Guardian Investor Services LLC
The Guardian CXCSM Non-Standardized Performance

The 5/15/2008 unit values as of the close of business for the variable investment options of The Guardian CXCSM variable annuity are listed below. The average annual total returns reflect fund-level and separate account level charges. These unit values are only for The Guardian CXCSM variable annuity basic contract. If you have a contract with any of the optional riders sold with this product, unit values would be lower.

The Guardian CXCSM variable annuity is sold by prospectus only. Prospectuses contain important information, including fees and expenses. Please read the prospectuses carefully before investing or sending money. You should consider the investment objectives, risks, fees and charges of the investment company carefully before investing. The prospectus contains this and other important information. To obtain a prospectus, please click here or contact your financial professional or call 800-221-3253, option 2,3

 
Past Performance Does Not Guarantee Future Results
Fund NameDaily ValueDaily ChangeWeekly1 Month3 Month6 MonthInception DateYTD1 Year3 Year5 Year10 YearSince Incep.
Alliance
ALLIANCEBERNSTEIN GROWTH AND INCOME PORTFOLIO (CLASS B)
12.772210 0.83 2.63 7.27 1.31 (6.10) 1/14/91 (7.10) (8.97) 5.60 7.75 0.00 6.21
ALLIANCEBERNSTEIN LARGE CAP GROWTH PORTFOLIO (CLASS B) 11.855744 1.20 1.78 8.76 9.66 (2.44) 6/26/92 (5.23) 1.48 7.60 6.69 0.56 8.08
ALLIANCEBERNSTEIN REAL ESTATE INVESTMENT PORTFOLIO (CLASS B) 14.377485 1.11 4.01 7.59 15.73 3.89 1/09/97 10.48 (8.27) 11.85 17.30 9.94 10.10
ALLIANCEBERNSTEIN GLOBAL TECHNOLOGY PORTFOLIO (CLASS B) 11.718155 1.66 2.39 12.61 11.76 (5.45) 1/11/96 (7.16) 6.13 9.44 8.74 2.14 4.68
ALLIANCEBERNSTEIN VALUE PORTFOLIO (CLASS B) 13.280183 0.97 1.93 6.76 3.63 (4.43) 5/01/01 (3.88) (14.18) 5.35 8.33 N/A 4.19
Davis
DAVIS FINANCIAL PORTFOLIO
10.719313 1.04 1.93 7.26 1.60 (9.86) 7/01/99 (6.15) (14.59) 4.94 7.32 N/A 1.35
DAVIS REAL ESTATE PORTFOLIO 13.571120 1.00 3.12 9.04 14.07 2.03 7/01/99 5.66 (14.81) 10.20 15.51 N/A 3.59
DAVIS VALUE PORTFOLIO 12.302592 1.26 1.94 7.76 6.81 (0.05) 7/01/99 (0.86) (2.68) 8.89 10.45 N/A 2.43
Fidelity
FIDELITY VIP BALANCED PORTFOLIO (SERVICE CLASS 2)
11.830162 1.13 1.65 5.67 5.44 (0.27) 1/03/95 (0.85) (0.91) 7.79 5.96 2.34 5.29
FIDELITY VIP CONTRAFUND® PORTFOLIO (SERVICE CLASS 2) 14.145227 1.30 1.95 6.67 6.23 (3.00) 1/03/95 (4.57) 4.18 12.76 13.46 6.68 11.46
FIDELITY VIP EQUITY-INCOME PORTFOLIO (SERVICE CLASS 2) 12.879212 1.14 1.91 7.05 5.47 (2.67) 10/09/86 (2.71) (9.76) 7.92 9.34 3.25 8.48
Fund Name
Daily Value
Daily Change
Weekly
1 Month
3 Month
6 Month
Inception Date
YTD
1 Year
3 Year
5 Year
10 Year
Since Incep.
FIDELITY VIP GROWTH PORTFOLIO (SERVICE CLASS 2) 8.105849 1.49 1.73 5.48 4.00 (5.06) 10/09/86 (6.53) 9.55 10.31 8.69 2.74 8.79
FIDELITY VIP INVESTMENT GRADE BOND PORTFOLIO (SERVICE CLASS 2) 10.412207 0.58 (0.20) 0.19 (0.10) 0.87 12/05/88 0.20 1.36 1.61 1.43 3.54 3.97
FIDELITY VIP MID CAP PORTFOLIO (SERVICE CLASS 2) 20.375908 1.36 2.17 7.55 6.93 (1.16) 12/28/98 (2.08) 2.74 14.17 18.12 N/A 15.65
Franklin Templeton
FRANKLIN SMALL CAP VALUE SECURITIES FUND (CLASS 2 SHARES)
12.275141 1.23 4.12 8.19 10.53 5.69 4/30/98 4.86 (6.11) 9.64 13.99 6.60 6.44
FRANKLIN RISING DIVIDENDS SECURITIES FUND (CLASS 2 SHARES) 11.277262 0.56 1.90 5.44 5.02 (0.25) 1/27/92 0.27 (6.55) 5.76 7.72 5.15 7.97
TEMPLETON GROWTH SECURITIES FUND (CLASS 2 SHARES) 14.203974 0.61 1.35 5.87 5.10 (5.77) 3/15/94 (5.93) (9.82) 7.60 11.63 4.66 7.10
Fred Alger Management, Inc.
ALGER AMERICAN CAPITAL APPRECIATION PORTFOLIO (CLASS S SHARES) (formerly ALGER AMERICAN LEVERAGED ALLCAP PORTFOLIO)
16.310672 1.23 3.62 10.30 5.76 (5.09) 1/25/95 (7.12) 9.21 18.72 14.15 7.62 13.37
Gabelli
GABELLI CAPITAL ASSET FUND
12.279694 1.14 2.39 6.33 2.99 (5.35) 5/01/95 (5.55) (6.75) 9.07 11.17 6.97 10.32
Invesco Aim
AIM V.I. CORE EQUITY FUND*
12.436736 1.01 1.73 5.60 4.64 (0.98) 5/05/93 (0.65) (1.28) 8.95 7.88 1.58 7.07
AIM V.I. BASIC VALUE FUND (SRS II SHARES) 10.979019 1.41 3.11 9.20 4.65 (4.06) 9/10/01 (4.35) (9.26) 4.98 7.66 N/A 2.96
AIM V.I. GOVERNMENT SECURITIES FUND (SRS II SHARES) 10.726101 0.49 (0.20) (0.55) 0.55 2.66 5/05/93 1.91 4.98 2.46 1.22 2.77 3.03
Fund Name
Daily Value
Daily Change
Weekly
1 Month
3 Month
6 Month
Inception Date
YTD
1 Year
3 Year
5 Year
10 Year
Since Incep.
AIM V.I. CAPITAL APPRECIATION FUND* 11.528951 1.30 2.29 8.23 6.77 (5.25) 5/05/93 (6.42) (4.11) 6.69 7.19 (1.61) 4.52
AIM V.I. MID CAP CORE EQUITY FUND (SRS II SHARES) 12.474207 1.03 2.20 5.10 5.18 1.37 9/10/01 0.51 (0.83) 8.79 10.37 N/A 7.36
MFS
MFS RESEARCH BOND SERIES (SERVICE CLASS)
10.329817 0.53 (0.12) 0.36 0.85 0.93 10/24/95 0.80 1.90 1.66 1.88 3.67 3.86
MFS CORE EQUITY SERIES 7.469314 1.27 2.86 8.40 7.39 (1.57) 8/14/96 (2.39) (3.19) 8.02 8.58 2.02 5.11
MFS GROWTH SERIES (SERVICE CLASS) (formerly MFS EMERGING GROWTH SERIES) 6.760302 1.47 2.87 10.29 9.97 1.84 7/24/95 0.27 11.18 13.58 11.43 2.32 13.36
MFS INVESTORS TRUST SERIES (SERVICE CLASS) 10.135239 1.20 2.08 5.76 6.66 0.52 10/09/95 (0.90) 1.75 9.27 9.11 1.24 6.17
MFS NEW DISCOVERY SERIES (SERVICE CLASS) 9.195874 1.36 3.05 11.08 10.38 (1.05) 5/01/98 0.14 (4.82) 9.66 8.03 5.25 4.97
MFS STRATEGIC INCOME SERIES (SERVICE CLASS) 13.792244 0.20 (0.34) 0.37 1.44 0.32 6/14/94 0.44 0.10 2.78 3.09 3.26 3.17
MFS TOTAL RETURN SERIES (SERVICE CLASS) 11.112298 0.88 1.27 3.48 2.77 (1.69) 1/03/95 (1.66) (4.27) 4.57 5.82 4.10 7.68
RS***
RS MONEY MARKET VIP SERIES
10.731094 0.00 0.00 0.02 0.15 0.68 11/10/81 0.40 2.16 2.26 1.03 1.51 2.93
RS SMALL CAP CORE EQUITY FUND VIP SERIES 11.152720 0.71 3.06 9.96 5.83 (5.89) 7/16/97 (4.86) (9.51) 8.13 10.57 3.45 5.34
Fund Name
Daily Value
Daily Change
Weekly
1 Month
3 Month
6 Month
Inception Date
YTD
1 Year
3 Year
5 Year
10 Year
Since Incep.
RS CORE EQUITY VIP SERIES 8.202068 0.53 1.93 7.50 6.35 1.91 4/13/83 1.78 4.04 13.11 9.77 0.98 9.96
RS LARGE CAP VALUE FUND VIP SERIES 17.388134 1.15 2.04 7.74 5.03 (4.14) 2/03/03 (3.02) (10.10) 7.43 9.82 N/A 11.04
RS PARTNERS VIP SERIES 16.965291 1.60 3.80 8.22 9.58 3.77 2/03/03 3.25 (8.77) 6.49 9.30 N/A 10.52
RS S&P 500 Index VIP Series 9.729721 1.06 1.91 6.69 5.41 (2.28) 9/13/99 (2.97) (5.17) 7.07 8.28 N/A 0.34
RS ASSET ALLOCATION VIP SERIES 10.661461 1.07 2.03 6.63 5.35 (2.38) 9/13/99 (3.08) (4.40) 6.07 7.70 N/A 2.03
RS HIGH YIELD BOND VIP SERIES 12.737530 0.25 0.09 2.31 3.48 0.21 9/13/99 (0.28) (4.39) 3.60 4.32 N/A 2.92
RS LOW DURATION BOND VIP SERIES 10.613985 0.19 (0.23) (0.44) (0.33) 1.39 8/28/03 0.95 3.51 2.25 N/A N/A 1.22
RS EMERGING MARKETS VIP SERIES 39.496105 2.43 2.84 6.30 6.82 (0.74) 10/17/94 (2.04) 28.37 36.78 35.15 15.15 11.03
RS INTERNATIONAL GROWTH VIP SERIES 13.629128 1.49 1.50 7.81 11.90 2.07 2/08/91 0.67 4.97 17.46 17.05 4.82 6.81
RS GLOBAL NATURAL RESOURCES VIP SERIES** 12.148793 1.48 2.29 7.63 16.38 17.66 7/31/07 13.86 N/A N/A N/A N/A 21.49
RS TECHNOLOGY VIP SERIES (formerly THE INFORMATION AGE VIP SERIES)** 9.397453 1.81 4.35 16.62 8.44 (11.38) 7/31/07 (8.88) N/A N/A N/A N/A (6.02)
Fund Name
Daily Value
Daily Change
Weekly
1 Month
3 Month
6 Month
Inception Date
YTD
1 Year
3 Year
5 Year
10 Year
Since Incep.
RS MIDCAP OPPORTUNITIES VIP SERIES** 8.726879 1.02 2.87 8.70 0.25 (11.38) 7/31/07 (10.83) N/A N/A N/A N/A (12.73)
RS VALUE VIP SERIES** 9.575776 1.46 3.82 10.43 10.74 0.69 7/31/07 1.65 N/A N/A N/A N/A (4.24)
RS EQUITY DIVIDEND VIP SERIES** 9.215301 0.43 1.73 5.44 2.33 (1.55) 7/31/07 (1.72) N/A N/A N/A N/A