105765.................................. GREENFIELD....................................................................... WI............... ......... 12/17/1992.... ..................... ........................79,595 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................79,595 ............................ ............................ ................................0105804.................................. SOUTH MILWAUKEE........................................................... WI............... ......... 04/22/1993.... ..................... ......................161,471 ............................ .................(2,033) ............................ ............................ ....................(2,033) ............................ ............................ ..............159,438 ............................ ............................ ................................0105827.................................. LOS ANGELES..................................................................... CA.............. ......... 02/29/1988.... ..................... ........................30,437 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................30,437 ............................ ............................ ................................0105950.................................. HENDERSON....................................................................... NV.............. ......... 09/28/1994.... ..................... ........................77,687 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................77,687 ............................ ............................ ................................0106001.................................. PORTLAND.......................................................................... OR.............. ......... 03/15/1993.... ..................... ........................18,314 ............................ ....................(307) ............................ ............................ .......................(307) ............................ ............................ ................18,007 ............................ ............................ ................................0106018.................................. CLEVELAND......................................................................... OH.............. ......... 05/23/1990.... ..................... ........................91,791 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................91,791 ............................ ............................ ................................0106105.................................. BLOOMINGTON................................................................... MN.............. ......... 09/17/1996.... ..................... ........................35,347 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................35,347 ............................ ............................ ................................0106110.................................. BAXTER............................................................................... MN.............. ......... 09/26/1996.... ..................... ........................29,417 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................29,417 ............................ ............................ ................................0106126.................................. CARLSBAD.......................................................................... CA.............. ......... 04/15/1997.... ..................... ........................10,309 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................10,309 ............................ ............................ ................................0106130.................................. CHEEKTOWAGA.................................................................. NY.............. ......... 07/03/1997.... ..................... ........................30,749 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................30,749 ............................ ............................ ................................0106134.................................. NORTHBROOK.................................................................... IL................ ......... 06/19/1997.... ..................... ........................18,152 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................18,152 ............................ ............................ ................................0106141.................................. ALPHARETTA...................................................................... GA.............. ......... 07/17/1997.... ..................... ........................62,899 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................62,899 ............................ ............................ ................................0106142.................................. VERNON.............................................................................. CA.............. ......... 07/11/1997.... ..................... ........................17,997 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................17,997 ............................ ............................ ................................0106168.................................. LAS VEGAS.......................................................................... NV.............. ......... 09/02/1998.... ..................... ........................37,143 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................37,143 ............................ ............................ ................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE02.2

SCHEDULE B - PART 3 Showing all Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter

1 Location 4 5 6 7 Change in Book Value/Recorded Investment 14 15 16 17 182 3 8 9 10 11 12 13

Loan Number City StateLoanType Date Acquired Disposal Date

Book Value/RecordedInvestment ExcludingAccrued Interest Prior

Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Amortization) /

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred Interest

and Other

Total Change inBook Value (8 + 9 -

10 + 11)

Total ForeignExchange Change

in Book Value

Book Value /Recorded

InvestmentExcluding Accrued

Interest onDisposal Consideration

Foreign ExchangeGain (Loss) on

Disposal

Realized Gain(Loss) onDisposal

Total Gain (Loss) onDisposal

106174.................................. SOUTH MILWAUKEE........................................................... WI............... ......... 03/08/1999.... ..................... ........................50,218 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................50,218 ............................ ............................ ................................0106177.................................. OSHKOSH............................................................................ WI............... ......... 08/19/1999.... ..................... ........................88,174 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................88,174 ............................ ............................ ................................0106178.................................. WESTFORD......................................................................... MA.............. ......... 09/20/1999.... ..................... ........................15,404 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,404 ............................ ............................ ................................0106179.................................. LAS VEGAS.......................................................................... NV.............. ......... 11/29/1999.... ..................... ........................57,095 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................57,095 ............................ ............................ ................................0106180.................................. ROME................................................................................... NY.............. ......... 10/07/1999.... ..................... ........................92,487 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................92,487 ............................ ............................ ................................0106181.................................. LOS ALAMITOS.................................................................... CA.............. ......... 09/22/1999.... ..................... ..........................7,490 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................7,490 ............................ ............................ ................................0106182.................................. HUNTINGTON BEACH......................................................... CA.............. ......... 10/19/1999.... ..................... ........................33,273 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................33,273 ............................ ............................ ................................0106189.................................. BRUNSWICK........................................................................ OH.............. ......... 01/31/2000.... ..................... ........................25,360 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................25,360 ............................ ............................ ................................0106190.................................. INDIANAPOLIS..................................................................... IN................ ......... 03/15/2000.... ..................... ........................24,163 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................24,163 ............................ ............................ ................................0106191.................................. SMITHTOWN........................................................................ NY.............. ......... 05/10/2000.... ..................... ........................26,645 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,645 ............................ ............................ ................................0106194.................................. STERLING HEIGHTS........................................................... MI............... ......... 08/14/2000.... ..................... ........................26,218 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,218 ............................ ............................ ................................0106197.................................. BROOKFIELD....................................................................... WI............... ......... 03/27/2001.... ..................... ..........................7,416 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................7,416 ............................ ............................ ................................0106199.................................. SHERMAN OAKS................................................................. CA.............. ......... 05/16/2001.... ..................... ........................41,717 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................41,717 ............................ ............................ ................................0106200.................................. LOS ANGELES..................................................................... CA.............. ......... 09/13/2001.... ..................... ........................18,354 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................18,354 ............................ ............................ ................................0106201.................................. STATEN ISLAND.................................................................. NY.............. ......... 08/31/2001.... ..................... ........................19,393 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................19,393 ............................ ............................ ................................0106202.................................. GLENDALE........................................................................... AZ............... ......... 10/11/2001.... ..................... ........................31,791 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................31,791 ............................ ............................ ................................0106205.................................. RIVERSIDE.......................................................................... CA.............. ......... 01/16/2002.... ..................... ..........................7,632 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................7,632 ............................ ............................ ................................0106212.................................. SPRINGFIELD...................................................................... OH.............. ......... 05/02/2002.... ..................... ........................23,965 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................23,965 ............................ ............................ ................................0106214.................................. HOLLAND............................................................................. MI............... ......... 07/12/2002.... ..................... ........................24,271 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................24,271 ............................ ............................ ................................0106216.................................. RIVERSIDE.......................................................................... CA.............. ......... 10/31/2002.... ..................... ..........................7,204 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................7,204 ............................ ............................ ................................0130024.................................. ORCHARD PARK................................................................. NY.............. ......... 02/15/1990.... ..................... ........................73,651 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................73,651 ............................ ............................ ................................0130076.................................. SAN DIEGO.......................................................................... CA.............. ......... 09/14/1995.... ..................... ........................34,420 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................34,420 ............................ ............................ ................................0130160.................................. SEATTLE.............................................................................. WA.............. ......... 08/21/1997.... ..................... ..........................9,611 ............................ .....................767 ............................ ............................ ........................767 ............................ ............................ ................10,378 ............................ ............................ ................................0130300.................................. CLINTON TOWNSHIP.......................................................... MI............... ......... 03/10/2011.... ..................... ......................460,050 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............460,050 ............................ ............................ ................................0130301.................................. LANSING.............................................................................. MI............... ......... 03/10/2011.... ..................... ......................243,239 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............243,239 ............................ ............................ ................................0130302.................................. KALAMAZOO........................................................................ MI............... ......... 03/10/2011.... ..................... ........................81,080 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................81,080 ............................ ............................ ................................0130303.................................. PORTAGE............................................................................ MI............... ......... 03/10/2011.... ..................... ......................141,596 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............141,596 ............................ ............................ ................................0130304.................................. MUSKEGON......................................................................... MI............... ......... 03/10/2011.... ..................... ........................91,713 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................91,713 ............................ ............................ ................................0130305.................................. LA VISTA.............................................................................. NE.............. ......... 03/10/2011.... ..................... ......................124,864 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............124,864 ............................ ............................ ................................0130306.................................. ELKHORN............................................................................ NE.............. ......... 03/10/2011.... ..................... ......................171,620 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............171,620 ............................ ............................ ................................0130307.................................. PEORIA................................................................................ IL................ ......... 03/10/2011.... ..................... ......................131,510 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............131,510 ............................ ............................ ................................0130308.................................. LONG ISLAND CITY............................................................. NY.............. ......... 10/26/2011.... ..................... ......................521,931 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............521,931 ............................ ............................ ................................0130311.................................. SANTA MONICA................................................................... CA.............. ......... 10/10/2012.... ..................... ......................714,367 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............714,367 ............................ ............................ ................................0151678.................................. PALO ALTO.......................................................................... CA.............. ......... 05/14/1987.... ..................... ........................13,934 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................13,934 ............................ ............................ ................................0151681.................................. TROY.................................................................................... MI............... ......... 06/10/1987.... ..................... ........................21,958 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................21,958 ............................ ............................ ................................0151893.................................. LAWRENCE TWP................................................................. NJ............... ......... 06/27/1988.... ..................... ........................35,070 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................35,070 ............................ ............................ ................................0152464.................................. TINTON FALLS..................................................................... NJ............... ......... 08/30/1990.... ..................... ........................43,327 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................43,327 ............................ ............................ ................................0152748.................................. PORTLAND.......................................................................... OR.............. ......... 02/27/1987.... ..................... ........................28,123 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................28,123 ............................ ............................ ................................0152750.................................. PORTLAND.......................................................................... OR.............. ......... 02/26/1987.... ..................... ........................62,067 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................62,067 ............................ ............................ ................................0152980.................................. JESSUP................................................................................ MD.............. ......... 08/26/1996.... ..................... ........................54,048 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................54,048 ............................ ............................ ................................0153005.................................. MENOMONIE....................................................................... WI............... ......... 01/16/1997.... ..................... ........................29,417 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................29,417 ............................ ............................ ................................0153052.................................. LANCASTER........................................................................ NY.............. ......... 10/08/1997.... ..................... ........................32,296 ............................ .................(1,212) ............................ ............................ ....................(1,212) ............................ ............................ ................31,084 ............................ ............................ ................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE02.3

SCHEDULE B - PART 3 Showing all Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter

1 Location 4 5 6 7 Change in Book Value/Recorded Investment 14 15 16 17 182 3 8 9 10 11 12 13

Loan Number City StateLoanType Date Acquired Disposal Date

Book Value/RecordedInvestment ExcludingAccrued Interest Prior

Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Amortization) /

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred Interest

and Other

Total Change inBook Value (8 + 9 -

10 + 11)

Total ForeignExchange Change

in Book Value

Book Value /Recorded

InvestmentExcluding Accrued

Interest onDisposal Consideration

Foreign ExchangeGain (Loss) on

Disposal

Realized Gain(Loss) onDisposal

Total Gain (Loss) onDisposal

153063.................................. WESTLAND.......................................................................... MI............... ......... 12/15/1997.... ..................... ........................41,983 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................41,983 ............................ ............................ ................................0153072.................................. BELLINGHAM....................................................................... WA.............. ......... 03/27/1998.... ..................... ........................17,349 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................17,349 ............................ ............................ ................................0153109.................................. BALTIMORE......................................................................... MD.............. ......... 03/02/1999.... ..................... ........................28,587 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................28,587 ............................ ............................ ................................0153138.................................. SAN DIEGO.......................................................................... CA.............. ......... 10/05/1999.... ..................... ..........................5,060 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................5,060 ............................ ............................ ................................0153144.................................. FISHERS.............................................................................. IN................ ......... 12/07/1999.... ..................... ........................89,714 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................89,714 ............................ ............................ ................................0153145.................................. DAYTON............................................................................... OH.............. ......... 12/07/1999.... ..................... ........................67,532 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................67,532 ............................ ............................ ................................0153146.................................. GREENWOOD...................................................................... IN................ ......... 12/07/1999.... ..................... ........................39,928 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................39,928 ............................ ............................ ................................0153156.................................. SAN DIEGO.......................................................................... CA.............. ......... 12/07/1999.... ..................... ........................55,863 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................55,863 ............................ ............................ ................................0153160.................................. FAYETTEVILLE.................................................................... NC.............. ......... 12/21/1999.... ..................... ......................212,010 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............212,010 ............................ ............................ ................................0153189.................................. ROCKVILLE.......................................................................... MD.............. ......... 06/27/2000.... ..................... ........................54,273 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................54,273 ............................ ............................ ................................0153194.................................. OAKDALE............................................................................. MN.............. ......... 06/29/2000.... ..................... ........................14,007 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,007 ............................ ............................ ................................0153201.................................. NATIONAL CITY................................................................... CA.............. ......... 08/10/2000.... ..................... ........................11,228 ............................ .................(2,423) ............................ ............................ ....................(2,423) ............................ ............................ ..................8,804 ............................ ............................ ................................0153208.................................. SEATTLE.............................................................................. WA.............. ......... 10/03/2000.... ..................... ........................17,180 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................17,180 ............................ ............................ ................................0153242.................................. BURLINGTON...................................................................... KY............... ......... 01/12/2001.... ..................... ........................11,524 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................11,524 ............................ ............................ ................................0153260.................................. PHILADELPHIA.................................................................... PA............... ......... 03/27/2001.... ..................... ..........................8,567 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................8,567 ............................ ............................ ................................0153284.................................. LAS VEGAS.......................................................................... NV.............. ......... 06/27/2001.... ..................... ........................27,999 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................27,999 ............................ ............................ ................................0153293.................................. OSHKOSH............................................................................ WI............... ......... 06/27/2001.... ..................... ........................24,349 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................24,349 ............................ ............................ ................................0153294.................................. LIVONIA............................................................................... MI............... ......... 07/26/2001.... ..................... ........................18,604 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................18,604 ............................ ............................ ................................0153326.................................. THORNTON......................................................................... CO.............. ......... 10/04/2001.... ..................... ........................26,294 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,294 ............................ ............................ ................................0153327.................................. PORTLAND.......................................................................... OR.............. ......... 11/05/2001.... ..................... ........................15,017 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,017 ............................ ............................ ................................0153329.................................. MAHTOMEDI........................................................................ MN.............. ......... 11/20/2001.... ..................... ........................33,963 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................33,963 ............................ ............................ ................................0153335.................................. OAKDALE............................................................................. MN.............. ......... 11/20/2001.... ..................... ........................24,552 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................24,552 ............................ ............................ ................................0153336.................................. MAPLEWOOD...................................................................... MN.............. ......... 11/20/2001.... ..................... ........................15,596 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,596 ............................ ............................ ................................0153337.................................. SAN DIEGO.......................................................................... CA.............. ......... 12/10/2001.... ..................... ........................27,095 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................27,095 ............................ ............................ ................................0153338.................................. CANTON.............................................................................. OH.............. ......... 11/15/2001.... ..................... ........................77,216 ............................ .................(8,739) ............................ ............................ ....................(8,739) ............................ ............................ ................68,476 ............................ ............................ ................................0153340.................................. COLUMBIA HEIGHTS.......................................................... MN.............. ......... 12/19/2001.... ..................... ........................22,307 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................22,307 ............................ ............................ ................................0153344.................................. LAS VEGAS.......................................................................... NV.............. ......... 12/19/2001.... ..................... ........................33,021 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................33,021 ............................ ............................ ................................0153364.................................. ELMHURST.......................................................................... IL................ ......... 07/02/2002.... ..................... ........................84,360 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................84,360 ............................ ............................ ................................0153365.................................. EL CERRITO........................................................................ CA.............. ......... 05/10/2002.... ..................... ........................15,269 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,269 ............................ ............................ ................................0153369.................................. CHICAGO............................................................................. IL................ ......... 01/08/2003.... ..................... ........................10,183 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................10,183 ............................ ............................ ................................0153370.................................. MCHENRY............................................................................ IL................ ......... 01/08/2003.... ..................... ........................15,783 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,783 ............................ ............................ ................................0153377.................................. MANKATO............................................................................ MN.............. ......... 11/25/2002.... ..................... ........................23,790 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................23,790 ............................ ............................ ................................0153384.................................. PALOS PARK....................................................................... IL................ ......... 11/14/2002.... ..................... ........................26,968 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,968 ............................ ............................ ................................0153400.................................. VANCOUVER....................................................................... WA.............. ......... 01/15/2003.... ..................... ..........................8,414 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................8,414 ............................ ............................ ................................0153402.................................. GARDENA............................................................................ CA.............. ......... 01/28/2003.... ..................... ..........................9,369 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................9,369 ............................ ............................ ................................0153405.................................. PITTSBURGH....................................................................... PA............... ......... 01/08/2003.... ..................... ........................26,811 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,811 ............................ ............................ ................................0153406.................................. WESTWOOD........................................................................ NJ............... ......... 01/13/2003.... ..................... ........................43,137 ............................ ..................5,140 ............................ ............................ .....................5,140 ............................ ............................ ................48,277 ............................ ............................ ................................0153410.................................. LOUISVILLE......................................................................... CO.............. ......... 01/16/2003.... ..................... ........................25,651 ............................ ..................1,399 ............................ ............................ .....................1,399 ............................ ............................ ................27,050 ............................ ............................ ................................0153414.................................. LAS VEGAS.......................................................................... NV.............. ......... 05/15/2003.... ..................... ........................15,712 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,712 ............................ ............................ ................................0153415.................................. SALT LAKE CITY.................................................................. UT............... ......... 12/23/2002.... ..................... ........................13,867 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................13,867 ............................ ............................ ................................0153416.................................. SALT LAKE CITY.................................................................. UT............... ......... 12/23/2002.... ..................... ........................10,522 ............................ .....................798 ............................ ............................ ........................798 ............................ ............................ ................11,320 ............................ ............................ ................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE02.4

SCHEDULE B - PART 3 Showing all Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter

1 Location 4 5 6 7 Change in Book Value/Recorded Investment 14 15 16 17 182 3 8 9 10 11 12 13

Loan Number City StateLoanType Date Acquired Disposal Date

Book Value/RecordedInvestment ExcludingAccrued Interest Prior

Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Amortization) /

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred Interest

and Other

Total Change inBook Value (8 + 9 -

10 + 11)

Total ForeignExchange Change

in Book Value

Book Value /Recorded

InvestmentExcluding Accrued

Interest onDisposal Consideration

Foreign ExchangeGain (Loss) on

Disposal

Realized Gain(Loss) onDisposal

Total Gain (Loss) onDisposal

153418.................................. SALT LAKE CITY.................................................................. UT............... ......... 12/23/2002.... ..................... ..........................7,434 ............................ .....................349 ............................ ............................ ........................349 ............................ ............................ ..................7,783 ............................ ............................ ................................0153420.................................. COMMERCE........................................................................ CA.............. ......... 01/23/2003.... ..................... ........................14,100 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,100 ............................ ............................ ................................0153422.................................. DULUTH............................................................................... GA.............. ......... 02/18/2003.... ..................... ........................13,548 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................13,548 ............................ ............................ ................................0153423.................................. SEATTLE.............................................................................. WA.............. ......... 02/05/2003.... ..................... ........................13,525 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................13,525 ............................ ............................ ................................0153436.................................. DENVER............................................................................... CO.............. ......... 03/13/2003.... ..................... ........................34,220 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................34,220 ............................ ............................ ................................0153438.................................. ROCKFORD......................................................................... IL................ ......... 04/30/2003.... ..................... ........................26,183 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,183 ............................ ............................ ................................0153439.................................. ONTARIO............................................................................. CA.............. ......... 04/03/2003.... ..................... ........................17,798 ............................ ..................1,048 ............................ ............................ .....................1,048 ............................ ............................ ................18,847 ............................ ............................ ................................0153440.................................. BOTHELL............................................................................. WA.............. ......... 04/10/2003.... ..................... ........................14,334 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,334 ............................ ............................ ................................0153443.................................. COMMERCE........................................................................ CA.............. ......... 05/02/2003.... ..................... ........................31,889 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................31,889 ............................ ............................ ................................0153445.................................. MILFORD............................................................................. MI............... ......... 04/30/2003.... ..................... ........................23,451 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................23,451 ............................ ............................ ................................0153447.................................. CAROL STREAM.................................................................. IL................ ......... 08/13/2003.... ..................... ........................10,866 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................10,866 ............................ ............................ ................................0153448.................................. ONTARIO............................................................................. CA.............. ......... 04/03/2003.... ..................... ........................23,470 ............................ ..................2,028 ............................ ............................ .....................2,028 ............................ ............................ ................25,498 ............................ ............................ ................................0153450.................................. CLEVELAND......................................................................... OH.............. ......... 05/30/2003.... ..................... ........................16,590 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................16,590 ............................ ............................ ................................0153455.................................. ELK GROVE VILLAGE.......................................................... IL................ ......... 05/30/2003.... ..................... ........................46,329 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................46,329 ............................ ............................ ................................0153457.................................. SIGNAL HILL........................................................................ CA.............. ......... 07/07/2003.... ..................... ........................28,654 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................28,654 ............................ ............................ ................................0153459.................................. LA CANADA......................................................................... CA.............. ......... 06/09/2003.... ..................... ........................23,607 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................23,607 ............................ ............................ ................................0153464.................................. WINCHESTER...................................................................... VA............... ......... 08/26/2003.... ..................... ........................26,299 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,299 ............................ ............................ ................................0153472.................................. CAMARILLO......................................................................... CA.............. ......... 08/28/2003.... ..................... ........................25,054 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................25,054 ............................ ............................ ................................0153474.................................. EUGENE............................................................................... OR.............. ......... 07/22/2003.... ..................... ........................49,722 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................49,722 ............................ ............................ ................................0153477.................................. MOUNT WASHINGTON....................................................... PA............... ......... 10/02/2003.... ..................... ........................26,938 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,938 ............................ ............................ ................................0153481.................................. LAS VEGAS.......................................................................... NV.............. ......... 04/23/2004.... ..................... ........................27,388 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................27,388 ............................ ............................ ................................0153482.................................. MANASSAS.......................................................................... VA............... ......... 02/14/2005.... ..................... ........................58,933 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................58,933 ............................ ............................ ................................0153484.................................. DULUTH............................................................................... MN.............. ......... 06/18/2004.... ..................... ........................33,500 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................33,500 ............................ ............................ ................................0153489.................................. PORTLAND.......................................................................... OR.............. ......... 11/01/2004.... ..................... ........................50,918 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................50,918 ............................ ............................ ................................0153490.................................. YORBA LINDA...................................................................... CA.............. ......... 07/30/2004.... ..................... ........................70,936 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................70,936 ............................ ............................ ................................0153492.................................. WEST CHESTER................................................................. OH.............. ......... 08/27/2004.... ..................... ........................56,135 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................56,135 ............................ ............................ ................................0153496.................................. CITY OF INDUSTRY............................................................ CA.............. ......... 07/22/2004.... ..................... ........................12,025 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................12,025 ............................ ............................ ................................0153502.................................. MAPLEWOOD...................................................................... MN.............. ......... 12/23/2004.... ..................... ........................48,807 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................48,807 ............................ ............................ ................................0153507.................................. NORCROSS......................................................................... GA.............. ......... 11/23/2004.... ..................... ........................10,136 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................10,136 ............................ ............................ ................................0153508.................................. NORCROSS......................................................................... GA.............. ......... 11/23/2004.... ..................... ........................11,403 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................11,403 ............................ ............................ ................................0153511.................................. HILLSBORO......................................................................... OR.............. ......... 12/30/2004.... ..................... ........................40,339 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................40,339 ............................ ............................ ................................0153512.................................. MILWAUKIE.......................................................................... OR.............. ......... 12/30/2004.... ..................... ........................40,309 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................40,309 ............................ ............................ ................................0153517.................................. GLENDALE........................................................................... CA.............. ......... 04/21/2005.... ..................... ........................19,283 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................19,283 ............................ ............................ ................................0153525.................................. FREDERICKSBURG............................................................. VA............... ......... 07/18/2005.... ..................... ..........................9,029 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................9,029 ............................ ............................ ................................0153531.................................. DENVER............................................................................... CO.............. ......... 08/26/2005.... ..................... ........................36,579 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................36,579 ............................ ............................ ................................0153533.................................. TEMPE................................................................................. AZ............... ......... 11/08/2005.... ..................... ........................64,451 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................64,451 ............................ ............................ ................................0153540.................................. FOLSOM............................................................................... CA.............. ......... 12/06/2005.... ..................... ........................27,630 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................27,630 ............................ ............................ ................................0153544.................................. PHOENIX.............................................................................. AZ............... ......... 04/28/2006.... ..................... ........................11,618 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................11,618 ............................ ............................ ................................0153545.................................. SCOTTSDALE...................................................................... AZ............... ......... 04/28/2006.... ..................... ........................13,441 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................13,441 ............................ ............................ ................................0153546.................................. PHOENIX.............................................................................. AZ............... ......... 04/28/2006.... ..................... ..........................2,100 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................2,100 ............................ ............................ ................................0153549.................................. LAS VEGAS.......................................................................... NV.............. ......... 05/08/2006.... ..................... ........................19,284 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................19,284 ............................ ............................ ................................0153553.................................. SMYRNA.............................................................................. GA.............. ......... 03/30/2006.... ..................... ........................21,755 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................21,755 ............................ ............................ ................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE02.5

SCHEDULE B - PART 3 Showing all Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter

1 Location 4 5 6 7 Change in Book Value/Recorded Investment 14 15 16 17 182 3 8 9 10 11 12 13

Loan Number City StateLoanType Date Acquired Disposal Date

Book Value/RecordedInvestment ExcludingAccrued Interest Prior

Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Amortization) /

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred Interest

and Other

Total Change inBook Value (8 + 9 -

10 + 11)

Total ForeignExchange Change

in Book Value

Book Value /Recorded

InvestmentExcluding Accrued

Interest onDisposal Consideration

Foreign ExchangeGain (Loss) on

Disposal

Realized Gain(Loss) onDisposal

Total Gain (Loss) onDisposal

153557.................................. SAN MARCOS...................................................................... CA.............. ......... 02/27/2006.... ..................... ........................63,874 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................63,874 ............................ ............................ ................................0153558.................................. NAPERVILLE........................................................................ IL................ ......... 05/15/2006.... ..................... ........................28,236 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................28,236 ............................ ............................ ................................0153559.................................. WESTMINSTER................................................................... CA.............. ......... 05/17/2006.... ..................... ........................57,954 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................57,954 ............................ ............................ ................................0153561.................................. ROCKVILLE.......................................................................... MD.............. ......... 05/02/2006.... ..................... ..........................5,562 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................5,562 ............................ ............................ ................................0153563.................................. MANKATO............................................................................ MN.............. ......... 12/01/2006.... ..................... ........................72,161 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................72,161 ............................ ............................ ................................0153566.................................. BEDFORD PARK.................................................................. IL................ ......... 05/08/2006.... ..................... ........................38,881 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................38,881 ............................ ............................ ................................0153571.................................. HUNTINGTON BEACH......................................................... CA.............. ......... 09/29/2006.... ..................... ........................21,653 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................21,653 ............................ ............................ ................................0153576.................................. ST. MICHAEL....................................................................... MN.............. ......... 03/07/2007.... ..................... ........................15,042 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,042 ............................ ............................ ................................0153579.................................. CINCINNATI......................................................................... OH.............. ......... 01/04/2007.... ..................... ........................80,990 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................80,990 ............................ ............................ ................................0153585.................................. EXTON................................................................................. PA............... ......... 09/29/2006.... ..................... ........................83,116 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................83,116 ............................ ............................ ................................0153586.................................. BURBANK............................................................................ CA.............. ......... 12/01/2006.... ..................... ........................30,443 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................30,443 ............................ ............................ ................................0153588.................................. INDEPENDENCE................................................................. KY............... ......... 01/04/2007.... ..................... ..........................9,989 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................9,989 ............................ ............................ ................................0153589.................................. BROADVIEW HEIGHTS....................................................... OH.............. ......... 12/15/2006.... ..................... ........................51,296 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................51,296 ............................ ............................ ................................0153590.................................. MILL CREEK........................................................................ WA.............. ......... 02/05/2007.... ..................... ........................20,209 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................20,209 ............................ ............................ ................................0153592.................................. MORGANTOWN................................................................... WV.............. ......... 02/22/2007.... ..................... ........................14,378 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,378 ............................ ............................ ................................0153596.................................. SACRAMENTO..................................................................... CA.............. ......... 03/06/2007.... ..................... ........................15,635 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,635 ............................ ............................ ................................0153597.................................. PHOENIX.............................................................................. AZ............... ......... 04/04/2007.... ..................... ........................43,919 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................43,919 ............................ ............................ ................................0153599.................................. APPLE VALLEY.................................................................... CA.............. ......... 04/24/2007.... ..................... ........................30,716 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................30,716 ............................ ............................ ................................0153601.................................. GARDENA............................................................................ CA.............. ......... 05/18/2007.... ..................... ........................16,651 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................16,651 ............................ ............................ ................................0153602.................................. CRANBURY.......................................................................... NJ............... ......... 06/08/2007.... ..................... ........................59,434 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................59,434 ............................ ............................ ................................0153603.................................. EDISON................................................................................ NJ............... ......... 07/12/2007.... ..................... ........................34,818 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................34,818 ............................ ............................ ................................0153604.................................. GRAND RAPIDS................................................................... MI............... ......... 05/23/2007.... ..................... ........................25,286 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................25,286 ............................ ............................ ................................0153606.................................. GRAND RAPIDS................................................................... MI............... ......... 07/31/2008.... ..................... ........................13,608 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................13,608 ............................ ............................ ................................0153607.................................. SALEM................................................................................. OR.............. ......... 05/08/2007.... ..................... ........................48,833 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................48,833 ............................ ............................ ................................0153608.................................. BELLEVUE........................................................................... PA............... ......... 05/31/2007.... ..................... ........................14,814 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,814 ............................ ............................ ................................0153612.................................. ROCKFORD......................................................................... IL................ ......... 05/30/2007.... ..................... ........................16,003 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................16,003 ............................ ............................ ................................0153615.................................. PHOENIX.............................................................................. AZ............... ......... 06/22/2007.... ..................... ........................29,154 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................29,154 ............................ ............................ ................................0153620.................................. CENTER TOWNSHIP (MONACA)........................................ PA............... ......... 03/17/2008.... ..................... ........................13,731 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................13,731 ............................ ............................ ................................0153622.................................. MAHTOMEDI........................................................................ MN.............. ......... 09/28/2007.... ..................... ..........................4,601 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................4,601 ............................ ............................ ................................0153623.................................. BUFFALO GROVE................................................................ IL................ ......... 09/05/2007.... ..................... ........................34,590 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................34,590 ............................ ............................ ................................0153626.................................. MIDDLETOWN..................................................................... NJ............... ......... 12/21/2007.... ..................... ........................30,689 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................30,689 ............................ ............................ ................................0153631.................................. VAN NUYS........................................................................... CA.............. ......... 12/12/2007.... ..................... ......................154,158 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............154,158 ............................ ............................ ................................0153632.................................. BURBANK............................................................................ CA.............. ......... 11/20/2007.... ..................... ........................46,610 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................46,610 ............................ ............................ ................................0153636.................................. BREMERTON....................................................................... WA.............. ......... 11/30/2007.... ..................... ........................22,014 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................22,014 ............................ ............................ ................................0153640.................................. LA CRESCENTA.................................................................. CA.............. ......... 01/04/2008.... ..................... ........................83,489 ............................ .................(4,364) ............................ ............................ ....................(4,364) ............................ ............................ ................79,125 ............................ ............................ ................................0153641.................................. SOUTH BRUNSWICK........................................................... NJ............... ......... 02/01/2008.... ..................... ........................52,960 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................52,960 ............................ ............................ ................................0153642.................................. PITTSBURGH....................................................................... PA............... ......... 01/25/2008.... ..................... ........................41,299 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................41,299 ............................ ............................ ................................0153645.................................. PHOENIX.............................................................................. AZ............... ......... 02/14/2008.... ..................... ........................61,040 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................61,040 ............................ ............................ ................................0153658.................................. LAKE FOREST..................................................................... CA.............. ......... 03/12/2008.... ..................... ........................16,551 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................16,551 ............................ ............................ ................................0153660.................................. TEMPE................................................................................. AZ............... ......... 05/15/2008.... ..................... ........................12,359 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................12,359 ............................ ............................ ................................0153663.................................. ITASCA................................................................................. IL................ ......... 06/26/2008.... ..................... ........................20,766 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................20,766 ............................ ............................ ................................0153664.................................. PITTSBURGH....................................................................... PA............... ......... 06/20/2008.... ..................... ..........................8,253 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................8,253 ............................ ............................ ................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE02.6

SCHEDULE B - PART 3 Showing all Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter

1 Location 4 5 6 7 Change in Book Value/Recorded Investment 14 15 16 17 182 3 8 9 10 11 12 13

Loan Number City StateLoanType Date Acquired Disposal Date

Book Value/RecordedInvestment ExcludingAccrued Interest Prior

Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Amortization) /

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred Interest

and Other

Total Change inBook Value (8 + 9 -

10 + 11)

Total ForeignExchange Change

in Book Value

Book Value /Recorded

InvestmentExcluding Accrued

Interest onDisposal Consideration

Foreign ExchangeGain (Loss) on

Disposal

Realized Gain(Loss) onDisposal

Total Gain (Loss) onDisposal

153665.................................. ATLANTA.............................................................................. GA.............. ......... 06/17/2008.... ..................... ........................23,548 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................23,548 ............................ ............................ ................................0153666.................................. VAN NUYS........................................................................... CA.............. ......... 06/02/2008.... ..................... ........................14,118 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,118 ............................ ............................ ................................0153667.................................. CARLSBAD.......................................................................... CA.............. ......... 06/27/2008.... ..................... ........................29,210 ............................ .................(2,191) ............................ ............................ ....................(2,191) ............................ ............................ ................27,020 ............................ ............................ ................................0153670.................................. MOONACHIE........................................................................ NJ............... ......... 08/18/2008.... ..................... ........................69,077 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................69,077 ............................ ............................ ................................0153671.................................. MOONACHIE........................................................................ NJ............... ......... 08/18/2008.... ..................... ........................29,604 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................29,604 ............................ ............................ ................................0153672.................................. ONTARIO............................................................................. CA.............. ......... 06/27/2008.... ..................... ........................42,107 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................42,107 ............................ ............................ ................................0153673.................................. SEATTLE.............................................................................. WA.............. ......... 08/29/2008.... ..................... ........................16,542 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................16,542 ............................ ............................ ................................0153674.................................. SEATTLE.............................................................................. WA.............. ......... 08/29/2008.... ..................... ..........................9,363 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................9,363 ............................ ............................ ................................0153677.................................. TUSTIN................................................................................. CA.............. ......... 09/18/2008.... ..................... ..........................9,505 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................9,505 ............................ ............................ ................................0153678.................................. ANAHEIM............................................................................. CA.............. ......... 09/18/2008.... ..................... ..........................7,929 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................7,929 ............................ ............................ ................................0153680.................................. LAS VEGAS.......................................................................... NV.............. ......... 10/21/2008.... ..................... ..........................5,816 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................5,816 ............................ ............................ ................................0153681.................................. LAS VEGAS.......................................................................... NV.............. ......... 10/21/2008.... ..................... ........................15,025 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,025 ............................ ............................ ................................0153684.................................. E. BRUNSWICK.................................................................... NJ............... ......... 01/14/2009.... ..................... ........................28,468 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................28,468 ............................ ............................ ................................0153686.................................. SAVANNAH.......................................................................... GA.............. ......... 05/14/2009.... ..................... ........................13,505 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................13,505 ............................ ............................ ................................0153687.................................. SAVANNAH.......................................................................... GA.............. ......... 05/14/2009.... ..................... ........................38,674 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................38,674 ............................ ............................ ................................0153689.................................. WILSONVILLE...................................................................... OR.............. ......... 06/01/2009.... ..................... ........................44,914 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................44,914 ............................ ............................ ................................0153692.................................. VERNON.............................................................................. CA.............. ......... 05/05/2009.... ..................... ........................19,951 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................19,951 ............................ ............................ ................................0153694.................................. LA HABRA............................................................................ CA.............. ......... 08/28/2009.... ..................... ........................19,780 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................19,780 ............................ ............................ ................................0153695.................................. DENVER............................................................................... CO.............. ......... 09/30/2009.... ..................... ........................18,798 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................18,798 ............................ ............................ ................................0153697.................................. GRAND RAPIDS................................................................... MI............... ......... 11/10/2009.... ..................... ......................158,947 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............158,947 ............................ ............................ ................................0153704.................................. INVER GROVE HEIGHTS.................................................... MN.............. ......... 02/01/2010.... ..................... ......................140,178 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............140,178 ............................ ............................ ................................0153705.................................. CARLSBAD.......................................................................... CA.............. ......... 02/11/2010.... ..................... ........................11,110 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................11,110 ............................ ............................ ................................0153706.................................. HARLEYSVILLE.................................................................... PA............... ......... 03/01/2010.... ..................... ........................31,602 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................31,602 ............................ ............................ ................................0153707.................................. ROCKVILLE.......................................................................... MD.............. ......... 05/05/2010.... ..................... ........................14,420 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,420 ............................ ............................ ................................0153708.................................. VERNON.............................................................................. CA.............. ......... 06/14/2010.... ..................... ........................81,277 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................81,277 ............................ ............................ ................................0153709.................................. BRIDGEPORT...................................................................... NJ............... ......... 06/30/2010.... ..................... ........................31,531 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................31,531 ............................ ............................ ................................0153710.................................. WHITEHALL......................................................................... MI............... ......... 06/25/2010.... ..................... ........................48,373 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................48,373 ............................ ............................ ................................0153711.................................. GRAND HAVEN.................................................................... MI............... ......... 06/25/2010.... ..................... ........................35,569 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................35,569 ............................ ............................ ................................0153714.................................. MCCARRAN......................................................................... NV.............. ......... 07/27/2010.... ..................... ......................284,808 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............284,808 ............................ ............................ ................................0153715.................................. SEATTLE.............................................................................. WA.............. ......... 08/02/2010.... ..................... ........................12,812 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................12,812 ............................ ............................ ................................0153718.................................. SPRING VALLEY.................................................................. CA.............. ......... 09/29/2010.... ..................... ........................17,565 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................17,565 ............................ ............................ ................................0153719.................................. REDONDO BEACH.............................................................. CA.............. ......... 09/01/2010.... ..................... ........................73,691 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................73,691 ............................ ............................ ................................0153720.................................. LOS ANGELES..................................................................... CA.............. ......... 09/01/2010.... ..................... ........................37,358 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................37,358 ............................ ............................ ................................0153724.................................. COMMERCE CITY............................................................... CO.............. ......... 10/18/2010.... ..................... ........................50,725 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................50,725 ............................ ............................ ................................0153728.................................. ORANGE.............................................................................. CA.............. ......... 02/01/2011.... ..................... ........................19,061 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................19,061 ............................ ............................ ................................0153729.................................. HUNTINGTON BEACH......................................................... CA.............. ......... 02/01/2011.... ..................... ..........................7,148 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................7,148 ............................ ............................ ................................0153733.................................. OSHKOSH............................................................................ WI............... ......... 02/04/2011.... ..................... ........................29,378 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................29,378 ............................ ............................ ................................0153734.................................. SANTA FE SPRINGS........................................................... CA.............. ......... 02/25/2011.... ..................... ........................30,386 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................30,386 ............................ ............................ ................................0153736.................................. ANAHEIM............................................................................. CA.............. ......... 03/08/2011.... ..................... ........................33,986 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................33,986 ............................ ............................ ................................0153737.................................. CARLSBAD.......................................................................... CA.............. ......... 03/10/2011.... ..................... ........................20,627 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................20,627 ............................ ............................ ................................0153738.................................. IRVINE.................................................................................. CA.............. ......... 03/30/2011.... ..................... ......................372,021 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............372,021 ............................ ............................ ................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE02.7

SCHEDULE B - PART 3 Showing all Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter

1 Location 4 5 6 7 Change in Book Value/Recorded Investment 14 15 16 17 182 3 8 9 10 11 12 13

Loan Number City StateLoanType Date Acquired Disposal Date

Book Value/RecordedInvestment ExcludingAccrued Interest Prior

Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Amortization) /

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred Interest

and Other

Total Change inBook Value (8 + 9 -

10 + 11)

Total ForeignExchange Change

in Book Value

Book Value /Recorded

InvestmentExcluding Accrued

Interest onDisposal Consideration

Foreign ExchangeGain (Loss) on

Disposal

Realized Gain(Loss) onDisposal

Total Gain (Loss) onDisposal

153740.................................. ANDOVER............................................................................ MA.............. ......... 05/06/2011.... ..................... ........................52,659 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................52,659 ............................ ............................ ................................0153743.................................. SANTEE............................................................................... CA.............. ......... 05/04/2011.... ..................... ........................26,006 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,006 ............................ ............................ ................................0153745.................................. SAN JOSE............................................................................ CA.............. ......... 05/26/2011.... ..................... ........................18,835 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................18,835 ............................ ............................ ................................0153746.................................. CHULA VISTA...................................................................... CA.............. ......... 05/26/2011.... ..................... ........................13,856 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................13,856 ............................ ............................ ................................0153747.................................. HUNTINGTON BEACH......................................................... CA.............. ......... 05/26/2011.... ..................... ........................15,046 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,046 ............................ ............................ ................................0153748.................................. EL MONTE........................................................................... CA.............. ......... 05/26/2011.... ..................... ..........................9,063 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................9,063 ............................ ............................ ................................0153749.................................. CONCORD........................................................................... CA.............. ......... 08/31/2011.... ..................... ........................14,053 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,053 ............................ ............................ ................................0153750.................................. FULLERTON........................................................................ CA.............. ......... 08/31/2011.... ..................... ........................16,836 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................16,836 ............................ ............................ ................................0153752.................................. SAN DIEGO.......................................................................... CA.............. ......... 10/31/2011.... ..................... ........................16,460 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................16,460 ............................ ............................ ................................0153753.................................. SAN DIEGO.......................................................................... CA.............. ......... 10/31/2011.... ..................... ........................11,776 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................11,776 ............................ ............................ ................................0153754.................................. SAN DIEGO.......................................................................... CA.............. ......... 10/31/2011.... ..................... ........................11,230 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................11,230 ............................ ............................ ................................0153755.................................. SOUTH HACKENSACK........................................................ NJ............... ......... 06/13/2011.... ..................... ......................108,174 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............108,174 ............................ ............................ ................................0153756.................................. SCOTTSDALE...................................................................... AZ............... ......... 06/30/2011.... ..................... ........................14,587 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,587 ............................ ............................ ................................0153757.................................. CHARLOTTE........................................................................ NC.............. ......... 07/01/2011.... ..................... ......................115,171 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............115,171 ............................ ............................ ................................0153758.................................. FREMONT............................................................................ CA.............. ......... 06/29/2011.... ..................... ........................57,154 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................57,154 ............................ ............................ ................................0153759.................................. MILPITAS............................................................................. CA.............. ......... 06/29/2011.... ..................... ........................53,567 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................53,567 ............................ ............................ ................................0153760.................................. BLOOMINGTON................................................................... MN.............. ......... 08/31/2011.... ..................... ........................54,860 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................54,860 ............................ ............................ ................................0153761.................................. ADDISON............................................................................. IL................ ......... 09/07/2011.... ..................... ........................36,509 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................36,509 ............................ ............................ ................................0153762.................................. ADDISON............................................................................. IL................ ......... 09/07/2011.... ..................... ........................39,026 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................39,026 ............................ ............................ ................................0153769.................................. PHOENIX.............................................................................. AZ............... ......... 07/27/2011.... ..................... ........................94,476 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................94,476 ............................ ............................ ................................0153771.................................. MIDLAND COUNTY.............................................................. MI............... ......... 12/19/2011.... ..................... ........................70,762 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................70,762 ............................ ............................ ................................0153772.................................. BOULDER............................................................................ CO.............. ......... 02/01/2012.... ..................... ........................12,036 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................12,036 ............................ ............................ ................................0153773.................................. WIXOM................................................................................. MI............... ......... 05/01/2012.... ..................... ........................47,442 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................47,442 ............................ ............................ ................................0153774.................................. SOUTH BRUNSWICK........................................................... NJ............... ......... 10/31/2011.... ..................... ......................164,771 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............164,771 ............................ ............................ ................................0153782.................................. BROOKLYN PARK............................................................... MN.............. ......... 12/28/2011.... ..................... ........................93,646 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................93,646 ............................ ............................ ................................0153783.................................. OAKDALE............................................................................. MN.............. ......... 12/28/2011.... ..................... ........................93,646 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................93,646 ............................ ............................ ................................0153784.................................. VAN NUYS........................................................................... CA.............. ......... 12/29/2011.... ..................... ........................15,289 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,289 ............................ ............................ ................................0153785.................................. NORTHRIDGE...................................................................... CA.............. ......... 12/29/2011.... ..................... ..........................9,741 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................9,741 ............................ ............................ ................................0153786.................................. PLAINFIELD......................................................................... IN................ ......... 12/14/2011.... ..................... ......................117,829 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............117,829 ............................ ............................ ................................0153787.................................. TOBYHANNA........................................................................ PA............... ......... 12/14/2011.... ..................... ......................170,921 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............170,921 ............................ ............................ ................................0153788.................................. WALTON.............................................................................. KY............... ......... 12/14/2011.... ..................... ........................69,723 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................69,723 ............................ ............................ ................................0153790.................................. SALT LAKE CITY.................................................................. UT............... ......... 02/22/2012.... ..................... ........................10,674 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................10,674 ............................ ............................ ................................0153791.................................. PEORIA................................................................................ AZ............... ......... 12/07/2011.... ..................... ........................82,787 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................82,787 ............................ ............................ ................................0153797.................................. PORTLAND.......................................................................... OR.............. ......... 03/02/2012.... ..................... ......................111,846 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............111,846 ............................ ............................ ................................0153799.................................. GOLETA............................................................................... CA.............. ......... 09/04/2012.... ..................... ........................54,700 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................54,700 ............................ ............................ ................................0153800.................................. SAN DIEGO.......................................................................... CA.............. ......... 06/29/2012.... ..................... ........................70,988 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................70,988 ............................ ............................ ................................0153801.................................. HUNTINGDON VALLEY....................................................... PA............... ......... 08/01/2012.... ..................... ........................30,675 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................30,675 ............................ ............................ ................................0153802.................................. PHILADELPHIA.................................................................... PA............... ......... 08/01/2012.... ..................... ........................37,633 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................37,633 ............................ ............................ ................................0153803.................................. ELKINS PARK...................................................................... PA............... ......... 08/01/2012.... ..................... ........................30,992 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................30,992 ............................ ............................ ................................0153806.................................. SECAUCUS.......................................................................... NJ............... ......... 07/31/2012.... ..................... ........................17,876 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................17,876 ............................ ............................ ................................0153807.................................. LINDEN................................................................................ NJ............... ......... 07/31/2012.... ..................... ........................44,907 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................44,907 ............................ ............................ ................................0153809.................................. SECAUCUS.......................................................................... NJ............... ......... 07/31/2012.... ..................... ........................34,179 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................34,179 ............................ ............................ ................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE02.8

SCHEDULE B - PART 3 Showing all Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter

1 Location 4 5 6 7 Change in Book Value/Recorded Investment 14 15 16 17 182 3 8 9 10 11 12 13

Loan Number City StateLoanType Date Acquired Disposal Date

Book Value/RecordedInvestment ExcludingAccrued Interest Prior

Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Amortization) /

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred Interest

and Other

Total Change inBook Value (8 + 9 -

10 + 11)

Total ForeignExchange Change

in Book Value

Book Value /Recorded

InvestmentExcluding Accrued

Interest onDisposal Consideration

Foreign ExchangeGain (Loss) on

Disposal

Realized Gain(Loss) onDisposal

Total Gain (Loss) onDisposal

153811.................................. SAN FRANCISCO................................................................ CA.............. ......... 11/29/2012.... ..................... ......................115,216 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............115,216 ............................ ............................ ................................0153812.................................. ANAHEIM............................................................................. CA.............. ......... 11/29/2012.... ..................... ........................92,173 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................92,173 ............................ ............................ ................................0153813.................................. CHINO.................................................................................. CA.............. ......... 11/08/2012.... ..................... ........................80,666 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................80,666 ............................ ............................ ................................0153820.................................. FARMINGTON...................................................................... MI............... ......... 08/29/2012.... ..................... ........................57,935 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................57,935 ............................ ............................ ................................0153821.................................. CHULA VISTA...................................................................... CA.............. ......... 09/13/2012.... ..................... ........................36,870 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................36,870 ............................ ............................ ................................0153822.................................. RIVERSIDE.......................................................................... CA.............. ......... 01/30/2013.... ..................... ........................14,898 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,898 ............................ ............................ ................................0153828.................................. SECAUCUS.......................................................................... NJ............... ......... 10/31/2012.... ..................... ........................40,900 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................40,900 ............................ ............................ ................................0153831.................................. IRVINE.................................................................................. CA.............. ......... 12/21/2012.... ..................... ......................662,700 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............662,700 ............................ ............................ ................................0153833.................................. AUSTIN................................................................................ TX............... ......... 12/21/2012.... ..................... ......................118,428 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............118,428 ............................ ............................ ................................0153834.................................. LA MESA.............................................................................. CA.............. ......... 02/21/2013.... ..................... ........................33,891 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................33,891 ............................ ............................ ................................0153835.................................. BELL GARDENS................................................................... CA.............. ......... 02/21/2013.... ..................... ........................18,757 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................18,757 ............................ ............................ ................................0153836.................................. SAN JOSE............................................................................ CA.............. ......... 05/10/2013.... ..................... ........................41,289 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................41,289 ............................ ............................ ................................0153837.................................. SAN JOSE............................................................................ CA.............. ......... 05/10/2013.... ..................... ........................14,989 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................14,989 ............................ ............................ ................................0153838.................................. GLENDALE........................................................................... CA.............. ......... 05/10/2013.... ..................... ........................34,932 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................34,932 ............................ ............................ ................................0153839.................................. TORRANCE.......................................................................... CA.............. ......... 05/10/2013.... ..................... ........................20,102 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................20,102 ............................ ............................ ................................0153840.................................. LA HABRA............................................................................ CA.............. ......... 10/31/2013.... ..................... ........................17,156 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................17,156 ............................ ............................ ................................0153841.................................. PARAMOUNT....................................................................... CA.............. ......... 10/31/2013.... ..................... ........................18,049 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................18,049 ............................ ............................ ................................0153842.................................. BETHESDA.......................................................................... MD.............. ......... 03/19/2013.... ..................... ........................96,935 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................96,935 ............................ ............................ ................................0153844.................................. ITASCA................................................................................. IL................ ......... 04/29/2013.... ..................... ........................15,596 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,596 ............................ ............................ ................................0153845.................................. ANNAPOLIS......................................................................... MD.............. ......... 05/23/2013.... ..................... ......................259,967 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............259,967 ............................ ............................ ................................0153846.................................. ALEXANDRIA....................................................................... VA............... ......... 05/23/2013.... ..................... ......................295,098 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............295,098 ............................ ............................ ................................0153848.................................. SAN DIEGO.......................................................................... CA.............. ......... 05/23/2013.... ..................... ........................21,078 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................21,078 ............................ ............................ ................................0153849.................................. SUGAR LAND....................................................................... TX............... ......... 07/01/2013.... ..................... ......................200,072 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............200,072 ............................ ............................ ................................0153850.................................. NEWPORT BEACH.............................................................. CA.............. ......... 06/07/2013.... ..................... ......................184,741 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............184,741 ............................ ............................ ................................0153851.................................. HAPPY VALLEY................................................................... OR.............. ......... 05/17/2013.... ..................... ........................37,771 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................37,771 ............................ ............................ ................................0153852.................................. GRAND BLANC.................................................................... MI............... ......... 07/16/2013.... ..................... ........................23,698 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................23,698 ............................ ............................ ................................0153853.................................. GRAND BLANC.................................................................... MI............... ......... 07/16/2013.... ..................... ........................56,282 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................56,282 ............................ ............................ ................................0153854.................................. ESSEXVILLE........................................................................ MI............... ......... 07/16/2013.... ..................... ........................39,990 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................39,990 ............................ ............................ ................................0153855.................................. DAVISON.............................................................................. MI............... ......... 07/16/2013.... ..................... ......................109,601 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............109,601 ............................ ............................ ................................0153856.................................. SAN ANTONIO..................................................................... TX............... ......... 06/10/2013.... ..................... ......................307,347 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............307,347 ............................ ............................ ................................0153858.................................. CLAREMONT....................................................................... CA.............. ......... 12/02/2013.... ..................... ........................51,658 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................51,658 ............................ ............................ ................................0153859.................................. RANCHO CUCAMONGA...................................................... CA.............. ......... 11/27/2013.... ..................... ........................51,804 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................51,804 ............................ ............................ ................................0153860.................................. SECAUCUS.......................................................................... NJ............... ......... 07/16/2013.... ..................... ........................16,868 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................16,868 ............................ ............................ ................................0153861.................................. SECAUCUS.......................................................................... NJ............... ......... 07/16/2013.... ..................... ........................16,875 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................16,875 ............................ ............................ ................................0153867.................................. BEVERLY HILLS................................................................... CA.............. ......... 12/24/2013.... ..................... ......................131,455 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............131,455 ............................ ............................ ................................0153868.................................. SIMI VALLEY........................................................................ CA.............. ......... 08/15/2013.... ..................... ........................24,321 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................24,321 ............................ ............................ ................................0153869.................................. EDINA................................................................................... MN.............. ......... 10/08/2013.... ..................... ........................24,936 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................24,936 ............................ ............................ ................................0153870.................................. WEST ST PAUL.................................................................... MN.............. ......... 10/31/2013.... ..................... ........................28,833 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................28,833 ............................ ............................ ................................0153872.................................. SAN JOSE............................................................................ CA.............. ......... 09/27/2013.... ..................... ........................26,182 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................26,182 ............................ ............................ ................................0153873.................................. SAN JOSE............................................................................ CA.............. ......... 09/27/2013.... ..................... ........................15,031 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................15,031 ............................ ............................ ................................0153874.................................. SAN JOSE............................................................................ CA.............. ......... 09/27/2013.... ..................... ..........................6,442 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................6,442 ............................ ............................ ................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE02.9

SCHEDULE B - PART 3 Showing all Mortgage Loans DISPOSED, Transferred or Repaid During the Current Quarter

1 Location 4 5 6 7 Change in Book Value/Recorded Investment 14 15 16 17 182 3 8 9 10 11 12 13

Loan Number City StateLoanType Date Acquired Disposal Date

Book Value/RecordedInvestment ExcludingAccrued Interest Prior

Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Amortization) /

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred Interest

and Other

Total Change inBook Value (8 + 9 -

10 + 11)

Total ForeignExchange Change

in Book Value

Book Value /Recorded

InvestmentExcluding Accrued

Interest onDisposal Consideration

Foreign ExchangeGain (Loss) on

Disposal

Realized Gain(Loss) onDisposal

Total Gain (Loss) onDisposal

153875.................................. SEATTLE.............................................................................. WA.............. ......... 11/04/2013.... ..................... ........................95,437 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................95,437 ............................ ............................ ................................0153878.................................. DURHAM.............................................................................. NC.............. ......... 11/06/2013.... ..................... ........................38,159 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................38,159 ............................ ............................ ................................0153879.................................. HUNTINGTON BEACH......................................................... CA.............. ......... 03/03/2014.... ..................... ......................110,392 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............110,392 ............................ ............................ ................................0153881.................................. HARRISBURG...................................................................... PA............... ......... 11/22/2013.... ..................... ......................101,400 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............101,400 ............................ ............................ ................................0153884.................................. GLENDALE........................................................................... WI............... ......... 02/03/2014.... ..................... ........................93,707 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................93,707 ............................ ............................ ................................0153890.................................. BROOKFIELD....................................................................... WI............... ......... 07/01/2014.... ..................... ..........................8,708 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..................8,708 ............................ ............................ ................................0153891.................................. SANTA ANA......................................................................... CA.............. ......... 06/06/2014.... ..................... ........................44,982 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................44,982 ............................ ............................ ................................0153903.................................. HOUSTON............................................................................ TX............... ......... 07/30/2014.... ..................... ........................48,584 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................48,584 ............................ ............................ ................................0153904.................................. MILL CREEK........................................................................ WA.............. ......... 01/08/2015.... ..................... ......................542,639 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............542,639 ............................ ............................ ................................0153905.................................. EDGEWOOD........................................................................ MD.............. ......... 09/12/2014.... ..................... ........................32,948 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................32,948 ............................ ............................ ................................0153914.................................. ITASCA................................................................................. IL................ ......... 10/03/2014.... ..................... ........................40,325 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................40,325 ............................ ............................ ................................0153915.................................. FOUNTAIN VALLEY............................................................. CA.............. ......... 12/22/2014.... ..................... ........................41,762 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................41,762 ............................ ............................ ................................0153921.................................. BELLEVUE........................................................................... WA.............. ......... 12/31/2014.... ..................... ......................172,032 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............172,032 ............................ ............................ ................................0153922.................................. BELLEVUE........................................................................... NE.............. ......... 02/19/2015.... ..................... ......................226,509 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............226,509 ............................ ............................ ................................0153943.................................. NEW BERLIN....................................................................... WI............... ......... 09/11/2015.... ..................... ........................76,862 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................76,862 ............................ ............................ ................................0153946.................................. NORWOOD.......................................................................... NJ............... ......... 07/08/2015.... ..................... ......................131,315 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............131,315 ............................ ............................ ................................0153958.................................. MERRILLVILLE..................................................................... IN................ ......... 12/17/2015.... ..................... ......................194,180 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............194,180 ............................ ............................ ................................0153959.................................. JACKSON............................................................................. MI............... ......... 12/17/2015.... ..................... ......................151,967 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............151,967 ............................ ............................ ................................0153960.................................. HILLSBORO......................................................................... OR.............. ......... 12/17/2015.... ..................... ........................18,579 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................18,579 ............................ ............................ ................................0153961.................................. SCOTTSDALE...................................................................... AZ............... ......... 12/01/2015.... ..................... ......................186,165 ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ..............186,165 ............................ ............................ ................................0153965.................................. PHOENIX.............................................................................. AZ............... ......... 02/01/2016.... ..................... .................................... ............................ ............................ ............................ ............................ ............................0 ............................ ............................ ................30,230 ............................ ............................ ................................00299999. Total - Mortgages With Partial Repayments.......................................................... ............................................................................... .................20,463,754 .........................0 .................(5,354) .........................0 .........................0 ....................(5,354) .........................0 .........................0 .........20,488,630 .........................0 .........................0 ................................00599999. Total Mortgages.................................................................................................... ............................................................................... .................88,285,873 .........................0 .................(5,358) .........................0 .........................0 ....................(5,358) .........................0 .........67,822,113 .........88,310,743 .........................0 .........................0 ................................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE03

SCHEDULE BA - PART 2 Showing Other Long-Term Invested Assets ACQUIRED AND ADDITIONS MADE During the Current Quarter

1 2 Location 5 6 7 8 9 10 11 12 133 4

CUSIP Identification Name or Description City State Name of Vendor or General Partner

NAICDesig-nation

DateOriginallyAcquired

Type andStrategy

Actual Cost at Time ofAcquisition

Additional InvestmentMade after Acquisition

Amount ofEncumbrances

Commitment forAdditional Investment

Percentage ofOwnership

Joint Venture or Partnership Interests That Have Underlying Characteristics of Common Stocks - Unaffiliated000000 00 0 TPG PARTNERS VI LP LIMITED PARTNERSHIP U................................................... Dallas............................................. TX.... Capital Contribution..................................................................................................... ................ 05/12/2008.... ................. .................................... ......................184,837 .................................... .................................... ...........0.100000000 00 0 TPG PARTNERS VII LP LIMITED PARTNERSHIP U.................................................. Dallas............................................. TX.... Capital Contribution..................................................................................................... ................ 09/11/2015.... ................. .................................... ......................367,700 .................................... .................................... ...........0.300

1599999. Total - Joint Venture or Partnership Interests That Have Underlying Characteristics of Common Stocks - Unaffiliated........................................ ................................................................................................................................................................................................... ................................0 ......................552,537 ................................0 ................................0 .......XXX.......4499999. Subtotal - Unaffiliated.................................................................................................................... .................................................................. ................................................................................................................................................................................................... ................................0 ......................552,537 ................................0 ................................0 .......XXX.......4699999. Totals............................................................................................................................................ .................................................................. ................................................................................................................................................................................................... ................................0 ......................552,537 ................................0 ................................0 .......XXX.......

SCHEDULE BA - PART 3 Showing Other Long-Term Invested Assets DISPOSED, Transferred or Repaid During the Current Quarter

1 2 Location 5 6 7 8 Changes in Book/Adjusted Carrying Value 15 16 17 18 19 203 4 9 10 11 12 13 14

CUSIP Identification Name or Description City State Name of Purchaser or Nature of Disposal

DateOriginallyAcquired

DisposalDate

Book/AdjustedCarrying Value

LessEncumbrances,

Prior Year

UnrealizedValuationIncrease

(Decrease)

Current Year's(Depreciation)

or(Amortization)

/ Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

CapitalizedDeferred

Interest andOther

Total Changein B./A.C.V.

(9+10-11+12)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value

LessEncumbrances

on Disposal Consideration

ForeignExchange

Gain (Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

InvestmentIncome

Joint Venture or Partnership Interests That Have Underlying Characteristics of Common Stocks - Unaffiliated000000 00 0 TPG PARTNRS IV LP LIMITED PARTNERSHIP UN.. Dallas............................... TX.. Capital Distribution ......................... 11/25/2003 03/30/2016 .......1,235,774 ...................... ...................... ...................... ...................... ...................0 ...................... .......1,235,774 .....1,235,774 ...................... ...................... ...................0 ......................000000 00 0 TPG PARTNERS V LP LIMITED PARTNERSHIP UN. Dallas............................... TX.. Capital Distribution ......................... 06/14/2006 03/23/2016 ..........878,353 ...................... ...................... ...................... ...................... ...................0 ...................... ..........878,353 ........878,353 ...................... ...................... ...................0 ......................000000 00 0 TPG PARTNERS VI LP LIMITED PARTNERSHIP U... Dallas............................... TX.. Capital Distribution ......................... 05/12/2008 03/04/2016 ..........104,634 ...................... ...................... ...................... ...................... ...................0 ...................... ..........104,634 ........104,634 ...................... ...................... ...................0 ......................

1599999. Total - Joint Venture or Partnership Interests That Have Underlying Characteristics of Common Stocks - Unaffiliated.................................................................................... .......2,218,761 ...................0 ...................0 ...................0 ...................0 ...................0 ...................0 .......2,218,761 .....2,218,761 ...................0 ...................0 ...................0 ...................0Joint Venture or Partnership Interests That Have Underlying Characteristics of Common Stocks - Affiliated

000000 00 0 SINGER COLLATERAL TRUST IV LIMITED PARTN.. Greenwood Village........... CO. Capital Distribution ......................... 11/09/2006 03/31/2016 ............49,871 - ................. - ................. - ................. - ................. ...................0 - ................. ............49,871 ..........49,871 ...................... ...................... ...................0 ......................000000 00 0 SINGER COLLATERAL TRUST V LIMITED PARTNE. Greenwood Village........... CO. Capital Distribution ......................... 11/09/2006 03/31/2016 ............46,838 - ................. - ................. - ................. - ................. ...................0 - ................. ............46,838 ..........46,838 ...................... ...................... ...................0 ......................

1699999. Total - Joint Venture or Partnership Interests That Have Underlying Characteristics of Common Stocks - Affiliated........................................................................................ ............96,709 ...................0 ...................0 ...................0 ...................0 ...................0 ...................0 ............96,709 ..........96,709 ...................0 ...................0 ...................0 ...................0Guaranteed Federal Low Income Housing Tax Credit - Unaffiliated

000000 00 0 RELATED CAP GTD PRTNR II LP TCE GTD LIMI..... New York......................... NY.. Redemption 100.0000........................ 10/30/2003 03/31/2016 ............15,722 ...................... ...................... ...................... ...................... ...................0 ...................... ............15,722 ..........15,722 ...................... ...................... ...................0 ......................86705# AA 1 SUNAMERICA AFFORD HSNG PRT 112 TCE GTD L Los Angeles..................... CA.. Redemption 100.0000........................ 12/31/2003 03/31/2016 ............20,233 ...................... ...................... ...................... ...................... ...................0 ...................... ............20,233 ..........20,233 ...................... ...................... ...................0 ......................000000 00 0 NATIONWIDE LIFE INS TCE PART 2003-A................ Columbus......................... OH. Redemption 100.0000........................ 08/12/2003 03/31/2016 .......2,200,863 ...................... ...................... ...................... ...................... ...................0 ...................... .......2,200,863 .....2,200,863 ...................... ...................... ...................0 ......................

3199999. Total - Guaranteed Federal Low Income Housing Tax Credit - Unaffiliated......................................... .......................................................................................................... .......2,236,818 ...................0 ...................0 ...................0 ...................0 ...................0 ...................0 .......2,236,818 .....2,236,818 ...................0 ...................0 ...................0 ...................04499999. Subtotal - Unaffiliated......................................................................................................................... .......................................................................................................... .......4,455,579 ...................0 ...................0 ...................0 ...................0 ...................0 ...................0 .......4,455,579 .....4,455,579 ...................0 ...................0 ...................0 ...................04599999. Subtotal - Affiliated............................................................................................................................. .......................................................................................................... ............96,709 ...................0 ...................0 ...................0 ...................0 ...................0 ...................0 ............96,709 ..........96,709 ...................0 ...................0 ...................0 ...................04699999. Totals................................................................................................................................................. .......................................................................................................... .......4,552,288 ...................0 ...................0 ...................0 ...................0 ...................0 ...................0 .......4,552,288 .....4,552,288 ...................0 ...................0 ...................0 ...................0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE04

SCHEDULE D - PART 3 Show all Long-Term Bonds and Stock Acquired During the Current Quarter

1 2 3 4 5 6 7 8 9 10

CUSIP Identification Description Foreign Date Acquired Name of Vendor Number of Shares of Stock Actual Cost Par ValuePaid for Accrued Interest and

DividendsNAIC Designation orMarket Indicator (a)

Bonds - U.S. Government912810 EH 7 UNITED STATES OF AMERICA TREASURY NOTES.................................................................... ........... 03/10/2016.... MORGAN STANLEY & CO LLC..................................................................................................... ............................................. .................................392,271 .................................300,000 .....................................3,817 1...............................912810 RQ 3 UNITED STATES OF AMERICA TREASURY NOTES.................................................................... ........... 03/31/2016.... ISI GROUP INC.............................................................................................................................. ............................................. ..............................6,816,250 ..............................7,000,000 ...................................22,115 1...............................912828 M5 6 UNITED STATES OF AMERICA TREASURY NOTES.................................................................... ........... 01/22/2016.... Various........................................................................................................................................... ............................................. .............................10,126,778 .............................10,000,000 ...................................39,870 1...............................912828 N3 0 UNITED STATES OF AMERICA TREASURY NOTES.................................................................... ........... 01/22/2016.... ISI GROUP INC.............................................................................................................................. ............................................. ..............................4,084,375 ..............................4,000,000 .....................................5,838 1...............................912828 N4 8 UNITED STATES OF AMERICA TREASURY NOTES.................................................................... ........... 01/22/2016.... ISI GROUP INC.............................................................................................................................. ............................................. .............................14,187,031 .............................14,000,000 ...................................16,827 1...............................912828 P4 6 UNITED STATES OF AMERICA TREASURY NOTES.................................................................... ........... 03/31/2016.... Various........................................................................................................................................... ............................................. .............................40,309,844 .............................41,000,000 ...................................82,946 1...............................912828 Q2 9 UNITED STATES OF AMERICA TREASURY NOTES.................................................................... ........... 03/31/2016.... CAPITAL INSTITUTIONAL SERVICES.......................................................................................... ............................................. .............................19,917,188 .............................20,000,000 ........................................820 1...............................912828 Q3 7 UNITED STATES OF AMERICA TREASURY NOTES.................................................................... ........... 03/30/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. ..............................1,998,210 ..............................2,000,000 ............................................... 1...............................000000 00 0 GNMA DOLLAR ROLLS MARCH 3.500% 03/31/4........................................................................ ........... 02/16/2016.... CREDIT SUISSE SEC USA LLC.................................................................................................... ............................................. ...........................119,155,860 ...........................114,000,000 .................................232,750 1...............................000000 00 0 GNMA DOLLAR ROLLS APRIL 3.500% 04/30/4........................................................................... ........... 02/24/2016.... CREDIT SUISSE SEC USA LLC.................................................................................................... ............................................. ...........................119,155,860 ...........................114,000,000 .................................210,583 1...............................

0599999. Total Bonds - U.S Government.............................................................................................................................................................. ....................................................................................................................................................................................................... ...........................336,143,667 ...........................326,300,000 .................................615,566 XXXBonds - U.S. States, Territories and Possessions

000000 00 0 CALIFORNIA LOTTERY -Avalos, Jose 0.000............................................................................... ........... 03/08/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................873,804 ..............................1,102,691 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Baires, Pedro (3).................................................................................... ........... 03/08/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................368,577 .................................480,000 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Cabrera, Alfred 0.................................................................................. ........... 03/08/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................177,333 .................................193,120 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Cook, Gilda (2) 0.................................................................................. ........... 03/08/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................128,780 .................................144,000 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Fellman, Frank 0.0................................................................................ ........... 03/08/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................112,728 .................................125,000 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Jian, Hong 0.000%............................................................................... ........... 03/08/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................184,684 .................................220,000 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Knezevic, Tomo 0.0.............................................................................. ........... 03/08/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................118,181 .................................200,000 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Loveless, Michael (3............................................................................... ........... 03/08/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................229,867 .................................297,923 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Tisdel-Burton, Cassa.............................................................................. ........... 03/08/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................325,310 .................................432,343 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Johnson, Rose Marie.............................................................................. ........... 03/07/2016.... SENECA ONE................................................................................................................................ ............................................. .................................621,670 .................................926,565 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Posada-Estrada, Patr............................................................................. ........... 03/15/2016.... PEACHTREE.................................................................................................................................. ............................................. .................................295,009 .................................500,000 ............................................... 1Z.............................000000 00 0 CALIFORNIA LOTTERY -Champaine, Mary (4).............................................................................. ........... 03/15/2016.... STONE STREET CAPITAL............................................................................................................. ............................................. .................................667,761 ..............................1,003,858 ............................................... 1Z.............................13067* KD 4 CALIFORNIA LOTTERY -Manansala, Rufina (2.............................................................................. ........... 02/10/2016.... SENECA ONE................................................................................................................................ ............................................. .................................332,340 .................................501,923 ............................................... 1Z.............................000000 00 0 FLORIDA LOTTERY -Fernandez, Heriberto G................................................................................ ........... 03/30/2016.... PEACHTREE.................................................................................................................................. ............................................. .................................616,083 .................................900,000 ............................................... 1Z.............................57585* FY 4 MASSACHUSETTS LOTTERY -Brierly, John 0............................................................................ ........... 01/29/2016.... PEACHTREE.................................................................................................................................. ............................................. .................................304,571 .................................350,000 ............................................... 1Z.............................57585* FZ 1 MASSACHUSETTS LOTTERY -Cameron, Edward H..................................................................... ........... 02/04/2016.... PEACHTREE.................................................................................................................................. ............................................. .................................296,151 .................................500,000 ............................................... 1Z.............................57585* GA 5 MASSACHUSETTS LOTTERY -Dorvilier, Rachel........................................................................... ........... 02/25/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................278,817 .................................420,000 ............................................... 1Z.............................57585* GB 3 MASSACHUSETTS LOTTERY -Gambale, Kenneth........................................................................ ........... 01/07/2016.... STONE STREET CAPITAL............................................................................................................. ............................................. .................................425,001 .................................550,000 ............................................... 1Z.............................57585* GC 1 MASSACHUSETTS LOTTERY -Jakubauskas, Ther....................................................................... ........... 02/25/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................506,845 .................................559,992 ............................................... 1Z.............................57585* GD 9 MASSACHUSETTS LOTTERY -Morris, Valerie.............................................................................. ........... 03/02/2016.... PEACHTREE.................................................................................................................................. ............................................. .................................186,156 .................................255,000 ............................................... 1Z.............................57585* GE 7 MASSACHUSETTS LOTTERY -Watler, Karen M........................................................................... ........... 01/05/2016.... SENECA ONE................................................................................................................................ ............................................. .................................248,452 .................................300,000 ............................................... 1Z.............................000000 00 0 MASSACHUSETTS LOTTERY -Modoono, Paul 0........................................................................ ........... 03/04/2016.... PEACHTREE.................................................................................................................................. ............................................. .................................209,696 .................................350,000 ............................................... 1Z.............................000000 00 0 MASSACHUSETTS LOTTERY -Noonan, Karen A.......................................................................... ........... 03/08/2016.... SENECA ONE................................................................................................................................ ............................................. .................................241,857 .................................280,000 ............................................... 1Z.............................000000 00 0 MASSACHUSETTS LOTTERY -Young, Jody M 0........................................................................ ........... 03/11/2016.... SENECA ONE................................................................................................................................ ............................................. .................................182,009 .................................250,000 ............................................... 1Z.............................000000 00 0 OREGON LOTTERY -Foidel, Keith M 0.000%.............................................................................. ........... 03/29/2016.... STONE STREET CAPITAL............................................................................................................. ............................................. .................................795,335 .................................960,000 ............................................... 1Z.............................000000 00 0 PENNSYLVANIA LOTTERY -Chen, Thach (4)................................................................................ ........... 03/08/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................773,251 ..............................1,150,000 ............................................... 1Z.............................000000 00 0 TEXAS LOTTERY -Campbell Family Trust (4)................................................................................ ........... 03/28/2016.... STONE STREET CAPITAL............................................................................................................. ............................................. .................................765,127 .................................960,000 ............................................... 1Z.............................

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE04.1

SCHEDULE D - PART 3 Show all Long-Term Bonds and Stock Acquired During the Current Quarter

1 2 3 4 5 6 7 8 9 10

CUSIP Identification Description Foreign Date Acquired Name of Vendor Number of Shares of Stock Actual Cost Par ValuePaid for Accrued Interest and

DividendsNAIC Designation orMarket Indicator (a)

000000 00 0 TEXAS LOTTERY -Wilkins, Larry G. (2) 0.................................................................................... ........... 03/28/2016.... STONE STREET CAPITAL............................................................................................................. ............................................. ..............................1,033,987 ..............................1,320,000 ............................................... 1Z.............................000000 00 0 TEXAS LOTTERY -Escobedo, Reynaldo 0.00.............................................................................. ........... 03/28/2016.... SENECA ONE................................................................................................................................ ............................................. ..............................2,116,664 ..............................3,000,000 ............................................... 1Z.............................

92812@ CK 7 VIRGINIA LOTTERY -McBryde, Marcus (2).................................................................................... ........... 02/25/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................184,630 .................................214,776 ............................................... 1Z.............................93978@ HT 1 WASHINGTON LOTTERY -Kolisch, Michael (4)............................................................................. ........... 02/25/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................105,436 .................................151,793 ............................................... 1Z.............................93978@ HU 8 WASHINGTON LOTTERY -Kolisch, Michael (5)............................................................................. ........... 02/25/2016.... KGS-ALPHA Capital Markets.......................................................................................................... ............................................. .................................127,858 .................................199,207 ............................................... 1Z.............................

1799999. Total Bonds - U.S. States, Territories and Possessions.......................................................................................................................... ....................................................................................................................................................................................................... .............................13,833,970 .............................18,798,191 ............................................0 XXXBonds - U.S. Political Subdivisions of States, Territories and Possessions

24917D AG 8 DENVER CO CITY AND COUNTY TAXABLE REV SI.................................................................... ........... 03/31/2016.... CITIGROUP GLOBAL MKTS.......................................................................................................... ............................................. ..............................3,555,160 ..............................3,500,000 ............................................... 1FE..........................2499999. Total Bonds - U.S. Political Subdivisions of States, Territories and Possessions.................................................................................... ....................................................................................................................................................................................................... ..............................3,555,160 ..............................3,500,000 ............................................0 XXXBonds - U.S. Special Revenue and Special Assessment

3128MJ W9 7 FHLMC GOLD POOL #G08671 3.500% 10/01/4.......................................................................... ........... 02/09/2016.... MORGAN STANLEY & CO LLC..................................................................................................... ............................................. .............................28,249,112 .............................26,997,322 ...................................34,122 1...............................3128MJ W9 7 FHLMC GOLD POOL #G08671 3.500% 10/01/4.......................................................................... ........... 02/09/2016.... Basis Adjustment............................................................................................................................ ............................................. ...................................74,875 ............................................... ............................................... 1...............................3128MJ WB 2 FHLMC GOLD POOL #G08641 GIANT 3.500% 0........................................................................ ........... 02/09/2016.... MORGAN STANLEY & CO LLC..................................................................................................... ............................................. .............................96,897,186 .............................92,603,425 .................................117,040 1...............................3128MJ WB 2 FHLMC GOLD POOL #G08641 GIANT 3.500% 0........................................................................ ........... 02/09/2016.... Basis Adjustment............................................................................................................................ ............................................. .................................256,830 ............................................... ............................................... 1...............................3128MJ XE 5 FHLMC GOLD POOL #G08676 GIANT 3.500% 1........................................................................ ........... 02/09/2016.... MORGAN STANLEY & CO LLC..................................................................................................... ............................................. ..............................7,846,972 ..............................7,499,253 .....................................9,478 1...............................3128MJ XE 5 FHLMC GOLD POOL #G08676 GIANT 3.500% 1........................................................................ ........... 02/09/2016.... Basis Adjustment............................................................................................................................ ............................................. ...................................20,799 ............................................... ............................................... 1...............................3135G0 H6 3 FNMA UNSECURED NOTES 1.375% 01/28/19........................................................................... ........... 01/22/2016.... DEUTSCHE BANK SECURITIES INC............................................................................................ ............................................. ...........................100,546,215 ...........................100,000,000 ...................................64,931 1...............................

3138WE 4D 8 FNMA POOL # AS5319 3.500% 07/01/45..................................................................................... ........... 03/30/2016.... Various........................................................................................................................................... ............................................. .............................10,762,843 .............................10,275,589 ...................................11,988 1...............................3140E0 VP 7 FNMA POOL #AZ7821 3.500% 08/01/45...................................................................................... ........... 01/13/2016.... MORGAN STANLEY & CO LLC..................................................................................................... ............................................. .............................30,052,382 .............................29,000,000 ...................................36,653 1...............................3140E0 VP 7 FNMA POOL #AZ7821 3.500% 08/01/45...................................................................................... ........... 01/13/2016.... Basis Adjustment............................................................................................................................ ............................................. ................................(230,052) ............................................... ............................................... 1...............................3140E8 KM 9 FNMA POOL #BA3899 3.500% 12/01/45...................................................................................... ........... 03/09/2016.... RBC CAPITAL MARKETS LLC....................................................................................................... ............................................. ...........................107,747,868 ...........................103,185,150 .................................130,415 1...............................3140E8 V6 2 FNMA POOL #BA4236 3.500% 11/01/45...................................................................................... ........... 01/13/2016.... MORGAN STANLEY & CO LLC..................................................................................................... ............................................. ................................(455,844) ................................(438,839) .......................................(427) 1...............................3140EB AH 4 FNMA POOL #BA6307 4.000% 12/01/45...................................................................................... ........... 03/29/2016.... NOMURA SECURITIES INTL INC.................................................................................................. ............................................. .............................14,543,465 .............................13,598,974 ...................................45,330 1...............................3140EU P5 2 FNMA POOL #BC0443 3.500% 12/01/45..................................................................................... ........... 03/10/2016.... NOMURA SECURITIES INTL INC.................................................................................................. ............................................. ...........................152,560,406 ...........................146,308,024 .................................184,917 1...............................3140EV 5H 6 FNMA POOL #BC1747 3.500% 01/01/46..................................................................................... ........... 03/09/2016.... AMHERST SECURITIES GROUP INC........................................................................................... ............................................. ...........................140,888,157 ...........................134,942,263 .................................170,552 1...............................3140F0 GK 4 FNMA POOL #BC4701 4.000% 03/01/46..................................................................................... ........... 03/29/2016.... DAIWA CAP MKTS AMERICA........................................................................................................ ............................................. ..............................4,146,999 ..............................3,878,815 .....................................5,172 1...............................000000 00 0 FHLMC DOLLAR ROLLS FEBRUARY 3.500% 02/....................................................................... ........... 02/09/2016.... Various........................................................................................................................................... ............................................. ...........................337,084,058 ...........................321,100,000 .................................312,181 1...............................000000 00 0 FHLMC DOLLAR ROLLS MARCH 3.500% 03/01/........................................................................ ........... 02/03/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. ...........................286,249,240 ...........................272,500,000 .................................344,410 1...............................000000 00 0 FHLMC DOLLAR ROLLS APRIL 3.500% 04/01/........................................................................... ........... 02/24/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. ...........................286,249,240 ...........................272,500,000 .................................317,917 1...............................000000 00 0 FHLMC DOLLAR ROLLS FEBRUARY 4.000% 02/....................................................................... ........... 02/09/2016.... Various........................................................................................................................................... ............................................. ...........................126,435,352 ...........................118,500,000 .................................131,667 1...............................000000 00 0 FHLMC DOLLAR ROLLS MARCH 4.000% 03/01/........................................................................ ........... 02/09/2016.... Various........................................................................................................................................... ............................................. ...........................192,200,876 ...........................180,650,000 .................................260,939 1...............................000000 00 0 FHLMC DOLLAR ROLLS APRIL 4.000% 04/01/........................................................................... ........... 03/09/2016.... Various........................................................................................................................................... ............................................. ...........................192,200,876 ...........................180,650,000 .................................240,867 1...............................000000 00 0 FHLMC DOLLAR ROLLS APRIL 3.000% 04/01/........................................................................... ........... 03/30/2016.... Various........................................................................................................................................... ............................................. ...........................357,783,507 ...........................344,000,000 .................................487,333 1...............................000000 00 0 FHLMC DOLLAR ROLLS MAY 3.000% 05/01/31.......................................................................... ........... 03/30/2016.... Various........................................................................................................................................... ............................................. ...........................357,783,507 ...........................344,000,000 .................................487,333 1...............................000000 00 0 FNMA DOLLAR ROLLS FEBRUARY 3.500% 02/0....................................................................... ........... 01/11/2016.... MORGAN STANLEY & CO LLC..................................................................................................... ............................................. .............................36,776,108 .............................35,600,000 ...................................34,611 1...............................000000 00 0 FNMA DOLLAR ROLLS APRIL 3.000% 04/25/3........................................................................... ........... 03/15/2016.... GOLDMAN SACHS & CO............................................................................................................... ............................................. .............................91,534,177 .............................88,500,000 .................................125,375 1...............................

3199999. Total Bonds - U.S. Special Revenue and Special Assessment............................................................................................................... ....................................................................................................................................................................................................... ........................2,958,205,154 ........................2,825,849,976 ..............................3,552,804 XXXBonds - Industrial and Miscellaneous

02006E AD 1 ALLY AUTO REC TR 2012-4 ABS SER.2012-4 C........................................................................... ........... 01/26/2016.... TORONTO-DOMINION SEC USA INC........................................................................................... ............................................. ..............................2,064,357 ..............................2,065,648 ........................................643 1AM..........................02582J GJ 3 AMERICAN EXPRESS CREDIT ACCT ABS SER.201.................................................................... ........... 02/11/2016.... Various........................................................................................................................................... ............................................. .............................68,864,394 .............................68,801,000 ...................................12,680 1AM..........................

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE04.2

SCHEDULE D - PART 3 Show all Long-Term Bonds and Stock Acquired During the Current Quarter

1 2 3 4 5 6 7 8 9 10

CUSIP Identification Description Foreign Date Acquired Name of Vendor Number of Shares of Stock Actual Cost Par ValuePaid for Accrued Interest and

DividendsNAIC Designation orMarket Indicator (a)

02665W BA 8 AMERICAN HONDA FINANCE CORP SENIOR UNSEC................................................................ ........... 02/19/2016.... Various........................................................................................................................................... ............................................. ..............................4,006,380 ..............................4,000,000 ..........................................47 1FE..........................037833 BY 5 APPLE INC SENIOR UNSECURED GLOBAL NOTES................................................................... ........... 03/17/2016.... DEUTSCHE BANK SECURITIES INC............................................................................................ ............................................. .............................27,581,200 .............................27,000,000 ...................................55,972 1FE..........................05357H AA 8 AVENTURA MALL TRUST ABS ADJ SER.2013-AVM.................................................................... ........... 06/22/2015.... JEFFERIES LLC............................................................................................................................. ............................................. ............................................... ............................................... ....................................(1,247) 1FM..........................05377R AT 1 AVIS BUDGET RNTL FDG AESOP LLC ABS SER.2...................................................................... ........... 02/22/2016.... Various........................................................................................................................................... ............................................. ..............................6,685,941 ..............................6,620,000 .....................................3,135 1AM..........................05578X AC 2 BMW VEHICLE OWNER TRUST ABS SER.2013-A C.................................................................... ........... 01/22/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. ..............................2,451,340 ..............................2,454,024 ..........................................91 1AM..........................05581R AA 4 BMW VEHICLE LEASE TRUST ABS SER.2016-1 C...................................................................... ........... 02/09/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. .............................22,500,000 .............................22,500,000 ............................................... 1AM..........................05581R AE 6 BMW VEHICLE LEASE TRUST ABS SER.2016-1 C...................................................................... ........... 02/09/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. ..............................4,999,381 ..............................5,000,000 ............................................... 1AM..........................10112R AX 2 BOSTON PROPERTIES LP SENIOR UNSECURED NO................................................................ ........... 01/14/2016.... Various........................................................................................................................................... ............................................. .............................15,030,000 .............................15,000,000 ............................................... 2FE..........................114259 AN 4 BROOKLYN UNION GAS COMPANY SENIOR UNSECU.............................................................. ........... 03/07/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. .............................12,000,000 .............................12,000,000 ............................................... 1FE..........................114259 AP 9 BROOKLYN UNION GAS COMPANY SENIOR UNSECU.............................................................. ........... 03/08/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. .............................18,058,260 .............................18,000,000 ........................................375 1FE..........................12592F AA 3 COMM MORTGAGE TRUST ABS SER.2014-277P CL.................................................................. ........... 02/12/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. .............................19,512,798 .............................18,690,000 ...................................31,873 1FM..........................12649A AA 7 CREDIT SUISSE MORTGAGE TRUST ABS SER.201................................................................... ........... 02/17/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. .............................10,227,734 .............................10,000,000 ...................................19,273 1FM..........................14041N EM 9 CAPITAL ONE MULTI-ASSET EXE TR ABS SER.2....................................................................... ........... 02/11/2016.... Various........................................................................................................................................... ............................................. .............................69,921,165 .............................69,889,000 ...................................16,363 1AM..........................14313M AC 8 CARMAX AUTO OWNER TRUST ABS SER.2013-2 C................................................................... ........... 01/26/2016.... TORONTO-DOMINION SEC USA INC........................................................................................... ............................................. .................................598,499 .................................599,108 ........................................156 1AM..........................14313U AB 2 CARMAX AUTO OWNER TRUST ABS SER.2014-4 C................................................................... ........... 01/26/2016.... TORONTO-DOMINION SEC USA INC........................................................................................... ............................................. ..............................1,178,169 ..............................1,179,044 ........................................307 1AM..........................14313U AH 9 CARMAX AUTO OWNER TRUST ABS FLOAT SER.20................................................................. ........... 01/26/2016.... TORONTO-DOMINION SEC USA INC........................................................................................... ............................................. ..............................1,237,302 ..............................1,237,592 ........................................335 1AM..........................14313W AB 8 CARMAX AUTO OWNER TRUST ABS SER.2015-1 C................................................................... ........... 02/08/2016.... CITIGROUP GLOBAL MKTS.......................................................................................................... ............................................. .............................16,104,632 .............................16,104,003 ...................................10,235 1AM..........................14313Y AA 6 CARMAX AUTO OWNER TRUST ABS SER.2016-1 C................................................................... ........... 01/26/2016.... BARCLAYS CAPITAL INC.............................................................................................................. ............................................. .............................20,000,000 .............................20,000,000 ............................................... 1AM..........................161571 GC 2 CHASE ISSUANCE TRUST ABS SER. 2013-A8 CL....................................................................... ........... 01/20/2016.... Various........................................................................................................................................... ............................................. .............................44,469,652 .............................44,445,000 .....................................9,053 1AM..........................161571 GR 9 CHASE ISSUANCE TRUST ABS FLOAT SER.2014-..................................................................... ........... 01/15/2016.... CREDIT SUISSE SEC USA LLC.................................................................................................... ............................................. ..............................5,197,812 ..............................5,197,000 ........................................585 1AM..........................166754 AK 7 CHEVRON PHILLIPS CHEMICAL CO SENIOR UNSE................................................................... ........... 02/08/2016.... Various........................................................................................................................................... ............................................. .............................19,765,769 .............................20,000,000 ...................................93,028 1FE..........................17275R BC 5 CISCO SYSTEMS INC SENIOR UNSECURED GLOBA................................................................. ........... 02/22/2016.... JP MORGAN SECURITIES LL....................................................................................................... ............................................. ..............................9,992,400 .............................10,000,000 ............................................... 1Z.............................17305E FE 0 CITIBANK CREDIT CARD ISSUANCE ABS SER.20...................................................................... ........... 01/15/2016.... DEUTSCHE BANK SECURITIES INC............................................................................................ ............................................. .............................70,169,531 .............................70,000,000 .................................343,933 1AM..........................20030N BR 1 COMCAST CORP SENIOR UNSECURED GLOBAL NOT.............................................................. ........... 03/22/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. .............................15,280,650 .............................15,000,000 ...................................42,396 1FE..........................24422E TF 6 JOHN DEERE CAPITAL CORP SENIOR UNSECURED................................................................ ........... 01/05/2016.... BARCLAYS CAPITAL INC.............................................................................................................. ............................................. ..............................6,992,790 ..............................7,000,000 ............................................... 1FE..........................24422E TG 4 JOHN DEERE CAPITAL CORP SR UNSEC MEDIUM................................................................... ........... 03/01/2016.... MITSUBISHI UFJ SEC USA........................................................................................................... ............................................. ..............................2,996,400 ..............................3,000,000 ............................................... 1FE..........................254683 AS 4 DISCOVER CARD EXECUTION NOTE T ABS FLOAT.................................................................. ........... 01/15/2016.... CREDIT SUISSE SEC USA LLC.................................................................................................... ............................................. ..............................9,598,616 ..............................9,590,000 .....................................1,240 1AM..........................254683 BE 4 DISCOVER CARD EXECUTION NOTE T ABS SER.2.................................................................... ........... 01/22/2016.... Various........................................................................................................................................... ............................................. .............................31,514,434 .............................31,500,000 .....................................9,909 1AM..........................25468P DK 9 DISNEY (WALT) CO THE SENIOR UNSECURED NO................................................................... ........... 01/05/2016.... CITIGROUP GLOBAL MKTS.......................................................................................................... ............................................. .............................11,952,000 .............................12,000,000 ............................................... 1FE..........................260543 BX 0 DOW CHEMICAL CO SENIOR UNSEC GLOBAL NOTE................................................................ ........... 02/05/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. ..............................9,391,500 ..............................8,000,000 .................................160,313 2Z.............................26442C AQ 7 DUKE ENERGY CAROLINAS LLC SECURED GLOBAL................................................................ ........... 03/08/2016.... CITIGROUP GLOBAL MKTS.......................................................................................................... ............................................. .............................14,994,150 .............................15,000,000 ............................................... 1Z.............................278865 AU 4 ECOLAB INC SENIOR UNSECURED GLOBAL NOTES................................................................ ........... 01/11/2016.... Various........................................................................................................................................... ............................................. .............................32,001,900 .............................32,000,000 ............................................... 2FE..........................283677 AZ 5 EL PASO ELECTRIC CO SENIOR UNSECURED NOT.................................................................. ........... 03/29/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. ..............................9,508,310 ..............................9,000,000 .................................143,194 2FE..........................29364D AU 4 ENTERGY ARKANSAS INC 1ST MORTGAGE BONDS................................................................. ........... 01/05/2016.... GOLDMAN SACHS & CO............................................................................................................... ............................................. ..............................4,983,550 ..............................5,000,000 ............................................... 1Z.............................29365T AE 4 ENTERGY TEXAS INC 1ST MTGE SECURED NOTES................................................................. ........... 03/08/2016.... GOLDMAN SACHS & CO............................................................................................................... ............................................. .............................19,961,600 .............................20,000,000 ............................................... 2Z.............................29372E BB 3 ENTERPRISE FLEET FINANCING LLC ABS SER.2...................................................................... ........... 01/15/2016.... NOMURA SECURITIES INTL INC.................................................................................................. ............................................. ..............................3,520,965 ..............................3,531,449 ..........................................85 1AM..........................29372E BN 7 ENTERPRISE FLEET FINANCING LLC ABS SER.2...................................................................... ........... 02/09/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. .............................38,000,000 .............................38,000,000 ............................................... 1Z.............................30219G AM 0 EXPRESS SCRIPTS HOLDING COMPAN SENIOR UN................................................................. ........... 02/22/2016.... CITIGROUP GLOBAL MKTS.......................................................................................................... ............................................. .............................13,925,380 .............................14,000,000 ............................................... 2FE..........................30231G AP 7 EXXON MOBIL CORP SENIOR UNSECURED GLOBAL............................................................... ........... 02/29/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. ..............................2,000,000 ..............................2,000,000 ............................................... 1FE..........................

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE04.3

SCHEDULE D - PART 3 Show all Long-Term Bonds and Stock Acquired During the Current Quarter

1 2 3 4 5 6 7 8 9 10

CUSIP Identification Description Foreign Date Acquired Name of Vendor Number of Shares of Stock Actual Cost Par ValuePaid for Accrued Interest and

DividendsNAIC Designation orMarket Indicator (a)

30231G AR 3 EXXON MOBIL CORP CALL SR UNSEC GLOBAL NO.................................................................. ........... 02/29/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. ..............................5,000,000 ..............................5,000,000 ............................................... 1Z.............................31679J AC 7 FIFTH THIRD AUTO TRUST ABS SER.2014-1 CL........................................................................ ........... 01/26/2016.... TORONTO-DOMINION SEC USA INC........................................................................................... ............................................. ..............................1,674,935 ..............................1,677,097 ........................................444 1AM..........................

34529W AD 2 FORDO ABS SER.2012-B CL.A4 1.000% 09/1............................................................................. ........... 01/22/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. ..............................1,273,226 ..............................1,273,028 ........................................424 1AM..........................34529Y AC 0 FORD CREDIT AUTO OWNER TRUST ABS SER.201.................................................................. ........... 01/26/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. .............................12,531,899 .............................12,533,857 .....................................3,851 1AM..........................34531P AA 9 FORD CREDIT AUTO OWNER TRUST ABS SER.201.................................................................. ........... 01/20/2016.... CREDIT SUISSE SEC USA LLC.................................................................................................... ............................................. .............................12,000,000 .............................12,000,000 ............................................... 1AM..........................36250U AA 2 GM FINANCIAL AUTOMOBILE LEASIN ABS SER.2...................................................................... ........... 02/19/2016.... JP MORGAN SECURITIES LL....................................................................................................... ............................................. .............................14,000,000 .............................14,000,000 ............................................... 1FE..........................36251G AA 2 GSMS 2016-RENT ABS SER.2016-RENT CL.A............................................................................. ........... 03/08/2016.... GOLDMAN SACHS & CO............................................................................................................... ............................................. .............................30,899,454 .............................30,000,000 ...................................45,376 1AM..........................36251H AA 0 GSMS 2016-ICE2 ABS SER.2016-ICE2 CL.A................................................................................. ........... 03/10/2016.... GOLDMAN SACHS & CO............................................................................................................... ............................................. .............................12,500,000 .............................12,500,000 ............................................... 1AM..........................40407* AA 3 HANNON ARMSTRONG 2006 TRUST HA NOR FED R................................................................. ........... 03/01/2016.... Interest Capitalization..................................................................................................................... ............................................. ...................................65,464 ...................................65,464 ............................................... 1...............................

41068@ AA 9 HANNON ARMSTRONG 2006 TRUST GTD SENIOR N................................................................ ........... 03/10/2016.... Interest Capitalization..................................................................................................................... ............................................. ...................................94,481 ...................................94,481 ............................................... 1...............................42251# AY 0 HEB GROCERY COMPANY LP SENIOR NOTES SER.................................................................. ........... 01/28/2016.... JP MORGAN SECURITIES LL....................................................................................................... ............................................. ..............................8,000,000 ..............................8,000,000 ............................................... 1Z.............................42806D AQ 2 HERTZ VEHICLE FINANCING LLC ABS SER.2016....................................................................... ........... 02/04/2016.... BARCLAYS CAPITAL INC.............................................................................................................. ............................................. ..............................9,997,676 .............................10,000,000 ............................................... 1AM..........................42806D AU 3 HERTZ VEHICLE FINANCING LLC ABS SER.2016....................................................................... ........... 02/04/2016.... BARCLAYS CAPITAL INC.............................................................................................................. ............................................. .............................19,995,446 .............................20,000,000 ............................................... 1AM..........................43289U AA 3 HILTON USA TRUST ABS FLOAT SER.2013-HLF........................................................................ ........... 02/04/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. .............................11,806,095 .............................11,819,022 .....................................1,876 1FM..........................437076 BM 3 HOME DEPOT INC SENIOR UNSECURED GLOBAL N................................................................ ........... 02/04/2016.... JP MORGAN SECURITIES LL....................................................................................................... ............................................. .............................16,965,820 .............................17,000,000 ............................................... 1FE..........................43814F AC 6 HONDA AUTO REC OWNER TRUST ABS SER.2013-.................................................................. ........... 01/22/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. ..............................4,932,451 ..............................4,937,273 ........................................852 1AM..........................443510 AG 7 HUBBELL INC SENIOR UNSECURED GLOBAL NOTE................................................................. ........... 02/23/2016.... JP MORGAN SECURITIES LL....................................................................................................... ............................................. .............................11,909,280 .............................12,000,000 ............................................... 1FE..........................44890L AC 8 HYUNDAI AUTO RECEIVABLES TRUST ABS SER.2.................................................................... ........... 01/22/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. ..............................1,063,484 ..............................1,063,734 ........................................252 1AM..........................

44891M AA 9 HYUNDAI AUTO LEASE SECURITZN ABS SER.201.................................................................... ........... 01/26/2016.... BARCLAYS CAPITAL INC.............................................................................................................. ............................................. ..............................8,000,000 ..............................8,000,000 ............................................... 1AM..........................46355* AE 4 IROQUOIS GAS TRANS SYSTEM LP SENIOR NOTE................................................................... ........... 03/14/2016.... CRT CAPITAL GROUP.................................................................................................................. ............................................. ..............................3,263,100 ..............................3,000,000 ...................................53,040 2...............................478160 BU 7 JOHNSON & JOHNSON SENIOR UNSECURED GLOBA.............................................................. ........... 02/26/2016.... JP MORGAN SECURITIES LL....................................................................................................... ............................................. .............................14,921,250 .............................15,000,000 ............................................... 1FE..........................48203R AL 8 JUNIPER NETWORKS INC SENIOR UNSECURED GL................................................................. ........... 02/23/2016.... JP MORGAN SECURITIES LL....................................................................................................... ............................................. .............................14,988,450 .............................15,000,000 ............................................... 2Z.............................559080 AK 2 MAGELLAN MIDSTREAM PTNRS LP SENIOR UNSEC................................................................ ........... 02/23/2016.... Various........................................................................................................................................... ............................................. .............................16,192,200 .............................16,000,000 ............................................... 2Z.............................571748 BA 9 MARSH & MCLENNAN COMPANIES INC SENIOR UN................................................................. ........... 03/09/2016.... CITIGROUP GLOBAL MKTS.......................................................................................................... ............................................. ..............................2,996,640 ..............................3,000,000 ............................................... 1Z.............................58768L AC 7 MERCEDES-BENZ AUTO LEASE TRUST ABS SER.2.................................................................. ........... 01/26/2016.... TORONTO-DOMINION SEC USA INC........................................................................................... ............................................. ..............................1,291,503 ..............................1,291,301 ........................................374 1AM..........................65475U AD 4 NISSAN AUTO RECVBLES OWNER TR ABS SER.20................................................................... ........... 01/26/2016.... TORONTO-DOMINION SEC USA INC........................................................................................... ............................................. .................................945,552 .................................945,441 ........................................368 1AM..........................65477U AB 6 NISSAN AUTO RECVBLES OWNER TR ABS SER.20................................................................... ........... 02/23/2016.... CITIGROUP GLOBAL MKTS.......................................................................................................... ............................................. ..............................6,195,968 ..............................6,198,389 .....................................1,269 1AM..........................65478U AA 7 NISSAN AUTO RECEIVABLES ABS SER.2016-A C...................................................................... ........... 02/03/2016.... MERRILL LYNCH PFS................................................................................................................... ............................................. .............................17,000,000 .............................17,000,000 ............................................... 1FE..........................687847 AB 9 OSCAR US FUNDING TRUST ABS SER.2014-1A C..................................................................... ........... 02/17/2016.... BNP PARIBAS SEC CORP........................................................................................................... ............................................. .................................560,092 .................................560,508 ........................................109 1AM..........................

68784W AA 6 OSCAR US FUNDING TRUST ABS SER.2016-1A C..................................................................... ........... 03/18/2016.... MIZUHO SECURITIES USA INC.................................................................................................... ............................................. .............................13,000,000 .............................13,000,000 ............................................... 1FE..........................69371R M9 4 PACCAR FINANCIAL CORP SENIOR UNSECURED N................................................................. ........... 02/22/2016.... CITIGROUP GLOBAL MKTS.......................................................................................................... ............................................. ..............................6,992,790 ..............................7,000,000 ............................................... 1FE..........................694308 HP 5 PACIFIC GAS & ELECTRIC CO SENIOR UNSECUR.................................................................... ........... 02/23/2016.... MORGAN STANLEY & CO LLC..................................................................................................... ............................................. ..............................6,981,380 ..............................7,000,000 ............................................... 1FE..........................74005P BQ 6 PRAXAIR INC SENIOR UNSECURED GLOBAL NOTE................................................................. ........... 02/04/2016.... Various........................................................................................................................................... ............................................. .............................28,639,440 .............................28,000,000 ...................................26,311 1FE..........................

74465@ AA 9 PRISA II SENIOR NOTES SER.A 4.350% 02/.............................................................................. ........... 01/15/2016.... JP MORGAN SECURITIES LL....................................................................................................... ............................................. ..............................2,000,000 ..............................2,000,000 ............................................... 2Z.............................74465@ AC 5 PRISA II SENIOR NOTES SER.C 4.510% 02/.............................................................................. ........... 01/15/2016.... JP MORGAN SECURITIES LL....................................................................................................... ............................................. ..............................8,000,000 ..............................8,000,000 ............................................... 2Z.............................78355H KB 4 RYDER SYSTEM INC SENIOR UNSECURED NOTES.................................................................. ........... 02/19/2016.... Various........................................................................................................................................... ............................................. ..............................8,801,063 ..............................8,750,000 ............................................... 2FE..........................855244 AJ 8 STARBUCKS CORP SENIOR UNSECURED GLOBAL N............................................................... ........... 02/01/2016.... GOLDMAN SACHS & CO............................................................................................................... ............................................. ..............................6,996,010 ..............................7,000,000 ............................................... 1FE..........................863667 AM 3 STRYKER CORP SENIOR UNSECURED GLOBAL NOT............................................................... ........... 03/03/2016.... GOLDMAN SACHS & CO............................................................................................................... ............................................. ..............................6,997,340 ..............................7,000,000 ............................................... 2FE..........................871829 BA 4 SYSCO CORP SENIOR UNSECURED GLOBAL NOTES.............................................................. ........... 03/22/2016.... DEUTSCHE BANK SECURITIES INC............................................................................................ ............................................. ..............................4,997,400 ..............................5,000,000 ............................................... 2FE..........................89171V AK 3 TOWD POINT MORTGAGE TRUST ABS SER.2015-5................................................................... ........... 02/04/2016.... RAYMOND JAMES & ASSOC INC................................................................................................. ............................................. ..............................9,515,543 ..............................9,468,202 .....................................5,786 1FM..........................

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE04.4

SCHEDULE D - PART 3 Show all Long-Term Bonds and Stock Acquired During the Current Quarter

1 2 3 4 5 6 7 8 9 10

CUSIP Identification Description Foreign Date Acquired Name of Vendor Number of Shares of Stock Actual Cost Par ValuePaid for Accrued Interest and

DividendsNAIC Designation orMarket Indicator (a)

89236T CU 7 TOYOTA MOTOR CREDIT CORP SENIOR UNSECURE.............................................................. ........... 02/16/2016.... CITIGROUP GLOBAL MKTS.......................................................................................................... ............................................. ..............................6,999,160 ..............................7,000,000 ............................................... 1FE..........................89236V AC 4 TOYOTA AUTO REC 2013-B OWNER T ABS SER.2..................................................................... ........... 03/31/2016.... Various........................................................................................................................................... ............................................. ..............................1,465,935 ..............................1,465,935 ........................................515 1AM..........................902055 AA 0 LIBERTY STREET TRUST ABS SER.2016-225L C........................................................................ ........... 02/17/2016.... CITIGROUP GLOBAL MKTS.......................................................................................................... ............................................. .............................16,479,570 .............................16,000,000 ...................................44,763 1AM..........................907818 EJ 3 UNION PACIFIC CORP SENIOR UNSECURED NOTE................................................................. ........... 02/25/2016.... MORGAN STANLEY & CO LLC..................................................................................................... ............................................. .............................12,335,250 .............................12,500,000 ............................................... 1FE..........................927804 FU 3 VIRGINIA ELECTRIC & POWER CO SENIOR UNSE.................................................................... ........... 01/12/2016.... GOLDMAN SACHS & CO............................................................................................................... ............................................. .............................14,998,650 .............................15,000,000 ............................................... 1FE..........................92890K BA 2 WF RBS COMMERCIAL MORTGAGE TR ABS SER.20................................................................. ........... 02/19/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. .............................11,165,418 .............................10,590,000 ...................................25,385 1FM..........................95000C BB 8 WELLS FARGO COMM MORTGAGE TR ABS SER.201................................................................ ........... 02/18/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. .............................25,748,800 .............................25,000,000 ...................................63,108 1AM..........................95000L AZ 6 WELLS FARGO COMM TR 2016-C33 ABS SER.201..................................................................... ........... 03/18/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. .............................15,449,025 .............................15,000,000 ...................................42,825 1AM..........................96221T AE 7 WF RBS COMMERCIAL MORTGAGE TR ABS SER.20................................................................. ........... 02/10/2016.... WELLS FARGO SEC LLC.............................................................................................................. ............................................. ..............................7,363,450 ..............................6,803,000 ...................................11,466 1FM..........................98160Q AC 6 WORLD OMNI AUTO TR 2014-B ABS SER.2014-B....................................................................... ........... 01/26/2016.... TORONTO-DOMINION SEC USA INC........................................................................................... ............................................. .................................784,858 .................................785,103 ........................................200 1AM..........................EK2700 33 5 ILLINOIS TOOL WORKS INC SR UNSEC EURO ME.................................................................... O........ 01/11/2016.... RBC CAPITAL MARKETS LLC....................................................................................................... ............................................. ..............................8,912,967 ..............................8,420,375 .................................165,647 1FE..........................30218# AA 9 EXPRESS PIPELINE LP SENIOR SECURED NOTES................................................................... A........ 03/09/2016.... CRT CAPITAL GROUP.................................................................................................................. ............................................. ..............................6,474,060 ..............................6,000,000 ...................................61,915 2FE..........................89352H AT 6 TRANSCANADA PIPELINES LTD SENIOR UNSECUR................................................................. A........ 01/22/2016.... DEUTSCHE BANK SECURITIES INC............................................................................................ ............................................. ..............................7,966,480 ..............................8,000,000 ............................................... 1FE..........................Q6518# AD 2 NSW PORTS FINANCE CO PTY LTD SENIOR SECU................................................................... R........ 10/15/2015.... MERRILL LYNCH PFS................................................................................................................... ............................................. ..............................5,000,000 ..............................5,000,000 ............................................... 2...............................

3899999. Total Bonds - Industrial and Miscellaneous............................................................................................................................................ ....................................................................................................................................................................................................... ........................1,204,368,016 ........................1,195,145,078 ..............................1,510,130 XXX8399997. Total Bonds - Part 3.......................................................................................................................................... ................................... ....................................................................................................................................................................................................... ........................4,516,105,967 ........................4,369,593,245 ..............................5,678,500 XXX8399999. Total Bonds...................................................................................................................................................... ................................... ....................................................................................................................................................................................................... ........................4,516,105,967 ........................4,369,593,245 ..............................5,678,500 XXXCommon Stocks - Parent, Subsidiaries and Affiliates

95081# 10 8 WESTKIN PROPERTIES LTD COMMON STOCK.......................................................................... ........... 02/09/2016.... Basis Adjustment............................................................................................................................ .........................365,000.000 .................................164,250 XXX ............................................... J...............................9199999. Total Common Stocks - Parent, Subsidiaries and Affiliates................................................................................................................... ....................................................................................................................................................................................................... .................................164,250 XXX ............................................0 XXX9799997. Total Common Stocks - Part 3.......................................................................................................................... ................................... ....................................................................................................................................................................................................... .................................164,250 XXX ............................................0 XXX9799999. Total Common Stocks...................................................................................................................................... ................................... ....................................................................................................................................................................................................... .................................164,250 XXX ............................................0 XXX9899999. Total Preferred and Common Stocks................................................................................................................ ................................... ....................................................................................................................................................................................................... .................................164,250 XXX ............................................0 XXX9999999. Total Bonds, Preferred and Common Stocks.................................................................................................... ................................... ....................................................................................................................................................................................................... ........................4,516,270,217 XXX ..............................5,678,500 XXX(a) For all common stock bearing the NAIC market indicator "U" provide: the number of such issues:...............0.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

Bonds - U.S. Government

04249@ AD 3 ARMY AND AIR FORCE EXCHG SVC SENIOR NOTE. . 03/15/2016. Redemption 100.0000.................... ............................... ..............184,170 ..............184,170 ..............184,170 ..............184,170 .......................... .......................... .......................... .......................0 .......................... ..............184,170 .......................... .......................... .......................0 ...........1,521 10/15/2024.... 1.............

36179R BX 6 GNMA POOL #MA2754 3.500% 04/20/45................... . 02/16/2016. CREDIT SUISSE SEC USA LLC......... ............................... .........52,785,083 .........50,075,482 .........52,794,675 .........52,770,487 .......................... ..............14,596 .......................... ..............14,596 .......................... .........52,785,083 .......................... .......................... .......................0 .......394,344 04/20/2045.... 1.............

36179R BX 6 GNMA POOL #MA2754 3.500% 04/20/45................... . 02/01/2016. Paydown.............................................. ............................... ...........1,107,231 ...........1,107,231 ...........1,167,355 ...........1,166,821 .......................... .............(59,590) .......................... .............(59,590) .......................... ...........1,107,231 .......................... .......................... .......................0 ...........4,698 04/20/2045.... 1.............

36179R F9 5 GNMA POOL #MA2892 3.500% 06/20/45................... . 02/16/2016. Various................................................ ............................... .........19,311,285 .........18,560,139 .........19,273,544 .........19,278,105 .......................... ...............(7,000) .......................... ...............(7,000) .......................... .........19,271,105 .......................... ..............40,180 ..............40,180 .......131,705 06/20/2045.... 1.............

36179R F9 5 GNMA POOL #MA2892 3.500% 06/20/45................... . 02/01/2016. Paydown.............................................. ............................... ..............292,116 ..............292,116 ..............303,344 ..............303,416 .......................... .............(11,300) .......................... .............(11,300) .......................... ..............292,116 .......................... .......................... .......................0 ...........1,200 06/20/2045.... 1.............

36179R S9 1 GNMA POOL #MA3244 3.500% 11/20/45................... . 02/16/2016. CREDIT SUISSE SEC USA LLC......... ............................... .........52,453,746 .........50,519,593 .........52,461,440 .........52,450,653 .......................... ................3,093 .......................... ................3,093 .......................... .........52,453,746 .......................... .......................... .......................0 .......397,842 11/20/2045.... 1.............

36179R S9 1 GNMA POOL #MA3244 3.500% 11/20/45................... . 02/01/2016. Paydown.............................................. ............................... ..............371,208 ..............371,208 ..............385,476 ..............385,397 .......................... .............(14,189) .......................... .............(14,189) .......................... ..............371,208 .......................... .......................... .......................0 ...........1,700 11/20/2045.... 1.............

36202B HP 3 GNMA POOL #001138 10.000% 02/20/19................... . 03/01/2016. Paydown.............................................. ............................... .....................255 .....................255 .....................261 .....................256 .......................... ......................(1) .......................... ......................(1) .......................... .....................255 .......................... .......................... .......................0 ..................3 02/20/2019.... 1.............

36202B KP 9 GNMA POOL #001202 10.000% 06/20/19................... . 03/01/2016. Paydown.............................................. ............................... .........................6 .........................6 .........................6 .........................6 .......................... .......................... .......................... .......................0 .......................... .........................6 .......................... .......................... .......................0 ...................... 06/20/2019.... 1.............

36202B P7 4 GNMA POOL #001346 10.000% 02/20/20................... . 03/01/2016. Paydown.............................................. ............................... .....................172 .....................172 .....................189 .....................177 .......................... ......................(5) .......................... ......................(5) .......................... .....................172 .......................... .......................... .......................0 ..................3 02/20/2020.... 1.............

36202D KL 4 GNMA POOL #002999 7.500% 11/20/30.................... . 03/01/2016. Paydown.............................................. ............................... .....................356 .....................356 .....................355 .....................355 .......................... .......................... .......................... .......................0 .......................... .....................356 .......................... .......................... .......................0 ..................4 11/20/2030.... 1.............

36202E PA 1 GNMA POOL #004017 6.000% 08/20/37.................... . 03/01/2016. Paydown.............................................. ............................... .....................144 .....................144 .....................146 .....................146 .......................... ......................(2) .......................... ......................(2) .......................... .....................144 .......................... .......................... .......................0 ..................2 08/20/2037.... 1.............

36202K MC 6 GNMA POOL #008455 1.875% 07/20/24.................... . 03/01/2016. Paydown.............................................. ............................... .....................241 .....................241 .....................249 .....................245 .......................... ......................(4) .......................... ......................(4) .......................... .....................241 .......................... .......................... .......................0 ..................1 07/20/2024.... 1.............

36216R 3E 2 GNMA POOL #172797 9.500% 09/15/16.................... . 03/01/2016. Paydown.............................................. ............................... .......................72 .......................72 .......................72 .......................72 .......................... .......................... .......................... .......................0 .......................... .......................72 .......................... .......................... .......................0 ..................1 09/15/2016.... 1.............

36219K ZT 6 GNMA POOL #251954 10.000% 11/15/18................... . 03/01/2016. Paydown.............................................. ............................... .....................643 .....................643 .....................712 .....................658 .......................... ....................(15) .......................... ....................(15) .......................... .....................643 .......................... .......................... .......................0 ................11 11/15/2018.... 1.............

36219S M3 0 GNMA POOL #257878 10.000% 05/15/19................... . 03/01/2016. Paydown.............................................. ............................... .......................53 .......................53 .......................58 .......................54 .......................... ......................(1) .......................... ......................(1) .......................... .......................53 .......................... .......................... .......................0 ..................1 05/15/2019.... 1.............

36220B CL 5 GNMA POOL #272875 10.000% 04/15/19................... . 03/01/2016. Paydown.............................................. ............................... ..................2,028 ..................2,028 ..................2,245 ..................2,082 .......................... ....................(53) .......................... ....................(53) .......................... ..................2,028 .......................... .......................... .......................0 ................34 04/15/2019.... 1.............

36225C B6 2 GNMA POOL #G280060 ADJ 1.750% 04/20/27......... . 03/01/2016. Paydown.............................................. ............................... ..................1,399 ..................1,399 ..................1,389 ..................1,392 .......................... .......................6 .......................... .......................6 .......................... ..................1,399 .......................... .......................... .......................0 ..................5 04/20/2027.... 1.............

36230M EN 3 GNMA POOL #752841 3.750% 10/15/26.................... . 03/01/2016. Paydown.............................................. ............................... ..............152,253 ..............152,253 ..............152,253 ..............152,253 .......................... .......................... .......................... .......................0 .......................... ..............152,253 .......................... .......................... .......................0 ..............953 10/15/2026.... 1.............

38373Y VX 9 GNMA CMO SER.2003-8 CL.VE 5.500% 04/16.......... . 03/01/2016. Paydown.............................................. ............................... ..............290,680 ..............290,680 ..............291,543 ..............290,044 .......................... ...................636 .......................... ...................636 .......................... ..............290,680 .......................... .......................... .......................0 ...........2,635 04/16/2025.... 1.............

38375J RJ 6 GNMA CMO FLOAT SER.2007-8 CL.FU 0.557%........ . 03/20/2016. Paydown.............................................. ............................... ..............165,293 ..............165,293 ..............165,293 ..............165,293 .......................... .......................... .......................... .......................0 .......................... ..............165,293 .......................... .......................... .......................0 ..............137 06/20/2035.... 1.............

696071 AA 7 PALAFOX STREET ASSOCIATES LP US GEN SVCS.. . 02/15/2016. Redemption 100.0000.................... ............................... ..............275,582 ..............275,582 ..............275,582 ..............275,582 .......................... .......................... .......................... .......................0 .......................... ..............275,582 .......................... .......................... .......................0 .........11,667 08/15/2017.... 1.............

83162C QK 2 SMALL BUSINESS ADMINISTRATION ABS SER.20.... . 01/01/2016. Paydown.............................................. ............................... ...........1,095,230 ...........1,095,230 ...........1,095,230 ...........1,095,230 .......................... .......................... .......................... .......................0 .......................... ...........1,095,230 .......................... .......................... .......................0 .........33,240 07/01/2026.... 1.............

83162C QL 0 SMALL BUSINESS ADMINISTRATION ABS SER.20.... . 02/01/2016. Paydown.............................................. ............................... ..............768,038 ..............768,038 ..............768,038 ..............768,038 .......................... .......................... .......................... .......................0 .......................... ..............768,038 .......................... .......................... .......................0 .........22,438 08/01/2026.... 1.............

83162C QN 6 SMALL BUSINESS ADMINISTRATION ABS SER.20.... . 03/01/2016. Paydown.............................................. ............................... ..............746,650 ..............746,650 ..............746,650 ..............746,650 .......................... .......................... .......................... .......................0 .......................... ..............746,650 .......................... .......................... .......................0 .........21,242 09/01/2026.... 1.............

911760 GH 3 VENDEE MORTGAGE TRUST CMO SER.1995-2B CL. . 03/01/2016. Paydown.............................................. ............................... ................93,529 ................93,529 ................98,792 ................95,495 .......................... ...............(1,965) .......................... ...............(1,965) .......................... ................93,529 .......................... .......................... .......................0 ...........1,210 06/15/2025.... 1.............

911760 LT 1 VENDEE MORTGAGE TRUST CMO SER.1998-2 CL... . 03/01/2016. Paydown.............................................. ............................... ..................5,444 ..................5,444 ..................5,425 ..................5,427 .......................... .....................17 .......................... .....................17 .......................... ..................5,444 .......................... .......................... .......................0 ................61 10/15/2027.... 1.............

911760 LY 0 VENDEE MORTGAGE TRUST CMO SER.1998-3 CL... . 03/01/2016. Paydown.............................................. ............................... ................38,077 ................38,077 ................38,702 ................38,340 .......................... ..................(263) .......................... ..................(263) .......................... ................38,077 .......................... .......................... .......................0 ..............396 03/15/2029.... 1.............

911760 RE 8 VENDEE MORTGAGE TRUST CMO SER.2002-1 CL... . 03/01/2016. Paydown.............................................. ............................... ..............138,210 ..............138,210 ..............139,916 ..............140,098 .......................... ...............(1,888) .......................... ...............(1,888) .......................... ..............138,210 .......................... .......................... .......................0 ...........1,158 10/15/2031.... 1.............

911760 TJ 5 VENDEE MORTGAGE TRUST CMO SER.2003-2 CL... . 03/01/2016. Paydown.............................................. ............................... ..............123,877 ..............123,877 ..............117,069 ..............123,085 .......................... ...................792 .......................... ...................792 .......................... ..............123,877 .......................... .......................... .......................0 ..............982 07/15/2030.... 1.............

912810 EH 7 UNITED STATES OF AMERICA TREASURY NOTES... . 03/10/2016. 10000 GWL- Surplus........................... ............................... ..............262,110 ..............200,000 ..............262,110 ............................ .......................... .......................... .......................... .......................0 .......................... ..............262,110 .......................... .......................... .......................0 ..............692 02/15/2021.... 1.............

912828 H2 9 UNITED STATES OF AMERICA TREASURY NOTES... . 02/04/2016. Various................................................ ............................... .........10,000,513 .........10,000,000 ...........9,993,750 ...........9,993,767 .......................... ...................642 .......................... ...................642 .......................... ...........9,994,409 .......................... ................6,105 ................6,105 ...........6,696 12/31/2016.... 1.............

912828 K7 4 UNITED STATES OF AMERICA TREASURY NOTES... . 02/25/2016. Various................................................ ............................... .........57,963,306 .........57,000,000 .........55,762,266 .........55,776,420 .......................... ..............16,330 .......................... ..............16,330 .......................... .........55,792,750 .......................... .........2,170,555 .........2,170,555 .......591,343 08/15/2025.... 1.............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.1

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

912828 M4 9 UNITED STATES OF AMERICA TREASURY NOTES... . 01/08/2016. Various................................................ ............................... .........64,795,898 .........65,000,000 .........64,520,430 .........64,529,217 .......................... ................1,721 .......................... ................1,721 .......................... .........64,530,938 .......................... ............264,961 ............264,961 .......241,071 10/31/2022.... 1.............

912828 M5 6 UNITED STATES OF AMERICA TREASURY NOTES... . 03/31/2016. Various................................................ ............................... .......133,788,103 .......130,000,000 .......129,483,379 .......123,426,722 .......................... ................4,912 .......................... ................4,912 .......................... .......129,488,411 .......................... .........4,299,692 .........4,299,692 .......689,341 11/15/2025.... 1.............

912828 XG 0 UNITED STATES OF AMERICA TREASURY NOTES... . 01/05/2016. MERRILL LYNCH PFS........................ ............................... ...........7,053,839 ...........7,000,000 ...........7,053,320 ...........7,050,326 .......................... ..................(153) .......................... ..................(153) .......................... ...........7,050,173 .......................... ................3,666 ................3,666 ...........3,269 06/30/2022.... 1.............

92261U AA 2 VENDEE MORTGAGE TRUST CMO SER.2008-1 CL... . 03/01/2016. Paydown.............................................. ............................... ..............593,504 ..............593,504 ..............595,336 ..............593,930 .......................... ..................(426) .......................... ..................(426) .......................... ..............593,504 .......................... .......................... .......................0 ...........4,510 01/15/2032.... 1.............

92261X AA 6 VENDEE MORTGAGE TRUST CMO SER.2010-1 CL... . 03/01/2016. Paydown.............................................. ............................... ..............530,037 ..............530,037 ..............539,686 ..............535,091 .......................... ...............(5,054) .......................... ...............(5,054) .......................... ..............530,037 .......................... .......................... .......................0 ...........2,893 02/15/2035.... 1.............

000000 00 0 GNMA DOLLAR ROLLS MARCH 3.500% 03/31/4...... . 02/24/2016. CREDIT SUISSE SEC USA LLC......... ............................... .......119,155,860 .......114,000,000 .......119,155,860 ............................ .......................... .......................... .......................... .......................0 .......................... .......119,155,860 .......................... .......................... .......................0 .......455,407 03/31/2046.... 1.............

0599999. Total Bonds - U.S Government.............................................................................................................................................................................................. .......524,546,241 .......509,331,712 .......517,836,316 .......392,345,500 .......................0 .............(59,164) .......................0 .............(59,164) .......................0 .......517,761,083 .......................0 .........6,785,159 .........6,785,159 ....3,024,416 XXX XXX

Bonds - U.S. States, Territories and Possessions

000000 00 0 CALIFORNIA LOTTERY -Avalos, Jose 0.000.............. . 03/08/2016. Redemption 100.0000.................... ............................... ................91,891 ................91,891 ................72,817 ............................ .......................... ..............19,074 .......................... ..............19,074 .......................... ................91,891 .......................... .......................... .......................0 ...................... 03/05/2027.... 1Z...........

000000 00 0 CALIFORNIA LOTTERY -Cabrera, Alfred 0................. . 03/08/2016. Redemption 100.0000.................... ............................... ................38,624 ................38,624 ................35,467 ............................ .......................... ................3,157 .......................... ................3,157 .......................... ................38,624 .......................... .......................... .......................0 ...................... 02/20/2020.... 1Z...........

13067# G2 9 CALIFORNIA LOTTERY -Leuttgerodt, Ione 3/............... . 01/05/2016. Redemption 100.0000.................... ............................... ..............143,500 ..............143,500 ................69,667 ..............119,469 .......................... ..............24,031 .......................... ..............24,031 .......................... ..............143,500 .......................... .......................... .......................0 ...................... 01/05/2021.... 2FE........

13067# M6 3 CALIFORNIA LOTTERY -Sellmeyer, Sheryl.................. . 01/08/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,770 ................49,930 .......................... .....................70 .......................... .....................70 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/08/2016.... 2FE........

13067# N7 0 CALIFORNIA LOTTERY -Turnour, Thomas 0.............. . 01/20/2016. Redemption 100.0000.................... ............................... ..............410,000 ..............410,000 ..............188,771 ..............315,875 .......................... ..............94,125 .......................... ..............94,125 .......................... ..............410,000 .......................... .......................... .......................0 ...................... 01/20/2023.... 2FE........

13067# R9 2 CALIFORNIA LOTTERY -Cooper, Harvey (2)................ . 01/12/2016. Redemption 100.0000.................... ............................... ..............168,000 ..............168,000 ................44,569 ..............132,232 .......................... ..............35,768 .......................... ..............35,768 .......................... ..............168,000 .......................... .......................... .......................0 ...................... 01/12/2022.... 2FE........

13067* BA 0 CALIFORNIA LOTTERY -Hernandez, Jose A................ . 02/20/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................31,354 ................43,793 .......................... ................6,207 .......................... ................6,207 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/20/2020.... 2FE........

13067* BT 9 CALIFORNIA LOTTERY -David, Gina 0.000%............ . 01/05/2016. Redemption 100.0000.................... ............................... ..............143,500 ..............143,500 ................78,390 ..............123,034 .......................... ..............20,466 .......................... ..............20,466 .......................... ..............143,500 .......................... .......................... .......................0 ...................... 01/05/2021.... 2FE........

13067* DM 2 CALIFORNIA LOTTERY -Portillo, Melvin 0.................. . 03/05/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................19,130 ................23,607 .......................... ................1,393 .......................... ................1,393 .......................... ................25,000 .......................... .......................... .......................0 ...................... 03/05/2018.... 2FE........

13067* EB 5 CALIFORNIA LOTTERY -Muhammed, Tchaka (2)........ . 01/20/2016. Redemption 100.0000.................... ............................... ..............162,000 ..............162,000 ..............123,913 ..............153,006 .......................... ................8,994 .......................... ................8,994 .......................... ..............162,000 .......................... .......................... .......................0 ...................... 01/20/2018.... 2FE........

13067* EG 4 CALIFORNIA LOTTERY -Hayes, James A. (8).............. . 01/05/2016. Redemption 100.0000.................... ............................... ..............633,333 ..............633,333 ..............387,789 ..............611,957 .......................... ..............21,377 .......................... ..............21,377 .......................... ..............633,333 .......................... .......................... .......................0 ...................... 01/05/2017.... 2FE........

13067* EJ 8 CALIFORNIA LOTTERY -Romo, Trudy 0.000%.......... . 01/05/2016. Redemption 100.0000.................... ............................... ..............440,000 ..............440,000 ..............325,071 ..............439,658 .......................... ...................342 .......................... ...................342 .......................... ..............440,000 .......................... .......................... .......................0 ...................... 01/05/2016.... 2FE........

13067* EL 3 CALIFORNIA LOTTERY -Romo, Trudy (2) 0............... . 01/05/2016. Redemption 100.0000.................... ............................... ..............200,000 ..............200,000 ..............101,284 ..............149,241 .......................... ..............50,759 .......................... ..............50,759 .......................... ..............200,000 .......................... .......................... .......................0 ...................... 01/05/2023.... 2FE........

13067* ES 8 CALIFORNIA LOTTERY -Romo (3), Trudy 0............... . 01/05/2016. Redemption 100.0000.................... ............................... ..............194,428 ..............194,428 ..............124,914 ..............153,670 .......................... ..............40,758 .......................... ..............40,758 .......................... ..............194,428 .......................... .......................... .......................0 ...................... 01/05/2023.... 2FE........

13067* EX 7 CALIFORNIA LOTTERY -Hyatt, Michele R.................... . 02/20/2016. Redemption 100.0000.................... ............................... ................20,000 ................20,000 ................10,714 ................14,210 .......................... ................5,790 .......................... ................5,790 .......................... ................20,000 .......................... .......................... .......................0 ...................... 02/20/2025.... 2FE........

13067* FE 8 CALIFORNIA LOTTERY -Romo, Trudy (4) 0............... . 01/05/2016. Redemption 100.0000.................... ............................... ..............175,000 ..............175,000 ..............114,584 ..............139,157 .......................... ..............35,843 .......................... ..............35,843 .......................... ..............175,000 .......................... .......................... .......................0 ...................... 01/05/2023.... 2FE........

13067* FH 1 CALIFORNIA LOTTERY -Kennedy, Sarah L.................. . 01/05/2016. Redemption 100.0000.................... ............................... ................20,000 ................20,000 ................12,188 ................15,159 .......................... ................4,841 .......................... ................4,841 .......................... ................20,000 .......................... .......................... .......................0 ...................... 01/05/2024.... 2FE........

13067* FJ 7 CALIFORNIA LOTTERY -Coleman, Claude (2)............. . 03/05/2016. Redemption 100.0000.................... ............................... ................20,000 ................20,000 ................12,185 ................14,367 .......................... ................5,633 .......................... ................5,633 .......................... ................20,000 .......................... .......................... .......................0 ...................... 03/05/2023.... 2FE........

13067* FL 2 CALIFORNIA LOTTERY -Marpuri, Leslie 0.................. . 01/20/2016. Redemption 100.0000.................... ............................... ................32,000 ................32,000 ................17,565 ................21,392 .......................... ..............10,608 .......................... ..............10,608 .......................... ................32,000 .......................... .......................... .......................0 ...................... 01/20/2026.... 2FE........

13067* FN 8 CALIFORNIA LOTTERY -Temores, Noel 0.00............. . 02/20/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................13,269 ................16,022 .......................... ................8,978 .......................... ................8,978 .......................... ................25,000 .......................... .......................... .......................0 ...................... 02/20/2029.... 2FE........

13067* GD 9 CALIFORNIA LOTTERY -Ung, Cheng 0.000%............ . 01/20/2016. Redemption 100.0000.................... ............................... ..............100,000 ..............100,000 ................79,277 ................91,494 .......................... ................8,506 .......................... ................8,506 .......................... ..............100,000 .......................... .......................... .......................0 ...................... 01/20/2019.... 2FE........

13067* GE 7 CALIFORNIA LOTTERY -Romo, Trudy (5) 0............... . 01/05/2016. Redemption 100.0000.................... ............................... ..............250,208 ..............250,208 ..............181,615 ..............206,461 .......................... ..............43,747 .......................... ..............43,747 .......................... ..............250,208 .......................... .......................... .......................0 ...................... 01/05/2023.... 2FE........

13067* GJ 6 CALIFORNIA LOTTERY -Montes, Randy 0.00............ . 03/05/2016. Redemption 100.0000.................... ............................... ................41,487 ................41,487 ................26,621 ................29,845 .......................... ..............11,642 .......................... ..............11,642 .......................... ................41,487 .......................... .......................... .......................0 ...................... 03/05/2027.... 2FE........

13067* GL 1 CALIFORNIA LOTTERY -Romo ,Trudy (6) 0............... . 01/05/2016. Redemption 100.0000.................... ............................... ..............204,000 ..............204,000 ..............153,315 ..............168,332 .......................... ..............35,668 .......................... ..............35,668 .......................... ..............204,000 .......................... .......................... .......................0 ...................... 01/05/2023.... 2FE........

13067* GX 5 CALIFORNIA LOTTERY -Mondragon, Richard F........... . 02/05/2016. Redemption 100.0000.................... ............................... ................10,000 ................10,000 ..................7,044 ..................7,656 .......................... ................2,344 .......................... ................2,344 .......................... ................10,000 .......................... .......................... .......................0 ...................... 02/05/2025.... 2FE........

13067* HB 2 CALIFORNIA LOTTERY -Gruell, Stephanie K............... . 01/05/2016. Redemption 100.0000.................... ............................... ..............200,000 ..............200,000 ..............178,934 ..............194,601 .......................... ................5,399 .......................... ................5,399 .......................... ..............200,000 .......................... .......................... .......................0 ...................... 01/05/2017.... 2FE........

13067* HH 9 CALIFORNIA LOTTERY -Tiu, Jonathan 0.00............... . 01/05/2016. Redemption 100.0000.................... ............................... ................76,000 ................76,000 ................50,623 ................52,936 .......................... ..............23,064 .......................... ..............23,064 .......................... ................76,000 .......................... .......................... .......................0 ...................... 01/05/2031.... 2FE........

13067* HU 0 CALIFORNIA LOTTERY -Salas, Luis A (2).................... . 03/20/2016. Redemption 100.0000.................... ............................... ................20,000 ................20,000 ................11,043 ................11,893 .......................... ................8,107 .......................... ................8,107 .......................... ................20,000 .......................... .......................... .......................0 ...................... 03/20/2034.... 2FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.2

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

13067* HV 8 CALIFORNIA LOTTERY -Temores, Noel (2).................. . 02/20/2016. Redemption 100.0000.................... ............................... ................28,000 ................28,000 ................15,195 ................15,928 .......................... ..............12,072 .......................... ..............12,072 .......................... ................28,000 .......................... .......................... .......................0 ...................... 02/20/2034.... 2FE........

13067* HY 2 CALIFORNIA LOTTERY -Ross, John 0.000%............. . 02/20/2016. Redemption 100.0000.................... ............................... ................18,445 ................18,445 ................12,141 ................12,898 .......................... ................5,547 .......................... ................5,547 .......................... ................18,445 .......................... .......................... .......................0 ...................... 02/20/2031.... 2FE........

13067* JS 3 CALIFORNIA LOTTERY -Coleman(3), Claude.............. . 03/05/2016. Redemption 100.0000.................... ............................... ................14,363 ................14,363 ................11,014 ................11,446 .......................... ................2,917 .......................... ................2,917 .......................... ................14,363 .......................... .......................... .......................0 ...................... 03/05/2023.... 2FE........

13067* JX 2 CALIFORNIA LOTTERY -Coleman, Claude (4)............. . 03/05/2016. Redemption 100.0000.................... ............................... ..................4,000 ..................4,000 ..................2,617 ..................2,692 .......................... ................1,308 .......................... ................1,308 .......................... ..................4,000 .......................... .......................... .......................0 ...................... 03/05/2026.... 2FE........

19668Q DS 1 COLORADO ST BLDG EXCEL SCHS TO BUILD AME. . 03/15/2016. Maturity............................................... ............................... ...........2,605,000 ...........2,605,000 ...........2,605,000 ...........2,605,000 .......................... .......................... .......................... .......................0 .......................... ...........2,605,000 .......................... .......................... .......................0 .........54,900 03/15/2016.... 1FE........

19676# DT 3 COLORADO LOTTERY -Rupinen, Sharon 0.00........... . 01/10/2016. Redemption 100.0000.................... ............................... ..............938,892 ..............938,892 ..............506,998 ..............732,952 .......................... ............205,940 .......................... ............205,940 .......................... ..............938,892 .......................... .......................... .......................0 ...................... 01/10/2024.... 1FE........

34282* BA 5 FLORIDA LOTTERY -Ingraham, Robert 0.00............... . 02/13/2016. Redemption 100.0000.................... ............................... ................58,000 ................58,000 ................23,578 ................37,426 .......................... ..............20,574 .......................... ..............20,574 .......................... ................58,000 .......................... .......................... .......................0 ...................... 02/13/2028.... 1FE........

34282* BZ 0 FLORIDA LOTTERY -Fisher, Rushmer, Werren............ . 02/15/2016. Redemption 100.0000.................... ............................... ..............141,666 ..............141,666 ................84,015 ..............140,508 .......................... ................1,158 .......................... ................1,158 .......................... ..............141,666 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* EQ 7 FLORIDA LOTTERY -Barnes Family Trust 0............... . 02/15/2016. Redemption 100.0000.................... ............................... ..............711,000 ..............711,000 ..............386,662 ..............677,357 .......................... ..............33,643 .......................... ..............33,643 .......................... ..............711,000 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

34282* GH 5 FLORIDA LOTTERY -Vergel, Esmeraldo Sr Ir............... . 02/15/2016. Redemption 100.0000.................... ............................... ..............428,667 ..............428,667 ..............192,849 ..............408,774 .......................... ..............19,893 .......................... ..............19,893 .......................... ..............428,667 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

34282* GJ 1 FLORIDA LOTTERY -Hubbard, Margie 0.000.............. . 02/15/2016. Redemption 100.0000.................... ............................... ..............167,000 ..............167,000 ................95,552 ..............159,269 .......................... ................7,731 .......................... ................7,731 .......................... ..............167,000 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

34282* GK 8 FLORIDA LOTTERY -Lottery Cousins Parnter............... . 02/15/2016. Redemption 100.0000.................... ............................... ..............134,571 ..............134,571 ................78,306 ..............128,483 .......................... ................6,088 .......................... ................6,088 .......................... ..............134,571 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

34282* HA 9 FLORIDA LOTTERY -Adler, Shirley Revocabl............... . 02/15/2016. Redemption 100.0000.................... ............................... ..............522,333 ..............522,333 ..............316,230 ..............517,846 .......................... ................4,487 .......................... ................4,487 .......................... ..............522,333 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* HQ 4 FLORIDA LOTTERY -Eight Way Trust (Theodo............. . 02/15/2016. Redemption 100.0000.................... ............................... ................12,000 ................12,000 ..................6,858 ................11,454 .......................... ...................546 .......................... ...................546 .......................... ................12,000 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

34282* HW 1 FLORIDA LOTTERY -Jackson, Renee 0.000%........... . 02/15/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................15,980 ................24,796 .......................... ...................204 .......................... ...................204 .......................... ................25,000 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* HZ 4 FLORIDA LOTTERY -McNab(2), Ramona C 0............. . 02/15/2016. Redemption 100.0000.................... ............................... ..............205,000 ..............205,000 ..............107,395 ..............203,288 .......................... ................1,712 .......................... ................1,712 .......................... ..............205,000 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* JM 1 FLORIDA LOTTERY -Eight Way Trust (Yarbro.............. . 02/15/2016. Redemption 100.0000.................... ............................... ................20,000 ................20,000 ................12,513 ................19,154 .......................... ...................846 .......................... ...................846 .......................... ................20,000 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

34282* KC 1 FLORIDA LOTTERY -GLDV Inc 0.000% 02/15........... . 02/15/2016. Redemption 100.0000.................... ............................... ..............130,583 ..............130,583 ................86,917 ..............129,592 .......................... ...................992 .......................... ...................992 .......................... ..............130,583 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* KP 2 FLORIDA LOTTERY -Jackson, Derrick (2).................... . 02/15/2016. Redemption 100.0000.................... ............................... ..............213,209 ..............213,209 ..............146,084 ..............211,657 .......................... ................1,552 .......................... ................1,552 .......................... ..............213,209 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* LZ 9 FLORIDA LOTTERY -Haagenson, Gordon W Fam........ . 02/15/2016. Redemption 100.0000.................... ............................... ..............336,000 ..............336,000 ..............245,185 ..............333,773 .......................... ................2,227 .......................... ................2,227 .......................... ..............336,000 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* NM 6 FLORIDA LOTTERY -Kroll, Shawna J (2) 0................. . 02/15/2016. Redemption 100.0000.................... ............................... ................58,000 ................58,000 ................23,047 ................38,562 .......................... ..............19,438 .......................... ..............19,438 .......................... ................58,000 .......................... .......................... .......................0 ...................... 02/15/2028.... 1FE........

34282* NY 0 FLORIDA LOTTERY -Dempsey, Richard S (2).............. . 02/15/2016. Redemption 100.0000.................... ............................... ................45,000 ................45,000 ................28,250 ................43,358 .......................... ................1,642 .......................... ................1,642 .......................... ................45,000 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

34282* PB 8 FLORIDA LOTTERY -Dempsey, Richard S. (3)............. . 02/15/2016. Redemption 100.0000.................... ............................... ................55,000 ................55,000 ................37,498 ................53,238 .......................... ................1,762 .......................... ................1,762 .......................... ................55,000 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

34282* PF 9 FLORIDA LOTTERY -McBride Family Trust.................. . 02/15/2016. Redemption 100.0000.................... ............................... ................20,477 ................20,477 ................16,330 ................20,328 .......................... ...................149 .......................... ...................149 .......................... ................20,477 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* PH 5 FLORIDA LOTTERY -McBride Family Trust (2.............. . 02/15/2016. Redemption 100.0000.................... ............................... ................47,562 ................47,562 ................38,293 ................47,182 .......................... ...................381 .......................... ...................381 .......................... ................47,562 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* PM 4 FLORIDA LOTTERY -BS&L Trust 0.000% 02/............. . 02/15/2016. Redemption 100.0000.................... ............................... ..............340,000 ..............340,000 ..............270,738 ..............337,218 .......................... ................2,782 .......................... ................2,782 .......................... ..............340,000 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* PP 7 FLORIDA LOTTERY -Gesto Meana, Blanca Tru........... . 02/15/2016. Redemption 100.0000.................... ............................... ................64,000 ................64,000 ................51,596 ................63,476 .......................... ...................524 .......................... ...................524 .......................... ................64,000 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* PT 9 FLORIDA LOTTERY -McBride Family Trust (3.............. . 02/15/2016. Redemption 100.0000.................... ............................... ..............165,000 ..............165,000 ..............136,861 ..............163,749 .......................... ................1,251 .......................... ................1,251 .......................... ..............165,000 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

34282* QJ 0 FLORIDA LOTTERY -LaValley, Rory W. 0.0................ . 02/15/2016. Redemption 100.0000.................... ............................... ..................9,900 ..................9,900 ..................7,560 ..................8,434 .......................... ................1,466 .......................... ................1,466 .......................... ..................9,900 .......................... .......................... .......................0 ...................... 08/15/2021.... 1FE........

34282* QT 8 FLORIDA LOTTERY -Strategic Property Inv.................. . 02/15/2016. Redemption 100.0000.................... ............................... ................52,000 ................52,000 ................46,124 ................46,294 .......................... ................5,706 .......................... ................5,706 .......................... ................52,000 .......................... .......................... .......................0 ...................... 02/15/2021.... 1Z...........

45222# DH 3 ILLINOIS LOTTERY -Ibister, Michael 0.0..................... . 02/22/2016. Redemption 100.0000.................... ............................... ................40,000 ................40,000 ................28,591 ................34,789 .......................... ................5,211 .......................... ................5,211 .......................... ................40,000 .......................... .......................... .......................0 ...................... 02/22/2020.... 1FE........

45222# DJ 9 ILLINOIS LOTTERY -Nemcek, Dalibor 0.00................. . 02/22/2016. Redemption 100.0000.................... ............................... ................40,000 ................40,000 ................27,168 ................33,713 .......................... ................6,287 .......................... ................6,287 .......................... ................40,000 .......................... .......................... .......................0 ...................... 02/22/2021.... 1FE........

45222# DL 4 ILLINOIS LOTTERY -Studt, Robert J. Sr........................ . 02/22/2016. Redemption 100.0000.................... ............................... ................70,259 ................70,259 ................50,185 ................61,107 .......................... ................9,152 .......................... ................9,152 .......................... ................70,259 .......................... .......................... .......................0 ...................... 02/22/2020.... 1FE........

45222# DV 2 ILLINOIS LOTTERY -Bustamante, Selia 0................... . 02/22/2016. Redemption 100.0000.................... ............................... ..................7,900 ..................7,900 ..................4,500 ..................5,169 .......................... ................2,731 .......................... ................2,731 .......................... ..................7,900 .......................... .......................... .......................0 ...................... 05/22/2028.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.3

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

45222# EM 1 ILLINOIS LOTTERY -Dymon, Wojciech 0.00............... . 02/22/2016. Redemption 100.0000.................... ............................... ................26,423 ................26,423 ................20,193 ................21,119 .......................... ................5,305 .......................... ................5,305 .......................... ................26,423 .......................... .......................... .......................0 ...................... 11/22/2025.... 1FE........

45222# EN 9 ILLINOIS LOTTERY -Kreoger, Ryan 0.000%............... . 02/22/2016. Redemption 100.0000.................... ............................... ................27,684 ................27,684 ................21,619 ................23,140 .......................... ................4,544 .......................... ................4,544 .......................... ................27,684 .......................... .......................... .......................0 ...................... 02/22/2024.... 1FE........

45222# EX 7 ILLINOIS LOTTERY -Kreoger, Ryan (2) 0.................... . 02/22/2016. Redemption 100.0000.................... ............................... ..............110,000 ..............110,000 ................79,125 ................83,113 .......................... ..............26,887 .......................... ..............26,887 .......................... ..............110,000 .......................... .......................... .......................0 ...................... 02/22/2028.... 1FE........

45222# FB 4 ILLINOIS LOTTERY -Cerezo(2), Ricardo 0.................. . 02/22/2016. Redemption 100.0000.................... ............................... ................74,827 ................74,827 ................42,530 ................43,849 .......................... ..............30,979 .......................... ..............30,979 .......................... ................74,827 .......................... .......................... .......................0 ...................... 02/22/2038.... 1FE........

54641@ AG 5 LOUISIANA LOTTERY -Wooten, Alice 0.000............... . 02/15/2016. Redemption 100.0000.................... ............................... ................52,000 ................52,000 ................27,638 ................49,484 .......................... ................2,516 .......................... ................2,516 .......................... ................52,000 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

57585* AJ 2 MASSACHUSETTS LOTTERY -Dearborn, Denis R....... . 01/03/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................27,444 ................31,289 .......................... ..............18,711 .......................... ..............18,711 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/03/2030.... 1FE........

57585* AX 1 MASSACHUSETTS LOTTERY -Gerakas, Achilles........ . 03/29/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................14,817 ................16,509 .......................... ................8,491 .......................... ................8,491 .......................... ................25,000 .......................... .......................... .......................0 ...................... 03/29/2029.... 1FE........

57585* AZ 6 MASSACHUSETTS LOTTERY -Silva Family Trus......... . 03/21/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................38,550 ................42,758 .......................... ................7,242 .......................... ................7,242 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/21/2021.... 1FE........

57585* BD 4 MASSACHUSETTS LOTTERY -Lopez, Joaquin (3........ . 03/19/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................14,833 ................17,018 .......................... ................7,982 .......................... ................7,982 .......................... ................25,000 .......................... .......................... .......................0 ...................... 03/19/2028.... 1FE........

57585* BE 2 MASSACHUSETTS LOTTERY -Morais & Freitas.......... . 01/03/2016. Redemption 100.0000.................... ............................... ..............250,000 ..............250,000 ..............186,327 ..............211,550 .......................... ..............38,450 .......................... ..............38,450 .......................... ..............250,000 .......................... .......................... .......................0 ...................... 01/03/2022.... 1FE........

57585* CJ 0 MASSACHUSETTS LOTTERY -Snay, Daniel T. (.......... . 01/30/2016. Redemption 100.0000.................... ............................... ..............125,001 ..............125,001 ................83,370 ................93,789 .......................... ..............31,212 .......................... ..............31,212 .......................... ..............125,001 .......................... .......................... .......................0 ...................... 01/30/2027.... 1FE........

57585* CQ 4 MASSACHUSETTS LOTTERY -Fischer, Sandra J........ . 02/23/2016. Redemption 100.0000.................... ............................... ................40,996 ................40,996 ................27,697 ................30,728 .......................... ..............10,268 .......................... ..............10,268 .......................... ................40,996 .......................... .......................... .......................0 ...................... 02/23/2028.... 1FE........

57585* CS 0 MASSACHUSETTS LOTTERY -Mason, Sandra 0....... . 01/02/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................20,992 ................22,397 .......................... ................2,603 .......................... ................2,603 .......................... ................25,000 .......................... .......................... .......................0 ...................... 01/02/2021.... 1FE........

57585* DH 3 MASSACHUSETTS LOTTERY -L'Heureux, Marc.......... . 03/18/2016. Redemption 100.0000.................... ............................... ................91,000 ................91,000 ................70,591 ................75,813 .......................... ..............15,187 .......................... ..............15,187 .......................... ................91,000 .......................... .......................... .......................0 ...................... 03/18/2024.... 1FE........

57585* DJ 9 MASSACHUSETTS LOTTERY -Lombardi, Gerard........ . 03/01/2016. Redemption 100.0000.................... ............................... ................12,011 ................12,011 ..................7,615 ..................8,053 .......................... ................3,958 .......................... ................3,958 .......................... ................12,011 .......................... .......................... .......................0 ...................... 03/01/2029.... 1FE........

57585* DN 0 MASSACHUSETTS LOTTERY -Alkhouri, Abdulla......... . 02/04/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................32,892 ................34,440 .......................... ..............15,560 .......................... ..............15,560 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/04/2032.... 1FE........

57585* DY 6 MASSACHUSETTS LOTTERY -Burns, Kathleen........... . 01/14/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................43,040 ................45,208 .......................... ................4,792 .......................... ................4,792 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/14/2021.... 1FE........

57585* DZ 3 MASSACHUSETTS LOTTERY -Gerakas, Achilles........ . 03/29/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................17,761 ................18,339 .......................... ................6,661 .......................... ................6,661 .......................... ................25,000 .......................... .......................... .......................0 ...................... 03/29/2029.... 1FE........

57585* EQ 2 MASSACHUSETTS LOTTERY -Proia, Joan 0.0.......... . 02/27/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................33,563 ................34,845 .......................... ..............15,155 .......................... ..............15,155 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/27/2031.... 1FE........

57585* ES 8 MASSACHUSETTS LOTTERY -Foote, Lawrence B...... . 03/24/2016. Redemption 100.0000.................... ............................... ................24,288 ................24,288 ................15,753 ................16,147 .......................... ................8,141 .......................... ................8,141 .......................... ................24,288 .......................... .......................... .......................0 ...................... 03/24/2033.... 1FE........

57585* EU 3 MASSACHUSETTS LOTTERY -Kelly, John W. II.......... . 03/18/2016. Redemption 100.0000.................... ............................... ................25,847 ................25,847 ................18,060 ................19,048 .......................... ................6,799 .......................... ................6,799 .......................... ................25,847 .......................... .......................... .......................0 ...................... 03/18/2029.... 1FE........

57585* EY 5 MASSACHUSETTS LOTTERY -Jenkins, Paul J............ . 01/02/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................43,502 ................44,392 .......................... ................5,608 .......................... ................5,608 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/02/2022.... 1FE........

57585* FG 3 MASSACHUSETTS LOTTERY -Hale, Edward (3).......... . 02/06/2016. Redemption 100.0000.................... ............................... ................70,000 ................70,000 ................56,296 ................58,131 .......................... ..............11,869 .......................... ..............11,869 .......................... ................70,000 .......................... .......................... .......................0 ...................... 02/06/2025.... 1FE........

57585* FK 4 MASSACHUSETTS LOTTERY -Palaschak, Steven....... . 01/04/2016. Redemption 100.0000.................... ............................... ..............114,286 ..............114,286 ................75,206 ................78,518 .......................... ..............35,768 .......................... ..............35,768 .......................... ..............114,286 .......................... .......................... .......................0 ...................... 01/04/2032.... 1FE........

57585* FV 0 MASSACHUSETTS LOTTERY -Fischer, Sandra J........ . 02/23/2016. Redemption 100.0000.................... ............................... ................25,068 ................25,068 ................19,161 ................19,293 .......................... ................5,775 .......................... ................5,775 .......................... ................25,068 .......................... .......................... .......................0 ...................... 02/23/2028.... 1Z...........

57585@ B4 2 MASSACHUSETTS LOTTERY -Wellington, Olayn........ . 01/03/2016. Redemption 100.0000.................... ............................... ................15,000 ................15,000 ..................8,703 ................10,709 .......................... ................4,291 .......................... ................4,291 .......................... ................15,000 .......................... .......................... .......................0 ...................... 01/03/2027.... 1FE........

57585@ B5 9 MASSACHUSETTS LOTTERY -Cote, Kevin P (2)......... . 02/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,333 ................41,261 .......................... ................8,739 .......................... ................8,739 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/15/2021.... 1FE........

57585@ B7 5 MASSACHUSETTS LOTTERY -Tkacz, Darla (2)........... . 03/05/2016. Redemption 100.0000.................... ............................... ................27,463 ................27,463 ................14,272 ................18,091 .......................... ................9,372 .......................... ................9,372 .......................... ................27,463 .......................... .......................... .......................0 ...................... 03/05/2026.... 1FE........

57585@ B9 1 MASSACHUSETTS LOTTERY -Lovely, Frederick......... . 02/06/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,390 ................33,722 .......................... ..............16,278 .......................... ..............16,278 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/06/2027.... 1FE........

57585@ BV 2 MASSACHUSETTS LOTTERY -O'Brien, Sandra........... . 01/31/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,940 ................49,673 .......................... ...................327 .......................... ...................327 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/31/2016.... 1FE........

57585@ BY 6 MASSACHUSETTS LOTTERY -Aragi, Edward Est........ . 01/16/2016. Redemption 100.0000.................... ............................... ..............830,000 ..............830,000 ..............512,915 ..............799,642 .......................... ..............30,358 .......................... ..............30,358 .......................... ..............830,000 .......................... .......................... .......................0 ...................... 01/16/2017.... 1FE........

57585@ C5 8 MASSACHUSETTS LOTTERY -Davis, Betsy 0........... . 03/25/2016. Redemption 100.0000.................... ............................... ................30,000 ................30,000 ................22,064 ................27,575 .......................... ................2,425 .......................... ................2,425 .......................... ................30,000 .......................... .......................... .......................0 ...................... 03/25/2018.... 1FE........

57585@ D8 1 MASSACHUSETTS LOTTERY -Ryan, Patricia J........... . 01/08/2016. Redemption 100.0000.................... ............................... ................24,899 ................24,899 ................13,388 ................16,892 .......................... ................8,007 .......................... ................8,007 .......................... ................24,899 .......................... .......................... .......................0 ...................... 01/08/2027.... 1FE........

57585@ DU 2 MASSACHUSETTS LOTTERY -Beauchesne, Barry...... . 03/14/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................32,236 ................49,376 .......................... ...................624 .......................... ...................624 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/14/2016.... 1FE........

57585@ DY 4 MASSACHUSETTS LOTTERY -Bishop, Robert Jr......... . 02/08/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................32,591 ................43,950 .......................... ................6,050 .......................... ................6,050 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/08/2020.... 1FE........

57585@ E2 3 MASSACHUSETTS LOTTERY -Tocci,Vincent A S........ . 03/06/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................39,486 ................49,402 .......................... ...................598 .......................... ...................598 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/06/2016.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.4

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

57585@ EJ 6 MASSACHUSETTS LOTTERY -Campbell, James M..... . 03/04/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................14,950 ................20,392 .......................... ................4,608 .......................... ................4,608 .......................... ................25,000 .......................... .......................... .......................0 ...................... 03/04/2022.... 1FE........

57585@ EM 9 MASSACHUSETTS LOTTERY -Ceurvels, Karen........... . 01/20/2016. Redemption 100.0000.................... ............................... ................40,000 ................40,000 ................21,621 ................31,801 .......................... ................8,199 .......................... ................8,199 .......................... ................40,000 .......................... .......................... .......................0 ...................... 01/20/2023.... 1FE........

57585@ EN 7 MASSACHUSETTS LOTTERY -Ceurvels, Karen (........ . 01/20/2016. Redemption 100.0000.................... ............................... ................10,000 ................10,000 ..................6,893 ..................8,064 .......................... ................1,936 .......................... ................1,936 .......................... ................10,000 .......................... .......................... .......................0 ...................... 01/20/2023.... 1FE........

57585@ EQ 0 MASSACHUSETTS LOTTERY -Ciampi, Lucille............. . 02/11/2016. Redemption 100.0000.................... ............................... ..............200,000 ..............200,000 ..............142,245 ..............193,082 .......................... ................6,918 .......................... ................6,918 .......................... ..............200,000 .......................... .......................... .......................0 ...................... 02/11/2017.... 1FE........

57585@ ER 8 MASSACHUSETTS LOTTERY -Clark, Edward T........... . 03/04/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................33,997 ................46,500 .......................... ................3,500 .......................... ................3,500 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/04/2018.... 1FE........

57585@ EY 3 MASSACHUSETTS LOTTERY -Danforth, Russell......... . 03/22/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,170 ................39,553 .......................... ..............10,447 .......................... ..............10,447 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/22/2023.... 1FE........

57585@ F2 2 MASSACHUSETTS LOTTERY -Longmore, Norma....... . 01/19/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................27,200 ................34,967 .......................... ..............15,033 .......................... ..............15,033 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/19/2026.... 1FE........

57585@ F3 0 MASSACHUSETTS LOTTERY -O'Meara, Margaret...... . 01/05/2016. Redemption 100.0000.................... ............................... ................31,000 ................31,000 ................17,385 ................21,741 .......................... ................9,259 .......................... ................9,259 .......................... ................31,000 .......................... .......................... .......................0 ...................... 01/05/2026.... 1FE........

57585@ F5 5 MASSACHUSETTS LOTTERY -Silva, Gabriel............... . 03/31/2016. Redemption 100.0000.................... ............................... ..............112,301 ..............112,301 ................56,789 ................78,664 .......................... ..............33,636 .......................... ..............33,636 .......................... ..............112,301 .......................... .......................... .......................0 ...................... 03/31/2025.... 1FE........

57585@ FD 8 MASSACHUSETTS LOTTERY -Dickie, Stephen........... . 02/02/2016. Redemption 100.0000.................... ............................... ..............100,000 ..............100,000 ................70,456 ................96,339 .......................... ................3,661 .......................... ................3,661 .......................... ..............100,000 .......................... .......................... .......................0 ...................... 02/02/2017.... 1FE........

57585@ FJ 5 MASSACHUSETTS LOTTERY -Elmer, Daniel M........... . 02/23/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,074 ................39,674 .......................... ..............10,326 .......................... ..............10,326 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/23/2023.... 1FE........

57585@ FM 8 MASSACHUSETTS LOTTERY -Florentino, Wilki........... . 02/08/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................31,320 ................42,503 .......................... ................7,497 .......................... ................7,497 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/08/2021.... 1FE........

57585@ FX 4 MASSACHUSETTS LOTTERY -Gurguri, Bashkim......... . 02/20/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................31,935 ................42,666 .......................... ................7,334 .......................... ................7,334 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/20/2021.... 1FE........

57585@ G4 7 MASSACHUSETTS LOTTERY -Jackman, Joseph A..... . 01/02/2016. Redemption 100.0000.................... ............................... ................33,000 ................33,000 ................18,211 ................22,414 .......................... ..............10,586 .......................... ..............10,586 .......................... ................33,000 .......................... .......................... .......................0 ...................... 01/02/2027.... 1FE........

57585@ G8 8 MASSACHUSETTS LOTTERY -Vasquez, Said 0........ . 03/27/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................33,930 ................41,627 .......................... ................8,373 .......................... ................8,373 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/27/2021.... 1FE........

57585@ GE 5 MASSACHUSETTS LOTTERY -Jeffrey, Denise............ . 02/29/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................35,728 ................48,032 .......................... ................1,968 .......................... ................1,968 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/28/2017.... 1FE........

57585@ GQ 8 MASSACHUSETTS LOTTERY -Leavitt, Carlton............ . 02/24/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,950 ................40,860 .......................... ................9,140 .......................... ................9,140 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/24/2022.... 1FE........

57585@ GS 4 MASSACHUSETTS LOTTERY -Luong Tam V 0.0....... . 02/19/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................14,233 ................20,247 .......................... ................4,753 .......................... ................4,753 .......................... ................25,000 .......................... .......................... .......................0 ...................... 02/19/2022.... 1FE........

57585@ H6 1 MASSACHUSETTS LOTTERY -Kolterjahn, Tyler.......... . 02/22/2016. Redemption 100.0000.................... ............................... ................14,000 ................14,000 ..................8,296 ................11,356 .......................... ................2,644 .......................... ................2,644 .......................... ................14,000 .......................... .......................... .......................0 ...................... 02/22/2021.... 1FE........

57585@ HF 1 MASSACHUSETTS LOTTERY -Noble, Michael D......... . 03/20/2016. Redemption 100.0000.................... ............................... ................37,500 ................37,500 ................25,408 ................35,820 .......................... ................1,680 .......................... ................1,680 .......................... ................37,500 .......................... .......................... .......................0 ...................... 03/20/2017.... 1FE........

57585@ HH 7 MASSACHUSETTS LOTTERY -Papageorgiou, Dem.... . 03/07/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................33,581 ................47,940 .......................... ................2,060 .......................... ................2,060 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/07/2017.... 1FE........

57585@ HV 6 MASSACHUSETTS LOTTERY -Riberio, Barbara.......... . 02/29/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................33,105 ................45,178 .......................... ................4,822 .......................... ................4,822 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/28/2019.... 1FE........

57585@ J4 4 MASSACHUSETTS LOTTERY -Lopez, Joaquin............ . 03/19/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................34,840 ................38,955 .......................... ..............11,045 .......................... ..............11,045 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/19/2028.... 1FE........

57585@ JA 0 MASSACHUSETTS LOTTERY -Rock, Richard W S...... . 03/09/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................32,724 ................43,818 .......................... ................6,182 .......................... ................6,182 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/09/2020.... 1FE........

57585@ JD 4 MASSACHUSETTS LOTTERY -Rud, Wanda 0.00...... . 02/11/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................37,469 ................49,669 .......................... ...................331 .......................... ...................331 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/11/2016.... 1FE........

57585@ JF 9 MASSACHUSETTS LOTTERY -Setterlund, David......... . 01/18/2016. Redemption 100.0000.................... ............................... ..............200,000 ..............200,000 ..............125,854 ..............171,137 .......................... ..............28,863 .......................... ..............28,863 .......................... ..............200,000 .......................... .......................... .......................0 ...................... 01/18/2021.... 1FE........

57585@ JH 5 MASSACHUSETTS LOTTERY -Sparks, James G......... . 02/21/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................31,981 ................43,739 .......................... ................6,261 .......................... ................6,261 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/21/2020.... 1FE........

57585@ JJ 1 MASSACHUSETTS LOTTERY -Srey, Samoeun 0....... . 03/06/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,181 ................40,968 .......................... ................9,032 .......................... ................9,032 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/06/2022.... 1FE........

57585@ JM 4 MASSACHUSETTS LOTTERY -Sylvia, Eric 0.............. . 02/25/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................35,554 ................48,067 .......................... ................1,933 .......................... ................1,933 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/25/2017.... 1FE........

57585@ JU 6 MASSACHUSETTS LOTTERY -Van Bramer, Gene...... . 01/29/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................31,229 ................42,532 .......................... ................7,468 .......................... ................7,468 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/29/2021.... 1FE........

57585@ JX 0 MASSACHUSETTS LOTTERY -Yeaton, Sandra........... . 02/29/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,410 ................41,012 .......................... ................8,988 .......................... ................8,988 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/28/2022.... 1FE........

57585@ K2 6 MASSACHUSETTS LOTTERY -Gagnon, Rose A.......... . 03/24/2016. Redemption 100.0000.................... ............................... ................24,000 ................24,000 ................15,538 ................19,046 .......................... ................4,954 .......................... ................4,954 .......................... ................24,000 .......................... .......................... .......................0 ...................... 03/24/2022.... 1FE........

57585@ K3 4 MASSACHUSETTS LOTTERY -Rigg, Kathleen M......... . 03/17/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................24,952 ................37,279 .......................... ..............12,721 .......................... ..............12,721 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/17/2024.... 1FE........

57585@ K4 2 MASSACHUSETTS LOTTERY -Riordan, Wendy L........ . 01/02/2016. Redemption 100.0000.................... ............................... ................33,000 ................33,000 ................22,948 ................30,398 .......................... ................2,603 .......................... ................2,603 .......................... ................33,000 .......................... .......................... .......................0 ...................... 01/02/2018.... 1FE........

57585@ K7 5 MASSACHUSETTS LOTTERY -DeSousa, Melissa....... . 03/09/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................36,329 ................44,873 .......................... ................5,127 .......................... ................5,127 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/09/2019.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.5

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

57585@ KK 6 MASSACHUSETTS LOTTERY -Benitez, Maria D.......... . 01/23/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,044 ................40,145 .......................... ................9,855 .......................... ................9,855 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/23/2023.... 1FE........

57585@ KL 4 MASSACHUSETTS LOTTERY -Bontempo, David (....... . 01/02/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................24,435 ................43,941 .......................... ................6,059 .......................... ................6,059 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/02/2020.... 1FE........

57585@ KM 2 MASSACHUSETTS LOTTERY -Bromley, Stephen........ . 02/29/2016. Redemption 100.0000.................... ............................... ..............200,000 ..............200,000 ..............117,020 ..............157,017 .......................... ..............42,983 .......................... ..............42,983 .......................... ..............200,000 .......................... .......................... .......................0 ...................... 02/29/2024.... 1FE........

57585@ KQ 3 MASSACHUSETTS LOTTERY -Butler, David 0........... . 01/12/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................17,166 ................38,683 .......................... ..............11,317 .......................... ..............11,317 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/12/2023.... 1FE........

57585@ L2 5 MASSACHUSETTS LOTTERY -Martin, Paul L.............. . 03/25/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................35,120 ................43,373 .......................... ................6,627 .......................... ................6,627 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/25/2020.... 1FE........

57585@ L3 3 MASSACHUSETTS LOTTERY -Parisi Family Liv.......... . 03/20/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................34,388 ................43,416 .......................... ................6,584 .......................... ................6,584 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/20/2020.... 1FE........

57585@ LC 3 MASSACHUSETTS LOTTERY -Johnson, Ovile J.......... . 02/29/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,149 ................39,830 .......................... ..............10,170 .......................... ..............10,170 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/28/2023.... 1FE........

57585@ LG 4 MASSACHUSETTS LOTTERY -LeBlanc, Lynn 0......... . 02/10/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................37,138 ................49,677 .......................... ...................323 .......................... ...................323 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/10/2016.... 1FE........

57585@ LJ 8 MASSACHUSETTS LOTTERY -Marrero, Mary Ann...... . 01/13/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................35,951 ................48,469 .......................... ................1,531 .......................... ................1,531 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/13/2017.... 1FE........

57585@ LT 6 MASSACHUSETTS LOTTERY -Quinlan, Michael......... . 02/29/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,295 ................40,954 .......................... ................9,046 .......................... ................9,046 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/28/2022.... 1FE........

57585@ LV 1 MASSACHUSETTS LOTTERY -Rei, James 0.00........ . 02/09/2016. Redemption 100.0000.................... ............................... ..............100,000 ..............100,000 ................60,501 ................90,369 .......................... ................9,631 .......................... ................9,631 .......................... ..............100,000 .......................... .......................... .......................0 ...................... 02/09/2019.... 1FE........

57585@ LW 9 MASSACHUSETTS LOTTERY -Rei, Margaret 0.......... . 02/09/2016. Redemption 100.0000.................... ............................... ................67,500 ................67,500 ................40,933 ................60,962 .......................... ................6,538 .......................... ................6,538 .......................... ................67,500 .......................... .......................... .......................0 ...................... 02/09/2019.... 1FE........

57585@ M5 7 MASSACHUSETTS LOTTERY -Perryman, Mary L........ . 03/23/2016. Redemption 100.0000.................... ............................... ................40,000 ................40,000 ................21,193 ................26,191 .......................... ..............13,809 .......................... ..............13,809 .......................... ................40,000 .......................... .......................... .......................0 ...................... 03/23/2028.... 1FE........

57585@ M8 1 MASSACHUSETTS LOTTERY -Cossaboom, Shirle...... . 02/24/2016. Redemption 100.0000.................... ............................... ................42,000 ................42,000 ................31,156 ................37,793 .......................... ................4,207 .......................... ................4,207 .......................... ................42,000 .......................... .......................... .......................0 ...................... 02/24/2019.... 1FE........

57585@ M9 9 MASSACHUSETTS LOTTERY -Dickerson, Gloria......... . 02/25/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................21,452 ................31,989 .......................... ..............18,011 .......................... ..............18,011 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/25/2028.... 1FE........

57585@ MJ 7 MASSACHUSETTS LOTTERY -Heard, Ruth 0.0......... . 01/28/2016. Redemption 100.0000.................... ............................... ................19,500 ................19,500 ................11,872 ................15,903 .......................... ................3,597 .......................... ................3,597 .......................... ................19,500 .......................... .......................... .......................0 ...................... 01/28/2022.... 1FE........

57585@ MK 4 MASSACHUSETTS LOTTERY -Hucksam, Eric J.......... . 01/14/2016. Redemption 100.0000.................... ............................... ................15,000 ................15,000 ..................9,077 ................12,420 .......................... ................2,580 .......................... ................2,580 .......................... ................15,000 .......................... .......................... .......................0 ...................... 01/14/2022.... 1FE........

57585@ MS 7 MASSACHUSETTS LOTTERY -Chase, Richard............ . 02/01/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................32,137 ................43,888 .......................... ................6,112 .......................... ................6,112 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/01/2020.... 1FE........

57585@ MT 5 MASSACHUSETTS LOTTERY -Cianci, Christoph......... . 03/04/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,042 ................41,113 .......................... ................8,887 .......................... ................8,887 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/04/2022.... 1FE........

57585@ MW 8 MASSACHUSETTS LOTTERY -Connor, Colleen M...... . 02/24/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................33,839 ................46,495 .......................... ................3,505 .......................... ................3,505 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/24/2018.... 1FE........

57585@ N2 3 MASSACHUSETTS LOTTERY -Fischer, Sandra J........ . 02/23/2016. Redemption 100.0000.................... ............................... ................35,000 ................35,000 ................24,541 ................29,612 .......................... ................5,388 .......................... ................5,388 .......................... ................35,000 .......................... .......................... .......................0 ...................... 02/23/2021.... 1FE........

57585@ N5 6 MASSACHUSETTS LOTTERY -Millefoglie, Al.............. . 03/05/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,569 ................38,626 .......................... ..............11,374 .......................... ..............11,374 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/05/2023.... 1FE........

57585@ N7 2 MASSACHUSETTS LOTTERY -Williamson, Charl........ . 02/11/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................27,889 ................34,071 .......................... ..............15,929 .......................... ..............15,929 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/11/2027.... 1FE........

57585@ NC 1 MASSACHUSETTS LOTTERY -Lopez-Matute, Vic....... . 01/07/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,829 ................42,450 .......................... ................7,550 .......................... ................7,550 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/07/2021.... 1FE........

57585@ ND 9 MASSACHUSETTS LOTTERY -Lupo, John 0.00......... . 02/16/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,252 ................38,534 .......................... ..............11,466 .......................... ..............11,466 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/16/2024.... 1FE........

57585@ NF 4 MASSACHUSETTS LOTTERY -Murchison, Brenda...... . 01/08/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,687 ................41,445 .......................... ................8,555 .......................... ................8,555 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/08/2022.... 1FE........

57585@ NR 8 MASSACHUSETTS LOTTERY -Fitzgerald, Marla.......... . 02/03/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................33,386 ................45,298 .......................... ................4,702 .......................... ................4,702 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/03/2019.... 1FE........

57585@ NT 4 MASSACHUSETTS LOTTERY -Hines, Michael F.......... . 03/11/2016. Redemption 100.0000.................... ............................... ................15,000 ................15,000 ................10,152 ................13,913 .......................... ................1,087 .......................... ................1,087 .......................... ................15,000 .......................... .......................... .......................0 ...................... 03/11/2018.... 1FE........

57585@ P6 2 MASSACHUSETTS LOTTERY -Gauthier, Joel W.......... . 01/08/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................19,867 ................22,792 .......................... ................2,208 .......................... ................2,208 .......................... ................25,000 .......................... .......................... .......................0 ...................... 01/08/2019.... 1FE........

57585@ P7 0 MASSACHUSETTS LOTTERY -Heard, Ruth (Cart........ . 01/28/2016. Redemption 100.0000.................... ............................... ................30,500 ................30,500 ................20,336 ................24,873 .......................... ................5,627 .......................... ................5,627 .......................... ................30,500 .......................... .......................... .......................0 ...................... 01/28/2022.... 1FE........

57585@ PK 1 MASSACHUSETTS LOTTERY -Beach, Paul W Sr........ . 02/29/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................34,678 ................46,627 .......................... ................3,373 .......................... ................3,373 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/28/2018.... 1FE........

57585@ Q2 0 MASSACHUSETTS LOTTERY -Isa, Amy E. 0.0.......... . 01/02/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................33,800 ................40,978 .......................... ................9,022 .......................... ................9,022 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/02/2022.... 1FE........

57585@ Q7 9 MASSACHUSETTS LOTTERY -Obuchowski, Donal..... . 01/09/2016. Redemption 100.0000.................... ............................... ................35,000 ................35,000 ................18,123 ................25,608 .......................... ................9,392 .......................... ................9,392 .......................... ................35,000 .......................... .......................... .......................0 ...................... 01/09/2025.... 1FE........

57585@ Q8 7 MASSACHUSETTS LOTTERY -Pedro, Susan 0.......... . 02/24/2016. Redemption 100.0000.................... ............................... ................35,000 ................35,000 ................22,460 ................27,518 .......................... ................7,482 .......................... ................7,482 .......................... ................35,000 .......................... .......................... .......................0 ...................... 02/24/2023.... 1FE........

57585@ R2 9 MASSACHUSETTS LOTTERY -Ramirez, Jose A.......... . 03/27/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................22,201 ................32,838 .......................... ..............17,162 .......................... ..............17,162 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/27/2027.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.6

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

57585@ R4 5 MASSACHUSETTS LOTTERY -Ryan, Patricia J........... . 01/08/2016. Redemption 100.0000.................... ............................... ................25,101 ................25,101 ................13,610 ................17,224 .......................... ................7,878 .......................... ................7,878 .......................... ................25,101 .......................... .......................... .......................0 ...................... 01/08/2027.... 1FE........

57585@ R5 2 MASSACHUSETTS LOTTERY -Silva, Gabriel (2........... . 03/31/2016. Redemption 100.0000.................... ............................... ................62,000 ................62,000 ................35,135 ................44,588 .......................... ..............17,412 .......................... ..............17,412 .......................... ................62,000 .......................... .......................... .......................0 ...................... 03/31/2025.... 1FE........

57585@ R9 4 MASSACHUSETTS LOTTERY -Lopez, Joaquin (2........ . 03/19/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................27,457 ................32,760 .......................... ..............17,240 .......................... ..............17,240 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/19/2028.... 1FE........

57585@ RB 9 MASSACHUSETTS LOTTERY -Hyde, Jeffrey 0.......... . 02/01/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................25,709 ................38,281 .......................... ..............11,719 .......................... ..............11,719 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/01/2024.... 1FE........

57585@ RE 3 MASSACHUSETTS LOTTERY -Potts, David J.............. . 01/25/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................32,773 ................44,304 .......................... ................5,696 .......................... ................5,696 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/25/2020.... 1FE........

57585@ RH 6 MASSACHUSETTS LOTTERY -Codispoti, Santin......... . 01/09/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................21,385 ................41,973 .......................... ................8,027 .......................... ................8,027 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/09/2021.... 1FE........

57585@ RJ 2 MASSACHUSETTS LOTTERY -Hewitt, Dennis J.......... . 01/21/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,869 ................41,125 .......................... ................8,875 .......................... ................8,875 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/21/2022.... 1FE........

57585@ RV 5 MASSACHUSETTS LOTTERY -Koskinen, Douglas...... . 03/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,412 ................37,683 .......................... ..............12,317 .......................... ..............12,317 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/15/2024.... 1FE........

57585@ S4 4 MASSACHUSETTS LOTTERY -Superson, John........... . 02/10/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,886 ................36,826 .......................... ..............13,174 .......................... ..............13,174 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/10/2025.... 1FE........

57585@ S7 7 MASSACHUSETTS LOTTERY -Bibi, Maqbool 0.......... . 01/12/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,035 ................32,210 .......................... ..............17,790 .......................... ..............17,790 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/12/2029.... 1FE........

57585@ SC 6 MASSACHUSETTS LOTTERY -Holliman, Ronald......... . 01/03/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,759 ................36,942 .......................... ..............13,058 .......................... ..............13,058 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/03/2025.... 1FE........

57585@ SW 2 MASSACHUSETTS LOTTERY -Carsley, William........... . 01/23/2016. Redemption 100.0000.................... ............................... ................97,235 ................97,235 ................58,484 ................81,252 .......................... ..............15,983 .......................... ..............15,983 .......................... ................97,235 .......................... .......................... .......................0 ...................... 01/23/2021.... 1FE........

57585@ SZ 5 MASSACHUSETTS LOTTERY -Tabb, Kathleen F......... . 01/30/2016. Redemption 100.0000.................... ............................... ..............200,000 ..............200,000 ..............111,750 ..............173,537 .......................... ..............26,463 .......................... ..............26,463 .......................... ..............200,000 .......................... .......................... .......................0 ...................... 01/30/2020.... 1FE........

57585@ T6 8 MASSACHUSETTS LOTTERY -Lombardi, Gerald......... . 03/01/2016. Redemption 100.0000.................... ............................... ................37,989 ................37,989 ................20,771 ................25,783 .......................... ..............12,206 .......................... ..............12,206 .......................... ................37,989 .......................... .......................... .......................0 ...................... 03/01/2027.... 1FE........

57585@ TF 8 MASSACHUSETTS LOTTERY -Camara, Aaron P......... . 01/23/2016. Redemption 100.0000.................... ............................... ..................7,445 ..................7,445 ..................4,016 ..................5,451 .......................... ................1,994 .......................... ................1,994 .......................... ..................7,445 .......................... .......................... .......................0 ...................... 01/23/2025.... 1FE........

57585@ TL 5 MASSACHUSETTS LOTTERY -Alessandri, Louis......... . 02/21/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................31,626 ................42,189 .......................... ................7,811 .......................... ................7,811 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/21/2021.... 1FE........

57585@ TR 2 MASSACHUSETTS LOTTERY -Callery, Robert............ . 01/05/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................18,660 ................24,982 .......................... .....................18 .......................... .....................18 .......................... ................25,000 .......................... .......................... .......................0 ...................... 01/05/2016.... 1FE........

57585@ TU 5 MASSACHUSETTS LOTTERY -Tingus, Christoph........ . 02/12/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,372 ................40,887 .......................... ................9,113 .......................... ................9,113 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/12/2022.... 1FE........

57585@ TX 9 MASSACHUSETTS LOTTERY -James, Peter (3)......... . 02/19/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................22,086 ................41,883 .......................... ................8,117 .......................... ................8,117 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/19/2021.... 1FE........

57585@ TZ 4 MASSACHUSETTS LOTTERY -Olitsky, Frederic.......... . 03/17/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................37,229 ................49,330 .......................... ...................670 .......................... ...................670 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/17/2016.... 1FE........

57585@ U5 8 MASSACHUSETTS LOTTERY -Tartaro, Lena M........... . 03/27/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................13,912 ................16,352 .......................... ................8,648 .......................... ................8,648 .......................... ................25,000 .......................... .......................... .......................0 ...................... 03/27/2028.... 1FE........

57585@ U6 6 MASSACHUSETTS LOTTERY -Davis, Bryan 0........... . 02/20/2016. Redemption 100.0000.................... ............................... ................24,765 ................24,765 ................13,347 ................16,325 .......................... ................8,440 .......................... ................8,440 .......................... ................24,765 .......................... .......................... .......................0 ...................... 02/20/2028.... 1FE........

57585@ U7 4 MASSACHUSETTS LOTTERY -Gbotee, Samuel A....... . 03/13/2016. Redemption 100.0000.................... ............................... ................32,000 ................32,000 ................18,545 ................21,657 .......................... ..............10,343 .......................... ..............10,343 .......................... ................32,000 .......................... .......................... .......................0 ...................... 03/13/2027.... 1FE........

57585@ UT 6 MASSACHUSETTS LOTTERY -Quinton, Charles......... . 01/20/2016. Redemption 100.0000.................... ............................... ................75,000 ................75,000 ................51,716 ................70,001 .......................... ................4,999 .......................... ................4,999 .......................... ................75,000 .......................... .......................... .......................0 ...................... 01/20/2018.... 1FE........

57585@ UX 7 MASSACHUSETTS LOTTERY -Loiselle, Anne.............. . 02/28/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................18,818 ................24,737 .......................... ...................263 .......................... ...................263 .......................... ................25,000 .......................... .......................... .......................0 ...................... 02/28/2016.... 1FE........

57585@ UZ 2 MASSACHUSETTS LOTTERY -Blount, Rashad J......... . 02/12/2016. Redemption 100.0000.................... ............................... ................31,200 ................31,200 ................17,999 ................23,086 .......................... ................8,114 .......................... ................8,114 .......................... ................31,200 .......................... .......................... .......................0 ...................... 02/12/2026.... 1FE........

57585@ V2 4 MASSACHUSETTS LOTTERY -Snay, Daniel T............. . 01/30/2016. Redemption 100.0000.................... ............................... ................87,579 ................87,579 ................43,622 ................55,741 .......................... ..............31,838 .......................... ..............31,838 .......................... ................87,579 .......................... .......................... .......................0 ...................... 01/30/2027.... 1FE........

57585@ VB 4 MASSACHUSETTS LOTTERY -McGlinchey, Willi......... . 03/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,675 ................36,786 .......................... ..............13,214 .......................... ..............13,214 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/15/2026.... 1FE........

57585@ VD 0 MASSACHUSETTS LOTTERY -Shanahan, Daniel........ . 02/23/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,703 ................38,567 .......................... ..............11,433 .......................... ..............11,433 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/23/2024.... 1FE........

57585@ VE 8 MASSACHUSETTS LOTTERY -White, Michael R......... . 03/16/2016. Redemption 100.0000.................... ............................... ................35,000 ................35,000 ................18,444 ................25,978 .......................... ................9,022 .......................... ................9,022 .......................... ................35,000 .......................... .......................... .......................0 ...................... 03/16/2025.... 1FE........

57585@ VH 1 MASSACHUSETTS LOTTERY -Foy, Mary Jane............ . 01/12/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,390 ................36,432 .......................... ..............13,568 .......................... ..............13,568 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/12/2026.... 1FE........

57585@ VL 2 MASSACHUSETTS LOTTERY -Ke, Karuna M. 0........ . 01/30/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,049 ................37,479 .......................... ..............12,521 .......................... ..............12,521 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/30/2026.... 1FE........

57585@ VN 8 MASSACHUSETTS LOTTERY -Miele, Michael............. . 01/22/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,780 ................37,235 .......................... ..............12,765 .......................... ..............12,765 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/22/2026.... 1FE........

57585@ VQ 1 MASSACHUSETTS LOTTERY -Blount, Rashad J......... . 02/12/2016. Redemption 100.0000.................... ............................... ................18,800 ................18,800 ................11,366 ................14,045 .......................... ................4,755 .......................... ................4,755 .......................... ................18,800 .......................... .......................... .......................0 ...................... 02/12/2026.... 1FE........

57585@ VU 2 MASSACHUSETTS LOTTERY -Hucksam, Eric J.......... . 01/14/2016. Redemption 100.0000.................... ............................... ................35,000 ................35,000 ................23,484 ................29,381 .......................... ................5,619 .......................... ................5,619 .......................... ................35,000 .......................... .......................... .......................0 ...................... 01/14/2022.... 1FE........

57585@ W4 9 MASSACHUSETTS LOTTERY -Gjikuria, Tomi T........... . 01/23/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................33,504 ................39,353 .......................... ..............10,647 .......................... ..............10,647 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/23/2023.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.7

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

57585@ WB 3 MASSACHUSETTS LOTTERY -Tkacz, Darla 0........... . 03/05/2016. Redemption 100.0000.................... ............................... ................17,337 ................17,337 ................12,493 ................15,384 .......................... ................1,953 .......................... ................1,953 .......................... ................17,337 .......................... .......................... .......................0 ...................... 03/05/2020.... 1FE........

57585@ WD 9 MASSACHUSETTS LOTTERY -Bitsikas, Peter............. . 01/10/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................35,301 ................43,461 .......................... ................6,539 .......................... ................6,539 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/10/2021.... 1FE........

57585@ WJ 6 MASSACHUSETTS LOTTERY -Zuben, Dawn M........... . 02/16/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,955 ................37,015 .......................... ..............12,985 .......................... ..............12,985 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/16/2026.... 1FE........

57585@ WM 9 MASSACHUSETTS LOTTERY -Brueggeman, Dana..... . 01/06/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................31,287 ................39,150 .......................... ..............10,850 .......................... ..............10,850 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/06/2025.... 1FE........

57585@ WN 7 MASSACHUSETTS LOTTERY -Dallis, Margaret........... . 01/31/2016. Redemption 100.0000.................... ............................... ................18,000 ................18,000 ..................8,664 ................13,608 .......................... ................4,392 .......................... ................4,392 .......................... ................18,000 .......................... .......................... .......................0 ...................... 01/31/2024.... 1FE........

57585@ WR 8 MASSACHUSETTS LOTTERY -Sahatjian, John............ . 02/10/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................24,193 ................38,155 .......................... ..............11,845 .......................... ..............11,845 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/10/2025.... 1FE........

57585@ WU 1 MASSACHUSETTS LOTTERY -White, Michael R......... . 03/16/2016. Redemption 100.0000.................... ............................... ................65,000 ................65,000 ................39,382 ................49,837 .......................... ..............15,163 .......................... ..............15,163 .......................... ................65,000 .......................... .......................... .......................0 ...................... 03/16/2025.... 1FE........

57585@ WV 9 MASSACHUSETTS LOTTERY -Marois, William B......... . 01/02/2016. Redemption 100.0000.................... ............................... ..............100,000 ..............100,000 ................74,422 ................99,985 .......................... .....................15 .......................... .....................15 .......................... ..............100,000 .......................... .......................... .......................0 ...................... 01/02/2016.... 1FE........

57585@ WY 3 MASSACHUSETTS LOTTERY -Eden, Mark (2)............. . 03/28/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,976 ................41,486 .......................... ................8,514 .......................... ................8,514 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/28/2022.... 1FE........

57585@ X3 0 MASSACHUSETTS LOTTERY -Frazier, Gerard............ . 01/14/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................41,431 ................48,310 .......................... ................1,690 .......................... ................1,690 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/14/2017.... 1FE........

57585@ X5 5 MASSACHUSETTS LOTTERY -Morris, Maureen L....... . 03/02/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................13,321 ................15,458 .......................... ................9,542 .......................... ................9,542 .......................... ................25,000 .......................... .......................... .......................0 ...................... 03/02/2030.... 1FE........

57585@ XA 4 MASSACHUSETTS LOTTERY -Howarth, Heidi E.......... . 03/05/2016. Redemption 100.0000.................... ............................... ................17,800 ................17,800 ................11,244 ................13,486 .......................... ................4,314 .......................... ................4,314 .......................... ................17,800 .......................... .......................... .......................0 ...................... 03/05/2026.... 1FE........

57585@ XJ 5 MASSACHUSETTS LOTTERY -Rivera, Karina Y.......... . 01/16/2016. Redemption 100.0000.................... ............................... ................17,087 ................17,087 ................11,666 ................14,523 .......................... ................2,564 .......................... ................2,564 .......................... ................17,087 .......................... .......................... .......................0 ...................... 01/16/2022.... 1FE........

57585@ XP 1 MASSACHUSETTS LOTTERY -Hilshey, Harold O........ . 01/02/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,341 ................35,574 .......................... ..............14,426 .......................... ..............14,426 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/02/2027.... 1FE........

57585@ XS 5 MASSACHUSETTS LOTTERY -McCarthy, John........... . 03/02/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................12,851 ................17,507 .......................... ................7,493 .......................... ................7,493 .......................... ................25,000 .......................... .......................... .......................0 ...................... 03/02/2026.... 1FE........

57585@ XX 4 MASSACHUSETTS LOTTERY -Forgione, Frederi......... . 01/04/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................22,146 ................35,392 .......................... ..............14,608 .......................... ..............14,608 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/04/2027.... 1FE........

57585@ YA 3 MASSACHUSETTS LOTTERY -Obuchowski, Donal..... . 01/09/2016. Redemption 100.0000.................... ............................... ................15,000 ................15,000 ..................8,468 ................11,418 .......................... ................3,582 .......................... ................3,582 .......................... ................15,000 .......................... .......................... .......................0 ...................... 01/09/2025.... 1FE........

57585@ YC 9 MASSACHUSETTS LOTTERY -Smith, Alan 0.0.......... . 02/05/2016. Redemption 100.0000.................... ............................... ................15,000 ................15,000 ..................9,681 ................12,100 .......................... ................2,900 .......................... ................2,900 .......................... ................15,000 .......................... .......................... .......................0 ...................... 02/05/2023.... 1FE........

57585@ YG 0 MASSACHUSETTS LOTTERY -Camara, Aaron P......... . 01/23/2016. Redemption 100.0000.................... ............................... ................35,055 ................35,055 ................20,807 ................26,337 .......................... ................8,718 .......................... ................8,718 .......................... ................35,055 .......................... .......................... .......................0 ...................... 01/23/2025.... 1FE........

57585@ YK 1 MASSACHUSETTS LOTTERY -Lach, Pickens J........... . 02/29/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,524 ................35,374 .......................... ..............14,626 .......................... ..............14,626 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/28/2027.... 1FE........

57585@ YP 0 MASSACHUSETTS LOTTERY -One and One LLC....... . 02/25/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,064 ................35,111 .......................... ..............14,889 .......................... ..............14,889 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/25/2027.... 1FE........

57585@ YZ 8 MASSACHUSETTS LOTTERY -Penta, Denise L........... . 01/13/2016. Redemption 100.0000.................... ............................... ................35,000 ................35,000 ................22,065 ................27,371 .......................... ................7,629 .......................... ................7,629 .......................... ................35,000 .......................... .......................... .......................0 ...................... 01/13/2024.... 1FE........

57585@ ZA 2 MASSACHUSETTS LOTTERY -Szurley, Beverly.......... . 02/13/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,180 ................37,700 .......................... ..............12,300 .......................... ..............12,300 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/13/2025.... 1FE........

57585@ ZB 0 MASSACHUSETTS LOTTERY -Blake, Richard D......... . 02/04/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,330 ................45,255 .......................... ................4,745 .......................... ................4,745 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/04/2019.... 1FE........

57585@ ZC 8 MASSACHUSETTS LOTTERY -Bou-Nassif, Edwar....... . 02/04/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,910 ................35,596 .......................... ..............14,404 .......................... ..............14,404 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/04/2027.... 1FE........

57585@ ZD 6 MASSACHUSETTS LOTTERY -FC Family Trust........... . 02/29/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,763 ................35,424 .......................... ..............14,576 .......................... ..............14,576 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/28/2027.... 1FE........

57585@ ZG 9 MASSACHUSETTS LOTTERY -Kirkwood, Elizabe........ . 03/29/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................29,646 ................36,526 .......................... ..............13,474 .......................... ..............13,474 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/29/2026.... 1FE........

57585@ ZH 7 MASSACHUSETTS LOTTERY -Lee, Terence E. (......... . 01/26/2016. Redemption 100.0000.................... ............................... ................40,000 ................40,000 ................20,565 ................31,992 .......................... ................8,008 .......................... ................8,008 .......................... ................40,000 .......................... .......................... .......................0 ...................... 01/26/2023.... 1FE........

57585@ ZJ 3 MASSACHUSETTS LOTTERY -Bellows, Jared (2......... . 02/11/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................35,608 ................48,280 .......................... ................1,720 .......................... ................1,720 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/11/2017.... 1FE........

57585@ ZN 4 MASSACHUSETTS LOTTERY -Borey, Anissa (2)......... . 01/09/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................27,836 ................38,272 .......................... ..............11,728 .......................... ..............11,728 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/09/2025.... 1FE........

57585@ ZS 3 MASSACHUSETTS LOTTERY -Joyce, Francis (3......... . 03/11/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,206 ................40,081 .......................... ................9,919 .......................... ................9,919 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/11/2023.... 1FE........

57585@ ZY 0 MASSACHUSETTS LOTTERY -Medeiros, David.......... . 02/09/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................36,150 ................44,398 .......................... ................5,602 .......................... ................5,602 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/09/2020.... 1FE........

59464@ DL 4 MICHIGAN LOTTERY -Dwight, Helen 0.000%............ . 02/15/2016. Redemption 100.0000.................... ............................... ..............134,117 ..............134,117 ................79,537 ..............133,035 .......................... ................1,082 .......................... ................1,082 .......................... ..............134,117 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

59464@ EQ 2 MICHIGAN LOTTERY -Allen, Margaret 0.00................ . 01/15/2016. Redemption 100.0000.................... ............................... ..............133,200 ..............133,200 ................74,391 ..............132,777 .......................... ...................423 .......................... ...................423 .......................... ..............133,200 .......................... .......................... .......................0 ...................... 01/15/2016.... 1FE........

59464@ GV 9 MICHIGAN LOTTERY -Reed, Virlesa S. 0.0................ . 01/15/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................13,126 ................16,442 .......................... ................8,558 .......................... ................8,558 .......................... ................25,000 .......................... .......................... .......................0 ...................... 01/15/2028.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.8

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

59464@ GX 5 MICHIGAN LOTTERY -Reed, Virlesa S. (2)................... . 01/15/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................13,377 ................16,521 .......................... ................8,479 .......................... ................8,479 .......................... ................25,000 .......................... .......................... .......................0 ...................... 01/15/2028.... 1FE........

59464@ GY 3 MICHIGAN LOTTERY -Morton, Linda L. (2)................... . 03/03/2016. Redemption 100.0000.................... ............................... ................65,000 ................65,000 ................36,043 ................50,310 .......................... ..............14,690 .......................... ..............14,690 .......................... ................65,000 .......................... .......................... .......................0 ...................... 03/03/2023.... 1FE........

64605* MY 8 NEW JERSEY LOTTERY -Szabados, Elizabeth............ . 01/20/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................4,468 ................12,810 .......................... ...................190 .......................... ...................190 .......................... ................13,000 .......................... .......................... .......................0 ...................... 04/20/2016.... 1FE........

64605* PX 7 NEW JERSEY LOTTERY -Coats, Delayne (2)............... . 01/06/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................6,485 ................12,649 .......................... ...................351 .......................... ...................351 .......................... ................13,000 .......................... .......................... .......................0 ...................... 10/06/2016.... 1FE........

64605* QU 2 NEW JERSEY LOTTERY -Reilly, James (2).................. . 01/28/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................7,649 ................12,618 .......................... ...................382 .......................... ...................382 .......................... ................13,000 .......................... .......................... .......................0 ...................... 10/28/2016.... 1FE........

64605* RJ 6 NEW JERSEY LOTTERY -Clock, Dwight 0.00............. . 02/05/2016. Redemption 100.0000.................... ............................... ..................2,600 ..................2,600 ..................1,585 ..................2,430 .......................... ...................170 .......................... ...................170 .......................... ..................2,600 .......................... .......................... .......................0 ...................... 11/05/2017.... 1FE........

64605* RS 6 NEW JERSEY LOTTERY -Clock, Dwight (2).................. . 01/25/2016. Redemption 100.0000.................... ............................... ..................2,600 ..................2,600 ..................1,763 ..................2,454 .......................... ...................146 .......................... ...................146 .......................... ..................2,600 .......................... .......................... .......................0 ...................... 01/25/2018.... 1FE........

64605* SU 0 NEW JERSEY LOTTERY -Clock, Dwight (3).................. . 01/25/2016. Redemption 100.0000.................... ............................... ..................5,200 ..................5,200 ..................3,442 ..................4,873 .......................... ...................327 .......................... ...................327 .......................... ..................5,200 .......................... .......................... .......................0 ...................... 01/25/2018.... 1FE........

64605* SV 8 NEW JERSEY LOTTERY -DeJesus, Victor 0............... . 01/10/2016. Redemption 100.0000.................... ............................... ..................5,500 ..................5,500 ..................3,675 ..................5,184 .......................... ...................316 .......................... ...................316 .......................... ..................5,500 .......................... .......................... .......................0 ...................... 01/10/2018.... 1FE........

64605* SZ 9 NEW JERSEY LOTTERY -Kern, Fred C Jr 0............... . 01/23/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,433 ................11,709 .......................... ................1,291 .......................... ................1,291 .......................... ................13,000 .......................... .......................... .......................0 ...................... 07/23/2019.... 1FE........

64605* TY 1 NEW JERSEY LOTTERY -Clock, Dwight (4).................. . 01/25/2016. Redemption 100.0000.................... ............................... ..................2,600 ..................2,600 ..................1,790 ..................2,436 .......................... ...................164 .......................... ...................164 .......................... ..................2,600 .......................... .......................... .......................0 ...................... 01/25/2018.... 1FE........

64605* UJ 2 NEW JERSEY LOTTERY -Walsh, Phyllis 0.0.............. . 01/23/2016. Redemption 100.0000.................... ............................... ................11,500 ................11,500 ..................7,246 ................10,276 .......................... ................1,224 .......................... ................1,224 .......................... ................11,500 .......................... .......................... .......................0 ...................... 04/23/2019.... 1FE........

64605* UV 5 NEW JERSEY LOTTERY -Williams, Otis 0.0............... . 03/28/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,090 ................10,979 .......................... ................2,021 .......................... ................2,021 .......................... ................13,000 .......................... .......................... .......................0 ...................... 03/28/2021.... 1FE........

64605* UX 1 NEW JERSEY LOTTERY -Mabry, Timothy 0.0............ . 02/04/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,952 ................12,645 .......................... ...................355 .......................... ...................355 .......................... ................13,000 .......................... .......................... .......................0 ...................... 11/04/2016.... 1FE........

64605* VC 6 NEW JERSEY LOTTERY -Preciadopina, Blas (............. . 01/14/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................9,404 ................12,972 .......................... .....................28 .......................... .....................28 .......................... ................13,000 .......................... .......................... .......................0 ...................... 01/14/2016.... 1FE........

64605* VK 8 NEW JERSEY LOTTERY -Trani, Bryce J (2)................. . 03/30/2016. Redemption 100.0000.................... ............................... ..................9,250 ..................9,250 ..................5,379 ..................8,796 .......................... ...................454 .......................... ...................454 .......................... ..................9,250 .......................... .......................... .......................0 ...................... 03/30/2017.... 1FE........

64605* VT 9 NEW JERSEY LOTTERY -Heart, David J. 0................ . 02/23/2016. Redemption 100.0000.................... ............................... ................21,361 ................21,361 ................15,439 ................18,999 .......................... ................2,362 .......................... ................2,362 .......................... ................21,361 .......................... .......................... .......................0 ...................... 02/23/2020.... 1FE........

64605* VV 4 NEW JERSEY LOTTERY -Taylor, George 0.0............. . 01/15/2016. Redemption 100.0000.................... ............................... ..................2,492 ..................2,492 ..................1,554 ..................2,107 .......................... ...................385 .......................... ...................385 .......................... ..................2,492 .......................... .......................... .......................0 ...................... 10/15/2020.... 1FE........

64605* VW 2 NEW JERSEY LOTTERY -Vasvary, Nicholas Jr............ . 01/03/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................48,599 ................49,996 .......................... .......................4 .......................... .......................4 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/03/2016.... 1FE........

64605* VY 8 NEW JERSEY LOTTERY -Landis, Elton L. 0............... . 03/10/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,268 ................10,044 .......................... ................2,956 .......................... ................2,956 .......................... ................13,000 .......................... .......................... .......................0 ...................... 12/10/2024.... 1FE........

64605* WA 9 NEW JERSEY LOTTERY -Rosado, Erik M. 0.............. . 03/07/2016. Redemption 100.0000.................... ............................... ................10,718 ................10,718 ..................7,298 ..................8,987 .......................... ................1,732 .......................... ................1,732 .......................... ................10,718 .......................... .......................... .......................0 ...................... 12/07/2021.... 1FE........

64605* WB 7 NEW JERSEY LOTTERY -Waters, Edward III............... . 02/02/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,063 ..................9,839 .......................... ................3,161 .......................... ................3,161 .......................... ................13,000 .......................... .......................... .......................0 ...................... 05/02/2025.... 1FE........

64605* WE 1 NEW JERSEY LOTTERY -Haas, Christopher................ . 03/12/2016. Redemption 100.0000.................... ............................... ..................4,650 ..................4,650 ..................3,303 ..................4,320 .......................... ...................330 .......................... ...................330 .......................... ..................4,650 .......................... .......................... .......................0 ...................... 09/12/2017.... 1FE........

64605* WH 4 NEW JERSEY LOTTERY -Porch, Eric W. 0.0.............. . 02/24/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................9,211 ................11,378 .......................... ................1,622 .......................... ................1,622 .......................... ................13,000 .......................... .......................... .......................0 ...................... 11/24/2019.... 1FE........

64605* WJ 0 NEW JERSEY LOTTERY -Foy, Tyler 0.000%............. . 01/02/2016. Redemption 100.0000.................... ............................... ..................6,500 ..................6,500 ..................4,102 ..................4,914 .......................... ................1,586 .......................... ................1,586 .......................... ..................6,500 .......................... .......................... .......................0 ...................... 10/02/2024.... 1FE........

64605* WK 7 NEW JERSEY LOTTERY -Foy, Tyler (2) 0.0............... . 01/02/2016. Redemption 100.0000.................... ............................... ..................6,100 ..................6,100 ..................3,457 ..................4,207 .......................... ................1,893 .......................... ................1,893 .......................... ..................6,100 .......................... .......................... .......................0 ...................... 01/02/2026.... 1FE........

64605* WL 5 NEW JERSEY LOTTERY -Meenan, Heather 0............ . 02/03/2016. Redemption 100.0000.................... ............................... ..................8,200 ..................8,200 ..................5,734 ..................7,039 .......................... ................1,161 .......................... ................1,161 .......................... ..................8,200 .......................... .......................... .......................0 ...................... 11/03/2020.... 1FE........

64605* WM 3 NEW JERSEY LOTTERY -McLaughlin, Jacquel........... . 03/22/2016. Redemption 100.0000.................... ............................... ..................8,000 ..................8,000 ..................5,441 ..................6,537 .......................... ................1,463 .......................... ................1,463 .......................... ..................8,000 .......................... .......................... .......................0 ...................... 12/22/2021.... 1FE........

64605* WN 1 NEW JERSEY LOTTERY -Glover, Michelle A................ . 03/05/2016. Redemption 100.0000.................... ............................... ..................5,449 ..................5,449 ..................2,951 ..................3,612 .......................... ................1,837 .......................... ................1,837 .......................... ..................5,449 .......................... .......................... .......................0 ...................... 03/05/2026.... 1FE........

64605* WP 6 NEW JERSEY LOTTERY -McLaughlin, Jacqueli........... . 03/22/2016. Redemption 100.0000.................... ............................... ..................5,000 ..................5,000 ..................2,672 ..................3,364 .......................... ................1,636 .......................... ................1,636 .......................... ..................5,000 .......................... .......................... .......................0 ...................... 03/22/2024.... 1FE........

64605* WQ 4 NEW JERSEY LOTTERY -Orzol, Edward (2)................. . 01/21/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,376 ................10,825 .......................... ................2,175 .......................... ................2,175 .......................... ................13,000 .......................... .......................... .......................0 ...................... 07/21/2021.... 1FE........

64605* WS 0 NEW JERSEY LOTTERY -Sager, Ellen 0.000............. . 01/05/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,569 ..................9,541 .......................... ................3,459 .......................... ................3,459 .......................... ................13,000 .......................... .......................... .......................0 ...................... 10/05/2026.... 1FE........

64605* WW 1 NEW JERSEY LOTTERY -Cerbone, Lisa 0.00............ . 03/20/2016. Redemption 100.0000.................... ............................... ..................6,500 ..................6,500 ..................5,126 ..................5,385 .......................... ................1,115 .......................... ................1,115 .......................... ..................6,500 .......................... .......................... .......................0 ...................... 06/20/2024.... 1FE........

64982* AA 6 NEW YORK LOTTERY -Carbone, Vincent J. (2............. . 02/15/2016. Redemption 100.0000.................... ............................... ................16,250 ................16,250 ..................8,173 ................13,153 .......................... ................3,097 .......................... ................3,097 .......................... ................16,250 .......................... .......................... .......................0 ...................... 11/15/2020.... 1FE........

64982* AF 5 NEW YORK LOTTERY -Owens, Gary F. 0.000........... . 02/15/2016. Redemption 100.0000.................... ............................... ................12,127 ................12,127 ..................6,710 ..................8,407 .......................... ................3,720 .......................... ................3,720 .......................... ................12,127 .......................... .......................... .......................0 ...................... 05/15/2026.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.9

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

64982* AG 3 NEW YORK LOTTERY -Shuyeninov, Valeriy................. . 02/15/2016. Redemption 100.0000.................... ............................... ................26,163 ................26,163 ................13,662 ................17,583 .......................... ................8,580 .......................... ................8,580 .......................... ................26,163 .......................... .......................... .......................0 ...................... 02/15/2027.... 1FE........

64982* AJ 7 NEW YORK LOTTERY -Fabiano, Frances 0.0............. . 03/15/2016. Redemption 100.0000.................... ............................... ................25,997 ................25,997 ................15,008 ................18,125 .......................... ................7,872 .......................... ................7,872 .......................... ................25,997 .......................... .......................... .......................0 ...................... 03/15/2026.... 1FE........

64982* AK 4 NEW YORK LOTTERY -He, Li Quan (2) 0.00.............. . 02/15/2016. Redemption 100.0000.................... ............................... ................32,500 ................32,500 ................19,882 ................28,706 .......................... ................3,794 .......................... ................3,794 .......................... ................32,500 .......................... .......................... .......................0 ...................... 08/15/2019.... 1FE........

64982* AM 0 NEW YORK LOTTERY -Zheng, Fa 0.000% 03/........... . 03/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,552 ................32,316 .......................... ..............17,684 .......................... ..............17,684 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/15/2028.... 1FE........

64982* AN 8 NEW YORK LOTTERY -Davids, Dolphe R. 0............... . 01/15/2016. Redemption 100.0000.................... ............................... ................35,000 ................35,000 ................19,673 ................24,714 .......................... ..............10,286 .......................... ..............10,286 .......................... ................35,000 .......................... .......................... .......................0 ...................... 01/15/2026.... 1FE........

64982* AT 5 NEW YORK LOTTERY -Shuyeninov, Valeriy (2............. . 02/15/2016. Redemption 100.0000.................... ............................... ................23,837 ................23,837 ................13,509 ................16,197 .......................... ................7,640 .......................... ................7,640 .......................... ................23,837 .......................... .......................... .......................0 ...................... 02/15/2027.... 1FE........

64982* AW 8 NEW YORK LOTTERY -Gentile, George H. 0.............. . 02/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................37,681 ................45,022 .......................... ................4,979 .......................... ................4,979 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/15/2019.... 1FE........

64982* BE 7 NEW YORK LOTTERY -O'Connell, Patrick L................ . 03/15/2016. Redemption 100.0000.................... ............................... ................40,000 ................40,000 ................26,416 ................34,456 .......................... ................5,544 .......................... ................5,544 .......................... ................40,000 .......................... .......................... .......................0 ...................... 03/15/2020.... 1FE........

64982* BK 3 NEW YORK LOTTERY -Zhang, Li Hua 0.000%.......... . 03/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................27,501 ................32,721 .......................... ..............17,279 .......................... ..............17,279 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/15/2028.... 1FE........

64982* DG 0 NEW YORK LOTTERY -Leonard, Carol L. 0................ . 02/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,888 ................32,311 .......................... ..............17,689 .......................... ..............17,689 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/15/2030.... 1FE........

64982@ A8 9 NEW YORK LOTTERY -Ross, James Estate of............ . 01/15/2016. Redemption 100.0000.................... ............................... ................58,800 ................58,800 ................30,540 ................44,017 .......................... ..............14,783 .......................... ..............14,783 .......................... ................58,800 .......................... .......................... .......................0 ...................... 01/15/2025.... 1FE........

64982@ A9 7 NEW YORK LOTTERY -Sackelos, James R (2)............ . 01/15/2016. Redemption 100.0000.................... ............................... ................99,000 ................99,000 ................51,280 ................81,721 .......................... ..............17,279 .......................... ..............17,279 .......................... ................99,000 .......................... .......................... .......................0 ...................... 01/15/2021.... 1FE........

64982@ B2 1 NEW YORK LOTTERY -Sequerth, George J III............. . 02/15/2016. Redemption 100.0000.................... ............................... ................10,000 ................10,000 ..................6,624 ..................9,158 .......................... ...................842 .......................... ...................842 .......................... ................10,000 .......................... .......................... .......................0 ...................... 11/15/2018.... 1FE........

64982@ B5 4 NEW YORK LOTTERY -Wagner, Joyce A (3)................ . 01/15/2016. Redemption 100.0000.................... ............................... ................76,000 ................76,000 ................52,359 ................75,817 .......................... ...................183 .......................... ...................183 .......................... ................76,000 .......................... .......................... .......................0 ...................... 01/15/2016.... 1FE........

64982@ B9 6 NEW YORK LOTTERY -Arthur, Mary E 0.000............. . 02/15/2016. Redemption 100.0000.................... ............................... ..............352,000 ..............352,000 ..............143,702 ..............279,890 .......................... ..............72,110 .......................... ..............72,110 .......................... ..............352,000 .......................... .......................... .......................0 ...................... 02/15/2023.... 1FE........

64982@ D6 0 NEW YORK LOTTERY -Sackelos, James R (3)............ . 01/15/2016. Redemption 100.0000.................... ............................... ................86,923 ................86,923 ................57,712 ................81,565 .......................... ................5,358 .......................... ................5,358 .......................... ................86,923 .......................... .......................... .......................0 ...................... 01/15/2018.... 1FE........

64982@ F4 3 NEW YORK LOTTERY -Cortes, Jose (2) 0.0............... . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................5,898 ................11,061 .......................... ................1,939 .......................... ................1,939 .......................... ................13,000 .......................... .......................... .......................0 ...................... 11/15/2020.... 1FE........

64982@ F6 8 NEW YORK LOTTERY -Hartling, Edward H 0.............. . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,110 ................10,770 .......................... ................2,230 .......................... ................2,230 .......................... ................13,000 .......................... .......................... .......................0 ...................... 02/15/2022.... 1FE........

64982@ G3 4 NEW YORK LOTTERY -Morrisette, Marlene.................. . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................7,830 ................10,421 .......................... ................2,579 .......................... ................2,579 .......................... ................13,000 .......................... .......................... .......................0 ...................... 02/15/2023.... 1FE........

64982@ G5 9 NEW YORK LOTTERY -Vargas, David (2) 0................ . 02/15/2016. Redemption 100.0000.................... ............................... ..................7,000 ..................7,000 ..................3,775 ..................5,727 .......................... ................1,273 .......................... ................1,273 .......................... ..................7,000 .......................... .......................... .......................0 ...................... 05/15/2022.... 1FE........

64982@ G6 7 NEW YORK LOTTERY -Collins, Pam 0.000%............. . 03/15/2016. Redemption 100.0000.................... ............................... ................14,476 ................14,476 ..................8,034 ................11,019 .......................... ................3,457 .......................... ................3,457 .......................... ................14,476 .......................... .......................... .......................0 ...................... 03/15/2024.... 1FE........

64982@ G7 5 NEW YORK LOTTERY -Collins, Pam (2) 0.0............... . 03/15/2016. Redemption 100.0000.................... ............................... ................45,524 ................45,524 ................25,745 ................34,843 .......................... ..............10,681 .......................... ..............10,681 .......................... ................45,524 .......................... .......................... .......................0 ...................... 03/15/2024.... 1FE........

64982@ G9 1 NEW YORK LOTTERY -Montero, Jose R 0.00............ . 03/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,250 ................38,326 .......................... ..............11,674 .......................... ..............11,674 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/15/2024.... 1FE........

64982@ H3 3 NEW YORK LOTTERY -Rivera-Diaz, Romilda (............ . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................4,348 ..................9,934 .......................... ................3,066 .......................... ................3,066 .......................... ................13,000 .......................... .......................... .......................0 ...................... 02/15/2023.... 1FE........

64982@ H9 0 NEW YORK LOTTERY -Ruvinov, Rabo 0.000%......... . 02/15/2016. Redemption 100.0000.................... ............................... ..............100,000 ..............100,000 ................58,528 ................79,076 .......................... ..............20,924 .......................... ..............20,924 .......................... ..............100,000 .......................... .......................... .......................0 ...................... 02/15/2023.... 1FE........

64982@ J5 6 NEW YORK LOTTERY -Cohn, Michael 0.000%.......... . 02/15/2016. Redemption 100.0000.................... ............................... ................32,500 ................32,500 ................23,447 ................31,474 .......................... ................1,026 .......................... ................1,026 .......................... ................32,500 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

64982@ J6 4 NEW YORK LOTTERY -Collins, Pam (3) 0.0............... . 03/15/2016. Redemption 100.0000.................... ............................... ................40,000 ................40,000 ................22,676 ................30,388 .......................... ................9,612 .......................... ................9,612 .......................... ................40,000 .......................... .......................... .......................0 ...................... 03/15/2024.... 1FE........

64982@ J8 0 NEW YORK LOTTERY -Bell, Jeffrey F (2)..................... . 01/15/2016. Redemption 100.0000.................... ............................... ................22,000 ................22,000 ................15,622 ................21,943 .......................... .....................57 .......................... .....................57 .......................... ................22,000 .......................... .......................... .......................0 ...................... 01/15/2016.... 1FE........

64982@ JD 9 NEW YORK LOTTERY -Browne, Raymond W 0.......... . 03/15/2016. Redemption 100.0000.................... ............................... ..............100,000 ..............100,000 ................44,134 ................81,352 .......................... ..............18,648 .......................... ..............18,648 .......................... ..............100,000 .......................... .......................... .......................0 ...................... 03/15/2021.... 1FE........

64982@ K6 2 NEW YORK LOTTERY -Bridges, Barbara 0.0.............. . 01/15/2016. Redemption 100.0000.................... ............................... ..............320,000 ..............320,000 ..............232,520 ..............319,186 .......................... ...................814 .......................... ...................814 .......................... ..............320,000 .......................... .......................... .......................0 ...................... 01/15/2016.... 1FE........

64982@ LU 8 NEW YORK LOTTERY -OConnor, Dorthy T 0............. . 01/15/2016. Redemption 100.0000.................... ............................... ..............285,715 ..............285,715 ..............143,257 ..............284,787 .......................... ...................928 .......................... ...................928 .......................... ..............285,715 .......................... .......................... .......................0 ...................... 01/15/2016.... 1FE........

64982@ LV 6 NEW YORK LOTTERY -Smith, Carlton 0.000.............. . 02/15/2016. Redemption 100.0000.................... ............................... ..................6,500 ..................6,500 ..................3,449 ..................6,438 .......................... .....................62 .......................... .....................62 .......................... ..................6,500 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

64982@ M2 9 NEW YORK LOTTERY -Schmitt, Bryan M. 0............... . 02/15/2016. Redemption 100.0000.................... ............................... ..................7,266 ..................7,266 ..................4,575 ..................6,656 .......................... ...................610 .......................... ...................610 .......................... ..................7,266 .......................... .......................... .......................0 ...................... 11/15/2018.... 1FE........

64982@ M5 2 NEW YORK LOTTERY -Carbone, Vincent J.................. . 02/15/2016. Redemption 100.0000.................... ............................... ................16,250 ................16,250 ................12,775 ................15,449 .......................... ...................801 .......................... ...................801 .......................... ................16,250 .......................... .......................... .......................0 ...................... 11/15/2017.... 1FE........

64982@ M6 0 NEW YORK LOTTERY -Frazier, Carmen 0.00............. . 03/15/2016. Redemption 100.0000.................... ............................... ................26,000 ................26,000 ................14,461 ................19,119 .......................... ................6,881 .......................... ................6,881 .......................... ................26,000 .......................... .......................... .......................0 ...................... 03/15/2025.... 1FE........

64982@ M8 6 NEW YORK LOTTERY -Solce-Castellano, Cath............ . 03/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................39,898 ................48,250 .......................... ................1,750 .......................... ................1,750 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/15/2017.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.10

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

64982@ M9 4 NEW YORK LOTTERY -Thorpe, Bernice E. 0.............. . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,073 ..................9,791 .......................... ................3,209 .......................... ................3,209 .......................... ................13,000 .......................... .......................... .......................0 ...................... 02/15/2026.... 1FE........

64982@ N2 8 NEW YORK LOTTERY -Thorpe, Roy A. 0.000............ . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,073 ..................9,791 .......................... ................3,209 .......................... ................3,209 .......................... ................13,000 .......................... .......................... .......................0 ...................... 02/15/2026.... 1FE........

64982@ N6 9 NEW YORK LOTTERY -Gutierrez, Vilma G................... . 02/15/2016. Redemption 100.0000.................... ............................... ..................8,960 ..................8,960 ..................6,176 ..................7,468 .......................... ................1,492 .......................... ................1,492 .......................... ..................8,960 .......................... .......................... .......................0 ...................... 11/15/2022.... 1FE........

64982@ N7 7 NEW YORK LOTTERY -Singh, Deonauth 0.00............ . 01/15/2016. Redemption 100.0000.................... ............................... ................27,101 ................27,101 ................20,923 ................25,687 .......................... ................1,414 .......................... ................1,414 .......................... ................27,101 .......................... .......................... .......................0 ...................... 01/15/2018.... 1FE........

64982@ NK 8 NEW YORK LOTTERY -DeSimone, Rick (2) 0............ . 02/15/2016. Redemption 100.0000.................... ............................... ..................6,500 ..................6,500 ..................2,632 ..................6,338 .......................... ...................162 .......................... ...................162 .......................... ..................6,500 .......................... .......................... .......................0 ...................... 08/15/2016.... 1FE........

64982@ NT 9 NEW YORK LOTTERY -Dimopoulos, Andreas (2.......... . 03/15/2016. Redemption 100.0000.................... ............................... ..............337,500 ..............337,500 ..............113,090 ..............273,331 .......................... ..............64,169 .......................... ..............64,169 .......................... ..............337,500 .......................... .......................... .......................0 ...................... 03/15/2022.... 1FE........

64982@ NU 6 NEW YORK LOTTERY -Dimopoulos, Dorothy............... . 03/15/2016. Redemption 100.0000.................... ............................... ..............337,500 ..............337,500 ..............113,090 ..............273,331 .......................... ..............64,169 .......................... ..............64,169 .......................... ..............337,500 .......................... .......................... .......................0 ...................... 03/15/2022.... 1FE........

64982@ P4 2 NEW YORK LOTTERY -Torres, Maria T. 0.0............... . 01/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................38,344 ................47,302 .......................... ................2,698 .......................... ................2,698 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/15/2018.... 1FE........

64982@ P6 7 NEW YORK LOTTERY -McBride, Sheila B. 0.............. . 01/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................32,864 ................48,317 .......................... ................1,683 .......................... ................1,683 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/15/2017.... 1FE........

64982@ P9 1 NEW YORK LOTTERY -Montesano, Salvatore J........... . 02/15/2016. Redemption 100.0000.................... ............................... ................15,000 ................15,000 ................11,593 ................14,656 .......................... ...................344 .......................... ...................344 .......................... ................15,000 .......................... .......................... .......................0 ...................... 08/15/2016.... 1FE........

64982@ Q4 1 NEW YORK LOTTERY -Gilbert, Maxine 0.00.............. . 03/15/2016. Redemption 100.0000.................... ............................... ................27,000 ................27,000 ................14,226 ................18,569 .......................... ................8,431 .......................... ................8,431 .......................... ................27,000 .......................... .......................... .......................0 ...................... 03/15/2027.... 1FE........

64982@ Q6 6 NEW YORK LOTTERY -Haner, Ginnie L. 0.0.............. . 02/15/2016. Redemption 100.0000.................... ............................... ..................7,500 ..................7,500 ..................4,512 ..................4,789 .......................... ................2,711 .......................... ................2,711 .......................... ..................7,500 .......................... .......................... .......................0 ...................... 08/15/2025.... 1FE........

64982@ Q7 4 NEW YORK LOTTERY -McCabe, George 0.000......... . 02/15/2016. Redemption 100.0000.................... ............................... ................10,000 ................10,000 ..................7,358 ..................9,322 .......................... ...................678 .......................... ...................678 .......................... ................10,000 .......................... .......................... .......................0 ...................... 02/15/2018.... 1FE........

64982@ Q8 2 NEW YORK LOTTERY -Mitchell, Elsie L. 0................. . 03/15/2016. Redemption 100.0000.................... ............................... ..............150,000 ..............150,000 ................84,742 ..............105,803 .......................... ..............44,197 .......................... ..............44,197 .......................... ..............150,000 .......................... .......................... .......................0 ...................... 03/15/2027.... 1FE........

64982@ QF 6 NEW YORK LOTTERY -Goldman, Gloria 0.00............ . 02/15/2016. Redemption 100.0000.................... ............................... ..................5,200 ..................5,200 ..................2,930 ..................4,921 .......................... ...................279 .......................... ...................279 .......................... ..................5,200 .......................... .......................... .......................0 ...................... 05/15/2017.... 1FE........

64982@ R4 0 NEW YORK LOTTERY -Crosby, James A. 0.0............ . 02/15/2016. Redemption 100.0000.................... ............................... ..................6,500 ..................6,500 ..................4,835 ..................6,009 .......................... ...................491 .......................... ...................491 .......................... ..................6,500 .......................... .......................... .......................0 ...................... 05/15/2018.... 1FE........

64982@ RS 7 NEW YORK LOTTERY -Fernandez, Jose I (2).............. . 03/15/2016. Redemption 100.0000.................... ............................... ..............506,250 ..............506,250 ..............202,192 ..............394,612 .......................... ............111,638 .......................... ............111,638 .......................... ..............506,250 .......................... .......................... .......................0 ...................... 03/15/2022.... 1FE........

64982@ SY 3 NEW YORK LOTTERY -Sollars, Donald E (2)............... . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................6,394 ................11,659 .......................... ................1,341 .......................... ................1,341 .......................... ................13,000 .......................... .......................... .......................0 ...................... 11/15/2018.... 1FE........

64982@ TC 0 NEW YORK LOTTERY -Martinez, Hector (2)................. . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................5,970 ................11,481 .......................... ................1,519 .......................... ................1,519 .......................... ................13,000 .......................... .......................... .......................0 ...................... 05/15/2019.... 1FE........

64982@ TE 6 NEW YORK LOTTERY -Golub, Inessa 0.000%........... . 02/15/2016. Redemption 100.0000.................... ............................... ..................6,500 ..................6,500 ..................3,251 ..................5,999 .......................... ...................501 .......................... ...................501 .......................... ..................6,500 .......................... .......................... .......................0 ...................... 02/15/2018.... 1FE........

64982@ UH 7 NEW YORK LOTTERY -Golub, Vladimir 0.00.............. . 02/15/2016. Redemption 100.0000.................... ............................... ..................6,500 ..................6,500 ..................3,361 ..................5,979 .......................... ...................521 .......................... ...................521 .......................... ..................6,500 .......................... .......................... .......................0 ...................... 05/15/2018.... 1FE........

64982@ VD 5 NEW YORK LOTTERY -Bell, Jeffrey 0.000%.............. . 01/06/2016. Redemption 100.0000.................... ............................... ................13,500 ................13,500 ..................8,725 ................13,488 .......................... .....................12 .......................... .....................12 .......................... ................13,500 .......................... .......................... .......................0 ...................... 01/06/2016.... 1FE........

64982@ VW 3 NEW YORK LOTTERY -Diaz, Raymond 0.000%........ . 03/15/2016. Redemption 100.0000.................... ............................... ................12,500 ................12,500 ................11,274 ................11,781 .......................... ...................719 .......................... ...................719 .......................... ................12,500 .......................... .......................... .......................0 ...................... 03/15/2021.... 1FE........

64982@ VX 1 NEW YORK LOTTERY -Diaz, Raymond (2) 0.............. . 03/15/2016. Redemption 100.0000.................... ............................... ................12,500 ................12,500 ..................7,562 ................10,699 .......................... ................1,801 .......................... ................1,801 .......................... ................12,500 .......................... .......................... .......................0 ...................... 03/15/2021.... 1FE........

64982@ W6 9 NEW YORK LOTTERY -Gallegos, Lourdes G............... . 02/15/2016. Redemption 100.0000.................... ............................... ................26,000 ................26,000 ................19,234 ................23,514 .......................... ................2,486 .......................... ................2,486 .......................... ................26,000 .......................... .......................... .......................0 ...................... 11/15/2018.... 1FE........

64982@ W9 3 NEW YORK LOTTERY -LeBlanc, Carol G. 0............... . 02/15/2016. Redemption 100.0000.................... ............................... ..................5,750 ..................5,750 ..................3,220 ..................3,954 .......................... ................1,796 .......................... ................1,796 .......................... ..................5,750 .......................... .......................... .......................0 ...................... 08/15/2026.... 1FE........

64982@ WA 0 NEW YORK LOTTERY -Leary, David 0.000%............. . 02/15/2016. Redemption 100.0000.................... ............................... ................10,000 ................10,000 ..................3,013 ..................7,532 .......................... ................2,468 .......................... ................2,468 .......................... ................10,000 .......................... .......................... .......................0 ...................... 11/15/2023.... 1FE........

64982@ WC 6 NEW YORK LOTTERY -Olibrice, Jacques 0................ . 02/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................30,073 ................42,936 .......................... ................7,064 .......................... ................7,064 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/15/2021.... 1FE........

64982@ WF 9 NEW YORK LOTTERY -Taylor, Sandra 0.000............. . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................7,890 ................12,630 .......................... ...................370 .......................... ...................370 .......................... ................13,000 .......................... .......................... .......................0 ...................... 11/15/2016.... 1FE........

64982@ WG 7 NEW YORK LOTTERY -Win, Lay 0.000% 03/1........... . 03/15/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................14,582 ................21,148 .......................... ................3,852 .......................... ................3,852 .......................... ................25,000 .......................... .......................... .......................0 ...................... 03/15/2021.... 1FE........

64982@ X2 7 NEW YORK LOTTERY -Cobb, Annette 0.000%.......... . 02/15/2016. Redemption 100.0000.................... ............................... ..................7,425 ..................7,425 ..................4,509 ..................5,497 .......................... ................1,928 .......................... ................1,928 .......................... ..................7,425 .......................... .......................... .......................0 ...................... 11/15/2024.... 1FE........

64982@ X5 0 NEW YORK LOTTERY -DeClerck, Brittanie................... . 03/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,019 ................32,322 .......................... ..............17,678 .......................... ..............17,678 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/15/2028.... 1FE........

64982@ X6 8 NEW YORK LOTTERY -Diaz, Catalina 0.000.............. . 02/15/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................12,847 ................16,025 .......................... ................8,975 .......................... ................8,975 .......................... ................25,000 .......................... .......................... .......................0 ...................... 02/15/2028.... 1FE........

64982@ X7 6 NEW YORK LOTTERY -Kisacky, Rana J. 0.0.............. . 01/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,262 ................32,736 .......................... ..............17,264 .......................... ..............17,264 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/15/2028.... 1FE........

64982@ XJ 0 NEW YORK LOTTERY -Cabrera, Livia 0.000.............. . 03/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,165 ................43,615 .......................... ................6,386 .......................... ................6,386 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/15/2020.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.11

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

64982@ XQ 4 NEW YORK LOTTERY -Pietrowski, Ronald 0.............. . 01/15/2016. Redemption 100.0000.................... ............................... ................15,000 ................15,000 ..................8,609 ................12,396 .......................... ................2,604 .......................... ................2,604 .......................... ................15,000 .......................... .......................... .......................0 ...................... 01/15/2022.... 1FE........

64982@ XS 0 NEW YORK LOTTERY -Wagner, Joyce A 0.00........... . 01/15/2016. Redemption 100.0000.................... ............................... ..............217,000 ..............217,000 ..............106,637 ..............160,174 .......................... ..............56,826 .......................... ..............56,826 .......................... ..............217,000 .......................... .......................... .......................0 ...................... 01/15/2026.... 1FE........

64982@ XT 8 NEW YORK LOTTERY -Wagner, Joyce A (2)................ . 01/15/2016. Redemption 100.0000.................... ............................... ................76,000 ................76,000 ................26,613 ................52,470 .......................... ..............23,530 .......................... ..............23,530 .......................... ................76,000 .......................... .......................... .......................0 ...................... 01/15/2026.... 1FE........

64982@ XX 9 NEW YORK LOTTERY -Cabrera, Livia T (2).................. . 03/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................26,489 ................43,331 .......................... ................6,669 .......................... ................6,669 .......................... ................50,000 .......................... .......................... .......................0 ...................... 03/15/2020.... 1FE........

64982@ XZ 4 NEW YORK LOTTERY -Febles, Hector S 0.0.............. . 02/15/2016. Redemption 100.0000.................... ............................... ................32,500 ................32,500 ................17,182 ................27,437 .......................... ................5,063 .......................... ................5,063 .......................... ................32,500 .......................... .......................... .......................0 ...................... 05/15/2021.... 1FE........

64982@ Y6 7 NEW YORK LOTTERY -Segundo, Severino 0............. . 01/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................36,251 ................45,019 .......................... ................4,981 .......................... ................4,981 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/15/2019.... 1FE........

64982@ Y7 5 NEW YORK LOTTERY -Singh, Deonauth (2)................ . 01/15/2016. Redemption 100.0000.................... ............................... ................44,800 ................44,800 ................22,398 ................31,290 .......................... ..............13,510 .......................... ..............13,510 .......................... ................44,800 .......................... .......................... .......................0 ...................... 01/15/2025.... 1FE........

64982@ Y8 3 NEW YORK LOTTERY -Stewart (2), Basil 0................ . 02/15/2016. Redemption 100.0000.................... ............................... ..................7,000 ..................7,000 ..................4,864 ..................6,028 .......................... ...................972 .......................... ...................972 .......................... ..................7,000 .......................... .......................... .......................0 ...................... 02/15/2020.... 1FE........

64982@ YB 6 NEW YORK LOTTERY -Fountain, Mario (3).................. . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................7,081 ................12,386 .......................... ...................614 .......................... ...................614 .......................... ................13,000 .......................... .......................... .......................0 ...................... 05/15/2017.... 1FE........

64982@ YF 7 NEW YORK LOTTERY -Kuhl, Karen D 0.000%........... . 01/15/2016. Redemption 100.0000.................... ............................... ................14,000 ................14,000 ..................7,883 ................11,588 .......................... ................2,412 .......................... ................2,412 .......................... ................14,000 .......................... .......................... .......................0 ...................... 01/15/2022.... 1FE........

64982@ YK 6 NEW YORK LOTTERY -Prado, Marco S 0.000............ . 01/15/2016. Redemption 100.0000.................... ............................... ..............250,000 ..............250,000 ..............153,729 ..............212,113 .......................... ..............37,887 .......................... ..............37,887 .......................... ..............250,000 .......................... .......................... .......................0 ...................... 01/15/2022.... 1FE........

64982@ YL 4 NEW YORK LOTTERY -Rog, John (2) 0.000%........... . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................8,194 ................11,866 .......................... ................1,134 .......................... ................1,134 .......................... ................13,000 .......................... .......................... .......................0 ...................... 11/15/2018.... 1FE........

64982@ YW 0 NEW YORK LOTTERY -Almonte, Ramon 0.000.......... . 01/20/2016. Redemption 100.0000.................... ............................... ..............250,000 ..............250,000 ..............146,760 ..............203,551 .......................... ..............46,449 .......................... ..............46,449 .......................... ..............250,000 .......................... .......................... .......................0 ...................... 01/20/2023.... 1FE........

64982@ ZE 9 NEW YORK LOTTERY -Febles, Hector (2) 0............... . 02/15/2016. Redemption 100.0000.................... ............................... ................22,500 ................22,500 ................12,148 ................18,978 .......................... ................3,522 .......................... ................3,522 .......................... ................22,500 .......................... .......................... .......................0 ...................... 05/15/2021.... 1FE........

64982@ ZP 4 NEW YORK LOTTERY -Hernandez, Jose L 0............. . 02/15/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................7,378 ................10,415 .......................... ................2,585 .......................... ................2,585 .......................... ................13,000 .......................... .......................... .......................0 ...................... 05/15/2022.... 1FE........

64982@ ZQ 2 NEW YORK LOTTERY -Herring, Rodney (2)................. . 02/15/2016. Redemption 100.0000.................... ............................... ................10,000 ................10,000 ..................4,157 ..................8,335 .......................... ................1,665 .......................... ................1,665 .......................... ................10,000 .......................... .......................... .......................0 ...................... 11/15/2020.... 1FE........

64982@ ZV 1 NEW YORK LOTTERY -Kozemko, Karl A 0.00............ . 02/15/2016. Redemption 100.0000.................... ............................... ..............100,000 ..............100,000 ................57,664 ................79,878 .......................... ..............20,122 .......................... ..............20,122 .......................... ..............100,000 .......................... .......................... .......................0 ...................... 02/15/2023.... 1FE........

64982@ ZW 9 NEW YORK LOTTERY -Kuhl, Karen D (2) 0................ . 01/15/2016. Redemption 100.0000.................... ............................... ................36,000 ................36,000 ................20,814 ................29,823 .......................... ................6,177 .......................... ................6,177 .......................... ................36,000 .......................... .......................... .......................0 ...................... 01/15/2022.... 1FE........

64982@ ZY 5 NEW YORK LOTTERY -Malaspina, Maria 0.0............. . 01/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................27,772 ................39,709 .......................... ..............10,291 .......................... ..............10,291 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/15/2023.... 1FE........

67758* AK 9 OHIO LOTTERY -Hammond, Josephine G 0.0............ . 03/04/2016. Redemption 100.0000.................... ............................... ................85,470 ................85,470 ................53,262 ................74,908 .......................... ..............10,562 .......................... ..............10,562 .......................... ................85,470 .......................... .......................... .......................0 ...................... 03/04/2020.... 1FE........

67758* BB 8 OHIO LOTTERY -Harmon, Ollie E 0.000% 0............... . 01/13/2016. Redemption 100.0000.................... ............................... ................31,250 ................31,250 ................13,099 ................18,224 .......................... ..............13,026 .......................... ..............13,026 .......................... ................31,250 .......................... .......................... .......................0 ...................... 01/13/2032.... 1FE........

67758* BH 5 OHIO LOTTERY -Schliecker, Beulah 0.000................. . 01/04/2016. Redemption 100.0000.................... ............................... ................31,250 ................31,250 ................13,559 ................18,836 .......................... ..............12,414 .......................... ..............12,414 .......................... ................31,250 .......................... .......................... .......................0 ...................... 01/04/2032.... 1FE........

67758* BJ 1 OHIO LOTTERY -Sestak, Angela L 0.000%................ . 03/15/2016. Redemption 100.0000.................... ............................... ................76,923 ................76,923 ................42,636 ................60,648 .......................... ..............16,275 .......................... ..............16,275 .......................... ................76,923 .......................... .......................... .......................0 ...................... 03/15/2023.... 1FE........

67758* BK 8 OHIO LOTTERY -Slone, Hatty 0.000% 01/0................ . 01/04/2016. Redemption 100.0000.................... ............................... ................31,250 ................31,250 ................13,559 ................18,836 .......................... ..............12,414 .......................... ..............12,414 .......................... ................31,250 .......................... .......................... .......................0 ...................... 01/04/2032.... 1FE........

67758* BR 3 OHIO LOTTERY -Habian, David J 0.000% 0............... . 01/05/2016. Redemption 100.0000.................... ............................... ................76,923 ................76,923 ................54,994 ................74,825 .......................... ................2,098 .......................... ................2,098 .......................... ................76,923 .......................... .......................... .......................0 ...................... 01/05/2017.... 1FE........

67758* BT 9 OHIO LOTTERY -Shriver, Patricia A 0.00.................... . 03/29/2016. Redemption 100.0000.................... ............................... ................59,172 ................59,172 ................37,234 ................51,368 .......................... ................7,804 .......................... ................7,804 .......................... ................59,172 .......................... .......................... .......................0 ...................... 03/29/2020.... 1FE........

67758* BW 2 OHIO LOTTERY -Thorp, Lenora B 0.000% 0.............. . 01/15/2016. Redemption 100.0000.................... ............................... ................31,250 ................31,250 ................14,035 ................18,864 .......................... ..............12,386 .......................... ..............12,386 .......................... ................31,250 .......................... .......................... .......................0 ...................... 01/15/2032.... 1FE........

67758* BZ 5 OHIO LOTTERY -Ishmael, Terry J 0.000%................. . 01/07/2016. Redemption 100.0000.................... ............................... ..............250,000 ..............250,000 ..............113,285 ..............152,663 .......................... ..............97,337 .......................... ..............97,337 .......................... ..............250,000 .......................... .......................... .......................0 ...................... 01/07/2032.... 1FE........

67758* CD 3 OHIO LOTTERY -Akers, Suzanne 0.000% 01............. . 01/31/2016. Redemption 100.0000.................... ............................... ................15,000 ................15,000 ................10,001 ................13,532 .......................... ................1,468 .......................... ................1,468 .......................... ................15,000 .......................... .......................... .......................0 ...................... 01/31/2019.... 1FE........

67758* CN 1 OHIO LOTTERY -Lantz, Robert S. 0.000%................. . 02/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................40,182 ................49,659 .......................... ...................341 .......................... ...................341 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

67758* CQ 4 OHIO LOTTERY -Thierfelder, J. Scott 0....................... . 02/15/2016. Redemption 100.0000.................... ............................... ................17,542 ................17,542 ................11,804 ................14,638 .......................... ................2,904 .......................... ................2,904 .......................... ................17,542 .......................... .......................... .......................0 ...................... 02/15/2022.... 1FE........

67758* CT 8 OHIO LOTTERY -Ottawa Blind Trust 0.000................. . 01/10/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................28,323 ................35,778 .......................... ..............14,222 .......................... ..............14,222 .......................... ................50,000 .......................... .......................... .......................0 ...................... 01/10/2027.... 1FE........

679111 VQ 4 OKLAHOMA ST TURNPIKE AUTHORITY CALLABLE.. . 03/08/2016. CITIGROUP GLOBAL MKTS.............. ............................... .........19,010,940 .........18,000,000 .........18,571,320 .........18,452,829 .......................... .............(15,305) .......................... .............(15,305) .......................... .........18,437,524 .......................... ............573,416 ............573,416 .......468,096 01/01/2030.... 1FE........

68607# DA 5 OREGON LOTTERY -O'Donnell, Mark 0.000%........... . 02/02/2016. Redemption 100.0000.................... ............................... ................20,000 ................20,000 ................10,774 ................15,980 .......................... ................4,020 .......................... ................4,020 .......................... ................20,000 .......................... .......................... .......................0 ...................... 02/02/2023.... 1FE........

68607# DB 3 OREGON LOTTERY -Yeo, Yong 0.000% 03/05.......... . 03/05/2016. Redemption 100.0000.................... ............................... ................52,000 ................52,000 ................37,034 ................51,507 .......................... ...................493 .......................... ...................493 .......................... ................52,000 .......................... .......................... .......................0 ...................... 03/05/2016.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.12

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

68607# DM 9 OREGON LOTTERY -Roarke, Elizabeth S 0............... . 02/15/2016. Redemption 100.0000.................... ............................... ................50,000 ................50,000 ................36,734 ................48,102 .......................... ................1,898 .......................... ................1,898 .......................... ................50,000 .......................... .......................... .......................0 ...................... 02/15/2017.... 1FE........

68607# DP 2 OREGON LOTTERY -Garner, Ronald (2) 0.0.............. . 03/06/2016. Redemption 100.0000.................... ............................... ..............125,000 ..............125,000 ................83,112 ..............116,133 .......................... ................8,867 .......................... ................8,867 .......................... ..............125,000 .......................... .......................... .......................0 ...................... 03/06/2018.... 1FE........

68607# DV 9 OREGON LOTTERY -Lowry, Stacey (2) 0.00.............. . 01/08/2016. Redemption 100.0000.................... ............................... ................85,658 ................85,658 ................59,616 ................77,815 .......................... ................7,843 .......................... ................7,843 .......................... ................85,658 .......................... .......................... .......................0 ...................... 01/08/2019.... 1FE........

68607# DX 5 OREGON LOTTERY -Lowry, Stacey (3) 0.00.............. . 01/08/2016. Redemption 100.0000.................... ............................... ..............164,342 ..............164,342 ..............121,260 ..............148,879 .......................... ..............15,462 .......................... ..............15,462 .......................... ..............164,342 .......................... .......................... .......................0 ...................... 01/08/2019.... 1FE........

70920# GA 8 PENNSYLVANIA LOTTERY -Bickley, Roger F J............ . 01/02/2016. Redemption 100.0000.................... ............................... ................42,970 ................42,970 ................16,308 ................42,960 .......................... .....................10 .......................... .....................10 .......................... ................42,970 .......................... .......................... .......................0 ...................... 01/02/2016.... 1FE........

70920# HT 6 PENNSYLVANIA LOTTERY -Keller, Deborah (2............ . 01/02/2016. Redemption 100.0000.................... ............................... ................52,000 ................52,000 ................27,901 ................50,035 .......................... ................1,965 .......................... ................1,965 .......................... ................52,000 .......................... .......................... .......................0 ...................... 01/02/2017.... 1FE........

70920# JM 9 PENNSYLVANIA LOTTERY -McKay, Henry 0.0.......... . 01/21/2016. Redemption 100.0000.................... ............................... ................23,154 ................23,154 ................12,964 ................19,886 .......................... ................3,268 .......................... ................3,268 .......................... ................23,154 .......................... .......................... .......................0 ...................... 01/21/2020.... 1FE........

70920# KD 7 PENNSYLVANIA LOTTERY -Graham, Joanne (2)......... . 01/02/2016. Redemption 100.0000.................... ............................... ................52,000 ................52,000 ................27,658 ................51,991 .......................... .......................9 .......................... .......................9 .......................... ................52,000 .......................... .......................... .......................0 ...................... 01/02/2016.... 1FE........

70920# KF 2 PENNSYLVANIA LOTTERY -Snarey, George & P......... . 02/01/2016. Redemption 100.0000.................... ............................... ................64,280 ................64,280 ................37,669 ................53,338 .......................... ..............10,942 .......................... ..............10,942 .......................... ................64,280 .......................... .......................... .......................0 ...................... 02/01/2022.... 1FE........

70920# KM 7 PENNSYLVANIA LOTTERY -Daugherty, Donna............ . 02/01/2016. Redemption 100.0000.................... ............................... ..............101,575 ..............101,575 ................69,478 ................98,144 .......................... ................3,431 .......................... ................3,431 .......................... ..............101,575 .......................... .......................... .......................0 ...................... 02/01/2017.... 1FE........

70920# KX 3 PENNSYLVANIA LOTTERY -Moore, Margaret M.......... . 03/20/2016. Redemption 100.0000.................... ............................... ..............535,477 ..............535,477 ..............373,684 ..............528,255 .......................... ................7,222 .......................... ................7,222 .......................... ..............535,477 .......................... .......................... .......................0 ...................... 03/20/2016.... 1FE........

70920# KY 1 PENNSYLVANIA LOTTERY -Napoli, Susan K............... . 02/27/2016. Redemption 100.0000.................... ............................... ................52,000 ................52,000 ................25,754 ................43,814 .......................... ................8,187 .......................... ................8,187 .......................... ................52,000 .......................... .......................... .......................0 ...................... 02/27/2021.... 1FE........

70920# LK 0 PENNSYLVANIA LOTTERY -Martin, Frances C............ . 01/31/2016. Redemption 100.0000.................... ............................... ................27,076 ................27,076 ................26,050 ................26,843 .......................... ...................233 .......................... ...................233 .......................... ................27,076 .......................... .......................... .......................0 ...................... 01/31/2017.... 1FE........

70920# LT 1 PENNSYLVANIA LOTTERY -Daugherty, Donna (......... . 02/01/2016. Redemption 100.0000.................... ............................... ..............105,001 ..............105,001 ................71,811 ................96,081 .......................... ................8,920 .......................... ................8,920 .......................... ..............105,001 .......................... .......................... .......................0 ...................... 02/01/2019.... 1FE........

70920# LX 2 PENNSYLVANIA LOTTERY -Hansen, Scott C............... . 03/20/2016. Redemption 100.0000.................... ............................... ..............660,477 ..............660,477 ..............485,804 ..............652,006 .......................... ................8,470 .......................... ................8,470 .......................... ..............660,477 .......................... .......................... .......................0 ...................... 03/20/2016.... 1FE........

70920# MR 4 PENNSYLVANIA LOTTERY -Formica, David J.............. . 01/31/2016. Redemption 100.0000.................... ............................... ................27,076 ................27,076 ................20,953 ................26,206 .......................... ...................870 .......................... ...................870 .......................... ................27,076 .......................... .......................... .......................0 ...................... 01/31/2017.... 1FE........

70920# MS 2 PENNSYLVANIA LOTTERY -Formica, Anthony E......... . 01/31/2016. Redemption 100.0000.................... ............................... ................27,076 ................27,076 ................20,953 ................26,206 .......................... ...................870 .......................... ...................870 .......................... ................27,076 .......................... .......................... .......................0 ...................... 01/31/2017.... 1FE........

70920# NJ 1 PENNSYLVANIA LOTTERY -Belotti, Dorothy E............. . 01/30/2016. Redemption 100.0000.................... ............................... ................12,000 ................12,000 ..................5,604 ..................8,767 .......................... ................3,233 .......................... ................3,233 .......................... ................12,000 .......................... .......................... .......................0 ...................... 01/30/2023.... 1FE........

70920# NV 4 PENNSYLVANIA LOTTERY -Golembeski, Sean........... . 03/19/2016. Redemption 100.0000.................... ............................... ................22,000 ................22,000 ................14,363 ................15,788 .......................... ................6,212 .......................... ................6,212 .......................... ................22,000 .......................... .......................... .......................0 ...................... 03/19/2027.... 1FE........

70920# PA 8 PENNSYLVANIA LOTTERY -Golembeski, Sean (......... . 03/19/2016. Redemption 100.0000.................... ............................... ................22,000 ................22,000 ................14,139 ................15,788 .......................... ................6,212 .......................... ................6,212 .......................... ................22,000 .......................... .......................... .......................0 ...................... 03/19/2027.... 1FE........

70920# PP 5 PENNSYLVANIA LOTTERY -Powell, Thomas Sr........... . 01/04/2016. Redemption 100.0000.................... ............................... ..................8,000 ..................8,000 ..................4,635 ..................4,917 .......................... ................3,083 .......................... ................3,083 .......................... ..................8,000 .......................... .......................... .......................0 ...................... 01/04/2028.... 1FE........

88275@ BS 9 TEXAS LOTTERY -Reed, Debbie 0.000% 05/............. . 03/01/2016. Redemption 100.0000.................... ............................... ................12,999 ................12,999 ..................7,091 ................12,328 .......................... ...................671 .......................... ...................671 .......................... ................12,999 .......................... .......................... .......................0 ...................... 05/01/2017.... 1FE........

88275@ DT 5 TEXAS LOTTERY -Plowman Family Ptnshp Ltd............ . 03/15/2016. Redemption 100.0000.................... ............................... ..............160,000 ..............160,000 ................91,652 ..............141,751 .......................... ..............18,249 .......................... ..............18,249 .......................... ..............160,000 .......................... .......................... .......................0 ...................... 03/15/2019.... 1FE........

88275@ EW 7 TEXAS LOTTERY -Campbell Family Trust (2)............... . 03/15/2016. Redemption 100.0000.................... ............................... ..............480,000 ..............480,000 ..............254,228 ..............420,070 .......................... ..............59,930 .......................... ..............59,930 .......................... ..............480,000 .......................... .......................... .......................0 ...................... 03/15/2020.... 1FE........

88275@ FT 3 TEXAS LOTTERY -2001 Lottery Funding Trus.............. . 03/15/2016. Redemption 100.0000.................... ............................... ..............234,780 ..............234,780 ..............131,195 ..............207,487 .......................... ..............27,293 .......................... ..............27,293 .......................... ..............234,780 .......................... .......................... .......................0 ...................... 03/15/2019.... 1FE........

88275@ FU 0 TEXAS LOTTERY -2001 Lottery Fdg Tr (2) T................ . 03/15/2016. Redemption 100.0000.................... ............................... ................78,260 ................78,260 ................43,129 ................68,649 .......................... ................9,611 .......................... ................9,611 .......................... ................78,260 .......................... .......................... .......................0 ...................... 03/15/2019.... 1FE........

88275@ FV 8 TEXAS LOTTERY -2001 Lottery Fdg Tr (3) G................ . 03/15/2016. Redemption 100.0000.................... ............................... ................78,260 ................78,260 ................48,950 ................70,692 .......................... ................7,568 .......................... ................7,568 .......................... ................78,260 .......................... .......................... .......................0 ...................... 03/15/2019.... 1FE........

88275@ HW 4 TEXAS LOTTERY -Sunday, Phyllis 0.000%................ . 01/01/2016. Redemption 100.0000.................... ............................... ..................5,875 ..................5,875 ..................3,834 ..................5,447 .......................... ...................429 .......................... ...................429 .......................... ..................5,875 .......................... .......................... .......................0 ...................... 07/01/2018.... 1FE........

88275@ HY 0 TEXAS LOTTERY -Valadez, Gerardo A (4)................... . 01/01/2016. Redemption 100.0000.................... ............................... ................13,000 ................13,000 ..................5,820 ................11,701 .......................... ................1,299 .......................... ................1,299 .......................... ................13,000 .......................... .......................... .......................0 ...................... 04/01/2019.... 1FE........

88275@ JA 0 TEXAS LOTTERY -Leto Partners Ltd (2) 0.................. . 02/15/2016. Redemption 100.0000.................... ............................... ..............105,965 ..............105,965 ................70,038 ................94,037 .......................... ..............11,928 .......................... ..............11,928 .......................... ..............105,965 .......................... .......................... .......................0 ...................... 02/15/2020.... 1FE........

88275@ JP 7 TEXAS LOTTERY -Raney Family Trust (2).................... . 03/15/2016. Redemption 100.0000.................... ............................... ................25,000 ................25,000 ................15,653 ................20,955 .......................... ................4,045 .......................... ................4,045 .......................... ................25,000 .......................... .......................... .......................0 ...................... 03/15/2021.... 1FE........

88275@ JY 8 TEXAS LOTTERY -Wrobel, Freda (2) 0.000................ . 01/01/2016. Redemption 100.0000.................... ............................... ................52,000 ................52,000 ................29,469 ................46,144 .......................... ................5,856 .......................... ................5,856 .......................... ................52,000 .......................... .......................... .......................0 ...................... 01/01/2020.... 1FE........

88275@ LB 5 TEXAS LOTTERY -Brown, Preston 0.000% 1............. . 01/01/2016. Redemption 100.0000.................... ............................... ..................7,113 ..................7,113 ..................3,802 ..................4,814 .......................... ................2,300 .......................... ................2,300 .......................... ..................7,113 .......................... .......................... .......................0 ...................... 10/01/2027.... 1FE........

88275@ LP 4 TEXAS LOTTERY -Gooden, Lonnie III 0.00................. . 01/01/2016. Redemption 100.0000.................... ............................... ................85,928 ................85,928 ................45,638 ................53,908 .......................... ..............32,020 .......................... ..............32,020 .......................... ................85,928 .......................... .......................... .......................0 ...................... 01/01/2031.... 1FE........

88275@ LT 6 TEXAS LOTTERY -Littlefield, David B. 0..................... . 01/15/2016. Redemption 100.0000.................... ............................... ..............159,143 ..............159,143 ..............116,829 ..............130,493 .......................... ..............28,650 .......................... ..............28,650 .......................... ..............159,143 .......................... .......................... .......................0 ...................... 01/15/2023.... 1FE........

88275@ MB 4 TEXAS LOTTERY -Burney, Terrence L. 0.0................. . 02/01/2016. Redemption 100.0000.................... ............................... ................52,000 ................52,000 ................41,848 ................44,566 .......................... ................7,434 .......................... ................7,434 .......................... ................52,000 .......................... .......................... .......................0 ...................... 02/01/2023.... 1FE........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.13

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

88275@ MF 5 TEXAS LOTTERY -Littlefield, Evelyn (2)........................ . 01/15/2016. Redemption 100.0000.................... ............................... ..............140,453 ..............140,453 ..............114,836 ..............120,612 .......................... ..............19,841 .......................... ..............19,841 .......................... ..............140,453 .......................... .......................... .......................0 ...................... 01/15/2023.... 1FE........

88275@ MN 8 TEXAS LOTTERY -Littlefield, Evelyn (3)........................ . 01/15/2016. Redemption 100.0000.................... ............................... ..............277,997 ..............277,997 ..............228,543 ..............238,727 .......................... ..............39,271 .......................... ..............39,271 .......................... ..............277,997 .......................... .......................... .......................0 ...................... 01/15/2023.... 1FE........

88275@ MQ 1 TEXAS LOTTERY -Young, George 0.000% 10........... . 01/01/2016. Redemption 100.0000.................... ............................... ................32,500 ................32,500 ................28,601 ................29,637 .......................... ................2,863 .......................... ................2,863 .......................... ................32,500 .......................... .......................... .......................0 ...................... 10/01/2020.... 1FE........

88275@ MU 2 TEXAS LOTTERY -Lowe, Vicky 0.000% 01/1.............. . 01/15/2016. Redemption 100.0000.................... ............................... ................35,000 ................35,000 ................30,689 ................31,173 .......................... ................3,827 .......................... ................3,827 .......................... ................35,000 .......................... .......................... .......................0 ...................... 01/15/2022.... 1FE........

88275@ MV 0 TEXAS LOTTERY -Hale, JM LP 0.000% 02/1............. . 02/15/2016. Redemption 100.0000.................... ............................... ................70,500 ................70,500 ................48,780 ................49,265 .......................... ..............21,235 .......................... ..............21,235 .......................... ................70,500 .......................... .......................... .......................0 ...................... 02/15/2032.... 1Z...........

92812@ AN 3 VIRGINIA LOTTERY -Holladay, Ryan A 0.0................. . 02/15/2016. Redemption 100.0000.................... ............................... ................32,500 ................32,500 ................18,543 ................27,357 .......................... ................5,143 .......................... ................5,143 .......................... ................32,500 .......................... .......................... .......................0 ...................... 02/15/2021.... 1FE........

92812@ AP 8 VIRGINIA LOTTERY -Holladay, Ryan A (2)................... . 02/15/2016. Redemption 100.0000.................... ............................... ................30,000 ................30,000 ................19,062 ................25,531 .......................... ................4,469 .......................... ................4,469 .......................... ................30,000 .......................... .......................... .......................0 ...................... 02/15/2021.... 1FE........

92812@ CH 4 VIRGINIA LOTTERY -McBryde, Marcus 0.00.............. . 02/15/2016. Redemption 100.0000.................... ............................... ................24,117 ................24,117 ................19,692 ................20,100 .......................... ................4,017 .......................... ................4,017 .......................... ................24,117 .......................... .......................... .......................0 ...................... 02/15/2024.... 1FE........

92812@ CK 7 VIRGINIA LOTTERY -McBryde, Marcus (2)................... . 02/25/2016. Redemption 100.0000.................... ............................... ................26,847 ................26,847 ................23,079 ............................ .......................... ................3,768 .......................... ................3,768 .......................... ................26,847 .......................... .......................... .......................0 ...................... 02/15/2023.... 1FE........

93978@ BP 5 WASHINGTON LOTTERY -James, Michael (2)............. . 01/22/2016. Redemption 100.0000.................... ............................... ..............350,000 ..............350,000 ..............204,872 ..............348,670 .......................... ................1,330 .......................... ................1,330 .......................... ..............350,000 .......................... .......................... .......................0 ...................... 01/22/2016.... 1FE........

93978@ CH 2 WASHINGTON LOTTERY -Langley-Ellett Trust............ . 03/19/2016. Redemption 100.0000.................... ............................... ..............100,000 ..............100,000 ................55,776 ................98,208 .......................... ................1,792 .......................... ................1,792 .......................... ..............100,000 .......................... .......................... .......................0 ...................... 03/19/2016.... 1FE........

93978@ CT 6 WASHINGTON LOTTERY -Hiday, Margaret 0............. . 02/10/2016. Redemption 100.0000.................... ............................... ..............160,000 ..............160,000 ................42,542 ..............119,741 .......................... ..............40,259 .......................... ..............40,259 .......................... ..............160,000 .......................... .......................... .......................0 ...................... 02/10/2023.... 1FE........

93978@ CU 3 WASHINGTON LOTTERY -Carmichael, James............. . 03/31/2016. Redemption 100.0000.................... ............................... ................80,000 ................80,000 ................40,203 ................69,708 .......................... ..............10,292 .......................... ..............10,292 .......................... ................80,000 .......................... .......................... .......................0 ...................... 03/31/2019.... 1FE........

93978@ CW 9 WASHINGTON LOTTERY -Moses, Dana (2) 0............ . 02/10/2016. Redemption 100.0000.................... ............................... ................60,000 ................60,000 ................26,342 ................51,024 .......................... ................8,976 .......................... ................8,976 .......................... ................60,000 .......................... .......................... .......................0 ...................... 02/10/2020.... 1FE........

93978@ DB 4 WASHINGTON LOTTERY -Cherry, Carol 0.00............ . 02/15/2016. Redemption 100.0000.................... ............................... ..............175,000 ..............175,000 ..............100,281 ..............173,356 .......................... ................1,644 .......................... ................1,644 .......................... ..............175,000 .......................... .......................... .......................0 ...................... 02/15/2016.... 1FE........

93978@ DR 9 WASHINGTON LOTTERY -Rucker, Kristi (3)................. . 02/11/2016. Redemption 100.0000.................... ............................... ................60,000 ................60,000 ................23,406 ................47,949 .......................... ..............12,051 .......................... ..............12,051 .......................... ................60,000 .......................... .......................... .......................0 ...................... 02/11/2022.... 1FE........

93978@ DZ 1 WASHINGTON LOTTERY -Moses, Dana (3) 0............ . 02/10/2016. Redemption 100.0000.................... ............................... ..............100,000 ..............100,000 ................51,642 ................77,391 .......................... ..............22,609 .......................... ..............22,609 .......................... ..............100,000 .......................... .......................... .......................0 ...................... 02/10/2023.... 1FE........

93978@ EG 2 WASHINGTON LOTTERY -Rucker, Kristi (4)................. . 02/11/2016. Redemption 100.0000.................... ............................... ................15,000 ................15,000 ..................7,235 ................11,540 .......................... ................3,460 .......................... ................3,460 .......................... ................15,000 .......................... .......................... .......................0 ...................... 02/11/2023.... 1FE........

93978@ FP 1 WASHINGTON LOTTERY -Cole, Rayshieta J (2........... . 01/03/2016. Redemption 100.0000.................... ............................... ................40,000 ................40,000 ................14,226 ................26,112 .......................... ..............13,888 .......................... ..............13,888 .......................... ................40,000 .......................... .......................... .......................0 ...................... 01/03/2028.... 1FE........

93978@ FV 8 WASHINGTON LOTTERY -Rucker, Kristi (6)................. . 02/10/2016. Redemption 100.0000.................... ............................... ................85,000 ................85,000 ................43,813 ................66,325 .......................... ..............18,675 .......................... ..............18,675 .......................... ................85,000 .......................... .......................... .......................0 ...................... 02/10/2023.... 1FE........

93978@ GD 7 WASHINGTON LOTTERY -Christian, Patricia............... . 03/03/2016. Redemption 100.0000.................... ............................... ................60,913 ................60,913 ................33,645 ................48,209 .......................... ..............12,704 .......................... ..............12,704 .......................... ................60,913 .......................... .......................... .......................0 ...................... 03/03/2023.... 1FE........

93978@ GH 8 WASHINGTON LOTTERY -Christian, Patricia............... . 03/03/2016. Redemption 100.0000.................... ............................... ..............179,087 ..............179,087 ..............108,933 ..............144,336 .......................... ..............34,750 .......................... ..............34,750 .......................... ..............179,087 .......................... .......................... .......................0 ...................... 03/03/2023.... 1FE........

1799999. Total Bonds - U.S. States, Territories and Possessions........................................................................................................................................................ .........53,273,505 .........52,262,565 .........40,346,921 .........48,167,814 .......................0 .........4,400,922 .......................0 .........4,400,922 .......................0 .........52,700,089 .......................0 ............573,416 ............573,416 .......522,996 XXX XXX

Bonds - U.S. Political Subdivisions of States, Territories and Possessions

415758 CJ 8HARRISTOWN PA DEVELOPMENT CORP LEASEREV . 02/01/2016. Redemption 100.0000.................... ............................... ..............408,912 ..............408,912 ..............426,404 ..............409,040 .......................... ..................(128) .......................... ..................(128) .......................... ..............408,912 .......................... .......................... .......................0 .........18,176 02/01/2016.... 2Z...........

650863 BJ 1 CITY OF NEWBURGH INDL DEV AGY REVENUE BO. . 03/20/2016. Redemption 100.0000.................... ............................... ..............127,940 ..............127,940 ..............127,940 ..............127,940 .......................... .......................... .......................... .......................0 .......................... ..............127,940 .......................... .......................... .......................0 ...........1,817 10/20/2017.... 1.............

74489# AA 9 PUEBLO DE ACOMA INDIAN TRIBE PROMISSORY... . 03/30/2016. Redemption 100.0000.................... ............................... ................21,658 ................21,658 ................21,658 ................21,658 .......................... .......................... .......................... .......................0 .......................... ................21,658 .......................... .......................... .......................0 ..............208 09/30/2016.... 1FE........

759136 QN 7 REGIONAL TRANSN DIST COLO CALL SALES TAX... . 03/08/2016. JP MORGAN SECURITIES LL............ ............................... .........17,397,757 .........15,295,000 .........16,996,416 .........16,931,026 .......................... ...............(8,565) .......................... ...............(8,565) .......................... .........16,922,461 .......................... ............475,295 ............475,295 .......276,160 11/01/2038.... 1FE........

2499999. Total Bonds - U.S. Political Subdivisions of States, Territories and Possessions................................................................................................................. .........17,956,267 .........15,853,510 .........17,572,418 .........17,489,664 .......................0 ...............(8,693) .......................0 ...............(8,693) .......................0 .........17,480,971 .......................0 ............475,295 ............475,295 .......296,361 XXX XXX

Bonds - U.S. Special Revenue and Special Assessment

3128H7 4P 4 FHLMC GOLD POOL #E99830 5.000% 10/01/1......... . 03/01/2016. Paydown.............................................. ............................... ..................2,675 ..................2,675 ..................2,705 ..................2,684 .......................... ......................(9) .......................... ......................(9) .......................... ..................2,675 .......................... .......................... .......................0 ................21 10/01/2018.... 1.............

3128KS F3 1 FHLMC GOLD POOL #A61986 6.000% 06/01/3......... . 03/01/2016. Paydown.............................................. ............................... ................12,372 ................12,372 ................12,485 ................12,479 .......................... ..................(106) .......................... ..................(106) .......................... ................12,372 .......................... .......................... .......................0 ..............124 06/01/2037.... 1.............

3128MD L8 4 FHLMC GOLD POOL #G14651 2.500% 11/01/2........ . 03/01/2016. Paydown.............................................. ............................... ..............133,399 ..............133,399 ..............139,756 ..............138,045 .......................... ...............(4,646) .......................... ...............(4,646) .......................... ..............133,399 .......................... .......................... .......................0 ..............574 11/01/2022.... 1.............

3128MJ V2 3 FHLMC GOLD POOL #G08632 3.500% 03/01/4........ . 03/01/2016. Paydown.............................................. ............................... ..............221,677 ..............221,677 ..............232,969 ..............232,870 .......................... .............(11,194) .......................... .............(11,194) .......................... ..............221,677 .......................... .......................... .......................0 ...........1,284 03/01/2045.... 1.............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.14

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

3128MJ W5 5 FHLMC GOLD POOL #G08667 3.500% 09/01/4........ . 01/14/2016. CITIGROUP GLOBAL MKTS.............. ............................... ............................ ............................ ............................ .................(4,717) .......................... ................4,717 .......................... ................4,717 .......................... ............................ .......................... .......................... .......................0 ........(56,875) 09/01/2045.... 1.............

3128MJ W5 5 FHLMC GOLD POOL #G08667 3.500% 09/01/4........ . 01/14/2016. Paydown.............................................. ............................... ............................ ............................ ............................ ..................4,717 .......................... ...............(4,717) .......................... ...............(4,717) .......................... ............................ .......................... .......................... .......................0 .........56,875 09/01/2045.... 1.............

3128MJ W7 1 FHLMC GOLD POOL #G08669 4.000% 09/01/4........ . 03/10/2016. Various................................................ ............................... .......282,639,231 .......265,663,044 .......281,063,198 .......280,960,273 .......................... ..............32,805 .......................... ..............32,805 .......................... .......280,993,078 .......................... .........1,646,153 .........1,646,153 ....3,040,366 09/01/2045.... 1.............

3128MJ W7 1 FHLMC GOLD POOL #G08669 4.000% 09/01/4........ . 03/01/2016. Paydown.............................................. ............................... .........15,536,997 .........15,536,997 .........16,436,938 .........16,430,923 .......................... ...........(893,926) .......................... ...........(893,926) .......................... .........15,536,997 .......................... .......................... .......................0 .......120,218 09/01/2045.... 1.............

3128MJ WW 6 FHLMC GOLD POOL #G08660 4.000% 08/01/4........ . 03/10/2016. Various................................................ ............................... .......180,002,940 .......169,441,202 .......179,288,548 .......179,222,651 .......................... ..............28,006 .......................... ..............28,006 .......................... .......179,250,657 .......................... ............752,283 ............752,283 ....1,720,550 08/01/2045.... 1.............

3128MJ WW 6 FHLMC GOLD POOL #G08660 4.000% 08/01/4........ . 03/01/2016. Paydown.............................................. ............................... ...........6,196,304 ...........6,196,304 ...........6,556,400 ...........6,553,990 .......................... ...........(357,686) .......................... ...........(357,686) .......................... ...........6,196,304 .......................... .......................... .......................0 .........43,191 08/01/2045.... 1.............

3128MJ XE 5 FHLMC GOLD POOL #G08676 GIANT 3.500% 1....... . 02/03/2016. WELLS FARGO SEC LLC................... ............................... .......279,160,723 .......265,647,324 .......279,213,757 .......279,125,034 .......................... ..............29,186 .......................... ..............29,186 .......................... .......279,154,220 .......................... ................6,504 ................6,504 ....1,412,430 11/01/2045.... 1.............

3128MJ XE 5 FHLMC GOLD POOL #G08676 GIANT 3.500% 1....... . 03/01/2016. Paydown.............................................. ............................... ...........1,830,096 ...........1,830,096 ...........1,923,868 ...........1,923,254 .......................... .............(93,158) .......................... .............(93,158) .......................... ...........1,830,096 .......................... .......................... .......................0 ...........7,816 11/01/2045.... 1.............

3128MM HR 7 FHLMC GOLD POOL #G18239 GIANT 5.000% 0....... . 03/01/2016. Paydown.............................................. ............................... ..................5,683 ..................5,683 ..................5,754 ..................5,734 .......................... ....................(51) .......................... ....................(51) .......................... ..................5,683 .......................... .......................... .......................0 ................42 03/01/2023.... 1.............

3128MM T3 7 FHLMC GOLD POOL #G18569 3.000% 09/01/3........ . 02/25/2016. CITIGROUP GLOBAL MKTS.............. ............................... .......164,188,004 .......158,186,866 .......164,299,346 .......164,202,567 .......................... .............(14,563) .......................... .............(14,563) .......................... .......164,188,004 .......................... .......................... .......................0 .......962,303 09/01/2030.... 1.............

3128MM T3 7 FHLMC GOLD POOL #G18569 3.000% 09/01/3........ . 03/01/2016. Paydown.............................................. ............................... ...........4,376,728 ...........4,376,728 ...........4,545,849 ...........4,543,171 .......................... ...........(166,443) .......................... ...........(166,443) .......................... ...........4,376,728 .......................... .......................... .......................0 .......417,824 09/01/2030.... 1.............

3128MM T9 4 FHLMC POOL #G18575 3.000% 11/01/30.................. . 02/25/2016. CITIGROUP GLOBAL MKTS.............. ............................... .........60,802,135 .........58,619,441 .........60,826,829 .........60,811,528 .......................... ...............(9,393) .......................... ...............(9,393) .......................... .........60,802,135 .......................... .......................... .......................0 .......356,602 11/01/2030.... 1.............

3128MM T9 4 FHLMC POOL #G18575 3.000% 11/01/30.................. . 03/01/2016. Paydown.............................................. ............................... ...........1,380,561 ...........1,380,561 ...........1,432,548 ...........1,432,187 .......................... .............(51,626) .......................... .............(51,626) .......................... ...........1,380,561 .......................... .......................... .......................0 .......153,392 11/01/2030.... 1.............

3128MM TP 8 FHLMC POOL #G18557 3.000% 06/01/30.................. . 03/01/2016. Paydown.............................................. ............................... ..............261,104 ..............261,104 ..............269,222 ..............269,018 .......................... ...............(7,915) .......................... ...............(7,915) .......................... ..............261,104 .......................... .......................... .......................0 ...........1,321 06/01/2030.... 1.............

3128PU J2 9 FHLMC GOLD POOL #J14781 3.500% 03/01/2......... . 03/01/2016. Paydown.............................................. ............................... ..................6,004 ..................6,004 ..................6,198 ..................6,170 .......................... ..................(166) .......................... ..................(166) .......................... ..................6,004 .......................... .......................... .......................0 ................31 03/01/2026.... 1.............

3128PW AS 7 FHLMC GOLD POOL #J16317 3.500% 08/01/2......... . 03/01/2016. Paydown.............................................. ............................... ................29,046 ................29,046 ................30,403 ................30,171 .......................... ...............(1,126) .......................... ...............(1,126) .......................... ................29,046 .......................... .......................... .......................0 ..............176 08/01/2026.... 1.............

3128Q0 Z6 7 FHLMC GOLD POOL #J19765 3.000% 07/01/2......... . 03/01/2016. Paydown.............................................. ............................... ..............256,309 ..............256,309 ..............265,079 ..............264,433 .......................... ...............(8,124) .......................... ...............(8,124) .......................... ..............256,309 .......................... .......................... .......................0 ...........1,330 07/01/2027.... 1.............

312905 ZR 6 FHLMC CMO SER.1080 CL.E 7.000% 05/15/2........... . 03/01/2016. Paydown.............................................. ............................... ..................2,645 ..................2,645 ..................2,197 ..................2,612 .......................... .....................33 .......................... .....................33 .......................... ..................2,645 .......................... .......................... .......................0 ................31 05/15/2021.... 1.............

312908 QE 9 FHLMC CMO SER.1210 CL.J 7.500% 01/15/2............ . 03/01/2016. Paydown.............................................. ............................... ................12,598 ................12,598 ................11,759 ................12,526 .......................... .....................72 .......................... .....................72 .......................... ................12,598 .......................... .......................... .......................0 ..............177 01/15/2022.... 1.............

312909 5D 2 FHLMC CMO SER.1281 CL.I 8.000% 05/15/2............. . 03/01/2016. Paydown.............................................. ............................... ..................7,876 ..................7,876 ..................7,461 ..................7,828 .......................... .....................48 .......................... .....................48 .......................... ..................7,876 .......................... .......................... .......................0 ..............109 05/15/2022.... 1.............

312909 HG 2 FHLMC CMO SER.1239 CL.J 8.000% 04/15/2............ . 03/01/2016. Paydown.............................................. ............................... ..................5,770 ..................5,770 ..................5,485 ..................5,743 .......................... .....................26 .......................... .....................26 .......................... ..................5,770 .......................... .......................... .......................0 ................85 04/15/2022.... 1.............

31291Y BF 4 FHLMC POOL #350183 ADJ 2.375% 04/01/22........... . 03/01/2016. Paydown.............................................. ............................... ..................1,295 ..................1,295 ..................1,286 ..................1,289 .......................... .......................6 .......................... .......................6 .......................... ..................1,295 .......................... .......................... .......................0 ..................5 04/01/2022.... 1.............

312941 3E 5 FHLMC GOLD POOL #A93497 4.500% 08/01/4......... . 03/01/2016. Paydown.............................................. ............................... ................14,789 ................14,789 ................15,373 ................15,348 .......................... ..................(560) .......................... ..................(560) .......................... ................14,789 .......................... .......................... .......................0 ..............109 08/01/2040.... 1.............

31294K FL 4 FHLMC GOLD POOL #E01071 WALA 5.500% 11...... . 03/01/2016. Paydown.............................................. ............................... ................36,808 ................36,808 ................36,797 ................36,740 .......................... .....................68 .......................... .....................68 .......................... ................36,808 .......................... .......................... .......................0 ..............343 11/01/2016.... 1.............

31294K UP 8 FHLMC GOLD POOL #E01490 5.000% 11/01/1......... . 03/01/2016. Paydown.............................................. ............................... ..................3,171 ..................3,171 ..................3,210 ..................3,183 .......................... ....................(11) .......................... ....................(11) .......................... ..................3,171 .......................... .......................... .......................0 ................26 11/01/2018.... 1.............

3132KE YM 1 FHLMC GOLD POOL #V60716 3.000% 01/01/3......... . 03/01/2016. Paydown.............................................. ............................... ..............692,327 ..............692,327 ..............713,746 ..............713,188 .......................... .............(20,861) .......................... .............(20,861) .......................... ..............692,327 .......................... .......................... .......................0 ...........3,775 01/01/2030.... 1.............

3132M4 T5 4 FHLMC GOLD POOL #Q24472 4.000% 01/01/4........ . 03/01/2016. Paydown.............................................. ............................... ..............396,862 ..............396,862 ..............414,473 ..............414,049 .......................... .............(17,186) .......................... .............(17,186) .......................... ..............396,862 .......................... .......................... .......................0 ...........2,291 01/01/2044.... 1.............

3132QT K4 7 FHLMC GOLD POOL #Q36614 3.500% 10/01/4........ . 03/01/2016. Paydown.............................................. ............................... ...........1,166,519 ...........1,166,519 ...........1,226,667 ...........1,226,060 .......................... .............(59,542) .......................... .............(59,542) .......................... ...........1,166,519 .......................... .......................... .......................0 ...........6,809 10/01/2045.... 1.............

3132QU CG 6 FHLMC GOLD POOL #Q37270 3.500% 08/01/4........ . 03/01/2016. Paydown.............................................. ............................... ..............152,977 ..............152,977 ..............160,769 ..............160,690 .......................... ...............(7,713) .......................... ...............(7,713) .......................... ..............152,977 .......................... .......................... .......................0 ..............477 08/01/2045.... 1.............

313398 VT 3 FHLMC ABS FLOAT SER.T-35 CL.A 0.713% 0........... . 03/28/2016. Paydown.............................................. ............................... ..................6,529 ..................6,529 ..................6,021 ..................5,629 .......................... ...................900 .......................... ...................900 .......................... ..................6,529 .......................... .......................... .......................0 ..................8 09/25/2031.... 1.............

3133T2 TZ 3 FHLMC CMO SER.23 CL.HL 6.000% 11/25/23........... . 03/01/2016. Paydown.............................................. ............................... ................28,525 ................28,525 ................25,681 ................28,341 .......................... ...................184 .......................... ...................184 .......................... ................28,525 .......................... .......................... .......................0 ..............275 11/25/2023.... 1.............

3133TC AS 7 FHLMC ABS PASS THRU SER.T-9 CL.A5 7.05.......... . 03/01/2016. Paydown.............................................. ............................... ................91,959 ................91,959 ................93,238 ................92,258 .......................... ..................(299) .......................... ..................(299) .......................... ................91,959 .......................... .......................... .......................0 ..............990 03/25/2029.... 1.............

3133TD 6V 3 FHLMC ABS PASS THRU SER.T10 CL.A4 6.92.......... . 03/01/2016. Paydown.............................................. ............................... ..............162,880 ..............162,880 ..............162,880 ..............162,880 .......................... .......................... .......................... .......................0 .......................... ..............162,880 .......................... .......................... .......................0 ...........1,858 05/25/2029.... 1.............

3133TG DA 4 FHLMC ABS PASS THRU SER.T-13 CL.A6 6.5.......... . 03/01/2016. Paydown.............................................. ............................... ................58,347 ................58,347 ................58,341 ................58,148 .......................... ...................199 .......................... ...................199 .......................... ................58,347 .......................... .......................... .......................0 ..............601 09/25/2029.... 1.............

3133TK PF 1 FHLMC ABS FLOAT SER.T-16 CL.A 0.783% 0........... . 03/28/2016. Paydown.............................................. ............................... .....................478 .....................478 .....................478 .....................390 .......................... .....................89 .......................... .....................89 .......................... .....................478 .......................... .......................... .......................0 ..................1 06/25/2029.... 1.............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.15

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

3133TN GH 1 FHLMC ABS PASS THRU SER.T-23 CL.A 0.71.......... . 03/28/2016. Paydown.............................................. ............................... ..................3,789 ..................3,789 ..................3,789 ..................3,477 .......................... ...................312 .......................... ...................312 .......................... ..................3,789 .......................... .......................... .......................0 ..................4 05/25/2030.... 1.............

3133TR 7C 3 FHLMC ABS PASS THRU SER.T-31 CL.A7 0.6.......... . 03/28/2016. Paydown.............................................. ............................... ................11,722 ................11,722 ................11,722 ................11,722 .......................... .......................... .......................... .......................0 .......................... ................11,722 .......................... .......................... .......................0 ................11 05/25/2031.... 1.............

3133TS QG 1 FHLMC ABS FLOAT SER.T-32 CL.A1 0.693%............ . 03/28/2016. Paydown.............................................. ............................... ..................5,165 ..................5,165 ..................5,165 ..................5,165 .......................... .......................... .......................... .......................0 .......................... ..................5,165 .......................... .......................... .......................0 ..................6 08/25/2031.... 1.............

31348S QQ 0 FHLMC POOL #785863 ADJ 2.423% 06/01/27........... . 03/01/2016. Paydown.............................................. ............................... ..................1,486 ..................1,486 ..................1,486 ..................1,484 .......................... .......................2 .......................... .......................2 .......................... ..................1,486 .......................... .......................... .......................0 ..................5 06/01/2027.... 1.............

31354N 2X 3 FHLMC POOL #607090 ADJ 2.000% 05/01/22........... . 03/01/2016. Paydown.............................................. ............................... ................14,595 ................14,595 ................14,445 ................14,512 .......................... .....................83 .......................... .....................83 .......................... ................14,595 .......................... .......................... .......................0 ................49 05/01/2022.... 1.............

31358H 4T 9 FNMA CMO SER.1991-101 CL.G 9.000% 08/2........... . 03/01/2016. Paydown.............................................. ............................... .....................952 .....................952 .....................927 .....................929 .......................... .....................24 .......................... .....................24 .......................... .....................952 .......................... .......................... .......................0 ................14 08/25/2021.... 1.............

31358P HT 7 FNMA CMO SER.G92-35 CL.E 7.500% 07/25/........... . 03/01/2016. Paydown.............................................. ............................... ................11,018 ................11,018 ................10,178 ................10,476 .......................... ...................543 .......................... ...................543 .......................... ................11,018 .......................... .......................... .......................0 ..............142 07/25/2022.... 1.............

31358P QU 4 FNMA CMO SER.1992-136 CL.PK 6.000% 08/........... . 03/01/2016. Paydown.............................................. ............................... ..................2,047 ..................2,047 ..................1,582 ..................1,728 .......................... ...................320 .......................... ...................320 .......................... ..................2,047 .......................... .......................... .......................0 ................19 08/25/2022.... 1.............

31359U Y6 6 FNMA ABS SER.1998-65 CL.A3 6.390% 09/1............ . 03/16/2016. Paydown.............................................. ............................... ..............288,588 ..............288,588 ..............283,346 ..............288,138 .......................... ...................449 .......................... ...................449 .......................... ..............288,588 .......................... .......................... .......................0 ...........2,994 09/16/2028.... 1.............

31359U Y8 2 FNMA ABS SER.1998-65 CL.A4 6.430% 07/0............ . 03/02/2016. Paydown.............................................. ............................... ..............334,205 ..............334,205 ..............334,051 ..............335,267 .......................... ...............(1,062) .......................... ...............(1,062) .......................... ..............334,205 .......................... .......................... .......................0 ...........3,752 07/02/2029.... 1.............

31359V YH 0 FNMA CMO SER.1999-T2 CL.A1 7.500% 01/1........... . 03/01/2016. Paydown.............................................. ............................... ................28,136 ................28,136 ................29,288 ................28,762 .......................... ..................(626) .......................... ..................(626) .......................... ................28,136 .......................... .......................... .......................0 ..............400 01/19/2039.... 1.............

31359X 2L 2 FNMA ABS SER.2000-14 CL.A2 7.350% 05/0............ . 03/01/2016. Paydown.............................................. ............................... ................80,274 ................80,274 ................81,340 ................81,167 .......................... ..................(892) .......................... ..................(892) .......................... ................80,274 .......................... .......................... .......................0 ..............981 05/04/2031.... 1.............

31359X FC 8 FNMA ABS SER.1999-62 CL.A1 6.285% 07/1............ . 03/15/2016. Paydown.............................................. ............................... ..............543,473 ..............543,473 ..............512,902 ..............539,348 .......................... ................4,125 .......................... ................4,125 .......................... ..............543,473 .......................... .......................... .......................0 ...........5,756 07/18/2028.... 1.............

31359X FD 6 FNMA ABS SER.1999-62 CL.A2 6.773% 07/1............ . 03/15/2016. Paydown.............................................. ............................... ................28,030 ................28,030 ................28,096 ................28,049 .......................... ....................(19) .......................... ....................(19) .......................... ................28,030 .......................... .......................... .......................0 ..............313 07/18/2028.... 1.............

31359X FF 1 FNMA ABS SER.1999-62 CL.A4 7.510% 06/1............ . 03/15/2016. Paydown.............................................. ............................... ..............268,296 ..............268,296 ..............270,042 ..............268,303 .......................... ......................(7) .......................... ......................(7) .......................... ..............268,296 .......................... .......................... .......................0 ...........3,527 06/18/2028.... 1.............

31359X FG 9 FNMA ABS SER.1999-62 CL.A5 6.960% 07/1............ . 02/01/2016. Paydown.............................................. ............................... ..................7,561 ..................7,561 ..................7,197 ..................7,531 .......................... .....................30 .......................... .....................30 .......................... ..................7,561 .......................... .......................... .......................0 ................56 07/18/2028.... 1.............

313602 HT 4 FNMA CMO SER.1988-29 CL.B 9.500% 12/25........... . 03/01/2016. Paydown.............................................. ............................... .....................180 .....................180 .....................184 .....................179 .......................... .......................1 .......................... .......................1 .......................... .....................180 .......................... .......................... .......................0 ..................3 12/25/2018.... 1.............

313602 UH 5 FNMA CMO SER.1989-31 CL.E 9.150% 06/25........... . 03/01/2016. Paydown.............................................. ............................... .....................380 .....................380 .....................409 .....................390 .......................... ......................(9) .......................... ......................(9) .......................... .....................380 .......................... .......................... .......................0 ..................6 06/25/2019.... 1.............

313615 TX 4 FNMA POOL #050966 7.000% 01/01/24..................... . 03/01/2016. Paydown.............................................. ............................... ................10,311 ................10,311 ................10,568 ................10,454 .......................... ..................(142) .......................... ..................(142) .......................... ................10,311 .......................... .......................... .......................0 ..............121 01/01/2024.... 1.............

31362M 2Q 0 FNMA POOL #065583 4.400% 09/01/28..................... . 03/01/2016. Paydown.............................................. ............................... ................31,691 ................31,691 ................32,326 ................32,116 .......................... ..................(424) .......................... ..................(424) .......................... ................31,691 .......................... .......................... .......................0 ..............193 09/01/2028.... 1.............

31370Q GW 3 FNMA POOL #237913 6.500% 01/01/24..................... . 03/01/2016. Paydown.............................................. ............................... .......................24 .......................24 .......................24 .......................24 .......................... .......................... .......................... .......................0 .......................... .......................24 .......................... .......................... .......................0 ...................... 01/01/2024.... 1.............

31371B YB 1 FNMA POOL #247406 6.500% 01/01/19..................... . 03/01/2016. Paydown.............................................. ............................... .......................62 .......................62 .......................62 .......................62 .......................... .......................... .......................... .......................0 .......................... .......................62 .......................... .......................... .......................0 ..................1 01/01/2019.... 1.............

31371S ZT 4 FNMA POOL #260945 6.500% 01/01/24..................... . 03/01/2016. Paydown.............................................. ............................... .....................788 .....................788 .....................781 .....................783 .......................... .......................5 .......................... .......................5 .......................... .....................788 .......................... .......................... .......................0 ..................9 01/01/2024.... 1.............

31371Y 3J 8 FNMA POOL #266401 6.500% 01/01/24..................... . 03/01/2016. Paydown.............................................. ............................... .....................664 .....................664 .....................659 .....................660 .......................... .......................4 .......................... .......................4 .......................... .....................664 .......................... .......................... .......................0 ..................7 01/01/2024.... 1.............

31372B VV 9 FNMA POOL #268028 6.500% 01/01/24..................... . 03/01/2016. Paydown.............................................. ............................... .....................921 .....................921 .....................914 .....................916 .......................... .......................6 .......................... .......................6 .......................... .....................921 .......................... .......................... .......................0 ................10 01/01/2024.... 1.............

31372B VW 7 FNMA POOL #268029 6.500% 01/01/24..................... . 03/01/2016. Paydown.............................................. ............................... .....................485 .....................485 .....................481 .....................482 .......................... .......................3 .......................... .......................3 .......................... .....................485 .......................... .......................... .......................0 ..................5 01/01/2024.... 1.............

31372B VZ 0 FNMA POOL #268032 6.500% 01/01/24..................... . 03/01/2016. Paydown.............................................. ............................... .....................103 .....................103 .....................102 .....................102 .......................... .......................1 .......................... .......................1 .......................... .....................103 .......................... .......................... .......................0 ..................1 01/01/2024.... 1.............

31372C J2 5 FNMA POOL #268581 6.500% 01/01/24..................... . 01/01/2016. Paydown.............................................. ............................... ..................8,612 ..................8,612 ..................8,542 ..................8,559 .......................... .....................53 .......................... .....................53 .......................... ..................8,612 .......................... .......................... .......................0 ................47 01/01/2024.... 1.............

31372C RJ 9 FNMA POOL #268789 6.500% 01/01/24..................... . 03/01/2016. Paydown.............................................. ............................... .....................627 .....................627 .....................622 .....................623 .......................... .......................4 .......................... .......................4 .......................... .....................627 .......................... .......................... .......................0 ..................7 01/01/2024.... 1.............

31372C XT 0 FNMA POOL #268990 6.500% 01/01/24..................... . 03/01/2016. Paydown.............................................. ............................... ..................2,118 ..................2,118 ..................2,101 ..................2,105 .......................... .....................13 .......................... .....................13 .......................... ..................2,118 .......................... .......................... .......................0 ................23 01/01/2024.... 1.............

31372D BM 7 FNMA POOL #269244 6.500% 01/01/24..................... . 03/01/2016. Paydown.............................................. ............................... ..................1,845 ..................1,845 ..................1,830 ..................1,833 .......................... .....................11 .......................... .....................11 .......................... ..................1,845 .......................... .......................... .......................0 ................29 01/01/2024.... 1.............

31373T 5A 4 FNMA POOL #303341 ADJ 3.099% 02/01/31............. . 03/01/2016. Paydown.............................................. ............................... ..................5,740 ..................5,740 ..................5,835 ..................5,795 .......................... ....................(55) .......................... ....................(55) .......................... ..................5,740 .......................... .......................... .......................0 ................26 02/01/2031.... 1.............

3137A2 AZ 4 FHLMC ABS SER.K009 CL.A1 2.757% 05/25/............ . 03/01/2016. Paydown.............................................. ............................... ..............267,491 ..............267,491 ..............270,155 ..............268,084 .......................... ..................(593) .......................... ..................(593) .......................... ..............267,491 .......................... .......................... .......................0 ...........1,412 05/25/2020.... 1.............

31385X MA 2 FNMA POOL #555753 HARM 2.467% 06/25/33......... . 03/01/2016. Paydown.............................................. ............................... ................22,891 ................22,891 ................22,690 ................21,874 .......................... ................1,016 .......................... ................1,016 .......................... ................22,891 .......................... .......................... .......................0 ................94 06/25/2033.... 1.............

3138A1 NL 1 FNMA POOL #AH0394 3.500% 12/01/25.................... . 03/01/2016. Paydown.............................................. ............................... ..............726,893 ..............726,893 ..............762,727 ..............760,349 .......................... .............(33,456) .......................... .............(33,456) .......................... ..............726,893 .......................... .......................... .......................0 ...........4,581 12/01/2025.... 1.............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.16

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

3138A7 FZ 6 FNMA POOL #AH5583 4.500% 02/01/41.................... . 03/01/2016. Paydown.............................................. ............................... ................15,592 ................15,592 ................16,600 ................16,564 .......................... ..................(972) .......................... ..................(972) .......................... ................15,592 .......................... .......................... .......................0 ..............114 02/01/2041.... 1.............

3138A9 KV 5 FNMA POOL #AH7507 3.500% 03/01/26.................... . 03/01/2016. Paydown.............................................. ............................... ..............187,013 ..............187,013 ..............197,912 ..............196,737 .......................... ...............(9,724) .......................... ...............(9,724) .......................... ..............187,013 .......................... .......................... .......................0 ...........1,038 03/01/2026.... 1.............

3138AB YR 4 FNMA POOL #AH9719 4.500% 04/01/41.................... . 03/01/2016. Paydown.............................................. ............................... ................42,760 ................42,760 ................45,533 ................45,433 .......................... ...............(2,672) .......................... ...............(2,672) .......................... ................42,760 .......................... .......................... .......................0 ..............322 04/01/2041.... 1.............

3138AN N2 5 FNMA POOL #AI8508 3.500% 08/01/26..................... . 03/01/2016. Paydown.............................................. ............................... ..............117,995 ..............117,995 ..............123,341 ..............122,802 .......................... ...............(4,807) .......................... ...............(4,807) .......................... ..............117,995 .......................... .......................... .......................0 ..............755 08/01/2026.... 1.............

3138AU Q7 5 FNMA POOL #AJ3177 3.500% 10/01/26.................... . 03/01/2016. Paydown.............................................. ............................... ..............154,396 ..............154,396 ..............162,574 ..............162,033 .......................... ...............(7,637) .......................... ...............(7,637) .......................... ..............154,396 .......................... .......................... .......................0 ..............851 10/01/2026.... 1.............

3138E5 CH 9 FNMA POOL #AK0971 3.000% 02/01/27.................... . 03/01/2016. Paydown.............................................. ............................... ..............254,673 ..............254,673 ..............268,601 ..............266,617 .......................... .............(11,944) .......................... .............(11,944) .......................... ..............254,673 .......................... .......................... .......................0 ...........1,053 02/01/2027.... 1.............

3138EB QX 6 FNMA POOL #AK6769 3.500% 03/01/27.................... . 03/01/2016. Paydown.............................................. ............................... ..............167,437 ..............167,437 ..............176,934 ..............175,991 .......................... ...............(8,554) .......................... ...............(8,554) .......................... ..............167,437 .......................... .......................... .......................0 ..............822 03/01/2027.... 1.............

3138EJ RC 4 FNMA POOL #AL2282 4.000% 10/01/42.................... . 03/01/2016. Paydown.............................................. ............................... ................34,452 ................34,452 ................35,064 ................35,047 .......................... ..................(595) .......................... ..................(595) .......................... ................34,452 .......................... .......................... .......................0 ..............175 10/01/2042.... 1.............

3138EL UR 2 FNMA POOL #AL4191 3.500% 01/01/28.................... . 03/01/2016. Paydown.............................................. ............................... ..............352,433 ..............352,433 ..............368,403 ..............366,892 .......................... .............(14,459) .......................... .............(14,459) .......................... ..............352,433 .......................... .......................... .......................0 ...........2,042 01/01/2028.... 1.............

3138EP N9 1 FNMA POOL #AL6715 4.000% 02/01/45.................... . 01/27/2016. CREDIT SUISSE SEC USA LLC......... ............................... .........87,972,316 .........82,542,563 .........87,711,385 .........87,673,344 .......................... ..............21,895 .......................... ..............21,895 .......................... .........87,695,239 .......................... ............277,077 ............277,077 .......366,856 02/01/2045.... 1.............

3138EP N9 1 FNMA POOL #AL6715 4.000% 02/01/45.................... . 02/01/2016. Paydown.............................................. ............................... ...........3,365,314 ...........3,365,314 ...........3,576,050 ...........3,574,500 .......................... ...........(209,185) .......................... ...........(209,185) .......................... ...........3,365,314 .......................... .......................... .......................0 .......290,822 02/01/2045.... 1.............

3138MQ G6 4 FNMA POOL #AQ8320 2.500% 12/01/27................... . 03/01/2016. Paydown.............................................. ............................... ................93,544 ................93,544 ................97,827 ................97,152 .......................... ...............(3,608) .......................... ...............(3,608) .......................... ................93,544 .......................... .......................... .......................0 ..............339 12/01/2027.... 1.............

3138WC H7 1 FNMA POOL #AS2953 4.000% 07/01/44.................... . 03/01/2016. Paydown.............................................. ............................... ...........3,141,485 ...........3,141,485 ...........3,338,161 ...........3,336,692 .......................... ...........(195,207) .......................... ...........(195,207) .......................... ...........3,141,485 .......................... .......................... .......................0 .........15,455 07/01/2044.... 1.............

3138WC T8 6 FNMA POOL #AS3274 3.500% 09/01/29.................... . 03/01/2016. Paydown.............................................. ............................... ..............616,716 ..............616,716 ..............650,009 ..............648,484 .......................... .............(31,768) .......................... .............(31,768) .......................... ..............616,716 .......................... .......................... .......................0 ...........3,740 09/01/2029.... 1.............

3138WC W5 8 FNMA POOL #AS3367 3.500% 09/01/29.................... . 03/01/2016. Paydown.............................................. ............................... ..............478,977 ..............478,977 ..............505,059 ..............503,824 .......................... .............(24,846) .......................... .............(24,846) .......................... ..............478,977 .......................... .......................... .......................0 ...........2,738 09/01/2029.... 1.............

3138WC X8 1 FNMA POOL #AS3402 4.000% 09/01/44.................... . 03/01/2016. Paydown.............................................. ............................... ...........1,979,046 ...........1,979,046 ...........2,102,736 ...........2,101,586 .......................... ...........(122,540) .......................... ...........(122,540) .......................... ...........1,979,046 .......................... .......................... .......................0 .........10,936 09/01/2044.... 1.............

3138WD JP 7 FNMA POOL #AS3869 4.000% 11/01/44.................... . 03/01/2016. Paydown.............................................. ............................... ..............550,161 ..............550,161 ..............584,632 ..............584,240 .......................... .............(34,079) .......................... .............(34,079) .......................... ..............550,161 .......................... .......................... .......................0 ...........4,030 11/01/2044.... 1.............

3138WD MT 5 FNMA POOL #AS3969 4.000% 12/01/44.................... . 03/24/2016. CITIGROUP GLOBAL MKTS.............. ............................... .........18,162,349 .........17,044,567 .........18,112,516 .........18,100,360 .......................... ................8,247 .......................... ................8,247 .......................... .........18,108,607 .......................... ..............53,741 ..............53,741 .......193,172 12/01/2044.... 1.............

3138WD MT 5 FNMA POOL #AS3969 4.000% 12/01/44.................... . 03/01/2016. Paydown.............................................. ............................... ...........1,110,408 ...........1,110,408 ...........1,179,982 ...........1,179,190 .......................... .............(68,782) .......................... .............(68,782) .......................... ...........1,110,408 .......................... .......................... .......................0 ...........7,357 12/01/2044.... 1.............

3138WE NS 4 FNMA POOL #AS4900 4.000% 05/01/45.................... . 03/01/2016. Paydown.............................................. ............................... ..............365,797 ..............365,797 ..............388,717 ..............388,507 .......................... .............(22,710) .......................... .............(22,710) .......................... ..............365,797 .......................... .......................... .......................0 ...........2,378 05/01/2045.... 1.............

3138WE QK 8 FNMA POOL #AS4957 3.000% 05/01/30.................... . 03/01/2016. Paydown.............................................. ............................... ..............159,287 ..............159,287 ..............164,713 ..............164,565 .......................... ...............(5,277) .......................... ...............(5,277) .......................... ..............159,287 .......................... .......................... .......................0 ..............793 05/01/2030.... 1.............

3138WE U4 9 FNMA POOL #AS5102 3.000% 06/01/30.................... . 03/01/2016. Paydown.............................................. ............................... ..............237,772 ..............237,772 ..............245,499 ..............245,302 .......................... ...............(7,530) .......................... ...............(7,530) .......................... ..............237,772 .......................... .......................... .......................0 ...........1,137 06/01/2030.... 1.............

3138WF HE 9 FNMA POOL #AS5628 3.000% 08/01/30.................... . 03/01/2016. Paydown.............................................. ............................... ...........1,660,266 ...........1,660,266 ...........1,726,676 ...........1,725,453 .......................... .............(65,187) .......................... .............(65,187) .......................... ...........1,660,266 .......................... .......................... .......................0 ...........8,556 08/01/2030.... 1.............

3138WF KJ 4 FNMA POOL #AS5696 3.500% 08/01/45.................... . 03/18/2016. Various................................................ ............................... ............................ ............................ .................(4,008) ...............(26,169) .......................... ..............71,194 .......................... ..............71,194 .......................... ................45,025 .......................... .............(45,025) .............(45,025) .......444,056 08/01/2045.... 1.............

3138WF KJ 4 FNMA POOL #AS5696 3.500% 08/01/45.................... . 03/18/2016. Paydown.............................................. ............................... ..............541,750 ..............541,750 ..............561,832 ..............620,304 .......................... .............(78,554) .......................... .............(78,554) .......................... ..............541,750 .......................... .......................... .......................0 ........(11,362) 08/01/2045.... 1.............

3138WF KK 1 FNMA POOL #AS5697 3.500% 08/01/45.................... . 03/01/2016. Paydown.............................................. ............................... ...........2,473,186 ...........2,473,186 ...........2,555,110 ...........2,554,556 .......................... .............(81,370) .......................... .............(81,370) .......................... ...........2,473,186 .......................... .......................... .......................0 .........14,735 08/01/2045.... 1.............

3138WF KL 9 FNMA POOL #AS5698 3.500% 08/01/45.................... . 03/01/2016. Paydown.............................................. ............................... ..............703,720 ..............703,720 ..............727,031 ..............726,873 .......................... .............(23,153) .......................... .............(23,153) .......................... ..............703,720 .......................... .......................... .......................0 ...........4,275 08/01/2045.... 1.............

3138WF PX 8 FNMA POOL #AS5837 4.000% 09/01/45.................... . 03/29/2016. NOMURA SECURITIES INTL INC...... ............................... .........17,181,539 .........16,118,711 .........17,128,649 .........17,121,336 .......................... ...............(4,836) .......................... ...............(4,836) .......................... .........17,116,500 .......................... ..............65,039 ..............65,039 .......214,916 09/01/2045.... 1.............

3138WF PX 8 FNMA POOL #AS5837 4.000% 09/01/45.................... . 03/01/2016. Paydown.............................................. ............................... ..............744,309 ..............744,309 ..............790,945 ..............790,607 .......................... .............(46,298) .......................... .............(46,298) .......................... ..............744,309 .......................... .......................... .......................0 ...........5,714 09/01/2045.... 1.............

3138WF WY 8 FNMA POOL # AS6062 3.000% 10/01/30................... . 03/01/2016. Paydown.............................................. ............................... ...........2,482,299 ...........2,482,299 ...........2,569,761 ...........2,568,826 .......................... .............(86,527) .......................... .............(86,527) .......................... ...........2,482,299 .......................... .......................... .......................0 .........12,090 10/01/2030.... 1.............

3138X4 TP 5 FNMA POOL #AU5057 4.000% 11/01/43.................... . 03/01/2016. Paydown.............................................. ............................... .....................222 .....................222 .....................233 .....................233 .......................... ....................(11) .......................... ....................(11) .......................... .....................222 .......................... .......................... .......................0 ..................2 11/01/2043.... 1.............

3138XE U2 2 FNMA POOL #AV3300 4.000% 12/01/43.................... . 03/01/2016. Paydown.............................................. ............................... ..................9,684 ..................9,684 ..................9,847 ..................9,841 .......................... ..................(157) .......................... ..................(157) .......................... ..................9,684 .......................... .......................... .......................0 ................47 12/01/2043.... 1.............

3138XF AU 9 FNMA POOL #AV3618 3.500% 12/01/28.................... . 03/01/2016. Paydown.............................................. ............................... ..................6,362 ..................6,362 ..................6,728 ..................6,711 .......................... ..................(348) .......................... ..................(348) .......................... ..................6,362 .......................... .......................... .......................0 ................32 12/01/2028.... 1.............

3138XG G4 9 FNMA POOL #AV4718 4.000% 12/01/43.................... . 03/01/2016. Paydown.............................................. ............................... ..................4,099 ..................4,099 ..................4,302 ..................4,295 .......................... ..................(197) .......................... ..................(197) .......................... ..................4,099 .......................... .......................... .......................0 ................15 12/01/2043.... 1.............

3138YD AR 0 FNMA POOL #AY0015 4.000% 01/01/45.................... . 02/09/2016. MORGAN STANLEY & CO LLC.......... ............................... .........37,195,639 .........34,762,279 .........36,937,638 .........36,912,970 .......................... ..............21,928 .......................... ..............21,928 .......................... .........36,934,898 .......................... ............260,741 ............260,741 .......270,373 01/01/2045.... 1.............

3138YD AR 0 FNMA POOL #AY0015 4.000% 01/01/45.................... . 02/01/2016. Paydown.............................................. ............................... ...........1,792,193 ...........1,792,193 ...........1,904,345 ...........1,903,073 .......................... ...........(110,880) .......................... ...........(110,880) .......................... ...........1,792,193 .......................... .......................... .......................0 ...........9,537 01/01/2045.... 1.............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.17

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

3138YU SM 4 FNMA POOL #AZ3223 3.000% 06/01/30.................... . 03/01/2016. Paydown.............................................. ............................... ..............281,707 ..............281,707 ..............290,819 ..............290,585 .......................... ...............(8,878) .......................... ...............(8,878) .......................... ..............281,707 .......................... .......................... .......................0 ...........1,416 06/01/2030.... 1.............

3138YU WX 5 FNMA POOL #AZ3361 3.000% 07/01/30.................... . 03/01/2016. Paydown.............................................. ............................... ..............163,472 ..............163,472 ..............168,708 ..............168,575 .......................... ...............(5,103) .......................... ...............(5,103) .......................... ..............163,472 .......................... .......................... .......................0 ..............841 07/01/2030.... 1.............

313920 GQ 7 FNMA CMO SER.2001-29 CL.A 7.000% 01/25........... . 03/01/2016. Paydown.............................................. ............................... ..............336,671 ..............336,671 ..............339,771 ..............342,887 .......................... ...............(6,215) .......................... ...............(6,215) .......................... ..............336,671 .......................... .......................... .......................0 ...........4,455 01/25/2041.... 1.............

313921 6A 1 FNMA CMO SER.2001-T10 CL.A1 7.000% 12/........... . 03/01/2016. Paydown.............................................. ............................... ................80,439 ................80,439 ................83,883 ................80,251 .......................... ...................188 .......................... ...................188 .......................... ................80,439 .......................... .......................... .......................0 ..............835 12/25/2041.... 1.............

31392A 5E 4 FANNIEMAE GRANTOR TRUST ABS FLOAT SER.20. . 03/25/2016. Paydown.............................................. ............................... ................26,817 ................26,817 ................26,336 ................25,630 .......................... ................1,187 .......................... ................1,187 .......................... ................26,817 .......................... .......................... .......................0 ................28 03/25/2032.... 1.............

31392A 5L 8 FNMA CMO SER.2001-T12 CL.A1 6.500% 08/........... . 03/01/2016. Paydown.............................................. ............................... ................10,379 ................10,379 ................10,547 ................10,345 .......................... .....................34 .......................... .....................34 .......................... ................10,379 .......................... .......................... .......................0 ................90 08/25/2041.... 1.............

31392A 7A 0 FANNIEMAE GRANTOR TRUST CMO SER.2002-T1... . 03/01/2016. Paydown.............................................. ............................... ..............194,742 ..............194,742 ..............198,241 ..............194,742 .......................... .......................... .......................... .......................0 .......................... ..............194,742 .......................... .......................... .......................0 ...........1,911 11/25/2031.... 1.............

31392A 7B 8 FNMA CMO SER.2002-T1 CL.A2 7.000% 11/2........... . 03/01/2016. Paydown.............................................. ............................... ................39,881 ................39,881 ................41,314 ................39,868 .......................... .....................13 .......................... .....................13 .......................... ................39,881 .......................... .......................... .......................0 ..............499 11/25/2031.... 1.............

31392A JW 9 FNMA CMO SER.2001-50 CL.BA 7.000% 10/2........... . 03/01/2016. Paydown.............................................. ............................... ..............129,571 ..............129,571 ..............134,320 ..............129,242 .......................... ...................330 .......................... ...................330 .......................... ..............129,571 .......................... .......................... .......................0 ...........1,380 10/25/2041.... 1.............

31392B 4K 9 FNMA CMO SER.2002-7 CL.QP 6.000% 03/25.......... . 03/01/2016. Paydown.............................................. ............................... ..............180,307 ..............180,307 ..............176,532 ..............178,888 .......................... ................1,419 .......................... ................1,419 .......................... ..............180,307 .......................... .......................... .......................0 ...........1,840 03/25/2022.... 1.............

31392B 6T 8 FANNIEMAE GRANTOR TRUST CMO SER.2002-T4... . 03/01/2016. Paydown.............................................. ............................... ................64,000 ................64,000 ................64,880 ................64,081 .......................... ....................(80) .......................... ....................(80) .......................... ................64,000 .......................... .......................... .......................0 ..............594 12/25/2041.... 1.............

31392C EQ 3 FNMA ABS FLOAT SER.2002-W2 CL.AV1 0.69.......... . 03/25/2016. Paydown.............................................. ............................... ..................2,336 ..................2,336 ..................2,337 ..................2,336 .......................... .......................... .......................... .......................0 .......................... ..................2,336 .......................... .......................... .......................0 ..................2 06/25/2032.... 1.............

31392C XY 5 FANNIEMAE GRANTOR TRUST ABS FLOAT SER.20. . 03/28/2016. Paydown.............................................. ............................... ................11,760 ................11,760 ................11,762 ................10,334 .......................... ................1,426 .......................... ................1,426 .......................... ................11,760 .......................... .......................... .......................0 ................10 05/25/2032.... 1.............

31392D QH 8 FANNIEMAE GRANTOR TRUST ABS FLOAT SER.20. . 03/28/2016. Paydown.............................................. ............................... ................29,503 ................29,503 ................29,506 ................28,176 .......................... ................1,327 .......................... ................1,327 .......................... ................29,503 .......................... .......................... .......................0 ................27 07/25/2032.... 1.............

31392D UM 2 FANNIEMAE GRANTOR TRUST ABS FLOAT SER.20. . 03/28/2016. Paydown.............................................. ............................... ................27,743 ................27,743 ................27,748 ................24,539 .......................... ................3,204 .......................... ................3,204 .......................... ................27,743 .......................... .......................... .......................0 ................30 06/25/2032.... 1.............

31392E W6 3 FNMA ABS FLOAT SER.2002-W11 CL.AV1 0.7.......... . 03/28/2016. Paydown.............................................. ............................... .....................297 .....................297 .....................297 .....................258 .......................... .....................39 .......................... .....................39 .......................... .....................297 .......................... .......................... .......................0 ...................... 11/25/2032.... 1.............

31392F LX 3 FNMA CMO SER.2002-80 CL.A1 6.500% 11/2........... . 03/01/2016. Paydown.............................................. ............................... ................20,649 ................20,649 ................21,768 ................21,151 .......................... ..................(503) .......................... ..................(503) .......................... ................20,649 .......................... .......................... .......................0 ..............206 11/25/2042.... 1.............

31392G FN 0 FNMA CMO SER.2002-T18 CL.A1 6.500% 08/........... . 03/01/2016. Paydown.............................................. ............................... ..............447,562 ..............447,562 ..............470,640 ..............473,016 .......................... .............(25,454) .......................... .............(25,454) .......................... ..............447,562 .......................... .......................... .......................0 ...........4,621 08/25/2042.... 1.............

31392G VX 0 FNMA CMO SER.2003-W1 CL.1A1 5.703% 12/.......... . 03/01/2016. Paydown.............................................. ............................... ..............107,357 ..............107,357 ..............113,214 ..............110,586 .......................... ...............(3,228) .......................... ...............(3,228) .......................... ..............107,357 .......................... .......................... .......................0 ...........1,074 12/25/2042.... 1.............

31392M GY 2 FHLMC CMO SER.2002-T42 CL.A4 6.500% 02.......... . 03/01/2016. Paydown.............................................. ............................... ..............177,793 ..............177,793 ..............176,988 ..............177,022 .......................... ...................772 .......................... ...................772 .......................... ..............177,793 .......................... .......................... .......................0 ...........2,190 02/25/2042.... 1.............

31393A S4 0 FNMA ABS FLOAT SER.2003-W5 CL.A 0.653%......... . 03/25/2016. Paydown.............................................. ............................... ................71,820 ................71,820 ................71,725 ................64,482 .......................... ................7,337 .......................... ................7,337 .......................... ................71,820 .......................... .......................... .......................0 ................72 04/25/2033.... 1.............

31393B T4 7 FNMA CMO SER.2003-W6 CL.1A41 5.398% 10......... . 03/01/2016. Paydown.............................................. ............................... ..............107,565 ..............107,565 ..............106,473 ..............106,821 .......................... ...................744 .......................... ...................744 .......................... ..............107,565 .......................... .......................... .......................0 ..............865 10/25/2042.... 1.............

31393E MH 9 FNMA CMO SER.2003-84 CL.PV 5.000% 08/2........... . 03/01/2016. Paydown.............................................. ............................... ...........1,435,978 ...........1,435,978 ...........1,433,959 ...........1,431,270 .......................... ................4,708 .......................... ................4,708 .......................... ...........1,435,978 .......................... .......................... .......................0 ...........9,883 08/25/2023.... 1.............

31393X FS 1 FNMA CMO SER.2004-T1 CL.1A1 6.000% 01/........... . 03/01/2016. Paydown.............................................. ............................... ................43,685 ................43,685 ................45,665 ................45,317 .......................... ...............(1,631) .......................... ...............(1,631) .......................... ................43,685 .......................... .......................... .......................0 ..............430 01/25/2044.... 1.............

31394A YQ 3 FANNIEMAE GRANTOR TRUST ABS ADJ SER.2004.. . 03/28/2016. Paydown.............................................. ............................... ..............182,740 ..............182,740 ..............182,768 ..............181,889 .......................... ...................850 .......................... ...................850 .......................... ..............182,740 .......................... .......................... .......................0 ..............291 05/28/2035.... 1.............

31394B A7 9 FANNIEMAE GRANTOR TRUST ABS FLOAT SER.20. . 03/25/2016. Paydown.............................................. ............................... ..............261,839 ..............261,839 ..............261,880 ..............261,503 .......................... ...................336 .......................... ...................336 .......................... ..............261,839 .......................... .......................... .......................0 ..............351 04/25/2035.... 1.............

31394V PT 1 FNMA CMO SER.2005-W4 CL.1A1 6.000% 08/.......... . 03/01/2016. Paydown.............................................. ............................... ................12,122 ................12,122 ................12,292 ................12,216 .......................... ....................(94) .......................... ....................(94) .......................... ................12,122 .......................... .......................... .......................0 ..............134 08/25/2045.... 1.............

31395C RR 4 FHLMC CMO SER.2825 CL.VQ 5.500% 07/15/.......... . 01/01/2016. Paydown.............................................. ............................... ..................1,049 ..................1,049 ..................1,061 ..................1,047 .......................... .......................2 .......................... .......................2 .......................... ..................1,049 .......................... .......................... .......................0 ..................5 07/15/2026.... 1.............

31395T ZK 3 FHLMC CMO SER.2973 CL.PX 5.500% 01/15/........... . 03/01/2016. Paydown.............................................. ............................... ..............198,946 ..............198,946 ..............198,356 ..............198,454 .......................... ...................492 .......................... ...................492 .......................... ..............198,946 .......................... .......................... .......................0 ...........1,351 01/15/2035.... 1.............

31395X 4P 7 FHLMC CMO SER.3023 CL.DG 5.500% 09/15/.......... . 03/01/2016. Paydown.............................................. ............................... ..............747,437 ..............747,437 ..............756,488 ..............746,659 .......................... ...................778 .......................... ...................778 .......................... ..............747,437 .......................... .......................... .......................0 ...........7,395 09/15/2034.... 1.............

31396V QW 1 FNMA CMO FLOAT SER.2007-36 CL.F 0.663%......... . 03/25/2016. Paydown.............................................. ............................... ..............111,028 ..............111,028 ..............110,993 ..............105,863 .......................... ................5,165 .......................... ................5,165 .......................... ..............111,028 .......................... .......................... .......................0 ..............119 04/25/2037.... 1.............

31396X HN 7 FNMA CMO SER.2007-77 CL.HN 6.000% 08/2.......... . 03/01/2016. Paydown.............................................. ............................... ..............160,240 ..............160,240 ..............168,383 ..............164,731 .......................... ...............(4,490) .......................... ...............(4,490) .......................... ..............160,240 .......................... .......................... .......................0 ...........1,704 08/25/2037.... 1.............

31400T 7M 3 FNMA POOL #697600 SEASONED 5.500% 04/0....... . 03/01/2016. Paydown.............................................. ............................... ................32,302 ................32,302 ................32,218 ................32,196 .......................... ...................106 .......................... ...................106 .......................... ................32,302 .......................... .......................... .......................0 ..............333 04/01/2018.... 1.............

31403C 3S 8 FNMA POOL #745209 SEASONED 5.500% 09/0....... . 03/01/2016. Paydown.............................................. ............................... ................50,012 ................50,012 ................49,891 ................49,858 .......................... ...................154 .......................... ...................154 .......................... ................50,012 .......................... .......................... .......................0 ..............462 09/01/2019.... 1.............

31403U VU 2 FNMA POOL #758527 100% PUERTO RICO 5.0....... . 03/01/2016. Paydown.............................................. ............................... ..................6,809 ..................6,809 ..................6,784 ..................6,784 .......................... .....................25 .......................... .....................25 .......................... ..................6,809 .......................... .......................... .......................0 ................49 03/01/2034.... 1.............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.18

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

31405K 3X 7 FNMA POOL #792014 SEASONED 5.500% 09/0....... . 03/01/2016. Paydown.............................................. ............................... ................22,893 ................22,893 ................22,789 ................22,801 .......................... .....................93 .......................... .....................93 .......................... ................22,893 .......................... .......................... .......................0 ..............210 09/01/2019.... 1.............

3140E2 HA 2 FNMA POOL #AZ9224 3.500% 10/01/45.................... . 02/09/2016. MORGAN STANLEY & CO LLC.......... ............................... .......109,462,289 .......104,598,146 .......107,076,208 .......107,059,102 .......................... ................7,476 .......................... ................7,476 .......................... .......107,066,578 .......................... .........2,395,711 .........2,395,711 .......711,375 10/01/2045.... 1.............

3140E2 HA 2 FNMA POOL #AZ9224 3.500% 10/01/45.................... . 03/01/2016. Paydown.............................................. ............................... ...........1,262,226 ...........1,262,226 ...........1,292,130 ...........1,291,923 .......................... .............(29,697) .......................... .............(29,697) .......................... ...........1,262,226 .......................... .......................... .......................0 ...........7,055 10/01/2045.... 1.............

3140E4 EX 1 FNMA POOL #BA0149 4.000% 10/01/45.................... . 03/01/2016. Paydown.............................................. ............................... ..............242,793 ..............242,793 ..............258,006 ..............257,835 .......................... .............(15,042) .......................... .............(15,042) .......................... ..............242,793 .......................... .......................... .......................0 ...........2,306 10/01/2045.... 1.............

3140E7 FY 1 FNMA POOL #BA2882 3.000% 11/01/30.................... . 03/15/2016. GOLDMAN SACHS & CO................... ............................... .........91,483,375 .........88,451,064 .........91,519,211 .........91,495,201 .......................... .............(11,826) .......................... .............(11,826) .......................... .........91,483,375 .......................... .......................... .......................0 .......781,318 11/01/2030.... 1.............

3140E7 FY 1 FNMA POOL #BA2882 3.000% 11/01/30.................... . 03/01/2016. Paydown.............................................. ............................... ...........1,548,935 ...........1,548,935 ...........1,602,664 ...........1,602,244 .......................... .............(53,308) .......................... .............(53,308) .......................... ...........1,548,935 .......................... .......................... .......................0 ...........7,429 11/01/2030.... 1.............

3140E8 V6 2 FNMA POOL #BA4236 3.500% 11/01/45.................... . 01/13/2016. MORGAN STANLEY & CO LLC.......... ............................... .........51,064,121 .........49,431,979 .........51,069,413 .........51,058,408 .......................... ................5,714 .......................... ................5,714 .......................... .........51,064,121 .......................... .......................... .......................0 .......199,141 11/01/2045.... 1.............

3140E8 V6 2 FNMA POOL #BA4236 3.500% 11/01/45.................... . 02/01/2016. Paydown.............................................. ............................... ..............643,444 ..............643,444 ..............664,759 ..............664,615 .......................... .............(21,171) .......................... .............(21,171) .......................... ..............643,444 .......................... .......................... .......................0 .........42,534 11/01/2045.... 1.............

3140E8 V6 2 FNMA POOL #BA4236 3.500% 11/01/45.................... . 02/01/2016. MORGAN STANLEY & CO LLC.......... ............................... .............(458,450) .............(438,839) .............(455,844) ............................ .......................... .......................... .......................... .......................0 .......................... .............(455,844) .......................... ...............(2,606) ...............(2,606) .............(427) 11/01/2045.... 1.............

31412Q HM 4 FNMA POOL #931836 4.000% 08/01/39..................... . 03/01/2016. Paydown.............................................. ............................... ................15,620 ................15,620 ................16,352 ................16,314 .......................... ..................(694) .......................... ..................(694) .......................... ................15,620 .......................... .......................... .......................0 ................98 08/01/2039.... 1.............

31416W RH 7 FNMA POOL #AB1387 4.500% 08/01/40.................... . 03/01/2016. Paydown.............................................. ............................... ................16,603 ................16,603 ................17,682 ................17,640 .......................... ...............(1,037) .......................... ...............(1,037) .......................... ................16,603 .......................... .......................... .......................0 ..............116 08/01/2040.... 1.............

31417D KX 0 FNMA POOL #AB6609 3.500% 10/01/42.................... . 03/01/2016. Paydown.............................................. ............................... ................98,032 ................98,032 ..............100,146 ..............100,090 .......................... ...............(2,058) .......................... ...............(2,058) .......................... ................98,032 .......................... .......................... .......................0 ..............533 10/01/2042.... 1.............

31418A GL 6 FNMA POOL #MA1102 3.000% 07/01/27................... . 03/01/2016. Paydown.............................................. ............................... ................43,712 ................43,712 ................45,863 ................45,544 .......................... ...............(1,832) .......................... ...............(1,832) .......................... ................43,712 .......................... .......................... .......................0 ..............219 07/01/2027.... 1.............

31418A P3 6 FNMA POOL #MA1341 2.500% 02/01/23................... . 03/01/2016. Paydown.............................................. ............................... ..............118,966 ..............118,966 ..............124,877 ..............123,327 .......................... ...............(4,362) .......................... ...............(4,362) .......................... ..............118,966 .......................... .......................... .......................0 ..............493 02/01/2023.... 1.............

31418A SV 1 FNMA POOL #MA1431 2.500% 05/01/23................... . 03/01/2016. Paydown.............................................. ............................... ..............255,761 ..............255,761 ..............264,472 ..............262,463 .......................... ...............(6,702) .......................... ...............(6,702) .......................... ..............255,761 .......................... .......................... .......................0 ...........1,040 05/01/2023.... 1.............

31418A YX 0 FNMA POOL #MA1625 3.000% 10/01/23................... . 03/01/2016. Paydown.............................................. ............................... .....................150 .....................150 .....................155 .....................154 .......................... ......................(5) .......................... ......................(5) .......................... .....................150 .......................... .......................... .......................0 ..................1 10/01/2023.... 1.............

31419A G2 7 FNMA POOL #AE0216 4.000% 08/01/40.................... . 03/01/2016. Paydown.............................................. ............................... ................54,833 ................54,833 ................57,463 ................57,353 .......................... ...............(2,520) .......................... ...............(2,520) .......................... ................54,833 .......................... .......................... .......................0 ..............367 08/01/2040.... 1.............

31419L ZX 4 FNMA POOL #AE9757 4.000% 12/01/40.................... . 03/01/2016. Paydown.............................................. ............................... ................58,815 ................58,815 ................61,627 ................61,485 .......................... ...............(2,671) .......................... ...............(2,671) .......................... ................58,815 .......................... .......................... .......................0 ..............366 12/01/2040.... 1.............

628962 AC 6 NIH NEUROSCIENCE CENTER SEC GTD CERTS OF. . 02/15/2016. Redemption 100.0000.................... ............................... ..............280,478 ..............280,478 ..............280,478 ..............280,478 .......................... .......................... .......................... .......................0 .......................... ..............280,478 .......................... .......................... .......................0 ...........9,646 02/15/2019.... 1.............

628962 AD 4 NIH NEUROSCIENCE CENTER SEC GTD CERTS SE. . 02/15/2016. Redemption 100.0000.................... ............................... ..............280,478 ..............280,478 ..............277,673 ..............279,821 .......................... ...................657 .......................... ...................657 .......................... ..............280,478 .......................... .......................... .......................0 ...........9,646 02/15/2019.... 1.............

000000 00 0 FHLMC DOLLAR ROLLS FEBRUARY 3.500% 02/..... . 02/09/2016. Various................................................ ............................... .......337,084,058 .......321,100,000 .......337,084,058 ............................ .......................... .......................... .......................... .......................0 .......................... .......337,084,058 .......................... .......................... .......................0 ....1,114,930 02/01/2046.... 1.............

000000 00 0 FHLMC DOLLAR ROLLS MARCH 3.500% 03/01/....... . 02/24/2016. WELLS FARGO SEC LLC................... ............................... .......286,249,240 .......272,500,000 .......286,249,240 ............................ .......................... .......................... .......................... .......................0 .......................... .......286,249,240 .......................... .......................... .......................0 .......834,060 03/01/2046.... 1.............

000000 00 0 FHLMC DOLLAR ROLLS FEBRUARY 4.000% 02/..... . 02/09/2016. Various................................................ ............................... .......126,435,352 .......118,500,000 .......126,435,352 ............................ .......................... .......................... .......................... .......................0 .......................... .......126,435,352 .......................... .......................... .......................0 .......446,530 02/01/2046.... 1.............

000000 00 0 FHLMC DOLLAR ROLLS MARCH 4.000% 03/01/....... . 03/09/2016. Various................................................ ............................... .......192,200,876 .......180,650,000 .......192,200,876 ............................ .......................... .......................... .......................... .......................0 .......................... .......192,200,876 .......................... .......................... .......................0 .......630,618 03/01/2046.... 1.............

000000 00 0 FHLMC DOLLAR ROLLS APRIL 3.000% 04/01/......... . 03/30/2016. Various................................................ ............................... .......357,783,507 .......344,000,000 .......357,783,507 ............................ .......................... .......................... .......................... .......................0 .......................... .......357,783,507 .......................... .......................... .......................0 ....1,110,342 04/01/2031.... 1.............

000000 00 0 FNMA DOLLAR ROLLS FEBRUARY 3.500% 02/0...... . 02/09/2016. MORGAN STANLEY & CO LLC.......... ............................... .........37,386,953 .........35,600,000 .........36,776,108 ............................ .......................... .......................... .......................... .......................0 .......................... .........36,776,108 .......................... ............610,845 ............610,845 .........34,611 02/01/2046.... 1.............

3199999. Total Bonds - U.S. Special Revenue and Special Assessment............................................................................................................................................. ....2,786,342,315 ....2,652,764,465 ....2,783,839,431 ....1,447,238,703 .......................0 ........(2,990,137) .......................0 ........(2,990,137) .......................0 ....2,780,321,852 .......................0 .........6,020,463 .........6,020,463 ..16,152,130 XXX XXX

Bonds - Industrial and Miscellaneous

000759 BW 9 AMERICAN BUSINESS FINANCIAL ABS SER.2001..... . 03/01/2016. Paydown.............................................. ............................... ................11,740 ................11,740 ................11,771 ................11,940 .......................... ..................(200) .......................... ..................(200) .......................... ................11,740 .......................... .......................... .......................0 ..............143 03/15/2032.... 3FM........

000780 BZ 8 ABN AMRO MORTGAGE CORP CMO SER.2003-4 CL . 03/01/2016. Paydown.............................................. ............................... ..................9,215 ..................9,215 ..................7,879 ..................9,104 .......................... ...................111 .......................... ...................111 .......................... ..................9,215 .......................... .......................... .......................0 ................85 03/25/2033.... 1FM........

00111@ AA 2 AES HAWAII INC SENIOR SECURED NOTES 6......... . 03/31/2016. Redemption 100.0000.................... ............................... ..............252,450 ..............252,450 ..............252,450 ..............252,450 .......................... .......................... .......................... .......................0 .......................... ..............252,450 .......................... .......................... .......................0 ...........4,336 06/30/2022.... 5.............

00113* AA 2 AEP GENERATING COMPANY SENIOR NOTES 6.... . 03/31/2016. Redemption 100.0000.................... ............................... ..............247,934 ..............247,934 ..............247,934 ..............247,934 .......................... .......................... .......................... .......................0 .......................... ..............247,934 .......................... .......................... .......................0 ...........7,847 09/30/2037.... 2.............

002474 A* 5 AZZ INC SENIOR NOTES 6.240% 03/31/18............... . 03/31/2016. Redemption 100.0000.................... ............................... ...........1,071,429 ...........1,071,429 ...........1,071,429 ...........1,071,429 .......................... .......................... .......................... .......................0 .......................... ...........1,071,429 .......................... .......................... .......................0 .........33,429 03/31/2018.... 2.............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.19

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

00253C HQ 3 AAMES MORTGAGE TRUST ABS SER.2002-1 CL.A... . 03/01/2016. Paydown.............................................. ............................... ................49,530 ................49,530 ................49,530 ................49,530 .......................... .......................... .......................... .......................0 .......................... ................49,530 .......................... .......................... .......................0 ..............579 06/25/2032.... 1FM........

00253C HR 1 AAMES MORTGAGE TRUST ABS SER.2002-1 CL.A... . 03/01/2016. Paydown.............................................. ............................... ..............156,046 ..............156,046 ..............156,046 ..............156,046 .......................... .......................... .......................... .......................0 .......................... ..............156,046 .......................... .......................... .......................0 ...........1,783 01/25/2032.... 1FM........

00253C HV 2 AAMES MORTGAGE TRUST ABS SER.2002-2 CL.A... . 02/01/2016. Paydown.............................................. ............................... ..............202,867 ..............202,867 ..............208,319 ..............209,070 .......................... ...............(6,203) .......................... ...............(6,203) .......................... ..............202,867 .......................... .......................... .......................0 ...........1,697 03/25/2033.... 1FM........

004375 BD 2 ACCREDITED MORTGAGE LOAN TRUST ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ................81,811 ................81,811 ................81,780 ................81,634 .......................... ...................177 .......................... ...................177 .......................... ................81,811 .......................... .......................... .......................0 ..............630 10/25/2034.... 1FM........

02006E AD 1 ALLY AUTO REC TR 2012-4 ABS SER.2012-4 C......... . 03/15/2016. Paydown.............................................. ............................... ..............605,219 ..............605,219 ..............604,841 ............................ .......................... ...................378 .......................... ...................378 .......................... ..............605,219 .......................... .......................... .......................0 ..............606 10/16/2017.... 1AM.......

03063N AA 5 AMERICOLD LLC TRUST ABS SER.2010-ARTA CL.... . 03/11/2016. Paydown.............................................. ............................... ..............347,173 ..............347,173 ..............354,035 ..............350,858 .......................... ...............(3,685) .......................... ...............(3,685) .......................... ..............347,173 .......................... .......................... .......................0 ...........2,229 01/14/2029.... 1FM........

03072S MV 4 AMERIQUEST MORTGAGE SECURITIES ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ................59,334 ................59,334 ................59,046 ................59,167 .......................... ...................166 .......................... ...................166 .......................... ................59,334 .......................... .......................... .......................0 ..............500 01/25/2034.... 1FM........

040104 EZ 0 ARGENT SECURITIES INC ABS ADJ SER.2004-W...... . 03/01/2016. Paydown.............................................. ............................... ................88,978 ................88,978 ................90,813 ................90,927 .......................... ...............(1,949) .......................... ...............(1,949) .......................... ................88,978 .......................... .......................... .......................0 ..............619 03/25/2034.... 1FM........

04124@ AA 9 ARKLOW-FBF LLC NOTES 4.000% 05/11/22............. . 03/11/2016. Redemption 100.0000.................... ............................... ..................9,445 ..................9,445 ..................9,445 ..................9,445 .......................... .......................... .......................... .......................0 .......................... ..................9,445 .......................... .......................... .......................0 ................63 05/11/2022.... 5*...........

05526X AC 5 BASF 2000 A SECURED NOTES 8.040% 02/16......... . 02/16/2016. Redemption 100.0000.................... ............................... ..............115,644 ..............115,644 ................98,776 ..............111,247 .......................... ................4,397 .......................... ................4,397 .......................... ..............115,644 .......................... .......................... .......................0 ...........4,649 02/16/2021.... 1.............

05559@ AP 7 BFC-NOR FED RECEIVABLES TRUST TRUST CERT. . 01/01/2016. Redemption 100.0000.................... ............................... ..............498,009 ..............498,009 ..............498,009 ..............498,009 .......................... .......................... .......................... .......................0 .......................... ..............498,009 .......................... .......................... .......................0 .........30,976 01/01/2027.... 1.............

05568N AF 9 BNSF RAILWAY CO LLC PASS THROUGH TRUST S.. . 01/02/2016. Redemption 100.0000.................... ............................... ..............882,907 ..............882,907 ..............882,907 ..............882,907 .......................... .......................... .......................... .......................0 .......................... ..............882,907 .......................... .......................... .......................0 .........24,858 07/02/2016.... 1.............

05577@ AG 5 BTMU CAPITAL CORP EQUIPMENT NOTES SER.A... . 02/26/2016. Redemption 100.0000.................... ............................... ..............102,199 ..............102,199 ..............102,199 ..............102,199 .......................... .......................... .......................... .......................0 .......................... ..............102,199 .......................... .......................... .......................0 ...........3,347 02/26/2021.... 1.............

05577@ AH 3 BTMU CAPITAL CORP EQUIPMENT NOTES SER.B... . 02/26/2016. Redemption 100.0000.................... ............................... ................98,360 ................98,360 ................98,360 ................98,360 .......................... .......................... .......................... .......................0 .......................... ................98,360 .......................... .......................... .......................0 ...........3,221 02/26/2021.... 1.............

05577@ AJ 9 BTMU CAPITAL CORP EQUIPMENT NOTES SER.C... . 02/29/2016. Redemption 100.0000.................... ............................... ................33,790 ................33,790 ................33,790 ................33,790 .......................... .......................... .......................... .......................0 .......................... ................33,790 .......................... .......................... .......................0 ...........1,092 02/26/2021.... 1.............

05577@ AK 6 BTMU CAPITAL CORP EQUIPMENT NOTES SER.D... . 02/26/2016. Redemption 100.0000.................... ............................... ................30,929 ................30,929 ................30,929 ................30,929 .......................... .......................... .......................... .......................0 .......................... ................30,929 .......................... .......................... .......................0 ...........1,013 02/26/2021.... 1.............

05577@ AM 2 BTMU CAPITAL CORP EQUIPMENT NOTES SER.E... . 02/29/2016. Redemption 100.0000.................... ............................... ................13,974 ................13,974 ................13,974 ................13,974 .......................... .......................... .......................... .......................0 .......................... ................13,974 .......................... .......................... .......................0 ..............452 02/26/2021.... 1.............

05578X AC 2 BMW VEHICLE OWNER TRUST ABS SER.2013-A C... . 03/25/2016. Paydown.............................................. ............................... ..............589,526 ..............589,526 ..............588,881 ............................ .......................... ...................645 .......................... ...................645 .......................... ..............589,526 .......................... .......................... .......................0 ..............487 11/27/2017.... 1AM.......

05581R AA 4 BMW VEHICLE LEASE TRUST ABS SER.2016-1 C..... . 03/20/2016. Paydown.............................................. ............................... ...........5,612,773 ...........5,612,773 ...........5,612,773 ............................ .......................... .......................... .......................... .......................0 .......................... ...........5,612,773 .......................... .......................... .......................0 ...........3,241 02/21/2017.... 1Z...........

073568 AA 5 BEACON CONTAINER FINANCE LLC ABS SER.201... . 03/20/2016. Paydown.............................................. ............................... ..............249,740 ..............249,740 ..............249,729 ..............249,732 .......................... .......................8 .......................... .......................8 .......................... ..............249,740 .......................... .......................... .......................0 ...........1,525 09/20/2027.... 1AM.......

07383F BX 5 BEAR STEARNS COMM MTGE SEC ABS SER.1999-.. . 03/15/2016. Paydown.............................................. ............................... ..............559,949 ..............559,949 ..............513,534 ..............552,228 .......................... ................7,722 .......................... ................7,722 .......................... ..............559,949 .......................... .......................... .......................0 ...........6,545 05/20/2030.... 1AM.......

07387B FS 7 BEAR STEARNS COMM MTGE SEC ABS ADJ SER.2. . 02/01/2016. Paydown.............................................. ............................... ...........8,043,433 ...........8,043,433 ...........8,304,769 ...........8,034,763 .......................... ................8,670 .......................... ................8,670 .......................... ...........8,043,433 .......................... .......................... .......................0 .........58,476 04/12/2038.... 1FM........

08869# AA 7 BGS CTL PASS-THRU TRUST SER.2009 CHANDLE... . 03/15/2016. Redemption 100.0000.................... ............................... ................34,407 ................34,407 ................34,407 ................34,407 .......................... .......................... .......................... .......................0 .......................... ................34,407 .......................... .......................... .......................0 ..............378 05/15/2034.... 2.............

08869@ AA 9 BGS CTL PASS-THRU TRUST SER.2009 BILLING...... . 03/15/2016. Redemption 100.0000.................... ............................... ..................9,170 ..................9,170 ..................9,170 ..................9,170 .......................... .......................... .......................... .......................0 .......................... ..................9,170 .......................... .......................... .......................0 ..............100 11/15/2032.... 2.............

08870# AA 4 BGS CTL PASS-THRU TRUST SER.2009 ENGLEWO. . 03/15/2016. Redemption 100.0000.................... ............................... ................27,241 ................27,241 ................27,241 ................27,241 .......................... .......................... .......................... .......................0 .......................... ................27,241 .......................... .......................... .......................0 ..............299 05/15/2034.... 2.............

08870* AA 8 BGS CTL PASS-THRU TRUST SER.2009 BEL AIR...... . 03/15/2016. Redemption 100.0000.................... ............................... ................24,987 ................24,987 ................24,987 ................24,987 .......................... .......................... .......................... .......................0 .......................... ................24,987 .......................... .......................... .......................0 ..............275 07/15/2034.... 2.............

08870@ AA 6 BGS CTL PASS-THRU TRUST SER.2009 SANDY O.... . 03/15/2016. Redemption 100.0000.................... ............................... ................34,771 ................34,771 ................34,771 ................34,771 .......................... .......................... .......................... .......................0 .......................... ................34,771 .......................... .......................... .......................0 ..............379 06/15/2032.... 2.............

08871* AA 7 BGS CTL PASS-THRU TRUST SER.2009 CAMP VE.... . 03/15/2016. Redemption 100.0000.................... ............................... ................19,502 ................19,502 ................19,502 ................19,502 .......................... .......................... .......................... .......................0 .......................... ................19,502 .......................... .......................... .......................0 ..............215 09/15/2034.... 2.............

08875# AA 9 BFC CHEVRON FED REC TRUST TRUST CERTIFIC.. . 03/01/2016. Redemption 100.0000.................... ............................... ................95,411 ................95,411 ................95,411 ................95,411 .......................... .......................... .......................... .......................0 .......................... ................95,411 .......................... .......................... .......................0 ..............775 05/01/2027.... 1.............

08882# AA 0 BGS CTL PASS-THRU TRUST CERTS SER.2011 C.... . 03/15/2016. Redemption 100.0000.................... ............................... ................13,690 ................13,690 ................13,690 ................13,690 .......................... .......................... .......................... .......................0 .......................... ................13,690 .......................... .......................... .......................0 ..............118 03/15/2035.... 2.............

08882@ AA 2 BGS CTL PASS-THRU TRUST CERTS SER.2011 E.... . 03/15/2016. Redemption 100.0000.................... ............................... ..................9,840 ..................9,840 ..................9,840 ..................9,840 .......................... .......................... .......................... .......................0 .......................... ..................9,840 .......................... .......................... .......................0 ................86 09/15/2035.... 2.............

08886@ AA 8 BGS CTL PASS-THRU TRUST CERTS SER.2011 S.... . 03/15/2016. Redemption 100.0000.................... ............................... ..................9,910 ..................9,910 ..................9,910 ..................9,910 .......................... .......................... .......................... .......................0 .......................... ..................9,910 .......................... .......................... .......................0 ................86 08/15/2035.... 2.............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.20

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

09774X AV 4 BOMBARDIER CAP MTGE SEC CORP ABS SER.199. . 03/01/2016. Paydown.............................................. ............................... ................85,480 ................85,480 ................85,480 ................85,480 .......................... .......................... .......................... .......................0 .......................... ................85,480 .......................... .......................... .......................0 ..............996 11/15/2025.... 4AM.......

10060@ AB 0 BOSTON CAP CONST TAX CR FD III SECURED G..... . 01/04/2016. Redemption 100.0000.................... ............................... ..............457,799 ..............457,799 ..............350,805 ..............457,632 .......................... ...................167 .......................... ...................167 .......................... ..............457,799 .......................... .......................... .......................0 ...................... 01/04/2016.... 1Z...........

10061# AB 7 BOSTON CAP CONST TCF XXIII-A SECURED GTD.... . 01/05/2016. Redemption 100.0000.................... ............................... ...........1,018,996 ...........1,018,996 ..............752,084 ..............987,254 .......................... ..............31,742 .......................... ..............31,742 .......................... ...........1,018,996 .......................... .......................... .......................0 ...................... 01/03/2018.... 1.............

12189P AE 2 BNSF RAILWAY COMPANY LLC PASS THRU CERTS . 01/02/2016. Paydown.............................................. ............................... ..............367,406 ..............367,406 ..............367,406 ..............367,417 .......................... ....................(11) .......................... ....................(11) .......................... ..............367,406 .......................... .......................... .......................0 .........13,153 01/02/2020.... 1FE........

12489W JQ 8 CREDIT-BASED ASSET SERVICING ABS SER.200..... . 03/01/2016. Paydown.............................................. ............................... ..............454,777 ..............454,777 ..............448,301 ..............451,507 .......................... ................3,270 .......................... ................3,270 .......................... ..............454,777 .......................... .......................... .......................0 ...........3,432 05/25/2035.... 1FM........

12537# AA 1 800 LONG RIDGE LLC CGA SER.2009-CTL-4 CE........ . 03/10/2016. Redemption 100.0000.................... ............................... ..............181,161 ..............181,161 ..............181,161 ..............181,161 .......................... .......................... .......................... .......................0 .......................... ..............181,161 .......................... .......................... .......................0 ...........1,709 12/10/2023.... 1.............

12540@ AA 8 CGA CAPITAL CREDIT LEASE TRUST PASS THRU... . 03/10/2016. Redemption 100.0000.................... ............................... ................50,793 ................50,793 ................50,793 ................50,793 .......................... .......................... .......................... .......................0 .......................... ................50,793 .......................... .......................... .......................0 ..............398 07/10/2040.... 2.............

12558M AF 9 CIT GROUP HOME EQUITY LOAN TR ABS SER.20.... . 03/01/2016. Paydown.............................................. ............................... ................13,274 ................13,274 ................13,271 ................13,515 .......................... ..................(241) .......................... ..................(241) .......................... ................13,274 .......................... .......................... .......................0 ..............160 02/25/2033.... 1FM........

12558M BL 5 CIT GROUP HOME EQUITY LOAN TR ABS STEP S.... . 03/01/2016. Paydown.............................................. ............................... ..............222,261 ..............222,261 ..............221,544 ..............221,701 .......................... ...................560 .......................... ...................560 .......................... ..............222,261 .......................... .......................... .......................0 ...........1,396 10/20/2032.... 1FM........

125634 AG 0 CLI FUNDING LLC ABS SER.2013 CL.1A 2.8............. . 03/18/2016. Paydown.............................................. ............................... ..............425,000 ..............425,000 ..............424,937 ..............424,833 .......................... ...................167 .......................... ...................167 .......................... ..............425,000 .......................... .......................... .......................0 ...........2,005 03/18/2028.... 1AM.......

125925 EL 7 CMC SECURITIES CORP IV CMO SER.1997-2 CL...... . 03/01/2016. Paydown.............................................. ............................... ................12,282 ................12,282 ................12,414 ................12,228 .......................... .....................54 .......................... .....................54 .......................... ................12,282 .......................... .......................... .......................0 ..............127 11/25/2027.... 1FM........

12644@ AM 7 CTL LEASE TRUST NOTES SER.2001-1 7.230.......... . 03/15/2016. Redemption 100.0000.................... ............................... ................27,166 ................27,166 ................27,166 ................27,166 .......................... .......................... .......................... .......................0 .......................... ................27,166 .......................... .......................... .......................0 ..............328 01/15/2027.... 1.............

12644@ BN 4 CTL 2002-17 TRUST BONDS 6.531% 01/20/2............ . 03/20/2016. Redemption 100.0000.................... ............................... ................31,426 ................31,426 ................31,426 ................31,426 .......................... .......................... .......................... .......................0 .......................... ................31,426 .......................... .......................... .......................0 ..............343 01/20/2022.... 2.............

12644@ BP 9 CTL 2001-22 TRUST GTD BONDS 6.151% 01/.......... . 03/15/2016. Redemption 100.0000.................... ............................... ................42,274 ................42,274 ................42,274 ................42,274 .......................... .......................... .......................... .......................0 .......................... ................42,274 .......................... .......................... .......................0 ..............434 01/15/2023.... 2.............

126502 E* 0 CTS HOME EQUITY LOAN TRUST ABS SR CERTS.... . 02/01/2016. Paydown.............................................. ............................... ..................3,096 ..................3,096 ..................3,095 ..................3,092 .......................... .......................4 .......................... .......................4 .......................... ..................3,096 .......................... .......................... .......................0 ................20 10/25/2025.... 4.............

126650 BP 4 CVS CAREMARK CORP GLOBAL PASS THRU CERTS . 03/10/2016. Redemption 100.0000.................... ............................... ..............100,239 ..............100,239 ..............105,395 ..............104,312 .......................... ...............(4,073) .......................... ...............(4,073) .......................... ..............100,239 .......................... .......................... .......................0 ...........1,010 12/10/2028.... 2FE........

126650 BQ 2 CVS CAREMARK CORP GLOBAL PASS THRU CERTS . 03/10/2016. Redemption 100.0000.................... ............................... ................94,976 ................94,976 ................94,811 ................95,082 .......................... ..................(106) .......................... ..................(106) .......................... ................94,976 .......................... .......................... .......................0 ...........1,101 01/10/2030.... 2FE........

12666T AF 3 COUNTRYWIDE ASSET BACKED CERTS ABS GTD S . 03/01/2016. Paydown.............................................. ............................... ..............407,421 ..............435,146 ..............255,169 ..............281,218 .......................... ............126,203 .......................... ............126,203 .......................... ..............407,421 .......................... .......................... .......................0 ...........3,266 09/25/2046.... 1FM........

126670 PA 0 COUNTRYWIDE ASSET BACKED CERTS ABS GTD S . 03/01/2016. Paydown.............................................. ............................... ..............141,554 ..............154,409 ..............108,040 ..............103,025 .......................... ..............38,529 .......................... ..............38,529 .......................... ..............141,554 .......................... .......................... .......................0 ...........1,155 05/25/2036.... 1FM........

126673 DP 4 COUNTRYWIDE ASSET BACKED CERTS ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ................89,103 ................89,103 ................87,775 ................88,649 .......................... ...................454 .......................... ...................454 .......................... ................89,103 .......................... .......................... .......................0 ..............634 12/25/2034.... 1FM........

126673 JB 9 COUNTRYWIDE ASSET BACKED CERTS ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ..............382,410 ..............382,410 ..............370,722 ..............379,400 .......................... ................3,011 .......................... ................3,011 .......................... ..............382,410 .......................... .......................... .......................0 ...........2,559 12/25/2034.... 1FM........

126683 AC 5 COUNTRYWIDE ASSET BACKED CERTS ABS GTD S . 03/01/2016. Paydown.............................................. ............................... ..............385,541 ..............385,322 ..............136,552 ..................8,141 .......................... ............377,401 .......................... ............377,401 .......................... ..............385,541 .......................... .......................... .......................0 ...........3,849 06/25/2035.... 1FM........

126683 AF 8 COUNTRYWIDE ASSET BACKED CERTS ABS GTD S . 03/01/2016. Paydown.............................................. ............................... ..............222,216 ..............221,941 ................96,034 ..................2,319 .......................... ............219,897 .......................... ............219,897 .......................... ..............222,216 .......................... .......................... .......................0 ...........2,184 06/25/2035.... 1FM........

126683 AF 8 COUNTRYWIDE ASSET BACKED CERTS ABS GTD S . 01/01/2016. Redemption 100.0000.................... ............................... ............................ ............................ ............................ ............................ .......................... .......................... .......................... .......................0 .......................... ............................ .......................... .......................... .......................0 ...................... 06/25/2035.... 1FM........

126684 AC 3 COUNTRYWIDE ASSET BACKED CERTS ABS GTD S . 03/01/2016. Paydown.............................................. ............................... ..............437,266 ..............481,579 ..............246,039 ..............184,788 .......................... ............252,478 .......................... ............252,478 .......................... ..............437,266 .......................... .......................... .......................0 ...........4,602 03/25/2034.... 1FM........

126684 AF 6 COUNTRYWIDE ASSET BACKED CERTS ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ..............672,218 ..............730,069 ..............387,666 ..............252,318 .......................... ............419,900 .......................... ............419,900 .......................... ..............672,218 .......................... .......................... .......................0 ...........6,868 03/25/2034.... 1FM........

126685 DZ 6 COUNTRYWIDE HOME EQ LOAN TRUST ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ..............133,186 ..............132,676 ................58,709 ..................1,665 .......................... ............131,521 .......................... ............131,521 .......................... ..............133,186 .......................... .......................... .......................0 ...........1,251 07/25/2027.... 1FM........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.21

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

12668G AC 6 COUNTRYWIDE ASSET BACKED CERTS ABS GTD S . 03/01/2016. Paydown.............................................. ............................... ..............485,467 ..............485,467 ..............458,899 ..............478,104 .......................... ................7,363 .......................... ................7,363 .......................... ..............485,467 .......................... .......................... .......................0 ...........4,524 08/25/2036.... 1FM........

12668W AU 1 COUNTRYWIDE ASSET BACKED CERTS ABS ADJ S . 03/01/2016. Paydown.............................................. ............................... ..............309,453 ..............309,453 ..............309,440 ..............309,934 .......................... ..................(481) .......................... ..................(481) .......................... ..............309,453 .......................... .......................... .......................0 ...........2,705 09/25/2037.... 5FM........

12668X AE 5 COUNTRYWIDE ASSET BACKED CERTS ABS ADJ S . 03/01/2016. Paydown.............................................. ............................... ................68,184 ................68,184 ................68,183 ................68,155 .......................... .....................30 .......................... .....................30 .......................... ................68,184 .......................... .......................... .......................0 ..............623 04/25/2036.... 2FM........

12668X AF 2 COUNTRYWIDE ASSET BACKED CERTS ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ..............287,045 ..............287,045 ..............281,374 ..............284,502 .......................... ................2,542 .......................... ................2,542 .......................... ..............287,045 .......................... .......................... .......................0 ...........2,519 04/25/2036.... 1FM........

12669D BR 8 COUNTRYWIDE HOME LOANS CMO SER.2002-19 C. . 03/01/2016. Paydown.............................................. ............................... ..............121,397 ..............121,397 ..............124,242 ..............121,042 .......................... ...................355 .......................... ...................355 .......................... ..............121,397 .......................... .......................... .......................0 ...........1,105 11/25/2017.... 1FM........

12669F 5W 9 COUNTRYWIDE HOME LOANS CMO SER.2004-J7 C. . 03/01/2016. Paydown.............................................. ............................... ..............325,018 ..............325,018 ..............324,764 ..............323,845 .......................... ................1,173 .......................... ................1,173 .......................... ..............325,018 .......................... .......................... .......................0 ...........1,612 08/25/2034.... 1FM........

12669F RQ 8 COUNTRYWIDE HOME LOANS CMO SER.2004-4 CL. . 03/01/2016. Paydown.............................................. ............................... ..............291,186 ..............291,186 ..............290,112 ..............290,159 .......................... ................1,027 .......................... ................1,027 .......................... ..............291,186 .......................... .......................... .......................0 ...........3,210 05/25/2034.... 1FM........

12669F Y8 0 COUNTRYWIDE HOME LOANS CMO SER.2004-J6 C. . 03/01/2016. Paydown.............................................. ............................... ................64,739 ................64,739 ................61,401 ................64,324 .......................... ...................415 .......................... ...................415 .......................... ................64,739 .......................... .......................... .......................0 ..............567 08/25/2024.... 1FM........

12669G DW 8 COUNTRYWIDE HOME LOANS CMO SER.2004-J8 C. . 03/01/2016. Paydown.............................................. ............................... ..............239,070 ..............239,070 ..............244,225 ..............238,316 .......................... ...................754 .......................... ...................754 .......................... ..............239,070 .......................... .......................... .......................0 ...........2,219 12/25/2034.... 1FM........

12672# AA 6 CVS LEASE-BACKED PT PRIV PL TR PASS-THRO.... . 03/10/2016. Redemption 100.0000.................... ............................... ................90,440 ................90,440 ................90,440 ................90,440 .......................... .......................... .......................... .......................0 .......................... ................90,440 .......................... .......................... .......................0 ..............710 09/10/2034.... 2.............

12806* AH 4 CAITHNESS LONG ISLAND LLC SENIOR SECURED.. . 01/15/2016. Redemption 100.0000.................... ............................... ..............180,844 ..............180,844 ..............133,903 ..............145,350 .......................... ..............35,494 .......................... ..............35,494 .......................... ..............180,844 .......................... .......................... .......................0 ...........5,163 01/15/2032.... 2FE........

140274 AA 9 CAPLEASE CDO ABS SER.2005-1A CL.A 4.92.......... . 01/29/2016. Paydown.............................................. ............................... ..............192,277 ..............192,277 ..............192,012 ..............192,197 .......................... .....................80 .......................... .....................80 .......................... ..............192,277 .......................... .......................... .......................0 ...........2,368 01/29/2040.... 1AM.......

140689 AA 8 CAPMARK MILITARY HSG TR XXXIII ABS GTD S....... . 03/10/2016. Paydown.............................................. ............................... ................15,811 ................15,811 ................15,626 ................15,647 .......................... ...................163 .......................... ...................163 .......................... ................15,811 .......................... .......................... .......................0 ..............159 09/10/2052.... 1.............

14313M AC 8 CARMAX AUTO OWNER TRUST ABS SER.2013-2 C.. . 03/15/2016. Paydown.............................................. ............................... ..............165,997 ..............165,997 ..............165,828 ............................ .......................... ...................169 .......................... ...................169 .......................... ..............165,997 .......................... .......................... .......................0 ..............134 01/16/2018.... 1AM.......

14313U AB 2 CARMAX AUTO OWNER TRUST ABS SER.2014-4 C.. . 03/15/2016. Paydown.............................................. ............................... ..............376,126 ..............376,126 ..............375,847 ............................ .......................... ...................279 .......................... ...................279 .......................... ..............376,126 .......................... .......................... .......................0 ..............318 02/15/2018.... 1AM.......

14313U AH 9 CARMAX AUTO OWNER TRUST ABS FLOAT SER.20 . 03/15/2016. Paydown.............................................. ............................... ..............394,804 ..............394,804 ..............394,711 ............................ .......................... .....................93 .......................... .....................93 .......................... ..............394,804 .......................... .......................... .......................0 ..............354 02/15/2018.... 1AM.......

14313W AB 8 CARMAX AUTO OWNER TRUST ABS SER.2015-1 C.. . 03/15/2016. Paydown.............................................. ............................... ...........3,533,667 ...........3,533,667 ...........3,533,805 ............................ .......................... ..................(138) .......................... ..................(138) .......................... ...........3,533,667 .......................... .......................... .......................0 ...........3,893 03/15/2018.... 1AM.......

14313Y AA 6 CARMAX AUTO OWNER TRUST ABS SER.2016-1 C.. . 03/15/2016. Paydown.............................................. ............................... ...........6,258,728 ...........6,258,728 ...........6,258,728 ............................ .......................... .......................... .......................... .......................0 .......................... ...........6,258,728 .......................... .......................... .......................0 ...........3,083 02/15/2017.... 1AM.......

152314 DP 2 CENTEX HOME EQUITY ABS ADJ SER.2001-B CL..... . 03/01/2016. Paydown.............................................. ............................... ................64,840 ................64,840 ................64,834 ................65,307 .......................... ..................(467) .......................... ..................(467) .......................... ................64,840 .......................... .......................... .......................0 ...........1,000 07/25/2032.... 3FM........

152314 EJ 5 CENTEX HOME EQUITY ABS SER.2002-A CL.AF4..... . 03/01/2016. Paydown.............................................. ............................... ................87,162 ................87,162 ................87,586 ................87,161 .......................... .......................1 .......................... .......................1 .......................... ................87,162 .......................... .......................... .......................0 ..............661 08/25/2030.... 1FM........

152314 KK 5 CENTEX HOME EQUITY ABS SER.2004-C CL.AF6..... . 03/01/2016. Paydown.............................................. ............................... ..............202,610 ..............202,610 ..............193,967 ..............201,473 .......................... ................1,137 .......................... ................1,137 .......................... ..............202,610 .......................... .......................... .......................0 ...........1,830 06/25/2034.... 1FM........

15722# AA 9 CGA LEASE-BKD PASS-THRU TRUST PASS-THRU... . 03/10/2016. Redemption 100.0000.................... ............................... ..................3,061 ..................3,061 ..................3,061 ..................3,061 .......................... .......................... .......................... .......................0 .......................... ..................3,061 .......................... .......................... .......................0 ................29 01/10/2041.... 1.............

15722* AA 3 CGA LEASE-BKD PASS-THRU TRUST PASS-THRU... . 03/10/2016. Redemption 100.0000.................... ............................... ................45,351 ................45,351 ................45,351 ................45,351 .......................... .......................... .......................... .......................0 .......................... ................45,351 .......................... .......................... .......................0 ..............444 01/10/2041.... 1.............

157507 AC 8 CHALET NAVY PROPERTIES LP GTD SENIOR SEC.. . 03/15/2016. Redemption 100.0000.................... ............................... ..............120,277 ..............120,277 ..............120,277 ..............120,277 .......................... .......................... .......................... .......................0 .......................... ..............120,277 .......................... .......................... .......................0 ...........4,536 03/15/2024.... 1FE........

16162W JP 5 CHASE MORTGAGE FINANCE CORP CMO SER.2004 . 03/01/2016. Paydown.............................................. ............................... ...........6,642,472 ...........6,642,472 ...........6,473,297 ...........6,616,050 .......................... ..............26,423 .......................... ..............26,423 .......................... ...........6,642,472 .......................... .......................... .......................0 .........85,955 05/25/2034.... 1FM........

172973 2M 0 CITICORP MTGE SECURITIES INC CMO SER.200..... . 03/01/2016. Paydown.............................................. ............................... ..............502,309 ..............502,309 ..............505,605 ..............500,746 .......................... ................1,562 .......................... ................1,562 .......................... ..............502,309 .......................... .......................... .......................0 ...........6,403 09/25/2035.... 1FM........

172973 3G 2 CITICORP MTGE SECURITIES INC CMO SER.200..... . 03/01/2016. Paydown.............................................. ............................... ..............432,174 ..............432,174 ..............427,701 ..............430,527 .......................... ................1,647 .......................... ................1,647 .......................... ..............432,174 .......................... .......................... .......................0 ...........3,349 10/25/2035.... 1FM........

172973 S9 1 CITICORP MTGE SECURITIES INC CMO SER.200..... . 03/01/2016. Paydown.............................................. ............................... ..............666,829 ..............666,829 ..............654,549 ..............664,150 .......................... ................2,680 .......................... ................2,680 .......................... ..............666,829 .......................... .......................... .......................0 ...........6,128 04/25/2035.... 1FM........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.22

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

172973 Z3 6 CITICORP MTGE SECURITIES INC CMO SER.200..... . 03/01/2016. Paydown.............................................. ............................... ...........1,608,526 ...........1,608,526 ...........1,607,270 ...........1,602,740 .......................... ................5,786 .......................... ................5,786 .......................... ...........1,608,526 .......................... .......................... .......................0 .........12,576 08/25/2035.... 1FM........

17305E DY 8 CITIBANK CREDIT CARD ISSUANCE ABS SER.20...... . 01/15/2016. DEUTSCHE BANK SECURITIES INC. ............................... .........21,417,188 .........20,000,000 .........20,539,063 .........20,131,272 .......................... ...............(3,929) .......................... ...............(3,929) .......................... .........20,127,343 .......................... .........1,289,845 .........1,289,845 .......379,806 09/20/2019.... 1AM.......

17306U CE 6 CITIFINANCIAL MORTGAGE SEC INC ABS SER.2...... . 03/01/2016. Paydown.............................................. ............................... ..............285,982 ..............285,982 ..............277,505 ..............282,416 .......................... ................3,566 .......................... ................3,566 .......................... ..............285,982 .......................... .......................... .......................0 ...........1,929 04/25/2034.... 1FM........

17309N AF 8 CITICORP RESIDENTIAL MTGE SEC ABS SER.20..... . 03/01/2016. Paydown.............................................. ............................... ...........1,017,936 ...........1,017,936 ..............989,434 ..............973,016 .......................... ..............44,920 .......................... ..............44,920 .......................... ...........1,017,936 .......................... .......................... .......................0 ...........8,683 07/25/2036.... 1FM........

17310E AF 5 CITICORP RESIDENTIAL MTGE SEC ABS SER.20..... . 03/01/2016. Paydown.............................................. ............................... ...........1,102,376 ...........1,102,376 ...........1,102,288 ...........1,098,829 .......................... ................3,547 .......................... ................3,547 .......................... ...........1,102,376 .......................... .......................... .......................0 .........10,805 09/25/2036.... 1FM........

17310N AF 5 CITICORP RESIDENTIAL MTGE SEC ABS SER.20..... . 03/01/2016. Paydown.............................................. ............................... ..............680,115 ..............680,115 ..............680,101 ..............677,992 .......................... ................2,123 .......................... ................2,123 .......................... ..............680,115 .......................... .......................... .......................0 ...........6,542 11/25/2036.... 1FM........

17320Q AA 7 CITIGROUP COMMERCIAL MTGE TR ABS SER.201.. . 02/11/2016. MERRILL LYNCH PFS........................ ............................... .........23,827,125 .........23,200,000 .........23,423,281 .........23,385,237 .......................... ...............(3,158) .......................... ...............(3,158) .......................... .........23,382,080 .......................... ............445,045 ............445,045 .......159,227 05/10/2035.... 1FM........

18469Q B* 8 CLEARBRIDGE ENERGY MLP TOTAL SENIOR SECU . 02/24/2016. Call 102.0000................................. ............................... ...........3,029,703 ...........2,970,297 ...........2,970,297 ...........2,970,297 .......................... ..............59,406 .......................... ..............59,406 .......................... ...........3,029,703 .......................... .......................... .......................0 .........47,807 08/26/2022.... 1FE........

20846Q JJ 8 CONSECO FINANCE ABS SER.2002-A CL.A5 7........ . 02/15/2016. Paydown.............................................. ............................... ..............100,203 ..............100,203 ..............104,196 ..............100,345 .......................... ..................(141) .......................... ..................(141) .......................... ..............100,203 .......................... .......................... .......................0 ..............818 04/15/2032.... 1FM........

20847T BQ 3 CONSECO FINANCE ABS SER.2002-B CL.A3 0........ . 03/15/2016. Paydown.............................................. ............................... ..............239,954 ..............239,954 ..............239,943 ..............240,106 .......................... ..................(153) .......................... ..................(153) .......................... ..............239,954 .......................... .......................... .......................0 ...........2,608 05/15/2033.... 1FM........

21075W EC 5 CONTIMORTGAGE HEL TRUST ABS ADJ SER.1997.. . 03/01/2016. Paydown.............................................. ............................... ................27,150 ................27,150 ................27,133 ................26,291 .......................... ...................859 .......................... ...................859 .......................... ................27,150 .......................... .......................... .......................0 ..............222 03/15/2028.... 1FM........

21686@ AD 7 COOPERS & LYBRAND LLP SENIOR NOTES SER.D.. . 03/18/2016. Redemption 100.0000.................... ............................... ..............818,182 ..............818,182 ..............822,218 ..............819,443 .......................... ...............(1,261) .......................... ...............(1,261) .......................... ..............818,182 .......................... .......................... .......................0 .........30,232 03/18/2022.... 1.............

22541Q VG 4 CS FIRST BOSTON MTG SEC CORP CMO SER.200.. . 03/01/2016. Paydown.............................................. ............................... ..............108,667 ..............108,667 ..............108,123 ..............108,254 .......................... ...................412 .......................... ...................412 .......................... ..............108,667 .......................... .......................... .......................0 ...........1,153 10/25/2033.... 1FM........

225458 LH 9 CS FIRST BOSTON MTG SEC CORP CMO SER.200.. . 03/01/2016. Paydown.............................................. ............................... ..............116,703 ..............116,703 ..............117,979 ..............116,521 .......................... ...................181 .......................... ...................181 .......................... ..............116,703 .......................... .......................... .......................0 ...........1,480 07/25/2035.... 1FM........

23242E AF 6 COUNTRYWIDE ASSET BACKED CERTS ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ..............141,260 ..............169,187 ................99,195 ..............107,450 .......................... ..............33,810 .......................... ..............33,810 .......................... ..............141,260 .......................... .......................... .......................0 ...........1,226 05/25/2050.... 1FM........

23242J AQ 1 COUNTRYWIDE HOME EQ LOAN TRUST ABS GTD S . 03/15/2016. Paydown.............................................. ............................... ..............240,196 ..............240,196 ..............237,269 ..............237,868 .......................... ................2,329 .......................... ................2,329 .......................... ..............240,196 .......................... .......................... .......................0 ..............396 08/15/2037.... 1FM........

23242M AD 3 COUNTRYWIDE ASSET BACKED CERTS ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ............................ .................(7,954) .................(2,213) .................(1,202) .......................... ................1,202 .......................... ................1,202 .......................... ............................ .......................... .......................... .......................0 ................34 02/25/2041.... 1FM........

23242M AE 1 COUNTRYWIDE ASSET BACKED CERTS ABS GTD S . 03/01/2016. Paydown.............................................. ............................... ................47,133 ................46,658 ................21,906 .....................572 .......................... ..............46,561 .......................... ..............46,561 .......................... ................47,133 .......................... .......................... .......................0 ..............423 06/25/2021.... 1FM........

23243N AJ 7 COUNTRYWIDE ASSET BACKED CERTS ABS GTD S . 03/01/2016. Paydown.............................................. ............................... ..............778,410 ..............874,897 ..............405,602 ..............271,341 .......................... ............507,069 .......................... ............507,069 .......................... ..............778,410 .......................... .......................... .......................0 ...........7,885 07/25/2034.... 1FM........

24780* AA 4 DELTA TOWNSHIP UTIL II, LLC SENIOR SECUR........ . 03/10/2016. Redemption 100.0000.................... ............................... ..............181,377 ..............181,377 ................54,413 ................84,902 .......................... ..............96,475 .......................... ..............96,475 .......................... ..............181,377 .......................... .......................... .......................0 ...........4,119 11/10/2020.... 2.............

24966@ AC 4 DEPOSITORY TR & CLEARING CORP SENIOR NOT. . 03/28/2016. Redemption 100.0000.................... ............................... ..............325,000 ..............325,000 ..............325,000 ..............325,000 .......................... .......................... .......................... .......................0 .......................... ..............325,000 .......................... .......................... .......................0 ...........6,386 09/28/2032.... 1.............

26884A AX 1 ERP OPERATING LP SENIOR UNSECURED NOTES.. . 02/01/2016. TENDER OFFER................................. ............................... ...........7,137,539 ...........6,718,000 ...........7,546,800 ...........6,949,357 .......................... .............(12,958) .......................... .............(12,958) .......................... ...........6,936,400 .......................... ............201,139 ............201,139 .......210,311 06/15/2017.... 2FE........

28500# AB 8 ELEC RELIABILITY COUNCIL TX SENIOR NOTES...... . 03/30/2016. Redemption 100.0000.................... ............................... ..............375,000 ..............375,000 ..............375,000 ..............375,000 .......................... .......................... .......................... .......................0 .......................... ..............375,000 .......................... .......................... .......................0 ...........2,813 09/30/2032.... 1.............

28618W AA 2 ELEMENT RAIL LEASING I LLC ABS SER.2014-......... . 03/19/2016. Paydown.............................................. ............................... ..............199,952 ..............199,952 ..............199,952 ..............199,952 .......................... .......................... .......................... .......................0 .......................... ..............199,952 .......................... .......................... .......................0 ..............738 04/19/2044.... 1AM.......

28618X AA 0 ELEMENT RAIL LEASING I LLC ABS SER.2015-......... . 03/19/2016. Paydown.............................................. ............................... ..............551,295 ..............551,295 ..............551,295 ..............551,295 .......................... .......................... .......................... .......................0 .......................... ..............551,295 .......................... .......................... .......................0 ...........2,487 02/19/2045.... 1AM.......

28932M AA 3 ELM RD GEN STATION SENIOR SECURED NOTES... . 02/11/2016. Redemption 100.0000.................... ............................... ................99,137 ................99,137 ................99,137 ................99,137 .......................... .......................... .......................... .......................0 .......................... ................99,137 .......................... .......................... .......................0 ...........2,582 02/11/2030.... 1FE........

28932M AG 0 ELM RD GEN STATION SENIOR SECURED NOTES... . 01/19/2016. Redemption 100.0000.................... ............................... ................64,859 ................64,859 ................64,859 ................64,859 .......................... .......................... .......................... .......................0 .......................... ................64,859 .......................... .......................... .......................0 ...........1,515 01/19/2031.... 1FE........

29372E BB 3 ENTERPRISE FLEET FINANCING LLC ABS SER.2..... . 03/20/2016. Paydown.............................................. ............................... ..............575,862 ..............575,862 ..............574,153 ............................ .......................... ................1,710 .......................... ................1,710 .......................... ..............575,862 .......................... .......................... .......................0 ..............642 09/20/2019.... 1AM.......

29372E BN 7 ENTERPRISE FLEET FINANCING LLC ABS SER.2..... . 03/20/2016. Paydown.............................................. ............................... ...........6,660,397 ...........6,660,397 ...........6,660,397 ............................ .......................... .......................... .......................... .......................0 .......................... ...........6,660,397 .......................... .......................... .......................0 ...........4,884 02/20/2017.... ??...........

30251T AA 7 FNBC PASS THRU TRUST SER.93-A 8.080% 0........ . 01/05/2016. Redemption 100.0000.................... ............................... ...........1,014,415 ...........1,014,415 ...........1,164,153 ...........1,045,471 .......................... .............(31,055) .......................... .............(31,055) .......................... ...........1,014,415 .......................... .......................... .......................0 .........40,982 01/05/2018.... 1FE........

30280@ AA 4 FR ENCLAVE SPV LP CTL SR SEC NOTES 5.1......... . 01/07/2016. Redemption 100.0000.................... ............................... ................45,819 ................45,819 ................45,819 ................45,819 .......................... .......................... .......................... .......................0 .......................... ................45,819 .......................... .......................... .......................0 ..............595 09/30/2033.... 2.............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.23

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

313305 AA 2 FEDERAL EXPRESS CORP PASS THRU CERTS SER . 01/15/2016. Redemption 100.0000.................... ............................... ...........3,739,131 ...........3,739,131 ...........3,748,479 ...........3,741,373 .......................... ...............(2,242) .......................... ...............(2,242) .......................... ...........3,739,131 .......................... .......................... .......................0 .........49,076 01/15/2018.... 2FE........

31331F AX 9 FEDERAL EXPRESS CORP PASS THRU CERTS SER . 01/15/2016. Paydown.............................................. ............................... ..............229,593 ..............229,593 ..............215,817 ..............224,569 .......................... ................5,024 .......................... ................5,024 .......................... ..............229,593 .......................... .......................... .......................0 ...........7,714 07/15/2023.... 2FE........

31331F BB 6 FEDERAL EXPRESS CORP PASS THRU CERTS SER . 01/15/2016. Paydown.............................................. ............................... ...........1,287,634 ...........1,287,634 ...........1,325,844 ...........1,296,546 .......................... ...............(8,912) .......................... ...............(8,912) .......................... ...........1,287,634 .......................... .......................... .......................0 .........50,862 01/15/2020.... 2FE........

31679J AC 7 FIFTH THIRD AUTO TRUST ABS SER.2014-1 CL........ . 03/12/2016. Paydown.............................................. ............................... ..............346,140 ..............346,140 ..............345,693 ............................ .......................... ...................446 .......................... ...................446 .......................... ..............346,140 .......................... .......................... .......................0 ..............297 04/16/2018.... 1AM.......

31846L AY 2 FIRST ALLIANCE MTGE TRUST ABS SR CERTS S..... . 03/01/2016. Paydown.............................................. ............................... ..................1,290 ..................1,290 ..................1,290 ..................1,290 .......................... .......................... .......................... .......................0 .......................... ..................1,290 .......................... .......................... .......................0 ................16 06/20/2027.... 1FM........

31846L BE 5 FIRST ALLIANCE MTGE TRUST ABS GTD CERTS..... . 03/01/2016. Paydown.............................................. ............................... ..................1,454 ..................1,454 ..................1,451 ..................1,457 .......................... ......................(3) .......................... ......................(3) .......................... ..................1,454 .......................... .......................... .......................0 ................21 12/20/2027.... 1FM........

32051G QZ 1 FIRST HORIZON MTG PASS THRU TR CMO SER.2... . 03/01/2016. Paydown.............................................. ............................... ..............311,485 ..............311,485 ..............307,719 ..............310,263 .......................... ................1,223 .......................... ................1,223 .......................... ..............311,485 .......................... .......................... .......................0 ...........2,095 08/25/2035.... 1FM........

33632* US 4 FIRST SECURITY BANK NA SECURED NOTES 6..... . 02/22/2016. Call 113.1991................................. ............................... ...........3,342,829 ...........2,953,052 ...........3,063,289 ...........3,010,117 .......................... ............332,712 .......................... ............332,712 .......................... ...........3,342,829 .......................... .......................... .......................0 .......101,142 02/21/2019.... 2.............

33848J AD 7 FLAGSTAR HOME EQUITY LOAN TR ABS SER.200... . 03/01/2016. Paydown.............................................. ............................... ...........1,437,329 ...........1,437,329 ...........1,437,319 ...........1,433,997 .......................... ................3,331 .......................... ................3,331 .......................... ...........1,437,329 .......................... .......................... .......................0 .........13,461 01/25/2035.... 3FM........

34529W AD 2 FORDO ABS SER.2012-B CL.A4 1.000% 09/1........... . 03/15/2016. Paydown.............................................. ............................... ..............735,857 ..............735,857 ..............735,972 ............................ .......................... ..................(115) .......................... ..................(115) .......................... ..............735,857 .......................... .......................... .......................0 ..............930 09/15/2017.... 1AM.......

34529Y AC 0 FORD CREDIT AUTO OWNER TRUST ABS SER.201.. . 03/15/2016. Paydown.............................................. ............................... ...........5,015,728 ...........5,015,728 ...........5,014,944 ............................ .......................... ...................784 .......................... ...................784 .......................... ...........5,015,728 .......................... .......................... .......................0 ...........4,965 11/15/2017.... 1AM.......

34531P AA 9 FORD CREDIT AUTO OWNER TRUST ABS SER.201.. . 03/15/2016. Paydown.............................................. ............................... ...........4,532,233 ...........4,532,233 ...........4,532,233 ............................ .......................... .......................... .......................... .......................0 .......................... ...........4,532,233 .......................... .......................... .......................0 ...........2,943 02/15/2017.... 1AM.......

361856 DX 2 GMAC MORTGAGE CORP LOAN TRUST ABS SER.20 . 03/01/2016. Paydown.............................................. ............................... ................95,970 ................95,970 ................95,970 ................95,970 .......................... .......................... .......................... .......................0 .......................... ................95,970 .......................... .......................... .......................0 ..............958 09/25/2034.... 1FM........

361856 DY 0 GMAC MORTGAGE CORP LOAN TRUST ABS SER.20 . 03/01/2016. Paydown.............................................. ............................... ................40,363 ................40,363 ................40,363 ................40,363 .......................... .......................... .......................... .......................0 .......................... ................40,363 .......................... .......................... .......................0 ..............370 09/25/2034.... 1FM........

36185H EB 5 GMAC MORTGAGE CORP LOAN TRUST ABS SER.20 . 03/01/2016. Paydown.............................................. ............................... ................91,920 ................91,920 ................91,890 ................91,685 .......................... ...................235 .......................... ...................235 .......................... ................91,920 .......................... .......................... .......................0 ..............691 07/25/2035.... 1AM.......

36186K AC 9GMAC MORTGAGE CORP LOAN TRUST ABS GTDSE . 03/01/2016. Paydown.............................................. ............................... ..............982,231 ..............982,231 ..............982,221 ..............978,889 .......................... ................3,342 .......................... ................3,342 .......................... ..............982,231 .......................... .......................... .......................0 .........10,343 08/25/2037.... 1FM........

36186K AE 5 GMAC MORTGAGE CORP LOAN TRUST ABS SER.20 . 03/01/2016. Paydown.............................................. ............................... ..............180,985 ..............180,985 ..............180,982 ..............180,446 .......................... ...................539 .......................... ...................539 .......................... ..............180,985 .......................... .......................... .......................0 ...........1,728 08/25/2037.... 1FM........

36186L AC 7 GMAC MORTGAGE CORP LOAN TRUST ABS SER.20 . 03/01/2016. Paydown.............................................. ............................... ..............250,016 ..............265,152 ..............133,955 ..............113,299 .......................... ............136,717 .......................... ............136,717 .......................... ..............250,016 .......................... .......................... .......................0 ...........2,655 12/25/2037.... 1FM........

36186L AE 3GMAC MORTGAGE CORP LOAN TRUST ABS GTDSE . 03/01/2016. Paydown.............................................. ............................... ..............171,858 ..............182,263 ................93,737 ................79,727 .......................... ..............92,131 .......................... ..............92,131 .......................... ..............171,858 .......................... .......................... .......................0 ...........1,931 12/25/2037.... 1FM........

36192H AA 2 GS MORTGAGE SECURITIES TRUST ABS SER.201.. . 02/04/2016. MERRILL LYNCH PFS........................ ............................... .........13,734,166 .........13,086,000 .........13,467,526 .........13,398,587 .......................... ...............(4,936) .......................... ...............(4,936) .......................... .........13,393,651 .......................... ............340,515 ............340,515 .........87,774 04/10/2034.... 1FM........

36219* AA 9 GPI TAX CREDITS LLC SECURED TAX CREDIT N..... . 01/05/2016. Redemption 100.0000.................... ............................... ..............188,716 ..............188,716 ..............147,746 ..............188,631 .......................... .....................85 .......................... .....................85 .......................... ..............188,716 .......................... .......................... .......................0 ...................... 01/05/2016.... 1Z...........

36220* AA 6 GPI TAX CREDITS LLC SECURED TAX CREDIT N..... . 01/04/2016. Redemption 100.0000.................... ............................... ..............850,772 ..............850,772 ..............621,467 ..............850,403 .......................... ...................369 .......................... ...................369 .......................... ..............850,772 .......................... .......................... .......................0 ...................... 01/04/2016.... 1Z...........

36220@ AA 4 GPM INVESTMENT FUND I SECURED TAX CREDIT.. . 01/05/2016. Redemption 100.0000.................... ............................... ..............244,575 ..............244,575 ..............191,123 ..............224,759 .......................... ..............19,816 .......................... ..............19,816 .......................... ..............244,575 .......................... .......................... .......................0 ...................... 01/03/2018.... 1.............

36228F 2L 9 GSR MORTGAGE LOAN TRUST CMO SER.2004-6F.. . 03/01/2016. Paydown.............................................. ............................... ..............330,758 ..............330,758 ..............318,131 ..............325,183 .......................... ................5,575 .......................... ................5,575 .......................... ..............330,758 .......................... .......................... .......................0 ...........2,350 05/25/2034.... 1FM........

36242D ES 8 GSR MORTGAGE LOAN TRUST CMO SER.2004-10F . 03/01/2016. Paydown.............................................. ............................... ..............115,003 ..............115,003 ..............114,357 ..............114,614 .......................... ...................389 .......................... ...................389 .......................... ..............115,003 .......................... .......................... .......................0 ..............912 08/25/2019.... 1FM........

36242D ST 1 GSAA HOME EQUITY TRUST ABS SER.2005-1 CL..... . 03/01/2016. Paydown.............................................. ............................... ................73,681 ................73,681 ................73,679 ................73,471 .......................... ...................210 .......................... ...................210 .......................... ................73,681 .......................... .......................... .......................0 ..............565 11/25/2034.... 1FM........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.24

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

36248E AA 3 GS MORTGAGE SECURITIES CORP II ABS SER.2..... . 03/01/2016. Paydown.............................................. ............................... ................64,661 ................64,661 ................65,306 ................64,992 .......................... ..................(330) .......................... ..................(330) .......................... ................64,661 .......................... .......................... .......................0 ..............428 12/10/2043.... 1FM........

36248P AA 8 GS MORTGAGE SECURITIES TRUST ABS SER.201.. . 03/01/2016. Paydown.............................................. ............................... ..............349,037 ..............349,037 ..............349,030 ..............348,990 .......................... .....................47 .......................... .....................47 .......................... ..............349,037 .......................... .......................... .......................0 ...........1,049 01/10/2031.... 1FM........

36250U AA 2 GM FINANCIAL AUTOMOBILE LEASIN ABS SER.2..... . 03/20/2016. Paydown.............................................. ............................... ...........3,812,996 ...........3,812,996 ...........3,812,996 ............................ .......................... .......................... .......................... .......................0 .......................... ...........3,812,996 .......................... .......................... .......................0 ...........1,774 02/21/2017.... 1Z...........

36804P AF 3 GATX CORP PASS THRU CERTS 5.697% 01/02....... . 01/02/2016. Redemption 100.0000.................... ............................... ................65,994 ................65,994 ................65,994 ................65,994 .......................... .......................... .......................... .......................0 .......................... ................65,994 .......................... .......................... .......................0 ...........1,880 01/02/2025.... 2FE........

38011X AA 2 GMAC COMMERCIAL MTG ASSET CORP ABS GTD S . 03/10/2016. Paydown.............................................. ............................... ................70,163 ................70,163 ................78,645 ................76,384 .......................... ...............(6,221) .......................... ...............(6,221) .......................... ................70,163 .......................... .......................... .......................0 ..............736 09/10/2036.... 1.............

38012K AB 7 GMAC COMMERCIAL MTG ASSET CORP ABS SER.2 . 03/10/2016. Paydown.............................................. ............................... ..............266,755 ..............266,755 ..............262,347 ..............264,848 .......................... ................1,907 .......................... ................1,907 .......................... ..............266,755 .......................... .......................... .......................0 ...........2,365 01/10/2025.... 1.............

38012L AA 7 GMAC COMMERCIAL MTG ASSET CORP ABS SER.2 . 03/10/2016. Paydown.............................................. ............................... ................95,640 ................95,640 ................86,926 ................88,229 .......................... ................7,411 .......................... ................7,411 .......................... ................95,640 .......................... .......................... .......................0 ..............856 05/10/2051.... 1.............

38012M AA 5 GMAC COMMERCIAL MTG ASSET CORP ABS GTD S . 03/10/2016. Paydown.............................................. ............................... ................40,134 ................40,134 ................40,293 ................40,266 .......................... ..................(132) .......................... ..................(132) .......................... ................40,134 .......................... .......................... .......................0 ..............366 03/10/2051.... 1.............

38012T AE 2GMAC MORTGAGE CORP LOAN TRUST ABS GTDSE . 03/01/2016. Paydown.............................................. ............................... ..............466,524 ..............466,666 ..............256,408 ..............218,247 .......................... ............248,276 .......................... ............248,276 .......................... ..............466,524 .......................... .......................... .......................0 ...........4,331 10/25/2036.... 1FM........

38119# AC 8 GOLDEN SPREAD ELECTRIC COOP 1ST MTGE NOT . 02/10/2016. Redemption 100.0000.................... ............................... ..............244,269 ..............244,269 ..............244,269 ..............244,269 .......................... .......................... .......................... .......................0 .......................... ..............244,269 .......................... .......................... .......................0 ...........5,357 08/10/2031.... 1.............

393505 SU 7 GREEN TREE FINANCIAL CORP ABS SR SUB SER... . 03/15/2016. Paydown.............................................. ............................... ................44,143 ................44,143 ................46,623 ................44,315 .......................... ..................(172) .......................... ..................(172) .......................... ................44,143 .......................... .......................... .......................0 ..............589 06/15/2028.... 1AM.......

40406* AA 4 HA HOWARD SVCS LLC SECURED NOTES 7.223.... . 03/01/2016. Redemption 100.0000.................... ............................... ..............163,202 ..............163,202 ..............163,202 ..............163,202 .......................... .......................... .......................... .......................0 .......................... ..............163,202 .......................... .......................... .......................0 ...........1,969 05/01/2031.... 2Z...........

40407* AA 3 HANNON ARMSTRONG 2006 TRUST HA NOR FED R . 01/01/2016. Paydown.............................................. ............................... ..............131,091 ..............131,091 ..............131,091 ..............131,091 .......................... .......................... .......................... .......................0 .......................... ..............131,091 .......................... .......................... .......................0 ..............679 07/01/2026.... 1.............

40430V AH 0 HOUSEHOLD HOME EQUITY LOAN TR ABS FLOAT.. . 03/21/2016. Call 100.0000................................. ............................... .........19,680,000 .........19,680,000 .........16,432,800 .........18,434,357 .......................... .........1,245,643 .......................... .........1,245,643 .......................... .........19,680,000 .......................... .......................... .......................0 .........33,826 03/20/2036.... 1FM........

40431F AJ 0 HOUSEHOLD HOME EQUITY LOAN TR ABS FTLG S. . 03/21/2016. Paydown.............................................. ............................... ..............666,502 ..............666,502 ..............641,924 ..............658,679 .......................... ................7,822 .......................... ................7,822 .......................... ..............666,502 .......................... .......................... .......................0 ..............881 03/20/2036.... 1FM........

40431M AA 4 HOUSEHOLD HOME EQUITY LOAN TR ABS FLOAT.. . 03/21/2016. Paydown.............................................. ............................... ..............505,570 ..............505,570 ..............457,445 ..............481,899 .......................... ..............23,671 .......................... ..............23,671 .......................... ..............505,570 .......................... .......................... .......................0 ..............547 07/20/2036.... 1FM........

40431M AJ 5 HOUSEHOLD HOME EQUITY LOAN TR ABS SER.20. . 03/21/2016. Paydown.............................................. ............................... ..............691,415 ..............691,415 ..............582,517 ..............654,867 .......................... ..............36,548 .......................... ..............36,548 .......................... ..............691,415 .......................... .......................... .......................0 ..............885 07/20/2036.... 1FM........

40456@ AA 1 HA-NOR FEDERAL REC TRUST CERTIFICATES SE... . 03/01/2016. Redemption 100.0000.................... ............................... ..............354,328 ..............354,328 ..............354,328 ..............354,328 .......................... .......................... .......................... .......................0 .......................... ..............354,328 .......................... .......................... .......................0 .........12,827 03/01/2032.... 1.............

413875 AM 7 HARRIS CORP NOTES 4.400% 12/15/20................... . 01/07/2016. STIFEL, NICOLAUS & COMPANY...... ............................... ...........5,252,200 ...........5,000,000 ...........4,971,450 ...........4,984,269 .......................... .....................30 .......................... .....................30 .......................... ...........4,984,299 .......................... ............267,901 ............267,901 .........16,500 12/15/2020.... 2FE........

42210@ AA 4 HD ANCHORAGE AK CTL TRUST PASS-THRU TRUS . 03/15/2016. Redemption 100.0000.................... ............................... ................27,513 ................27,513 ................27,513 ................27,513 .......................... .......................... .......................... .......................0 .......................... ................27,513 .......................... .......................... .......................0 ..............227 03/15/2042.... 1.............

437185 AD 3 RESIDENTIAL FUNDING MTG SEC II ABS ADJ G....... . 03/01/2016. Paydown.............................................. ............................... ...........1,553,355 ...........1,553,355 ..............868,325 ..............612,894 .......................... ............940,461 .......................... ............940,461 .......................... ...........1,553,355 .......................... .......................... .......................0 .........15,240 02/25/2036.... 1FM........

43718V AD 6 RESIDENTIAL FUNDING MTG SEC II ABS GTD A....... . 03/01/2016. Paydown.............................................. ............................... ..............856,516 ..............856,516 ..............429,714 ..............369,249 .......................... ............487,267 .......................... ............487,267 .......................... ..............856,516 .......................... .......................... .......................0 ...........8,354 12/25/2036.... 1FM........

43814F AC 6 HONDA AUTO REC OWNER TRUST ABS SER.2013-. . 03/18/2016. Paydown.............................................. ............................... ...........1,153,022 ...........1,153,022 ...........1,151,896 ............................ .......................... ................1,126 .......................... ................1,126 .......................... ...........1,153,022 .......................... .......................... .......................0 ...........1,023 09/18/2017.... 1Z...........

44890L AC 8 HYUNDAI AUTO RECEIVABLES TRUST ABS SER.2... . 03/15/2016. Paydown.............................................. ............................... ..............523,787 ..............523,787 ..............523,664 ............................ .......................... ...................123 .......................... ...................123 .......................... ..............523,787 .......................... .......................... .......................0 ..............458 09/15/2017.... 1AM.......

44891M AA 9 HYUNDAI AUTO LEASE SECURITZN ABS SER.201.... . 03/15/2016. Paydown.............................................. ............................... ...........2,057,613 ...........2,057,613 ...........2,057,613 ............................ .......................... .......................... .......................... .......................0 .......................... ...........2,057,613 .......................... .......................... .......................0 ...........1,001 02/15/2017.... 1AM.......

466159 AA 8 321 HENDERSON RECEIVABLES LLC ABS SER.20... . 03/15/2016. Paydown.............................................. ............................... ..............386,807 ..............386,807 ..............386,652 ..............386,649 .......................... ...................158 .......................... ...................158 .......................... ..............386,807 .......................... .......................... .......................0 ...........2,531 01/15/2048.... 1AM.......

46616P AA 1 321 HENDERSON RECEIVABLES LLC ABS SER.20... . 03/15/2016. Paydown.............................................. ............................... ..............345,741 ..............345,741 ..............345,365 ..............346,119 .......................... ..................(378) .......................... ..................(378) .......................... ..............345,741 .......................... .......................... .......................0 ...........2,634 10/15/2056.... 1AM.......

46629Q AG 1 JP MORGAN MTG ACQUISITION CORP ABS ADJ S... . 03/01/2016. Paydown.............................................. ............................... ..............118,825 ..............118,825 ................90,357 ................76,459 .......................... ..............42,366 .......................... ..............42,366 .......................... ..............118,825 .......................... .......................... .......................0 ..............783 10/25/2036.... 1FM........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.25

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

478045 AA 5 JOHN SEVIER COMB CYCLE SECURED NOTES 4... . 01/15/2016. Redemption 100.0000.................... ............................... ..............203,421 ..............203,421 ..............227,090 ..............225,132 .......................... .............(21,711) .......................... .............(21,711) .......................... ..............203,421 .......................... .......................... .......................0 ...........4,705 01/15/2042.... 1FE........

49228R AE 3 KERN RIVER FUNDING CORP SENIOR NOTES 4..... . 03/31/2016. Redemption 100.0000.................... ............................... ..............357,500 ..............357,500 ..............352,328 ..............355,981 .......................... ................1,519 .......................... ................1,519 .......................... ..............357,500 .......................... .......................... .......................0 ...........2,915 04/30/2018.... 1FE........

52465# AG 0 LEGG MASON MORTGAGE CAPITAL CTL MTGE PAS . 03/10/2016. Redemption 100.0000.................... ............................... ................19,988 ................19,988 ................21,115 ................20,494 .......................... ..................(506) .......................... ..................(506) .......................... ................19,988 .......................... .......................... .......................0 ..............227 01/10/2021.... 2.............

52467@ BZ 7 LEGG MASON MORTGAGE CAPITAL LEASE-BKD SE . 03/05/2016. Redemption 100.0000.................... ............................... ..............557,215 ..............557,215 ..............557,215 ..............557,215 .......................... .......................... .......................... .......................0 .......................... ..............557,215 .......................... .......................... .......................0 ...........4,677 08/05/2020.... 1.............

52523K AD 6 LEHMAN XS TRUST ABS GTD SER.2006-17 CL.W..... . 03/01/2016. Paydown.............................................. ............................... ..............400,328 ..............400,328 ..............400,203 ..............398,740 .......................... ................1,588 .......................... ................1,588 .......................... ..............400,328 .......................... .......................... .......................0 ...........2,731 11/25/2036.... 2FM........

52523K AK 0 LEHMAN XS TRUST ABS GTD SER.2006-17 CL.W..... . 03/01/2016. Paydown.............................................. ............................... ..............397,839 ..............397,839 ..............397,839 ..............397,839 .......................... .......................... .......................... .......................0 .......................... ..............397,839 .......................... .......................... .......................0 ...........2,697 11/25/2036.... 3FM........

543190 AA 0 LONGTRAIN LEASING III LLC ABS SER.2015-1.......... . 03/15/2016. Paydown.............................................. ............................... ..............289,866 ..............289,866 ..............291,470 ..............291,310 .......................... ...............(1,444) .......................... ...............(1,444) .......................... ..............289,866 .......................... .......................... .......................0 ...........1,441 01/15/2045.... 1AM.......

54864@ AA 8 LOWES BROOKLYN NEW YORK PASS THRU CERTS . 03/15/2016. Redemption 100.0000.................... ............................... ................57,476 ................57,476 ................58,870 ................58,260 .......................... ..................(783) .......................... ..................(783) .......................... ................57,476 .......................... .......................... .......................0 ..............590 05/15/2029.... 1.............

54865@ AA 7 LOWES 4 PROPERTY TRUST CTL PASS-THRU SER. . 03/15/2016. Redemption 100.0000.................... ............................... ..............179,574 ..............179,574 ..............179,574 ..............179,574 .......................... .......................... .......................... .......................0 .......................... ..............179,574 .......................... .......................... .......................0 ...........1,247 02/15/2028.... 1.............

55265K 3X 5 MASTER ASSET SECURITIZATION TR CMO SER.2... . 03/01/2016. Paydown.............................................. ............................... ................45,084 ................45,084 ................43,485 ................44,880 .......................... ...................204 .......................... ...................204 .......................... ................45,084 .......................... .......................... .......................0 ..............338 12/25/2018.... 1FM........

55265K 7Y 9 MASTER ASSET SECURITIZATION TR CMO SER.2... . 03/01/2016. Paydown.............................................. ............................... ..............173,595 ..............173,595 ..............174,246 ..............172,982 .......................... ...................613 .......................... ...................613 .......................... ..............173,595 .......................... .......................... .......................0 ...........1,589 03/25/2034.... 1FM........

55265K 8A 0 MASTER ASSET SECURITIZATION TR CMO SER.2... . 03/01/2016. Paydown.............................................. ............................... ..............137,956 ..............137,956 ..............140,585 ..............137,516 .......................... ...................440 .......................... ...................440 .......................... ..............137,956 .......................... .......................... .......................0 ...........1,263 03/25/2034.... 1FM........

55265K SQ 3 MASTER ASSET SECURITIZATION TR CMO SER.2... . 03/01/2016. Paydown.............................................. ............................... ................70,633 ................70,633 ................70,228 ................70,354 .......................... ...................279 .......................... ...................279 .......................... ................70,633 .......................... .......................... .......................0 ..............676 04/25/2033.... 1FM........

56585A AE 2MARATHON PETROLEUM CORP SENIORUNSECURED . 03/01/2016. Maturity............................................... ............................... .........10,000,000 .........10,000,000 .........10,258,510 .........10,010,180 .......................... .............(10,180) .......................... .............(10,180) .......................... .........10,000,000 .......................... .......................... .......................0 .......175,000 03/01/2016.... 2FE........

57887# AA 2 BOSTON CAP CONST TAX CR FD III SECURED T...... . 01/05/2016. Redemption 100.0000.................... ............................... ..............343,428 ..............343,428 ..............260,606 ..............343,245 .......................... ...................183 .......................... ...................183 .......................... ..............343,428 .......................... .......................... .......................0 ...................... 01/05/2016.... 1Z...........

58155Q AC 7 MCKESSON CORP SENIOR UNSECURED NOTES 3 . 03/01/2016. Maturity............................................... ............................... ...........7,000,000 ...........7,000,000 ...........6,976,270 ...........6,998,722 .......................... ................1,278 .......................... ................1,278 .......................... ...........7,000,000 .......................... .......................... .......................0 .......113,750 03/01/2016.... 2FE........

58768L AC 7 MERCEDES-BENZ AUTO LEASE TRUST ABS SER.2. . 03/15/2016. Paydown.............................................. ............................... ..............526,332 ..............526,332 ..............526,415 ............................ .......................... ....................(82) .......................... ....................(82) .......................... ..............526,332 .......................... .......................... .......................0 ..............502 02/15/2017.... 1AM.......

589962 DJ 5 MERIT SECURITIES CORP ABS SER.12-1W CL.1...... . 03/01/2016. Paydown.............................................. ............................... ..............761,170 ..............761,170 ..............817,066 ..............762,920 .......................... ...............(1,750) .......................... ...............(1,750) .......................... ..............761,170 .......................... .......................... .......................0 ...........6,681 07/28/2033.... 1AM.......

59020U JB 2 ASSET BACKED FUNDING CORP ABS SER.2004-C... . 03/01/2016. Paydown.............................................. ............................... ..............638,474 ..............638,474 ..............638,449 ..............642,765 .......................... ...............(4,291) .......................... ...............(4,291) .......................... ..............638,474 .......................... .......................... .......................0 ...........4,841 07/25/2035.... 1FM........

594918 BB 9MICROSOFT CORP SENIOR UNSECURED GLOBALN . 03/11/2016. WELLS FARGO SEC LLC................... ............................... .........10,119,800 .........10,000,000 ...........9,979,100 ...........9,980,571 .......................... ...................411 .......................... ...................411 .......................... ...........9,980,982 .......................... ............138,818 ............138,818 .......160,500 02/12/2025.... 1FE........

59524E AB 8 MID-ATLANTIC MILITARY CO ABS GTD TRUST C...... . 02/01/2016. Paydown.............................................. ............................... ..............190,315 ..............190,315 ..............190,315 ..............190,315 .......................... .......................... .......................... .......................0 .......................... ..............190,315 .......................... .......................... .......................0 ...........4,986 08/01/2050.... 1AM.......

595481 AA 0 MID-STATE TRUST ABS SER.2005-1 CL.A 5............. . 03/01/2016. Paydown.............................................. ............................... ..............159,938 ..............159,938 ..............159,581 ..............159,580 .......................... ...................358 .......................... ...................358 .......................... ..............159,938 .......................... .......................... .......................0 ...........1,431 01/15/2040.... 2AM.......

595481 AB 8 MID-STATE TRUST ABS SER.2005-1 CL.M1 6.......... . 03/01/2016. Paydown.............................................. ............................... ................32,475 ................32,475 ................32,398 ................32,397 .......................... .....................77 .......................... .....................77 .......................... ................32,475 .......................... .......................... .......................0 ..............309 01/15/2040.... 2AM.......

59548P AA 7 MID-STATE TRUST ABS SER.2006-1 CL.A 5............. . 03/01/2016. Paydown.............................................. ............................... ..............201,173 ..............201,173 ..............201,173 ..............201,173 .......................... .......................... .......................... .......................0 .......................... ..............201,173 .......................... .......................... .......................0 ...........1,935 10/15/2040.... 2AM.......

595497 AA 6 MID-STATE TRUST ABS SER.8 CL.A 7.791%............ . 03/15/2016. Paydown.............................................. ............................... ..............207,507 ..............207,507 ..............212,332 ..............210,974 .......................... ...............(3,467) .......................... ...............(3,467) .......................... ..............207,507 .......................... .......................... .......................0 ...........2,772 03/15/2038.... 4AM.......

595498 AA 4 MID-STATE TRUST ABS SER.7 CL A 6.340%............ . 03/15/2016. Paydown.............................................. ............................... ..............137,781 ..............137,781 ..............137,781 ..............137,781 .......................... .......................... .......................... .......................0 .......................... ..............137,781 .......................... .......................... .......................0 ...........2,184 10/15/2036.... 2AM.......

59549N AA 1 MID-STATE TRUST ABS SER.6 CL.A1 7.340%.......... . 01/01/2016. Paydown.............................................. ............................... ..................8,622 ..................8,622 ..................9,208 ..................8,856 .......................... ..................(233) .......................... ..................(233) .......................... ..................8,622 .......................... .......................... .......................0 ..............158 07/01/2035.... 1AM.......

59549N AB 9 MID-STATE TRUST ABS SER.6 CL.A2 7.400%.......... . 01/01/2016. Paydown.............................................. ............................... ..............123,755 ..............123,755 ..............122,403 ..............123,254 .......................... ...................501 .......................... ...................501 .......................... ..............123,755 .......................... .......................... .......................0 ...........2,289 07/01/2035.... 1AM.......

59549N AC 7 MID-STATE TRUST ABS SER.6 CL.A3 7.540%.......... . 01/01/2016. Paydown.............................................. ............................... ................76,586 ................76,586 ................78,616 ................77,411 .......................... ..................(825) .......................... ..................(825) .......................... ................76,586 .......................... .......................... .......................0 ...........1,444 07/01/2035.... 1AM.......

59549P AA 6 MID-STATE TRUST ABS NOTES SER.IV 8.330.......... . 01/01/2016. Paydown.............................................. ............................... ..............107,659 ..............107,659 ..............109,286 ..............107,956 .......................... ..................(297) .......................... ..................(297) .......................... ..............107,659 .......................... .......................... .......................0 ...........2,242 04/01/2030.... 3AM.......

59549W AA 1 MID-STATE TRUST ABS SER.11 CL.A1 4.864........... . 03/15/2016. Paydown.............................................. ............................... ..............329,871 ..............329,871 ..............326,595 ..............327,959 .......................... ................1,911 .......................... ................1,911 .......................... ..............329,871 .......................... .......................... .......................0 ...........2,663 07/15/2038.... 2AM.......

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.26

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

59549W AB 9 MID-STATE TRUST ABS SER.11 CL.M1 5.598........... . 03/15/2016. Paydown.............................................. ............................... ................43,404 ................43,404 ................43,403 ................43,403 .......................... .......................1 .......................... .......................1 .......................... ................43,404 .......................... .......................... .......................0 ..............403 07/15/2038.... 2AM.......

59560U AA 9 MID-STATE TRUST ABS SER.2004-1 CL.A 6............. . 03/01/2016. Paydown.............................................. ............................... ................80,377 ................80,377 ................80,377 ................80,375 .......................... .......................3 .......................... .......................3 .......................... ................80,377 .......................... .......................... .......................0 ..............846 08/15/2037.... 1AM.......

59560W AA 5 MID-STATE TRUST ABS SER.2010-1 CL.A 3............. . 03/01/2016. Paydown.............................................. ............................... ..............222,672 ..............222,672 ..............222,185 ..............222,239 .......................... ...................434 .......................... ...................434 .......................... ..............222,672 .......................... .......................... .......................0 ...........1,273 12/15/2045.... 1FM........

607120 EZ 1 MOBILE AIRPORT AUTHORITY TAXABLE AIRBUS.... . 02/09/2016. Redemption 100.0000.................... ............................... ................58,029 ................58,029 ................58,029 ................58,029 .......................... .......................... .......................... .......................0 .......................... ................58,029 .......................... .......................... .......................0 ..............553 11/09/2032.... 1.............

64079* AB 8 NEPTUNE REG TRANS SYS LLC NOTES SER.A........ . 03/31/2016. Redemption 100.0000.................... ............................... ..............130,856 ..............130,856 ..............131,046 ..............130,954 .......................... ....................(98) .......................... ....................(98) .......................... ..............130,856 .......................... .......................... .......................0 ...........2,032 06/30/2027.... 2FE........

653240 AA 9 NEWTOWN CREDIT LEASE TRUST 2002-CTL1 BKD.. . 03/15/2016. Redemption 100.0000.................... ............................... ..............277,903 ..............277,903 ..............277,893 ..............277,898 .......................... .......................5 .......................... .......................5 .......................... ..............277,903 .......................... .......................... .......................0 ...........2,822 05/15/2023.... 1.............

65475U AD 4 NISSAN AUTO RECVBLES OWNER TR ABS SER.20.. . 03/15/2016. Paydown.............................................. ............................... ..............945,441 ..............945,441 ..............945,552 ............................ .......................... ..................(111) .......................... ..................(111) .......................... ..............945,441 .......................... .......................... .......................0 ...........1,325 07/16/2018.... 1Z...........

65477U AB 6 NISSAN AUTO RECVBLES OWNER TR ABS SER.20.. . 03/15/2016. Paydown.............................................. ............................... ..............832,317 ..............832,317 ..............831,992 ............................ .......................... ...................325 .......................... ...................325 .......................... ..............832,317 .......................... .......................... .......................0 ..............465 09/15/2017.... 1AM.......

65478U AA 7 NISSAN AUTO RECEIVABLES ABS SER.2016-A C..... . 03/15/2016. Paydown.............................................. ............................... ...........2,489,004 ...........2,489,004 ...........2,489,004 ............................ .......................... .......................... .......................... .......................0 .......................... ...........2,489,004 .......................... .......................... .......................0 ...........1,504 02/15/2017.... 1FE........

655844 BB 3NORFOLK SOUTHERN CORP SENIOR UNSECUREDG . 01/15/2016. Maturity............................................... ............................... .........18,000,000 .........18,000,000 .........19,442,898 .........18,009,633 .......................... ...............(9,633) .......................... ...............(9,633) .......................... .........18,000,000 .......................... .......................... .......................0 .......517,500 01/15/2016.... 2FE........

65764# AA 3 NORTH BERGEN PLAZA LP NOTES 7.910% 03/...... . 03/10/2016. Paydown.............................................. ............................... ................86,374 ................86,374 ................86,374 ................86,374 .......................... .......................... .......................... .......................0 .......................... ................86,374 .......................... .......................... .......................0 ...........1,141 03/10/2030.... 1.............

66939# AF 0NORWEST BANK MINNESOTA NA EQUIPMENTNOTE . 01/15/2016. Redemption 100.0000.................... ............................... ..............890,130 ..............890,130 ..............984,154 ..............890,974 .......................... ..................(844) .......................... ..................(844) .......................... ..............890,130 .......................... .......................... .......................0 .........36,184 01/15/2016.... 1.............

67087T CD 1 OAKWOOD MORTGAGE INVESTORS INC ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ................47,674 ................47,674 ................47,616 ................47,570 .......................... ...................103 .......................... ...................103 .......................... ................47,674 .......................... .......................... .......................0 ..............586 03/15/2023.... 3AM.......

67087T CE 9 OAKWOOD MORTGAGE INVESTORS INC ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ..............107,351 ..............107,351 ..............107,351 ..............107,351 .......................... .......................... .......................... .......................0 .......................... ..............107,351 .......................... .......................... .......................0 ...........1,456 09/15/2030.... 3AM.......

67087T CW 9 OAKWOOD MORTGAGE INVESTORS INC ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ................88,750 ................88,750 ................67,450 ................75,454 ...................108 ..............13,188 .......................... ..............13,296 .......................... ................88,750 .......................... .......................... .......................0 ...........1,032 08/15/2031.... 6AM.......

67087T DD 0 OAKWOOD MORTGAGE INVESTORS INC ABS SER.2 . 03/01/2016. Paydown.............................................. ............................... ................36,440 ................36,440 ................36,431 ................36,391 .......................... .....................49 .......................... .....................49 .......................... ................36,440 .......................... .......................... .......................0 ..............317 03/15/2020.... 5AM.......

674135 CN 6OAKWOOD MORTGAGE INVESTORS INC ABS SRSU . 03/01/2016. Paydown.............................................. ............................... ..............214,278 ..............214,278 ..............213,910 ..............213,688 .......................... ...................590 .......................... ...................590 .......................... ..............214,278 .......................... .......................... .......................0 ...........2,613 11/15/2027.... 1AM.......

68279@ AA 7 120 LONG RIDGE LLC PROMISSORY NOTE SER.A... . 03/15/2016. Redemption 100.0000.................... ............................... ..............248,828 ..............248,828 ..............248,828 ..............248,828 .......................... .......................... .......................... .......................0 .......................... ..............248,828 .......................... .......................... .......................0 ...........1,652 04/15/2025.... 1.............

683971 AA 3 OPTION ONE/CTS MORTGAGE TRUST ABS SR CER . 03/01/2016. Paydown.............................................. ............................... ..................1,648 ..................1,648 ..................1,647 ..................1,641 .......................... .......................7 .......................... .......................7 .......................... ..................1,648 .......................... .......................... .......................0 ................19 04/25/2026.... 1FM........

687847 AB 9 OSCAR US FUNDING TRUST ABS SER.2014-1A C..... . 03/15/2016. Paydown.............................................. ............................... ..............141,297 ..............141,297 ..............141,192 ............................ .......................... ...................105 .......................... ...................105 .......................... ..............141,297 .......................... .......................... .......................0 ..............118 08/15/2017.... 1AM.......

693506 BF 3 PPG INDUSTRIES INC SENIOR UNSECURED NOTE.. . 01/15/2016. Maturity............................................... ............................... ...........6,500,000 ...........6,500,000 ...........6,443,060 ...........6,499,502 .......................... ...................498 .......................... ...................498 .......................... ...........6,500,000 .......................... .......................... .......................0 .........61,750 01/15/2016.... 1FE........

697927 AA 9 PANDA-ROSEMARY FUNDING SENIOR UNSECURED . 02/15/2016. Redemption 100.0000.................... ............................... ................54,140 ................54,140 ................62,827 ................54,367 .......................... ..................(227) .......................... ..................(227) .......................... ................54,140 .......................... .......................... .......................0 ...........1,167 02/15/2016.... 1FE........

70468P AA 0 PEACHTREE FINANCE CO #2 LLC ABS SER.2005..... . 03/15/2016. Paydown.............................................. ............................... ..............686,036 ..............686,036 ..............685,932 ..............686,008 .......................... .....................29 .......................... .....................29 .......................... ..............686,036 .......................... .......................... .......................0 ...........5,231 04/15/2048.... 1AM.......

73019# AA 0 PNC EQUIPMENT FINANCE LLC EQUIPMENT NOTE. . 03/13/2016. Redemption 100.0000.................... ............................... ..............122,814 ..............122,814 ..............125,261 ..............125,038 .......................... ...............(2,225) .......................... ...............(2,225) .......................... ..............122,814 .......................... .......................... .......................0 ...........1,842 09/13/2027.... 1.............

73019# AB 8 PNC EQUIPMENT FINANCE LLC EQUIPMENT NOTE. . 03/13/2016. Redemption 100.0000.................... ............................... ..............127,436 ..............127,436 ..............129,976 ..............129,744 .......................... ...............(2,308) .......................... ...............(2,308) .......................... ..............127,436 .......................... .......................... .......................0 ...........1,912 09/13/2027.... 1.............

73019# AC 6 PNC EQUIPMENT FINANCE LLC EQUIPMENT NOTE. . 03/13/2016. Redemption 100.0000.................... ............................... ..............116,409 ..............116,409 ..............118,729 ..............118,518 .......................... ...............(2,109) .......................... ...............(2,109) .......................... ..............116,409 .......................... .......................... .......................0 ...........1,746 09/13/2027.... 1.............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.27

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

73557* AA 2 PORT WASHINGTON GEN STATION SENIOR NOTES . 03/15/2016. Redemption 100.0000.................... ............................... ..............170,819 ..............170,819 ..............170,819 ..............170,819 .......................... .......................... .......................... .......................0 .......................... ..............170,819 .......................... .......................... .......................0 ...........1,400 07/15/2030.... 1.............

73557* AB 0 PORT WASHINGTON GEN STATION SENIOR NOTES . 03/15/2016. Redemption 100.0000.................... ............................... ................47,710 ................47,710 ................47,710 ................47,710 .......................... .......................... .......................... .......................0 .......................... ................47,710 .......................... .......................... .......................0 ..............478 06/15/2033.... 1.............

73664# AA 8 PORTLAND NATURAL GAS TRANS SYS SENIOR SE. . 03/31/2016. Redemption 100.0000.................... ............................... ..............221,597 ..............221,597 ..............222,063 ..............221,746 .......................... ..................(149) .......................... ..................(149) .......................... ..............221,597 .......................... .......................... .......................0 ...........3,269 12/31/2018.... 2.............

749581 AP 9 RESIDENTIAL FUNDING MTG SEC I CMO SER.20..... . 03/01/2016. Paydown.............................................. ............................... ..............315,582 ..............373,879 ..............341,763 ..............329,991 .......................... .............(14,409) .......................... .............(14,409) .......................... ..............315,582 .......................... .......................... .......................0 ...........4,156 06/25/2040.... 1FM........

74986@ AL 5 RREEF AMERICA REIT II INC SENIOR UNSEC N........ . 01/06/2016. Call 106.0947................................. ............................... .........21,218,930 .........20,000,000 .........20,000,000 .........20,000,000 .......................... .........1,218,930 .......................... .........1,218,930 .......................... .........21,218,930 .......................... .......................... .......................0 .......172,444 11/02/2017.... 1.............

755920 AK 1 ROCS SERIES BLS-1998-2 COLLATERAL TRUST...... . 01/15/2016. Redemption 100.0000.................... ............................... ..............945,189 ..............945,189 ...........1,015,520 ..............956,359 .......................... .............(11,170) .......................... .............(11,170) .......................... ..............945,189 .......................... .......................... .......................0 .........29,750 01/15/2018.... 2.............

759950 CV 8 RENAISSANCE HOME EQUITY LOAN ABS SER.200.. . 03/01/2016. Paydown.............................................. ............................... ................42,798 ................42,798 ................41,799 ................41,536 .......................... ................1,263 .......................... ................1,263 .......................... ................42,798 .......................... .......................... .......................0 ..............402 07/25/2034.... 1FM........

759950 DN 5 RENAISSANCE HOME EQUITY LOAN ABS SER.200.. . 03/01/2016. Paydown.............................................. ............................... ................97,244 ................97,244 ................97,243 ................97,050 .......................... ...................194 .......................... ...................194 .......................... ................97,244 .......................... .......................... .......................0 ...........1,173 11/25/2034.... 1FM........

759950 EN 4 RENAISSANCE HOME EQUITY LOAN ABS SER.200.. . 03/01/2016. Paydown.............................................. ............................... ..............228,453 ..............228,453 ..............228,453 ..............228,453 .......................... .......................... .......................... .......................0 .......................... ..............228,453 .......................... .......................... .......................0 ...........1,774 02/25/2035.... 1FM........

760985 A4 3 RESIDENTIAL ASSET MTG PRODUCTS ABS SER.2.. . 03/01/2016. Paydown.............................................. ............................... ..............154,530 ..............154,530 ..............154,490 ..............154,053 .......................... ...................477 .......................... ...................477 .......................... ..............154,530 .......................... .......................... .......................0 ...........1,711 10/25/2033.... 1FM........

760985 A5 0 RESIDENTIAL ASSET MTG PRODUCTS ABS SER.2.. . 03/01/2016. Paydown.............................................. ............................... ................95,386 ................95,386 ................96,088 ................95,199 .......................... ...................187 .......................... ...................187 .......................... ................95,386 .......................... .......................... .......................0 ..............895 10/25/2033.... 1FM........

760985 C9 0 RESIDENTIAL ASSET MTG PRODUCTS ABS SER.2.. . 03/01/2016. Paydown.............................................. ............................... ..............300,302 ..............300,302 ..............300,140 ..............299,470 .......................... ...................832 .......................... ...................832 .......................... ..............300,302 .......................... .......................... .......................0 ...........1,970 11/25/2033.... 1FM........

760985 K3 4 RESIDENTIAL ASSET MTG PRODUCTS ABS SER.2.. . 03/01/2016. Paydown.............................................. ............................... ..............380,428 ..............380,428 ..............380,412 ..............379,448 .......................... ...................980 .......................... ...................980 .......................... ..............380,428 .......................... .......................... .......................0 ...........2,727 12/25/2033.... 1FM........

760985 M9 9 RESIDENTIAL ASSET MTG PRODUCTS ABS SER.2.. . 03/01/2016. Paydown.............................................. ............................... ..............112,735 ..............112,735 ..............112,734 ..............112,440 .......................... ...................295 .......................... ...................295 .......................... ..............112,735 .......................... .......................... .......................0 ..............656 01/25/2034.... 1FM........

760985 PY 1 RESIDENTIAL FUNDING SEC CORP CMO SER.200... . 03/01/2016. Paydown.............................................. ............................... ................60,499 ................60,499 ................57,984 ................60,111 .......................... ...................388 .......................... ...................388 .......................... ................60,499 .......................... .......................... .......................0 ..............521 12/25/2017.... 1FM........

760985 Q4 6 RESIDENTIAL ASSET MTG PRODUCTS ABS SER.2.. . 03/01/2016. Paydown.............................................. ............................... ................78,392 ................78,392 ................78,352 ................78,189 .......................... ...................203 .......................... ...................203 .......................... ................78,392 .......................... .......................... .......................0 ..............458 02/25/2034.... 1FM........

760985 V4 0 RESIDENTIAL ASSET MTG PRODUCTS ABS SER.2.. . 03/01/2016. Paydown.............................................. ............................... ................93,492 ................93,492 ................93,489 ................93,270 .......................... ...................222 .......................... ...................222 .......................... ................93,492 .......................... .......................... .......................0 ..............740 03/25/2034.... 1FM........

760985 ZF 1 RESIDENTIAL ASSET MTG PRODUCTS ABS SER.2.. . 03/01/2016. Paydown.............................................. ............................... ..............191,521 ..............191,521 ..............191,654 ..............191,037 .......................... ...................484 .......................... ...................484 .......................... ..............191,521 .......................... .......................... .......................0 ...........1,540 09/25/2033.... 1FM........

76110W MF 0 RESIDENTIAL ASSET SEC CORP ABS SER.2001-...... . 03/01/2016. Paydown.............................................. ............................... ..................2,961 ..................2,961 ..................1,134 ..................1,134 .......................... ................1,827 .......................... ................1,827 .......................... ..................2,961 .......................... .......................... .......................0 ................47 09/25/2031.... 3FM........

76110W PC 4 RESIDENTIAL ASSET SEC CORP ABS SER.2002-...... . 03/01/2016. Paydown.............................................. ............................... ................74,287 ................85,175 ................85,126 ................86,548 .......................... .............(12,261) .......................... .............(12,261) .......................... ................74,287 .......................... .......................... .......................0 ...........1,031 12/25/2039.... 1FM........

76110W TT 3 RESIDENTIAL ASSET SEC CORP ABS SER.2003-...... . 03/01/2016. Paydown.............................................. ............................... ................56,032 ................56,032 ................56,021 ................55,879 .......................... ...................153 .......................... ...................153 .......................... ................56,032 .......................... .......................... .......................0 ..............469 10/25/2033.... 1FM........

76110W UX 2 RESIDENTIAL ASSET SEC CORP ABS SER.2003-...... . 03/01/2016. Paydown.............................................. ............................... ..............192,904 ..............192,904 ..............192,892 ..............192,468 .......................... ...................436 .......................... ...................436 .......................... ..............192,904 .......................... .......................... .......................0 ...........1,334 12/25/2033.... 1FM........

76110W VQ 6 RESIDENTIAL ASSET SEC CORP ABS SER.2003-...... . 03/01/2016. Paydown.............................................. ............................... ..............300,110 ..............300,110 ..............299,995 ..............299,444 .......................... ...................666 .......................... ...................666 .......................... ..............300,110 .......................... .......................... .......................0 ...........2,157 01/25/2034.... 1FM........

76110W WZ 5 RESIDENTIAL ASSET SEC CORP ABS SER.2004-...... . 03/01/2016. Paydown.............................................. ............................... ................85,721 ................85,721 ................78,581 ................82,500 .......................... ................3,221 .......................... ................3,221 .......................... ................85,721 .......................... .......................... .......................0 ..............666 04/25/2034.... 1FM........

78393@ AA 7 SBG ASSOCIATES LP SENIOR SECURED NOTES..... . 03/15/2016. Redemption 100.0000.................... ............................... ................59,434 ................59,434 ................57,273 ................58,504 .......................... ...................930 .......................... ...................930 .......................... ................59,434 .......................... .......................... .......................0 ..............614 07/15/2020.... 2.............

80439@ AA 9 SAULSBURY HILL FEDERAL REC TR TRUST CERT... . 02/28/2016. Paydown.............................................. ............................... ..............109,363 ..............109,363 ..............109,363 ..............109,363 .......................... .......................... .......................... .......................0 .......................... ..............109,363 .......................... .......................... .......................0 ...........1,635 11/28/2029.... 1.............

805564 KQ 3 SAXON ASSET SECURITIES TRUST ABS SER.200.... . 03/01/2016. Paydown.............................................. ............................... ..............111,081 ..............111,081 ..............111,081 ..............111,081 .......................... .......................... .......................... .......................0 .......................... ..............111,081 .......................... .......................... .......................0 ...........1,889 12/25/2030.... 1FM........

805564 PB 1 SAXON ASSET SECURITIES TRUST ABS SER.200.... . 03/01/2016. Paydown.............................................. ............................... ................73,623 ................73,623 ................73,623 ................73,623 .......................... .......................... .......................... .......................0 .......................... ................73,623 .......................... .......................... .......................0 ..............737 12/25/2033.... 1FM........

81744N AB 6 SEQUOIA MORTGAGE TRUST CMO SER.2012-6 CL. . 03/01/2016. Paydown.............................................. ............................... ..............255,223 ..............255,223 ..............255,223 ..............255,223 .......................... .......................... .......................... .......................0 .......................... ..............255,223 .......................... .......................... .......................0 ..............792 12/25/2042.... 1FM........

81744U AB 0 SEQUOIA MORTGAGE TRUST CMO SER.2012-2 CL. . 03/01/2016. Paydown.............................................. ............................... ..............544,308 ..............544,308 ..............558,178 ..............548,283 .......................... ...............(3,975) .......................... ...............(3,975) .......................... ..............544,308 .......................... .......................... .......................0 ...........2,583 03/25/2042.... 1FM........

81744V AB 8 SEQUOIA MORTGAGE TRUST CMO SER.2012-4 CL. . 03/01/2016. Paydown.............................................. ............................... ..............112,579 ..............112,579 ..............116,325 ..............115,921 .......................... ...............(3,342) .......................... ...............(3,342) .......................... ..............112,579 .......................... .......................... .......................0 ..............438 09/25/2042.... 1FM........

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.28

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

81744V AC 6 SEQUOIA MORTGAGE TRUST CMO SER.2012-4 CL. . 03/01/2016. Paydown.............................................. ............................... ..............112,579 ..............112,579 ..............112,579 ..............112,579 .......................... .......................... .......................... .......................0 .......................... ..............112,579 .......................... .......................... .......................0 ..............302 09/25/2042.... 1FM........

81744W AC 4 SEQUOIA MORTGAGE TRUST CMO SER.2013-1 CL. . 03/01/2016. Paydown.............................................. ............................... ..............302,265 ..............302,265 ..............302,265 ..............302,265 .......................... .......................... .......................... .......................0 .......................... ..............302,265 .......................... .......................... .......................0 ..............719 02/25/2043.... 1FM........

83613G AD 1 SOUNDVIEW HOME EQUITY LOAN TR ABS SER.20.. . 03/01/2016. Paydown.............................................. ............................... ..............211,366 ..............211,366 ..............199,873 ..............206,788 .......................... ................4,578 .......................... ................4,578 .......................... ..............211,366 .......................... .......................... .......................0 ...........1,711 02/25/2038.... 1FM........

841215 AA 4 SOUTHAVEN CMBD CYCLE GEN SECURED NOTES. . 02/15/2016. Redemption 100.0000.................... ............................... ..............254,161 ..............254,161 ..............254,161 ..............254,161 .......................... .......................... .......................... .......................0 .......................... ..............254,161 .......................... .......................... .......................0 ...........4,888 08/15/2033.... 1FE........

842400 GF 4 SOUTHERN CALIFORNIA EDISON CO SECURED NO . 02/01/2016. Redemption 100.0000.................... ............................... ..............714,290 ..............714,290 ..............714,290 ..............714,290 .......................... .......................... .......................... .......................0 .......................... ..............714,290 .......................... .......................... .......................0 ...........6,589 02/01/2022.... 1FE........

84519# AF 1 SOUTHWEST POWER POOL INC SENIOR NOTES SE . 03/30/2016. Redemption 100.0000.................... ............................... ..............125,000 ..............125,000 ..............125,000 ..............125,000 .......................... .......................... .......................... .......................0 .......................... ..............125,000 .......................... .......................... .......................0 ..............938 03/30/2024.... 1.............

84519# AG 9 SOUTHWEST POWER POOL INC SENIOR NOTES SE . 03/30/2016. Redemption 100.0000.................... ............................... ..............275,000 ..............275,000 ..............275,000 ..............275,000 .......................... .......................... .......................... .......................0 .......................... ..............275,000 .......................... .......................... .......................0 ...........2,234 09/30/2024.... 1.............

84615# AA 5 SPACE FLORIDA SECURED NOTES 3.520% 02/...... . 02/28/2016. Redemption 100.0000.................... ............................... ..............561,566 ..............561,566 ..............561,566 ..............561,566 .......................... .......................... .......................... .......................0 .......................... ..............561,566 .......................... .......................... .......................0 ...........4,942 02/28/2021.... 1.............

85746* CL 2 STATE STREET BANK & TRUST SER.1999 CL.A........ . 03/29/2016. Redemption 100.0000.................... ............................... ..............170,411 ..............170,411 ..............173,483 ..............171,151 .......................... ..................(740) .......................... ..................(740) .......................... ..............170,411 .......................... .......................... .......................0 ...........6,331 03/29/2020.... 1.............

85746* CQ 1 STATE STREET BANK & TRUST SER.1999 CL.B4...... . 03/29/2016. Redemption 100.0000.................... ............................... ..................3,529 ..................3,529 ..................3,529 ..................3,529 .......................... .......................... .......................... .......................0 .......................... ..................3,529 .......................... .......................... .......................0 ..............131 09/29/2016.... 1.............

858271 AA 7 STEELRIVER TRANSMISSION SENIOR SECURED N. . 03/31/2016. Redemption 100.0000.................... ............................... ..............158,822 ..............158,822 ..............158,979 ..............158,868 .......................... ....................(46) .......................... ....................(46) .......................... ..............158,822 .......................... .......................... .......................0 ...........1,870 06/30/2017.... 2FE........

86359A 4L 4 STRUCTURED ASSET SEC CORP CMO SER.2003-3. . 03/01/2016. Paydown.............................................. ............................... ..............126,307 ..............126,307 ..............124,610 ..............125,819 .......................... ...................488 .......................... ...................488 .......................... ..............126,307 .......................... .......................... .......................0 ..............924 10/25/2033.... 1FM........

86359K AA 9 STRUCTURED RECEIVABLES FINANCE ABS SER.2.. . 03/15/2016. Paydown.............................................. ............................... ..............228,193 ..............228,193 ..............228,193 ..............228,193 .......................... .......................... .......................... .......................0 .......................... ..............228,193 .......................... .......................... .......................0 ...........2,035 05/15/2025.... 1AM.......

86360F AA 7 STRUCTURED RECEIVABLES FINANCE ABS SER.2.. . 03/15/2016. Paydown.............................................. ............................... ..............236,870 ..............236,870 ..............237,213 ..............237,038 .......................... ..................(168) .......................... ..................(168) .......................... ..............236,870 .......................... .......................... .......................0 ...........2,383 01/15/2030.... 1AM.......

86361Y AA 5 STRUCTURED RECEIVABLES FINANCE ABS SER.2.. . 03/15/2016. Paydown.............................................. ............................... ..............391,982 ..............391,982 ..............391,982 ..............391,982 .......................... .......................... .......................... .......................0 .......................... ..............391,982 .......................... .......................... .......................0 ...........3,632 03/15/2038.... 1AM.......

86365F AA 2 STRUCTURED RECVBLS FIN #3 LLC ABS SER.20..... . 03/15/2016. Paydown.............................................. ............................... ..............516,828 ..............516,828 ..............516,828 ..............516,828 .......................... .......................... .......................... .......................0 .......................... ..............516,828 .......................... .......................... .......................0 ...........4,046 01/15/2046.... 1AM.......

86365L AA 9 STRUCTURED RECEIVABLE FINANCE ABS SER.20.. . 03/15/2016. Paydown.............................................. ............................... ..............423,748 ..............423,748 ..............423,709 ..............423,716 .......................... .....................32 .......................... .....................32 .......................... ..............423,748 .......................... .......................... .......................0 ...........2,546 08/15/2036.... 1AM.......

871829 AZ 0SYSCO CORP SENIOR UNSECURED GLOBALNOTES . 03/15/2016. MERRILL LYNCH PFS........................ ............................... .........10,324,400 .........10,000,000 .........10,000,000 .........10,000,000 .......................... .......................... .......................... .......................0 .......................... .........10,000,000 .......................... ............324,400 ............324,400 .......177,083 10/01/2025.... 2FE........

87305N AV 0 TTX CO PASS THRU CERTS SER.A1 5.453% 0........ . 01/02/2016. Redemption 100.0000.................... ............................... ...........1,370,453 ...........1,370,453 ...........1,368,069 ...........1,369,548 .......................... ...................905 .......................... ...................905 .......................... ...........1,370,453 .......................... .......................... .......................0 .........37,365 01/02/2022.... 1.............

87407P AA 8 TAL ADVANTAGE LLC ABS SER.2013-1A CL.A........... . 03/20/2016. Paydown.............................................. ............................... ..............100,000 ..............100,000 ................99,985 ................99,989 .......................... .....................11 .......................... .....................11 .......................... ..............100,000 .......................... .......................... .......................0 ..............472 02/20/2038.... 1AM.......

88511Y AD 4 THOMSON MCKINNON MTGE ASSET TR CMO SER.1 . 03/01/2016. Paydown.............................................. ............................... ..................2,821 ..................2,821 ..................3,078 ..................2,836 .......................... ....................(15) .......................... ....................(15) .......................... ..................2,821 .......................... .......................... .......................0 ................41 09/01/2018.... 1Z...........

88576N AM 0 321 HENDERSON RECEIVABLES II ABS SER.200...... . 03/15/2016. Paydown.............................................. ............................... ..................5,800 ..................5,800 ..................5,796 ..................5,797 .......................... .......................4 .......................... .......................4 .......................... ..................5,800 .......................... .......................... .......................0 ................55 06/15/2048.... 1AM.......

88576N AP 3 321 HENDERSON RECEIVABLES II ABS GTD SER.... . 03/15/2016. Paydown.............................................. ............................... ..............529,907 ..............529,907 ..............529,776 ..............531,099 .......................... ...............(1,192) .......................... ...............(1,192) .......................... ..............529,907 .......................... .......................... .......................0 ...........5,004 10/15/2048.... 1AM.......

88576P AB 9 321 HENDERSON RECEIVABLES I ABS SER.2003..... . 03/15/2016. Paydown.............................................. ............................... ................44,243 ................44,243 ................44,240 ................44,199 .......................... .....................44 .......................... .....................44 .......................... ................44,243 .......................... .......................... .......................0 ..............336 11/15/2033.... 1AM.......

88576P AC 7 321 HENDERSON RECEIVABLES LLC ABS FLOAT.... . 03/15/2016. Paydown.............................................. ............................... ..............357,347 ..............357,347 ..............357,347 ..............357,347 .......................... .......................... .......................... .......................0 .......................... ..............357,347 .......................... .......................... .......................0 ..............473 09/15/2045.... 1AM.......

88576P AD 5 321 HENDERSON RECEIVABLES LLC ABS SER.20... . 01/15/2016. Paydown.............................................. ............................... .....................809 .....................809 .....................809 .....................809 .......................... .......................... .......................... .......................0 .......................... .....................809 .......................... .......................... .......................0 ..................4 09/15/2045.... 1AM.......

88576P AF 0 321 HENDERSON RECEIVABLES LLC ABS GTD SE.. . 03/15/2016. Paydown.............................................. ............................... ................18,448 ................18,448 ................18,435 ................18,440 .......................... .......................8 .......................... .......................8 .......................... ................18,448 .......................... .......................... .......................0 ................87 11/15/2046.... 1AM.......

88576U AA 0 321 HENDERSON RECEIVABLES IV ABS SER.200..... . 03/15/2016. Paydown.............................................. ............................... ..............334,622 ..............334,622 ..............334,480 ..............334,516 .......................... ...................106 .......................... ...................106 .......................... ..............334,622 .......................... .......................... .......................0 ...........3,533 11/15/2037.... 1AM.......

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.29

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

88576X AA 4 321 HENDERSON RECEIVABLES LLC ABS SER.20... . 03/15/2016. Paydown.............................................. ............................... ..............298,568 ..............298,568 ..............298,489 ..............298,509 .......................... .....................59 .......................... .....................59 .......................... ..............298,568 .......................... .......................... .......................0 ...........2,639 07/15/2059.... 1AM.......

89171D BF 3 TOWD POINT MORTGAGE TRUST ABS SER.2015-1. . 03/01/2016. Paydown.............................................. ............................... ...........1,278,231 ...........1,278,231 ...........1,303,301 ...........1,300,606 .......................... .............(22,376) .......................... .............(22,376) .......................... ...........1,278,231 .......................... .......................... .......................0 ...........6,456 10/25/2053.... 1FM........

89171U AU 3 TOWD POINT MORTGAGE TRUST ABS SER.2015-4. . 03/01/2016. Paydown.............................................. ............................... ...........1,112,794 ...........1,112,794 ...........1,112,627 ...........1,112,600 .......................... ...................194 .......................... ...................194 .......................... ...........1,112,794 .......................... .......................... .......................0 ...........4,881 04/25/2055.... 1FM........

89171V AK 3 TOWD POINT MORTGAGE TRUST ABS SER.2015-5. . 03/01/2016. Paydown.............................................. ............................... ..............975,078 ..............975,078 ..............977,170 ..............860,984 .......................... ...............(2,082) .......................... ...............(2,082) .......................... ..............975,078 .......................... .......................... .......................0 ...........3,856 05/25/2055.... 1FM........

89171Y AL 5 TOWD POINT MORTGAGE TRUST ABS SER.2015-2. . 03/01/2016. Paydown.............................................. ............................... ..............829,742 ..............829,742 ..............823,075 ..............823,326 .......................... ................6,416 .......................... ................6,416 .......................... ..............829,742 .......................... .......................... .......................0 ...........4,505 11/25/2060.... 1FM........

89236V AC 4 TOYOTA AUTO REC 2013-B OWNER T ABS SER.2.... . 03/15/2016. Paydown.............................................. ............................... ..............304,497 ..............304,497 ..............304,497 ............................ .......................... .......................... .......................... .......................0 .......................... ..............304,497 .......................... .......................... .......................0 ..............339 07/17/2017.... 1AM.......

898613 AA 2 TUCKAHOE CREDIT LEASE PASS THRU CERTS SE. . 03/20/2016. Paydown.............................................. ............................... ................21,746 ................21,746 ................16,309 ................18,541 .......................... ................3,204 .......................... ................3,204 .......................... ................21,746 .......................... .......................... .......................0 ..............351 10/20/2025.... 3FE........

90983V AA 1 UNITED COMMUNITIES LLC ABS GTD BONDS SER.. . 03/15/2016. Paydown.............................................. ............................... ................76,204 ................76,204 ................76,204 ................76,204 .......................... .......................... .......................... .......................0 .......................... ................76,204 .......................... .......................... .......................0 ...........2,138 09/15/2051.... 1AM.......

91274# AS 3 US BANK NA GATX TRUST 2001-1 5.510% 01.......... . 01/02/2016. Redemption 100.0000.................... ............................... ..............723,048 ..............723,048 ..............723,048 ..............723,048 .......................... .......................... .......................... .......................0 .......................... ..............723,048 .......................... .......................... .......................0 .........19,920 01/02/2021.... 2.............

91324P CN 0 UNITEDHEALTH GROUP INC SENIOR UNSECURED. . 03/11/2016. US BANCORP INVESTMENTS........... ............................... ...........2,083,420 ...........2,000,000 ...........1,997,540 ...........1,997,649 .......................... .....................22 .......................... .....................22 .......................... ...........1,997,671 .......................... ..............85,749 ..............85,749 .........43,364 07/15/2022.... 1FE........

91529* AA 9 UOU CTL PASS-THR TR SER.2010-A TRUST CER..... . 01/10/2016. Redemption 100.0000.................... ............................... ..............342,313 ..............342,313 ..............345,736 ..............344,792 .......................... ...............(2,479) .......................... ...............(2,479) .......................... ..............342,313 .......................... .......................... .......................0 ...........4,730 10/10/2028.... 1.............

92783# AA 4 VIRGINIA INTERNATIONAL GATEWAY SENIOR SE... . 03/31/2016. Redemption 100.0000.................... ............................... ................29,876 ................29,876 ................29,876 ................29,876 .......................... .......................... .......................... .......................0 .......................... ................29,876 .......................... .......................... .......................0 ..............294 06/30/2030.... 1Z...........

92922F MA 3WASHINGTON MUTUAL MORTGAGE CMOSER.2004- . 03/01/2016. Paydown.............................................. ............................... ..............302,533 ..............302,533 ..............306,315 ..............302,821 .......................... ..................(288) .......................... ..................(288) .......................... ..............302,533 .......................... .......................... .......................0 ...........2,049 03/25/2034.... 1FM........

92922F QL 5WAMU MORTGAGE PASS-THRU CERTS CMOSER.20 . 03/01/2016. Paydown.............................................. ............................... ..............600,191 ..............600,191 ..............562,210 ..............578,497 .......................... ..............21,694 .......................... ..............21,694 .......................... ..............600,191 .......................... .......................... .......................0 ...........6,874 06/25/2034.... 1FM........

92936C AC 3 WF RBS COMMERCIAL MORTGAGE TR ABS SER.20 . 03/01/2016. Paydown.............................................. ............................... ..............805,766 ..............805,766 ..............813,809 ..............805,603 .......................... ...................163 .......................... ...................163 .......................... ..............805,766 .......................... .......................... .......................0 ...........4,626 06/15/2044.... 1FM........

92966* AG 4 WABASH VALLEY POWER ASSN INC 1ST MTGE NO . 01/31/2016. Redemption 100.0000.................... ............................... ..............144,630 ..............144,630 ..............144,630 ..............144,630 .......................... .......................... .......................... .......................0 .......................... ..............144,630 .......................... .......................... .......................0 ...........2,220 01/31/2028.... 1.............

94978# AH 0WELLS FARGO BANK NORTHWEST NA SECUREDNO . 03/10/2016. Redemption 100.0000.................... ............................... ................50,928 ................50,928 ................50,928 ................50,928 .......................... .......................... .......................... .......................0 .......................... ................50,928 .......................... .......................... .......................0 ..............640 01/10/2024.... 2.............

94978# CV 7 WELLS FARGO BANK NORTHWEST NA CTL TRUST. . 03/10/2016. Redemption 100.0000.................... ............................... ..............113,068 ..............113,068 ..............113,068 ..............113,068 .......................... .......................... .......................... .......................0 .......................... ..............113,068 .......................... .......................... .......................0 ...........1,033 09/10/2025.... 1.............

94980G AK 7 WELLS FARGO HOME EQUITY TRUST ABS SER.20.. . 03/01/2016. Paydown.............................................. ............................... ..............292,249 ..............292,249 ..............290,898 ..............291,008 .......................... ................1,241 .......................... ................1,241 .......................... ..............292,249 .......................... .......................... .......................0 ...........2,310 04/25/2034.... 1FM........

94987M AA 9 WELLS FARGO COMM MORTGAGE TR ABS SER.201 . 03/01/2016. Paydown.............................................. ............................... ..............177,516 ..............177,516 ..............182,836 ..............180,000 .......................... ...............(2,484) .......................... ...............(2,484) .......................... ..............177,516 .......................... .......................... .......................0 ...........1,023 11/15/2043.... 1FM........

96928* CX 3 WILLIAM BLAIR & COMPANY CTL PASS-THRU SE.... . 03/15/2016. Redemption 100.0000.................... ............................... ................48,742 ................48,742 ................49,234 ................49,145 .......................... ..................(403) .......................... ..................(403) .......................... ................48,742 .......................... .......................... .......................0 ..............504 01/15/2035.... 1.............

97180* QB 7WILMINGTON TRUST COMPANY SECURED NOTESS . 01/03/2016. Redemption 100.0000.................... ............................... ................94,031 ................94,031 ................94,407 ................94,081 .......................... ....................(50) .......................... ....................(50) .......................... ................94,031 .......................... .......................... .......................0 ...........4,734 01/03/2019.... 2.............

97181# KG 7 WILMINGTON TRUST COMPANY EQUIP NOTES SER . 03/30/2016. Redemption 100.0000.................... ............................... ..............486,150 ..............486,150 ..............486,150 ..............486,150 .......................... .......................... .......................... .......................0 .......................... ..............486,150 .......................... .......................... .......................0 .........14,299 03/29/2024.... 1.............

97181# KH 5 WILMINGTON TRUST COMPANY EQUIP NOTES SER . 02/06/2016. Redemption 100.0000.................... ............................... ...............(13,098) ...............(13,098) ...............(13,098) ...............(13,098) .......................... .......................... .......................... .......................0 .......................... ...............(13,098) .......................... .......................... .......................0 ...................... 06/29/2024.... 1.............

98160Q AC 6 WORLD OMNI AUTO TR 2014-B ABS SER.2014-B...... . 03/15/2016. Paydown.............................................. ............................... ..............309,774 ..............309,774 ..............309,677 ............................ .......................... .....................97 .......................... .....................97 .......................... ..............309,774 .......................... .......................... .......................0 ..............262 01/16/2018.... 1AM.......

12644@ AJ 4 CTL 2002-2 TRUST PASS THRU CERTS CL.2000....... F 03/15/2016. Redemption 100.0000.................... ............................... ................55,141 ................55,141 ................55,141 ................55,141 .......................... .......................... .......................... .......................0 .......................... ................55,141 .......................... .......................... .......................0 ..............769 02/15/2022.... 2.............

227170 AE 7 CRONOS CONTAINERS PROGRAM LTD ABS SER.20 F 03/18/2016. Paydown.............................................. ............................... ..............500,000 ..............500,000 ..............499,997 ..............499,997 .......................... .......................3 .......................... .......................3 .......................... ..............500,000 .......................... .......................... .......................0 ...........2,567 04/18/2028.... 1AM.......

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE05.30

SCHEDULE D - PART 4 Show All Long-Term Bonds and Stock Sold, Redeemed or Otherwise Disposed of During the Current Quarter

1 2 3 4 5 6 7 8 9 10 Change in Book/Adjusted Carrying Value 16 17 18 19 20 21 2211 12 13 14 15

CUSIP Identification Description

Foreign Disposal Date Name of Purchaser

Number of Sharesof Stock Consideration Par Value Actual Cost

Prior YearBook/AdjustedCarrying Value

UnrealizedValuationIncrease/

(Decrease)

Current Year's(Amortization)/

Accretion

Current Year'sOther-Than-TemporaryImpairmentRecognized

Total Change inB./A.C.V.

(11+12-13)

Total ForeignExchangeChange inB./A.C.V.

Book/AdjustedCarrying Value at

Disposal Date

ForeignExchange Gain

(Loss) onDisposal

Realized Gain(Loss) onDisposal

Total Gain(Loss) onDisposal

Bond Interest/ Stock

DividendsReceived

During Year

StatedContractual

Maturity Date

NAICDesig-

nation orMarket

Indicator(a)

37952U AB 9 GLOBAL SC FINANCE SRL ABS SER.2013-1A CL...... F 03/17/2016. Paydown.............................................. ............................... ..............500,000 ..............500,000 ..............499,968 ..............499,975 .......................... .....................25 .......................... .....................25 .......................... ..............500,000 .......................... .......................... .......................0 ...........2,483 04/17/2028.... 1AM.......

Q6291# AA 1 MONASH UNIVERSITY SENIOR NOTES 3.760%...... F 02/24/2016. Redemption 100.0000.................... ............................... ................20,000 ................20,000 ................20,000 ................20,000 .......................... .......................... .......................... .......................0 .......................... ................20,000 .......................... .......................... .......................0 ..............376 02/24/2040.... 1FE........

3899999. Total Bonds - Industrial and Miscellaneous........................................................................................................................................................................... .......323,670,080 .......318,462,722 .......314,649,486 .......264,739,044 ...................108 .........7,228,037 .......................0 .........7,228,145 .......................0 .......320,576,668 .......................0 .........3,093,412 .........3,093,412 ....3,619,165 XXX XXX

Bonds - Parent, Subsidiaries and Affiliates

000000 00 0 LR COMPANY II LLC NOTES 0.000% 12/16/2............ . 03/16/2016. Redemption 100.0000.................... ............................... ...........1,476,983 ...........1,476,983 ..............873,156 ...........1,313,283 .......................... ............163,700 .......................... ............163,700 .......................... ...........1,476,983 .......................... .......................... .......................0 ...................... 08/16/2022.... 2FE........

000000 00 0 LOTTERY RECEIVABLES CO ONE LLC NOTES 0..... . 03/16/2016. Redemption 100.0000.................... ............................... ..............986,521 ..............986,521 ..............702,407 ..............809,704 .......................... ............176,817 .......................... ............176,817 .......................... ..............986,521 .......................... .......................... .......................0 ...................... 11/16/2028.... 2FE........

5599999. Total Bonds - Parent, Subsidiaries and Affiliates...................................... .......................................................................................................................... ...........2,463,504 ...........2,463,504 ...........1,575,563 ...........2,122,987 .......................0 ............340,517 .......................0 ............340,517 .......................0 ...........2,463,504 .......................0 .......................0 .......................0 ..................0 XXX XXX

8399997. Total Bonds - Part 4.................................................................................. .......................................................................................................................... ....3,708,251,912 ....3,551,138,478 ....3,675,820,135 ....2,172,103,712 ...................108 .........8,911,482 .......................0 .........8,911,590 .......................0 ....3,691,304,167 .......................0 .......16,947,745 .......16,947,745 ..23,615,068 XXX XXX

8399999. Total Bonds............................................................................................... .......................................................................................................................... ....3,708,251,912 ....3,551,138,478 ....3,675,820,135 ....2,172,103,712 ...................108 .........8,911,482 .......................0 .........8,911,590 .......................0 ....3,691,304,167 .......................0 .......16,947,745 .......16,947,745 ..23,615,068 XXX XXX

Common Stocks - Parent, Subsidiaries and Affiliates

000000 00 0 2001 BOOKS HOLDINGS LLC UNITS OF INTERES..... . 03/30/2016. DIRECT PLACEMENT........................ .....................1.000 ..............123,680 XXX ............................ ............................ .......................... .......................... .......................... .......................0 .......................... ............................ .......................... ............123,680 ............123,680 ...................... XXX J.............

95081# 10 8 WESTKIN PROPERTIES LTD COMMON STOCK......... . 01/15/2016. Capital Distribution.............................. ............................... ..............164,250 XXX ..............164,250 ..............164,250 .......................... .......................... .......................... .......................0 .......................... ..............164,250 .......................... .......................... .......................0 ...................... XXX J.............

9199999. Total Common Stocks - Parent, Subsidiaries and Affiliates................................................................................................................................................. ..............287,930 XXX ..............164,250 ..............164,250 .......................0 .......................0 .......................0 .......................0 .......................0 ..............164,250 .......................0 ............123,680 ............123,680 ..................0 XXX XXX

9799997 Total Common Stocks - Part 4................................................................... .......................................................................................................................... ..............287,930 XXX ..............164,250 ..............164,250 .......................0 .......................0 .......................0 .......................0 .......................0 ..............164,250 .......................0 ............123,680 ............123,680 ..................0 XXX XXX

9799999. Total Common Stocks.............................................................................. .......................................................................................................................... ..............287,930 XXX ..............164,250 ..............164,250 .......................0 .......................0 .......................0 .......................0 .......................0 ..............164,250 .......................0 ............123,680 ............123,680 ..................0 XXX XXX

9899999. Total Preferred and Common Stocks....................................................... .......................................................................................................................... ..............287,930 XXX ..............164,250 ..............164,250 .......................0 .......................0 .......................0 .......................0 .......................0 ..............164,250 .......................0 ............123,680 ............123,680 ..................0 XXX XXX

9999999. Total Bonds, Preferred and Common Stocks........................................... .......................................................................................................................... ....3,708,539,842 XXX ....3,675,984,385 ....2,172,267,962 ...................108 .........8,911,482 .......................0 .........8,911,590 .......................0 ....3,691,468,417 .......................0 .......17,071,425 .......17,071,425 ..23,615,068 XXX XXX

(a) For all common stock bearing the NAIC market indicator "U" provide: the number of such issues:...............0.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

Purchased Options - Hedging Other - OtherSWAPTIONS JANUARY 2018........... BOLI Separate Accounts Hedge........ N/A......... a..........

BARCLAYS BANKPLC G5GSEF7VJP5I7OUK5573 .04/13/2012 .01/16/2018 ..................1 .........488,000 ...........0.0713 .............7,629 - ................... ........................ ...........................9 ... ..................9 ...............(27) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2018........... BOLI Separate Accounts Hedge........ N/A......... a..........BARCLAYS BANKPLC G5GSEF7VJP5I7OUK5573 .04/13/2012 .01/16/2018 ..................1 .........813,000 ...........0.0713 ...........12,708 - ................... ........................ .........................15 ... ................15 ...............(46) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2020........... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2014 .01/17/2020 ..................1 ...........80,000 ...........0.0778 ................850 - ................... ........................ .........................63 ... ................63 ...............(32) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2020........... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2014 .01/17/2020 ..................1 ...........50,000 ...........0.0778 ................600 - ................... ........................ .........................39 ... ................39 ...............(20) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2018.................. BOLI Separate Accounts Hedge........ N/A......... a..........BARCLAYS BANKPLC G5GSEF7VJP5I7OUK5573 .04/13/2012 .04/13/2018 ..................1 .........813,000 ...........0.0713 ...........13,281 - ................... ........................ .........................33 ... ................33 ...............(85) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2018.................. BOLI Separate Accounts Hedge........ N/A......... a..........BARCLAYS BANKPLC G5GSEF7VJP5I7OUK5573 .04/13/2012 .04/13/2018 ..................1 .........488,000 ...........0.0713 .............7,973 - ................... ........................ .........................20 ... ................20 ...............(51) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2019.................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2014 .04/17/2019 ..................1 ...........80,000 ...........0.0778 ................700 - ................... ........................ .........................22 ... ................22 ...............(18) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2019.................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2014 .04/17/2019 ..................1 ...........50,000 ...........0.0778 ................450 - ................... ........................ .........................14 ... ................14 ...............(11) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2020.................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2014 .04/17/2020 ..................1 ......4,210,000 ...........0.0778 ...........38,400 - ................... ........................ ...................4,323 ... ...........4,323 ..........(1,872) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2020.................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2014 .04/17/2020 ..................1 ......2,560,000 ...........0.0778 ...........23,475 - ................... ........................ ...................2,629 ... ...........2,629 ..........(1,138) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2017.................... BOLI Separate Accounts Hedge........ N/A......... a..........BARCLAYS BANKPLC G5GSEF7VJP5I7OUK5573 .04/13/2012 .07/13/2017 ..................1 .........813,000 ...........0.0713 ...........11,336 - ................... ........................ ...........................1 ... ..................1 .................(7) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2017.................... BOLI Separate Accounts Hedge........ N/A......... a..........BARCLAYS BANKPLC G5GSEF7VJP5I7OUK5573 .04/13/2012 .07/13/2017 ..................1 .........488,000 ...........0.0713 .............6,805 - ................... ........................ ...........................1 ... ..................1 .................(4) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2019.................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2014 .07/17/2019 ..................1 ...........50,000 ...........0.0778 ................475 - ................... ........................ .........................21 ... ................21 ...............(14) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2019.................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2014 .07/17/2019 ..................1 ...........80,000 ...........0.0778 ................750 - ................... ........................ .........................33 ... ................33 ...............(23) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2017.......... BOLI Separate Accounts Hedge........ N/A......... a..........BARCLAYS BANKPLC G5GSEF7VJP5I7OUK5573 .04/13/2012 .10/13/2017 ..................1 .........813,000 ...........0.0713 ...........12,041 - ................... ........................ ...........................6 ... ..................6 ...............(20) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2017.......... BOLI Separate Accounts Hedge........ N/A......... a..........BARCLAYS BANKPLC G5GSEF7VJP5I7OUK5573 .04/13/2012 .10/13/2017 ..................1 .........488,000 ...........0.0713 .............7,227 - ................... ........................ ...........................3 ... ..................3 ...............(12) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2019.......... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2014 .10/17/2019 ..................1 ...........80,000 ...........0.0778 ................800 - ................... ........................ .........................47 ... ................47 ...............(27) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2019.......... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2014 .10/17/2019 ..................1 ...........50,000 ...........0.0778 ................500 - ................... ........................ .........................29 ... ................29 ...............(17) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2022........... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .01/15/2016 .01/18/2022 ..................1 ......5,910,000 ...........0.0687 - ................... ...........31,963 ........................ .................25,914 ... .........25,914 ..........(6,049) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2022........... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .01/15/2016 .01/18/2022 ..................1 ......3,090,000 ...........0.0687 - ................... ...........16,712 ........................ .................13,549 ... .........13,549 ..........(3,163) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2021.................... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .07/15/2015 .07/15/2021 ..................1 ......3,990,000 ...........0.0748 ...........19,950 - ................... ........................ .................11,416 ... .........11,416 ..........(2,403) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2021.................... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .07/15/2015 .07/15/2021 ..................1 ......2,990,000 ...........0.0748 ...........14,950 - ................... ........................ ...................8,555 ... ...........8,555 ..........(1,801) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2021.......... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .10/22/2015 .10/22/2021 ..................1 ......5,370,000 ...........0.0700 ...........29,535 - ................... ........................ .................20,526 ... .........20,526 ..........(4,563) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2021.......... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .10/22/2015 .10/22/2021 ..................1 ......3,130,000 ...........0.0700 ...........17,215 - ................... ........................ .................11,964 ... .........11,964 ..........(2,660) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2019........... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/22/2013 .01/22/2019 ..................1 .........220,000 ...........0.0768 .............2,618 - ................... ........................ .........................41 ... ................41 ...............(42) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2019........... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/22/2013 .01/22/2019 ..................1 .........130,000 ...........0.0768 .............1,547 - ................... ........................ .........................24 ... ................24 ...............(25) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2019.................. BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/22/2013 .04/23/2019 ..................1 .........220,000 ...........0.0768 .............2,728 - ................... ........................ .........................66 ... ................66 ...............(55) - ................ - .................. - .............. ........................ ................. 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.1

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)SWAPTIONS APRIL 2019.................. BOLI Separate Accounts Hedge........ N/A......... a..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/22/2013 .04/23/2019 ..................1 .........130,000 ...........0.0768 .............1,612 - ................... ........................ .........................39 ... ................39 ...............(32) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2018.................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/22/2013 .07/23/2018 ..................1 .........220,000 ...........0.0768 .............2,332 - ................... ........................ .........................12 ... ................12 ...............(21) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2018.................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/22/2013 .07/23/2018 ..................1 .........130,000 ...........0.0768 .............1,378 - ................... ........................ ...........................7 ... ..................7 ...............(13) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2019.................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/22/2013 .07/22/2019 ..................1 ......3,930,000 ...........0.0768 ...........50,304 - ................... ........................ ...................1,737 ... ...........1,737 ..........(1,207) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2019.................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/22/2013 .07/22/2019 ..................1 ......2,470,000 ...........0.0768 ...........31,616 - ................... ........................ ...................1,092 ... ...........1,092 .............(759) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2018.......... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/22/2013 .10/22/2018 ..................1 .........220,000 ...........0.0768 .............2,464 - ................... ........................ .........................24 ... ................24 ...............(31) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2018.......... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/22/2013 .10/22/2018 ..................1 .........130,000 ...........0.0768 .............1,456 - ................... ........................ .........................14 ... ................14 ...............(18) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2021.......... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .01/15/2016 .10/15/2021 ..................1 .........330,000 ...........0.0687 - ................... .............1,600 ........................ ...................1,312 ... ...........1,312 .............(288) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2021.......... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .01/15/2016 .10/15/2021 ..................1 .........170,000 ...........0.0687 - ................... ................800 ........................ .......................676 ... ..............676 .............(124) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2019........... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/15/2014 .01/15/2019 ..................1 ...........60,000 ...........0.0800 ................561 - ................... ........................ ...........................9 ... ..................9 .................(9) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2019........... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/15/2014 .01/15/2019 ..................1 ...........40,000 ...........0.0800 ................374 - ................... ........................ ...........................6 ... ..................6 .................(6) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2020........... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/15/2014 .01/15/2020 ..................1 ......4,110,000 ...........0.0800 ...........47,453 - ................... ........................ ...................2,898 ... ...........2,898 ..........(1,417) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2020........... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/15/2014 .01/15/2020 ..................1 ......2,530,000 ...........0.0800 ...........29,217 - ................... ........................ ...................1,784 ... ...........1,784 .............(872) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2019.................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/15/2014 .04/15/2019 ..................1 ...........60,000 ...........0.0800 ................596 - ................... ........................ .........................14 ... ................14 ...............(11) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2019.................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/15/2014 .04/15/2019 ..................1 ...........40,000 ...........0.0800 ................397 - ................... ........................ ...........................9 ... ..................9 .................(8) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2019.................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/15/2014 .07/15/2019 ..................1 ...........60,000 ...........0.0800 ................629 - ................... ........................ .........................21 ... ................21 ...............(15) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2019.................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/15/2014 .07/15/2019 ..................1 ...........40,000 ...........0.0800 ................420 - ................... ........................ .........................14 ... ................14 ...............(10) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2019.......... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/15/2014 .10/15/2019 ..................1 ...........40,000 ...........0.0800 ................441 - ................... ........................ .........................21 ... ................21 ...............(12) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2019.......... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/15/2014 .10/15/2019 ..................1 ...........60,000 ...........0.0800 ................662 - ................... ........................ .........................31 ... ................31 ...............(18) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2019........... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2013 .01/17/2019 ..................1 .........420,000 ...........0.0687 .............5,686 - ................... ........................ .......................143 ... ..............143 .............(161) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2019........... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2013 .01/17/2019 ..................1 .........230,000 ...........0.0687 .............3,114 - ................... ........................ .........................78 ... ................78 ...............(88) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2018.................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2013 .04/17/2018 ..................1 .........450,000 ...........0.0687 .............4,886 - ................... ........................ .........................25 ... ................25 ...............(66) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2018.................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2013 .04/17/2018 ..................1 .........250,000 ...........0.0687 .............2,714 - ................... ........................ .........................14 ... ................14 ...............(37) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2019.................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2013 .04/17/2019 ..................1 ......3,880,000 ...........0.0687 ...........56,116 - ................... ........................ ...................1,976 ... ...........1,976 ..........(1,838) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2019.................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2013 .04/17/2019 ..................1 ......2,170,000 ...........0.0687 ...........31,384 - ................... ........................ ...................1,105 ... ...........1,105 ..........(1,028) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2018.................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2013 .07/17/2018 ..................1 .........450,000 ...........0.0687 .............5,271 - ................... ........................ .........................52 ... ................52 ...............(99) - ................ - .................. - .............. ........................ ................. 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.2

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

Description

Description of Items(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedgedItems

PotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

SWAPTIONS JULY 2018.................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2013 .07/17/2018 .................1 ........250,000 ..........0.0687 ............2,929 - ................. ....................... .......................29 ... ...............29 ..............(55) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2018......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2013 .10/17/2018 .................1 ........450,000 ..........0.0687 ............5,721 - ................. ....................... .......................95 ... ...............95 ............(136) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2018......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2013 .10/17/2018 .................1 ........250,000 ..........0.0687 ............3,179 - ................. ....................... .......................53 ... ...............53 ..............(75) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2019.......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/30/2013 .01/30/2019 .................1 ..........50,000 ..........0.0764 ...............560 - ................. ....................... .......................10 ... ...............10 ..............(10) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2019.......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/30/2013 .01/30/2019 .................1 ..........90,000 ..........0.0764 ............1,008 - ................. ....................... .......................18 ... ...............18 ..............(18) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2019................ BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/30/2013 .04/30/2019 .................1 ..........50,000 ..........0.0764 ...............593 - ................. ....................... .......................16 ... ...............16 ..............(13) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2019................ BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/30/2013 .04/30/2019 .................1 ..........90,000 ..........0.0764 ............1,068 - ................. ....................... .......................29 ... ...............29 ..............(23) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2019.................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/30/2013 .07/30/2019 .................1 ..........90,000 ..........0.0764 ............1,125 - ................. ....................... .......................42 ... ...............42 ..............(29) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2019.................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/30/2013 .07/30/2019 .................1 ..........50,000 ..........0.0764 ...............625 - ................. ....................... .......................23 ... ...............23 ..............(16) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2018......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/30/2013 .10/30/2018 .................1 ..........90,000 ..........0.0764 ...............947 - ................. ....................... .......................11 ... ...............11 ..............(14) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2018......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/30/2013 .10/30/2018 .................1 ..........50,000 ..........0.0764 ...............526 - ................. ....................... .........................6 ... .................6 ................(8) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2019......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/30/2013 .10/30/2019 .................1 .....4,020,000 ..........0.0764 ..........52,711 - ................. ....................... ..................2,644 ... ..........2,644 .........(1,546) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2019......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/30/2013 .10/30/2019 .................1 .....2,520,000 ..........0.0764 ..........33,043 - ................. ....................... ..................1,658 ... ..........1,658 ............(969) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2018.......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/22/2013 .01/22/2018 .................1 .....1,000,000 ..........0.0685 ............8,657 - ................. ....................... .......................29 ... ...............29 ..............(87) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2018.......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/22/2013 .01/22/2018 .................1 ........600,000 ..........0.0685 ............5,194 - ................. ....................... .......................17 ... ...............17 ..............(52) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2019.......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/22/2013 .01/22/2019 .................1 .....3,400,000 ..........0.0685 ..........39,087 - ................. ....................... ..................1,193 ... ..........1,193 .........(1,341) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2019.......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/22/2013 .01/22/2019 .................1 .....2,000,000 ..........0.0685 ..........22,749 - ................. ....................... .....................702 ... .............702 ............(789) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2018................ BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/22/2013 .04/23/2018 .................1 ........400,000 ..........0.0685 ............3,762 - ................. ....................... .......................24 ... ...............24 ..............(62) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2018................ BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/22/2013 .04/23/2018 .................1 ........700,000 ..........0.0685 ............6,583 - ................. ....................... .......................43 ... ...............43 ............(108) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS MAY 2018................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.11/01/2012 .05/01/2018 .................1 ........900,000 ..........0.0677 ..........11,000 - ................. ....................... .......................65 ... ...............65 ............(160) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS MAY 2018................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.11/01/2012 .05/01/2018 .................1 ........530,000 ..........0.0677 ............6,000 - ................. ....................... .......................38 ... ...............38 ..............(94) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2018.................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/22/2013 .07/23/2018 .................1 ........600,000 ..........0.0685 ............6,075 - ................. ....................... .......................74 ... ...............74 ............(138) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2018.................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/22/2013 .07/23/2018 .................1 ........300,000 ..........0.0685 ............3,038 - ................. ....................... .......................37 ... ...............37 ..............(69) - ............... - ................ - ............. ....................... ................ 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.3

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

Description

Description of Items(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedgedItems

PotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

SWAPTIONS JULY 2020.................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.07/30/2014 .07/30/2020 .................1 .....4,040,000 ..........0.0765 ..........31,108 - ................. ....................... ..................5,725 ... ..........5,725 .........(2,162) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2020.................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.07/30/2014 .07/30/2020 .................1 .....2,440,000 ..........0.0765 ..........18,788 - ................. ....................... ..................3,457 ... ..........3,457 .........(1,306) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS AUGUST 2018........... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.11/01/2012 .08/01/2018 .................1 .....1,840,000 ..........0.0677 ..........23,000 - ................. ....................... .....................265 ... .............265 ............(479) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS AUGUST 2018........... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.11/01/2012 .08/01/2018 .................1 .....1,100,000 ..........0.0677 ..........14,000 - ................. ....................... .....................158 ... .............158 ............(287) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2018......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/22/2013 .10/22/2018 .................1 ........900,000 ..........0.0685 ............9,743 - ................. ....................... .....................198 ... .............198 ............(280) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2018......... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/22/2013 .10/22/2018 .................1 ........500,000 ..........0.0685 ............5,413 - ................. ....................... .....................110 ... .............110 ............(156) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS NOVEMBER 2018...... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.11/01/2012 .11/01/2018 .................1 .....2,470,000 ..........0.0677 ..........32,000 - ................. ....................... .....................623 ... .............623 ............(863) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS NOVEMBER 2018...... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.11/01/2012 .11/01/2018 .................1 .....1,480,000 ..........0.0677 ..........20,000 - ................. ....................... .....................373 ... .............373 ............(517) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2017.......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/13/2011 .01/13/2017 .................1 .....1,150,000 ..........0.1010 ..........15,238 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2017.......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/13/2011 .01/13/2017 .................1 ........720,000 ..........0.1010 ............9,540 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2017.......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .10/21/2011 .01/23/2017 .................1 ........700,000 ..........0.0740 ..........10,089 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2017.......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .10/21/2011 .01/23/2017 .................1 ........410,000 ..........0.0740 ............5,909 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2017.......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2012 .01/13/2017 .................1 ........650,000 ..........0.0700 ............8,875 - ................. ....................... ............................. ... ..................... ..................... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2017.......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2012 .01/13/2017 .................1 ........390,000 ..........0.0700 ............5,344 - ................. ....................... ............................. ... ..................... ..................... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2018.......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2012 .01/16/2018 .................1 ........650,000 ..........0.0700 ..........11,600 - ................. ....................... .......................15 ... ...............15 ..............(44) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JANUARY 2018.......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2012 .01/16/2018 .................1 ........390,000 ..........0.0700 ............6,933 - ................. ....................... .........................9 ... .................9 ..............(26) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2017................ BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .07/12/2011 .04/12/2017 .................1 ........570,000 ..........0.0808 ..........12,155 - ................. ....................... ............................. ... ..................... ..................... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2017................ BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .07/12/2011 .04/12/2017 .................1 ........330,000 ..........0.0808 ............7,037 - ................. ....................... ............................. ... ..................... ..................... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2016................ BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/13/2011 .04/13/2016 .................1 .....1,150,000 ..........0.1010 ..........13,110 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2016................ BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/13/2011 .04/13/2016 .................1 ........720,000 ..........0.1010 ............8,208 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2017................ BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/13/2011 .04/13/2017 .................1 .....1,150,000 ..........0.1010 ..........15,813 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2017................ BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/13/2011 .04/13/2017 .................1 ........720,000 ..........0.1010 ............9,900 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2017................ BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .10/21/2011 .04/21/2017 .................1 ........700,000 ..........0.0740 ..........10,661 - ................. ....................... ............................. ... ..................... ................(1) - ............... - ................ - ............. ....................... ................ 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.4

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

Description

Description of Items(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedgedItems

PotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

SWAPTIONS APRIL 2017................ BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .10/21/2011 .04/21/2017 .................1 ........410,000 ..........0.0740 ............6,244 - ................. ....................... ............................. ... ..................... ..................... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2017................ BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2012 .04/13/2017 .................1 ........650,000 ..........0.0700 ............9,565 - ................. ....................... ............................. ... ..................... ................(2) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS APRIL 2017................ BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2012 .04/13/2017 .................1 ........390,000 ..........0.0700 ............5,737 - ................. ....................... ............................. ... ..................... ................(1) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2016.................. BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .07/12/2011 .07/12/2016 .................1 ........330,000 ..........0.0808 ............6,213 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2016.................. BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .07/12/2011 .07/12/2016 .................1 ........570,000 ..........0.0808 ..........10,730 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2017.................. BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .07/12/2011 .07/12/2017 .................1 ........570,000 ..........0.0808 ..........12,540 - ................. ....................... ............................. ... ..................... ................(1) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2017.................. BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .07/12/2011 .07/12/2017 .................1 ........330,000 ..........0.0808 ............7,260 - ................. ....................... ............................. ... ..................... ..................... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2016.................. BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/13/2011 .07/13/2016 .................1 .....1,150,000 ..........0.1010 ..........13,915 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2016.................. BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/13/2011 .07/13/2016 .................1 ........720,000 ..........0.1010 ............8,712 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2017.................. BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .10/21/2011 .07/21/2017 .................1 ........700,000 ..........0.0740 ..........11,212 - ................. ....................... .........................1 ... .................1 ................(4) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2017.................. BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .10/21/2011 .07/21/2017 .................1 ........410,000 ..........0.0740 ............6,567 - ................. ....................... ............................. ... ..................... ................(2) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2017.................. BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2012 .07/13/2017 .................1 ........650,000 ..........0.0700 ..........10,250 - ................. ....................... .........................1 ... .................1 ................(7) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS JULY 2017.................. BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2012 .07/13/2017 .................1 ........390,000 ..........0.0700 ............6,146 - ................. ....................... .........................1 ... .................1 ................(4) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2016......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .07/12/2011 .10/12/2016 .................1 ........570,000 ..........0.0808 ..........11,343 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2016......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .07/12/2011 .10/12/2016 .................1 ........330,000 ..........0.0808 ............6,567 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2016......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/13/2011 .10/13/2016 .................1 ........720,000 ..........0.1010 ............9,180 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2016......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/13/2011 .10/13/2016 .................1 .....1,150,000 ..........0.1010 ..........14,663 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2016......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .10/21/2011 .10/21/2016 .................1 ........410,000 ..........0.0740 ............5,533 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2016......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .10/21/2011 .10/21/2016 .................1 ........700,000 ..........0.0740 ............9,446 - ................. ....................... ............................. ... ..................... - ............... - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2017......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .10/21/2011 .10/23/2017 .................1 ........700,000 ..........0.0740 ..........11,743 - ................. ....................... .........................4 ... .................4 ..............(12) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2017......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .10/21/2011 .10/23/2017 .................1 ........410,000 ..........0.0740 ............6,878 - ................. ....................... .........................2 ... .................2 ................(7) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2017......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2012 .10/13/2017 .................1 ........650,000 ..........0.0700 ..........10,910 - ................. ....................... .........................6 ... .................6 ..............(20) - ............... - ................ - ............. ....................... ................ 001...............

SWAPTIONS OCTOBER 2017......... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2012 .10/13/2017 .................1 ........390,000 ..........0.0700 ............6,540 - ................. ....................... .........................3 ... .................3 ..............(12) - ............... - ................ - ............. ....................... ................ 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.5

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

SWAPTIONS JANUARY 2017........... BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .07/12/2011 .01/12/2017 ..................1 .........570,000 ...........0.0808 ...........11,813 - ................... ........................ .............................. ... ...................... - ................ - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2017........... BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .07/12/2011 .01/12/2017 ..................1 .........330,000 ...........0.0808 .............6,839 - ................... ........................ .............................. ... ...................... - ................ - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2018........... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/04/2015 .01/29/2018 ..................1 .........940,000 ...........0.0660 .............1,065 - ................... ........................ .........................41 ... ................41 .............(123) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2018........... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/04/2015 .01/29/2018 ..................1 .........570,000 ...........0.0660 ................646 - ................... ........................ .........................25 ... ................25 ...............(74) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2021........... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/14/2015 .01/14/2021 ..................1 ......3,970,000 ...........0.0694 ...........30,966 - ................... ........................ .................10,582 ... .........10,582 ..........(3,768) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JANUARY 2021........... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/14/2015 .01/14/2021 ..................1 ......2,410,000 ...........0.0694 ...........18,798 - ................... ........................ ...................6,424 ... ...........6,424 ..........(2,287) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2018.................. BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/04/2015 .04/27/2018 ..................1 .........570,000 ...........0.0660 ................891 - ................... ........................ .........................49 ... ................49 .............(123) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2018.................. BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/04/2015 .04/27/2018 ..................1 .........940,000 ...........0.0660 .............1,470 - ................... ........................ .........................81 ... ................81 .............(204) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2021.................. BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.04/13/2015 .04/13/2021 ..................1 ......4,000,000 ...........0.0702 ...........20,800 - ................... ........................ .................11,911 ... .........11,911 ..........(3,377) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS APRIL 2021.................. BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.04/13/2015 .04/13/2021 ..................1 ......2,380,000 ...........0.0702 ...........12,376 - ................... ........................ ...................7,087 ... ...........7,087 ..........(2,009) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2017.................... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/04/2015 .07/27/2017 ..................1 .........940,000 ...........0.0660 ................451 - ................... ........................ ...........................5 ... ..................5 ...............(27) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2017.................... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/04/2015 .07/27/2017 ..................1 .........570,000 ...........0.0660 ................274 - ................... ........................ ...........................3 ... ..................3 ...............(16) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2018.................... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/04/2015 .07/27/2018 ..................1 .........940,000 ...........0.0660 .............1,909 - ................... ........................ .......................156 ... ..............156 .............(291) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS JULY 2018.................... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/04/2015 .07/27/2018 ..................1 .........570,000 ...........0.0660 .............1,158 - ................... ........................ .........................95 ... ................95 .............(177) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2017.......... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/04/2015 .10/27/2017 ..................1 .........940,000 ...........0.0660 ................728 - ................... ........................ .........................18 ... ................18 ...............(64) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2017.......... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/04/2015 .10/27/2017 ..................1 .........570,000 ...........0.0660 ................442 - ................... ........................ .........................11 ... ................11 ...............(39) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2020.......... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.10/23/2014 .10/23/2020 ..................1 ......3,970,000 ...........0.0740 ...........32,157 - ................... ........................ ...................7,515 ... ...........7,515 ..........(2,660) - ................ - .................. - .............. ........................ ................. 001...............

SWAPTIONS OCTOBER 2020.......... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.10/23/2014 .10/23/2020 ..................1 ......2,410,000 ...........0.0740 ...........19,521 - ................... ........................ ...................4,562 ... ...........4,562 ..........(1,615) - ................ - .................. - .............. ........................ ................. 001...............

0139999. Total-Purchased Options-Hedging Other-Other................................................................. .................................................................................. .......................................................................................................................... ......1,406,468 ...........51,075 ....................0 ...............178,848 XXX .......178,848 ........(61,232) ..................0 ...................0 ................0 ....................0 XXX XXX0149999. Total-Purchased Options-Hedging Other............................................................................ .................................................................................. .......................................................................................................................... ......1,406,468 ...........51,075 ....................0 ...............178,848 XXX .......178,848 ........(61,232) ..................0 ...................0 ................0 ....................0 XXX XXX0419999. Total-Purchased Options-Other........................................................................................... .................................................................................. .......................................................................................................................... ......1,406,468 ...........51,075 ....................0 ...............178,848 XXX .......178,848 ........(61,232) ..................0 ...................0 ................0 ....................0 XXX XXX0429999. Total-Purchased Options...................................................................................................... .................................................................................. .......................................................................................................................... ......1,406,468 ...........51,075 ....................0 ...............178,848 XXX .......178,848 ........(61,232) ..................0 ...................0 ................0 ....................0 XXX XXX

Swaps - Hedging Effective - Interest Rate

IRS AUGUST 2028 RCV 5.23 PAYLIB90 16162LAA1 Chase Capital IV............. D 1.......... a..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .11/19/2004 .08/01/2028 ..................1 ....13,300,000

5.2348%(L-90day) ........................ ........................ .........152,882 .............................. ... ....5,141,761 ...................... - ................ - .................. - .............. .........233,567 ................. 100 / 100......

IRS FEBRUARY 2045 RCV 5.01 PAYLIB6M 4081324 BNP Paribas SA................... D 1.......... a..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .02/02/2005 .02/02/2045 ..................1 ......5,000,000

5.005%(L-180day) ........................ ........................ ...........55,772 .............................. ... ....2,987,196 ...................... - ................ - .................. - .............. .........134,255 ................. 100 / 100......

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.6

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS MARCH 2035 RCV 5.16 PAYLIB90

638539A*7 National WestminsterBank PLC D 1.......... a..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/03/2005 .03/21/2035 ..................1 ......4,000,000

5.16%(L-90day) ........................ ........................ ...........45,782 .............................. ... ....2,022,779 ...................... - ................ - .................. - .............. ...........87,121 ................. 100 / 100......

IRS MARCH 2018 RCV 2.92 PAYLIB90 C79742AL3 Royal Bank of Canada... D 1.......... a..........

TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/10/2011 .03/31/2018 ..................1 ....25,000,000

2.923%(L-90day) ........................ ........................ .........148,297 .............................. ... ....1,024,940 ...................... - ................ - .................. - .............. .........176,777 ................. 100 / 100......

IRS MARCH 2018 RCV 2.94 PAYLIB6M G60956AB8 HSBC -Midland Bank..... D 1.......... a..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/12/2011 .03/31/2018 ..................1 ....22,000,000

2.938%(L-180day) ........................ ........................ .........131,944 .............................. ... .......822,448 ...................... - ................ - .................. - .............. .........155,563 ................. 100 / 100......

IRS JANUARY 2018 RCV 2.84 PAYLIB6M G07980AF5 Barclay Bank.................. D 1.......... a..........

GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/12/2011 .01/20/2018 ..................1 ....12,000,000

2.84%(L-180day) ........................ ........................ ...........63,768 .............................. ... .......402,955 ...................... - ................ - .................. - .............. ...........80,623 ................. 100 / 100......

IRS FEBRUARY 2018 RCV 2.80 PAYLIB6M G07980AH1 Barclay Bank.................. D 1.......... a..........

TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/12/2011 .02/28/2018 ..................1 ....15,000,000

2.7975%(L-180day) ........................ ........................ ...........82,730 .............................. ... .......574,047 ...................... - ................ - .................. - .............. .........103,682 ................. 100 / 100......

IRS FEBRUARY 2018 RCV 2.86 PAYLIB90

48123KAA4 JP Morgan ChaseCapital XXI D 1.......... a..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/13/2011 .02/02/2018 ..................1 ....10,000,000

2.856%(L-90day) ........................ ........................ ...........59,309 .............................. ... .......368,959 ...................... - ................ - .................. - .............. ...........67,803 ................. 100 / 100......

IRS FEBRUARY 2018 RCV 2.74 PAYLIB90

638539A*7 National WestminsterBank PLC D 1.......... a..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/13/2011 .02/28/2018 ..................1 ......4,500,000

2.7375%(L-90day) ........................ ........................ ...........26,991 .............................. ... .......171,702 ...................... - ................ - .................. - .............. ...........31,105 ................. 100 / 100......

IRS FEBRUARY 2018 RCV 2.95 PAYLIB6M C06840AG4 Bank of Nova Scotia...... D 1.......... a..........

TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2011 .02/28/2018 ..................1 ......5,000,000

2.945%(L-180day) ........................ ........................ ...........27,854 .............................. ... .......181,754 ...................... - ................ - .................. - .............. ...........34,561 ................. 100 / 100......

IRS MAY 2018 RCV 3.00 PAY LIB6M F43638AD1 Societe Generale............ D 1.......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2011 .05/31/2018 ..................1 ......4,000,000

2.9975%(L-180day) ........................ ........................ ...........23,489 .............................. ... .......168,762 ...................... - ................ - .................. - .............. ...........29,439 ................. 100 / 100......

IRS MAY 2018 RCV 3.00 PAY LIB6M F43638AD1 Societe Generale............ D 1.......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/13/2011 .05/31/2018 ..................1 ..300,000,000

2.9975%(L-180day) ........................ ........................ - ................... .............................. ... ...(2,424,330) ...................... - ................ - .................. - .............. ......2,207,940 ................. 100 / 100......

0859999. Total-Swaps-Hedging Effective-Interest Rate..................................................................... .................................................................................. .......................................................................................................................... ....................0 ....................0 .........818,818 ...........................0 XXX ..11,442,973 ..................0 ..................0 ...................0 ................0 ......3,342,436 XXX XXX

Swaps - Hedging Effective - Foreign ExchangeCURRENCY SWAP DECEMBER2016 278865B@8 Ecolab Inc...................... D 1.......... c.......... BANK OF AMERICA B4TYDEB6GKMZO031MB27.12/14/2006 .12/14/2016 ..................1 ....30,000,000 ...........0.0588 - ................... - ................... - ................... .............................. ... ....3,126,301 - ................ - ................ - .................. - .............. .........125,996 ................. 100 / 100......

CURRENCY SWAP FEBRUARY2024

952637AA4 West Edmonton MallPPTY D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .02/04/2014 .02/13/2024 ..................1 ....18,051,000

4.259%(4.309%) - ................... - ................... ...........32,217 ............2,651,577 ... ....2,838,329 - ................ ......(945,422) - .................. - .............. .........253,188 ................. 100 / 100......

CURRENCY SWAP FEBRUARY2024

952637AA4 West Edmonton MallPPTY D 1.......... c..........

WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.07/08/2015 .02/13/2024 ..................1 ......7,852,992 4.63%(4.31%) ..........(10,207) - ................... ...........10,822 ...............155,725 ... .......218,086 - ................ ......(508,919) ...............450 - .............. .........110,148 ................. 100 / 100......

CURRENCY SWAP DECEMBER2028

58533TAB6 Melancthon Wolfe WindLP D 1.......... c..........

JP MORGANCHASE BANK NA 7H6GLXDRUGQFU57RNE97.09/24/2015 .12/31/2028 ..................1 ....11,242,692 4.07%(3.83%) ........................ - ................... ...........10,523 ..............(306,875) ... ......(352,813) - ................ ......(709,067) - .................. - .............. .........200,722 ................. 100 / 100......

CURRENCY SWAP JULY 2026......... L8367#AC7 Shurgard Luxembourg... D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/25/2014 .07/24/2026 ..................1 ....13,636,000

4.734%(3.26%) - ................... - ................... ...........72,291 ............2,256,976 ... ....2,360,631 - ................ ......(511,467) - .................. - .............. .........218,991 ................. 100 / 100......

CURRENCY SWAP MARCH 2030.... EK8055080 - Coca - Cola Enterprises D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.06/23/2015 .03/18/2030 ..................1 ....11,188,000

3.40%(1.875%) ..........(46,617) - ................... ...........42,336 ..............(218,978) ... ......(567,745) - ................ ......(455,578) ...............807 - .............. .........209,059 ................. 100 / 100......

CURRENCY SWAP MARCH 2030.... EK8055080 Coca Cola Enterprises... D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.07/08/2015 .03/18/2030 ..................1 ......8,729,500 3.47%(1.88%) ..........(44,510) - ................... ...........34,137 ..............(279,167) ... ......(502,251) - ................ ......(362,447) ...............180 - .............. .........163,119 ................. 100 / 100......

CURRENCY SWAP MARCH 2027....EK7723522 Mondelez InternationalInc D 1.......... c..........

JP MORGANCHASE BANK NA 7H6GLXDRUGQFU57RNE97.07/29/2015 .03/08/2027 ..................1 ....14,879,700 3.30%(1.63%) ........(103,378) - ................... ...........58,247 ..............(554,137) ... ......(793,006) - ................ ......(647,127) ..............(191) - .............. .........246,066 ................. 100 / 100......

CURRENCY SWAP DECEMBER2021 97342VAJ3 Windmw GMBH............... D 1.......... c..........

WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.12/07/2015 .12/30/2021 ..................1 ......8,680,800 4.00%(2.13%) - ................... - ................... ...........46,701 ..............(422,419) ... ......(423,096) - ................ ......(409,173) - .................. - .............. .........104,079 ................. 100 / 100......

CURRENCY SWAP MAY 2030.......... 452308AW9 Illinois Tool Works Inc... D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.12/16/2015 .05/22/2030 ..................1 ....10,932,000 3.75%(2.13%) ........(104,526) - ................... ...........44,169 ..............(538,708) ... ......(794,316) - ................ ......(500,036) ............2,714 - .............. .........205,571 ................. 100 / 100......

CURRENCY SWAP MAY 2034..........EK2700335 JP MORGAN CHASEBANK NA D1........... c..........

JP MORGANCHASE BANK NA 7H6GLXDRUGQFU57RNE97.01/11/2016 .05/19/2034 ..................1 ......8,420,375 4.53%(3%)..... - ................... ..........(85,128) ...........27,456 ..............(503,838) ... ...(1,040,895) - ................ ......(421,477) ............2,767 - .............. .........179,297 ................. 100 / 100......

CURRENCY SWAP NOVEMBER2032

81728DA*3 Sentinel Housing AssnLimited D 1.......... c..........

GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/04/2012 .11/14/2032 ..................1 ....24,207,000 4.8%(4.77%).. - ................... - ................... ...........18,029 ............2,663,324 ... ....1,737,608 - ................ .......569,455 - .................. - .............. .........493,464 ................. 100 / 100......

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.7

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)CURRENCY SWAP APRIL 2023....... G1745*AB7 Brookfield Utilities PLC... D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/13/2013 .04/17/2023 ..................1 ......7,459,000 4.5%(4.1%).... - ................... - ................... .............4,810 ...............277,775 ... .......302,122 - ................ .......189,818 - .................. - .............. ...........99,006 ................. 100 / 100......

CURRENCY SWAP MAY 2023.......... 318069B#7 Finning International....... D 1.......... c..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/10/2013 .05/22/2023 ..................1 ....15,375,000 3.673%(3.4%) - ................... - ................... ...........12,018 ............1,012,549 ... .......985,793 - ................ .......379,636 - .................. - .............. .........205,480 ................. 100 / 100......

CURRENCY SWAP DECEMBER2023 G6774*AA2 Origin Finance 2 PLC..... D 1.......... c..........

CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .10/16/2013 .12/11/2023 ..................1 ....12,752,000 4.767%(4.5%) - ................... - ................... ...........14,942 ............1,262,039 ... ....1,391,484 - ................ .......303,709 - .................. - .............. .........176,895 ................. 100 / 100......

CURRENCY SWAP DECEMBER2028 G6774*AB0 Origin Finance 2 PLC..... D 1.......... c..........

CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .10/16/2013 .12/11/2028 ..................1 ....12,752,000

5.106%(4.66%) - ................... - ................... ...........20,877 ............1,262,039 ... ....1,579,740 - ................ .......303,709 - .................. - .............. .........227,197 ................. 100 / 100......

CURRENCY SWAP MAY 2029..........G7017#AA3 Perpetual Income &Growth Invest Trust D 1.......... c..........

WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.03/28/2014 .05/08/2029 ..................1 ....15,136,940

4.693%(4.37%) - ................... - ................... ...........27,975 ............2,067,110 ... ....2,385,407 - ................ .......345,469 - .................. - .............. .........273,991 ................. 100 / 100......

CURRENCY SWAP SEPTEMBER2029

G1261#AA9 Boston MayflowerFinance D 1.......... c..........

CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .08/22/2014 .09/05/2029 ..................1 ....24,876,000

4.455%(4.077%) - ................... - ................... ...........49,806 ............3,332,324 ... ....3,884,265 - ................ .......569,455 - .................. - .............. .........455,824 ................. 100 / 100......

CURRENCY SWAP APRIL 2044....... EK1533687 BHPA Finance................ D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/23/2015 .04/11/2044 ..................1 ......8,026,600

5.79%(4.816%) ..........(23,840) - ................... ...........17,227 ...............388,237 ... .......582,605 - ................ .......250,997 ............2,180 - .............. .........212,480 ................. 100 / 100......

CURRENCY SWAP APRIL 2044....... EK1533687 BHPA Finance................ D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/23/2015 .04/11/2044 ..................1 ......3,953,400

5.79%(4.816%) ..........(11,742) - ................... .............8,485 ...............191,221 ... .......286,955 - ................ .......123,625 ............1,074 - .............. .........104,654 ................. 100 / 100......

CURRENCY SWAP JUNE 2035........ G9722#AA5 Witan Investment........... D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.04/10/2015 .06/01/2035 ..................1 ....15,641,260

4.067%(3.29%) - ................... - ................... ...........26,303 ...............273,438 ... .......598,406 - ................ .......406,211 - .................. - .............. .........342,410 ................. 100 / 100......

CURRENCY SWAP JUNE 2035........ G9722#AA5 Witan Investment........... D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.04/10/2015 .06/01/2035 ..................1 ....15,056,540

4.067%(3.29%) - ................... - ................... ...........25,320 ...............263,216 ... .......576,035 - ................ .......391,025 - .................. - .............. .........329,610 ................. 100 / 100......

CURRENCY SWAP JUNE 2030........ G7496*AC3 RIT Capital Partner......... D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.04/22/2015 .06/01/2030 ..................1 ....25,557,800 4.04%(3.47%) - ................... - ................... ...........35,718 ............1,141,634 ... ....1,457,811 - ................ .......645,382 - .................. - .............. .........481,027 ................. 100 / 100......

CURRENCY SWAP SEPTEMBER2025 000779$Z1 ABP Acquisitions UK LTD D 1.......... c..........

JP MORGANCHASE BANK NA 7H6GLXDRUGQFU57RNE97.06/25/2015 .09/23/2025 ..................1 ....15,745,000

3.888%(3.43%) - ................... - ................... ...........19,255 ............1,382,549 ... ....1,636,583 - ................ .......379,636 - .................. - .............. .........242,398 ................. 100 / 100......

CURRENCY SWAP SEPTEMBER2045

G5391#AA3 Law Debenture CorpPLC (The) D 1.......... c..........

JP MORGANCHASE BANK NA 7H6GLXDRUGQFU57RNE97.08/28/2015 .09/25/2045 ..................1 ....30,716,000 4.61%(3.77%) - ................... - ................... ...........66,023 ............1,991,098 ... ....2,634,903 - ................ .......759,273 - .................. - .............. .........833,957 ................. 100 / 100......

CURRENCY SWAP NOVEMBER2030

G2730*AA4 Derwent Housing AssocLimited D 1.......... c..........

WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.10/23/2015 .11/10/2030 ..................1 ....18,426,000 4.33%(3.81%) - ................... - ................... ...........23,842 ............1,191,059 ... ....1,409,153 - ................ .......455,564 - .................. - .............. .........352,162 ................. 100 / 100......

0879999. Total-Swaps-Hedging Effective-Foreign Exchange............................................................ .................................................................................. .......................................................................................................................... ........(344,820) ..........(85,128) .........749,529 ..........20,939,768 XXX ..25,518,095 ..................0 .......602,251 ............9,981 ................0 ......6,846,791 XXX XXX0909999. Total-Swaps-Hedging Effective............................................................................................ .................................................................................. .......................................................................................................................... ........(344,820) ..........(85,128) ......1,568,347 ..........20,939,768 XXX ..36,961,068 ..................0 .......602,251 ............9,981 ................0 ....10,189,227 XXX XXX

Swaps - Hedging Other - Interest Rate

IRS JANUARY 2026........................... BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/21/2011 .01/25/2026 ..................1 ......1,200,000 LIBOR(4%).... - ................... - ................... ..........(10,319) ..............(258,210) ... ......(258,210) ........(61,410) - ................ - .................. - .............. ...........18,802 ................. 001...............

IRS NOVEMBER 2027........................ BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .11/08/2011 .11/10/2027 ..................1 ......1,000,000 LIBOR(3%).... - ................... - ................... ............(5,456) ................(99,180) ... ........(99,180) ........(57,805) - ................ - .................. - .............. ...........17,038 ................. 001...............

IRS MARCH 2027............................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/22/2012 .03/24/2027 ..................1 .........500,000 LIBOR(4%).... - ................... - ................... - ................... ................(84,015) ... ........(84,015) ........(30,747) - ................ - .................. - .............. .............8,285 ................. 001...............

IRS SEPTEMBER 2028...................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .09/21/2012 .09/23/2028 ..................1 ......1,000,000 LIBOR(3%).... - ................... - ................... - ................... ..............(113,002) ... ......(113,002) ........(56,056) - ................ - .................. - .............. ...........17,664 ................. 001...............

IRS DECEMBER 2028........................ BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .11/30/2012 .12/04/2028 ..................1 .........500,000 LIBOR(3%).... - ................... - ................... - ................... ................(47,008) ... ........(47,008) ........(27,239) - ................ - .................. - .............. .............8,901 ................. 001...............

IRS FEBRUARY 2028......................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/13/2012 .02/17/2028 ..................1 .........800,000 LIBOR(3%) .. - ................... - ................... - ................... ................(86,907) ... ........(86,907) ........(43,992) - ................ - .................. - .............. ...........13,787 ................. 001...............

IRS DECEMBER 2028........................ BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .12/18/2012 .12/20/2028 ..................1 .........500,000 LIBOR(3%) .. - ................... - ................... - ................... ................(61,084) ... ........(61,084) ........(27,826) - ................ - .................. - .............. .............8,917 ................. 001...............

IRS JANUARY 2029........................... BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/29/2013 .01/31/2029 ..................1 .........500,000 LIBOR(4%) .. - ................... - ................... - ................... ................(68,959) ... ........(68,959) ........(27,999) - ................ - .................. - .............. .............8,956 ................. 001...............

IRS FEBRUARY 2029......................... BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .02/19/2013 .02/21/2029 ..................1 ......1,000,000 LIBOR(4%) .. - ................... - ................... - ................... ..............(143,147) ... ......(143,147) ........(56,054) - ................ - .................. - .............. ...........17,952 ................. 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.8

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS MARCH 2028............................... BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .03/07/2013 .03/11/2028 ..................1 .........500,000 LIBOR(4%) .. - ................... - ................... - ................... ................(73,582) ... ........(73,582) ........(29,618) - ................ - .................. - .............. .............8,641 ................. 001...............

IRS MAY 2028..................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/13/2013 .05/15/2028 ..................1 .........500,000 LIBOR(4%) .. - ................... - ................... - ................... ................(72,277) ... ........(72,277) ........(29,310) - ................ - .................. - .............. .............8,705 ................. 001...............

IRS MAY 2028..................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/17/2013 .05/21/2028 ..................1 .........500,000 LIBOR(4%) .. - ................... - ................... - ................... ................(73,390) ... ........(73,390) ........(29,340) - ................ - .................. - .............. .............8,711 ................. 001...............

IRS MAY 2028..................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/28/2013 .05/30/2028 ..................1 .........500,000 LIBOR(4%) .. - ................... - ................... - ................... ................(80,238) ... ........(80,238) ........(29,603) - ................ - .................. - .............. .............8,720 ................. 001...............

IRS JULY 2028.................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/24/2013 .07/26/2028 ..................1 ......1,000,000 LIBOR(4%) .. - ................... - ................... - ................... ..............(212,629) ... ......(212,629) ........(61,099) - ................ - .................. - .............. ...........17,552 ................. 001...............

IRS AUGUST 2028............................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/15/2013 .08/19/2028 ..................1 ......1,000,000 LIBOR(5%) .. - ................... - ................... - ................... ..............(227,559) ... ......(227,559) ........(61,601) - ................ - .................. - .............. ...........17,597 ................. 001...............

IRS DECEMBER 2028........................ BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .12/06/2013 .12/10/2028 ..................1 ......1,000,000 LIBOR(5%) .. - ................... - ................... - ................... ..............(231,066) ... ......(231,066) ........(60,899) - ................ - .................. - .............. ...........17,815 ................. 001...............

IRS APRIL 2029.................................. BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .04/07/2014 .04/09/2029 ..................1 ......1,000,000

3.2425%(LIBOR) - ................... - ................... .............6,631 ...............166,934 ... .......166,934 .........64,266 - ................ - .................. - .............. ...........18,045 ................. 001...............

IRS MAY 2029..................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/01/2014 .05/06/2029 ..................1 ......1,000,000

3.1255%(LIBOR) - ................... - ................... .............6,548 ...............153,562 ... .......153,562 .........64,141 - ................ - .................. - .............. ...........18,097 ................. 001...............

IRS MAY 2019..................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/02/2014 .05/07/2019 ..................1 ......2,000,000 LIBOR(2%) .. - ................... - ................... ............(6,210) ................(48,019) ... ........(48,019) ........(29,008) - ................ - .................. - .............. ...........17,615 ................. 001...............

IRS MAY 2029..................................... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.05/15/2014 .05/19/2029 ..................1 ......1,000,000

2.9885%(LIBOR) - ................... - ................... .............6,256 ...............137,504 ... .......137,504 .........63,943 - ................ - .................. - .............. ...........18,122 ................. 001...............

IRS MAY 2029..................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/23/2014 .05/28/2029 ..................1 .........500,000 LIBOR(3%) .. - ................... - ................... ............(3,197) ................(72,634) ... ........(72,634) ........(32,072) - ................ - .................. - .............. .............9,070 ................. 001...............

IRS JUNE 2029................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .06/10/2014 .06/12/2029 ..................1 .........500,000 LIBOR(3%) .. - ................... - ................... ............(3,289) ................(79,383) ... ........(79,383) ........(32,318) - ................ - .................. - .............. .............9,083 ................. 001...............

IRS JULY 2029.................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/17/2014 .07/21/2029 ..................1 .........500,000

2.956%(LIBOR) - ................... - ................... .............2,996 .................67,106 ... .........67,106 .........32,309 - ................ - .................. - .............. .............9,120 ................. 001...............

IRS SEPTEMBER 2029...................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/28/2014 .09/02/2029 ..................1 ......1,000,000 2.81%(LIBOR) - ................... - ................... .............5,798 ...............116,852 ... .......116,852 .........64,547 - ................ - .................. - .............. ...........18,318 ................. 001...............

IRS SEPTEMBER 2019...................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/28/2014 .09/02/2019 ..................1 ......1,000,000 LIBOR(2%) .. - ................... - ................... ............(3,211) ................(25,860) ... ........(25,860) ........(16,835) - ................ - .................. - .............. .............9,250 ................. 001...............

IRS SEPTEMBER 2029...................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .09/09/2014 .09/11/2029 ..................1 .........500,000 LIBOR(3%) .. - ................... - ................... ............(3,036) ................(67,397) ... ........(67,397) ........(32,529) - ................ - .................. - .............. .............9,168 ................. 001...............

IRS OCTOBER 2029.......................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/02/2014 .10/06/2029 ..................1 .........500,000

2.867%(LIBOR) - ................... - ................... .............2,834 .................62,020 ... .........62,020 .........32,647 - ................ - .................. - .............. .............9,191 ................. 001...............

IRS OCTOBER 2029.......................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/14/2014 .10/16/2029 ..................1 .........500,000

2.684%(LIBOR) - ................... - ................... .............2,649 .................50,916 ... .........50,916 .........32,407 - ................ - .................. - .............. .............9,201 ................. 001...............

IRS OCTOBER 2029.......................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/15/2014 .10/17/2029 ..................1 .........500,000 2.53%(LIBOR) - ................... - ................... .............2,459 .................41,547 ... .........41,547 .........32,225 - ................ - .................. - .............. .............9,202 ................. 001...............

IRS OCTOBER 2034.......................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .10/16/2014 .10/20/2034 ..................1 .........250,000 LIBOR(3%) .. - ................... - ................... ............(1,413) ................(32,195) ... ........(32,195) ........(20,141) - ................ - .................. - .............. .............5,385 ................. 001...............

IRS DECEMBER 2021........................ BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/08/2014 .12/10/2021 ..................1 .........500,000

2.103%(LIBOR) - ................... - ................... .............1,971 .................23,142 ... .........23,142 .........15,535 - ................ - .................. - .............. .............5,966 ................. 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.9

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

Description

Description of Items(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedgedItems

PotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS DECEMBER 2029...................... BOLI Separate Accounts Hedge....... N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.12/09/2014 .12/11/2029 .................1 ........500,000

2.5935%(LIBOR) - ................. - ................. ............2,580 ................45,419 ... ........45,419 ........32,515 - ............... - ................ - ............. ............9,252 ................ 001...............

IRS DECEMBER 2029...................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/12/2014 .12/16/2029 .................1 ........700,000

2.493%(LIBOR) - ................. - ................. ............3,411 ................54,934 ... ........54,934 ........45,400 - ............... - ................ - ............. ..........12,960 ................ 001...............

IRS DECEMBER 2034...................... BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .12/15/2014 .12/17/2034 .................1 ........300,000 LIBOR(3%) .. - ................. - ................. ...........(1,560) ...............(29,546) ... .......(29,546) .......(23,972) - ............... - ................ - ............. ............6,489 ................ 001...............

IRS DECEMBER 2029...................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/16/2014 .12/18/2029 .................1 ........300,000

2.467%(LIBOR) - ................. - ................. ............1,435 ................22,585 ... ........22,585 ........19,449 - ............... - ................ - ............. ............5,555 ................ 001...............

IRS DECEMBER 2029...................... BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .12/24/2014 .12/30/2029 .................1 ........600,000 LIBOR(3%) .. - ................. - ................. ...........(3,036) ...............(57,633) ... .......(57,633) .......(39,310) - ............... - ................ - ............. ..........11,124 ................ 001...............

IRS JANUARY 2030......................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/06/2015 .01/08/2030 .................1 ........600,000

2.215%(LIBOR) - ................. - ................. ............2,422 ................26,485 ... ........26,485 ........38,688 - ............... - ................ - ............. ..........11,133 ................ 001...............

IRS JANUARY 2030......................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/06/2015 .01/08/2030 .................1 ........600,000

2.255%(LIBOR) - ................. - ................. ............2,482 ................29,448 ... ........29,448 ........38,749 - ............... - ................ - ............. ..........11,133 ................ 001...............

IRS JANUARY 2030......................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/14/2015 .01/16/2030 .................1 ........700,000

2.136%(LIBOR) - ................. - ................. ............2,750 ................24,036 ... ........24,036 ........44,980 - ............... - ................ - ............. ..........12,999 ................ 001...............

IRS JANUARY 2020......................... BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/16/2015 .01/20/2020 .................1 ........600,000 LIBOR(1%) .. - ................. - ................. ...........(1,270) .................(8,018) ... .........(8,018) .......(12,254) - ............... - ................ - ............. ............5,852 ................ 001...............

IRS JANUARY 2025......................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/20/2015 .01/22/2025 .................1 ........700,000

1.888%(LIBOR) - ................. - ................. ............2,333 ................19,093 ... ........19,093 ........32,487 - ............... - ................ - ............. ..........10,389 ................ 001...............

IRS FEBRUARY 2025....................... BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/29/2015 .02/02/2025 .................1 ........600,000

1.8895%(LIBOR) - ................. - ................. ............2,061 ................16,345 ... ........16,345 ........27,892 - ............... - ................ - ............. ............8,919 ................ 001...............

IRS MARCH 2025............................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.02/26/2015 .03/02/2025 .................1 ........600,000

2.098%(LIBOR) - ................. - ................. ............2,411 ................26,734 ... ........26,734 ........28,026 - ............... - ................ - ............. ............8,961 ................ 001...............

IRS MARCH 2030............................. BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/03/2015 .03/05/2030 .................1 ........600,000 LIBOR(2%) .. - ................. - ................. ...........(2,911) ...............(43,915) ... .......(43,915) .......(39,215) - ............... - ................ - ............. ..........11,197 ................ 001...............

IRS MARCH 2025............................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.03/10/2015 .03/12/2025 .................1 ........300,000

2.253%(LIBOR) - ................. - ................. ............1,289 ................17,269 ... ........17,269 ........14,074 - ............... - ................ - ............. ............4,487 ................ 001...............

IRS MARCH 2025............................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.03/19/2015 .03/23/2025 .................1 ........600,000

2.044%(LIBOR) - ................. - ................. ............2,162 ................23,949 ... ........23,949 ........28,355 - ............... - ................ - ............. ............8,990 ................ 001...............

IRS APRIL 2020................................ BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2015 .04/21/2020 .................1 ........600,000

1.481%(LIBOR) - ................. - ................. ............1,382 ..................9,629 ... ..........9,629 ........13,175 - ............... - ................ - ............. ............6,044 ................ 001...............

IRS MAY 2030................................... BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/12/2015 .05/14/2030 .................1 ........600,000 LIBOR(3%) .. - ................. - ................. ...........(3,134) ...............(53,779) ... .......(53,779) .......(39,792) - ............... - ................ - ............. ..........11,274 ................ 001...............

IRS JUNE 2030................................. BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .06/05/2015 .06/09/2030 .................1 ........600,000 LIBOR(3%) .. - ................. - ................. ...........(3,336) ...............(66,176) ... .......(66,176) .......(40,228) - ............... - ................ - ............. ..........11,302 ................ 001...............

IRS JUNE 2030................................. BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .06/10/2015 .06/12/2030 .................1 .....1,200,000 LIBOR(3%) .. - ................. - ................. ...........(6,892) .............(145,218) ... .....(145,218) .......(80,811) - ............... - ................ - ............. ..........22,610 ................ 001...............

IRS JUNE 2020................................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.06/10/2015 .06/12/2020 .................1 .....1,200,000

1.929%(LIBOR) - ................. - ................. ............4,190 ................41,151 ... ........41,151 ........26,410 - ............... - ................ - ............. ..........12,296 ................ 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.10

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS JUNE 2020................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.06/11/2015 .06/15/2020 ..................1 ......1,200,000

1.891%(LIBOR) - ................... - ................... .............4,055 .................39,303 ... .........39,303 .........26,576 - ................ - .................. - .............. ...........12,309 ................. 001...............

IRS JUNE 2025................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.06/19/2015 .06/23/2025 ..................1 .........600,000

2.372%(LIBOR) - ................... - ................... .............2,654 .................40,596 ... .........40,596 .........28,984 - ................ - .................. - .............. .............9,115 ................. 001...............

IRS AUGUST 2030............................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/07/2015 .08/11/2030 ..................1 ......1,300,000

2.4865%(LIBOR) - ................... - ................... .............6,455 ...............100,756 ... .......100,756 .........86,920 - ................ - .................. - .............. ...........24,635 ................. 001...............

IRS SEPTEMBER 2025...................... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .09/28/2015 .09/30/2025 ..................1 .........600,000

2.069%(LIBOR) - ................... - ................... .............2,188 .................24,466 ... .........24,466 .........29,641 - ................ - .................. - .............. .............9,247 ................. 001...............

IRS JANUARY 2026........................... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .01/06/2016 .01/08/2026 ..................1 .........600,000

2.1075%(LIBOR) - ................... - ................... .............2,058 .................26,074 ... .........26,074 .........26,074 - ................ - .................. - .............. .............9,378 ................. 001...............

IRS JANUARY 2026........................... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/12/2016 .01/14/2026 ..................1 .........600,000

1.9895%(LIBOR) - ................... - ................... .............1,753 .................19,586 ... .........19,586 .........19,586 - ................ - .................. - .............. .............9,386 ................. 001...............

IRS JANUARY 2026........................... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/15/2016 .01/19/2026 ..................1 .........700,000

1.888%(LIBOR) - ................... - ................... .............1,774 .................16,315 ... .........16,315 .........16,315 - ................ - .................. - .............. ...........10,958 ................. 001...............

IRS FEBRUARY 2031......................... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .02/09/2016 .02/11/2031 ..................1 .........300,000

1.9135%(LIBOR) - ................... - ................... ................544 .......................540 ... ..............540 ..............540 - ................ - .................. - .............. .............5,783 ................. 001...............

IRS SEPTEMBER 2042...................... GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .09/17/2012 .09/19/2042 ..................1 ......2,000,000

2.786%(LIBOR) - ................... - ................... ...........10,986 ...............277,866 ... .......277,866 .......202,618 - ................ - .................. - .............. ...........51,448 ................. 002...............

IRS MARCH 2043............................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.03/04/2013 .03/06/2043 ..................1 ......1,000,000

2.935%(LIBOR) - ................... - ................... .............6,073 ...............171,055 ... .......171,055 .......103,840 - ................ - .................. - .............. ...........25,949 ................. 002...............

IRS APRIL 2043.................................. GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/02/2013 .04/04/2043 ..................1 ......1,300,000

2.99125%(LIBOR) - ................... - ................... .............7,751 ...............238,002 ... .......238,002 .......136,417 - ................ - .................. - .............. ...........33,782 ................. 002...............

IRS APRIL 2043.................................. GLWB.................................................. N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/08/2013 .04/10/2043 ..................1 ......1,000,000

2.823%(LIBOR) - ................... - ................... .............5,595 ...............147,816 ... .......147,816 .......102,995 - ................ - .................. - .............. ...........25,994 ................. 002...............

IRS MARCH 2042............................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.03/19/2012 .03/21/2042 ..................1 ....14,000,000

3.105%(LIBOR) - ................... - ................... ...........88,311 ............2,843,436 ... ....2,843,436 ....1,449,403 - ................ - .................. - .............. .........356,760 ................. 002...............

IRS MAY 2033..................................... GLWB.................................................. N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .04/30/2013 .05/02/2033 ..................1 ......1,000,000

2.6305%(LIBOR) - ................... - ................... .............5,288 .................97,741 ... .........97,741 .........75,466 - ................ - .................. - .............. ...........20,669 ................. 002...............

IRS MAY 2033..................................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/03/2013 .05/08/2033 ..................1 ......1,000,000

2.7025%(LIBOR) - ................... - ................... .............5,504 ...............108,407 ... .......108,407 .........75,814 - ................ - .................. - .............. ...........20,679 ................. 002...............

IRS JULY 2033.................................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.07/22/2013 .07/24/2033 ..................1 ......1,000,000

3.39125%(LIBOR) - ................... - ................... .............7,111 ...............211,578 ... .......211,578 .........79,734 - ................ - .................. - .............. ...........20,807 ................. 002...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.11

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS DECEMBER 2033........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/11/2013 .12/13/2033 ..................1 ......3,000,000

3.62125%(LIBOR) - ................... - ................... ...........23,151 ...............746,186 ... .......746,186 .......246,310 - ................ - .................. - .............. ...........63,112 ................. 002...............

IRS APRIL 2034.................................. GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/28/2014 .04/01/2034 ..................1 ......2,000,000

3.4145%(LIBOR) - ................... - ................... ...........14,068 ...............438,337 ... .......438,337 .......164,504 - ................ - .................. - .............. ...........42,430 ................. 002...............

IRS APRIL 2044.................................. GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .04/25/2014 .04/29/2044 ..................1 ......2,000,000

3.4275%(LIBOR) - ................... - ................... ...........14,487 ...............561,488 ... .......561,488 .......225,270 - ................ - .................. - .............. ...........52,991 ................. 002...............

IRS JUNE 2044................................... GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/29/2014 .06/02/2044 ..................1 ......2,000,000

3.246%(LIBOR) - ................... - ................... ...........13,776 ...............483,267 ... .......483,267 .......221,125 - ................ - .................. - .............. ...........53,078 ................. 002...............

IRS JUNE 2044................................... GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .06/13/2014 .06/17/2044 ..................1 ......1,000,000

3.378%(LIBOR) - ................... - ................... .............7,071 ...............270,364 ... .......270,364 .......112,413 - ................ - .................. - .............. ...........26,558 ................. 002...............

IRS JULY 2044.................................... GLWB.................................................. N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.07/23/2014 .07/25/2044 ..................1 ......1,000,000

3.2255%(LIBOR) - ................... - ................... .............6,701 ...............237,912 ... .......237,912 .......110,818 - ................ - .................. - .............. ...........26,608 ................. 002...............

IRS AUGUST 2044............................. GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .08/18/2014 .08/20/2044 ..................1 ......1,000,000

3.1755%(LIBOR) - ................... - ................... .............6,741 ...............227,323 ... .......227,323 .......110,298 - ................ - .................. - .............. ...........26,641 ................. 002...............

IRS AUGUST 2044............................. GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .08/27/2014 .08/29/2044 ..................1 ......1,000,000

3.086%(LIBOR) - ................... - ................... .............6,306 ...............208,207 ... .......208,207 .......109,256 - ................ - .................. - .............. ...........26,652 ................. 002...............

IRS SEPTEMBER 2019...................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.09/16/2014 .09/18/2019 ..................1 ......3,000,000 LIBOR(2%) .. - ................... - ................... ..........(10,314) ................(93,718) ... ........(93,718) ........(50,865) - ................ - .................. - .............. ...........27,928 ................. 002...............

IRS SEPTEMBER 2044...................... GLWB.................................................. N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.09/16/2014 .09/18/2044 ..................1 ......1,500,000

3.334%(LIBOR) - ................... - ................... ...........10,426 ...............393,152 ... .......393,152 .......168,884 - ................ - .................. - .............. ...........40,016 ................. 002...............

IRS SEPTEMBER 2034...................... GLWB.................................................. N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.09/16/2014 .09/18/2034 ..................1 ......3,000,000

3.2175%(LIBOR) - ................... - ................... ...........19,978 ...............572,569 ... .......572,569 .......247,450 - ................ - .................. - .............. ...........64,459 ................. 002...............

IRS SEPTEMBER 2044...................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.09/24/2014 .09/26/2044 ..................1 ......1,000,000

3.259%(LIBOR) - ................... - ................... .............6,621 ...............245,888 ... .......245,888 .......111,870 - ................ - .................. - .............. ...........26,687 ................. 002...............

IRS SEPTEMBER 2024...................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.09/24/2014 .09/26/2024 ..................1 ......1,000,000

2.693%(LIBOR) - ................... - ................... .............5,206 .................92,979 ... .........92,979 .........44,970 - ................ - .................. - .............. ...........14,568 ................. 002...............

IRS OCTOBER 2034.......................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/09/2014 .10/14/2034 ..................1 ......1,000,000

2.946%(LIBOR) - ................... - ................... .............5,906 ...............148,406 ... .......148,406 .........81,277 - ................ - .................. - .............. ...........21,528 ................. 002...............

IRS OCTOBER 2024.......................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/14/2014 .10/16/2024 ..................1 ......2,000,000

2.337%(LIBOR) - ................... - ................... .............8,862 ...............128,978 ... .......128,978 .........90,364 - ................ - .................. - .............. ...........29,231 ................. 002...............

IRS OCTOBER 2016.......................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/22/2014 .10/24/2016 ..................1 ......5,000,000 LIBOR(1%) .. - ................... - ................... ...............(999) ...................1,662 ... ...........1,662 ..........(4,288) - ................ - .................. - .............. ...........18,819 ................. 002...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.12

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS OCTOBER 2034.......................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/22/2014 .10/24/2034 ..................1 ......1,000,000 2.86%(LIBOR) - ................... - ................... .............5,782 ...............134,895 ... .......134,895 .........80,777 - ................ - .................. - .............. ...........21,545 ................. 002...............

IRS NOVEMBER 2044........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/31/2014 .11/04/2044 ..................1 ......1,000,000

3.053%(LIBOR) - ................... - ................... .............6,344 ...............201,366 ... .......201,366 .......109,351 - ................ - .................. - .............. ...........26,737 ................. 002...............

IRS NOVEMBER 2044........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.11/10/2014 .11/12/2044 ..................1 ......1,000,000

3.054%(LIBOR) - ................... - ................... .............6,386 ...............201,697 ... .......201,697 .......109,408 - ................ - .................. - .............. ...........26,747 ................. 002...............

IRS NOVEMBER 2019........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.11/10/2014 .11/12/2019 ..................1 ......2,000,000 LIBOR(2%) .. - ................... - ................... ............(6,431) ................(53,858) ... ........(53,858) ........(36,449) - ................ - .................. - .............. ...........19,018 ................. 002...............

IRS NOVEMBER 2044........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.11/24/2014 .11/26/2044 ..................1 ......1,000,000

2.984%(LIBOR) - ................... - ................... .............6,213 ...............186,498 ... .......186,498 .......108,593 - ................ - .................. - .............. ...........26,765 ................. 002...............

IRS NOVEMBER 2016........................ GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .11/24/2014 .11/26/2016 ..................1 ......2,000,000 LIBOR(1%).... - ................... - ................... ............(1,113) .....................(220) ... .............(220) ..........(1,597) - ................ - .................. - .............. .............8,097 ................. 002...............

IRS DECEMBER 2044........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/05/2014 .12/09/2044 ..................1 ......1,000,000

2.928%(LIBOR) - ................... - ................... .............6,017 ...............174,328 ... .......174,328 .......108,015 - ................ - .................. - .............. ...........26,782 ................. 002...............

IRS DECEMBER 2024........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/05/2014 .12/09/2024 ..................1 ......1,000,000

2.418%(LIBOR) - ................... - ................... .............4,742 .................71,134 ... .........71,134 .........45,722 - ................ - .................. - .............. ...........14,741 ................. 002...............

IRS DECEMBER 2016........................ GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .12/09/2014 .12/11/2016 ..................1 ......5,000,000 LIBOR(1%) .. - ................... - ................... ............(3,986) ..................(4,730) ... ..........(4,730) ..........(3,465) - ................ - .................. - .............. ...........20,875 ................. 002...............

IRS DECEMBER 2034........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/12/2014 .12/16/2034 ..................1 ......1,000,000

2.631%(LIBOR) - ................... - ................... .............5,218 .................98,730 ... .........98,730 .........79,901 - ................ - .................. - .............. ...........21,628 ................. 002...............

IRS DECEMBER 2024........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/12/2014 .12/16/2024 ..................1 ......2,000,000

2.225%(LIBOR) - ................... - ................... .............8,406 ...............110,589 ... .......110,589 .........91,792 - ................ - .................. - .............. ...........29,515 ................. 002...............

IRS DECEMBER 2034........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/15/2014 .12/17/2034 ..................1 ......1,000,000

2.624%(LIBOR) - ................... - ................... .............5,186 .................97,612 ... .........97,612 .........79,874 - ................ - .................. - .............. ...........21,630 ................. 002...............

IRS DECEMBER 2034........................ GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/23/2014 .12/29/2034 ..................1 ......2,000,000 2.7%(LIBOR) - ................... - ................... ...........10,448 ...............219,843 ... .......219,843 .......161,104 - ................ - .................. - .............. ...........43,298 ................. 002...............

IRS JANUARY 2045........................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/06/2015 .01/08/2045 ..................1 ......9,000,000

2.457%(LIBOR) - ................... - ................... ...........41,779 ...............641,362 ... .......641,362 .......922,222 - ................ - .................. - .............. .........241,379 ................. 002...............

IRS JANUARY 2035........................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/06/2015 .01/08/2035 ..................1 ......3,000,000

2.378%(LIBOR) - ................... - ................... ...........13,334 ...............175,307 ... .......175,307 .......236,249 - ................ - .................. - .............. ...........64,990 ................. 002...............

IRS JANUARY 2020........................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/06/2015 .01/08/2020 ..................1 ......7,000,000 LIBOR(2%) .. - ................... - ................... ..........(17,865) ..............(149,004) ... ......(149,004) ......(138,926) - ................ - .................. - .............. ...........67,978 ................. 002...............

IRS JANUARY 2045........................... GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/07/2015 .01/09/2045 ..................1 ......2,000,000

2.447%(LIBOR) - ................... - ................... .............9,284 ...............138,144 ... .......138,144 .......204,636 - ................ - .................. - .............. ...........53,642 ................. 002...............

IRS JANUARY 2035........................... GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/07/2015 .01/09/2035 ..................1 ......1,500,000

2.381%(LIBOR) - ................... - ................... .............6,716 .................88,372 ... .........88,372 .......118,123 - ................ - .................. - .............. ...........32,498 ................. 002...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.13

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

Description

Description of Items(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedgedItems

PotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS JANUARY 2035......................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/16/2015 .01/20/2035 .................1 .....2,000,000

2.265%(LIBOR) - ................. - ................. ............8,523 ................80,745 ... ........80,745 ......156,196 - ............... - ................ - ............. ..........43,365 ................ 002...............

IRS JANUARY 2045......................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/16/2015 .01/20/2045 .................1 .....1,500,000

2.356%(LIBOR) - ................. - ................. ............6,733 ................73,686 ... ........73,686 ......151,732 - ............... - ................ - ............. ..........40,253 ................ 002...............

IRS JANUARY 2025......................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/16/2015 .01/20/2025 .................1 .....3,000,000

1.929%(LIBOR) - ................. - ................. ..........10,264 ................92,062 ... ........92,062 ......139,202 - ............... - ................ - ............. ..........44,511 ................ 002...............

IRS JANUARY 2045......................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/20/2015 .01/22/2045 .................1 .....1,000,000 LIBOR(2%) .. - ................. - ................. ...........(4,420) ...............(41,769) ... .......(41,769) .....(100,740) - ............... - ................ - ............. ..........26,838 ................ 002...............

IRS JANUARY 2017......................... GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/26/2015 .01/28/2017 .................1 .....5,000,000 LIBOR(1%) .. - ................. - ................. ...........(2,990) .................(2,033) ... .........(2,033) .........(6,887) - ............... - ................ - ............. ..........22,746 ................ 002...............

IRS FEBRUARY 2025....................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/29/2015 .02/02/2025 .................1 .....2,000,000

1.903%(LIBOR) - ................. - ................. ............6,938 ................56,733 ... ........56,733 ........92,969 - ............... - ................ - ............. ..........29,730 ................ 002...............

IRS FEBRUARY 2045....................... GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .02/02/2015 .02/04/2045 .................1 .....2,000,000

2.1745%(LIBOR) - ................. - ................. ............8,296 ................18,352 ... ........18,352 ......197,756 - ............... - ................ - ............. ..........53,707 ................ 002...............

IRS FEBRUARY 2035....................... GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .02/03/2015 .02/05/2035 .................1 .....2,000,000

2.2295%(LIBOR) - ................. - ................. ............8,584 ................69,141 ... ........69,141 ......155,809 - ............... - ................ - ............. ..........43,413 ................ 002...............

IRS FEBRUARY 2035....................... GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .02/10/2015 .02/12/2035 .................1 .....2,000,000 LIBOR(2%) .. - ................. - ................. ...........(9,589) .............(129,276) ... .....(129,276) .....(158,031) - ............... - ................ - ............. ..........43,436 ................ 002...............

IRS MARCH 2035............................. GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/09/2015 .03/11/2035 .................1 .....2,000,000 LIBOR(3%) .. - ................. - ................. .........(10,432) .............(192,954) ... .....(192,954) .....(160,810) - ............... - ................ - ............. ..........43,528 ................ 002...............

IRS MARCH 2025............................. GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/09/2015 .03/11/2025 .................1 .....2,000,000 LIBOR(2%) .. - ................. - ................. ...........(8,902) .............(124,631) ... .....(124,631) .......(93,763) - ............... - ................ - ............. ..........29,912 ................ 002...............

IRS MARCH 2020............................. GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.03/11/2015 .03/13/2020 .................1 .....2,000,000 LIBOR(2%) .. - ................. - ................. ...........(6,232) ...............(55,391) ... .......(55,391) .......(41,202) - ............... - ................ - ............. ..........19,882 ................ 002...............

IRS MARCH 2025............................. GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/19/2015 .03/23/2025 .................1 .....1,000,000

1.9895%(LIBOR) - ................. - ................. ............3,468 ................35,310 ... ........35,310 ........47,262 - ............... - ................ - ............. ..........14,984 ................ 002...............

IRS MARCH 2035............................. GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/19/2015 .03/23/2035 .................1 .....3,000,000

2.306%(LIBOR) - ................. - ................. ..........12,776 ..............140,219 ... ......140,219 ......236,753 - ............... - ................ - ............. ..........65,350 ................ 002...............

IRS MARCH 2025............................. GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/19/2015 .03/23/2025 .................1 .....2,000,000

2.0545%(LIBOR) - ................. - ................. ............7,260 ................81,606 ... ........81,606 ........94,516 - ............... - ................ - ............. ..........29,968 ................ 002...............

IRS MARCH 2045............................. GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.03/25/2015 .03/27/2045 .................1 .....2,000,000

2.312%(LIBOR) - ................. - ................. ............8,507 ................78,956 ... ........78,956 ......202,260 - ............... - ................ - ............. ..........53,844 ................ 002...............

IRS MARCH 2025............................. GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/25/2015 .03/27/2025 .................1 .....1,000,000

1.9885%(LIBOR) - ................. - ................. ............3,445 ................35,198 ... ........35,198 ........47,300 - ............... - ................ - ............. ..........14,993 ................ 002...............

IRS APRIL 2035................................ GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/22/2015 .04/24/2035 .................1 .....2,000,000

2.34%(LIBOR) - ................. - ................. ............8,988 ..............104,214 ... ......104,214 ......158,247 - ............... - ................ - ............. ..........43,665 ................ 002...............

IRS APRIL 2035................................ GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/22/2015 .04/24/2035 .................1 .....3,000,000

2.343%(LIBOR) - ................. - ................. ..........13,504 ..............157,773 ... ......157,773 ......237,424 - ............... - ................ - ............. ..........65,498 ................ 002...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.14

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

Description

Description of Items(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedgedItems

PotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS APRIL 2045................................ GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/22/2015 .04/24/2045 .................1 .....6,000,000

2.419%(LIBOR) - ................. - ................. ..........28,147 ..............378,261 ... ......378,261 ......614,797 - ............... - ................ - ............. ........161,741 ................ 002...............

IRS APRIL 2017................................ GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .04/24/2015 .04/28/2017 .................1 .....5,000,000 LIBOR(1%) .. - ................. - ................. ...........(2,984) .................(1,146) ... .........(1,146) .......(12,294) - ............... - ................ - ............. ..........25,954 ................ 002...............

IRS APRIL 2017................................ GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .04/28/2015 .04/30/2017 .................1 .....5,000,000 LIBOR(1%) .. - ................. - ................. ...........(3,350) .................(2,631) ... .........(2,631) .......(11,986) - ............... - ................ - ............. ..........26,021 ................ 002...............

IRS MAY 2035................................... GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/05/2015 .05/07/2035 .................1 .....2,000,000 LIBOR(3%) .. - ................. - ................. .........(10,510) .............(193,187) ... .....(193,187) .....(161,551) - ............... - ................ - ............. ..........43,707 ................ 002...............

IRS MAY 2045................................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/07/2015 .05/11/2045 .................1 .....2,000,000 LIBOR(3%) .. - ................. - ................. .........(10,903) .............(241,935) ... .....(241,935) .....(211,733) - ............... - ................ - ............. ..........53,957 ................ 002...............

IRS MAY 2035................................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/07/2015 .05/11/2035 .................1 .....3,000,000 LIBOR(3%) .. - ................. - ................. .........(15,793) .............(285,185) ... .....(285,185) .....(242,233) - ............... - ................ - ............. ..........65,579 ................ 002...............

IRS MAY 2025................................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/12/2015 .05/14/2025 .................1 .....3,000,000 LIBOR(2%) .. - ................. - ................. .........(13,912) .............(196,603) ... .....(196,603) .....(142,722) - ............... - ................ - ............. ..........45,305 ................ 002...............

IRS MAY 2035................................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/18/2015 .05/20/2035 .................1 .....2,000,000

2.675%(LIBOR) - ................. - ................. ..........10,982 ..............212,538 ... ......212,538 ......162,358 - ............... - ................ - ............. ..........43,748 ................ 002...............

IRS JUNE 2020................................. GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.06/11/2015 .06/15/2020 .................1 .....3,000,000 LIBOR(2%) .. - ................. - ................. ...........(9,980) ...............(95,668) ... .......(95,668) .......(66,561) - ............... - ................ - ............. ..........30,771 ................ 002...............

IRS JUNE 2045................................. GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.06/11/2015 .06/15/2045 .................1 .....3,000,000 LIBOR(3%) .. - ................. - ................. .........(17,705) .............(508,791) ... .....(508,791) .....(326,906) - ............... - ................ - ............. ..........81,067 ................ 002...............

IRS JUNE 2045................................. GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.06/22/2015 .06/24/2045 .................1 .....3,000,000

2.918%(LIBOR) - ................. - ................. ..........17,198 ..............521,088 ... ......521,088 ......328,358 - ............... - ................ - ............. ..........81,102 ................ 002...............

IRS JULY 2035.................................. GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .06/29/2015 .07/01/2035 .................1 .....3,000,000 LIBOR(3%) .. - ................. - ................. .........(16,757) .............(399,808) ... .....(399,808) .....(248,276) - ............... - ................ - ............. ..........65,817 ................ 002...............

IRS JULY 2035.................................. GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/09/2015 .07/13/2035 .................1 .....2,000,000

2.78%(LIBOR) - ................. - ................. ..........10,973 ..............246,997 ... ......246,997 ......164,788 - ............... - ................ - ............. ..........43,916 ................ 002...............

IRS JULY 2045.................................. GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.07/24/2015 .07/28/2045 .................1 .....1,000,000

2.802%(LIBOR) - ................. - ................. ............5,667 ..............148,208 ... ......148,208 ......107,971 - ............... - ................ - ............. ..........27,078 ................ 002...............

IRS JULY 2035.................................. GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.07/24/2015 .07/28/2035 .................1 .....1,000,000

2.717%(LIBOR) - ................. - ................. ............5,454 ..............113,327 ... ......113,327 ........82,034 - ............... - ................ - ............. ..........21,982 ................ 002...............

IRS AUGUST 2045........................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/04/2015 .08/06/2045 .................1 .....1,000,000

2.687%(LIBOR) - ................. - ................. ............5,452 ..............122,617 ... ......122,617 ......106,494 - ............... - ................ - ............. ..........27,088 ................ 002...............

IRS AUGUST 2035........................... GLWB................................................ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/04/2015 .08/06/2035 .................1 .....2,000,000

2.612%(LIBOR) - ................. - ................. ..........10,529 ..............192,258 ... ......192,258 ......162,804 - ............... - ................ - ............. ..........43,989 ................ 002...............

IRS AUGUST 2025........................... GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .08/04/2015 .08/06/2025 .................1 .....3,000,000

2.292%(LIBOR) - ................. - ................. ..........13,393 ..............181,938 ... ......181,938 ......145,714 - ............... - ................ - ............. ..........45,867 ................ 002...............

IRS AUGUST 2020........................... GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .08/07/2015 .08/11/2020 .................1 .....2,000,000 LIBOR(2%) .. - ................. - ................. ...........(6,153) ...............(52,821) ... .......(52,821) .......(46,881) - ............... - ................ - ............. ..........20,890 ................ 002...............

IRS AUGUST 2045........................... GLWB................................................ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .08/24/2015 .08/26/2045 .................1 .....1,000,000

2.532%(LIBOR) - ................. - ................. ............5,076 ................88,191 ... ........88,191 ......104,575 - ............... - ................ - ............. ..........27,113 ................ 002...............

IRS AUGUST 2025........................... GLWB................................................ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.08/24/2015 .08/26/2025 .................1 .....2,000,000

2.096%(LIBOR) - ................. - ................. ............7,985 ................86,665 ... ........86,665 ........97,476 - ............... - ................ - ............. ..........30,668 ................ 002...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.15

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS AUGUST 2035............................. GLWB.................................................. N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/25/2015 .08/27/2035 ..................1 ......2,000,000

2.5465%(LIBOR) - ................... - ................... ...........10,001 ...............170,889 ... .......170,889 .......162,232 - ................ - .................. - .............. ...........44,055 ................. 002...............

IRS SEPTEMBER 2035...................... GLWB.................................................. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .09/01/2015 .09/03/2035 ..................1 ......2,000,000 LIBOR(3%) .. - ................... - ................... ..........(10,432) ..............(181,329) ... ......(181,329) ......(162,717) - ................ - .................. - .............. ...........44,074 ................. 002...............

IRS SEPTEMBER 2025...................... GLWB.................................................. N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .09/25/2015 .09/29/2025 ..................1 ......2,000,000

2.1535%(LIBOR) - ................... - ................... .............7,715 .................96,463 ... .........96,463 .........98,809 - ................ - .................. - .............. ...........30,818 ................. 002...............

IRS OCTOBER 2035.......................... GLWB.................................................. N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .09/29/2015 .10/01/2035 ..................1 ......1,000,000

2.444%(LIBOR) - ................... - ................... .............4,608 .................68,631 ... .........68,631 .........81,014 - ................ - .................. - .............. ...........22,081 ................. 002...............

IRS OCTOBER 2045.......................... GLWB.................................................. N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.09/30/2015 .10/02/2045 ..................1 ......1,000,000

2.549%(LIBOR) - ................... - ................... .............4,870 .................92,082 ... .........92,082 .......105,271 - ................ - .................. - .............. ...........27,160 ................. 002...............

IRS OCTOBER 2035.......................... GLWB.................................................. N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .10/05/2015 .10/07/2035 ..................1 ......2,000,000

2.4935%(LIBOR) - ................... - ................... .............9,462 ...............153,539 ... .......153,539 .......162,686 - ................ - .................. - .............. ...........44,181 ................. 002...............

IRS OCTOBER 2045.......................... GLWB.................................................. N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.10/16/2015 .10/20/2045 ..................1 ......1,000,000 2.54%(LIBOR) - ................... - ................... .............4,949 .................90,143 ... .........90,143 .......105,124 - ................ - .................. - .............. ...........27,183 ................. 002...............

IRS OCTOBER 2017.......................... GLWB.................................................. N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .10/21/2015 .10/23/2017 ..................1 ......6,000,000 LIBOR(1%) .. - ................... - ................... ............(2,932) ...................6,161 ... ...........6,161 ........(32,518) - ................ - .................. - .............. ...........37,517 ................. 002...............

IRS OCTOBER 2025.......................... GLWB.................................................. N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .10/23/2015 .10/27/2025 ..................1 ......3,000,000

2.0615%(LIBOR) - ................... - ................... ...........11,421 ...............119,633 ... .......119,633 .......148,523 - ................ - .................. - .............. ...........46,415 ................. 002...............

IRS NOVEMBER 2035........................ GLWB.................................................. N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.10/29/2015 .11/02/2035 ..................1 ......2,000,000

2.5055%(LIBOR) - ................... - ................... .............9,951 ...............157,435 ... .......157,435 .......162,791 - ................ - .................. - .............. ...........44,259 ................. 002...............

IRS NOVEMBER 2020........................ GLWB.................................................. N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.11/10/2015 .11/12/2020 ..................1 ......4,000,000 LIBOR(2%) .. - ................... - ................... ..........(11,752) ................(96,378) ... ........(96,378) ......(100,848) - ................ - .................. - .............. ...........42,973 ................. 002...............

IRS NOVEMBER 2017........................ GLWB.................................................. N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .11/24/2015 .11/27/2017 ..................1 ......6,000,000 LIBOR(1%) .. - ................... - ................... ............(7,636) ................(17,412) ... ........(17,412) ........(31,979) - ................ - .................. - .............. ...........38,633 ................. 002...............

IRS NOVEMBER 2045........................ GLWB.................................................. N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .11/24/2015 .11/27/2045 ..................1 ......1,000,000

2.6095%(LIBOR) - ................... - ................... .............5,311 ...............105,747 ... .......105,747 .......106,128 - ................ - .................. - .............. ...........27,230 ................. 002...............

IRS DECEMBER 2045........................ GLWB.................................................. N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.12/03/2015 .12/07/2045 ..................1 ......2,000,000

2.693%(LIBOR) - ................... - ................... ...........10,935 ...............248,969 ... .......248,969 .......214,640 - ................ - .................. - .............. ...........54,485 ................. 002...............

IRS JANUARY 2026........................... GLWB.................................................. N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/07/2016 .01/11/2026 ..................1 ......3,000,000

2.0695%(LIBOR) - ................... - ................... .............9,684 ...............119,904 ... .......119,904 .......119,904 - ................ - .................. - .............. ...........46,911 ................. 002...............

IRS JANUARY 2026........................... GLWB.................................................. N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .01/11/2016 .01/13/2026 ..................1 ......3,000,000

2.042%(LIBOR) - ................... - ................... .............9,229 ...............112,343 ... .......112,343 .......112,343 - ................ - .................. - .............. ...........46,924 ................. 002...............

IRS JANUARY 2036........................... GLWB.................................................. N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .01/14/2016 .01/19/2036 ..................1 ......2,000,000 2.34%(LIBOR) - ................... - ................... .............6,876 ...............102,396 ... .......102,396 .......102,396 - ................ - .................. - .............. ...........44,500 ................. 002...............

IRS JANUARY 2046........................... GLWB.................................................. N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/19/2016 .01/21/2046 ..................1 ......2,000,000

2.3825%(LIBOR) - ................... - ................... .............6,837 ...............109,869 ... .......109,869 .......109,869 - ................ - .................. - .............. ...........54,597 ................. 002...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.16

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

Description

Description of Items(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedgedItems

PotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS JANUARY 2036......................... GLWB................................................ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868.01/21/2016 .01/25/2036 .................1 .....2,000,000

2.2725%(LIBOR) - ................. - ................. ............6,064 ................79,931 ... ........79,931 ........79,931 - ............... - ................ - ............. ..........44,519 ................ 002...............

IRS JANUARY 2026......................... GLWB................................................ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868.01/21/2016 .01/25/2026 .................1 .....3,000,000

1.899%(LIBOR) - ................. - ................. ............7,094 ................72,761 ... ........72,761 ........72,761 - ............... - ................ - ............. ..........47,004 ................ 002...............

IRS JANUARY 2036......................... GLWB................................................ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/22/2016 .01/26/2036 .................1 .....2,000,000

2.308%(LIBOR) - ................. - ................. ............6,099 ................91,729 ... ........91,729 ........91,729 - ............... - ................ - ............. ..........44,522 ................ 002...............

IRS FEBRUARY 2046....................... GLWB................................................ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868.02/01/2016 .02/03/2046 .................1 .....2,000,000

2.3325%(LIBOR) - ................. - ................. ............5,557 ................87,265 ... ........87,265 ........87,265 - ............... - ................ - ............. ..........54,628 ................ 002...............

IRS FEBRUARY 2021....................... GLWB................................................ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868.02/02/2016 .02/04/2021 .................1 .....4,000,000 LIBOR(1%) .. - ................. - ................. ...........(4,149) ...............(18,418) ... .......(18,418) .......(18,418) - ............... - ................ - ............. ..........44,020 ................ 002...............

IRS FEBRUARY 2036....................... GLWB................................................ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868.02/10/2016 .02/12/2036 .................1 .....2,000,000

1.999%(LIBOR) - ................. - ................. ............3,795 ...............(11,511) ... .......(11,511) .......(11,511) - ............... - ................ - ............. ..........44,572 ................ 002...............

IRS FEBRUARY 2026....................... GLWB................................................ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868.02/10/2016 .02/12/2026 .................1 .....2,000,000

1.604%(LIBOR) - ................. - ................. ............2,720 .................(6,272) ... .........(6,272) .........(6,272) - ............... - ................ - ............. ..........31,411 ................ 002...............

IRS FEBRUARY 2046....................... GLWB................................................ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868.02/12/2016 .02/16/2046 .................1 .....2,000,000

2.087%(LIBOR) - ................. - ................. ............3,706 ...............(23,211) ... .......(23,211) .......(23,211) - ............... - ................ - ............. ..........54,661 ................ 002...............

IRS FEBRUARY 2026....................... GLWB................................................ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868.02/12/2016 .02/16/2026 .................1 .....3,000,000

1.6005%(LIBOR) - ................. - ................. ............3,735 ...............(10,627) ... .......(10,627) .......(10,627) - ............... - ................ - ............. ..........47,143 ................ 002...............

IRS MARCH 2036............................. GLWB................................................ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868.02/26/2016 .03/01/2036 .................1 .....3,000,000

2.009%(LIBOR) - ................. - ................. ............3,435 ...............(12,694) ... .......(12,694) .......(12,694) - ............... - ................ - ............. ..........66,947 ................ 002...............

IRS MARCH 2018............................. GLWB................................................ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.03/04/2016 .03/08/2018 .................1 .....8,000,000 LIBOR(1%) .. - ................. - ................. ...........(1,467) ...............(11,450) ... .......(11,450) .......(11,450) - ............... - ................ - ............. ..........55,698 ................ 002...............

IRS MARCH 2018............................. GLWB................................................ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868.03/11/2016 .03/15/2018 .................1 .....4,000,000 LIBOR(1%) .. - ................. - ................. ..............(676) ...............(12,846) ... .......(12,846) .......(12,846) - ............... - ................ - ............. ..........27,988 ................ 002...............

IRS MARCH 2021............................. GLWB................................................ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.03/11/2016 .03/15/2021 .................1 .....5,000,000 LIBOR(1%) .. - ................. - ................. ...........(1,729) ...............(56,681) ... .......(56,681) .......(56,681) - ............... - ................ - ............. ..........55,668 ................ 002...............

IRS APRIL 2046................................ GLWB................................................ N/A......... a..........JP MORGANCHASE BANK NA 7H6GLXDRUGQFU57RNE97.03/30/2016 .04/01/2046 .................1 .....2,000,000

2.195%(LIBOR) - ................. - ................. - ................. ................25,336 ... ........25,336 ........25,336 - ............... - ................ - ............. ..........54,775 ................ 002...............

IRS JANUARY 2031......................... EC4529235 DEUTSCHE BANK AG. N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/18/2013 .01/10/2031 .................1 .....9,500,000

4.272%(LIBOR) .....1,377,500 - ................. ..........75,142 ...........2,299,223 ... ...2,299,223 ......698,783 - ............... ........(12,015) - ............. ........182,599 ................ 004...............

IRS DECEMBER 2027...................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/23/2011 .12/29/2027 .................1 .....1,100,000 LIBOR(3%) .. - ................. - ................. ...........(5,423) ...............(97,522) ... .......(97,522) .......(64,254) - ............... - ................ - ............. ..........18,851 ................ 001...............

IRS MARCH 2027............................. BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/22/2012 .03/24/2027 .................1 ........500,000 LIBOR(4%) .. - ................. - ................. - ................. ...............(84,015) ... .......(84,015) .......(30,747) - ............... - ................ - ............. ............8,285 ................ 001...............

IRS SEPTEMBER 2027.................... BOLI Separate Accounts Hedge....... N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .09/10/2012 .09/12/2027 .................1 ........500,000 LIBOR(3%) .. - ................. - ................. - ................. ...............(56,176) ... .......(56,176) .......(29,477) - ............... - ................ - ............. ............8,459 ................ 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.17

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS DECEMBER 2028........................ BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .11/30/2012 .12/04/2028 ..................1 .........500,000 LIBOR(3%) .. - ................... - ................... - ................... ................(47,008) ... ........(47,008) ........(27,239) - ................ - .................. - .............. .............8,901 ................. 001...............

IRS FEBRUARY 2028......................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/13/2012 .02/17/2028 ..................1 .........200,000 LIBOR(3%) .. - ................... - ................... - ................... ................(21,673) ... ........(21,673) ........(11,008) - ................ - .................. - .............. .............3,447 ................. 001...............

IRS DECEMBER 2028........................ BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .12/18/2012 .12/20/2028 ..................1 .........500,000 LIBOR(3%) .. - ................... - ................... - ................... ................(61,084) ... ........(61,084) ........(27,826) - ................ - .................. - .............. .............8,917 ................. 001...............

IRS JANUARY 2029........................... BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .01/29/2013 .01/31/2029 ..................1 .........500,000 LIBOR(4%) .. - ................... - ................... - ................... ................(68,959) ... ........(68,959) ........(27,999) - ................ - .................. - .............. .............8,956 ................. 001...............

IRS FEBRUARY 2029......................... BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .02/19/2013 .02/21/2029 ..................1 ......1,000,000 LIBOR(4%) .. - ................... - ................... - ................... ..............(143,147) ... ......(143,147) ........(56,054) - ................ - .................. - .............. ...........17,952 ................. 001...............

IRS MARCH 2028............................... BOLI Separate Accounts Hedge........ N/A......... a..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .03/07/2013 .03/11/2028 ..................1 .........500,000 LIBOR(4%) .. - ................... - ................... - ................... ................(73,582) ... ........(73,582) ........(29,618) - ................ - .................. - .............. .............8,641 ................. 001...............

IRS MAY 2028..................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/13/2013 .05/15/2028 ..................1 .........500,000 LIBOR(4%) .. - ................... - ................... - ................... ................(72,277) ... ........(72,277) ........(29,310) - ................ - .................. - .............. .............8,705 ................. 001...............

IRS MAY 2028..................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/17/2013 .05/21/2028 ..................1 .........500,000 LIBOR(4%) .. - ................... - ................... - ................... ................(73,390) ... ........(73,390) ........(29,340) - ................ - .................. - .............. .............8,711 ................. 001...............

IRS MAY 2028..................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/28/2013 .05/30/2028 ..................1 .........500,000 LIBOR(4%) .. - ................... - ................... - ................... ................(80,238) ... ........(80,238) ........(29,603) - ................ - .................. - .............. .............8,720 ................. 001...............

IRS JULY 2028.................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.07/05/2013 .07/09/2028 ..................1 ......1,000,000 LIBOR(4%) .. - ................... - ................... - ................... ..............(217,364) ... ......(217,364) ........(61,448) - ................ - .................. - .............. ...........17,518 ................. 001...............

IRS AUGUST 2028............................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/16/2013 .08/20/2028 ..................1 ......1,000,000 LIBOR(5%) .. - ................... - ................... - ................... ..............(227,781) ... ......(227,781) ........(61,610) - ................ - .................. - .............. ...........17,599 ................. 001...............

IRS APRIL 2029.................................. BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .04/07/2014 .04/09/2029 ..................1 .........500,000

3.239%(LIBOR) - ................... - ................... .............3,311 .................83,261 ... .........83,261 .........32,129 - ................ - .................. - .............. .............9,023 ................. 001...............

IRS MAY 2029..................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/01/2014 .05/06/2029 ..................1 .........500,000

3.1255%(LIBOR) - ................... - ................... .............3,274 .................76,781 ... .........76,781 .........32,071 - ................ - .................. - .............. .............9,048 ................. 001...............

IRS MAY 2019..................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/02/2014 .05/07/2019 ..................1 ......1,000,000 LIBOR(2%) .. - ................... - ................... ............(3,105) ................(24,010) ... ........(24,010) ........(14,504) - ................ - .................. - .............. .............8,807 ................. 001...............

IRS MAY 2029..................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/02/2014 .05/07/2029 ..................1 .........500,000

3.0965%(LIBOR) - ................... - ................... .............3,229 .................75,067 ... .........75,067 .........32,039 - ................ - .................. - .............. .............9,049 ................. 001...............

IRS MAY 2029..................................... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.05/15/2014 .05/19/2029 ..................1 .........500,000

2.9885%(LIBOR) - ................... - ................... .............3,128 .................68,752 ... .........68,752 .........31,971 - ................ - .................. - .............. .............9,061 ................. 001...............

IRS JUNE 2029................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .06/10/2014 .06/12/2029 ..................1 .........500,000 LIBOR(3%) .. - ................... - ................... ............(3,289) ................(79,383) ... ........(79,383) ........(32,318) - ................ - .................. - .............. .............9,083 ................. 001...............

IRS JULY 2029.................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .07/17/2014 .07/21/2029 ..................1 .........500,000

2.956%(LIBOR) - ................... - ................... .............2,996 .................67,106 ... .........67,106 .........32,309 - ................ - .................. - .............. .............9,120 ................. 001...............

IRS SEPTEMBER 2029...................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/28/2014 .09/02/2029 ..................1 ......1,000,000 2.81%(LIBOR) - ................... - ................... .............5,798 ...............116,852 ... .......116,852 .........64,547 - ................ - .................. - .............. ...........18,318 ................. 001...............

IRS SEPTEMBER 2019...................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/28/2014 .09/02/2019 ..................1 ......1,000,000 LIBOR(2%) .. - ................... - ................... ............(3,211) ................(25,860) ... ........(25,860) ........(16,835) - ................ - .................. - .............. .............9,250 ................. 001...............

IRS SEPTEMBER 2029...................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .09/09/2014 .09/11/2029 ..................1 .........500,000 LIBOR(3%) .. - ................... - ................... ............(3,036) ................(67,397) ... ........(67,397) ........(32,529) - ................ - .................. - .............. .............9,168 ................. 001...............

IRS OCTOBER 2029.......................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/02/2014 .10/06/2029 ..................1 .........500,000

2.867%(LIBOR) - ................... - ................... .............2,834 .................62,020 ... .........62,020 .........32,647 - ................ - .................. - .............. .............9,191 ................. 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.18

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

Description

Description of Items(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedgedItems

PotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS OCTOBER 2029........................ BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/14/2014 .10/16/2029 .................1 ........500,000

2.684%(LIBOR) - ................. - ................. ............2,649 ................50,916 ... ........50,916 ........32,407 - ............... - ................ - ............. ............9,201 ................ 001...............

IRS OCTOBER 2029........................ BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/15/2014 .10/17/2029 .................1 ........500,000

2.53%(LIBOR) - ................. - ................. ............2,459 ................41,547 ... ........41,547 ........32,225 - ............... - ................ - ............. ............9,202 ................ 001...............

IRS OCTOBER 2034........................ BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .10/16/2014 .10/20/2034 .................1 ........250,000 LIBOR(3%) .. - ................. - ................. ...........(1,413) ...............(32,195) ... .......(32,195) .......(20,141) - ............... - ................ - ............. ............5,385 ................ 001...............

IRS DECEMBER 2021...................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/08/2014 .12/10/2021 .................1 ........500,000

2.103%(LIBOR) - ................. - ................. ............1,971 ................23,142 ... ........23,142 ........15,535 - ............... - ................ - ............. ............5,966 ................ 001...............

IRS DECEMBER 2029...................... BOLI Separate Accounts Hedge....... N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.12/09/2014 .12/11/2029 .................1 ........500,000

2.5935%(LIBOR) - ................. - ................. ............2,580 ................45,419 ... ........45,419 ........32,515 - ............... - ................ - ............. ............9,252 ................ 001...............

IRS DECEMBER 2029...................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/12/2014 .12/16/2029 .................1 ........300,000

2.493%(LIBOR) - ................. - ................. ............1,462 ................23,543 ... ........23,543 ........19,457 - ............... - ................ - ............. ............5,554 ................ 001...............

IRS DECEMBER 2034...................... BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .12/15/2014 .12/17/2034 .................1 ........200,000 LIBOR(3%) .. - ................. - ................. ...........(1,040) ...............(19,697) ... .......(19,697) .......(15,981) - ............... - ................ - ............. ............4,326 ................ 001...............

IRS DECEMBER 2029...................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/16/2014 .12/18/2029 .................1 ........200,000

2.467%(LIBOR) - ................. - ................. ...............957 ................15,057 ... ........15,057 ........12,966 - ............... - ................ - ............. ............3,704 ................ 001...............

IRS DECEMBER 2029...................... BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .12/24/2014 .12/30/2029 .................1 ........400,000 LIBOR(3%) .. - ................. - ................. ...........(2,024) ...............(38,422) ... .......(38,422) .......(26,207) - ............... - ................ - ............. ............7,416 ................ 001...............

IRS JANUARY 2030......................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/06/2015 .01/08/2030 .................1 ........400,000

2.215%(LIBOR) - ................. - ................. ............1,615 ................17,656 ... ........17,656 ........25,792 - ............... - ................ - ............. ............7,422 ................ 001...............

IRS JANUARY 2030......................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/06/2015 .01/08/2030 .................1 ........400,000

2.255%(LIBOR) - ................. - ................. ............1,655 ................19,632 ... ........19,632 ........25,833 - ............... - ................ - ............. ............7,422 ................ 001...............

IRS JANUARY 2030......................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/14/2015 .01/16/2030 .................1 ........300,000

2.136%(LIBOR) - ................. - ................. ............1,179 ................10,301 ... ........10,301 ........19,277 - ............... - ................ - ............. ............5,571 ................ 001...............

IRS JANUARY 2020......................... BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/16/2015 .01/20/2020 .................1 ........400,000 LIBOR(1%) .. - ................. - ................. ..............(847) .................(5,345) ... .........(5,345) .........(8,169) - ............... - ................ - ............. ............3,902 ................ 001...............

IRS JANUARY 2025......................... BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/20/2015 .01/22/2025 .................1 ........300,000

1.888%(LIBOR) - ................. - ................. ............1,000 ..................8,183 ... ..........8,183 ........13,923 - ............... - ................ - ............. ............4,453 ................ 001...............

IRS FEBRUARY 2025....................... BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/29/2015 .02/02/2025 .................1 ........400,000

1.8895%(LIBOR) - ................. - ................. ............1,374 ................10,897 ... ........10,897 ........18,595 - ............... - ................ - ............. ............5,946 ................ 001...............

IRS MARCH 2025............................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.02/26/2015 .03/02/2025 .................1 ........400,000

2.098%(LIBOR) - ................. - ................. ............1,607 ................17,823 ... ........17,823 ........18,684 - ............... - ................ - ............. ............5,974 ................ 001...............

IRS MARCH 2030............................. BOLI Separate Accounts Hedge....... N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/03/2015 .03/05/2030 .................1 ........400,000 LIBOR(2%) .. - ................. - ................. ...........(1,940) ...............(29,277) ... .......(29,277) .......(26,143) - ............... - ................ - ............. ............7,465 ................ 001...............

IRS MARCH 2025............................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.03/10/2015 .03/12/2025 .................1 ........200,000

2.253%(LIBOR) - ................. - ................. ...............859 ................11,512 ... ........11,512 ..........9,383 - ............... - ................ - ............. ............2,992 ................ 001...............

IRS MARCH 2025............................. BOLI Separate Accounts Hedge....... N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.03/19/2015 .03/23/2025 .................1 ........400,000

2.044%(LIBOR) - ................. - ................. ............1,442 ................15,966 ... ........15,966 ........18,903 - ............... - ................ - ............. ............5,994 ................ 001...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.19

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

IRS APRIL 2020.................................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/17/2015 .04/21/2020 ..................1 .........400,000

1.481%(LIBOR) - ................... - ................... ................922 ...................6,419 ... ...........6,419 ...........8,784 - ................ - .................. - .............. .............4,029 ................. 001...............

IRS MAY 2030..................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .05/12/2015 .05/14/2030 ..................1 .........400,000 LIBOR(3%) .. - ................... - ................... ............(2,089) ................(35,853) ... ........(35,853) ........(26,528) - ................ - .................. - .............. .............7,516 ................. 001...............

IRS JUNE 2030................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .06/05/2015 .06/09/2030 ..................1 .........400,000 LIBOR(3%) .. - ................... - ................... ............(2,185) ................(44,117) ... ........(44,117) ........(26,819) - ................ - .................. - .............. .............7,534 ................. 001...............

IRS JUNE 2030................................... BOLI Separate Accounts Hedge........ N/A......... a..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .06/10/2015 .06/12/2030 ..................1 .........800,000 LIBOR(3%) .. - ................... - ................... ............(4,595) ................(96,812) ... ........(96,812) ........(53,874) - ................ - .................. - .............. ...........15,073 ................. 001...............

IRS JUNE 2020................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.06/10/2015 .06/12/2020 ..................1 .........800,000

1.929%(LIBOR) - ................... - ................... .............2,794 .................27,434 ... .........27,434 .........17,607 - ................ - .................. - .............. .............8,198 ................. 001...............

IRS JUNE 2020................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.06/11/2015 .06/15/2020 ..................1 .........800,000

1.891%(LIBOR) - ................... - ................... .............2,703 .................26,202 ... .........26,202 .........17,717 - ................ - .................. - .............. .............8,206 ................. 001...............

IRS JUNE 2025................................... BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.06/19/2015 .06/23/2025 ..................1 .........400,000

2.372%(LIBOR) - ................... - ................... .............1,770 .................27,064 ... .........27,064 .........19,323 - ................ - .................. - .............. .............6,076 ................. 001...............

IRS AUGUST 2030............................. BOLI Separate Accounts Hedge........ N/A......... a..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.08/07/2015 .08/11/2030 ..................1 .........700,000

2.4865%(LIBOR) - ................... - ................... .............3,476 .................52,945 ... .........52,945 .........56,486 - ................ - .................. - .............. ...........13,265 ................. 001...............

IRS SEPTEMBER 2025...................... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .09/28/2015 .09/30/2025 ..................1 .........400,000

2.069%(LIBOR) - ................... - ................... .............1,459 .................16,310 ... .........16,310 .........19,761 - ................ - .................. - .............. .............6,164 ................. 001...............

IRS JANUARY 2026........................... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .01/06/2016 .01/08/2026 ..................1 .........400,000

2.1075%(LIBOR) - ................... - ................... .............1,372 .................17,383 ... .........17,383 .........17,383 - ................ - .................. - .............. .............6,252 ................. 001...............

IRS JANUARY 2026........................... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/12/2016 .01/14/2026 ..................1 .........400,000

1.9895%(LIBOR) - ................... - ................... .............1,169 .................13,058 ... .........13,058 .........13,058 - ................ - .................. - .............. .............6,257 ................. 001...............

IRS JANUARY 2026........................... BOLI Separate Accounts Hedge........ N/A......... a..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.01/15/2016 .01/19/2026 ..................1 .........300,000

1.888%(LIBOR) - ................... - ................... ................760 ...................6,992 ... ...........6,992 ...........6,992 - ................ - .................. - .............. .............4,696 ................. 001...............

IRS FEBRUARY 2031......................... BOLI Separate Accounts Hedge........ N/A......... a..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .02/09/2016 .02/11/2031 ..................1 .........200,000

1.9135%(LIBOR) - ................... - ................... ................363 .......................360 ... ..............360 ..............360 - ................ - .................. - .............. .............3,855 ................. 001...............

0919999. Total-Swaps-Hedging Other-Interest Rate.......................................................................... .................................................................................. .......................................................................................................................... ......1,377,500 ....................0 .........709,250 ..........13,850,126 XXX ..13,850,126 ..10,622,126 ..................0 .........(12,015) ................0 ......6,362,094 XXX XXX

Swaps - Hedging Other - Foreign Exchange

CURRENCY SWAP JUNE 2024........ 13321LAK4 Cameco Corp.................. D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.09/04/2014 .06/24/2024 ..................1 ......5,531,993

3.872%(4.19%) ........(111,034) - ................... .............8,136 ...............874,731 ... .......874,731 .........52,023 ......(289,121) ............2,685 - .............. ...........79,367 ................. 003...............

CURRENCY SWAP JUNE 2024........ 13321LAK4 Cameco Corp.................. D 1.......... c..........JP MORGANCHASE BANK NA 7H6GLXDRUGQFU57RNE97.09/08/2014 .06/24/2024 ..................1 ......9,144,111

3.876%(4.19%) ........(190,998) - ................... ...........12,920 ............1,370,887 ... ....1,370,887 .........83,611 ......(482,211) ............4,608 - .............. .........131,190 ................. 003...............

CURRENCY SWAP JUNE 2024........ 13321LAK4 Cameco Corp.................. D 1.......... c..........JP MORGANCHASE BANK NA 7H6GLXDRUGQFU57RNE97.09/12/2014 .06/24/2024 ..................1 ......5,417,607

4.015%(4.19%) ..........(65,397) - ................... .............8,961 ...............799,706 ... .......799,706 .........45,567 ......(286,932) ............1,682 - .............. ...........77,726 ................. 003...............

CURRENCY SWAP JUNE 2019........EC2126083 MassMutual GlobalFunding D 1.......... c..........

TORONTODOMINION BANK PT3QB789TSUIDF371261 .03/21/2012 .06/14/2019 ..................1 ....24,466,250 3.87%(6.2%).. .....(4,411,265) - ................... ..........(85,529) ...............959,681 ... .......959,681 .......115,345 ...(1,053,784) ........151,056 - .............. .........219,023 ................. 003...............

CURRENCY SWAP MARCH 2019.... EC1137453 Pacific Funding............... D 1.......... c..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .02/26/2013 .03/12/2019 ..................1 ......8,094,720 3.56%(4.7%).. ........(771,719) - ................... ............(6,140) ...............525,439 ... .......525,439 .........38,072 ......(337,786) ..........31,302 - .............. ...........69,516 ................. 003...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.20

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

CURRENCY SWAP SEPTEMBER2024 EJ3700048 Anheuser-Bush Inbev..... D 1.......... c..........

GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.02/27/2013 .09/25/2024 ..................1 ....11,776,500

3.105%(2.875%) ........(419,715) - ................... ...........18,826 ...............271,764 ... .......271,764 ........(88,819) ......(474,229) ............8,487 - .............. .........171,530 ................. 003...............

CURRENCY SWAP APRIL 2018.......EH2984076 Principal FinancialGlobal Fdg II D 1.......... c..........

GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/06/2011 .04/10/2018 ..................1 ....39,030,000

5.29%(L-180day) ......5,564,025 - ................... .........346,150 ............5,655,126 ... ....5,655,126 .......239,019 .......914,580 .......(230,544) - .............. .........277,894 ................. 003...............

CURRENCY SWAP APRIL 2031....... EH9181254 Yorkshire Water SRV..... D 1.......... c..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/18/2012 .04/17/2031 ..................1 ....15,817,000

4.47%(6.601%) .....(4,414,525) - ................... ..........(70,207) ...........(3,453,391) ... ...(3,453,391) ........(81,318) .......467,609 ..........40,726 - .............. .........306,777 ................. 003...............

CURRENCY SWAP MARCH 2040....EI1916143 Western Pwr Dist S.Wales PLC D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .09/14/2012 .03/23/2040 ..................1 ....15,832,148

4.873%(5.75%) .....(2,625,806) - ................... ..........(17,317) ...........(2,142,697) ... ...(2,142,697) ......(214,235) .......426,367 ..........10,785 - .............. .........387,650 ................. 003...............

CURRENCY SWAP APRIL 2032....... EI6738104 Western Power Dist......... D 1.......... c..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.10/02/2012 .04/16/2032 ..................1 ....15,894,945

4.493%(5.75%) .....(3,283,896) - ................... ..........(32,854) ...........(1,517,180) ... ...(1,517,180) ........(37,331) .......439,174 ..........28,267 - .............. .........318,340 ................. 003...............

CURRENCY SWAP FEBRUARY2023 TT3378615 Northumbrian Water........ D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .10/04/2012 .02/06/2023 ..................1 ....12,910,400

3.541%(6.875%) .....(4,297,872) - ................... ..........(89,032) ...........(1,274,503) ... ...(1,274,503) ........(44,822) .......365,702 ..........98,800 - .............. .........168,949 ................. 003...............

CURRENCY SWAP SEPTEMBER2027 EJ3523127 SP Manweb PLC............. D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .10/04/2012 .09/20/2027 ..................1 ....15,913,660

4.58%(4.875%) ........(855,359) - ................... ............(4,139) ............1,036,322 ... ....1,036,322 .........93,650 .......389,269 ..........12,531 - .............. .........269,503 ................. 003...............

CURRENCY SWAP DECEMBER2025 EI4814659 BG Energy Capital PLC... D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .10/05/2012 .12/01/2025 ..................1 ....22,687,000

3.598%(5.125%) .....(4,578,010) - ................... ..........(66,122) ..............(672,010) ... ......(672,010) ........(16,932) .......607,280 ..........80,381 - .............. .........352,734 ................. 003...............

CURRENCY SWAP MARCH 2026.... TT3217177 Norweb PLC.................... D 1.......... c..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .10/17/2012 .03/25/2026 ..................1 ....15,943,998

4.528%(8.875%) .....(8,603,222) - ................... ........(144,150) ...........(4,271,882) ... ...(4,271,882) ........(94,272) .......522,276 ........136,159 - .............. .........251,922 ................. 003...............

CURRENCY SWAP JUNE 2032........ EC4853908 Southern Electric Power. D 1.......... c..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .10/17/2012 .06/07/2032 ..................1 ......9,934,095 4.13%(5.5%).. .....(2,219,476) - ................... ..........(26,438) ...........(1,139,006) ... ...(1,139,006) ........(42,953) .......277,275 ..........20,538 - .............. .........199,834 ................. 003...............

CURRENCY SWAP JULY 2032.........EJ2618761 Northern PowergridYorkshire D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .10/24/2012 .07/05/2032 ..................1 ....12,101,802

4.052%(4.375%) ........(657,491) - ................... ............(6,263) ...............123,921 ... .......123,921 .........10,179 .......299,769 ............5,758 - .............. .........244,024 ................. 003...............

CURRENCY SWAP OCTOBER 2033 ED178341 Wessex Water Servs Fin. D 1.......... c..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .11/19/2012 .10/14/2033 ..................1 ......9,540,000

4.266%(5.75%) .....(2,397,211) - ................... ..........(31,644) ...........(1,664,475) ... ...(1,664,475) ........(85,056) .......277,032 ..........21,849 - .............. .........199,765 ................. 003...............

CURRENCY SWAP JUNE 2029........ EC1355816 Severn Trent Water Util.. D 1.......... c..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .11/19/2012 .06/07/2029 ..................1 ......9,942,500

4.103%(6.25%) .....(3,158,335) - ................... ..........(47,178) ...........(1,734,643) ... ...(1,734,643) ........(45,024) .......297,978 ..........38,250 - .............. .........180,519 ................. 003...............

CURRENCY SWAP JUNE 2029........ EC1355816 Severn Trent Water Util.. D 1.......... c..........CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .11/20/2012 .06/07/2029 ..................1 ......9,943,750

4.093%(6.25%) .....(3,112,195) - ................... ..........(47,413) ...........(1,744,831) ... ...(1,744,831) ........(43,654) .......297,113 ..........37,597 - .............. .........180,542 ................. 003...............

CURRENCY SWAP OCTOBER 2033 ED1785341 Wessex Water Servs Fin D 1.......... c..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .11/28/2012 .10/14/2033 ..................1 ......9,595,200

4.256%(5.75%) .....(2,422,020) - ................... ..........(31,291) ...........(1,604,465) ... ...(1,604,465) ........(81,181) .......277,160 ..........22,099 - .............. .........200,921 ................. 003...............

CURRENCY SWAP JANUARY 2023 EI6737866 Western Power Dist East. D 1.......... c..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .11/29/2012 .01/17/2023 ..................1 ....15,861,780

3.429%(5.25%) .....(2,902,547) - ................... ..........(51,058) ..............(275,572) ... ......(275,572) ........(28,606) .......418,821 ..........68,704 - .............. .........206,770 ................. 003...............

CURRENCY SWAP JULY 2032.........EJ2618761 Northern PowergridYorkshire D 1.......... c..........

GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.12/06/2012 .07/05/2032 ..................1 ......7,632,300

4.01%(4.375%) ........(446,413) - ................... ............(4,564) .................55,466 ... .........55,466 ...........5,450 .......189,280 ............3,969 - .............. .........153,900 ................. 003...............

CURRENCY SWAP DECEMBER2025 ED2426317 Vodafone Group PLC..... D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/11/2013 .12/04/2025 ..................1 ......9,833,200

3.781%(5.625%) .....(2,225,450) - ................... ..........(36,436) ..............(595,686) ... ......(595,686) ........(11,405) .......269,584 ..........39,472 - .............. .........152,951 ................. 003...............

CURRENCY SWAP DECEMBER2030 EC3170643 Wal-Mart Stores Inc........ D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/28/2013 .12/19/2030 ..................1 ....15,719,000

4.185%(5.75%) .....(4,106,589) - ................... ..........(49,993) ...........(2,407,745) ... ...(2,407,745) ........(82,519) .......462,799 ..........46,095 - .............. .........301,537 ................. 003...............

CURRENCY SWAP JANUARY 2030 EC2160041 Proctor & Gamble........... D 1.......... c..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/28/2013 .01/31/2030 ..................1 ....27,426,330

4.135%(6.25%) .....(9,126,386) - ................... ........(112,564) ...........(5,593,413) ... ...(5,593,413) ......(190,468) .......845,260 ........111,026 - .............. .........510,036 ................. 003...............

CURRENCY SWAP DECEMBER2030 EC3170643 Wal-Mart Stores Inc........ D 1.......... c..........

GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/29/2013 .12/19/2030 ..................1 ....15,760,000 4.16%(5.75%) .....(4,208,866) - ................... ..........(50,549) ...........(2,405,943) ... ...(2,405,943) ........(83,698) .......464,506 ..........47,356 - .............. .........302,324 ................. 003...............

CURRENCY SWAP JANUARY 2030 EC2160041 Proctor & Gamble........... D 1.......... c..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/28/2013 .01/31/2030 ..................1 ....10,999,100 4.13%(6.25%) .....(3,656,761) - ................... ..........(45,149) ...........(2,236,476) ... ...(2,236,476) ........(75,724) .......338,604 ..........44,482 - .............. .........204,546 ................. 003...............

CURRENCY SWAP SEPTEMBER2024 EJ3722562 BHP Billiton Finance LTD D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .02/14/2013 .09/25/2024 ..................1 ......5,971,350

3.633%(3.25%) .........177,588 - ................... .............6,664 ...............478,434 ... .......478,434 .........10,884 .......142,966 ...........(3,228) - .............. ...........86,975 ................. 003...............

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.21

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

CURRENCY SWAP JUNE 2038........ EH8462572 Pfizer Inc......................... D 1.......... c..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .01/28/2013 .06/03/2038 ..................1 ....19,593,750 4.683%(6.5%) .....(7,081,769) - ................... ..........(81,589) ...........(6,569,559) ... ...(6,569,559) ......(473,970) .......630,538 ..........42,324 - .............. .........461,338 ................. 003...............

CURRENCY SWAP DECEMBER2027

EC7876542 United Utilities WaterPLC D 1.......... c..........

DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .03/13/2013 .12/20/2027 ..................1 ....15,847,000

4.553%(5.625%) .....(3,064,017) - ................... ..........(41,790) ...........(1,874,684) ... ...(1,874,684) ........(48,092) .......466,906 ..........45,924 - .............. .........271,283 ................. 003...............

CURRENCY SWAP DECEMBER2030 EC3170643 Wal-Mart Stores Inc........ D 1.......... c..........

GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.01/30/2013 .12/19/2030 ..................1 ....17,763,750

4.243%(5.75%) .....(4,542,724) - ................... ..........(52,853) ...........(2,471,497) ... ...(2,471,497) ........(80,740) .......518,532 ..........50,918 - .............. .........340,761 ................. 003...............

CURRENCY SWAP MARCH 2031.... EH7469180 Statoil ASA...................... D 1.......... c..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.02/11/2013 .03/11/2031 ..................1 ....14,886,500 4.4%(6.875%) .....(5,827,321) - ................... ..........(77,580) ...........(4,081,290) ... ...(4,081,290) ......(147,240) .......480,225 ..........58,818 - .............. .........287,768 ................. 003...............

CURRENCY SWAP MARCH 2031.... EH7469180 Statoil ASA...................... D 1.......... c..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .04/19/2013 .03/11/2031 ..................1 ....13,963,950

4.018%(6.875%) .....(6,800,583) - ................... ..........(92,125) ...........(5,005,532) ... ...(5,005,532) ......(229,892) .......489,300 ..........75,259 - .............. .........269,935 ................. 003...............

CURRENCY SWAP SEPTEMBER2042 EJ3704008 Raglan Finance PLC....... D 1.......... c..........

CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .05/27/2014 .09/20/2042 ..................1 ....16,812,000

4.76%(5.034%) .....(1,065,556) - ................... .............9,215 ...............583,106 ... .......583,106 ......(225,982) .......401,856 ............6,310 - .............. .........432,498 ................. 003...............

CURRENCY SWAP APRIL 2029....... EK1436725 Porterbrook Rail Fin LTD D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.05/29/2014 .04/04/2029 ..................1 ....10,697,600

4.43%(4.625%) ........(490,078) - ................... .............5,697 ............1,134,605 ... ....1,134,605 .........79,919 .......252,320 ............6,195 - .............. .........192,936 ................. 003...............

CURRENCY SWAP SEPTEMBER2026 EJ3740549 Met Life Global Funding.. D 1.......... c..........

CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .08/27/2014 .09/30/2026 ..................1 ......8,294,000 3.6%(3.5%).... ........(203,120) - ................... .............8,742 ............1,047,222 ... ....1,047,222 .........40,913 .......193,589 ............3,326 - .............. .........134,378 ................. 003...............

CURRENCY SWAP JUNE 2025........ EK3311017 Thames Water Utility...... D 1.......... c..........DEUTSCHE BANKAG 7LTWFZYICNSX8D621K86 .09/02/2014 .06/19/2025 ..................1 ....19,806,000 3.95%(4.%).... ........(673,404) - ................... .............5,098 ............2,287,629 ... ....2,287,629 .........75,080 .......467,823 ..........12,348 - .............. .........300,690 ................. 003...............

CURRENCY SWAP OCTOBER 2027 EJ1007164 Anglian Water Srvs......... D 1.......... c..........JP MORGANCHASE BANK NA 7H6GLXDRUGQFU57RNE97.09/09/2014 .10/05/2027 ..................1 ......8,046,000 4.293%(4.5%) ........(613,508) - ................... .............1,103 ...............529,727 ... .......529,727 .........31,701 .......202,040 ..........10,042 - .............. .........136,509 ................. 003...............

CURRENCY SWAP OCTOBER 2027 EJ1007164 Anglian Water Srvs......... D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.09/16/2014 .10/05/2027 ..................1 ....11,352,600 4.32%(4.5%).. ........(850,081) - ................... .............3,261 ...............886,235 ... .......886,235 .........50,667 .......282,457 ..........13,932 - .............. .........192,609 ................. 003...............

CURRENCY SWAP JUNE 2026........3304323 South Eastern PowerNetworks D 1.......... c..........

GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.02/27/2012 .06/05/2026 ..................1 ....15,820,000 4.17%(5.5%).. .....(2,127,474) - ................... ..........(44,834) ..............(727,521) ... ......(727,521) .........30,021 .......416,938 ..........30,354 - .............. .........252,384 ................. 003...............

CURRENCY SWAP MARCH 2024.... 3432451 Eastern Power Networks..... D 1.......... c..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .03/08/2012 .03/08/2024 ..................1 ....15,800,000 4.05%(5.75%) .....(2,262,402) - ................... ..........(55,721) ..............(665,419) ... ......(665,419) .........20,090 .......415,755 ..........41,249 - .............. .........222,591 ................. 003...............

CURRENCY SWAP JULY 2026......... EI7411016 SPD Finance UK PLC...... D 1.......... c..........TORONTODOMINION BANK PT3QB789TSUIDF371261 .03/22/2012 .07/17/2026 ..................1 ....18,960,000

4.29%(5.875%) .....(2,910,170) - ................... ..........(71,318) ...........(1,347,377) ... ...(1,347,377) .........34,660 .......507,146 ..........42,360 - .............. .........304,206 ................. 003...............

CURRENCY SWAP MARCH 2027....EC9031872 Western Pwr Distrib SWPLC D 1.......... c..........

GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.04/16/2012 .03/25/2027 ..................1 ....15,800,000

4.448%(5.875%) .....(2,510,146) - ................... ................692 ...........(1,054,892) ... ...(1,054,892) .........36,380 .......425,425 ..........31,977 - .............. .........261,848 ................. 003...............

CURRENCY SWAP JUNE 2027........ EC5735344 London Power Networks D 1.......... c..........GOLDMAN SACHSMITSUI MARINE X1H61UOUXUPKXR51OV18.05/11/2012 .06/07/2027 ..................1 ....15,664,350

4.31%(6.125%) .....(3,035,751) - ................... ..........(58,914) ...........(1,333,009) ... ...(1,333,009) .........33,049 .......424,201 ..........40,032 - .............. .........261,952 ................. 003...............

CURRENCY SWAP SEPTEMBER2026 EJ3740549 Met Life Global Funding.. D 1.......... c..........

CREDIT SUISSEINTERNATIONAL E58DKGMJYYYJLN8C3868 .10/02/2014 .09/30/2026 ..................1 ......8,062,500 3.653%(3.5%) ........(212,044) - ................... .............7,714 ...............813,655 ... .......813,655 .........28,014 .......193,989 ............3,520 - .............. .........130,627 ................. 003...............

CURRENCY SWAP SEPTEMBER2026 EJ3740549 Met Life Global Funding.. D 1.......... c..........

JP MORGANCHASE BANK NA 7H6GLXDRUGQFU57RNE97.10/02/2014 .09/30/2026 ..................1 ......7,254,000 3.675%(3.5%) ........(172,935) - ................... .............7,331 ...............745,499 ... .......745,499 .........25,879 .......174,243 ............2,843 - .............. .........117,528 ................. 003...............

CURRENCY SWAP JUNE 2027........ EJ2182370 National Grid.................... D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.10/03/2014 .06/08/2027 ..................1 ......9,895,200 4.024%(4.%).. ........(433,806) - ................... .............4,389 ...............768,343 ... .......768,343 .........37,350 .......244,228 ............6,472 - .............. .........165,496 ................. 003...............

CURRENCY SWAP JUNE 2027........ EJ2182370 National Grid.................... D 1.......... c..........WELLS FARGOBANK NA KB1H1DSPRFMYMCUFXT09.10/03/2014 .06/08/2027 ..................1 ......9,895,200 4.024%(4.%).. ........(433,806) - ................... .............4,389 ...............768,343 ... .......768,343 .........37,350 .......244,228 ............6,472 - .............. .........165,495 ................. 003...............

0939999. Total-Swaps-Hedging Other-Foreign Exchange................................................................. .................................................................................. .......................................................................................................................... (114,837,640) ....................0 .....(1,173,466) .........(38,148,857) XXX (38,148,857) ...(1,299,060) ..13,498,080 .....1,411,567 ................0 ....11,109,597 XXX XXX

0969999. Total-Swaps-Hedging Other................................................................................................. .................................................................................. .......................................................................................................................... (113,460,140) ....................0 ........(464,216) .........(24,298,731) XXX (24,298,731) ....9,323,066 ..13,498,080 .....1,399,552 ................0 ....17,471,691 XXX XXX

1159999. Total-Swaps-Interest Rate.................................................................................................... .................................................................................. .......................................................................................................................... ......1,377,500 ....................0 ......1,528,068 ..........13,850,126 XXX ..25,293,099 ..10,622,126 ..................0 .........(12,015) ................0 ......9,704,530 XXX XXX

1179999. Total-Swaps-Foreign Exchange........................................................................................... .................................................................................. .......................................................................................................................... (115,182,460) ..........(85,128) ........(423,937) .........(17,209,089) XXX (12,630,762) ...(1,299,060) ..14,100,331 .....1,421,548 ................0 ....17,956,388 XXX XXX

1209999. Total-Swaps.......................................................................................................................... .................................................................................. .......................................................................................................................... (113,804,960) ..........(85,128) ......1,104,131 ...........(3,358,963) XXX ..12,662,337 ....9,323,066 ..14,100,331 .....1,409,533 ................0 ....27,660,918 XXX XXX

1399999. Total-Hedging Effective........................................................................................................ .................................................................................. .......................................................................................................................... ........(344,820) ..........(85,128) ......1,568,347 ..........20,939,768 XXX ..36,961,068 ..................0 .......602,251 ............9,981 ................0 ....10,189,227 XXX XXX

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE06.22

SCHEDULE DB - PART A - SECTION 1Showing all Options, Caps, Floors, Collars, Swaps and Forwards Open as of Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23

DescriptionDescription of Items(s) Hedged, Usedfor Income Generation or Replicated

Schedule/ ExhibitIdentifier

Type(s)of

Risk(s)(a)

Exchange,or Central

CounterpartyClearinghouse

TradeDate

Date ofMaturity orExpiration

Number ofContracts

NotionalAmount

Strike Price,Rate of Index

Received(Paid)

CumulativePrior Year(s)Initial Cost of

Premium(Received)

Paid

Current YearInitial Cost of

Premium(Received)

PaidCurrent Year

IncomeBook/AdjustedCarrying Value

Code Fair Value

UnrealizedValuationIncrease

(Decrease)

Total ForeignExchangeChange inB./A.C.V.

CurrentYear's

(Amortization)/ Accretion

Adjustmentto Carrying

Value ofHedged

ItemsPotentialExposure

CreditQuality ofReference

Entity

HedgeEffectivenessat Inceptionand at Year-

end (b)

1409999. Total-Hedging Other............................................................................................................. .................................................................................. .......................................................................................................................... (112,053,672) ...........51,075 ........(464,216) .........(24,119,883) XXX (24,119,883) ....9,261,834 ..13,498,080 .....1,399,552 ................0 ....17,471,691 XXX XXX

1449999. TOTAL................................................................................................................................... .................................................................................. .......................................................................................................................... (112,398,492) ..........(34,053) ......1,104,131 ...........(3,180,115) XXX ..12,841,185 ....9,261,834 ..14,100,331 .....1,409,533 ................0 ....27,660,918 XXX XXX

(a) Code Description of Hedged Risk(s)a Interest Rateb Equity/Indexc Currency

(b) Code Financial or Economic Impact of the Hedge at the End of the Reporting Period1 This dynamic hedging program is an investment risk hedge program used to manage the potential variability in future interest payments on certain insurance and annuity products due to a change in credited interest rates and the related change in cash flows due to increased surrenders.2 Derivatives used to hedge the liability of the GMWB product. While the hedge program is actively managed, it may not exactly offset changes in the GMWB liability due to, among other things, divergence between the performance of the underlying mutual funds and the hedge instruments, high levels of volatility in the equity and interest rate markets, and differences between actual contract holder behavior and what is assumed.3 Derivatives used as economic hedges to manage the foreign currency exchange rate risk associated with investments denominated in non-U.S. dollars. The Company uses cross-currency swaps to convert interest and principal payments on foreign denominated debt instruments into U.S. dollars.4 Interest rate swap agreements are used to convert the interest rate on certain debt securities from a floating rate to a fixed rate. These derivatives are primarily structured to hedge interest rate risk inherent in the assumptions used to price certain liabilities.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE07

SCHEDULE DB - PART B - SECTION 1Futures Contracts Open as of the Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 Highly Effective Hedges 18 19 20 21 2215 16 17

TickerSymbol

Number ofContracts

NotionalAmount Description

Description of Item(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of Risk(s)

(a)

Date ofMaturity orExpiration Exchange

TradeDate

TransactionPrice

ReportingDate Price Fair Value

Book/AdjustedCarrying Value

CumulativeVariationMargin

DeferredVariationMargin

Change inVariation Margin

Gain (Loss)Used to Adjust

Basis of HedgedItem

CumulativeVariation

Margin for AllOther Hedges

Change inVariation

Margin Gain(Loss)

Recognized inCurrent Year

PotentialExposure

HedgeEffectivenessat Inceptionand at Year-

end (b)Value of One

(1) PointLong FuturesHedging OtherCNPM6.. ..............4 ...400,000 10 PRIMARY FIXED RATE......... Dynamic Hedging...................... N/A......... a............. 06/17/2016. CBOT....................... 549300EX04Q2QBFQTQ27 03/11/2016. .....103.3594 .....105.1875 ................375 ........................... ....................... ....................... ........................... .............7,312 ...............7,313 ............(7,000) ....................2 ...............1,000CNPM6.. ..............1 ...100,000 10 PRIMARY FIXED RATE......... Dynamic Hedging...................... N/A......... a............. 06/17/2016. CBOT....................... 549300EX04Q2QBFQTQ27 03/23/2016. .....104.3281 .....105.1875 .............1,500 ........................... ....................... ....................... ........................... ................859 ..................859 ............(1,750) ....................2 ...............1,00012829999. Total-Long Futures-Hedging Other..................................... ............................................................................................................. ....................................................................................................................................................... .............1,875 ........................0 ....................0 ....................0 ........................0 .............8,172 ...............8,172 ............(8,750) XXX XXX1329999. Total-Long Futures................................................................ ............................................................................................................. ....................................................................................................................................................... .............1,875 ........................0 ....................0 ....................0 ........................0 .............8,172 ...............8,172 ............(8,750) XXX XXXShort FuturesHedging OtherEDM6..... ..............1 ...250,000

EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 10/02/2014. .......98.4400 .......99.3100 - .................. ........................... ....................... ....................... ........................... ............(2,175) ..............(2,175) ...............(545) ....................2 ...............2,500

EDM6..... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 12/16/2014. .......98.7050 .......99.3100 - .................. ........................... ....................... ....................... ........................... ............(1,513) ..............(1,513) ...............(545) ....................2 ...............2,500

EDM6..... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 01/06/2015. .......98.6850 .......99.3100 - .................. ........................... ....................... ....................... ........................... ............(1,563) ..............(1,563) ...............(545) ....................2 ...............2,500

EDM6..... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 01/08/2015. .......98.6600 .......99.3100 - .................. ........................... ....................... ....................... ........................... ............(3,250) ..............(3,250) ............(1,090) ....................2 ...............2,500

EDM6..... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/20/2015. .......98.8950 .......99.3100 - .................. ........................... ....................... ....................... ........................... ............(2,075) ..............(2,075) ............(1,090) ....................2 ...............2,500

EDM6..... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/20/2015. .......98.9000 .......99.3100 - .................. ........................... ....................... ....................... ........................... ............(2,050) ..............(2,050) ............(1,090) ....................2 ...............2,500

EDM6..... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......99.0500 .......99.3100 - .................. ........................... ....................... ....................... ........................... ...............(650) .................(650) ...............(545) ....................2 ...............2,500

EDM6..... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......99.0550 .......99.3100 - .................. ........................... ....................... ....................... ........................... ...............(637) .................(638) ...............(545) ....................2 ...............2,500

EDM6..... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 12/15/2015. .......99.1900 .......99.3100 - .................. ........................... ....................... ....................... ........................... ...............(300) .................(300) ...............(545) ....................2 ...............2,500

EDM6..... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 12/16/2015. .......99.1600 .......99.3100 - .................. ........................... ....................... ....................... ........................... ...............(375) .................(375) ...............(545) ....................2 ...............2,500

EDM6..... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 01/15/2016. .......99.2650 .......99.3100 - .................. ........................... ....................... ....................... ........................... ...............(113) .................(113) ...............(545) ....................2 ...............2,500

EDM6..... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 02/26/2016. .......99.2550 .......99.3100 - .................. ........................... ....................... ....................... ........................... ...............(275) .................(275) ............(1,090) ....................2 ...............2,500

EDM6..... ..............6 1,500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/10/2016. .......99.2200 .......99.3100 - .................. ........................... ....................... ....................... ........................... ............(1,350) ..............(1,350) ............(3,270) ....................2 ...............2,500

EDM6..... ..............4 1,000,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/10/2016. .......99.2300 .......99.3100 - .................. ........................... ....................... ....................... ........................... ...............(800) .................(800) ............(2,180) ....................2 ...............2,500

ESM6..... ............97 ...485,000 S&P 500 EMINI FUTURES.......... GMWB....................................... N/A......... b............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/15/2016. ..2,009.2500 ..2,051.5000 ...........17,945 ........................... ....................... ....................... ........................... ........(204,913) ..........(204,913) ........(460,750) ....................1 ....................50ESM6..... ............33 ...165,000 S&P 500 EMINI FUTURES.......... GMWB....................................... N/A......... b............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/16/2016. ..2,006.1500 ..2,051.5000 .............6,105 ........................... ....................... ....................... ........................... ..........(74,827) ............(74,828) ........(156,750) ....................1 ....................50ESM6..... ..............3 .....15,000 S&P 500 EMINI FUTURES.......... GMWB....................................... N/A......... b............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/24/2016. ..2,016.0000 ..2,051.5000 ................555 ........................... ....................... ....................... ........................... ............(5,325) ..............(5,325) ..........(14,250) ....................1 ....................50ESM6..... ..............5 .....25,000 S&P 500 EMINI FUTURES.......... GMWB....................................... N/A......... b............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/24/2016. ..2,022.7500 ..2,051.5000 ................925 ........................... ....................... ....................... ........................... ............(7,188) ..............(7,188) ..........(23,750) ....................1 ....................50FAM6..... ............38 ...380,000 S&P MID 400 EMINI FUTURES.. GMWB....................................... N/A......... b............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/14/2016. ..1,402.2500 ..1,441.2000 ............(1,520) ........................... ....................... ....................... ........................... ........(148,010) ..........(148,010) ........(254,600) ....................1 ..................100FAM6..... ..............3 .....30,000 S&P MID 400 EMINI FUTURES.. GMWB....................................... N/A......... b............. 06/17/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/24/2016. ..1,404.6000 ..1,441.2000 ...............(120) ........................... ....................... ....................... ........................... ..........(10,980) ............(10,980) ..........(20,100) ....................1 ..................1001EDH7... ..............1 ...250,000

EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 10/02/2014. .......97.7200 .......99.1300 .................(25) ........................... ....................... ....................... ........................... ............(3,525) ..............(3,525) ...............(575) ....................2 ...............2,500

1EDH7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 01/06/2015. .......98.1700 .......99.1300 .................(25) ........................... ....................... ....................... ........................... ............(2,400) ..............(2,400) ...............(575) ....................2 ...............2,500

1EDH7... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 01/07/2015. .......98.1450 .......99.1300 .................(50) ........................... ....................... ....................... ........................... ............(4,925) ..............(4,925) ............(1,150) ....................2 ...............2,500

1EDH7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 01/08/2015. .......98.1500 .......99.1300 .................(25) ........................... ....................... ....................... ........................... ............(2,450) ..............(2,450) ...............(575) ....................2 ...............2,500

1EDH7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 06/17/2015. .......98.2800 .......99.1300 .................(25) ........................... ....................... ....................... ........................... ............(2,125) ..............(2,125) ...............(575) ....................2 ...............2,500

1EDH7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 07/10/2015. .......98.4700 .......99.1300 .................(25) ........................... ....................... ....................... ........................... ............(1,650) ..............(1,650) ...............(575) ....................2 ...............2,500

1EDH7... ..............3 ...750,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......98.4750 .......99.1300 .................(75) ........................... ....................... ....................... ........................... ............(4,913) ..............(4,913) ............(1,725) ....................2 ...............2,500

1EDH7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......98.4800 .......99.1300 .................(25) ........................... ....................... ....................... ........................... ............(1,625) ..............(1,625) ...............(575) ....................2 ...............2,500

1EDH7... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 01/15/2016. .......99.0150 .......99.1300 .................(50) ........................... ....................... ....................... ........................... ...............(575) .................(575) ............(1,150) ....................2 ...............2,500

1EDH7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 02/26/2016. .......99.1250 .......99.1300 .................(25) ........................... ....................... ....................... ........................... .................(12) ...................(13) ...............(575) ....................2 ...............2,500

1EDH7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/17/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 03/04/2016. .......99.0400 .......99.1300 .................(25) ........................... ....................... ....................... ........................... ...............(225) .................(225) ...............(575) ....................2 ...............2,500

1EDH8... ..............3 ...750,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/16/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 03/20/2015. .......97.9250 .......98.9100 ...............(375) ........................... ....................... ....................... ........................... ............(7,388) ..............(7,388) ............(2,400) ....................2 ...............2,500

1EDH8... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/16/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 04/24/2015. .......98.0800 .......98.9100 ...............(250) ........................... ....................... ....................... ........................... ............(4,150) ..............(4,150) ............(1,600) ....................2 ...............2,500

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE07.1

SCHEDULE DB - PART B - SECTION 1Futures Contracts Open as of the Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 Highly Effective Hedges 18 19 20 21 2215 16 17

TickerSymbol

Number ofContracts

NotionalAmount Description

Description of Item(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of Risk(s)

(a)

Date ofMaturity orExpiration Exchange

TradeDate

TransactionPrice

ReportingDate Price Fair Value

Book/AdjustedCarrying Value

CumulativeVariationMargin

DeferredVariationMargin

Change inVariation Margin

Gain (Loss)Used to Adjust

Basis of HedgedItem

CumulativeVariation

Margin for AllOther Hedges

Change inVariation

Margin Gain(Loss)

Recognized inCurrent Year

PotentialExposure

HedgeEffectivenessat Inceptionand at Year-

end (b)Value of One

(1) Point1EDH8... ..............1 ...250,000

EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/16/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 07/10/2015. .......97.8650 .......98.9100 ...............(125) ........................... ....................... ....................... ........................... ............(2,613) ..............(2,613) ...............(800) ....................2 ...............2,500

1EDH8... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/16/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......97.9450 .......98.9100 ...............(125) ........................... ....................... ....................... ........................... ............(2,413) ..............(2,413) ...............(800) ....................2 ...............2,500

1EDH8... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/16/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 09/17/2015. .......98.1400 .......98.9100 ...............(125) ........................... ....................... ....................... ........................... ............(1,925) ..............(1,925) ...............(800) ....................2 ...............2,500

1EDH8... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/16/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 01/15/2016. .......98.6250 .......98.9100 ...............(125) ........................... ....................... ....................... ........................... ...............(712) .................(713) ...............(800) ....................2 ...............2,500

1EDH8... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 03/16/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 02/09/2016. .......98.9900 .......98.9100 ...............(125) ........................... ....................... ....................... ........................... ................200 ..................200 ...............(800) ....................2 ...............2,500

1EDM7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 10/23/2014. .......97.8700 .......99.0800 .................(50) ........................... ....................... ....................... ........................... ............(3,025) ..............(3,025) ...............(575) ....................2 ...............2,500

1EDM7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 12/23/2014. .......97.7100 .......99.0800 .................(50) ........................... ....................... ....................... ........................... ............(3,425) ..............(3,425) ...............(575) ....................2 ...............2,500

1EDM7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 01/06/2015. .......98.0500 .......99.0800 .................(50) ........................... ....................... ....................... ........................... ............(2,575) ..............(2,575) ...............(575) ....................2 ...............2,500

1EDM7... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 03/20/2015. .......98.2300 .......99.0800 ...............(100) ........................... ....................... ....................... ........................... ............(4,250) ..............(4,250) ............(1,150) ....................2 ...............2,500

1EDM7... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 03/20/2015. .......98.2400 .......99.0800 ...............(100) ........................... ....................... ....................... ........................... ............(4,200) ..............(4,200) ............(1,150) ....................2 ...............2,500

1EDM7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 07/10/2015. .......98.3150 .......99.0800 .................(50) ........................... ....................... ....................... ........................... ............(1,913) ..............(1,913) ...............(575) ....................2 ...............2,500

1EDM7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 07/10/2015. .......98.3200 .......99.0800 .................(50) ........................... ....................... ....................... ........................... ............(1,900) ..............(1,900) ...............(575) ....................2 ...............2,500

1EDM7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......98.3150 .......99.0800 .................(50) ........................... ....................... ....................... ........................... ............(1,913) ..............(1,913) ...............(575) ....................2 ...............2,500

1EDM7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 12/15/2015. .......98.5900 .......99.0800 .................(50) ........................... ....................... ....................... ........................... ............(1,225) ..............(1,225) ...............(575) ....................2 ...............2,500

1EDM7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 02/09/2016. .......99.2100 .......99.0800 .................(50) ........................... ....................... ....................... ........................... ................325 ..................325 ...............(575) ....................2 ...............2,500

1EDM7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/16/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 03/04/2016. .......98.9650 .......99.0800 .................(50) ........................... ....................... ....................... ........................... ...............(287) .................(288) ...............(575) ....................2 ...............2,500

1EDM8... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/15/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 07/10/2015. .......97.7400 .......98.8400 ...............(250) ........................... ....................... ....................... ........................... ............(5,500) ..............(5,500) ............(1,600) ....................2 ...............2,500

1EDM8... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/15/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......97.8500 .......98.8400 ...............(125) ........................... ....................... ....................... ........................... ............(2,475) ..............(2,475) ...............(800) ....................2 ...............2,500

1EDM8... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/15/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 09/17/2015. .......98.0300 .......98.8400 ...............(250) ........................... ....................... ....................... ........................... ............(4,050) ..............(4,050) ............(1,600) ....................2 ...............2,500

1EDM8... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 06/15/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 02/12/2016. .......98.8900 .......98.8400 ...............(125) ........................... ....................... ....................... ........................... ................125 ..................125 ...............(800) ....................2 ...............2,500

1EDU6... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 10/02/2014. .......98.1800 .......99.2400 - .................. ........................... ....................... ....................... ........................... ............(2,650) ..............(2,650) ...............(545) ....................2 ...............2,500

1EDU6... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 12/23/2014. .......98.2550 .......99.2400 - .................. ........................... ....................... ....................... ........................... ............(2,463) ..............(2,463) ...............(545) ....................2 ...............2,500

1EDU6... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 01/06/2015. .......98.4800 .......99.2400 - .................. ........................... ....................... ....................... ........................... ............(1,900) ..............(1,900) ...............(545) ....................2 ...............2,500

1EDU6... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 01/13/2015. .......98.6050 .......99.2400 - .................. ........................... ....................... ....................... ........................... ............(1,587) ..............(1,588) ...............(545) ....................2 ...............2,500

1EDU6... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 02/04/2015. .......98.6900 .......99.2400 - .................. ........................... ....................... ....................... ........................... ............(1,375) ..............(1,375) ...............(545) ....................2 ...............2,500

1EDU6... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 03/20/2015. .......98.6950 .......99.2400 - .................. ........................... ....................... ....................... ........................... ............(1,363) ..............(1,363) ...............(545) ....................2 ...............2,500

1EDU6... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 06/17/2015. .......98.7500 .......99.2400 - .................. ........................... ....................... ....................... ........................... ............(2,450) ..............(2,450) ............(1,090) ....................2 ...............2,500

1EDU6... ..............3 ...750,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......98.8450 .......99.2400 - .................. ........................... ....................... ....................... ........................... ............(2,962) ..............(2,963) ............(1,635) ....................2 ...............2,500

1EDU6... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 01/15/2016. .......99.1900 .......99.2400 - .................. ........................... ....................... ....................... ........................... ...............(250) .................(250) ............(1,090) ....................2 ...............2,500

1EDU6... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 02/26/2016. .......99.2050 .......99.2400 - .................. ........................... ....................... ....................... ........................... .................(87) ...................(88) ...............(545) ....................2 ...............2,500

1EDU7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 12/16/2014. .......97.7900 .......99.0300 .................(75) ........................... ....................... ....................... ........................... ............(3,100) ..............(3,100) ...............(700) ....................2 ...............2,500

1EDU7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 12/23/2014. .......97.6050 .......99.0300 .................(75) ........................... ....................... ....................... ........................... ............(3,562) ..............(3,563) ...............(700) ....................2 ...............2,500

1EDU7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 01/06/2015. .......97.9550 .......99.0300 .................(75) ........................... ....................... ....................... ........................... ............(2,688) ..............(2,688) ...............(700) ....................2 ...............2,500

1EDU7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 01/13/2015. .......98.0600 .......99.0300 .................(75) ........................... ....................... ....................... ........................... ............(2,425) ..............(2,425) ...............(700) ....................2 ...............2,500

1EDU7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 06/17/2015. .......98.0250 .......99.0300 .................(75) ........................... ....................... ....................... ........................... ............(2,512) ..............(2,513) ...............(700) ....................2 ...............2,500

1EDU7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 07/10/2015. .......98.1550 .......99.0300 .................(75) ........................... ....................... ....................... ........................... ............(2,188) ..............(2,188) ...............(700) ....................2 ...............2,500

1EDU7... ..............3 ...750,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......98.1750 .......99.0300 ...............(225) ........................... ....................... ....................... ........................... ............(6,413) ..............(6,413) ............(2,100) ....................2 ...............2,500

1EDU7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......98.2300 .......99.0300 .................(75) ........................... ....................... ....................... ........................... ............(2,000) ..............(2,000) ...............(700) ....................2 ...............2,500

1EDU7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 02/09/2016. .......99.1450 .......99.0300 .................(75) ........................... ....................... ....................... ........................... ................287 ..................288 ...............(700) ....................2 ...............2,500

1EDU7... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 02/09/2016. .......99.1500 .......99.0300 .................(75) ........................... ....................... ....................... ........................... ................300 ..................300 ...............(700) ....................2 ...............2,500

1EDU8... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/21/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 09/17/2015. .......97.9200 .......98.7750 ...............(275) ........................... ....................... ....................... ........................... ............(4,275) ..............(4,275) ............(1,600) ....................2 ...............2,500

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE07.2

SCHEDULE DB - PART B - SECTION 1Futures Contracts Open as of the Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 Highly Effective Hedges 18 19 20 21 2215 16 17

TickerSymbol

Number ofContracts

NotionalAmount Description

Description of Item(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of Risk(s)

(a)

Date ofMaturity orExpiration Exchange

TradeDate

TransactionPrice

ReportingDate Price Fair Value

Book/AdjustedCarrying Value

CumulativeVariationMargin

DeferredVariationMargin

Change inVariation Margin

Gain (Loss)Used to Adjust

Basis of HedgedItem

CumulativeVariation

Margin for AllOther Hedges

Change inVariation

Margin Gain(Loss)

Recognized inCurrent Year

PotentialExposure

HedgeEffectivenessat Inceptionand at Year-

end (b)Value of One

(1) Point1EDU8... ..............1 ...250,000

EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 09/21/2018. CME......................... SNZ2OJLFK8MNNCLQOF39 12/16/2015. .......97.9850 .......98.7750 ...............(137) ........................... ....................... ....................... ........................... ............(1,975) ..............(1,975) ...............(800) ....................2 ...............2,500

1EDZ6.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 10/02/2014. .......97.9250 .......99.1750 .................(12) ........................... ....................... ....................... ........................... ............(3,125) ..............(3,125) ...............(580) ....................2 ...............2,500

1EDZ6.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 01/06/2015. .......98.3050 .......99.1750 .................(12) ........................... ....................... ....................... ........................... ............(2,175) ..............(2,175) ...............(580) ....................2 ...............2,500

1EDZ6.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 01/08/2015. .......98.2950 .......99.1750 .................(12) ........................... ....................... ....................... ........................... ............(2,200) ..............(2,200) ...............(580) ....................2 ...............2,500

1EDZ6.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 01/14/2015. .......98.5450 .......99.1750 .................(12) ........................... ....................... ....................... ........................... ............(1,575) ..............(1,575) ...............(580) ....................2 ...............2,500

1EDZ6.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 02/04/2015. .......98.5100 .......99.1750 .................(12) ........................... ....................... ....................... ........................... ............(1,662) ..............(1,663) ...............(580) ....................2 ...............2,500

1EDZ6.... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 07/10/2015. .......98.6900 .......99.1750 .................(25) ........................... ....................... ....................... ........................... ............(2,425) ..............(2,425) ............(1,160) ....................2 ...............2,500

1EDZ6.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......98.6400 .......99.1750 .................(12) ........................... ....................... ....................... ........................... ............(1,337) ..............(1,338) ...............(580) ....................2 ...............2,500

1EDZ6.... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......98.6450 .......99.1750 .................(25) ........................... ....................... ....................... ........................... ............(2,650) ..............(2,650) ............(1,160) ....................2 ...............2,500

1EDZ6.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 12/16/2015. .......98.8350 .......99.1750 .................(12) ........................... ....................... ....................... ........................... ...............(850) .................(850) ...............(580) ....................2 ...............2,500

1EDZ6.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 02/12/2016. .......99.2500 .......99.1750 .................(12) ........................... ....................... ....................... ........................... ................188 ..................188 ...............(580) ....................2 ...............2,500

1EDZ6.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/16/2016. CME......................... SNZ2OJLFK8MNNCLQOF39 02/26/2016. .......99.1700 .......99.1750 .................(12) ........................... ....................... ....................... ........................... .................(12) ...................(13) ...............(580) ....................2 ...............2,500

1EDZ7.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 12/16/2014. .......97.6800 .......98.9650 ...............(100) ........................... ....................... ....................... ........................... ............(3,212) ..............(3,213) ...............(800) ....................2 ...............2,500

1EDZ7.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 12/23/2014. .......97.4850 .......98.9650 ...............(100) ........................... ....................... ....................... ........................... ............(3,700) ..............(3,700) ...............(800) ....................2 ...............2,500

1EDZ7.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 01/06/2015. .......97.8700 .......98.9650 ...............(100) ........................... ....................... ....................... ........................... ............(2,738) ..............(2,738) ...............(800) ....................2 ...............2,500

1EDZ7.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 01/14/2015. .......98.0750 .......98.9650 ...............(100) ........................... ....................... ....................... ........................... ............(2,225) ..............(2,225) ...............(800) ....................2 ...............2,500

1EDZ7.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 06/17/2015. .......97.8850 .......98.9650 ...............(100) ........................... ....................... ....................... ........................... ............(2,700) ..............(2,700) ...............(800) ....................2 ...............2,500

1EDZ7.... ..............2 ...500,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 07/10/2015. .......97.9950 .......98.9650 ...............(200) ........................... ....................... ....................... ........................... ............(4,850) ..............(4,850) ............(1,600) ....................2 ...............2,500

1EDZ7.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 08/07/2015. .......98.0450 .......98.9650 ...............(100) ........................... ....................... ....................... ........................... ............(2,300) ..............(2,300) ...............(800) ....................2 ...............2,500

1EDZ7.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 09/14/2015. .......98.0750 .......98.9650 ...............(100) ........................... ....................... ....................... ........................... ............(2,225) ..............(2,225) ...............(800) ....................2 ...............2,500

1EDZ7.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 12/16/2015. .......98.2750 .......98.9650 ...............(100) ........................... ....................... ....................... ........................... ............(1,725) ..............(1,725) ...............(800) ....................2 ...............2,500

1EDZ7.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 02/09/2016. .......99.0550 .......98.9650 ...............(100) ........................... ....................... ....................... ........................... ................225 ..................225 ...............(800) ....................2 ...............2,500

1EDZ7.... ..............1 ...250,000EURO$ INTEREST RATEFUTURES Dynamic Hedging...................... N/A......... a............. 12/15/2017. CME......................... SNZ2OJLFK8MNNCLQOF39 02/26/2016. .......98.9750 .......98.9650 ...............(100) ........................... ....................... ....................... ........................... ..................25 ....................25 ...............(800) ....................2 ...............2,500

CFPM6... ..............5 ...500,000 5 YEAR PRIMARY FIXED RATE Dynamic Hedging...................... N/A......... a............. 06/17/2016. CBOT....................... 549300EX04Q2QBFQTQ27 03/10/2016. .....102.6875 .....103.7344 ............(1,016) ........................... ....................... ....................... ........................... ............(5,234) ..............(5,234) ............(5,000) ....................2 ...............1,000CFPM6... ..............2 ...200,000 5 YEAR PRIMARY FIXED RATE Dynamic Hedging...................... N/A......... a............. 06/17/2016. CBOT....................... 549300EX04Q2QBFQTQ27 03/10/2016. .....102.7656 .....103.7344 ...............(406) ........................... ....................... ....................... ........................... ............(1,938) ..............(1,938) ............(2,000) ....................2 ...............1,000CFPM6... ..............1 ...100,000 5 YEAR PRIMARY FIXED RATE Dynamic Hedging...................... N/A......... a............. 06/17/2016. CBOT....................... 549300EX04Q2QBFQTQ27 03/10/2016. .....102.7734 .....103.7344 ...............(203) ........................... ....................... ....................... ........................... ...............(961) .................(961) ............(1,000) ....................2 ...............1,000CFPM6... ..............2 ...200,000 5 YEAR PRIMARY FIXED RATE Dynamic Hedging...................... N/A......... a............. 06/17/2016. CBOT....................... 549300EX04Q2QBFQTQ27 03/11/2016. .....102.5000 .....103.7344 ...............(406) ........................... ....................... ....................... ........................... ............(2,469) ..............(2,469) ............(2,000) ....................2 ...............1,000CFPM6... ............42 4,200,000 5 YEAR PRIMARY FIXED RATE GMWB....................................... N/A......... a............. 06/17/2016. CBOT....................... 549300EX04Q2QBFQTQ27 03/11/2016. .....102.5313 .....103.7344 ............(8,531) ........................... ....................... ....................... ........................... ..........(50,530) ............(50,531) ..........(42,000) ....................1 ...............1,000MESM6.. ............44 ...220,000 MSCI MINI INDEX....................... GMWB....................................... N/A......... b............. 06/17/2016. NYF.......................... 5493004R83R1LVX2IL36.... 03/14/2016. .....808.1000 .....833.9000 .............1,540 ........................... ....................... ....................... ........................... ..........(56,760) ............(56,760) ..........(79,200) ....................1 ....................50MFSM6.. ............74 ...370,000 MSCI EMINI INDEX..................... GMWB....................................... N/A......... b............. 06/17/2016. NYF.......................... 5493004R83R1LVX2IL36.... 03/14/2016. ..1,633.0000 ..1,625.5000 ...........63,270 ........................... ....................... ....................... ........................... ...........27,750 .............27,750 ........(262,700) ....................1 ....................50MFSM6.. ..............3 .....15,000 MSCI EMINI INDEX..................... GMWB....................................... N/A......... b............. 06/17/2016. NYF.......................... 5493004R83R1LVX2IL36.... 03/24/2016. ..1,594.7000 ..1,625.5000 .............2,565 ........................... ....................... ....................... ........................... ............(4,620) ..............(4,620) ..........(10,650) ....................1 ....................50MFSM6.. ..............3 .....15,000 MSCI EMINI INDEX..................... GMWB....................................... N/A......... b............. 06/17/2016. NYF.......................... 5493004R83R1LVX2IL36.... 03/24/2016. ..1,598.8000 ..1,625.5000 .............2,565 ........................... ....................... ....................... ........................... ............(4,005) ..............(4,005) ..........(10,650) ....................1 ....................50RTAM6... ............41 ...410,000 RUSSELL 2000 MINI FUTURES. GMWB....................................... N/A......... b............. 06/17/2016. NYF.......................... 5493004R83R1LVX2IL36.... 03/16/2016. ..1,060.2500 ..1,109.6000 ..........(10,660) ........................... ....................... ....................... ........................... ........(202,335) ..........(202,313) ........(221,400) ....................1 ..................10013429999. Total-Short Futures-Hedging Other..................................... ............................................................................................................. ....................................................................................................................................................... ...........66,913 ........................0 ....................0 ....................0 ........................0 ........(940,070) ..........(940,063) .....(1,645,440) XXX XXX1389999. Total-Short Futures............................................................... ............................................................................................................. ....................................................................................................................................................... ...........66,913 ........................0 ....................0 ....................0 ........................0 ........(940,070) ..........(940,063) .....(1,645,440) XXX XXX1409999. Total-Hedging Other.............................................................. ............................................................................................................. ....................................................................................................................................................... ...........68,788 ........................0 ....................0 ....................0 ........................0 ........(931,898) ..........(931,891) .....(1,654,190) XXX XXX1449999. TOTAL................................................................................... ............................................................................................................. ....................................................................................................................................................... ...........68,788 ........................0 ....................0 ....................0 ........................0 ........(931,898) ..........(931,891) .....(1,654,190) XXX XXX

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE07.3

SCHEDULE DB - PART B - SECTION 1Futures Contracts Open as of the Current Statement Date

1 2 3 4 5 6 7 8 9 10 11 12 13 14 Highly Effective Hedges 18 19 20 21 2215 16 17

TickerSymbol

Number ofContracts

NotionalAmount Description

Description of Item(s) Hedged,Used for Income Generation or

Replicated

Schedule/ ExhibitIdentifier

Type(s)of Risk(s)

(a)

Date ofMaturity orExpiration Exchange

TradeDate

TransactionPrice

ReportingDate Price Fair Value

Book/AdjustedCarrying Value

CumulativeVariationMargin

DeferredVariationMargin

Change inVariation Margin

Gain (Loss)Used to Adjust

Basis of HedgedItem

CumulativeVariation

Margin for AllOther Hedges

Change inVariation

Margin Gain(Loss)

Recognized inCurrent Year

PotentialExposure

HedgeEffectivenessat Inceptionand at Year-

end (b)Value of One

(1) Point

Broker Name

BeginningCash

Balance

CumulativeCash

Change

EndingCash

BalanceWells Fargo Bank NA ......2,419,677 ...........799,077 ......3,218,755Total Net Cash Deposits.................................................................................................................................................. ....................................................................................................................................................... ....................................................................................................................................... ......2,419,677 ...........799,077 ......3,218,755

(a) Code Description of Hedged Risk(s)a Interest Rateb Equity/Index

(b) Code Financial or Economic Impact of the Hedge at the End of the Reporting Period001 Derivatives used to hedge the liability of the GMWB product. While the hedge program is actively managed, it may not exactly offset changes in the GMWB liability due to, among other things, divergence between the performance of the underlying mutual funds and the hedge instruments, high levels of volatility in the equity and interest rate markets, and differences between actual contract holder behavior and what is assumed.002 This dynamic hedging program is an investment risk hedge program used to manage the potential variability in future interest payments on certain insurance and annuity products due to a change in credited interest rates and the related change in cash flows due to increased surrenders.

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE08

SCHEDULE DB - PART D - SECTION 1Counterparty Exposure for Derivative Instruments Open as of Current Statement Date

1 2 3 4 Book Adjusted Carrying Value Fair Value 11 125 6 7 8 9 10

Description of Exchange, Counterparty or Central Clearinghouse

MasterAgreement

(Y or N)

CreditSupportAnnex

(Y or N)Fair Value of Acceptable

Collateral

Contracts withBook/Adjusted Carrying

Value > 0

Contracts withBook/Adjusted Carrying

Value < 0Exposure Netof Collateral

Contracts withFair Value > 0

Contracts withFair Value < 0

Exposure Netof Collateral

PotentialExposure

Off-BalanceSheet Exposure

Exchange Traded Derivatives0199999. Aggregate Sum of Exchange Traded.............................................................................. ............................................. XXX XXX XXX .....................3,218,755 - ................................ .....................3,218,755 ..........................97,345 .........................(28,557) ..........................97,345 ....................(1,654,190) ....................(1,654,190)NAIC 1 DesignationBank of America............................................................................................................................. B4TYDEB6GKMZO031MB27 Y................ N................ - ................................ - ................................ - ................................ ..................................0 .....................3,126,301 - ................................ .....................3,126,301 ........................125,996 ........................125,996Barclays Bank PLC......................................................................................................................... G5GSEF7VJP5I7OUK5573... Y................ Y................ - ................................ ................................89 - ................................ ................................89 ................................89 - ................................ ................................89 - ................................ ..................................0Credit Suisse International.............................................................................................................. E58DKGMJYYYJLN8C3868. Y................ Y................ .....................4,170,000 .....................8,919,737 ....................(4,618,480) ........................131,257 .....................9,918,824 ....................(4,618,480) .....................1,130,344 .....................2,187,832 .....................2,187,832Deutsche Bank AG......................................................................................................................... 7LTWFZYICNSX8D621K86.. Y................ Y................ - ................................ .....................9,435,804 ..................(31,145,267) ..................................0 ...................21,161,748 ..................(31,145,267) ..................................0 .....................5,696,637 ..................................0Goldman Sachs Mitsui Marine........................................................................................................ X1H61UOUXUPKXR51OV18 Y................ Y................ - ................................ ...................13,052,317 ..................(23,149,269) ..................................0 ...................12,502,801 ..................(23,149,269) ..................................0 .....................4,733,186 ..................................0JP Morgan Chase Bank NA............................................................................................................ 7H6GLXDRUGQFU57RNE97 Y................ Y................ .....................5,920,000 .....................6,819,466 ....................(1,364,850) ..................................0 .....................7,717,305 ....................(2,186,714) ..................................0 .....................2,165,392 .....................1,700,008Toronto Dominion Bank.................................................................................................................. PT3QB789TSUIDF371261.... Y................ Y................ - ................................ .....................1,205,281 ....................(3,091,753) ..................................0 .....................3,154,783 ....................(3,091,753) ..........................63,030 .....................1,270,143 ..................................0Wells Fargo Bank NA...................................................................................................................... KB1H1DSPRFMYMCUFXT09 Y................ Y................ ...................12,360,000 ...................12,409,436 ....................(1,459,272) ..................................0 ...................14,355,907 ....................(2,287,408) ..................................0 .....................3,903,207 .....................2,493,3710299999. Total NAIC 1 Designation......................................................................................................................................................................................... ...................22,450,000 ...................51,842,130 ..................(64,828,891) ........................131,346 ...................71,937,758 ..................(66,478,891) .....................4,319,764 ...................20,082,393 .....................6,507,2070899999. Aggregate Sum of Central Clearinghouse....................................................................... XXX XXX XXX - ................................ ...................15,435,374 ....................(5,628,728) .....................9,806,646 ...................15,435,376 ....................(8,053,058) .....................7,382,318 .....................7,578,525 .....................7,578,5250999999. Gross Totals................................................................................................................... ....................................................................................... ...................22,450,000 ...................70,496,259 ..................(70,457,619) ...................13,156,747 ...................87,470,479 ..................(74,560,506) ...................11,799,427 ...................26,006,728 ...................12,431,5421. Offset per SSAP No. 64............................................................................................................. ................................................................................................................................ ..................................... .....................................2. Net after right of offset per SSAP No. 64.................................................................................... ................................................................................................................................ ...................70,496,259 ..................(70,457,619)

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE09

SCHEDULE DB - PART D - SECTION 2Collateral for Derivative Instruments Open as of Current Statement Date

1 2 3 4 5 6 7 8 9

Exchange, Counterparty or Central Clearinghouse Type of Asset Pledged CUSIP Identification Description Fair Value Par ValueBook/AdjustedCarrying Value

MaturityDate

Type of Margin(I, V or IV)

Collateral Pledged by Reporting EntityGoldman Sachs Mitsui Marine........................................... X1H61UOUXUPKXR51OV18.. Cash........................................................................................................ Cash............................................................................................................................................... .................12,990,000 .................................... .................12,990,000 .................. ..........IV..........Deutsche Bank AG............................................................ 7LTWFZYICNSX8D621K86.... Cash........................................................................................................ Cash............................................................................................................................................... .................13,250,000 .................................... .................13,250,000 .................. ..........IV..........Wells Fargo Securities LLC............................................... VYVVCKR63DVZZN70PB21... Cash........................................................................................................ Cash............................................................................................................................................... ...................6,869,058 .................................... ...................6,915,310 .................. ..........IV..........Wells Fargo Bank NA........................................................ KB1H1DSPRFMYMCUFXT09. Treasury................................................................................................... 912796 HS 1 US Treasury Bill.............................................................................................................................. ......................174,932 ......................175,000 ......................174,932 05/19/2016. ..........I.............Wells Fargo Bank NA........................................................ KB1H1DSPRFMYMCUFXT09. Treasury................................................................................................... 912796 HS 1 US Treasury Bill.............................................................................................................................. ......................159,938 ......................160,000 ......................159,938 05/19/2016. ..........I.............Wells Fargo Bank NA........................................................ KB1H1DSPRFMYMCUFXT09. Treasury................................................................................................... 912796 HS 1 US Treasury Bill.............................................................................................................................. ...................2,883,884 ...................2,885,000 ...................2,883,884 05/19/2016. ..........I.............0199999. Totals................................................................................................................. ..................................................................................................................................................... ....................................................................................................................................................... .................36,327,812 ...................3,220,000 .................36,374,064 XXX XXXCollateral Pledged to Reporting EntityCredit Suisse International................................................ E58DKGMJYYYJLN8C3868... Cash........................................................................................................ Cash............................................................................................................................................... ...................4,170,000 .................................... XXX .................. ..........IV..........JP Morgan Chase Bank NA............................................... 7H6GLXDRUGQFU57RNE97. Cash........................................................................................................ Cash............................................................................................................................................... ...................5,920,000 .................................... XXX .................. ..........IV..........Wells Fargo Bank NA........................................................ KB1H1DSPRFMYMCUFXT09. Cash........................................................................................................ Cash............................................................................................................................................... .................12,360,000 .................................... XXX .................. ..........IV..........0299999. Totals................................................................................................................. ..................................................................................................................................................... ....................................................................................................................................................... .................22,450,000 ................................0 XXX XXX XXX

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE10

SCHEDULE DL - PART 1SECURITIES LENDING COLLATERAL ASSETS

Reinvested Collateral Assets Owned Current Statement Date1 2 3 4 5 6 7

CUSIP Identification Description Code

NAICDesignation /

MarketIndicator Fair Value

Book/AdjustedCarrying Value

MaturityDate

Cash Equivalents (Schedle E Part 2 Type)REPO - BNP A............................................................................................................................................................ RR........ ........................ .................20,318,887 .................20,318,887 04/01/2016...REPO - HSBC D.......................................................................................................................................................... RR........ ........................ .................25,250,200 .................25,250,200 04/01/2016...REPO - CITI D............................................................................................................................................................. RR........ ........................ .................25,250,200 .................25,250,200 04/01/2016...REPO - MERRILL D.................................................................................................................................................... RR........ ........................ .................10,243,657 .................10,243,657 04/01/2016...REPO - ING D............................................................................................................................................................. RR........ ........................ .................25,250,200 .................25,250,200 04/01/2016...

9199999. Total - Cash Equivalents (Schedule E Part 2 Type)....................................................................................................................... ........................................ ...............106,313,144 ...............106,313,144 XXX9999999. Totals..... .................................................................................................................................................................................... ........................................ ...............106,313,144 ...............106,313,144 XXXGeneral Interrogatories:1. Total activity for the year: Fair Value $.....106,313,144 Book/Adjusted Carrying Value $.....106,313,1442. Average balance for the year: Fair Value $.....100,571,892 Book/Adjusted Carrying Value $.....100,571,8923. Reinvested securities lending collateral assets book/adjusted carrying value included in this schedule by NAIC designation:

NAIC 1: $.....106,313,144 NAIC 2: $..........0 NAIC 3: $..........0 NAIC 4: $..........0 NAIC 5: $..........0 NAIC 6: $..........0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE11

SCHEDULE DL - PART 2SECURITIES LENDING COLLATERAL ASSETS

Reinvested Collateral Assets Owned Current Statement Date1 2 3 4 5 6 7

CUSIP Identification Description Code

NAICDesignation /

MarketIndicator Fair Value

Book/AdjustedCarrying Value

MaturityDate

General Interrogatories:1. Total activity for the year: Fair Value $..........0 Book/Adjusted Carrying Value $..........02. Average balance for the year: Fair Value $..........0 Book/Adjusted Carrying Value $..........0

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE12

SCHEDULE E - PART 1 - CASH Month End Depository Balances

1 2 3 4 5 Book Balance at End of Each 9Month During Current Quarter

6 7 8

Depository Code Rate of Interest

Amount of InterestReceived DuringCurrent Quarter

Amount of InterestAccrued at Current

Statement Date First Month Second Month Third Month *

Open Depositories

Bank of New York Mellon............................................... New York, NY................................................................. ...................... ...................... ............................79 ................................. ................7,433,985 ..............26,235,244 ................1,557,781 XXX

Bank of Montreal............................................................ Winnipeg, Manitoba........................................................ ...................... ...................... ................................. ................................. .....................26,106 .....................80,047 ..................(228,840) XXX

US Bank......................................................................... Denver, CO..................................................................... ...................... ...................... ................................. ................................. .............(21,673,836) .............(21,136,560) .............(29,776,078) XXX

Wells Fargo.................................................................... San Fransisco, CA.......................................................... ...................... ...................... ................................. ................................. ................2,481,374 ................5,666,950 ................2,110,391 XXX

0199999. Total Open Depositories........................................................................................................................... XXX XXX ............................79 ..............................0 .............(11,732,371) ..............10,845,681 .............(26,336,746) XXX0399999. Total Cash on Deposit............................................................................................................................... XXX XXX ............................79 ..............................0 .............(11,732,371) ..............10,845,681 .............(26,336,746) XXX0599999. Total Cash................................................................................................................................................. XXX XXX ............................79 ..............................0 .............(11,732,371) ..............10,845,681 .............(26,336,746) XXX

Statement as of March 31, 2016 of the Great-West Life & Annuity Insurance Company

QE13

SCHEDULE E - PART 2 - CASH EQUIVALENTSShow Investments Owned End of Current Quarter

1 2 3 4 5 6 7 8Description Code Date Acquired Rate of Interest Maturity Date Book/Adjusted Carrying Value Amount of Interest Due & Accrued Amount Received During Year

Bonds - Industrial and Miscellaneous (Unaffiliated) - Issuer ObligationsABB TREASURY CENTER USA SENIOR UNSECURED........................................................................................................................... ....................................................... ........... 03/28/2016....... ................2.500 06/15/2016....... .............................................................2,606,760 ..................................................................19,139 .................................................................(19,139)AIRGAS INC SENIOR UNSECURED NOTES............................................................................................................................................ ....................................................... ........... 03/23/2016....... ................2.950 06/15/2016....... .............................................................4,817,443 ..................................................................41,737 .................................................................(41,287)INTERNATIONAL PAPER CO SENIOR UNSECURED.............................................................................................................................. ....................................................... ........... 02/17/2016....... ................5.250 04/01/2016....... .............................................................3,000,000 ..................................................................78,750 .................................................................(74,258)LOCKHEED MARTIN CORP UNSECURED DEBENTURE........................................................................................................................ ....................................................... ........... 02/10/2016....... ................7.650 05/01/2016....... .............................................................4,509,189 ................................................................142,928 ...............................................................(137,842)MONSANTO CO SENIOR UNSECURED NOTES...................................................................................................................................... ....................................................... ........... 01/28/2016....... ................2.750 04/15/2016....... .............................................................5,153,478 ..................................................................65,305 .................................................................(56,500)DUKE ENERGY INDIANA INC BONDS..................................................................................................................................................... ....................................................... ........... 03/24/2016....... ................6.050 06/15/2016....... .............................................................5,053,625 ..................................................................89,069 .................................................................(88,723)DIAGEO CAPITAL PLC SENIOR UNSECURED GLOB.............................................................................................................................. ....................................................... ........... 02/10/2016....... ................0.625 04/29/2016....... .............................................................1,099,945 ....................................................................2,903 ...................................................................(1,956)3299999. Industrial and Miscellaneous (Unaffiliated) - Issuer Obligations.................................................................................................. ....................................................... .............................................................................................. ...........................................................26,240,440 ................................................................439,831 ...............................................................(419,705)3899999. Total - Industrial and Miscellaneous (Unaffiliated)...................................................................................................................... ....................................................... .............................................................................................. ...........................................................26,240,440 ................................................................439,831 ...............................................................(419,705)Total Bonds7799999. Subtotals - Issuer Obligations.................................................................................................................................................... ....................................................... .............................................................................................. ...........................................................26,240,440 ................................................................439,831 ...............................................................(419,705)8399999. Subtotals - Bonds....................................................................................................................................................................... ....................................................... .............................................................................................. ...........................................................26,240,440 ................................................................439,831 ...............................................................(419,705)8699999. Total - Cash Equivalents............................................................................................................................................................ ....................................................... .............................................................................................. ...........................................................26,240,440 ................................................................439,831 ...............................................................(419,705)