# EDGAR Filing Document

**Accession Number:** 0000795890
**File Stem:** 0000795890-26-000018
**Filing Date:** 2026-4
**Character Count:** 239211
**Document Hash:** 1421786dc8d3ba45585d1a8d346c8d69
**Contains OCR:** False
**Source Format:** 

## Filing Content

## Filing Summary
**0000795890-26-000018.hdr.sgml**: 20260424

**ACCESSION NUMBER**: 0000795890-26-000018

**CONFORMED SUBMISSION TYPE**: N-VPFS

**PUBLIC DOCUMENT COUNT**: 1

**CONFORMED PERIOD OF REPORT**: 20260422

**FILED AS OF DATE**: 20260424

**DATE AS OF CHANGE**: 20260424

**EFFECTIVENESS DATE**: 20260424

**FILER**: 

**COMPANY DATA:**
- **COMPANY CONFORMED NAME:** SYMETRA RESOURCE VARIABLE ACCOUNT B
- **CENTRAL INDEX KEY:** 0000795890

**ORGANIZATION NAME:**
- **EIN:** 910742147
- **STATE OF INCORPORATION:** WA
- **FISCAL YEAR END:** 1231

**FILING VALUES:**
- **FORM TYPE:** N-VPFS
- **SEC ACT:** 1940 Act
- **SEC FILE NUMBER:** 811-04716
- **FILM NUMBER:** 26892025

**BUSINESS ADDRESS:**
- **STREET 1:** 777 108TH AVE NE
- **STREET 2:** SUITE 1200
- **CITY:** BELLEVUE
- **STATE:** WA
- **ZIP:** 98004
- **BUSINESS PHONE:** 877-796-3862

**MAIL ADDRESS:**
- **STREET 1:** 777 108TH AVE NE
- **STREET 2:** SUITE 1200
- **CITY:** BELLEVUE
- **STATE:** WA
- **ZIP:** 98004

**FORMER COMPANY:**
- **FORMER CONFORMED NAME:** SAFECO RESOURCE VARIABLE ACCOUNT B
- **DATE OF NAME CHANGE:** 19920703

## Series and Classes Contracts Data

### SYMETRA RESOURCE VARIABLE ACCOUNT B (Series ID: S000001241)

| Class ID   | Class Name                    | Ticker Symbol   |
|:---|:---|:---|
| C000003376 | Spinnaker Plus                |  |
| C000003377 | Resource B                    |  |
| C000110650 | Symetra True Variable Annuity |  |

**Annual Report**

**December 31, 2025**

**Symetra Resource Variable Account B**

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**TABLE OF CONTENTS**

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| | |
|:---|:---|
| | <u>Page</u> |
| Report of Independent Registered Public Accounting Firm | <u>[1](#i806219f07fcc4361bf692ed2d3f1b4d4_7)</u> |
| Statements of Assets and Liabilities | <u>[5](#i806219f07fcc4361bf692ed2d3f1b4d4_10)</u> |
| Current Year Statements of Operations and Changes in Net Assets | <u>[9](#i806219f07fcc4361bf692ed2d3f1b4d4_13)</u> |
| Prior Year Statements of Operations and Changes in Net Assets | <u>[17](#i806219f07fcc4361bf692ed2d3f1b4d4_16)</u> |
| Notes to Financial Statements: | Notes to Financial Statements: |
| Note 1. Organization | <u>[25](#i806219f07fcc4361bf692ed2d3f1b4d4_22)</u> |
| Note 2. Significant Accounting Policies | <u>[30](#i806219f07fcc4361bf692ed2d3f1b4d4_25)</u> |
| Note 3. Expenses and Related Party Transactions | <u>[30](#i806219f07fcc4361bf692ed2d3f1b4d4_25)</u> |
| Note 4. Investment Transactions | <u>[31](#i806219f07fcc4361bf692ed2d3f1b4d4_31)</u> |
| Note 5. Changes in Accumulation Units Outstanding | <u>[35](#i806219f07fcc4361bf692ed2d3f1b4d4_34)</u> |
| Note 6. Accumulation Unit Values | <u>[38](#i806219f07fcc4361bf692ed2d3f1b4d4_37)</u> |
| Note 7. Subsequent Events | <u>[55](#i806219f07fcc4361bf692ed2d3f1b4d4_40)</u> |

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| |
|:---|
| Symetra Resource Variable Account B |
| **Report of Independent Registered Public Accounting Firm** |

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To the Board of Directors of Symetra Life Insurance Company and the Contract Owners of Symetra Resource Variable Account B:

*Opinion on the Financial Statements*

We have audited the accompanying statements of assets and liabilities of the subaccounts listed in the Appendix that comprise Symetra Resource Variable Account B (the Subaccounts), as of December 31, 2025, the related statements of operations and changes in net assets for each of the years in the two-year period then ended, and the related notes (collectively, the financial statements). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Subaccounts as of December 31, 2025, and the results of their operations and changes in net assets for each of the years in the two-year period then ended, in conformity with U.S. generally accepted accounting principles.

*Basis for Opinion*

These financial statements are the responsibility of the Subaccounts' management. Our responsibility is to express an opinion on these financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Subaccounts in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Such procedures also included confirmation of securities owned as of December 31, 2025, by correspondence with custodians and transfer agents of the underlying investments. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.

/s/ KPMG LLP

We have served as the auditor of the Separate Account since 2020.

Minneapolis, Minnesota

April 22, 2026

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| |
|:---|
| Symetra Resource Variable Account B |
| **Report of Independent Registered Public Accounting Firm (continued)** |

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**Appendix**

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| | |
|:---|:---|
| AB Discovery Value Portfolio - Class A | DWS Global Income Builder VIP A |
| ALPS/Alerian Energy Infrastructure-Class I | Eaton Vance VT Floating-Rate Income Fund Advisor Class |
| American Funds IS Growth Fund | Federated Hermes High Income Bond |
| American Funds IS Growth-Income Fund | Federated Hermes Managed Volatility II |
| American Funds IS International Fund | Fidelity Contrafund |
| American Funds IS New World Fund | Fidelity Energy |
| BlackRock Capital Appreciation I | Fidelity Equity-Income |
| BlackRock Global Allocation I | Fidelity Financials Portfolio - Initial Class |
| BlackRock High Yield I | Fidelity Government Money Market Portfolio - Initial Class |
| BNY Mellon Appreciation | Fidelity Government Money Market Portfolio – Service Class II |
| BNY Mellon MidCap Stock | Fidelity Growth |
| BNY Mellon Stock Index | Fidelity Growth & Income |
| BNY Mellon Sustainable U.S. Equity | Fidelity Growth Opportunities |
| BNY Mellon Technology Growth | Fidelity Investment Grade Bond |
| Columbia Income Opportunities | Fidelity Mid Cap I |
| Columbia VP Overseas Core Fund - Class 1 | Fidelity Real Estate |
| Columbia VP Select Mid Cap Growth Fund - Class 1 | Fidelity Strategic Income |
| Dimensional VA Global Bond | Franklin Income VIP Fund - Class 1 |
| Dimensional VA International Small Portfolio | Franklin Income VIP Fund - Class 2 |
| Dimensional VA International Value Portfolio | Franklin Mutual Global Discovery VIP Fund - Class 1 |
| Dimensional VA Short Term Fixed Portfolio | Franklin Mutual Shares VIP Fund - Class 1 |
| Dimensional VA U.S. Large Value Portfolio | Franklin Mutual Shares VIP Fund - Class 2 |
| Dimensional VA U.S. Targeted Value | Franklin Rising Dividends VIP Fund - Class 1 |
| DWS Alternative Asset Allocation VIP A | Franklin Small-Mid Cap Growth VIP Fund - Class 2 |
| DWS CROCI International VIP - Class A | Franklin Strategic Income VIP Fund - Class 1 |
| Franklin U.S. Government Securities VIP Fund - Class 1 | PIMCO Emerging Markets Bond Institutional Class |

---

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| |
|:---|
| Symetra Resource Variable Account B |
| **Report of Independent Registered Public Accounting Firm (continued)** |

---

---

| | |
|:---|:---|
| Franklin U.S. Government Securities VIP Fund - Class 2 | PIMCO Global Bond Opportunities (Unhedged)<br>– Institutional Class |
| Invesco American Franchise Fund I | PIMCO Low Duration Institutional Class |
| Invesco EQV International Equity I | PIMCO Real Return Institutional Class |
| Invesco EQV International Equity II | PIMCO StocksPLUS Global Portfolio Institutional Class |
| Invesco Global Real Estate | PIMCO Total Return Institutional Class |
| Janus Henderson Enterprise Portfolio | Royce Capital Micro-Cap |
| Janus Henderson Flexible Bond | Royce Capital Small-Cap |
| Janus Henderson Mid Cap Value Portfolio | T. Rowe Price All-Cap Opportunities Portfolio |
| LVIP American Century Balanced Fund Standard Class II | T. Rowe Price Blue Chip Growth |
| LVIP American Century International Fund Standard Class II | T. Rowe Price Equity Income Portfolio |
| LVIP American Century Mid Cap Value Fund Standard Class II | T. Rowe Price Health Sciences Portfolio |
| LVIP American Century Value Fund Standard Class II | T. Rowe Price International Stock Portfolio |
| LVIP JPMorgan Mid Cap Value Fund - Standard Class | TVST Touchstone Common Stock Fund |
| LVIP JPMorgan U.S. Equity Fund - Standard Class | Templeton Developing Markets VIP Fund - Class 2 |
| LVIP Nomura SMID Cap Core | Templeton Global Bond VIP Fund - Class 1 |
| Merger VL | Templeton Growth VIP Fund - Class 2 |
| MFS Growth Series | VanEck Global Resources Fund |
| MFS New Discovery Series | Vanguard Balanced |
| MFS Utilities Series | Vanguard Capital Growth |
| MFS International Growth Portfolio | Vanguard Equity Income |
| MFS International Intrinsic Value Portfolio | Vanguard Equity Index |
| Nomura VIP Emerging Markets Series - Standard Class | Vanguard High Yield Bond |
| Nomura VIP Small Cap Value Series - Standard Class | Vanguard International |
| PIMCO All Asset Institutional Class | Vanguard Mid-Cap Index |
| PIMCO CommodityRealReturn Strat. Institutional Class | Vanguard Real Estate Index |
| PIMCO Dynamic Bond - Institutional Class | Vanguard Short Term Investment Grade |
| Vanguard Small Company Growth | Victory Pioneer Mid Cap Value VCT Class I |

---

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| |
|:---|
| Symetra Resource Variable Account B |
| **Report of Independent Registered Public Accounting Firm (continued)** |

---

---

| | |
|:---|:---|
| Vanguard Total Bond Market Index | Victory Pioneer Select Mid Cap Growth VCT Class I |
| Vanguard Total Stock Market Index | Victory Pioneer Strategic Income VCT Class I |
| Victory Pioneer Bond VCT Class I | Victory Pioneer Strategic Income VCT Class II |
| Victory Pioneer Equity Income VCT Class II | Virtus Duff & Phelps Real Estate Securities Series I |
| Victory Pioneer Fund VCT Class I | Virtus KAR Small-Cap Growth Series I |
| Victory Pioneer High Yield VCT Class II | VY JPMorgan Emerging Markets Equity Portfolio Initial |

---

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| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Assets and Liabilities** |
| **As of December 31, 2025** |

---

---

| | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Number of Shares Owned** | **Investments at Cost** | **Investments at <br>Fair Value** | **Dividends Receivable** | **Net Assets** | **Accumulation Units <br>Outstanding** |
| AB Discovery Value Portfolio - Class A | 877 | $13825 | $14560 | $— | $14560 | 427 |
| ALPS/Alerian Energy Infrastructure-Class I | 69268 | 695640 | 872086 |  | 872086 | 42895 |
| American Funds IS Growth Fund | 690 | 63159 | 97335 |  | 97335 | 1350 |
| American Funds IS Growth-Income Fund | 1030 | 57703 | 69752 |  | 69752 | 1381 |
| American Funds IS International Fund | 845 | 15928 | 18876 |  | 18876 | 923 |
| American Funds IS New World Fund | 461 | 11779 | 14959 |  | 14959 | 659 |
| BlackRock Capital Appreciation I | 4414 | 37316 | 33855 |  | 33855 | 518 |
| BlackRock Global Allocation I | 3062 | 48801 | 54024 |  | 54024 | 2252 |
| BlackRock High Yield I | 6586 | 46576 | 46631 | 266.00 | 46631 | 2314 |
| BNY Mellon Appreciation | 1811 | 63412 | 60988 |  | 60988 | 1346 |
| BNY Mellon MidCap Stock | 9226 | 169204 | 187658 |  | 187658 | 3924 |
| BNY Mellon Stock Index | 1805 | 108432 | 157791 |  | 157791 | 2035 |
| BNY Mellon Sustainable U.S. Equity | 2065 | 80914 | 120773 |  | 120773 | 3481 |
| BNY Mellon Technology Growth | 851 | 15958 | 18897 |  | 18897 | 545 |
| Columbia Income Opportunities | 13928 | 109382 | 94298 |  | 94298 | 5084 |
| Columbia VP Overseas Core Fund - Class 1 | 45 | 544 | 791 |  | 791 | 29 |
| Columbia VP Select Mid Cap Growth Fund - Class 1 | 3451 | 64299 | 223135 |  | 223135 | 4938 |
| Dimensional VA Global Bond | 1708 | 17423 | 16651 |  | 16651 | 1419 |
| Dimensional VA International Small Portfolio | 1694 | 17463 | 25033 |  | 25033 | 797 |
| Dimensional VA International Value Portfolio | 1541 | 19086 | 28563 |  | 28563 | 913 |
| Dimensional VA Short Term Fixed Portfolio | 28577 | 291348 | 287768 |  | 287768 | 25403 |
| Dimensional VA U.S. Large Value Portfolio | 12699 | 399641 | 443327 |  | 443327 | 10356 |
| Dimensional VA U.S. Targeted Value | 12618 | 293793 | 281112 |  | 281112 | 6490 |
| DWS Alternative Asset Allocation VIP A | 1926 | 24471 | 26409 |  | 26409 | 1856 |
| DWS CROCI International VIP - Class A | 114332 | 765810 | 1191343 |  | 1191343 | 38118 |
| DWS Global Income Builder VIP A | 99722 | 2170101 | 2228799 |  | 2228799 | 40629 |
| Federated Hermes High Income Bond | 14406 | 82724 | 83266 |  | 83266 | 2135 |
| Federated Hermes Managed Volatility II | 1680 | 16086 | 17474 |  | 17474 | 451 |
| Fidelity Contrafund | 31828 | 1579863 | 1906234 |  | 1906234 | 24909 |
| Fidelity Energy | 4980 | 87990 | 135870 |  | 135870 | 7006 |
| Fidelity Equity-Income | 6253 | 145648 | 184031 |  | 184031 | 3269 |
| Fidelity Financials Portfolio - Initial Class | 37105 | 488304 | 760655 |  | 760655 | 14473 |
| Fidelity Government Money Market Portfolio - Initial Class | 126459 | 126459 | 126459 |  | 126459 | 10970 |
| Fidelity Government Money Market Portfolio - Service Class II | 137969 | 137969 | 137969 |  | 137969 | 12824 |
| Fidelity Growth | 5757 | 496112 | 562463 |  | 562463 | 10099 |
| Fidelity Growth & Income | 1329 | 31820 | 44298 |  | 44298 | 821 |
| Fidelity Growth Opportunities | 2647 | 166871 | 263893 |  | 263893 | 2894 |

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SEE NOTES TO FINANCIAL STATEMENTS

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| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Assets and Liabilities (continued)** |
| **As of December 31, 2025** |

---

---

| | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Number of Shares Owned** | **Investments at Cost** | **Investments at <br>Fair Value** | **Dividends Receivable** | **Net Assets** | **Accumulation Units <br>Outstanding** |
| Fidelity Investment Grade Bond | 56 | $619 | $632 | $— | $632 | 50 |
| Fidelity Mid Cap I | 35 | 1182 | 1314 |  | 1314 | 34 |
| Fidelity Real Estate | 302 | 5142 | 5383 |  | 5383 | 274 |
| Fidelity Strategic Income | 7095 | 74790 | 79667 |  | 79667 | 5038 |
| Franklin Income VIP Fund - Class 1 | 1006 | 15021 | 16109 |  | 16109 | 776 |
| Franklin Income VIP Fund - Class 2 | 6479 | 94076 | 98231 |  | 98231 | 3595 |
| Franklin Mutual Global Discovery VIP Fund - Class 1 | 851 | 15081 | 17077 |  | 17077 | 549 |
| Franklin Mutual Shares VIP Fund - Class 1 | 15669 | 269378 | 260101 |  | 260101 | 9116 |
| Franklin Mutual Shares VIP Fund - Class 2 | 8609 | 144237 | 138594 |  | 138594 | 4240 |
| Franklin Rising Dividends VIP Fund - Class 1 | 11032 | 313356 | 326996 |  | 326996 | 7522 |
| Franklin Small-Mid Cap Growth VIP Fund - Class 2 | 5639 | 79924 | 80704 |  | 80704 | 2698 |
| Franklin Strategic Income VIP Fund - Class 1 | 23503 | 249623 | 224454 |  | 224454 | 15869 |
| Franklin U.S. Government Securities VIP Fund - Class 1 | 1451 | 15092 | 15619 |  | 15619 | 1431 |
| Franklin U.S. Government Securities VIP Fund - Class 2 | 3649 | 42875 | 38310 |  | 38310 | 2377 |
| Invesco American Franchise Fund I | 2488 | 153814 | 201522 |  | 201522 | 4338 |
| Invesco EQV International Equity I | 5882 | 202013 | 212391 |  | 212391 | 9496 |
| Invesco EQV International Equity II | 1467 | 50424 | 51930 |  | 51930 | 2447 |
| Invesco Global Real Estate | 4713 | 75546 | 66727 |  | 66727 | 1809 |
| Janus Henderson Flexible Bond | 22400 | 257420 | 222432 |  | 222432 | 17640 |
| Janus Henderson Mid Cap Value Portfolio | 234 | 3603 | 4161 |  | 4161 | 137 |
| LVIP American Century Balanced Fund Standard Class II | 15727 | 121127 | 142244 |  | 142244 | 4374 |
| LVIP American Century International Fund Standard Class II | 19300 | 209273 | 236340 |  | 236340 | 11672 |
| LVIP American Century Value Fund Standard Class II | 32355 | 377993 | 417987 |  | 417987 | 10617 |
| LVIP JPMorgan Mid Cap Value Fund - Standard Class | 36172 | 375007 | 325978 |  | 325978 | 7307 |
| LVIP JPMorgan U.S. Equity Fund - Standard Class | 1286 | 39880 | 63473 |  | 63473 | 1216 |
| LVIP Nomura SMID Cap Core<sup>1</sup> | 6288 | 142815 | 184600 |  | 184600 | 4937 |
| Merger VL | 1548 | 17146 | 17513 |  | 17513 | 1185 |
| MFS International Growth Portfolio | 172 | 2407 | 3082 |  | 3082 | 104 |
| MFS International Intrinsic Value Portfolio | 11939 | 364971 | 441392 |  | 441392 | 11818 |
| MFS New Discovery Series | 682 | 11649 | 10633 |  | 10633 | 290 |
| MFS Utilities Series | 1947 | 63542 | 73473 |  | 73473 | 2489 |
| Nomura VIP Emerging Markets Series - Standard Class<sup>1</sup> | 9129 | 229122 | 365152 |  | 365152 | 12472 |
| Nomura VIP Small Cap Value Series - Standard Class<sup>1</sup> | 1830 | 65745 | 73311 |  | 73311 | 2276 |
| PIMCO All Asset Institutional Class | 211 | 1921 | 2061 |  | 2061 | 113 |
| PIMCO CommodityRealReturn Strat. Institutional Class | 3416 | 23349 | 21382 |  | 21382 | 2134 |
| PIMCO Emerging Markets Bond Institutional Class | 1676 | 19467 | 19137 |  | 19137 | 1222 |

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SEE NOTES TO FINANCIAL STATEMENTS

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| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Assets and Liabilities (continued)** |
| **As of December 31, 2025** |

---

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| | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Number of Shares Owned** | **Investments at Cost** | **Investments at <br>Fair Value** | **Dividends Receivable** | **Net Assets** | **Accumulation Units <br>Outstanding** |
| PIMCO Global Bond Opportunities (Unhedged) - Institutional Class | 143 | $1434 | $1420 | $— | $1420 | 128 |
| PIMCO Low Duration Institutional Class | 9690 | 97942 | 94763 |  | 94763 | 8112 |
| PIMCO Real Return Institutional Class | 2726 | 34729 | 32747 |  | 32747 | 2716 |
| PIMCO Total Return Institutional Class | 18987 | 178567 | 179430 |  | 179430 | 14076 |
| Royce Capital Small-Cap | 4649 | 38047 | 43803 |  | 43803 | 1637 |
| T. Rowe Price All-Cap Opportunities Portfolio | 25885 | 884027 | 1026622 |  | 1026622 | 13234 |
| T. Rowe Price Blue Chip Growth | 14564 | 622536 | 951491 |  | 951491 | 13500 |
| T. Rowe Price Equity Income Portfolio | 15935 | 432288 | 460688 |  | 460688 | 12804 |
| T. Rowe Price Health Sciences Portfolio | 13225 | 646207 | 773214 |  | 773214 | 14491 |
| T. Rowe Price International Stock Portfolio | 20798 | 319501 | 330696 |  | 330696 | 14130 |
| Templeton Developing Markets VIP Fund - Class 2 | 1577 | 13467 | 19048 |  | 19048 | 488 |
| Templeton Global Bond VIP Fund - Class 1 | 1764 | 21753 | 24696 |  | 24696 | 2389 |
| Templeton Growth VIP Fund - Class 2 | 1908 | 20377 | 27003 |  | 27003 | 1013 |
| TVST Touchstone Common Stock Fund | 8862 | 96036 | 114397 |  | 114397 | 2073 |
| VanEck Global Resources Fund | 10070 | 256822 | 337458 |  | 337458 | 24483 |
| Vanguard Balanced | 20229 | 462921 | 514010 |  | 514010 | 15216 |
| Vanguard Capital Growth | 1653 | 69624 | 102212 |  | 102212 | 1476 |
| Vanguard Equity Income | 170438 | 3812906 | 4468894 |  | 4468894 | 103811 |
| Vanguard Equity Index | 4506 | 230631 | 369349 |  | 369349 | 6257 |
| Vanguard High Yield Bond | 25660 | 177167 | 193738 |  | 193738 | 10444 |
| Vanguard International | 1842 | 47785 | 52626 |  | 52626 | 1568 |
| Vanguard Mid-Cap Index | 3899 | 79528 | 109019 |  | 109019 | 2567 |
| Vanguard Real Estate Index | 28430 | 342936 | 328946 |  | 328946 | 15191 |
| Vanguard Short Term Investment Grade | 47557 | 490566 | 507431 |  | 507431 | 39191 |
| Vanguard Small Company Growth | 1190 | 20838 | 22687 |  | 22687 | 607 |
| Vanguard Total Bond Market Index | 38342 | 410794 | 414091 |  | 414091 | 35294 |
| Vanguard Total Stock Market Index | 2531 | 117075 | 154156 |  | 154156 | 2754 |
| Victory Pioneer Bond VCT Portfolio Class I<sup>1</sup> | 91503 | 981639 | 893983 |  | 893983 | 19091 |
| Victory Pioneer Equity Income VCT Portfolio Class II<sup>1</sup> | 1245 | 16265 | 15392 |  | 15392 | 395 |
| Victory Pioneer Fund VCT Portfolio Class I<sup>1</sup> | 1661624 | 24456880 | 32650928 |  | 32650928 | 102575 |
| Victory Pioneer High Yield VCT Portfolio Class II<sup>1</sup> | 804 | 6816 | 6877 |  | 6877 | 313 |
| Victory Pioneer Mid Cap Value VCT Portfolio Class I<sup>1</sup> | 168747 | 1868471 | 1922022 |  | 1922022 | 25314 |
| Victory Pioneer Select Mid Cap Growth VCT Portfolio Class I<sup>1</sup> | 509948 | 13058664 | 14956780 |  | 14956780 | 67406 |
| Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> | 9892 | 95541 | 92891 |  | 92891 | 6191 |
| Victory Pioneer Strategic Income VCT Portfolio Class II<sup>1</sup> | 2266 | 21603 | 21230 |  | 21230 | 1113 |
| Virtus Duff & Phelps Real Estate Securities Series I | 183 | 3707 | 3735 |  | 3735 | 181 |

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SEE NOTES TO FINANCIAL STATEMENTS

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| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Assets and Liabilities (continued)** |
| **As of December 31, 2025** |

---

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| | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Number of Shares Owned** | **Investments at Cost** | **Investments at <br>Fair Value** | **Dividends Receivable** | **Net Assets** | **Accumulation Units <br>Outstanding** |
| Virtus KAR Small-Cap Growth Series I | 1889 | $46493 | $31402 | $— | $31402 | 823 |
| VY JPMorgan Emerging Markets Equity Portfolio Initial | 1710 | 25528 | 23571 |  | 23571 | 546 |

---

 <sup>1</sup> Reference Note 1 of the financial statements for additional information pertaining to this sub-account.

.

SEE NOTES TO FINANCIAL STATEMENTS

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| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets** |
| **Year Ended December 31, 2025** |

---

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| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2025** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of <br>December 31, 2025** |
| AB Discovery Value Portfolio - Class A | $**14236** | $121 | $(84) | $**37** | $4 | $1562 | $(1279) | $**287** | $**324** | $— | $— | $**—** | $**324** | $**14560** |
| ALPS/Alerian Energy Infrastructure-Class I | **834852** | 41959 | (5173) | **36786** | 2202 | 99397 | (101151) | **448** | **37234** |  |  | **—** | **37234** | **872086** |
| American Funds IS Growth Fund | **105267** | 250 | (618) | **(368)** | 11227 | 8199 | (595) | **18831** | **18463** | 3313 | (29708) | **(26395)** | **(7932)** | **97335** |
| American Funds IS Growth-Income Fund | **59285** | 745 | (381) | **364** | 68 | 10308 | (273) | **10103** | **10467** |  |  | **—** | **10467** | **69752** |
| American Funds IS International Fund | **14948** | 272 | (100) | **172** | 6 |  | 3750 | **3756** | **3928** |  |  | **—** | **3928** | **18876** |
| American Funds IS New World Fund | **11700** | 186 | (79) | **107** | 18 | 530 | 2604 | **3152** | **3259** |  |  | **—** | **3259** | **14959** |
| BlackRock Capital Appreciation I | **30399** |  | (190) | **(190)** | (61) | 3623 | 84 | **3646** | **3456** |  |  | **—** | **3456** | **33855** |
| BlackRock Global Allocation I | **65481** | 1761 | (299) | **1462** | (1134) | 4043 | 4172 | **7081** | **8543** |  | (20000) | **(20000)** | **(11457)** | **54024** |
| BlackRock High Yield I | **27297** | 1858 | (166) | **1692** | (69) | 104 | 536 | **571** | **2263** | 26949 | (9878) | **17071** | **19334** | **46631** |
| BNY Mellon Appreciation | **57306** | 212 | (717) | **(505)** | (306) | 8616 | (2863) | **5447** | **4942** | 816 | (2076) | **(1260)** | **3682** | **60988** |
| BNY Mellon MidCap Stock | **200997** | 1376 | (2380) | **(1004)** | (2173) | 17887 | 467 | **16181** | **15177** | 1533 | (30049) | **(28516)** | **(13339)** | **187658** |
| BNY Mellon Stock Index | **166619** | 1143 | (1861) | **(718)** | 11968 | 8095 | 3169 | **23232** | **22514** | 665 | (32007) | **(31342)** | **(8828)** | **157791** |
| BNY Mellon Sustainable U.S. Equity | **105701** | 277 | (1382) | **(1105)** | 411 | 8845 | 7207 | **16463** | **15358** |  | (286) | **(286)** | **15072** | **120773** |
| BNY Mellon Technology Growth | **14931** |  | (205) | **(205)** | 27 | 7095 | (2951) | **4171** | **3966** |  |  | **—** | **3966** | **18897** |
| Columbia Income Opportunities | **87205** | 1826 | (544) | **1282** | (279) |  | 6090 | **5811** | **7093** |  |  | **—** | **7093** | **94298** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2025** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2025** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of <br>December 31, 2025** |
| Columbia VP Overseas Core Fund - Class 1 | $**642** | $15 | $(4) | $**11** | $20 | $— | $202 | $**222** | $**233** | $2840 | $(2924) | $**(84)** | $**149** | $**791** |
| Columbia VP Select Mid Cap Growth Fund - Class 1 | **194962** |  | (1260) | **(1260)** | 950 |  | 28483 | **29433** | **28173** |  |  | **—** | **28173** | **223135** |
| Dimensional VA Global Bond | **31540** | 675 | (145) | **530** | (889) |  | 1254 | **365** | **895** | 19296 | (35080) | **(15784)** | **(14889)** | **16651** |
| Dimensional VA International Small Portfolio | **26398** | 766 | (157) | **609** | 2475 | 927 | 4379 | **7781** | **8390** | 10356 | (20111) | **(9755)** | **(1365)** | **25033** |
| Dimensional VA International Value Portfolio | **34662** | 1101 | (192) | **909** | 9678 | 802 | 885 | **11365** | **12274** | 19318 | (37691) | **(18373)** | **(6099)** | **28563** |
| Dimensional VA Short Term Fixed Portfolio | **287736** | 11979 | (1740) | **10239** | 103 |  | 217 | **320** | **10559** |  | (10527) | **(10527)** | **32** | **287768** |
| Dimensional VA U.S. Large Value Portfolio | **390193** | 7952 | (2447) | **5505** | 852 | 24839 | 27302 | **52993** | **58498** | 9255 | (14619) | **(5364)** | **53134** | **443327** |
| Dimensional VA U.S. Targeted Value | **264925** | 4875 | (1568) | **3307** | (411) | 22053 | (3463) | **18179** | **21486** | 6445 | (11744) | **(5299)** | **16187** | **281112** |
| DWS Alternative Asset Allocation VIP A | **32866** | 1308 | (185) | **1123** | 488 |  | 1335 | **1823** | **2946** |  | (9403) | **(9403)** | **(6457)** | **26409** |
| DWS CROCI International VIP - Class A | **930609** | 29246 | (13448) | **15798** | 24033 |  | 344137 | **368170** | **383968** | 36110 | (159344) | **(123234)** | **260734** | **1191343** |
| DWS Global Income Builder VIP A | **2090596** | 97290 | (26871) | **70419** | (43284) | 278541 | (17165) | **218092** | **288511** | 92593 | (242901) | **(150308)** | **138203** | **2228799** |
| Eaton Vance VT Floating-Rate Income Fund Advisor Class<sup>1</sup> | **5196** | 190 | (17) | **173** | (214) |  | 132 | **(82)** | **91** | 6435 | (11722) | **(5287)** | **(5196)** | **—** |
| Federated Hermes High Income Bond | **83983** | 4979 | (1039) | **3940** | (1626) |  | 3198 | **1572** | **5512** | 3154 | (9383) | **(6229)** | **(717)** | **83266** |
| Federated Hermes Managed Volatility II | **16662** | 472 | (210) | **262** | (21) | 288 | 464 | **731** | **993** | 1029 | (1210) | **(181)** | **812** | **17474** |
| Fidelity Contrafund | **1736136** | 2497 | (15482) | **(12985)** | 73481 | 286941 | (11693) | **348729** | **335744** | 88648 | (254294) | **(165646)** | **170098** | **1906234** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2025** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2025** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of <br>December 31, 2025** |
| Fidelity Energy | $**123604** | $2825 | $(768) | $**2057** | $163 | $— | $10046 | $**10209** | $**12266** | $— | $— | $**—** | $**12266** | $**135870** |
| Fidelity Equity-Income | **167261** | 3160 | (2174) | **986** | 4266 | 9776 | 12865 | **26907** | **27893** | 665 | (11788) | **(11123)** | **16770** | **184031** |
| Fidelity Financials Portfolio - Initial Class | **664391** | 12342 | (4198) | **8144** | 1650 | 29202 | 57268 | **88120** | **96264** |  |  | **—** | **96264** | **760655** |
| Fidelity Government Money Market Portfolio - Initial Class | **122168** | 5036 | (745) | **4291** |  |  |  | **—** | **4291** |  |  | **—** | **4291** | **126459** |
| Fidelity Government Money Market Portfolio - Service Class II | **156638** | 5569 | (1833) | **3736** |  |  |  | **—** | **3736** | 33416 | (55821) | **(22405)** | **(18669)** | **137969** |
| Fidelity Growth | **558742** | 1549 | (6681) | **(5132)** | 19182 | 69213 | (20983) | **67412** | **62280** | 242 | (58801) | **(58559)** | **3721** | **562463** |
| Fidelity Growth & Income | **56848** | 641 | (595) | **46** | 7155 | 4049 | (3929) | **7275** | **7321** | 73 | (19944) | **(19871)** | **(12550)** | **44298** |
| Fidelity Growth Opportunities | **227498** |  | (2982) | **(2982)** | 5303 | 3763 | 39207 | **48273** | **45291** |  | (8896) | **(8896)** | **36395** | **263893** |
| Fidelity Investment Grade Bond | **551** | 22 | (4) | **18** |  |  | 18 | **18** | **36** | 2366 | (2321) | **45** | **81** | **632** |
| Fidelity Mid Cap I | **1139** | 5 | 7 | **12** | 10 | 134 | (8) | **136** | **148** | 4733 | (4706) | **27** | **175** | **1314** |
| Fidelity Real Estate | **5158** | 109 | (11) | **98** | (1) | 2 | 50 | **51** | **149** | 2366 | (2290) | **76** | **225** | **5383** |
| Fidelity Strategic Income | **73631** | 2966 | (458) | **2508** | (15) |  | 3543 | **3528** | **6036** |  |  | **—** | **6036** | **79667** |
| Franklin Income VIP Fund - Class 1 | **12187** | 643 | (79) | **564** | 7 | 128 | 848 | **983** | **1547** | 2503 | (128) | **2375** | **3922** | **16109** |
| Franklin Income VIP Fund - Class 2 | **105509** | 4783 | (1181) | **3602** | (870) | 1006 | 6338 | **6474** | **10076** | 1238 | (18592) | **(17354)** | **(7278)** | **98231** |
| Franklin Mutual Global Discovery VIP Fund - Class 1 | **14197** | 322 | (93) | **229** | (9) | 1574 | 1381 | **2946** | **3175** | 60716 | (61011) | **(295)** | **2880** | **17077** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2025** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2025** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of <br>December 31, 2025** |
| Franklin Mutual Shares VIP Fund - Class 1 | $**234020** | $5574 | $(1466) | $**4108** | $(49) | $24191 | $(2169) | $**21973** | $**26081** | $— | $— | $**—** | $**26081** | $**260101** |
| Franklin Mutual Shares VIP Fund - Class 2 | **129672** | 2693 | (1638) | **1055** | (2058) | 13270 | 533 | **11745** | **12800** | 1238 | (5116) | **(3878)** | **8922** | **138594** |
| Franklin Rising Dividends VIP Fund - Class 1 | **307006** | 3205 | (1900) | **1305** | 141 | 29495 | 3300 | **32936** | **34241** | 3786 | (18037) | **(14251)** | **19990** | **326996** |
| Franklin Small-Mid Cap Growth VIP Fund - Class 2 | **87157** |  | (1077) | **(1077)** | (1243) | 4954 | (1382) | **2329** | **1252** | 786 | (8491) | **(7705)** | **(6453)** | **80704** |
| Franklin Strategic Income VIP Fund - Class 1 | **211356** | 10596 | (1305) | **9291** | (643) | 2 | 5617 | **4976** | **14267** | 2366 | (3535) | **(1169)** | **13098** | **224454** |
| Franklin U.S. Government Securities VIP Fund - Class 1 | **13798** | 479 | (87) | **392** | 17 |  | 475 | **492** | **884** | 57876 | (56939) | **937** | **1821** | **15619** |
| Franklin U.S. Government Securities VIP Fund - Class 2 | **37031** | 1247 | (473) | **774** | (234) |  | 1438 | **1204** | **1978** |  | (699) | **(699)** | **1279** | **38310** |
| Invesco American Franchise Fund I | **197102** |  | (2404) | **(2404)** | 3683 | 18188 | (2298) | **19573** | **17169** |  | (12749) | **(12749)** | **4420** | **201522** |
| Invesco EQV International Equity I | **183408** | 2900 | (1195) | **1705** | 28 | 12871 | 14379 | **27278** | **28983** |  |  | **—** | **28983** | **212391** |
| Invesco EQV International Equity II | **46612** | 613 | (634) | **(21)** | 174 | 3347 | 3438 | **6959** | **6938** | 543 | (2163) | **(1620)** | **5318** | **51930** |
| Invesco Global Real Estate | **63557** | 1361 | (851) | **510** | (350) |  | 3956 | **3606** | **4116** | 872 | (1818) | **(946)** | **3170** | **66727** |
| Janus Henderson Flexible Bond | **209499** | 11432 | (1296) | **10136** | (519) |  | 4488 | **3969** | **14105** |  | (1172) | **(1172)** | **12933** | **222432** |
| Janus Henderson Mid Cap Value Portfolio | **3930** | 33 | (24) | **9** | 7 | 375 | (160) | **222** | **231** |  |  | **—** | **231** | **4161** |
| LVIP American Century Balanced Fund Standard Class II | **131674** | 2572 | (1690) | **882** | 753 |  | 9321 | **10074** | **10956** | 1805 | (2191) | **(386)** | **10570** | **142244** |
| LVIP American Century International Fund Standard Class II | **216356** | 2802 | (2875) | **(73)** | 938 |  | 29599 | **30537** | **30464** | 4608 | (15088) | **(10480)** | **19984** | **236340** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2025** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2025** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of <br>December 31, 2025** |
| LVIP American Century Mid Cap Value Fund Standard Class II<sup>1</sup> | $**4870** | $— | $(24) | $**(24)** | $(50) | $286 | $163 | $**399** | $**375** | $— | $(5245) | $**(5245)** | $**(4870)** | $**—** |
| LVIP American Century Value Fund Standard Class II | **372445** | 6445 | (2638) | **3807** | 1691 | 30331 | 19432 | **51454** | **55261** |  | (9719) | **(9719)** | **45542** | **417987** |
| LVIP JPMorgan Mid Cap Value Fund - Standard Class | **321950** | 3627 | (2909) | **718** | (2139) | 35079 | (21563) | **11377** | **12095** | 543 | (8610) | **(8067)** | **4028** | **325978** |
| LVIP JPMorgan U.S. Equity Fund - Standard Class | **59247** | 277 | (745) | **(468)** | 1774 | 1738 | 4485 | **7997** | **7529** |  | (3303) | **(3303)** | **4226** | **63473** |
| LVIP Nomura SMID Cap Core<sup>1</sup> | **170607** | 994 | (1025) | **(31)** | 218 | 4415 | 9391 | **14024** | **13993** |  |  | **—** | **13993** | **184600** |
| Merger VL | **22171** | 790 | (124) | **666** | 428 | 593 | (79) | **942** | **1608** |  | (6266) | **(6266)** | **(4658)** | **17513** |
| MFS International Growth Portfolio | **2561** | 26 | (17) | **9** | 1 | 157 | 354 | **512** | **521** |  |  | **—** | **521** | **3082** |
| MFS International Intrinsic Value Portfolio | **337237** | 6199 | (2375) | **3824** | (343) | 22459 | 83326 | **105442** | **109266** | 2840 | (7951) | **(5111)** | **104155** | **441392** |
| MFS New Discovery Series | **9469** |  | (59) | **(59)** | (35) |  | 1258 | **1223** | **1164** |  |  | **—** | **1164** | **10633** |
| MFS Utilities Series | **72725** | 2123 | (445) | **1678** | 2325 | 971 | 4863 | **8159** | **9837** | 58878 | (67967) | **(9089)** | **748** | **73473** |
| Nomura VIP Emerging Markets Series - Standard Class<sup>1</sup> | **202656** | 3795 | (1535) | **2260** | 20 | 486 | 159730 | **160236** | **162496** |  |  | **—** | **162496** | **365152** |
| Nomura VIP Small Cap Value Series - Standard Class<sup>1</sup> | **68148** | 876 | (412) | **464** | (4) | 4268 | 397 | **4661** | **5125** | 3313 | (3275) | **38** | **5163** | **73311** |
| PIMCO All Asset Institutional Class | **19032** | 487 | (64) | **423** | (411) |  | 1261 | **850** | **1273** | 21830 | (40074) | **(18244)** | **(16971)** | **2061** |
| PIMCO CommodityRealReturn Strat. Institutional Class | **18066** | 604 | (119) | **485** | (32) |  | 2863 | **2831** | **3316** |  |  | **—** | **3316** | **21382** |
| PIMCO Dynamic Bond - Institutional Class<sup>1</sup> | **—** |  |  | **—** |  |  |  | **—** | **—** |  |  | **—** | **—** | **—** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2025** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2025** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of <br>December 31, 2025** |
| PIMCO Emerging Markets Bond Institutional Class | $**22035** | $1449 | $(111) | $**1338** | $(1196) | $— | $2553 | $**1357** | $**2695** | $35359 | $(40952) | $**(5593)** | $**(2898)** | $**19137** |
| PIMCO Global Bond Opportunities (Unhedged) - Institutional Class | **1265** | 63 | (8) | **55** |  |  | 100 | **100** | **155** |  |  | **—** | **155** | **1420** |
| PIMCO Low Duration Institutional Class | **90208** | 3784 | (555) | **3229** | (23) |  | 1349 | **1326** | **4555** |  |  | **—** | **4555** | **94763** |
| PIMCO Real Return Institutional Class | **32229** | 1162 | (201) | **961** | (63) |  | 1496 | **1433** | **2394** |  | (1876) | **(1876)** | **518** | **32747** |
| PIMCO Total Return Institutional Class | **165480** | 7329 | (1022) | **6307** | (182) |  | 7788 | **7606** | **13913** | 2366 | (2329) | **37** | **13950** | **179430** |
| Royce Capital Small-Cap | **38872** | 774 | (239) | **535** | 149 | 2975 | (75) | **3049** | **3584** | 86814 | (85467) | **1347** | **4931** | **43803** |
| T. Rowe Price All-Cap Opportunities Portfolio | **892378** |  | (5666) | **(5666)** | 4277 | 112561 | 27707 | **144545** | **138879** |  | (4635) | **(4635)** | **134244** | **1026622** |
| T. Rowe Price Blue Chip Growth | **820064** |  | (5145) | **(5145)** | 8739 | 79390 | 62549 | **150678** | **145533** |  | (14106) | **(14106)** | **131427** | **951491** |
| T. Rowe Price Equity Income Portfolio | **407373** | 7110 | (2575) | **4535** | 84 | 43768 | 7171 | **51023** | **55558** |  | (2243) | **(2243)** | **53315** | **460688** |
| T. Rowe Price Health Sciences Portfolio | **659902** |  | (4047) | **(4047)** | 1450 | 26040 | 91297 | **118787** | **114740** | 57876 | (59304) | **(1428)** | **113312** | **773214** |
| T. Rowe Price International Stock Portfolio | **282421** | 6180 | (1873) | **4307** | 202 | 27142 | 18262 | **45606** | **49913** |  | (1638) | **(1638)** | **48275** | **330696** |
| Templeton Developing Markets VIP Fund - Class 2 | **29105** | 90 | (271) | **(181)** | 3352 | 279 | 3446 | **7077** | **6896** |  | (16953) | **(16953)** | **(10057)** | **19048** |
| Templeton Global Bond VIP Fund - Class 1 | **21358** |  | (141) | **(141)** | 6 |  | 3429 | **3435** | **3294** | 2366 | (2322) | **44** | **3338** | **24696** |
| Templeton Growth VIP Fund - Class 2 | **46281** | 228 | (414) | **(186)** | (663) | 1959 | 3947 | **5243** | **5057** | 543 | (24878) | **(24335)** | **(19278)** | **27003** |
| TVST Touchstone Common Stock Fund | **97672** | 583 | (621) | **(38)** | 145 | 15630 | 988 | **16763** | **16725** |  |  | **—** | **16725** | **114397** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2025** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2025** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of <br>December 31, 2025** |
| VanEck Global Resources Fund | $**248742** | $7249 | $(1713) | $**5536** | $422 | $— | $82758 | $**83180** | $**88716** | $— | $— | $**—** | $**88716** | $**337458** |
| Vanguard Balanced | **515001** | 9792 | (2836) | **6956** | 132 | 41940 | 20394 | **62466** | **69422** | 5291 | (75704) | **(70413)** | **(991)** | **514010** |
| Vanguard Capital Growth | **79723** | 875 | (519) | **356** | 222 | 3759 | 18152 | **22133** | **22489** |  |  | **—** | **22489** | **102212** |
| Vanguard Equity Income | **3908991** | 102131 | (24952) | **77179** | 12336 | 310455 | 226511 | **549302** | **626481** | 2840 | (69418) | **(66578)** | **559903** | **4468894** |
| Vanguard Equity Index | **317152** | 3569 | (2010) | **1559** | 1399 | 6876 | 44003 | **52278** | **53837** | 86814 | (88454) | **(1640)** | **52197** | **369349** |
| Vanguard High Yield Bond | **179182** | 11878 | (1117) | **10761** | 128 |  | 4366 | **4494** | **15255** |  | (699) | **(699)** | **14556** | **193738** |
| Vanguard International | **54494** | 407 | (300) | **107** | (582) | 2746 | 6282 | **8446** | **8553** |  | (10421) | **(10421)** | **(1868)** | **52626** |
| Vanguard Mid-Cap Index | **98328** | 1272 | (622) | **650** | 143 | 5069 | 4829 | **10041** | **10691** |  |  | **—** | **10691** | **109019** |
| Vanguard Real Estate Index | **366960** | 9310 | (2076) | **7234** | (3401) | 5961 | (1926) | **634** | **7868** |  | (45882) | **(45882)** | **(38014)** | **328946** |
| Vanguard Short Term Investment Grade | **199249** | 20588 | (2939) | **17649** | 790 |  | 12400 | **13190** | **30839** | 342876 | (65533) | **277343** | **308182** | **507431** |
| Vanguard Small Company Growth | **21510** | 101 | (128) | **(27)** | (20) | 1433 | (209) | **1204** | **1177** |  |  | **—** | **1177** | **22687** |
| Vanguard Total Bond Market Index | **463709** | 14228 | (2473) | **11755** | (12252) |  | 24938 | **12686** | **24441** | 12832 | (86891) | **(74059)** | **(49618)** | **414091** |
| Vanguard Total Stock Market Index | **241425** | 1808 | (907) | **901** | 25389 | 8438 | (13124) | **20703** | **21604** | 19404 | (128277) | **(108873)** | **(87269)** | **154156** |
| Victory Pioneer Bond VCT Portfolio Class I<sup>1</sup> | **924007** | 41233 | (11469) | **29764** | (16744) |  | 55798 | **39054** | **68818** | 6057 | (104899) | **(98842)** | **(30024)** | **893983** |
| Victory Pioneer Equity Income VCT Portfolio Class II<sup>1</sup> | **47493** | 427 | (301) | **126** | (7245) | 2091 | 5001 | **(153)** | **(27)** |  | (32074) | **(32074)** | **(32101)** | **15392** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2025** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2025** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of <br>December 31, 2025** |
| Victory Pioneer Fund VCT Portfolio Class I<sup>1</sup> | $**30354132** | $137389 | $(385163) | $**(247774)** | $959290 | $4110557 | $1344082 | $**6413929** | $**6166155** | $14872 | $(3884231) | $**(3869359)** | $**2296796** | $**32650928** |
| Victory Pioneer High Yield VCT Portfolio Class II<sup>1</sup> | **18384** | 601 | (130) | **471** | (1135) |  | 1031 | **(104)** | **367** |  | (11874) | **(11874)** | **(11507)** | **6877** |
| Victory Pioneer Mid Cap Value VCT Portfolio Class I<sup>1</sup> | **1948815** | 38739 | (23695) | **15044** | (251667) | 150394 | 257697 | **156424** | **171468** | 140002 | (338263) | **(198261)** | **(26793)** | **1922022** |
| Victory Pioneer Select Mid Cap Growth VCT Portfolio Class I<sup>1</sup> | **13816937** |  | (179974) | **(179974)** | 293552 | 1546622 | 860891 | **2701065** | **2521091** | 4793 | (1386041) | **(1381248)** | **1139843** | **14956780** |
| Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> | **66406** | 3321 | (431) | **2890** | (48) |  | 4143 | **4095** | **6985** | 19500 |  | **19500** | **26485** | **92891** |
| Victory Pioneer Strategic Income VCT Portfolio Class II<sup>1</sup> | **47698** | 1541 | (436) | **1105** | (3292) |  | 5373 | **2081** | **3186** |  | (29654) | **(29654)** | **(26468)** | **21230** |
| Virtus Duff & Phelps Real Estate Securities Series I | **3732** | 111 | (34) | **77** |  | 17 | (91) | **(74)** | **3** |  |  | **—** | **3** | **3735** |
| Virtus KAR Small-Cap Growth Series I | **40734** |  | (217) | **(217)** | (50) | 7472 | (16537) | **(9115)** | **(9332)** |  |  | **—** | **(9332)** | **31402** |
| VY JPMorgan Emerging Markets Equity Portfolio Initial | **18321** | 211 | (266) | **(55)** | (291) | 4878 | 2287 | **6874** | **6819** |  | (1569) | **(1569)** | **5250** | **23571** |

---

<sup>1</sup> Reference Note 1 of the financial statements for additional information pertaining to this sub-account.

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets** |
| **Year Ended December 31, 2024** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2024** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of December 31, 2024** |
| AB Discovery Value Portfolio - Class A | $**13017** | $120 | $(82) | $**38** | $9 | $684 | $488 | $**1181** | $**1219** | $— | $— | $**—** | $**1219** | $**14236** |
| ALPS/Alerian Energy Infrastructure-Class I | **595543** | 32138 | (4289) | **27849** | 1501 | 23510 | 186449 | **211460** | **239309** |  |  | **—** | **239309** | **834852** |
| American Funds IS Growth Fund | **100875** | 600 | (648) | **(48)** | 10211 | 2474 | 16582 | **29267** | **29219** | 3564 | (28391) | **(24827)** | **4392** | **105267** |
| American Funds IS Growth-Income Fund | **50312** | 747 | (337) | **410** | 503 | 2440 | 8345 | **11288** | **11698** |  | (2725) | **(2725)** | **8973** | **59285** |
| American Funds IS International Fund | **14545** | 223 | (94) | **129** |  |  | 274 | **274** | **403** |  |  | **—** | **403** | **14948** |
| American Funds IS New World Fund | **11017** | 192 | (71) | **121** | 10 | 53 | 499 | **562** | **683** |  |  | **—** | **683** | **11700** |
| BlackRock Capital Appreciation I | **23120** |  | (165) | **(165)** | 4 | 10236 | (2796) | **7444** | **7279** |  |  | **—** | **7279** | **30399** |
| BlackRock Global Allocation I | **88128** | 897 | (545) | **352** | (2083) | 4300 | 5434 | **7651** | **8003** |  | (30650) | **(30650)** | **(22647)** | **65481** |
| BlackRock High Yield I | **42624** | 2186 | (192) | **1994** | (928) |  | 1199 | **271** | **2265** | 2546 | (20138) | **(17592)** | **(15327)** | **27297** |
| BNY Mellon Appreciation | **52428** | 238 | (707) | **(469)** | (125) | 3976 | 2562 | **6413** | **5944** | 875 | (1941) | **(1066)** | **4878** | **57306** |
| BNY Mellon MidCap Stock | **194640** | 1665 | (2521) | **(856)** | 323 | 2847 | 18873 | **22043** | **21187** | 1629 | (16459) | **(14830)** | **6357** | **200997** |
| BNY Mellon Stock Index | **163848** | 1434 | (1986) | **(552)** | 7285 | 9617 | 15452 | **32354** | **31802** | 706 | (29737) | **(29031)** | **2771** | **166619** |
| BNY Mellon Sustainable U.S. Equity | **85908** | 520 | (1247) | **(727)** | 325 | 619 | 19836 | **20780** | **20053** |  | (260) | **(260)** | **19793** | **105701** |
| BNY Mellon Technology Growth | **12024** |  | (174) | **(174)** | 73 |  | 3008 | **3081** | **2907** |  |  | **—** | **2907** | **14931** |
| Columbia Income Opportunities | **82844** | 4790 | (515) | **4275** | (288) |  | 374 | **86** | **4361** |  |  | **—** | **4361** | **87205** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2024** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2024** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of December 31, 2024** |
| Columbia VP Overseas Core Fund - Class 1 | $**844** | $38 | $(4) | $**34** | $14 | $— | $(18) | $**(4)** | $**30** | $3055 | $(3287) | $**(232)** | $**(202)** | $**642** |
| Columbia VP Select Mid Cap Growth Fund - Class 1 | **158593** |  | (1063) | **(1063)** | 748 |  | 36684 | **37432** | **36369** |  |  | **—** | **36369** | **194962** |
| Dimensional VA Global Bond | **32860** | 1515 | (192) | **1323** | (365) |  | 520 | **155** | **1478** | 14775 | (17573) | **(2798)** | **(1320)** | **31540** |
| Dimensional VA International Small Portfolio | **25508** | 921 | (161) | **760** | 23 | 720 | (688) | **55** | **815** | 7880 | (7805) | **75** | **890** | **26398** |
| Dimensional VA International Value Portfolio | **33535** | 1394 | (212) | **1182** | 472 | 720 | (379) | **813** | **1995** | 14775 | (15643) | **(868)** | **1127** | **34662** |
| Dimensional VA Short Term Fixed Portfolio | **298759** | 13897 | (1756) | **12141** | 9 |  | 1601 | **1610** | **13751** |  | (24774) | **(24774)** | **(11023)** | **287736** |
| Dimensional VA U.S. Large Value Portfolio | **346834** | 7947 | (2299) | **5648** | 425 | 40042 | (2091) | **38376** | **44024** | 7980 | (8645) | **(665)** | **43359** | **390193** |
| Dimensional VA U.S. Targeted Value | **246791** | 3654 | (1538) | **2116** | (46) | 17801 | (1423) | **16332** | **18448** | 4925 | (5239) | **(314)** | **18134** | **264925** |
| DWS Alternative Asset Allocation VIP A | **40643** | 1425 | (231) | **1194** | 122 | 22 | 597 | **741** | **1935** |  | (9712) | **(9712)** | **(7777)** | **32866** |
| DWS CROCI International VIP - Class A | **1029488** | 33738 | (12662) | **21076** | (14820) |  | 8091 | **(6729)** | **14347** | 2520 | (115746) | **(113226)** | **(98879)** | **930609** |
| DWS Global Income Builder VIP A | **2014443** | 72625 | (26356) | **46269** | (3394) |  | 112129 | **108735** | **155004** | 6713 | (85564) | **(78851)** | **76153** | **2090596** |
| Eaton Vance VT Floating-Rate Income Fund Advisor Class<sup>1</sup> | **4710** | 405 | (30) | **375** | (1) |  | (27) | **(28)** | **347** | 4925 | (4786) | **139** | **486** | **5196** |
| Federated Hermes High Income Bond | **71227** | 3842 | (961) | **2881** | (1698) |  | 2503 | **805** | **3686** | 20074 | (11004) | **9070** | **12756** | **83983** |
| Federated Hermes Managed Volatility II | **15122** | 352 | (204) | **148** | (55) |  | 2024 | **1969** | **2117** | 596 | (1173) | **(577)** | **1540** | **16662** |
| Fidelity Contrafund | **1452919** | 3089 | (15022) | **(11933)** | 101562 | 195574 | 174749 | **471885** | **459952** | 82595 | (259330) | **(176735)** | **283217** | **1736136** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2024** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2024** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of December 31, 2024** |
| Fidelity Energy | $**119229** | $2947 | $(781) | $**2166** | $181 | $— | $2028 | $**2209** | $**4375** | $— | $— | $**—** | $**4375** | $**123604** |
| Fidelity Equity-Income | **148861** | 2960 | (2062) | **898** | 1924 | 9628 | 8317 | **19869** | **20767** | 1042 | (3409) | **(2367)** | **18400** | **167261** |
| Fidelity Financials Portfolio - Initial Class | **503596** | 10309 | (3487) | **6822** | 1047 | 21913 | 131013 | **153973** | **160795** |  |  | **—** | **160795** | **664391** |
| Fidelity Government Money Market Portfolio - Initial Class | **116940** | 5952 | (724) | **5228** |  |  |  | **—** | **5228** |  |  | **—** | **5228** | **122168** |
| Fidelity Government Money Market Portfolio - Service Class II | **203623** | 8143 | (2161) | **5982** |  |  |  | **—** | **5982** | 559 | (53526) | **(52967)** | **(46985)** | **156638** |
| Fidelity Growth | **441408** | 5 | (6621) | **(6616)** | 7360 | 116824 | 9490 | **133674** | **127058** | 256 | (9980) | **(9724)** | **117334** | **558742** |
| Fidelity Growth & Income | **50054** | 798 | (697) | **101** | 1411 | 3627 | 5107 | **10145** | **10246** | 77 | (3529) | **(3452)** | **6794** | **56848** |
| Fidelity Growth Opportunities | **286842** |  | (3339) | **(3339)** | 81528 |  | 11912 | **93440** | **90101** | 424 | (149869) | **(149445)** | **(59344)** | **227498** |
| Fidelity Investment Grade Bond | **680** | 20 | (4) | **16** |  |  | (13) | **(13)** | **3** | 2546 | (2678) | **(132)** | **(129)** | **551** |
| Fidelity Mid Cap I | **1422** | 6 | (8) | **(2)** | 133 | 149 | (66) | **216** | **214** | 5092 | (5589) | **(497)** | **(283)** | **1139** |
| Fidelity Real Estate | **5141** | 209 | (31) | **178** | 9 |  | 82 | **91** | **269** | 2546 | (2798) | **(252)** | **17** | **5158** |
| Fidelity Strategic Income | **69834** | 2678 | (435) | **2243** | (26) |  | 1580 | **1554** | **3797** |  |  | **—** | **3797** | **73631** |
| Franklin Income VIP Fund - Class 1 | **1404** | 654 | (56) | **598** | 30 | 51 | 235 | **316** | **914** | 11392 | (1523) | **9869** | **10783** | **12187** |
| Franklin Income VIP Fund - Class 2 | **120111** | 5511 | (1338) | **4173** | (693) | 451 | 1984 | **1742** | **5915** | 1245 | (21762) | **(20517)** | **(14602)** | **105509** |
| Franklin Mutual Global Discovery VIP Fund - Class 1 | **13319** | 275 | (85) | **190** | 4 | 1007 | (604) | **407** | **597** | 55376 | (55095) | **281** | **878** | **14197** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2024** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2024** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of December 31, 2024** |
| Franklin Mutual Shares VIP Fund - Class 1 | $**211164** | $5009 | $(1375) | $**3634** | $(67) | $4628 | $14661 | $**19222** | $**22856** | $— | $— | $**—** | $**22856** | $**234020** |
| Franklin Mutual Shares VIP Fund - Class 2 | **123128** | 2541 | (1600) | **941** | (1154) | 2643 | 9285 | **10774** | **11715** | 1245 | (6416) | **(5171)** | **6544** | **129672** |
| Franklin Rising Dividends VIP Fund - Class 1 | **291987** | 3660 | (1862) | **1798** | (117) | 14167 | 14243 | **28293** | **30091** | 4073 | (19145) | **(15072)** | **15019** | **307006** |
| Franklin Small-Mid Cap Growth VIP Fund - Class 2 | **88546** |  | (1102) | **(1102)** | (1815) |  | 11183 | **9368** | **8266** | 834 | (10489) | **(9655)** | **(1389)** | **87157** |
| Franklin Strategic Income VIP Fund - Class 1 | **213287** | 9375 | (1261) | **8114** | (2897) |  | 2283 | **(614)** | **7500** | 4224 | (13655) | **(9431)** | **(1931)** | **211356** |
| Franklin U.S. Government Securities VIP Fund - Class 1 | **11993** | 425 | (78) | **347** | 7 |  | (215) | **(208)** | **139** | 52321 | (50655) | **1666** | **1805** | **13798** |
| Franklin U.S. Government Securities VIP Fund - Class 2 | **39128** | 1186 | (485) | **701** | (545) |  | (87) | **(632)** | **69** |  | (2166) | **(2166)** | **(2097)** | **37031** |
| Invesco American Franchise Fund I | **151414** |  | (2240) | **(2240)** | 1452 |  | 50598 | **52050** | **49810** |  | (4122) | **(4122)** | **45688** | **197102** |
| Invesco EQV International Equity I | **183389** | 3351 | (1144) | **2207** | (2) | 996 | (3182) | **(2188)** | **19** |  |  | **—** | **19** | **183408** |
| Invesco EQV International Equity II | **48369** | 776 | (627) | **149** | 28 | 269 | (878) | **(581)** | **(432)** | 578 | (1903) | **(1325)** | **(1757)** | **46612** |
| Invesco Global Real Estate | **68700** | 1723 | (853) | **870** | (676) |  | (1982) | **(2658)** | **(1788)** | 899 | (4254) | **(3355)** | **(5143)** | **63557** |
| Janus Henderson Enterprise Portfolio | **—** |  |  | **—** |  |  |  | **—** | **—** |  |  | **—** | **—** | **—** |
| Janus Henderson Flexible Bond | **208383** | 10284 | (1260) | **9024** | (613) |  | (5658) | **(6271)** | **2753** | 1648 | (3285) | **(1637)** | **1116** | **209499** |
| Janus Henderson Mid Cap Value Portfolio | **3496** | 38 | (23) | **15** | 7 | 192 | 220 | **419** | **434** |  |  | **—** | **434** | **3930** |
| LVIP American Century Balanced Fund Standard Class II | **122648** | 2642 | (1614) | **1028** | 1119 |  | 10701 | **11820** | **12848** | 1795 | (5617) | **(3822)** | **9026** | **131674** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2024** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2024** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of December 31, 2024** |
| LVIP American Century International Fund Standard Class II | $**217840** | $3656 | $(2854) | $**802** | $561 | $— | $1636 | $**2197** | $**2999** | $1914 | $(6397) | $**(4483)** | $**(1484)** | $**216356** |
| LVIP American Century Mid Cap Value Fund Standard Class II<sup>1</sup> | **4506** | 122 | (28) | **94** | (4) | 222 | 52 | **270** | **364** |  |  | **—** | **364** | **4870** |
| LVIP American Century Value Fund Standard Class II | **353096** | 10762 | (2555) | **8207** | 3065 | 20466 | (1864) | **21667** | **29874** |  | (10525) | **(10525)** | **19349** | **372445** |
| LVIP JPMorgan Mid Cap Value Fund - Standard Class | **286989** | 3933 | (2822) | **1111** | (370) | 48901 | (11741) | **36790** | **37901** | 578 | (3518) | **(2940)** | **34961** | **321950** |
| LVIP JPMorgan U.S. Equity Fund - Standard Class | **50484** | 293 | (715) | **(422)** | 1502 | 2504 | 7705 | **11711** | **11289** |  | (2526) | **(2526)** | **8763** | **59247** |
| LVIP Macquarie Smid Cap Core | **149604** | 1004 | (972) | **32** | 190 | 7625 | 13156 | **20971** | **21003** |  |  | **—** | **21003** | **170607** |
| Macquarie VIP Emerging Markets Series - Standard Class | **194011** | 5436 | (1268) | **4168** | (238) |  | 4715 | **4477** | **8645** |  |  | **—** | **8645** | **202656** |
| Macquarie VIP Small Cap Value Series - Standard Class | **61868** | 872 | (396) | **476** | 4 | 2407 | 3689 | **6100** | **6576** | 3564 | (3860) | **(296)** | **6280** | **68148** |
| Merger VL | **27996** | 386 | (155) | **231** | 298 | 255 | (92) | **461** | **692** |  | (6517) | **(6517)** | **(5825)** | **22171** |
| MFS International Growth Portfolio | **2364** | 25 | (15) | **10** | (1) | 8 | 180 | **187** | **197** |  |  | **—** | **197** | **2561** |
| MFS International Intrinsic Value Portfolio | **316600** | 4640 | (2056) | **2584** | (410) | 14962 | 3770 | **18322** | **20906** | 3055 | (3324) | **(269)** | **20637** | **337237** |
| MFS New Discovery Series | **8926** |  | (56) | **(56)** | (39) |  | 638 | **599** | **543** |  |  | **—** | **543** | **9469** |
| MFS Utilities Series | **69772** | 1739 | (452) | **1287** | 1718 | 2146 | 3217 | **7081** | **8368** | 58017 | (63432) | **(5415)** | **2953** | **72725** |
| PIMCO All Asset Institutional Class | **17484** | 1221 | (113) | **1108** | (6) |  | (495) | **(501)** | **607** | 16745 | (15804) | **941** | **1548** | **19032** |
| PIMCO CommodityRealReturn Strat. Institutional Class | **17420** | 427 | (108) | **319** | (40) |  | 367 | **327** | **646** |  |  | **—** | **646** | **18066** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2024** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2024** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of December 31, 2024** |
| PIMCO Dynamic Bond - Institutional Class | $**7995** | $21 | $2 | $**23** | $(1007) | $— | $980 | $**(27)** | $**(4)** | $— | $(7991) | $**(7991)** | $**(7995)** | $**—** |
| PIMCO Emerging Markets Bond Institutional Class | **20106** | 1390 | (128) | **1262** | (54) |  | 234 | **180** | **1442** | 31085 | (30598) | **487** | **1929** | **22035** |
| PIMCO Global Bond Opportunities (Unhedged) - Institutional Class | **1277** | 47 | (7) | **40** |  |  | (52) | **(52)** | **(12)** |  |  | **—** | **(12)** | **1265** |
| PIMCO Low Duration Institutional Class | **86721** | 3650 | (534) | **3116** | (29) |  | 400 | **371** | **3487** |  |  | **—** | **3487** | **90208** |
| PIMCO Real Return Institutional Class | **31699** | 886 | (195) | **691** | (16) |  | (145) | **(161)** | **530** |  |  | **—** | **530** | **32229** |
| PIMCO StocksPLUS Global Portfolio Institutional Class | **—** |  |  | **—** |  |  |  | **—** | **—** |  |  | **—** | **—** | **—** |
| PIMCO Total Return Institutional Class | **169801** | 6886 | (996) | **5890** | (1709) |  | (899) | **(2608)** | **3282** | 2546 | (10149) | **(7603)** | **(4321)** | **165480** |
| Pioneer Bond VCT Class I | **975136** | 42699 | (11969) | **30730** | (14951) |  | 2021 | **(12930)** | **17800** | 11225 | (80154) | **(68929)** | **(51129)** | **924007** |
| Pioneer Equity Income VCT Class II | **43916** | 882 | (564) | **318** | (3167) | 8326 | (1434) | **3725** | **4043** | 3056 | (3522) | **(466)** | **3577** | **47493** |
| Pioneer Fund VCT Class I | **27746712** | 220414 | (388046) | **(167632)** | 353143 | 1515213 | 4102797 | **5971153** | **5803521** | 66521 | (3262622) | **(3196101)** | **2607420** | **30354132** |
| Pioneer High Yield VCT Class II | **15708** | 952 | (216) | **736** | (31) |  | 491 | **460** | **1196** | 1480 |  | **1480** | **2676** | **18384** |
| Pioneer Mid Cap Value VCT Class I | **1971681** | 38085 | (25214) | **12871** | (164789) | 116896 | 223897 | **176004** | **188875** | 3032 | (214773) | **(211741)** | **(22866)** | **1948815** |
| Pioneer Select Mid Cap Growth VCT Class I | **12383338** |  | (168464) | **(168464)** | 59514 |  | 2798234 | **2857748** | **2689284** | 18823 | (1274508) | **(1255685)** | **1433599** | **13816937** |
| Pioneer Strategic Income VCT Class I | **72220** | 2821 | (398) | **2423** | (1346) |  | 1167 | **(179)** | **2244** |  | (8058) | **(8058)** | **(5814)** | **66406** |
| Pioneer Strategic Income VCT Class II | **45842** | 1883 | (586) | **1297** | (287) |  | 196 | **(91)** | **1206** | 1681 | (1031) | **650** | **1856** | **47698** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2024** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2024** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of December 31, 2024** |
| Royce Capital Small-Cap | $**37208** | $469 | $(229) | $**240** | $67 | $1584 | $(822) | $**829** | $**1069** | $78481 | $(77886) | $**595** | $**1664** | $**38872** |
| T. Rowe Price All-Cap Opportunities Portfolio | **720391** | 630 | (5048) | **(4418)** | 3515 | 97364 | 79105 | **179984** | **175566** |  | (3579) | **(3579)** | **171987** | **892378** |
| T. Rowe Price Blue Chip Growth | **618858** |  | (4483) | **(4483)** | 8180 | 33018 | 177574 | **218772** | **214289** |  | (13083) | **(13083)** | **201206** | **820064** |
| T. Rowe Price Equity Income Portfolio | **368583** | 7351 | (2419) | **4932** | 109 | 26483 | 9085 | **35677** | **40609** |  | (1819) | **(1819)** | **38790** | **407373** |
| T. Rowe Price Health Sciences Portfolio | **655175** |  | (4247) | **(4247)** | 2013 | 58043 | (48867) | **11189** | **6942** | 52321 | (54536) | **(2215)** | **4727** | **659902** |
| T. Rowe Price International Stock Portfolio | **276439** | 2741 | (1745) | **996** | 22 | 7094 | (819) | **6297** | **7293** |  | (1311) | **(1311)** | **5982** | **282421** |
| Templeton Developing Markets VIP Fund - Class 2 | **26648** | 1155 | (365) | **790** | 304 | 222 | 386 | **912** | **1702** | 1535 | (780) | **755** | **2457** | **29105** |
| Templeton Global Bond VIP Fund - Class 1 | **24307** |  | (139) | **(139)** | 3 |  | (2690) | **(2687)** | **(2826)** | 2546 | (2669) | **(123)** | **(2949)** | **21358** |
| Templeton Growth VIP Fund - Class 2 | **45189** | 456 | (600) | **(144)** | (572) | 156 | 2385 | **1969** | **1825** | 1989 | (2722) | **(733)** | **1092** | **46281** |
| TVST Touchstone Common Stock Fund | **80889** | 603 | (547) | **56** | 102 | 6637 | 9988 | **16727** | **16783** |  |  | **—** | **16783** | **97672** |
| VanEck Global Resources Fund | **257543** | 6848 | (1588) | **5260** | 309 |  | (14370) | **(14061)** | **(8801)** |  |  | **—** | **(8801)** | **248742** |
| Vanguard Balanced | **448929** | 10975 | (2948) | **8027** | (143) | 23736 | 32178 | **55771** | **63798** | 9769 | (7495) | **2274** | **66072** | **515001** |
| Vanguard Capital Growth | **72086** | 872 | (476) | **396** | 770 | 1594 | 6373 | **8737** | **9133** |  | (1496) | **(1496)** | **7637** | **79723** |
| Vanguard Equity Income | **3442721** | 106093 | (22576) | **83517** | 5198 | 223650 | 183026 | **411874** | **495391** | 4197 | (33318) | **(29121)** | **466270** | **3908991** |
| Vanguard Equity Index | **257173** | 3734 | (1768) | **1966** | 921 | 10675 | 48198 | **59794** | **61760** | 78481 | (80262) | **(1781)** | **59979** | **317152** |

---

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| **Symetra Resource Variable Account B** |
| **Statements of Operations and Changes in Net Assets (continued)** |
| **Year Ended December 31, 2024** |

---

---

| | | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| **Sub-Account** | **Net Assets as of January 1, 2024** | Dividends | Mortality and Expense Risk Charge | **Net Investment Income (Loss)** | Realized Gain (Loss) on Investments | Net Realized Capital Gain Distributions Received | Net Change in Unrealized Appreciation/Depreciation | **Net Gain (Loss) on Investments** | **Net Increase (Decrease) in Net Assets Resulting from Operations** | Contract Purchase Payments and Transfers In | Contract Terminations, Transfers and Maintenance Charges | **Increase (Decrease) in Net Assets from Contract Transactions** | **Total Increase (Decrease) In Net Assets** | **Net Assets <br>as of December 31, 2024** |
| Vanguard High Yield Bond | $**169976** | $9705 | $(1054) | $**8651** | $102 | $— | $1096 | $**1198** | $**9849** | $— | $(643) | $**(643)** | $**9206** | $**179182** |
| Vanguard International | **50637** | 646 | (327) | **319** | (47) | 1710 | 2243 | **3906** | **4225** |  | (368) | **(368)** | **3857** | **54494** |
| Vanguard Mid-Cap Index | **85965** | 1275 | (562) | **713** | 105 | 1062 | 10483 | **11650** | **12363** |  |  | **—** | **12363** | **98328** |
| Vanguard Real Estate Index | **354155** | 11186 | (2170) | **9016** | (241) | 9437 | (3730) | **5466** | **14482** | 1226 | (2903) | **(1677)** | **12805** | **366960** |
| Vanguard Short Term Investment Grade | **70529** | 2609 | (507) | **2102** | 470 |  | 888 | **1358** | **3460** | 185026 | (59766) | **125260** | **128720** | **199249** |
| Vanguard Small Company Growth | **19430** | 109 | (124) | **(15)** | (16) |  | 2111 | **2095** | **2080** |  |  | **—** | **2080** | **21510** |
| Vanguard Total Bond Market Index | **460521** | 12836 | (2794) | **10042** | (564) |  | (6541) | **(7105)** | **2937** | 9850 | (9599) | **251** | **3188** | **463709** |
| Vanguard Total Stock Market Index | **272996** | 3757 | (1791) | **1966** | 13789 | 20597 | 27378 | **61764** | **63730** | 14775 | (110076) | **(95301)** | **(31571)** | **241425** |
| Virtus Duff & Phelps Real Estate Securities Series I | **3378** | 83 | (21) | **62** | (1) | 40 | 253 | **292** | **354** |  |  | **—** | **354** | **3732** |
| Virtus KAR Small-Cap Growth Series I | **37256** |  | (233) | **(233)** | (4) | 3106 | 609 | **3711** | **3478** |  |  | **—** | **3478** | **40734** |
| VY JPMorgan Emerging Markets Equity Portfolio Initial | **19375** | 209 | (249) | **(40)** | (532) |  | 796 | **264** | **224** |  | (1278) | **(1278)** | **(1054)** | **18321** |

---

<sup>1</sup> Reference Note 1 of the financial statements for additional information pertaining to this sub-account.

SEE NOTES TO FINANCIAL STATEMENTS

------

---

| |
|:---|
| Symetra Resource Variable Account B |
| **Notes to Financial Statements** |

---

**1. ORGANIZATION**

Symetra Resource Variable Account B (the "Separate Account") is registered under the Investment Company Act of 1940, as amended, as a segregated unit investment trust of Symetra Life Insurance Company ("Symetra Life"), a wholly-owned subsidiary of Symetra Financial Corporation. Purchasers of various Symetra Life variable annuity products direct their investment to one or more of the sub-accounts of the Separate Account through the purchase of accumulation units ("Units"). Under the terms of the registration, the Separate Account is authorized to issue an unlimited number of Units. Each sub-account invests in shares of a designated portfolio of open-ended registered investment companies ("Mutual Funds") as indicated below. Not all sub-accounts are available in all Symetra Life variable annuity products. The performance of the underlying portfolios may differ substantially from publicly traded Mutual Funds with similar names and objectives.

Under applicable insurance law, the assets of the Separate Account are legally segregated and are not subject to claims that arise out of Symetra Life's and Symetra Financial Corporation's other business activities.

The Statements of Operations and Changes in Net Assets are reported for the years or periods ended December 31, 2025 and December 31, 2024 for the following sub-accounts, except as noted in the footnotes to the table below.

Following are the sub-accounts and related Mutual Funds.

---

| | | |
|:---|:---|:---|
| Sub-Account | Mutual Fund | Mutual Fund |
| | AllianceBernstein Variable Products Fund Series, Inc. | AllianceBernstein Variable Products Fund Series, Inc. |
| AB Discovery Value Portfolio - Class A | | AB Discovery Value Portfolio — Class A |
| | Alps Variable Investment Trust | Alps Variable Investment Trust |
| ALPS/Alerian Energy Infrastructure-Class I | | ALPS/Alerian Energy Infrastructure Portfolio — Class I |
| | American Funds Insurance Series | American Funds Insurance Series |
| American Funds IS Growth Fund | | American Funds Insurance Series Growth Fund |
| American Funds IS Growth-Income Fund | | American Funds Insurance Series Growth-Income Fund |
| American Funds IS International Fund | | American Funds Insurance Series International Fund |
| American Funds IS New World Fund | | American Funds Insurance Series New World Fund |
| | BlackRock Variable Series Fund, Inc. | BlackRock Variable Series Fund, Inc. |
| BlackRock Capital Appreciation I | | BlackRock Capital Appreciation V.I. Fund Class I |
| BlackRock Global Allocation I | | BlackRock Global Allocation V.I. Fund Class I |
| BlackRock High Yield I | | BlackRock High Yield V.I. Fund Class I |
| | BNY Mellon Variable Investment Fund | BNY Mellon Variable Investment Fund |
| BNY Mellon Appreciation | | BNY Mellon VIF Appreciation Portfolio — Initial Shares |
| | BNY Mellon Investment Portfolios | BNY Mellon Investment Portfolios |
| BNY Mellon MidCap Stock | | BNY Mellon IP MidCap Stock Portfolio — Initial Shares |
| | BNY Mellon Stock Index Fund, Inc. | BNY Mellon Stock Index Fund, Inc. |
| BNY Mellon Stock Index | | BNY Mellon Stock Index Fund, Inc. — Service Shares |
| | BNY Mellon Sustainable U.S. Equity Fund, Inc. | BNY Mellon Sustainable U.S. Equity Fund, Inc. |
| BNY Mellon Sustainable U.S. Equity | | BNY Mellon Sustainable U.S. Equity Fund, Inc. — Initial Shares |
| | BNY Mellon Investment Portfolios | BNY Mellon Investment Portfolios |
| BNY Mellon Technology Growth | | BNY Mellon IP Technology Growth Portfolio — Initial Shares |

---

------

---

| |
|:---|
| Symetra Resource Variable Account B |
| **Notes to Financial Statements** |
| **1.&nbsp;&nbsp;&nbsp;&nbsp;ORGANIZATION (continued)** |

---

---

| | |
|:---|:---|
| Sub-Account | Mutual Fund |
|  | Columbia Funds Variable Insurance Trust |
| Columbia Income Opportunities | Columbia VP Income Opportunities Fund — Class I |
| Columbia VP Overseas Core Fund - Class 1 | Columbia VP Overseas Core Fund - Class 1 |
| Columbia VP Select Mid Cap Growth Fund - Class 1 | Columbia VP Select Mid Cap Growth Fund — Class 1 |
|  | Dimensional Fund Advisors |
| Dimensional VA Global Bond | V.A. Global Bond Portfolio |
| Dimensional VA International Small Portfolio | V.A. International Small Portfolio |
| Dimensional VA International Value Portfolio | V.A. International Value Portfolio |
| Dimensional VA Short Term Fixed Portfolio | V.A. Short Term Fixed Portfolio |
| Dimensional VA U.S. Large Value Portfolio | V.A. U.S. Large Value Portfolio |
| Dimensional VA U.S. Targeted Value | V.A. U.S. Targeted Value |
|  | DWS Variable Series I and II |
| DWS Alternative Asset Allocation VIP A | DWS Alternative Asset Allocation VIP — Class A Shares |
| DWS CROCI International VIP - Class A | DWS CROCI International VIP — Class A Shares |
| DWS Global Income Builder VIP A | DWS Global Income Builder VIP — Class A Shares |
|  | Eaton Vance |
| Eaton Vance VT Floating-Rate Income Fund Advisor Class<sup>14</sup> | Eaton Vance VT Floating-Rate Income Fund Advisor Share Class |
|  | Federated Insurance Series |
| Federated Hermes High Income Bond | Federated Hermes High Income Bond |
| Federated Hermes Managed Volatility II | Federated Hermes Managed Volatility Fund II |
|  | Fidelity Variable Insurance Products Fund 1 (VIP) |
| Fidelity Contrafund | VIP Contrafund Portfolio — Initial Class |
| Fidelity Energy | VIP Energy Portfolio — Initial Class |
| Fidelity Equity-Income | VIP Equity-Income Portfolio — Initial Class |
| Fidelity Financials Portfolio - Initial Class | VIP Financials Portfolio — Initial Class |
| Fidelity Government Money Market Portfolio - Initial Class | VIP Government Money Market Portfolio — Initial Class |
| Fidelity Government Money Market Portfolio - Service Class II | VIP Government Money Market Portfolio — Service Class II |
| Fidelity Growth | VIP Growth Portfolio — Initial Class |
| Fidelity Growth & Income | VIP Growth & Income Portfolio — Initial Class |
| Fidelity Growth Opportunities | VIP Growth Opportunities Portfolio — Initial Class |
| Fidelity Investment Grade Bond | VIP Investment Grade Bond Portfolio — Initial Class |
| Fidelity Mid Cap I | VIP Mid Cap Portfolio — Initial Class |
| Fidelity Real Estate | VIP Real Estate Portfolio — Initial Class |
| Fidelity Strategic Income | VIP Strategic Income Portfolio — Initial Class |
|  | Franklin Templeton Variable Insurance Products Trust |
| Franklin Income VIP Fund - Class 1 | Franklin Income VIP Fund - Class 1 |
| Franklin Income VIP Fund - Class 2 | Franklin Income VIP Fund - Class 2 |
| Franklin Mutual Global Discovery VIP Fund - Class 1 | Franklin Mutual Global Discovery VIP Fund - Class 1 |
| Franklin Mutual Shares VIP Fund - Class 1 | Franklin Mutual Shares VIP Fund - Class 1 |

---

------

---

| |
|:---|
| Symetra Resource Variable Account B |
| **Notes to Financial Statements** |
| **1.&nbsp;&nbsp;&nbsp;&nbsp;ORGANIZATION (continued)** |

---

---

| | |
|:---|:---|
| Sub-Account | Mutual Fund |
|  | Franklin Templeton Variable Insurance Products Trust |
| Franklin Mutual Shares VIP Fund - Class 2 | Franklin Mutual Shares VIP Fund - Class 2 |
| Franklin Rising Dividends VIP Fund - Class 1 | Franklin Rising Dividends VIP Fund - Class 1 |
| Franklin Small-Mid Cap Growth VIP Fund - Class 2 | Franklin Small-Mid Cap Growth VIP Fund - Class 2 |
| Franklin Strategic Income VIP Fund - Class 1 | Franklin Strategic Income VIP Fund - Class 1 |
| Franklin U.S. Government Securities VIP Fund - Class 1 | Franklin U.S. Government Securities VIP Fund - Class 1 |
| Franklin U.S. Government Securities VIP Fund - Class 2 | Franklin U.S. Government Securities VIP Fund - Class 2 |
|  | Invesco Variable Insurance Funds, Inc |
| Invesco American Franchise Fund I | Invesco V.I. American Franchise Fund - Series I |
| Invesco EQV International Equity I | Invesco V.I. EQV International Equity Fund - Series I |
| Invesco EQV International Equity II | Invesco V.I. EQV International Equity Fund - Series II |
| Invesco Global Real Estate | Invesco V.I. Global Real Estate Fund - Series I |
|  | Janus Aspen Series |
| Janus Henderson Enterprise Portfolio<sup>13</sup> | Janus Henderson Enterprise Portfolio — Institutional Shares |
| Janus Henderson Flexible Bond | Janus Henderson Flexible Bond Portfolio — Institutional Shares |
| Janus Henderson Mid Cap Value Portfolio | Janus Henderson Mid Cap Value Portfolio — Institutional Shares |
|  | Lincoln Investment Advisors |
| LVIP American Century Balanced Fund Standard Class II | LVIP American Century Balanced Fund Standard Class II |
| LVIP American Century International Fund Standard Class II | LVIP American Century International Fund Standard Class II |
| LVIP American Century Mid Cap Value Fund Standard Class II<sup>14</sup> | LVIP American Century Mid Cap Value Fund Standard Class II |
| LVIP American Century Value Fund Standard Class II | LVIP American Century Value Fund Standard Class II |
| LVIP JPMorgan Mid Cap Value Fund - Standard Class | LVIP JPMorgan Mid Cap Value Fund - Standard Class |
| LVIP JPMorgan U.S. Equity Fund - Standard Class | LVIP JPMorgan U.S. Equity Fund - Standard Class |
| LVIP Nomura SMID Cap Core<sup>9</sup> | LVIP Nomura SMID Cap Core Fund - Standard Class |
|  | Merger Fund VL |
| Merger VL | The Merger Fund VL |
|  | MFS Variable Insurance Trust |
| MFS Growth Series<sup>12</sup> | MFS Growth Series — Initial Class |
| MFS New Discovery Series | MFS New Discovery Series — Initial Class |
| MFS Utilities Series | MFS Utilities Series — Initial Class |
|  | MFS Variable Insurance Trust |
| MFS International Growth Portfolio | MFS International Growth Portfolio — Initial Class |
| MFS International Intrinsic Value Portfolio | MFS International Intrinsic Value Portfolio — Initial Class |
|  | Nomura Asset Management |
| Nomura VIP Emerging Markets Series - Standard Class<sup>10</sup> | Nomura VIP Emerging Markets Series - Standard Class |
| Nomura VIP Small Cap Value Series - Standard Class<sup>11</sup> | Nomura VIP Small Cap Value Series - Standard Class |

---

------

---

| |
|:---|
| Symetra Resource Variable Account B |
| **Notes to Financial Statements** |
| **1.&nbsp;&nbsp;&nbsp;&nbsp;ORGANIZATION (continued)** |

---

---

| | |
|:---|:---|
| Sub-Account | Mutual Fund |
|  | PIMCO Variable Insurance Trust |
| PIMCO All Asset Institutional Class | PIMCO All Asset Portfolio — Institutional Class |
| PIMCO CommodityRealReturn Strat. Institutional Class | PIMCO CommodityRealReturn® Strategy Portfolio — Institutional Class |
| PIMCO Dynamic Bond - Institutional Class<sup>13</sup> | PIMCO Dynamic Bond Portfolio— Institutional Class |
| PIMCO Emerging Markets Bond Institutional Class | PIMCO Emerging Markets Bond Portfolio — Institutional Class |
| PIMCO Global Bond Opportunities (Unhedged) - Institutional Class | PIMCO Global Bond Opportunities Portfolio (Unhedged) — Institutional Class |
| PIMCO Low Duration Institutional Class | PIMCO Low Duration Portfolio — Institutional Class |
| PIMCO Real Return Institutional Class | PIMCO Real Return Portfolio — Institutional Class |
| PIMCO StocksPLUS Global Portfolio Institutional Class<sup>12</sup> | PIMCO StocksPLUS Global Portfolio — Institutional Class |
| PIMCO Total Return Institutional Class | PIMCO Total Return Portfolio — Institutional Class |
|  | Royce Capital Fund |
| Royce Capital Micro-Cap<sup>12</sup> | Royce Capital Fund Micro-Cap Portfolio Investment Class |
| Royce Capital Small-Cap | Royce Capital Fund Small-Cap Portfolio Investment Class |
|  | T. Rowe Price Variable Insurance Portfolios |
| T. Rowe Price All-Cap Opportunities Portfolio | T. Rowe Price All-Cap Opportunities Portfolio |
| T. Rowe Price Blue Chip Growth | T. Rowe Price Blue Chip Growth |
| T. Rowe Price Equity Income Portfolio | T. Rowe Price Equity Income Portfolio |
| T. Rowe Price Health Sciences Portfolio | T. Rowe Price Health Sciences Portfolio |
| T. Rowe Price International Stock Portfolio | T. Rowe Price International Stock Portfolio |
|  | Franklin Templeton Variable Insurance Products Trust |
| Templeton Developing Markets VIP Fund - Class 2 | Templeton Developing Markets VIP Fund - Class 2 |
| Templeton Global Bond VIP Fund - Class 1 | Templeton Global Bond VIP Fund - Class 1 |
| Templeton Growth VIP Fund - Class 2 | Templeton Growth VIP Fund - Class 2 |
|  | Touchstone Investments |
| TVST Touchstone Common Stock Fund | TVST Touchstone Common Stock Fund |
|  | VanEck Variable Insurance Products Trust |
| VanEck Global Resources Fund | VanEck VIP Global Resources Fund — Initial Class |
|  | Vanguard Variable Insurance Fund Portfolios |
| Vanguard Balanced | Vanguard VIF — Balanced Portfolio |
| Vanguard Capital Growth | Vanguard VIF — Capital Growth Portfolio |
| Vanguard Equity Income | Vanguard VIF — Equity Income Portfolio |
| Vanguard Equity Index | Vanguard VIF — Equity Index Portfolio |
| Vanguard High Yield Bond | Vanguard VIF — High Yield Bond Portfolio |
| Vanguard International | Vanguard VIF — International Portfolio |
| Vanguard Mid-Cap Index | Vanguard VIF — Mid-Cap Index Portfolio |
| Vanguard Real Estate Index | Vanguard VIF — Real Estate Index Portfolio |
| Vanguard Short Term Investment Grade | Vanguard VIF — Short Term Investment Grade Portfolio |

---

------

---

| |
|:---|
| Symetra Resource Variable Account B |
| **Notes to Financial Statements** |
| **1.&nbsp;&nbsp;&nbsp;&nbsp;ORGANIZATION (continued)** |

---

---

| | |
|:---|:---|
| Sub-Account | Mutual Fund |
|  | Vanguard Variable Insurance Fund Portfolios |
| Vanguard Small Company Growth | Vanguard VIF — Small Company Growth Portfolio |
| Vanguard Total Bond Market Index | Vanguard VIF — Total Bond Market Index Portfolio |
| Vanguard Total Stock Market Index | Vanguard VIF — Stock Market Index |
|  | Victory Funds |
| Victory Pioneer Bond VCT Class I<sup>1</sup> | Victory Pioneer Bond VCT Portfolio — Class I |
| Victory Pioneer Equity Income VCT Class II<sup>2</sup> | Victory Pioneer Equity Income VCT Portfolio — Class II |
| Victory Pioneer Fund VCT Class I<sup>3</sup> | Victory Pioneer Fund VCT Portfolio — Class I |
| Victory Pioneer High Yield VCT Class II<sup>4</sup> | Victory Pioneer High Yield VCT Portfolio — Class II |
| Victory Pioneer Mid Cap Value VCT Class I<sup>5</sup> | Victory Pioneer Mid Cap Value VCT Portfolio — Class I |
| Victory Pioneer Select Mid Cap Growth VCT Class I<sup>6</sup> | Victory Pioneer Select Mid Cap Growth VCT Portfolio — Class I |
| Victory Pioneer Strategic Income VCT Class I<sup>7</sup> | Victory Pioneer Strategic Income VCT Portfolio — Class I |
| Victory Pioneer Strategic Income VCT Class II<sup>8</sup> | Victory Pioneer Strategic Income VCT Portfolio — Class II |
|  | Virtus Variable Insurance Trust |
| Virtus Duff & Phelps Real Estate Securities Series I | Virtus Duff & Phelps Real Estate Securities Series Class I |
| Virtus KAR Small-Cap Growth Series I | Virtus KAR Small-Cap Growth Series Class I |
|  | Voya Investors Trust |
| VY JPMorgan Emerging Markets Equity Portfolio Initial | VY JPMorgan Emerging Markets Equity Portfolio Class I |

---

1 Victory Pioneer Bond VCT Portfolio Class I was formally known as Pioneer Bond VCT Class I prior to March 31, 2025.

2 Victory Pioneer Equity Income VCT Class II was formally known as Pioneer Equity Income VCT Class II prior to March 31, 2025.

3 Victory Pioneer Fund VCT Class I was formally known as Pioneer Fund VCT Class I prior to March 31, 2025.

4 Victory Pioneer High Yield VCT Class II was formally known as Pioneer High Yield VCT Class II prior to March 31, 2025

5 Victory Pioneer Mid Cap Value VCT Class I was formally known as Pioneer Mid Cap Value VCT Class I prior to March 31, 2025.

6 Victory Pioneer Select Mid Cap Growth VCT Class I was formally known as Pioneer Select Mid Cap Growth VCT Class I prior to March 31, 2025.

7 Victory Pioneer Strategic Income VCT Class I was formally known as Pioneer Strategic Income VCT Class I prior to March 31, 2025.

8 Victory Pioneer Strategic Income VCT Class II was formally known as Pioneer Strategic Income VCT Class II prior to March 31, 2025.

9 LVIP Nomura SMID Cap Core was formally known as LVIP Macquarie SMID Cap Core Fund - Standard Class prior to December 1, 2025.

10 Nomura VIP Emerging Markets Series - Standard Class was formally known as Macquarie VIP Emerging Markets Series - Standard Class prior to December 1, 2025.

11 Nomura VIP Small Cap Value Series - Standard Class was formally known as Macquarie VIP Small Cap Value Series - Standard Class prior to December 1, 2025.

12 There was no activity in the current year and the prior year and no net asset balance to report on the Statements of Assets and Liabilities as of December 31, 2025.

13 There was activity in the prior year and no activity in the current year and no net asset balance to report on the Statements of Assets and Liabilities as of December 31, 2025.

14 There was activity in the current year and no net asset balance to report on the Statements of Assets and Liabilities as of December 31, 2025.

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;

&nbsp;&nbsp;&nbsp;&nbsp;

------

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| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **2.** | **SIGNIFICANT ACCOUNTING POLICIES** |

---

BASIS OF PRESENTATION AND USE OF ESTIMATES — The financial statements have been prepared in conformity with U.S. generally accepted accounting principles (GAAP), including the rules and regulations of the Securities and Exchange Commission (SEC).

INVESTMENT VALUATION — Investments in portfolio shares are valued at fair value based on the net asset value (NAV) as reported by the underlying Mutual Fund on the last trading day of the year.

The Separate Account determines the fair value of its financial instruments based on the fair value hierarchy, which requires an entity to maximize its use of observable inputs and minimize the use of unobservable inputs when measuring fair value. This fair value hierarchy prioritizes fair value measurements into the three levels based on the nature of the inputs. Quoted prices in active markets for identical assets or liabilities have the highest priority ("Level 1"), followed by significant observable inputs other than quoted market prices, including prices for similar but not identical assets or liabilities ("Level 2") and significant unobservable inputs, including the reporting entity's estimates of the assumptions that market participants would use, having the lowest priority ("Level 3").

The availability of observable market information is the principal factor in determining the level to which the Separate Account's investments are assigned in the fair value hierarchy. As such, all Separate Account investments have been classified as Level 1 in the fair value hierarchy.

INVESTMENT TRANSACTIONS — Investment transactions are recorded on the trade date. Realized gains and losses on investment transactions are determined using the first-in-first-out (FIFO) method.

INCOME RECOGNITION — Dividend income and realized capital gain distributions are recorded on the ex-dividend date.

DISTRIBUTIONS — The net investment income and realized capital gains of the Separate Account are not distributed, but are retained and reinvested for the benefit of unit owners.

FEDERAL INCOME TAX — Operations of the Separate Account are included in the federal income tax return of Symetra Life, which is taxed as a "Life Insurance Company" under the provisions of the Internal Revenue Code. Under current federal income tax law, no income taxes are payable with respect to the operations of the Separate Account to the extent the earnings are reinvested.

SEGMENT INFORMATION — In this reporting period, the Separate Account adopted FASB Accounting Standards Update 2023-07, Segment Reporting (Topic 280) - Improvements to Reportable Segment Disclosures ("ASU 2023-07"). Adoption of the new standard impacted financial statement disclosures only and did not affect the financial position or the results of operations for the sub-accounts of the Separate Account. An operating segment is defined in Topic 280 as a component of a public entity that engages in business activities from which it may recognize revenues and incur expenses, has operating results that are regularly reviewed by the public entity's chief operating decision maker ("CODM") to make decisions about resources to be allocated to the segment and assess its performance, and has discrete financial information available.

The Separate Account has identified the senior vice president of retirement products as the CODM. The Separate Account is comprised of multiple sub-accounts, each which constitute a single operating segment.

The financial information, in the form of the sub-accounts' holdings, including investment returns, asset allocations, fees, purchases, redemptions, as well as investment objectives, investment advisor and fund manager designations of each sub-account, are used by the CODM to assess the sub-accounts' availability and performance by comparing the underlying mutual funds' performance to their respective benchmark and to make resource allocation decisions for each sub-account's single segment, which is consistent with that presented within the sub-accounts' financial statements. Sub-accounts' holdings are reflected on the accompanying Statements of Assets and Liabilities as "net assets" and significant fund expenses are listed on the accompanying Statements of Operations and Changes in Net Assets.

**3. EXPENSES AND RELATED PARTY TRANSACTIONS**

Symetra Life assumes mortality and expense ("M&E") risks related to the operations of the Separate Account. Symetra Life deducts a daily charge from the assets of the Separate Account to cover these risks. This charge for the Resource Variable Account B Annuity is on an annual basis, equal to a rate of 1.25 percent of the average daily net assets of the Separate Account. This charge for the Symetra True Variable Annuity is on an annual basis, equal to the rate of 0.60 percent of the average daily net assets of the Separate Account.

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **3.** | **EXPENSES AND RELATED PARTY TRANSACTIONS (continued)** |

---

The charges are included in the net investment income (loss) in the accompanying Statements of Operations and Changes in Net Assets.

SUB-ACCOUNT FUND FACILITATION FEE: At this time, Symetra Life does not assess a sub-account fund facilitation fee for the Symetra True Variable Annuity. However, if we choose to impose this fee, the sub-account fund facilitation fee may be charged to owners invested in any sub-account offered under the contract. Symetra Life will notify the contract holder in writing if we choose to impose this fee and the fee will be applied to all new and existing contracts. The maximum amount charged is on an annual basis, equal to a rate of 0.15 percent of the average daily net assets. This charge, if assessed, would be included in the net investment income (loss) in the accompanying Statements of Operations and Changes in Net Assets.

WEALTH TRANSFER BENEFIT CHARGE ("WTB"): If the owner elects this rider for the Symetra True Variable Annuity, Symetra Life may deduct an additional charge on the first business day of each contract month. The charge is deducted pro-rata from owner contract value invested in the standard sub-accounts. The WTB charge is reflected as contract maintenance charges in the accompanying Statements of Operations and Changes in Net Assets. This charge does not apply to all products and may vary by contract year and other factors as described in the product prospectus.

SHORT TERM REDEMPTION FEES: Certain sub-accounts invest in Mutual Funds that impose a short term redemption fee. Those Mutual Funds are: Fidelity VIP Energy Portfolio, Fidelity VIP Financial Services Portfolio, and the Fidelity VIP Technology Portfolio. An owner who chooses to redeem Accumulation Units of a sub-account invested in any of these Mutual Funds will be subject to a 1.00 percent short-term trading fee if the Accumulation Unit has been held for less than 60 days. For this purpose, Accumulation Units held longest will be treated as being redeemed first and Accumulation Units held shortest as being redeemed last. Redemption fees will be incurred when owner withdraws contract value invested in one of the sub-accounts or owner transfers contract value out of one of these sub-accounts. The fee applies to both one-time transactions, scheduled transfers and withdrawals involving the sub-accounts. The redemption fee will not apply to deductions from owner contract value to pay the mortality and expense risk charge or other charges under the contract. The redemption fee will also not apply to annuity payments or to any other transactions the applicable Mutual Funds or Symetra Life designates as exempt. The redemption fee charge is reflected as transfers out in the accompanying Statements of Operations and Changes in Net Assets. This charge does not apply to all products.

Symetra Life also deducts an annual contract maintenance charge of $30 for each contract from the Separate Account contract values. The maintenance charge is reflected as contract maintenance charge in the accompanying Statements of Operations and Changes in Net Assets. This charge does not apply to all products.

A withdrawal charge of $25 or 2.00 percent of the withdrawal amount, whichever is less, may be imposed on the owner of the policy for the second and each subsequent withdrawal in any one year. A transfer charge of $10 or 2.00 percent of the amount transferred, whichever is less, may be imposed on transfers that exceed the number of free transfers allowed each year for the Resource Variable Account B. A transfer charge of $25 for the Symetra True Variable Annuity will apply upon each transfer in excess of 25 transfers in a contract year. These charges are reflected as contract maintenance charges in the accompanying Statements of Operations and Changes in Net Assets. A surrender charge may be applicable in the first eight years on withdrawals that exceed the free withdrawal amount. The surrender charge is reflected as transfers out in the accompanying Statements of Operations and Changes in Net Assets. These charges do not apply to all products and may vary by contract year and other factors as described in the product prospectus.

**4. INVESTMENT TRANSACTIONS**

The following table summarizes investment purchases and proceeds from sales activity by sub-account for the year ended December 31, 2025.

---

| | | |
|:---|:---|:---|
| **Sub-Account** | **Purchases** | **Proceeds From Sales** |
| AB Discovery Value Portfolio - Class A | $1683 | $85 |
| ALPS/Alerian Energy Infrastructure-Class I | 141355 | 5173 |
| American Funds IS Growth Fund | 8509 | 27072 |
| American Funds IS Growth-Income Fund | 11053 | 380 |
| American Funds IS International Fund | 272 | 100 |
| American Funds IS New World Fund | 717 | 80 |
| BlackRock Capital Appreciation I | 3623 | 189 |
| BlackRock Global Allocation I | 5804 | 20299 |
| BlackRock High Yield I | 26473 | 7709 |
| BNY Mellon Appreciation | 9546 | 2694 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **4.** | **INVESTMENT TRANSACTIONS (continued)** |

---

---

| | | |
|:---|:---|:---|
| **Sub-Account** | **Purchases** | **Proceeds From Sales** |
| BNY Mellon MidCap Stock | $20510 | $32142 |
| BNY Mellon Stock Index | 9768 | 33733 |
| BNY Mellon Sustainable U.S. Equity | 9122 | 1668 |
| BNY Mellon Technology Growth | 7095 | 206 |
| Columbia Income Opportunities | 1826 | 545 |
| Columbia VP Overseas Core Fund - Class 1 | 51 | 124 |
| Columbia VP Select Mid Cap Growth Fund - Class 1 |  | 1260 |
| Dimensional VA Global Bond | 1232 | 16485 |
| Dimensional VA International Small Portfolio | 1694 | 9913 |
| Dimensional VA International Value Portfolio | 1902 | 18566 |
| Dimensional VA Short Term Fixed Portfolio | 11979 | 12267 |
| Dimensional VA U.S. Large Value Portfolio | 32872 | 7892 |
| Dimensional VA U.S. Targeted Value | 27212 | 7150 |
| DWS Alternative Asset Allocation VIP A | 1308 | 9590 |
| DWS CROCI International VIP - Class A | 64698 | 172134 |
| DWS Global Income Builder VIP A | 464939 | 266288 |
| Eaton Vance VT Floating-Rate Income Fund Advisor Class<sup>1</sup> | 323 | 5437 |
| Federated Hermes High Income Bond | 8113 | 10401 |
| Federated Hermes Managed Volatility II | 1789 | 1420 |
| Fidelity Contrafund | 290982 | 182673 |
| Fidelity Energy | 2825 | 767 |
| Fidelity Equity-Income | 13445 | 13808 |
| Fidelity Financials Portfolio - Initial Class | 41545 | 4198 |
| Fidelity Government Money Market Portfolio - Initial Class | 5036 | 746 |
| Fidelity Government Money Market Portfolio - Service Class II | 38975 | 57645 |
| Fidelity Growth | 70773 | 65251 |
| Fidelity Growth & Income | 4720 | 20495 |
| Fidelity Growth Opportunities | 3763 | 11879 |
| Fidelity Investment Grade Bond | 77 | 14 |
| Fidelity Mid Cap I | 239 | 66 |
| Fidelity Real Estate | 225 | 49 |
| Fidelity Strategic Income | 2966 | 458 |
| Franklin Income VIP Fund - Class 1 | 3274 | 205 |
| Franklin Income VIP Fund - Class 2 | 6857 | 19603 |
| Franklin Mutual Global Discovery VIP Fund - Class 1 | 2541 | 1033 |
| Franklin Mutual Shares VIP Fund - Class 1 | 29765 | 1466 |
| Franklin Mutual Shares VIP Fund - Class 2 | 17084 | 6636 |
| Franklin Rising Dividends VIP Fund - Class 1 | 32715 | 16166 |
| Franklin Small-Mid Cap Growth VIP Fund - Class 2 | 5662 | 9491 |
| Franklin Strategic Income VIP Fund - Class 1 | 10633 | 2506 |
| Franklin U.S. Government Securities VIP Fund - Class 1 | 2065 | 735 |
| Franklin U.S. Government Securities VIP Fund - Class 2 | 1247 | 1172 |
| Invesco American Franchise Fund I | 18188 | 15153 |
| Invesco EQV International Equity I | 15772 | 1195 |
| Invesco EQV International Equity II | 4423 | 2714 |
| Invesco Global Real Estate | 2174 | 2608 |
| Janus Henderson Flexible Bond | 11432 | 2468 |
| Janus Henderson Mid Cap Value Portfolio | 408 | 24 |
| LVIP American Century Balanced Fund Standard Class II | 4183 | 3688 |
| LVIP American Century International Fund Standard Class II | 6613 | 17165 |
| LVIP American Century Mid Cap Value Fund Standard Class II<sup>1</sup> | 287 | 5270 |
| LVIP American Century Value Fund Standard Class II | 36776 | 12356 |

---

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| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **4.** | **INVESTMENT TRANSACTIONS (continued)** |

---

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| | | |
|:---|:---|:---|
| **Sub-Account** | **Purchases** | **Proceeds From Sales** |
| LVIP JPMorgan Mid Cap Value Fund - Standard Class | $39114 | $11385 |
| LVIP JPMorgan U.S. Equity Fund - Standard Class | 2015 | 4048 |
| LVIP Nomura SMID Cap Core<sup>1</sup> | 5408 | 1025 |
| Merger VL | 1383 | 6390 |
| MFS International Growth Portfolio | 184 | 17 |
| MFS International Intrinsic Value Portfolio | 28677 | 7505 |
| MFS New Discovery Series |  | 59 |
| MFS Utilities Series | 4961 | 11403 |
| Nomura VIP Emerging Markets Series - Standard Class<sup>1</sup> | 4281 | 1536 |
| Nomura VIP Small Cap Value Series - Standard Class<sup>1</sup> | 5198 | 428 |
| PIMCO All Asset Institutional Class | 772 | 18593 |
| PIMCO CommodityRealReturn Strat. Institutional Class | 604 | 119 |
| PIMCO Emerging Markets Bond Institutional Class | 1614 | 5869 |
| PIMCO Global Bond Opportunities (Unhedged) - Institutional Class | 63 | 8 |
| PIMCO Low Duration Institutional Class | 3784 | 555 |
| PIMCO Real Return Institutional Class | 1162 | 2078 |
| PIMCO Total Return Institutional Class | 7378 | 1034 |
| Royce Capital Small-Cap | 5909 | 1051 |
| T. Rowe Price All-Cap Opportunities Portfolio | 112561 | 10300 |
| T. Rowe Price Blue Chip Growth | 79390 | 19251 |
| T. Rowe Price Equity Income Portfolio | 50877 | 4818 |
| T. Rowe Price Health Sciences Portfolio | 28203 | 7639 |
| T. Rowe Price International Stock Portfolio | 33321 | 3511 |
| Templeton Developing Markets VIP Fund - Class 2 | 369 | 17223 |
| Templeton Global Bond VIP Fund - Class 1 | 71 | 167 |
| Templeton Growth VIP Fund - Class 2 | 2700 | 25260 |
| TVST Touchstone Common Stock Fund | 16214 | 621 |
| VanEck Global Resources Fund | 7249 | 1714 |
| Vanguard Balanced | 53228 | 74747 |
| Vanguard Capital Growth | 4633 | 519 |
| Vanguard Equity Income | 412585 | 91530 |
| Vanguard Equity Index | 10948 | 4153 |
| Vanguard High Yield Bond | 11878 | 1817 |
| Vanguard International | 3154 | 10720 |
| Vanguard Mid-Cap Index | 6341 | 621 |
| Vanguard Real Estate Index | 15272 | 47959 |
| Vanguard Short Term Investment Grade | 307043 | 12049 |
| Vanguard Small Company Growth | 1535 | 128 |
| Vanguard Total Bond Market Index | 14565 | 76869 |
| Vanguard Total Stock Market Index | 10246 | 109779 |
| Victory Pioneer Bond VCT Portfolio Class I<sup>1</sup> | 44301 | 113381 |
| Victory Pioneer Equity Income VCT Portfolio Class II<sup>1</sup> | 2517 | 32376 |
| Victory Pioneer Fund VCT Portfolio Class I<sup>1</sup> | 4247946 | 4254523 |
| Victory Pioneer High Yield VCT Portfolio Class II<sup>1</sup> | 601 | 12003 |
| Victory Pioneer Mid Cap Value VCT Portfolio Class I<sup>1</sup> | 328368 | 361191 |
| Victory Pioneer Select Mid Cap Growth VCT Portfolio Class I<sup>1</sup> | 1546622 | 1561222 |
| Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> | 22820 | 429 |
| Victory Pioneer Strategic Income VCT Portfolio Class II<sup>1</sup> | 1541 | 30089 |
| Virtus Duff & Phelps Real Estate Securities Series I | 127 | 34 |
| Virtus KAR Small-Cap Growth Series I | 7472 | 217 |

---

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| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **4.** | **INVESTMENT TRANSACTIONS (continued)** |

---

---

| | | |
|:---|:---|:---|
| **Sub-Account** | **Purchases** | **Proceeds From Sales** |
| VY JPMorgan Emerging Markets Equity Portfolio Initial | $5089 | $1836 |

---

<sup>1</sup> Reference Note 1 of the financial statements for additional information pertaining to this sub-account.

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| |
|:---|
| Symetra Resource Variable Account B |
| **Notes to Financial Statements** |

---

**5. CHANGES IN ACCUMULATION UNITS OUTSTANDING**

The changes in Units Outstanding for the years or periods ended December 31, 2025 and 2024 were as follows:

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| | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|
| | **2025** | **2025** | **2025** | **2024** | **2024** | **2024** |
| **Sub-Account** | **Units<br>Issued** | **Units<br>Redeemed** | **Increase**<br>**(Decrease)**<br> **in Units**<sup>2</sup> | **Units<br>Issued** | **Units<br>Redeemed** | **Increase**<br>**(Decrease)**<br> **in Units**<sup>2</sup> |
| American Funds IS Growth Fund | 52 | (451) | (399) | 70 | (519) | (449) |
| American Funds IS Growth-Income Fund |  |  |  |  | (70) | (70) |
| BlackRock Global Allocation I |  | (998) | (998) |  | (1499) | (1499) |
| BlackRock High Yield I | 1353 | (509) | 844 | 144 | (1144) | (1000) |
| BNY Mellon Appreciation | 19 | (48) | (29) | 22 | (48) | (26) |
| BNY Mellon MidCap Stock | 34 | (679) | (645) | 39 | (390) | (351) |
| BNY Mellon Stock Index | 10 | (463) | (453) | 12 | (528) | (516) |
| BNY Mellon Sustainable U.S. Equity |  | (8) | (8) |  | (8) | (8) |
| Columbia VP Overseas Core Fund - Class 1 | 125 | (128) | (3) | 155 | (167) | (12) |
| Dimensional VA Global Bond | 1691 | (3060) | (1369) | 1355 | (1610) | (255) |
| Dimensional VA International Small Portfolio | 405 | (752) | (347) | 347 | (344) | 3 |
| Dimensional VA International Value Portfolio | 777 | (1468) | (691) | 691 | (732) | (41) |
| Dimensional VA Short Term Fixed Portfolio |  | (939) | (939) |  | (2335) | (2335) |
| Dimensional VA U.S. Large Value Portfolio | 242 | (380) | (138) | 225 | (244) | (19) |
| Dimensional VA U.S. Targeted Value | 170 | (304) | (134) | 134 | (143) | (9) |
| DWS Alternative Asset Allocation VIP A |  | (681) | (681) |  | (757) | (757) |
| DWS CROCI International VIP - Class A | 1394 | (5886) | (4492) | 115 | (5196) | (5081) |
| DWS Global Income Builder VIP A | 1868 | (4821) | (2953) | 145 | (1807) | (1662) |
| Eaton Vance VT Floating-Rate Income Fund Advisor Class<sup>1</sup> | 454 | (821) | (367) | 367 | (357) | 10 |
| Federated Hermes High Income Bond | 83 | (250) | (167) | 565 | (312) | 253 |
| Federated Hermes Managed Volatility II | 29 | (33) | (4) | 17 | (33) | (16) |
| Fidelity Contrafund | 1536 | (3355) | (1819) | 1773 | (3839) | (2066) |
| Fidelity Equity-Income | 13 | (236) | (223) | 23 | (71) | (48) |
| Fidelity Government Money Market Portfolio - Service Class II | 3152 | (5262) | (2110) | 53 | (5217) | (5164) |
| Fidelity Growth | 5 | (1290) | (1285) | 6 | (201) | (195) |
| Fidelity Growth & Income | 2 | (445) | (443) | 2 | (81) | (79) |
| Fidelity Growth Opportunities |  | (111) | (111) | 7 | (2198) | (2191) |
| Fidelity Investment Grade Bond | 191 | (187) | 4 | 214 | (225) | (11) |
| Fidelity Mid Cap I | 134 | (133) | 1 | 156 | (171) | (15) |
| Fidelity Real Estate | 122 | (118) | 4 | 139 | (153) | (14) |
| Franklin Income VIP Fund - Class 1 | 124 | (7) | 117 | 662 | (84) | 578 |
| Franklin Income VIP Fund - Class 2 | 48 | (745) | (697) | 52 | (933) | (881) |
| Franklin Mutual Global Discovery VIP Fund - Class 1 | 2184 | (2196) | (12) | 2221 | (2209) | 12 |
| Franklin Mutual Shares VIP Fund - Class 2 | 40 | (169) | (129) | 43 | (232) | (189) |
| Franklin Rising Dividends VIP Fund - Class 1 | 93 | (437) | (344) | 109 | (500) | (391) |

---

------

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| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **5.** | **CHANGES IN ACCUMULATION UNITS OUTSTANDING (continued)** |

---

---

| | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|
| | **2025** | **2025** | **2025** | **2024** | **2024** | **2024** |
| **Sub-Account** | **Units<br>Issued** | **Units<br>Redeemed** | **Increase**<br>**(Decrease)**<br> **in Units**<sup>2</sup> | **Units<br>Issued** | **Units<br>Redeemed** | **Increase**<br>**(Decrease)**<br> **in Units**<sup>2</sup> |
| Franklin Small-Mid Cap Growth VIP Fund - Class 2 | 26 | (278) | (252) | 30 | (366) | (336) |
| Franklin Strategic Income VIP Fund - Class 1 | 174 | (261) | (87) | 328 | (1069) | (741) |
| Franklin U.S. Government Securities VIP Fund - Class 1 | 5472 | (5386) | 86 | 5133 | (4968) | 165 |
| Franklin U.S. Government Securities VIP Fund - Class 2 |  | (44) | (44) |  | (140) | (140) |
| Invesco American Franchise Fund I |  | (341) | (341) |  | (109) | (109) |
| Invesco EQV International Equity II | 27 | (101) | (74) | 30 | (101) | (71) |
| Invesco Global Real Estate | 24 | (50) | (26) | 25 | (113) | (88) |
| Janus Henderson Flexible Bond |  | (97) | (97) | 142 | (284) | (142) |
| LVIP American Century Balanced Fund Standard Class II | 59 | (68) | (9) | 62 | (197) | (135) |
| LVIP American Century International Fund Standard Class II | 242 | (809) | (567) | 105 | (352) | (247) |
| LVIP American Century Mid Cap Value Fund Standard Class II<sup>1</sup> |  | (145) | (145) |  |  |  |
| LVIP American Century Value Fund Standard Class II |  | (224) | (224) |  | (262) | (262) |
| LVIP JPMorgan Mid Cap Value Fund - Standard Class | 9 | (201) | (192) | 10 | (58) | (48) |
| LVIP JPMorgan U.S. Equity Fund - Standard Class |  | (68) | (68) |  | (56) | (56) |
| Merger VL |  | (435) | (435) |  | (483) | (483) |
| MFS International Intrinsic Value Portfolio | 89 | (231) | (142) | 109 | (118) | (9) |
| MFS Utilities Series | 2104 | (2432) | (328) | 2423 | (2605) | (182) |
| Nomura VIP Small Cap Value Series - Standard Class<sup>1</sup> | 110 | (109) | 1 | 127 | (137) | (10) |
| PIMCO All Asset Institutional Class | 1311 | (2382) | (1071) | 1071 | (1011) | 60 |
| PIMCO Dynamic Bond - Institutional Class<sup>1</sup> |  |  |  | 2 | (653) | (651) |
| PIMCO Emerging Markets Bond Institutional Class | 2454 | (2843) | (389) | 2377 | (2340) | 37 |
| PIMCO Real Return Institutional Class |  | (154) | (154) |  |  |  |
| PIMCO Total Return Institutional Class | 195 | (192) | 3 | 219 | (885) | (666) |
| Royce Capital Small-Cap | 3625 | (3561) | 64 | 3319 | (3294) | 25 |
| T. Rowe Price All-Cap Opportunities Portfolio |  | (65) | (65) |  | (57) | (57) |
| T. Rowe Price Blue Chip Growth |  | (233) | (233) |  | (226) | (226) |
| T. Rowe Price Equity Income Portfolio |  | (67) | (67) |  | (59) | (59) |
| T. Rowe Price Health Sciences Portfolio | 1242 | (1270) | (28) | 1098 | (1144) | (46) |
| T. Rowe Price International Stock Portfolio |  | (74) | (74) |  | (65) | (65) |
| Templeton Developing Markets VIP Fund - Class 2 |  | (589) | (589) | 57 | (28) | 29 |
| Templeton Global Bond VIP Fund - Class 1 | 243 | (238) | 5 | 260 | (273) | (13) |
| Templeton Growth VIP Fund - Class 2 | 23 | (1133) | (1110) | 89 | (124) | (35) |
| Vanguard Balanced | 170 | (2603) | (2433) | 369 | (276) | 93 |
| Vanguard Capital Growth |  |  |  |  | (28) | (28) |
| Vanguard Equity Income | 72 | (1685) | (1613) | 122 | (942) | (820) |
| Vanguard Equity Index | 1629 | (1658) | (29) | 1753 | (1792) | (39) |
| Vanguard High Yield Bond |  | (39) | (39) |  | (39) | (39) |
| Vanguard International |  | (368) | (368) |  | (13) | (13) |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **5.** | **CHANGES IN ACCUMULATION UNITS OUTSTANDING (continued)** |

---

---

| | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|
| | **2025** | **2025** | **2025** | **2024** | **2024** | **2024** |
| **Sub-Account** | **Units<br>Issued** | **Units<br>Redeemed** | **Increase**<br>**(Decrease)**<br> **in Units**<sup>2</sup> | **Units<br>Issued** | **Units<br>Redeemed** | **Increase**<br>**(Decrease)**<br> **in Units**<sup>2</sup> |
| Vanguard Real Estate Index |  | (2178) | (2178) | 62 | (145) | (83) |
| Vanguard Short Term Investment Grade | 28056 | (5210) | 22846 | 15321 | (5008) | 10313 |
| Vanguard Total Bond Market Index | 1137 | (7855) | (6718) | 913 | (888) | 25 |
| Vanguard Total Stock Market Index | 416 | (2675) | (2259) | 350 | (2308) | (1958) |
| Victory Pioneer Bond VCT Portfolio Class I<sup>1</sup> | 134 | (2317) | (2183) | 265 | (1864) | (1599) |
| Victory Pioneer Equity Income VCT Portfolio Class II<sup>1</sup> |  | (943) | (943) | 91 | (109) | (18) |
| Victory Pioneer Fund VCT Portfolio Class I<sup>1</sup> | 54 | (13650) | (13596) | 276 | (12728) | (12452) |
| Victory Pioneer High Yield VCT Portfolio Class II<sup>1</sup> |  | (579) | (579) | 75 |  | 75 |
| Victory Pioneer Mid Cap Value VCT Portfolio Class I<sup>1</sup> | 2062 | (4931) | (2869) | 48 | (3102) | (3054) |
| Victory Pioneer Select Mid Cap Growth VCT Portfolio Class I<sup>1</sup> | 25 | (6707) | (6682) | 112 | (7289) | (7177) |
| Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> | 1303 |  | 1303 |  | (621) | (621) |
| Victory Pioneer Strategic Income VCT Portfolio Class II<sup>1</sup> |  | (1625) | (1625) | 100 | (62) | 38 |
| VY JPMorgan Emerging Markets Equity Portfolio Initial |  | (37) | (37) |  | (39) | (39) |

---

&nbsp;&nbsp;&nbsp;&nbsp;

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<sup>1</sup> Reference Note 1 of the financial statements for additional information pertaining to this sub-account.

 <sup>2</sup> Funds with no changes in units in either period were not included in the table above.

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES** |

---

The following table summarizes the Unit values and Units outstanding for sub-accounts of the Symetra Resource Variable Account B, net investment income ratios and the expense ratios, excluding expenses of the underlying Mutual Funds, and total returns for each of the five years in the period ended December 31, 2025.

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| AB Discovery Value Portfolio - Class A | AB Discovery Value Portfolio - Class A | AB Discovery Value Portfolio - Class A | AB Discovery Value Portfolio - Class A | AB Discovery Value Portfolio - Class A |  |  |  |  |  |  |  |  |  |
|  | 2025 | $34.109 | to | $34.109 | 427 | $14560 | 0.86% | 0.60% | to | 0.60% | 2.27% | to | 2.27% |
|  | 2024 | 33.352 | to | 33.352 | 427 | 14236 | 0.88 | 0.60 | to | 0.60 | 9.36 | to | 9.36 |
|  | 2023 | 30.498 | to | 30.498 | 427 | 13017 | 1.08 | 0.60 | to | 0.60 | 16.48 | to | 16.48 |
|  | 2022 | 26.183 | to | 26.183 | 427 | 11175 | 0.29 | 0.60 | to | 0.60 | (16.13) | to | (16.13) |
|  | 2021 | 31.220 | to | 31.220 | 4448 | 138860 | 0.77 | 0.60 | to | 0.60 | 35.13 | to | 35.13 |
| ALPS/Alerian Energy Infrastructure-Class I | ALPS/Alerian Energy Infrastructure-Class I | ALPS/Alerian Energy Infrastructure-Class I | ALPS/Alerian Energy Infrastructure-Class I | ALPS/Alerian Energy Infrastructure-Class I |  |  |  |  |  |  |  |  |  |
|  | 2025 | 20.331 | to | 20.331 | 42895 | 872086 | 4.87 | 0.60 | to | 0.60 | 4.46 | to | 4.46 |
|  | 2024 | 19.463 | to | 19.463 | 42895 | 834852 | 4.53 | 0.60 | to | 0.60 | 40.18 | to | 40.18 |
|  | 2023 | 13.884 | to | 13.884 | 42895 | 595543 | 3.59 | 0.60 | to | 0.60 | 13.57 | to | 13.57 |
|  | 2022 | 12.225 | to | 12.225 | 43203 | 528170 | 3.63 | 0.60 | to | 0.60 | 17.13 | to | 17.13 |
|  | 2021 | 10.437 | to | 10.437 | 83572 | 872226 | 3.26 | 0.60 | to | 0.60 | 37.42 | to | 37.42 |
| American Funds IS Growth Fund | American Funds IS Growth Fund | American Funds IS Growth Fund | American Funds IS Growth Fund | American Funds IS Growth Fund |  |  |  |  |  |  |  |  |  |
|  | 2025 | 72.116 | to | 72.116 | 1350 | 97335 | 0.24 | 0.60 | to | 0.60 | 19.81 | to | 19.81 |
|  | 2024 | 60.191 | to | 60.191 | 1749 | 105267 | 0.56 | 0.60 | to | 0.60 | 31.16 | to | 31.16 |
|  | 2023 | 45.890 | to | 45.890 | 2198 | 100875 | 0.62 | 0.60 | to | 0.60 | 37.99 | to | 37.99 |
|  | 2022 | 33.257 | to | 33.257 | 2540 | 84475 | 0.59 | 0.60 | to | 0.60 | (30.18) | to | (30.18) |
|  | 2021 | 47.631 | to | 47.631 | 2537 | 120836 | 0.47 | 0.60 | to | 0.60 | 21.56 | to | 21.56 |
| American Funds IS Growth-Income Fund | American Funds IS Growth-Income Fund | American Funds IS Growth-Income Fund | American Funds IS Growth-Income Fund | American Funds IS Growth-Income Fund |  |  |  |  |  |  |  |  |  |
|  | 2025 | 50.517 | to | 50.517 | 1381 | 69752 | 1.17 | 0.60 | to | 0.60 | 17.66 | to | 17.66 |
|  | 2024 | 42.934 | to | 42.934 | 1381 | 59285 | 1.34 | 0.60 | to | 0.60 | 23.79 | to | 23.79 |
|  | 2023 | 34.683 | to | 34.683 | 1451 | 50312 | 1.59 | 0.60 | to | 0.60 | 25.71 | to | 25.71 |
|  | 2022 | 27.590 | to | 27.590 | 1571 | 43341 | 1.50 | 0.60 | to | 0.60 | (16.79) | to | (16.79) |
|  | 2021 | 33.156 | to | 33.156 | 1697 | 56279 | 1.35 | 0.60 | to | 0.60 | 23.67 | to | 23.67 |
| American Funds IS International Fund | American Funds IS International Fund | American Funds IS International Fund | American Funds IS International Fund | American Funds IS International Fund |  |  |  |  |  |  |  |  |  |
|  | 2025 | 20.457 | to | 20.457 | 923 | 18876 | 1.63 | 0.60 | to | 0.60 | 26.29 | to | 26.29 |
|  | 2024 | 16.199 | to | 16.199 | 923 | 14948 | 1.44 | 0.60 | to | 0.60 | 2.77 | to | 2.77 |
|  | 2023 | 15.762 | to | 15.762 | 923 | 14545 | 1.57 | 0.60 | to | 0.60 | 15.43 | to | 15.43 |
|  | 2022 | 13.655 | to | 13.655 | 923 | 12601 | 2.01 | 0.60 | to | 0.60 | (21.05) | to | (21.05) |
|  | 2021 | 17.295 | to | 17.295 | 923 | 15959 | 0.82 | 0.60 | to | 0.60 | (1.83) | to | (1.83) |
| American Funds IS New World Fund | American Funds IS New World Fund | American Funds IS New World Fund | American Funds IS New World Fund | American Funds IS New World Fund |  |  |  |  |  |  |  |  |  |
|  | 2025 | 22.699 | to | 22.699 | 659 | 14959 | 1.40 | 0.60 | to | 0.60 | 27.84 | to | 27.84 |
|  | 2024 | 17.756 | to | 17.756 | 659 | 11700 | 1.64 | 0.60 | to | 0.60 | 6.21 | to | 6.21 |
|  | 2023 | 16.718 | to | 16.718 | 659 | 11017 | 1.71 | 0.60 | to | 0.60 | 15.53 | to | 15.53 |
|  | 2022 | 14.471 | to | 14.471 | 659 | 9535 | 1.59 | 0.60 | to | 0.60 | (22.33) | to | (22.33) |
|  | 2021 | 18.631 | to | 18.631 | 659 | 12277 | 0.92 | 0.60 | to | 0.60 | 4.53 | to | 4.53 |
| BlackRock Capital Appreciation I | BlackRock Capital Appreciation I | BlackRock Capital Appreciation I | BlackRock Capital Appreciation I | BlackRock Capital Appreciation I |  |  |  |  |  |  |  |  |  |
|  | 2025 | 65.367 | to | 65.367 | 518 | 33855 |  | 0.60 | to | 0.60 | 11.37 | to | 11.37 |
|  | 2024 | 58.692 | to | 58.692 | 518 | 30399 |  | 0.60 | to | 0.60 | 31.48 | to | 31.48 |
|  | 2023 | 44.638 | to | 44.638 | 518 | 23120 |  | 0.60 | to | 0.60 | 48.11 | to | 48.11 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| BlackRock Capital Appreciation I (continued) | BlackRock Capital Appreciation I (continued) | BlackRock Capital Appreciation I (continued) | BlackRock Capital Appreciation I (continued) | BlackRock Capital Appreciation I (continued) |  |  |  |  |  |  |  |  |  |
|  | 2022 | $30.138 | to | $30.138 | 690 | $20794 | —% | 0.60% | to | 0.60% | (38.01)% | to | (38.01)% |
|  | 2021 | 48.617 | to | 48.617 | 690 | 33542 |  | 0.60 | to | 0.60 | 20.43 | to | 20.43 |
| BlackRock Global Allocation I | BlackRock Global Allocation I | BlackRock Global Allocation I | BlackRock Global Allocation I | BlackRock Global Allocation I |  |  |  |  |  |  |  |  |  |
|  | 2025 | 23.989 | to | 23.989 | 2252 | 54024 | 3.54 | 0.60 | to | 0.60 | 19.08 | to | 19.08 |
|  | 2024 | 20.145 | to | 20.145 | 3250 | 65481 | 1.00 | 0.60 | to | 0.60 | 8.57 | to | 8.57 |
|  | 2023 | 18.554 | to | 18.554 | 4750 | 88128 | 2.24 | 0.60 | to | 0.60 | 12.16 | to | 12.16 |
|  | 2022 | 16.543 | to | 16.543 | 2898 | 47939 |  | 0.60 | to | 0.60 | (16.37) | to | (16.37) |
|  | 2021 | 19.780 | to | 19.780 | 11501 | 227496 | 0.92 | 0.60 | to | 0.60 | 6.04 | to | 6.04 |
| BlackRock High Yield I | BlackRock High Yield I | BlackRock High Yield I | BlackRock High Yield I | BlackRock High Yield I |  |  |  |  |  |  |  |  |  |
|  | 2025 | 20.154 | to | 20.154 | 2314 | 46631 | 6.73 | 0.60 | to | 0.60 | 8.53 | to | 8.53 |
|  | 2024 | 18.57 | to | 18.57 | 1470 | 27297 | 6.97 | 0.60 | to | 0.60 | 7.61 | to | 7.61 |
|  | 2023 | 17.256 | to | 17.256 | 2470 | 42624 | 6.56 | 0.60 | to | 0.60 | 12.51 | to | 12.51 |
|  | 2022 | 15.337 | to | 15.337 | 3026 | 46394 | 5.17 | 0.60 | to | 0.60 | (10.87) | to | (10.87) |
|  | 2021 | 17.208 | to | 17.208 | 7170 | 123380 | 4.51 | 0.60 | to | 0.60 | 4.69 | to | 4.69 |
| BNY Mellon Appreciation | BNY Mellon Appreciation | BNY Mellon Appreciation | BNY Mellon Appreciation | BNY Mellon Appreciation |  |  |  |  |  |  |  |  |  |
|  | 2025 | 45.314 | to | 45.314 | 1346 | 60988 | 0.36 | 1.25 | to | 1.25 | 8.71 | to | 8.71 |
|  | 2024 | 41.685 | to | 41.685 | 1375 | 57306 | 0.42 | 1.25 | to | 1.25 | 11.40 | to | 11.40 |
|  | 2023 | 37.420 | to | 37.420 | 1401 | 52428 | 0.72 | 1.25 | to | 1.25 | 19.47 | to | 19.47 |
|  | 2022 | 31.322 | to | 31.322 | 1423 | 44571 | 0.67 | 1.25 | to | 1.25 | (19.08) | to | (19.08) |
|  | 2021 | 38.707 | to | 38.707 | 1541 | 59629 | 0.44 | 1.25 | to | 1.25 | 25.55 | to | 25.55 |
| BNY Mellon Midcap Stock | BNY Mellon Midcap Stock | BNY Mellon Midcap Stock | BNY Mellon Midcap Stock | BNY Mellon Midcap Stock |  |  |  |  |  |  |  |  |  |
|  | 2025 | 47.820 | to | 47.820 | 3924 | 187658 | 0.72 | 1.25 | to | 1.25 | 8.70 | to | 8.70 |
|  | 2024 | 43.991 | to | 43.991 | 4569 | 200997 | 0.83 | 1.25 | to | 1.25 | 11.21 | to | 11.21 |
|  | 2023 | 39.557 | to | 39.557 | 4920 | 194640 | 0.78 | 1.25 | to | 1.25 | 16.85 | to | 16.85 |
|  | 2022 | 33.854 | to | 33.854 | 5078 | 171912 | 0.72 | 1.25 | to | 1.25 | (15.14) | to | (15.14) |
|  | 2021 | 39.896 | to | 39.896 | 5296 | 211278 | 0.70 | 1.25 | to | 1.25 | 24.32 | to | 24.32 |
| BNY Mellon Stock Index | BNY Mellon Stock Index | BNY Mellon Stock Index | BNY Mellon Stock Index | BNY Mellon Stock Index |  |  |  |  |  |  |  |  |  |
|  | 2025 | 77.533 | to | 77.533 | 2035 | 157791 | 0.77 | 1.25 | to | 1.25 | 15.78 | to | 15.78 |
|  | 2024 | 66.964 | to | 66.964 | 2488 | 166619 | 0.91 | 1.25 | to | 1.25 | 22.79 | to | 22.79 |
|  | 2023 | 54.534 | to | 54.534 | 3004 | 163848 | 1.18 | 1.25 | to | 1.25 | 24.05 | to | 24.05 |
|  | 2022 | 43.962 | to | 43.962 | 3630 | 159592 | 1.09 | 1.25 | to | 1.25 | (19.54) | to | (19.54) |
|  | 2021 | 54.635 | to | 54.635 | 3719 | 203211 | 0.81 | 1.25 | to | 1.25 | 26.53 | to | 26.53 |
| BNY Mellon Sustainable U.S. Equity | BNY Mellon Sustainable U.S. Equity | BNY Mellon Sustainable U.S. Equity | BNY Mellon Sustainable U.S. Equity | BNY Mellon Sustainable U.S. Equity |  |  |  |  |  |  |  |  |  |
|  | 2025 | 34.695 | to | 34.695 | 3481 | 120773 | 0.25 | 1.25 | to | 1.25 | 14.53 | to | 14.53 |
|  | 2024 | 30.294 | to | 30.294 | 3489 | 105701 | 0.52 | 1.25 | to | 1.25 | 23.33 | to | 23.33 |
|  | 2023 | 24.563 | to | 24.563 | 3497 | 85908 | 0.72 | 1.25 | to | 1.25 | 22.29 | to | 22.29 |
|  | 2022 | 20.086 | to | 20.086 | 3506 | 70420 | 0.52 | 1.25 | to | 1.25 | (23.83) | to | (23.83) |
|  | 2021 | 26.370 | to | 26.370 | 3515 | 92682 | 0.74 | 1.25 | to | 1.25 | 25.42 | to | 25.42 |
| BNY Mellon Technology Growth | BNY Mellon Technology Growth | BNY Mellon Technology Growth | BNY Mellon Technology Growth | BNY Mellon Technology Growth |  |  |  |  |  |  |  |  |  |
|  | 2025 | 34.647 | to | 34.647 | 545 | 18897 |  | 1.25 | to | 1.25 | 26.57 | to | 26.57 |
|  | 2024 | 27.374 | to | 27.374 | 545 | 14931 |  | 1.25 | to | 1.25 | 24.17 | to | 24.17 |
|  | 2023 | 22.045 | to | 22.045 | 545 | 12024 |  | 1.25 | to | 1.25 | 57.44 | to | 57.44 |
|  | 2022 | 14.002 | to | 14.002 | 545 | 7638 |  | 1.25 | to | 1.25 | (47.05) | to | (47.05) |
|  | 2021 | 26.445 | to | 26.445 | 556 | 14696 |  | 1.25 | to | 1.25 | 11.53 | to | 11.53 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Columbia Income Opportunities | Columbia Income Opportunities | Columbia Income Opportunities | Columbia Income Opportunities | Columbia Income Opportunities |  |  |  |  |  |  |  |  |  |
|  | 2025 | $18.548 | to | $18.548 | 5084 | $94298 | 2.01% | 0.60% | to | 0.60% | 8.13% | to | 8.13% |
|  | 2024 | 17.153 | to | 17.153 | 5084 | 87205 | 5.62 | 0.60 | to | 0.60 | 5.27 | to | 5.27 |
|  | 2023 | 16.295 | to | 16.295 | 5084 | 82844 | 5.18 | 0.60 | to | 0.60 | 10.90 | to | 10.90 |
|  | 2022 | 14.694 | to | 14.694 | 5084 | 74705 | 5.39 | 0.60 | to | 0.60 | (10.55) | to | (10.55) |
|  | 2021 | 16.427 | to | 16.427 | 5084 | 83514 | 9.10 | 0.60 | to | 0.60 | 3.88 | to | 3.88 |
| Columbia VP Overseas Core Fund - Class 1 | Columbia VP Overseas Core Fund - Class 1 | Columbia VP Overseas Core Fund - Class 1 | Columbia VP Overseas Core Fund - Class 1 | Columbia VP Overseas Core Fund - Class 1 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 26.949 | to | 26.949 | 29 | 791 | 2.07 | 0.60 | to | 0.60 | 37.44 | to | 37.44 |
|  | 2024 | 19.608 | to | 19.608 | 33 | 642 | 5.13 | 0.60 | to | 0.60 | 2.83 | to | 2.83 |
|  | 2023 | 19.069 | to | 19.069 | 44 | 844 | 1.91 | 0.60 | to | 0.60 | 14.95 | to | 14.95 |
|  | 2022 | 16.589 | to | 16.589 | 48 | 798 | 0.79 | 0.60 | to | 0.60 | (15.18) | to | (15.18) |
|  | 2021 | 19.559 | to | 19.559 | 42 | 826 | 1.26 | 0.60 | to | 0.60 | 9.30 | to | 9.30 |
| Columbia VP Select Mid Cap Growth Fund - Class 1 | Columbia VP Select Mid Cap Growth Fund - Class 1 | Columbia VP Select Mid Cap Growth Fund - Class 1 | Columbia VP Select Mid Cap Growth Fund - Class 1 | Columbia VP Select Mid Cap Growth Fund - Class 1 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 45.183 | to | 45.183 | 4938 | 223135 |  | 0.60 | to | 0.60 | 14.45 | to | 14.45 |
|  | 2024 | 39.478 | to | 39.478 | 4938 | 194962 |  | 0.60 | to | 0.60 | 22.93 | to | 22.93 |
|  | 2023 | 32.114 | to | 32.114 | 4938 | 158593 |  | 0.60 | to | 0.60 | 24.50 | to | 24.50 |
|  | 2022 | 25.795 | to | 25.795 | 4938 | 127389 |  | 0.60 | to | 0.60 | (31.25) | to | (31.25) |
|  | 2021 | 37.519 | to | 37.519 | 4938 | 185287 |  | 0.60 | to | 0.60 | 15.87 | to | 15.87 |
| Dimensional VA Global Bond | Dimensional VA Global Bond | Dimensional VA Global Bond | Dimensional VA Global Bond | Dimensional VA Global Bond |  |  |  |  |  |  |  |  |  |
|  | 2025 | 11.734 | to | 11.734 | 1419 | 16651 | 2.80 | 0.60 | to | 0.60 | 3.73 | to | 3.73 |
|  | 2024 | 11.312 | to | 11.312 | 2788 | 31540 | 4.77 | 0.60 | to | 0.60 | 4.75 | to | 4.75 |
|  | 2023 | 10.799 | to | 10.799 | 3043 | 32860 | 3.62 | 0.60 | to | 0.60 | 4.42 | to | 4.42 |
|  | 2022 | 10.342 | to | 10.342 | 3448 | 35656 | 1.61 | 0.60 | to | 0.60 | (6.89) | to | (6.89) |
|  | 2021 | 11.107 | to | 11.107 | 3363 | 37353 | 0.27 | 0.60 | to | 0.60 | (1.64) | to | (1.64) |
| Dimensional VA International Small Portfolio | Dimensional VA International Small Portfolio | Dimensional VA International Small Portfolio | Dimensional VA International Small Portfolio | Dimensional VA International Small Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 31.429 | to | 31.429 | 797 | 25033 | 2.93 | 0.60 | to | 0.60 | 36.17 | to | 36.17 |
|  | 2024 | 23.081 | to | 23.081 | 1144 | 26398 | 3.47 | 0.60 | to | 0.60 | 3.19 | to | 3.19 |
|  | 2023 | 22.367 | to | 22.367 | 1140 | 25508 | 3.20 | 0.60 | to | 0.60 | 13.43 | to | 13.43 |
|  | 2022 | 19.719 | to | 19.719 | 1127 | 22228 | 1.48 | 0.60 | to | 0.60 | (18.13) | to | (18.13) |
|  | 2021 | 24.087 | to | 24.087 | 2172 | 52316 | 0.66 | 0.60 | to | 0.60 | 13.88 | to | 13.88 |
| Dimensional VA International Value Portfolio | Dimensional VA International Value Portfolio | Dimensional VA International Value Portfolio | Dimensional VA International Value Portfolio | Dimensional VA International Value Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 31.276 | to | 31.276 | 913 | 28563 | 3.45 | 0.60 | to | 0.60 | 44.77 | to | 44.77 |
|  | 2024 | 21.604 | to | 21.604 | 1604 | 34662 | 3.98 | 0.60 | to | 0.60 | 5.98 | to | 5.98 |
|  | 2023 | 20.385 | to | 20.385 | 1645 | 33535 | 4.85 | 0.60 | to | 0.60 | 17.16 | to | 17.16 |
|  | 2022 | 17.400 | to | 17.400 | 1667 | 29000 | 3.95 | 0.60 | to | 0.60 | (4.04) | to | (4.04) |
|  | 2021 | 18.132 | to | 18.132 | 1690 | 30639 | 0.66 | 0.60 | to | 0.60 | 17.41 | to | 17.41 |
| Dimensional VA Short Term Fixed Portfolio | Dimensional VA Short Term Fixed Portfolio | Dimensional VA Short Term Fixed Portfolio | Dimensional VA Short Term Fixed Portfolio | Dimensional VA Short Term Fixed Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 11.329 | to | 11.329 | 25403 | 287768 | 4.13 | 0.60 | to | 0.60 | 3.71 | to | 3.71 |
|  | 2024 | 10.924 | to | 10.924 | 26342 | 287736 | 4.79 | 0.60 | to | 0.60 | 4.86 | to | 4.86 |
|  | 2023 | 10.418 | to | 10.418 | 28677 | 298759 | 3.86 | 0.60 | to | 0.60 | 4.35 | to | 4.35 |
|  | 2022 | 9.984 | to | 9.984 | 29052 | 290038 | 1.37 | 0.60 | to | 0.60 | (1.74) | to | (1.74) |
|  | 2021 | 10.161 | to | 10.161 | 27677 | 281223 |  | 0.60 | to | 0.60 | (0.79) | to | (0.79) |
| Dimensional VA U.S. Large Value Portfolio | Dimensional VA U.S. Large Value Portfolio | Dimensional VA U.S. Large Value Portfolio | Dimensional VA U.S. Large Value Portfolio | Dimensional VA U.S. Large Value Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 42.808 | to | 42.808 | 10356 | 443327 | 1.95 | 0.60 | to | 0.60 | 15.13 | to | 15.13 |
|  | 2024 | 37.181 | to | 37.181 | 10495 | 390193 | 2.09 | 0.60 | to | 0.60 | 12.70 | to | 12.70 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Dimensional VA U.S. Large Value Portfolio<sup>1</sup> (continued) | Dimensional VA U.S. Large Value Portfolio<sup>1</sup> (continued) | Dimensional VA U.S. Large Value Portfolio<sup>1</sup> (continued) | Dimensional VA U.S. Large Value Portfolio<sup>1</sup> (continued) | Dimensional VA U.S. Large Value Portfolio<sup>1</sup> (continued) |  |  |  |  |  |  |  |  |  |
|  | 2023 | $32.991 | to | $32.991 | 10513 | $346834 | 2.32% | 0.60% | to | 0.60% | 10.26% | to | 10.26% |
|  | 2022 | 29.921 | to | 29.921 | 10509 | 314434 | 1.86 | 0.60 | to | 0.60 | (5.44) | to | (5.44) |
|  | 2021 | 31.644 | to | 31.644 | 20775 | 657397 | 1.17 | 0.60 | to | 0.60 | 26.28 | to | 26.28 |
| Dimensional VA U.S. Targeted Value | Dimensional VA U.S. Targeted Value | Dimensional VA U.S. Targeted Value | Dimensional VA U.S. Targeted Value | Dimensional VA U.S. Targeted Value |  |  |  |  |  |  |  |  |  |
|  | 2025 | 43.313 | to | 43.313 | 6490 | 281112 | 1.86 | 0.60 | to | 0.60 | 8.29 | to | 8.29 |
|  | 2024 | 39.996 | to | 39.996 | 6624 | 264925 | 1.44 | 0.60 | to | 0.60 | 7.49 | to | 7.49 |
|  | 2023 | 37.210 | to | 37.210 | 6632 | 246791 | 1.60 | 0.60 | to | 0.60 | 19.32 | to | 19.32 |
|  | 2022 | 31.186 | to | 31.186 | 6752 | 210556 | 1.00 | 0.60 | to | 0.60 | (4.78) | to | (4.78) |
|  | 2021 | 32.753 | to | 32.753 | 13243 | 433756 | 0.95 | 0.60 | to | 0.60 | 38.84 | to | 38.84 |
| DWS Alternative Asset Allocation VIP A | DWS Alternative Asset Allocation VIP A | DWS Alternative Asset Allocation VIP A | DWS Alternative Asset Allocation VIP A | DWS Alternative Asset Allocation VIP A |  |  |  |  |  |  |  |  |  |
|  | 2025 | 14.229 | to | 14.229 | 1856 | 26409 | 4.25 | 0.60 | to | 0.60 | 9.83 | to | 9.83 |
|  | 2024 | 12.955 | to | 12.955 | 2537 | 32866 | 3.74 | 0.60 | to | 0.60 | 5.00 | to | 5.00 |
|  | 2023 | 12.338 | to | 12.338 | 3294 | 40643 | 6.76 | 0.60 | to | 0.60 | 5.55 | to | 5.55 |
|  | 2022 | 11.689 | to | 11.689 | 3876 | 45307 | 7.44 | 0.60 | to | 0.60 | (7.98) | to | (7.98) |
|  | 2021 | 12.702 | to | 12.702 | 3876 | 49232 | 2.02 | 0.60 | to | 0.60 | 12.07 | to | 12.07 |
| DWS CROCI International VIP - Class A | DWS CROCI International VIP - Class A | DWS CROCI International VIP - Class A | DWS CROCI International VIP - Class A | DWS CROCI International VIP - Class A |  |  |  |  |  |  |  |  |  |
|  | 2025 | 31.254 | to | 31.254 | 38118 | 1191343 | 2.71 | 1.25 | to | 1.25 | 43.10 | to | 43.10 |
|  | 2024 | 21.840 | to | 21.840 | 42610 | 930609 | 3.35 | 1.25 | to | 1.25 | 1.17 | to | 1.17 |
|  | 2023 | 21.587 | to | 21.587 | 47690 | 1029488 | 3.36 | 1.25 | to | 1.25 | 17.47 | to | 17.47 |
|  | 2022 | 18.376 | to | 18.376 | 53157 | 976823 | 3.29 | 1.25 | to | 1.25 | (14.26) | to | (14.26) |
|  | 2021 | 21.433 | to | 21.433 | 58547 | 1254864 | 2.40 | 1.25 | to | 1.25 | 7.88 | to | 7.88 |
| DWS Global Income Builder VIP A | DWS Global Income Builder VIP A | DWS Global Income Builder VIP A | DWS Global Income Builder VIP A | DWS Global Income Builder VIP A |  |  |  |  |  |  |  |  |  |
|  | 2025 | 54.857 | to | 54.857 | 40629 | 2228799 | 4.52 | 1.25 | to | 1.25 | 14.36 | to | 14.36 |
|  | 2024 | 47.969 | to | 47.969 | 43583 | 2090596 | 3.46 | 1.25 | to | 1.25 | 7.74 | to | 7.74 |
|  | 2023 | 44.523 | to | 44.523 | 45245 | 2014443 | 3.19 | 1.25 | to | 1.25 | 13.47 | to | 13.47 |
|  | 2022 | 39.238 | to | 39.238 | 48850 | 1916768 | 3.01 | 1.25 | to | 1.25 | (16.04) | to | (16.04) |
|  | 2021 | 46.732 | to | 46.732 | 55441 | 2590854 | 2.35 | 1.25 | to | 1.25 | 9.58 | to | 9.58 |
| Eaton Vance VT Floating-Rate Income Fund Advisor Class<sup>1</sup> | Eaton Vance VT Floating-Rate Income Fund Advisor Class<sup>1</sup> | Eaton Vance VT Floating-Rate Income Fund Advisor Class<sup>1</sup> | Eaton Vance VT Floating-Rate Income Fund Advisor Class<sup>1</sup> | Eaton Vance VT Floating-Rate Income Fund Advisor Class<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 14.666 | to | 14.666 |  |  | 4.54 | 0.60 | to | 0.60 | 3.71 | to | 3.71 |
|  | 2024 | 14.141 | to | 14.141 | 367 | 5196 | 8.14 | 0.60 | to | 0.60 | 7.17 | to | 7.17 |
|  | 2023 | 13.195 | to | 13.195 | 357 | 4710 | 8.45 | 0.60 | to | 0.60 | 10.82 | to | 10.82 |
|  | 2022 | 11.907 | to | 11.907 | 382 | 4542 | 4.88 | 0.60 | to | 0.60 | (2.95) | to | (2.95) |
|  | 2021 | 12.269 | to | 12.269 | 375 | 4597 | 3.12 | 0.60 | to | 0.60 | 3.12 | to | 3.12 |
| Federated Hermes High Income Bond | Federated Hermes High Income Bond | Federated Hermes High Income Bond | Federated Hermes High Income Bond | Federated Hermes High Income Bond |  |  |  |  |  |  |  |  |  |
|  | 2025 | 39.002 | to | 39.002 | 2135 | 83266 | 5.99 | 1.25 | to | 1.25 | 6.89 | to | 6.89 |
|  | 2024 | 36.489 | to | 36.489 | 2302 | 83983 | 5.02 | 1.25 | to | 1.25 | 4.94 | to | 4.94 |
|  | 2023 | 34.771 | to | 34.771 | 2048 | 71227 | 5.91 | 1.25 | to | 1.25 | 11.32 | to | 11.32 |
|  | 2022 | 31.235 | to | 31.235 | 2228 | 69605 | 5.65 | 1.25 | to | 1.25 | (12.87) | to | (12.87) |
|  | 2021 | 35.850 | to | 35.850 | 2530 | 90705 | 4.94 | 1.25 | to | 1.25 | 3.54 | to | 3.54 |
| Federated Hermes Managed Volatility II | Federated Hermes Managed Volatility II | Federated Hermes Managed Volatility II | Federated Hermes Managed Volatility II | Federated Hermes Managed Volatility II |  |  |  |  |  |  |  |  |  |
|  | 2025 | 38.740 | to | 38.740 | 451 | 17474 | 2.81 | 1.25 | to | 1.25 | 5.71 | to | 5.71 |
|  | 2024 | 36.649 | to | 36.649 | 455 | 16662 | 2.16 | 1.25 | to | 1.25 | 14.11 | to | 14.11 |
|  | 2023 | 32.116 | to | 32.116 | 471 | 15122 | 1.86 | 1.25 | to | 1.25 | 7.34 | to | 7.34 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Federated Hermes Managed Volatility II (continued) | Federated Hermes Managed Volatility II (continued) | Federated Hermes Managed Volatility II (continued) | Federated Hermes Managed Volatility II (continued) | Federated Hermes Managed Volatility II (continued) |  |  |  |  |  |  |  |  |  |
|  | 2022 | $29.921 | to | $29.921 | 493 | $14744 | 1.91% | 1.25% | to | 1.25% | (14.83)% | to | (14.83)% |
|  | 2021 | 35.129 | to | 35.129 | 547 | 19204 | 1.75 | 1.25 | to | 1.25 | 17.04 | to | 17.04 |
| Fidelity Contrafund | Fidelity Contrafund | Fidelity Contrafund | Fidelity Contrafund | Fidelity Contrafund |  |  |  |  |  |  |  |  |  |
|  | 2025 | 63.635 | to | 113.075 | 24909 | 1906234 | 0.14 | 0.60 | to | 1.25 | 20.75 | to | 19.97 |
|  | 2024 | 52.698 | to | 94.250 | 26728 | 1736136 | 0.19 | 0.60 | to | 1.25 | 32.99 | to | 32.12 |
|  | 2023 | 39.627 | to | 71.336 | 28795 | 1452919 | 0.49 | 0.60 | to | 1.25 | 32.66 | to | 31.80 |
|  | 2022 | 29.872 | to | 54.125 | 31240 | 1197538 | 0.48 | 0.60 | to | 1.25 | (26.75) | to | (27.23) |
|  | 2021 | 40.783 | to | 74.375 | 37986 | 1946034 | 0.06 | 0.60 | to | 1.25 | 27.07 | to | 26.25 |
| Fidelity Energy | Fidelity Energy | Fidelity Energy | Fidelity Energy | Fidelity Energy |  |  |  |  |  |  |  |  |  |
|  | 2025 | 19.395 | to | 19.395 | 7006 | 135870 | 2.21 | 0.60 | to | 0.60 | 9.92 | to | 9.92 |
|  | 2024 | 17.644 | to | 17.644 | 7006 | 123604 | 2.28 | 0.60 | to | 0.60 | 3.67 | to | 3.67 |
|  | 2023 | 17.019 | to | 17.019 | 7006 | 119229 | 2.69 | 0.60 | to | 0.60 | 0.38 | to | 0.38 |
|  | 2022 | 16.955 | to | 16.955 | 7006 | 118775 | 2.32 | 0.60 | to | 0.60 | 62.22 | to | 62.22 |
|  | 2021 | 10.452 | to | 10.452 | 13598 | 142135 | 2.55 | 0.60 | to | 0.60 | 54.41 | to | 54.41 |
| Fidelity Equity-Income | Fidelity Equity-Income | Fidelity Equity-Income | Fidelity Equity-Income | Fidelity Equity-Income |  |  |  |  |  |  |  |  |  |
|  | 2025 | 56.301 | to | 56.301 | 3269 | 184031 | 1.82 | 1.25 | to | 1.25 | 17.54 | to | 17.54 |
|  | 2024 | 47.898 | to | 47.898 | 3492 | 167261 | 1.80 | 1.25 | to | 1.25 | 13.91 | to | 13.91 |
|  | 2023 | 42.050 | to | 42.050 | 3540 | 148861 | 1.96 | 1.25 | to | 1.25 | 9.28 | to | 9.28 |
|  | 2022 | 38.480 | to | 38.480 | 3592 | 138222 | 1.83 | 1.25 | to | 1.25 | (6.14) | to | (6.14) |
|  | 2021 | 40.996 | to | 40.996 | 3943 | 161633 | 1.92 | 1.25 | to | 1.25 | 23.34 | to | 23.34 |
| Fidelity Financials Portfolio - Initial Class | Fidelity Financials Portfolio - Initial Class | Fidelity Financials Portfolio - Initial Class | Fidelity Financials Portfolio - Initial Class | Fidelity Financials Portfolio - Initial Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 52.558 | to | 52.558 | 14473 | 760655 | 1.76 | 0.60 | to | 0.60 | 14.49 | to | 14.49 |
|  | 2024 | 45.906 | to | 45.906 | 14473 | 664391 | 1.79 | 0.60 | to | 0.60 | 31.93 | to | 31.93 |
|  | 2023 | 34.796 | to | 34.796 | 14473 | 503596 | 2.76 | 0.60 | to | 0.60 | 14.05 | to | 14.05 |
|  | 2022 | 30.510 | to | 30.510 | 14473 | 441570 | 1.72 | 0.60 | to | 0.60 | (8.88) | to | (8.88) |
|  | 2021 | 33.483 | to | 33.483 | 28093 | 940643 | 1.67 | 0.60 | to | 0.60 | 32.40 | to | 32.40 |
| Fidelity Government Money Market Portfolio - Initial Class | Fidelity Government Money Market Portfolio - Initial Class | Fidelity Government Money Market Portfolio - Initial Class | Fidelity Government Money Market Portfolio - Initial Class | Fidelity Government Money Market Portfolio - Initial Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 11.528 | to | 11.528 | 10970 | 126459 | 4.06 | 0.60 | to | 0.60 | 3.51 | to | 3.51 |
|  | 2024 | 11.137 | to | 11.137 | 10970 | 122168 | 4.98 | 0.60 | to | 0.60 | 4.47 | to | 4.47 |
|  | 2023 | 10.660 | to | 10.660 | 10970 | 116940 | 4.75 | 0.60 | to | 0.60 | 4.26 | to | 4.26 |
|  | 2022 | 10.224 | to | 10.224 | 14114 | 144300 | 1.56 | 0.60 | to | 0.60 | 0.83 | to | 0.83 |
|  | 2021 | 10.140 | to | 10.140 | 10987 | 111409 | 0.01 | 0.60 | to | 0.60 | (0.59) | to | (0.59) |
| Fidelity Government Money Market Portfolio - Service Class II | Fidelity Government Money Market Portfolio - Service Class II | Fidelity Government Money Market Portfolio - Service Class II | Fidelity Government Money Market Portfolio - Service Class II | Fidelity Government Money Market Portfolio - Service Class II |  |  |  |  |  |  |  |  |  |
|  | 2025 | 10.759 | to | 10.759 | 12824 | 137969 | 3.81 | 1.25 | to | 1.25 | 2.57 | to | 2.57 |
|  | 2024 | 10.489 | to | 10.489 | 14934 | 156638 | 4.76 | 1.25 | to | 1.25 | 3.53 | to | 3.53 |
|  | 2023 | 10.131 | to | 10.131 | 20099 | 203623 | 4.54 | 1.25 | to | 1.25 | 3.34 | to | 3.34 |
|  | 2022 | 9.804 | to | 9.804 | 20486 | 200838 | 1.41 | 1.25 | to | 1.25 | 0.01 | to | 0.01 |
|  | 2021 | 9.803 | to | 9.803 | 12312 | 120698 | 0.01 | 1.25 | to | 1.25 | (1.24) | to | (1.24) |
| Fidelity Growth | Fidelity Growth | Fidelity Growth | Fidelity Growth | Fidelity Growth |  |  |  |  |  |  |  |  |  |
|  | 2025 | 55.694 | to | 55.694 | 10099 | 562463 | 0.29 | 1.25 | to | 1.25 | 13.47 | to | 13.47 |
|  | 2024 | 49.081 | to | 49.081 | 11384 | 558742 |  | 1.25 | to | 1.25 | 28.76 | to | 28.76 |
|  | 2023 | 38.118 | to | 38.118 | 11579 | 441408 | 0.13 | 1.25 | to | 1.25 | 34.55 | to | 34.55 |
|  | 2022 | 28.330 | to | 28.330 | 11782 | 333812 | 0.61 | 1.25 | to | 1.25 | (25.39) | to | (25.39) |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Fidelity Growth (continued) | Fidelity Growth (continued) | Fidelity Growth (continued) | Fidelity Growth (continued) | Fidelity Growth (continued) |  |  |  |  |  |  |  |  |  |
|  | 2021 | $37.972 | to | $37.972 | 12090 | $459104 | —% | 1.25% | to | 1.25% | 21.68% | to | 21.68% |
| Fidelity Growth & Income | Fidelity Growth & Income | Fidelity Growth & Income | Fidelity Growth & Income | Fidelity Growth & Income |  |  |  |  |  |  |  |  |  |
|  | 2025 | 53.962 | to | 53.962 | 821 | 44298 | 1.35 | 1.25 | to | 1.25 | 19.99 | to | 19.99 |
|  | 2024 | 44.971 | to | 44.971 | 1264 | 56848 | 1.44 | 1.25 | to | 1.25 | 20.69 | to | 20.69 |
|  | 2023 | 37.262 | to | 37.262 | 1343 | 50054 | 1.63 | 1.25 | to | 1.25 | 17.25 | to | 17.25 |
|  | 2022 | 31.780 | to | 31.780 | 1473 | 46825 | 1.58 | 1.25 | to | 1.25 | (6.13) | to | (6.13) |
|  | 2021 | 33.855 | to | 33.855 | 1607 | 54396 | 1.77 | 1.25 | to | 1.25 | 24.39 | to | 24.39 |
| Fidelity Growth Opportunities | Fidelity Growth Opportunities | Fidelity Growth Opportunities | Fidelity Growth Opportunities | Fidelity Growth Opportunities |  |  |  |  |  |  |  |  |  |
|  | 2025 | 91.199 | to | 91.199 | 2894 | 263893 |  | 1.25 | to | 1.25 | 20.43 | to | 20.43 |
|  | 2024 | 75.725 | to | 75.725 | 3004 | 227498 |  | 1.25 | to | 1.25 | 37.16 | to | 37.16 |
|  | 2023 | 55.211 | to | 55.211 | 5195 | 286842 |  | 1.25 | to | 1.25 | 43.85 | to | 43.85 |
|  | 2022 | 38.381 | to | 38.381 | 5418 | 207940 |  | 1.25 | to | 1.25 | (38.92) | to | (38.92) |
|  | 2021 | 62.836 | to | 62.836 | 9106 | 572184 |  | 1.25 | to | 1.25 | 10.55 | to | 10.55 |
| Fidelity Investment Grade Bond | Fidelity Investment Grade Bond | Fidelity Investment Grade Bond | Fidelity Investment Grade Bond | Fidelity Investment Grade Bond |  |  |  |  |  |  |  |  |  |
|  | 2025 | 12.761 | to | 12.761 | 50 | 632 | 3.70 | 0.60 | to | 0.60 | 6.59 | to | 6.59 |
|  | 2024 | 11.972 | to | 11.972 | 46 | 551 | 3.30 | 0.60 | to | 0.60 | 1.17 | to | 1.17 |
|  | 2023 | 11.833 | to | 11.833 | 58 | 680 | 0.68 | 0.60 | to | 0.60 | 5.57 | to | 5.57 |
|  | 2022 | 11.209 | to | 11.209 | 685 | 7676 | 1.01 | 0.60 | to | 0.60 | (13.48) | to | (13.48) |
|  | 2021 | 12.955 | to | 12.955 | 3215 | 41648 | 2.05 | 0.60 | to | 0.60 | (1.20) | to | (1.20) |
| Fidelity Mid Cap I | Fidelity Mid Cap I | Fidelity Mid Cap I | Fidelity Mid Cap I | Fidelity Mid Cap I |  |  |  |  |  |  |  |  |  |
|  | 2025 | 39.047 | to | 39.047 | 34 | 1314 | 0.45 | 0.60 | to | 0.60 | 11.09 | to | 11.09 |
|  | 2024 | 35.150 | to | 35.150 | 33 | 1139 | 0.49 | 0.60 | to | 0.60 | 16.78 | to | 16.78 |
|  | 2023 | 30.099 | to | 30.099 | 47 | 1422 | 0.62 | 0.60 | to | 0.60 | 14.39 | to | 14.39 |
|  | 2022 | 26.312 | to | 26.312 | 47 | 1240 | 0.50 | 0.60 | to | 0.60 | (15.25) | to | (15.25) |
|  | 2021 | 31.048 | to | 31.048 | 47 | 1464 | 0.61 | 0.60 | to | 0.60 | 24.85 | to | 24.85 |
| Fidelity Real Estate | Fidelity Real Estate | Fidelity Real Estate | Fidelity Real Estate | Fidelity Real Estate |  |  |  |  |  |  |  |  |  |
|  | 2025 | 19.656 | to | 19.656 | 274 | 5383 | 2.06 | 0.60 | to | 0.60 | 2.49 | to | 2.49 |
|  | 2024 | 19.179 | to | 19.179 | 270 | 5158 | 4.11 | 0.60 | to | 0.60 | 5.88 | to | 5.88 |
|  | 2023 | 18.114 | to | 18.114 | 284 | 5141 | 2.49 | 0.60 | to | 0.60 | 10.53 | to | 10.53 |
|  | 2022 | 16.389 | to | 16.389 | 278 | 4559 | 1.34 | 0.60 | to | 0.60 | (27.94) | to | (27.94) |
|  | 2021 | 22.745 | to | 22.745 | 276 | 6299 | 1.17 | 0.60 | to | 0.60 | 38.16 | to | 38.16 |
| Fidelity Strategic Income | Fidelity Strategic Income | Fidelity Strategic Income | Fidelity Strategic Income | Fidelity Strategic Income |  |  |  |  |  |  |  |  |  |
|  | 2025 | 15.814 | to | 15.814 | 5038 | 79667 | 3.88 | 0.60 | to | 0.60 | 8.20 | to | 8.20 |
|  | 2024 | 14.616 | to | 14.616 | 5038 | 73631 | 3.72 | 0.60 | to | 0.60 | 5.44 | to | 5.44 |
|  | 2023 | 13.862 | to | 13.862 | 5038 | 69834 | 4.57 | 0.60 | to | 0.60 | 8.76 | to | 8.76 |
|  | 2022 | 12.746 | to | 12.746 | 5038 | 64210 | 3.70 | 0.60 | to | 0.60 | (11.79) | to | (11.79) |
|  | 2021 | 14.449 | to | 14.449 | 5038 | 72792 | 2.53 | 0.60 | to | 0.60 | 3.12 | to | 3.12 |
| Franklin Income VIP Fund - Class 1 | Franklin Income VIP Fund - Class 1 | Franklin Income VIP Fund - Class 1 | Franklin Income VIP Fund - Class 1 | Franklin Income VIP Fund - Class 1 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 20.748 | to | 20.748 | 776 | 16109 | 4.89 | 0.60 | to | 0.60 | 12.20 | to | 12.20 |
|  | 2024 | 18.492 | to | 18.492 | 659 | 12187 | 7.04 | 0.60 | to | 0.60 | 6.81 | to | 6.81 |
|  | 2023 | 17.313 | to | 17.313 | 81 | 1404 | 5.37 | 0.60 | to | 0.60 | 8.23 | to | 8.23 |
|  | 2022 | 15.997 | to | 15.997 | 221 | 3535 | 5.05 | 0.60 | to | 0.60 | (5.81) | to | (5.81) |
|  | 2021 | 16.983 | to | 16.983 | 368 | 6251 | 4.76 | 0.60 | to | 0.60 | 16.31 | to | 16.31 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Franklin Income VIP Fund - Class 2 | Franklin Income VIP Fund - Class 2 | Franklin Income VIP Fund - Class 2 | Franklin Income VIP Fund - Class 2 | Franklin Income VIP Fund - Class 2 |  |  |  |  |  |  |  |  |  |
|  | 2025 | $27.324 | to | $27.324 | 3595 | $98231 | 5.07% | 1.25% | to | 1.25% | 11.16% | to | 11.16% |
|  | 2024 | 24.581 | to | 24.581 | 4292 | 105509 | 5.18 | 1.25 | to | 1.25 | 5.87 | to | 5.87 |
|  | 2023 | 23.219 | to | 23.219 | 5173 | 120111 | 5.01 | 1.25 | to | 1.25 | 7.28 | to | 7.28 |
|  | 2022 | 21.644 | to | 21.644 | 6126 | 132587 | 4.97 | 1.25 | to | 1.25 | (6.65) | to | (6.65) |
|  | 2021 | 23.185 | to | 23.185 | 7069 | 163891 | 4.67 | 1.25 | to | 1.25 | 15.30 | to | 15.30 |
| Franklin Mutual Global Discovery VIP Fund - Class 1 | Franklin Mutual Global Discovery VIP Fund - Class 1 | Franklin Mutual Global Discovery VIP Fund - Class 1 | Franklin Mutual Global Discovery VIP Fund - Class 1 | Franklin Mutual Global Discovery VIP Fund - Class 1 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 31.087 | to | 31.087 | 549 | 17077 | 2.08 | 0.60 | to | 0.60 | 22.88 | to | 22.88 |
|  | 2024 | 25.299 | to | 25.299 | 561 | 14197 | 1.96 | 0.60 | to | 0.60 | 4.35 | to | 4.35 |
|  | 2023 | 24.244 | to | 24.244 | 549 | 13319 | 2.66 | 0.60 | to | 0.60 | 19.83 | to | 19.83 |
|  | 2022 | 20.232 | to | 20.232 | 578 | 11688 | 1.68 | 0.60 | to | 0.60 | (5.09) | to | (5.09) |
|  | 2021 | 21.317 | to | 21.317 | 608 | 12950 | 2.45 | 0.60 | to | 0.60 | 18.72 | to | 18.72 |
| Franklin Mutual Shares VIP Fund - Class 1 | Franklin Mutual Shares VIP Fund - Class 1 | Franklin Mutual Shares VIP Fund - Class 1 | Franklin Mutual Shares VIP Fund - Class 1 | Franklin Mutual Shares VIP Fund - Class 1 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 28.531 | to | 28.531 | 9116 | 260101 | 2.28 | 0.60 | to | 0.60 | 11.15 | to | 11.15 |
|  | 2024 | 25.670 | to | 25.670 | 9116 | 234020 | 2.20 | 0.60 | to | 0.60 | 10.82 | to | 10.82 |
|  | 2023 | 23.163 | to | 23.163 | 9116 | 211164 | 2.14 | 0.60 | to | 0.60 | 13.05 | to | 13.05 |
|  | 2022 | 20.489 | to | 20.489 | 9116 | 186788 | 1.51 | 0.60 | to | 0.60 | (7.71) | to | (7.71) |
|  | 2021 | 22.201 | to | 22.201 | 21873 | 485600 | 3.36 | 0.60 | to | 0.60 | 18.81 | to | 18.81 |
| Franklin Mutual Shares VIP Fund - Class 2 | Franklin Mutual Shares VIP Fund - Class 2 | Franklin Mutual Shares VIP Fund - Class 2 | Franklin Mutual Shares VIP Fund - Class 2 | Franklin Mutual Shares VIP Fund - Class 2 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 32.690 | to | 32.690 | 4240 | 138594 | 2.05 | 1.25 | to | 1.25 | 10.13 | to | 10.13 |
|  | 2024 | 29.682 | to | 29.682 | 4369 | 129672 | 2.00 | 1.25 | to | 1.25 | 9.88 | to | 9.88 |
|  | 2023 | 27.012 | to | 27.012 | 4558 | 123128 | 1.89 | 1.25 | to | 1.25 | 12.06 | to | 12.06 |
|  | 2022 | 24.106 | to | 24.106 | 4708 | 113493 | 1.83 | 1.25 | to | 1.25 | (8.58) | to | (8.58) |
|  | 2021 | 26.368 | to | 26.368 | 4955 | 130654 | 2.90 | 1.25 | to | 1.25 | 17.69 | to | 17.69 |
| Franklin Rising Dividends VIP Fund - Class 1 | Franklin Rising Dividends VIP Fund - Class 1 | Franklin Rising Dividends VIP Fund - Class 1 | Franklin Rising Dividends VIP Fund - Class 1 | Franklin Rising Dividends VIP Fund - Class 1 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 43.470 | to | 43.470 | 7522 | 326996 | 1.01 | 0.60 | to | 0.60 | 11.38 | to | 11.38 |
|  | 2024 | 39.028 | to | 39.028 | 7866 | 307006 | 1.19 | 0.60 | to | 0.60 | 10.37 | to | 10.37 |
|  | 2023 | 35.361 | to | 35.361 | 8257 | 291987 | 1.11 | 0.60 | to | 0.60 | 11.72 | to | 11.72 |
|  | 2022 | 31.651 | to | 31.651 | 8761 | 277306 | 0.87 | 0.60 | to | 0.60 | (10.88) | to | (10.88) |
|  | 2021 | 35.515 | to | 35.515 | 15639 | 555416 | 1.09 | 0.60 | to | 0.60 | 26.34 | to | 26.34 |
| Franklin Small-Mid Cap Growth VIP Fund - Class 2 | Franklin Small-Mid Cap Growth VIP Fund - Class 2 | Franklin Small-Mid Cap Growth VIP Fund - Class 2 | Franklin Small-Mid Cap Growth VIP Fund - Class 2 | Franklin Small-Mid Cap Growth VIP Fund - Class 2 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 29.905 | to | 29.905 | 2698 | 80704 |  | 1.25 | to | 1.25 | 1.24 | to | 1.24 |
|  | 2024 | 29.538 | to | 29.538 | 2950 | 87157 |  | 1.25 | to | 1.25 | 9.65 | to | 9.65 |
|  | 2023 | 26.938 | to | 26.938 | 3287 | 88546 |  | 1.25 | to | 1.25 | 25.16 | to | 25.16 |
|  | 2022 | 21.522 | to | 21.522 | 4150 | 89333 |  | 1.25 | to | 1.25 | (34.51) | to | (34.51) |
|  | 2021 | 32.865 | to | 32.865 | 5551 | 182443 |  | 1.25 | to | 1.25 | 8.65 | to | 8.65 |
| Franklin Strategic Income VIP Fund - Class 1 | Franklin Strategic Income VIP Fund - Class 1 | Franklin Strategic Income VIP Fund - Class 1 | Franklin Strategic Income VIP Fund - Class 1 | Franklin Strategic Income VIP Fund - Class 1 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 14.144 | to | 14.144 | 15869 | 224454 | 4.87 | 0.60 | to | 0.60 | 6.78 | to | 6.78 |
|  | 2024 | 13.246 | to | 13.246 | 15956 | 211356 | 4.50 | 0.60 | to | 0.60 | 3.70 | to | 3.70 |
|  | 2023 | 12.774 | to | 12.774 | 16697 | 213287 | 4.67 | 0.60 | to | 0.60 | 7.72 | to | 7.72 |
|  | 2022 | 11.858 | to | 11.858 | 16879 | 200156 | 4.38 | 0.60 | to | 0.60 | (11.00) | to | (11.00) |
|  | 2021 | 13.323 | to | 13.323 | 17052 | 227177 | 3.54 | 0.60 | to | 0.60 | 1.67 | to | 1.67 |
| Franklin U.S. Government Securities VIP Fund - Class 1 | Franklin U.S. Government Securities VIP Fund - Class 1 | Franklin U.S. Government Securities VIP Fund - Class 1 | Franklin U.S. Government Securities VIP Fund - Class 1 | Franklin U.S. Government Securities VIP Fund - Class 1 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 10.919 | to | 10.919 | 1431 | 15619 | 3.31 | 0.60 | to | 0.60 | 6.37 | to | 6.37 |
|  | 2024 | 10.265 | to | 10.265 | 1344 | 13798 | 3.28 | 0.60 | to | 0.60 | 0.88 | to | 0.88 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Franklin U.S. Government Securities VIP Fund - Class 1 (continued) | Franklin U.S. Government Securities VIP Fund - Class 1 (continued) | Franklin U.S. Government Securities VIP Fund - Class 1 (continued) | Franklin U.S. Government Securities VIP Fund - Class 1 (continued) | Franklin U.S. Government Securities VIP Fund - Class 1 (continued) |  |  |  |  |  |  |  |  |  |
|  | 2023 | $10.175 | to | $10.175 | 1179 | $11993 | 2.44% | 0.60% | to | 0.60% | 4.13% | to | 4.13% |
|  | 2022 | 9.771 | to | 9.771 | 1776 | 17357 | 2.76 | 0.60 | to | 0.60 | (10.04) | to | (10.04) |
|  | 2021 | 10.861 | to | 10.861 | 4568 | 49611 | 2.64 | 0.60 | to | 0.60 | (2.21) | to | (2.21) |
| Franklin U.S. Government Securities VIP Fund - Class 2 | Franklin U.S. Government Securities VIP Fund - Class 2 | Franklin U.S. Government Securities VIP Fund - Class 2 | Franklin U.S. Government Securities VIP Fund - Class 2 | Franklin U.S. Government Securities VIP Fund - Class 2 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 16.117 | to | 16.117 | 2377 | 38310 | 3.29 | 1.25 | to | 1.25 | 5.37 | to | 5.37 |
|  | 2024 | 15.296 | to | 15.296 | 2421 | 37031 | 3.07 | 1.25 | to | 1.25 | 0.10 | to | 0.10 |
|  | 2023 | 15.281 | to | 15.281 | 2561 | 39128 | 2.71 | 1.25 | to | 1.25 | 3.17 | to | 3.17 |
|  | 2022 | 14.811 | to | 14.811 | 2617 | 38756 | 2.45 | 1.25 | to | 1.25 | (10.87) | to | (10.87) |
|  | 2021 | 16.618 | to | 16.618 | 3298 | 54803 | 2.78 | 1.25 | to | 1.25 | (3.05) | to | (3.05) |
| Invesco American Franchise Fund I | Invesco American Franchise Fund I | Invesco American Franchise Fund I | Invesco American Franchise Fund I | Invesco American Franchise Fund I |  |  |  |  |  |  |  |  |  |
|  | 2025 | 46.458 | to | 46.458 | 4338 | 201522 |  | 1.25 | to | 1.25 | 10.28 | to | 10.28 |
|  | 2024 | 42.128 | to | 42.128 | 4679 | 197102 |  | 1.25 | to | 1.25 | 33.20 | to | 33.20 |
|  | 2023 | 31.627 | to | 31.627 | 4788 | 151414 |  | 1.25 | to | 1.25 | 39.18 | to | 39.18 |
|  | 2022 | 22.723 | to | 22.723 | 4900 | 111346 |  | 1.25 | to | 1.25 | (31.97) | to | (31.97) |
|  | 2021 | 33.401 | to | 33.401 | 5053 | 168783 |  | 1.25 | to | 1.25 | 10.54 | to | 10.54 |
| Invesco EQV International Equity I | Invesco EQV International Equity I | Invesco EQV International Equity I | Invesco EQV International Equity I | Invesco EQV International Equity I |  |  |  |  |  |  |  |  |  |
|  | 2025 | 22.366 | to | 22.366 | 9496 | 212391 | 1.45 | 0.60 | to | 0.60 | 15.80 | to | 15.80 |
|  | 2024 | 19.314 | to | 19.314 | 9496 | 183408 | 1.77 | 0.60 | to | 0.60 | 0.01 | to | 0.01 |
|  | 2023 | 19.312 | to | 19.312 | 9496 | 183389 | 0.20 | 0.60 | to | 0.60 | 17.44 | to | 17.44 |
|  | 2022 | 16.444 | to | 16.444 | 9862 | 162162 | 1.74 | 0.60 | to | 0.60 | (18.80) | to | (18.80) |
|  | 2021 | 20.250 | to | 20.250 | 9862 | 199692 | 1.28 | 0.60 | to | 0.60 | 5.25 | to | 5.25 |
| Invesco EQV International Equity II | Invesco EQV International Equity II | Invesco EQV International Equity II | Invesco EQV International Equity II | Invesco EQV International Equity II |  |  |  |  |  |  |  |  |  |
|  | 2025 | 21.224 | to | 21.224 | 2447 | 51930 | 1.21 | 1.25 | to | 1.25 | 14.79 | to | 14.79 |
|  | 2024 | 18.490 | to | 18.490 | 2521 | 46612 | 1.56 | 1.25 | to | 1.25 | (0.91) | to | (0.91) |
|  | 2023 | 18.660 | to | 18.660 | 2592 | 48369 |  | 1.25 | to | 1.25 | 16.41 | to | 16.41 |
|  | 2022 | 16.030 | to | 16.030 | 2734 | 43833 | 1.16 | 1.25 | to | 1.25 | (19.52) | to | (19.52) |
|  | 2021 | 19.917 | to | 19.917 | 3839 | 76463 | 1.08 | 1.25 | to | 1.25 | 4.29 | to | 4.29 |
| Invesco Global Real Estate | Invesco Global Real Estate | Invesco Global Real Estate | Invesco Global Real Estate | Invesco Global Real Estate |  |  |  |  |  |  |  |  |  |
|  | 2025 | 15.700 | to | 36.895 | 1809 | 66727 | 2.05 | 0.60 | to | 1.25 | 7.20 | to | 6.51 |
|  | 2024 | 14.645 | to | 34.640 | 1834 | 63557 | 2.54 | 0.60 | to | 1.25 | (2.39) | to | (3.03) |
|  | 2023 | 15.004 | to | 35.722 | 1923 | 68700 | 1.50 | 0.60 | to | 1.25 | 8.40 | to | 7.70 |
|  | 2022 | 13.841 | to | 33.169 | 2150 | 67468 | 2.04 | 0.60 | to | 1.25 | (25.39) | to | (25.87) |
|  | 2021 | 18.550 | to | 44.742 | 7487 | 191009 | 2.05 | 0.60 | to | 1.25 | 24.96 | to | 24.15 |
| Janus Henderson Enterprise Portfolio<sup>1</sup> | Janus Henderson Enterprise Portfolio<sup>1</sup> | Janus Henderson Enterprise Portfolio<sup>1</sup> | Janus Henderson Enterprise Portfolio<sup>1</sup> | Janus Henderson Enterprise Portfolio<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 51.738 | to | 51.738 |  |  |  | 0.60 | to | 0.60 | 7.03 | to | 7.03 |
|  | 2024 | 48.341 | to | 48.341 |  |  |  | 0.60 | to | 0.60 | 14.91 | to | 14.91 |
|  | 2023 | 42.069 | to | 42.069 |  |  |  | 0.60 | to | 0.60 | 17.37 | to | 17.37 |
|  | 2022 | 35.844 | to | 35.844 | 407 | 14608 | 0.20 | 0.60 | to | 0.60 | (16.44) | to | (16.44) |
|  | 2021 | 42.897 | to | 42.897 | 407 | 17480 | 0.35 | 0.60 | to | 0.60 | 16.13 | to | 16.13 |
| Janus Henderson Flexible Bond | Janus Henderson Flexible Bond | Janus Henderson Flexible Bond | Janus Henderson Flexible Bond | Janus Henderson Flexible Bond |  |  |  |  |  |  |  |  |  |
|  | 2025 | 12.610 | to | 12.610 | 17640 | 222432 | 5.29 | 0.60 | to | 0.60 | 6.76 | to | 6.76 |
|  | 2024 | 11.812 | to | 11.812 | 17737 | 209499 | 4.94 | 0.60 | to | 0.60 | 1.35 | to | 1.35 |
|  | 2023 | 11.655 | to | 11.655 | 17879 | 208383 | 4.28 | 0.60 | to | 0.60 | 4.88 | to | 4.88 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Janus Henderson Flexible Bond (continued) | Janus Henderson Flexible Bond (continued) | Janus Henderson Flexible Bond (continued) | Janus Henderson Flexible Bond (continued) | Janus Henderson Flexible Bond (continued) |  |  |  |  |  |  |  |  |  |
|  | 2022 | $11.113 | to | $11.113 | 18080 | $200927 | 2.49% | 0.60% | to | 0.60% | (14.18)% | to | (14.18)% |
|  | 2021 | 12.949 | to | 12.949 | 18267 | 236529 | 1.83 | 0.60 | to | 0.60 | (1.49) | to | (1.49) |
| Janus Henderson Mid Cap Value Portfolio | Janus Henderson Mid Cap Value Portfolio | Janus Henderson Mid Cap Value Portfolio | Janus Henderson Mid Cap Value Portfolio | Janus Henderson Mid Cap Value Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 30.423 | to | 30.423 | 137 | 4161 |  | 0.60 | to | 0.60 | 5.86 | to | 5.86 |
|  | 2024 | 28.739 | to | 28.739 | 137 | 3930 | 0.98 | 0.60 | to | 0.60 | 12.42 | to | 12.42 |
|  | 2023 | 25.563 | to | 25.563 | 137 | 3496 | 1.13 | 0.60 | to | 0.60 | 10.73 | to | 10.73 |
|  | 2022 | 23.085 | to | 23.085 | 137 | 3155 | 0.13 | 0.60 | to | 0.60 | (6.12) | to | (6.12) |
|  | 2021 | 24.591 | to | 24.591 | 4405 | 108334 | 0.45 | 0.60 | to | 0.60 | 19.01 | to | 19.01 |
| LVIP American Century Balanced Fund Standard Class II | LVIP American Century Balanced Fund Standard Class II | LVIP American Century Balanced Fund Standard Class II | LVIP American Century Balanced Fund Standard Class II | LVIP American Century Balanced Fund Standard Class II |  |  |  |  |  |  |  |  |  |
|  | 2025 | 32.523 | to | 32.523 | 4374 | 142244 | 1.90 | 1.25 | to | 1.25 | 8.25 | to | 8.25 |
|  | 2024 | 30.043 | to | 30.043 | 4383 | 131674 | 2.06 | 1.25 | to | 1.25 | 10.67 | to | 10.67 |
|  | 2023 | 27.147 | to | 27.147 | 4518 | 122648 | 1.94 | 1.25 | to | 1.25 | 14.97 | to | 14.97 |
|  | 2022 | 23.613 | to | 23.613 | 4574 | 107999 | 1.20 | 1.25 | to | 1.25 | (18.29) | to | (18.29) |
|  | 2021 | 28.900 | to | 28.900 | 4834 | 139711 | 0.71 | 1.25 | to | 1.25 | 14.33 | to | 14.33 |
| LVIP American Century International Fund Standard Class II | LVIP American Century International Fund Standard Class II | LVIP American Century International Fund Standard Class II | LVIP American Century International Fund Standard Class II | LVIP American Century International Fund Standard Class II |  |  |  |  |  |  |  |  |  |
|  | 2025 | 20.249 | to | 20.249 | 11672 | 236340 | 1.22 | 1.25 | to | 1.25 | 14.54 | to | 14.54 |
|  | 2024 | 17.678 | to | 17.678 | 12239 | 216356 | 1.61 | 1.25 | to | 1.25 | 1.32 | to | 1.32 |
|  | 2023 | 17.447 | to | 17.447 | 12486 | 217840 | 1.37 | 1.25 | to | 1.25 | 11.18 | to | 11.18 |
|  | 2022 | 15.693 | to | 15.693 | 12876 | 202066 | 1.46 | 1.25 | to | 1.25 | (25.69) | to | (25.69) |
|  | 2021 | 21.118 | to | 21.118 | 13380 | 282551 | 0.16 | 1.25 | to | 1.25 | 7.40 | to | 7.40 |
| LVIP American Century Mid Cap Value Fund Standard Class II<sup>1</sup> | LVIP American Century Mid Cap Value Fund Standard Class II<sup>1</sup> | LVIP American Century Mid Cap Value Fund Standard Class II<sup>1</sup> | LVIP American Century Mid Cap Value Fund Standard Class II<sup>1</sup> | LVIP American Century Mid Cap Value Fund Standard Class II<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 36.380 | to | 36.380 |  |  |  | 0.60 | to | 0.60 | 8.34 | to | 8.34 |
|  | 2024 | 33.579 | to | 33.579 | 145 | 4870 | 2.58 | 0.60 | to | 0.60 | 8.07 | to | 8.07 |
|  | 2023 | 31.071 | to | 31.071 | 145 | 4506 | 2.36 | 0.60 | to | 0.60 | 5.50 | to | 5.50 |
|  | 2022 | 29.451 | to | 29.451 | 483 | 14235 | 2.29 | 0.60 | to | 0.60 | (1.78) | to | (1.78) |
|  | 2021 | 29.985 | to | 29.985 | 967 | 28990 | 1.17 | 0.60 | to | 0.60 | 22.47 | to | 22.47 |
| LVIP American Century Value Fund Standard Class II | LVIP American Century Value Fund Standard Class II | LVIP American Century Value Fund Standard Class II | LVIP American Century Value Fund Standard Class II | LVIP American Century Value Fund Standard Class II |  |  |  |  |  |  |  |  |  |
|  | 2025 | 38.199 | to | 49.744 | 10617 | 417987 | 1.67 | 0.60 | to | 1.25 | 15.32 | to | 14.58 |
|  | 2024 | 33.123 | to | 43.414 | 10841 | 372445 | 2.97 | 0.60 | to | 1.25 | 8.82 | to | 8.11 |
|  | 2023 | 30.438 | to | 40.156 | 11102 | 353096 | 2.39 | 0.60 | to | 1.25 | 8.45 | to | 7.75 |
|  | 2022 | 28.067 | to | 37.269 | 11427 | 338086 | 1.99 | 0.60 | to | 1.25 | (0.06) | to | (0.70) |
|  | 2021 | 28.083 | to | 37.533 | 20650 | 601605 | 1.73 | 0.60 | to | 1.25 | 23.76 | to | 22.96 |
| LVIP JPMorgan Mid Cap Value Fund - Standard Class | LVIP JPMorgan Mid Cap Value Fund - Standard Class | LVIP JPMorgan Mid Cap Value Fund - Standard Class | LVIP JPMorgan Mid Cap Value Fund - Standard Class | LVIP JPMorgan Mid Cap Value Fund - Standard Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 34.828 | to | 65.315 | 7307 | 325978 | 1.13 | 0.60 | to | 1.25 | 4.09 | to | 3.41 |
|  | 2024 | 33.460 | to | 63.159 | 7499 | 321950 | 1.27 | 0.60 | to | 1.25 | 13.60 | to | 12.86 |
|  | 2023 | 29.455 | to | 55.963 | 7548 | 286989 | 3.18 | 0.60 | to | 1.25 | 10.25 | to | 9.54 |
|  | 2022 | 26.717 | to | 51.089 | 8123 | 277729 | 0.96 | 0.60 | to | 1.25 | (8.71) | to | (9.30) |
|  | 2021 | 29.265 | to | 56.326 | 8763 | 328035 | 0.99 | 0.60 | to | 1.25 | 29.11 | to | 28.27 |
| LVIP JPMorgan U.S. Equity Fund - Standard Class | LVIP JPMorgan U.S. Equity Fund - Standard Class | LVIP JPMorgan U.S. Equity Fund - Standard Class | LVIP JPMorgan U.S. Equity Fund - Standard Class | LVIP JPMorgan U.S. Equity Fund - Standard Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 52.189 | to | 52.189 | 1216 | 63473 | 0.46 | 1.25 | to | 1.25 | 13.12 | to | 13.12 |
|  | 2024 | 46.137 | to | 46.137 | 1284 | 59247 | 0.52 | 1.25 | to | 1.25 | 22.44 | to | 22.44 |
|  | 2023 | 37.682 | to | 37.682 | 1340 | 50484 | 1.56 | 1.25 | to | 1.25 | 25.59 | to | 25.59 |
|  | 2022 | 30.005 | to | 30.005 | 1399 | 41981 | 0.53 | 1.25 | to | 1.25 | (19.70) | to | (19.70) |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| LVIP JPMorgan U.S. Equity Fund - Standard Class (continued) | LVIP JPMorgan U.S. Equity Fund - Standard Class (continued) | LVIP JPMorgan U.S. Equity Fund - Standard Class (continued) | LVIP JPMorgan U.S. Equity Fund - Standard Class (continued) | LVIP JPMorgan U.S. Equity Fund - Standard Class (continued) |  |  |  |  |  |  |  |  |  |
|  | 2021 | $37.367 | to | $37.367 | 1475 | $55123 | 0.73% | 1.25% | to | 1.25% | 27.74% | to | 27.74% |
| LVIP Nomura SMID Cap Core<sup>1</sup> | LVIP Nomura SMID Cap Core<sup>1</sup> | LVIP Nomura SMID Cap Core<sup>1</sup> | LVIP Nomura SMID Cap Core<sup>1</sup> | LVIP Nomura SMID Cap Core<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 37.393 | to | 37.393 | 4937 | 184600 | 0.58 | 0.60 | to | 0.60 | 8.20 | to | 8.20 |
|  | 2024 | 34.559 | to | 34.559 | 4937 | 170607 | 0.62 | 0.60 | to | 0.60 | 14.04 | to | 14.04 |
|  | 2023 | 30.305 | to | 30.305 | 4937 | 149604 | 1.14 | 0.60 | to | 0.60 | 15.76 | to | 15.76 |
|  | 2022 | 26.179 | to | 26.179 | 4937 | 129239 | 0.46 | 0.60 | to | 0.60 | (14.25) | to | (14.25) |
|  | 2021 | 30.528 | to | 30.528 | 4937 | 150709 | 0.97 | 0.60 | to | 0.60 | 22.44 | to | 22.44 |
| Merger VL | Merger VL | Merger VL | Merger VL | Merger VL |  |  |  |  |  |  |  |  |  |
|  | 2025 | 14.776 | to | 14.776 | 1185 | 17513 | 3.83 | 0.60 | to | 0.60 | 7.99 | to | 7.99 |
|  | 2024 | 13.683 | to | 13.683 | 1620 | 22171 | 1.50 | 0.60 | to | 0.60 | 2.81 | to | 2.81 |
|  | 2023 | 13.309 | to | 13.309 | 2104 | 27996 | 1.78 | 0.60 | to | 0.60 | 3.72 | to | 3.72 |
|  | 2022 | 12.832 | to | 12.832 | 2475 | 31762 | 1.55 | 0.60 | to | 0.60 | 0.28 | to | 0.28 |
|  | 2021 | 12.796 | to | 12.796 | 2475 | 31660 |  | 0.60 | to | 0.60 | 0.48 | to | 0.48 |
| MFS Growth Series<sup>1</sup> | MFS Growth Series<sup>1</sup> | MFS Growth Series<sup>1</sup> | MFS Growth Series<sup>1</sup> | MFS Growth Series<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 68.021 | to | 68.021 |  |  |  | 0.60 | to | 0.60 | 11.52 | to | 11.52 |
|  | 2024 | 60.992 | to | 60.992 |  |  |  | 0.60 | to | 0.60 | 30.67 | to | 30.67 |
|  | 2023 | 46.675 | to | 46.675 |  |  |  | 0.60 | to | 0.60 | 35.05 | to | 35.05 |
|  | 2022 | 34.560 | to | 34.560 |  |  |  | 0.60 | to | 0.60 | (32.04) | to | (32.04) |
|  | 2021 | 50.857 | to | 50.857 | 4263 | 216795 |  | 0.60 | to | 0.60 | 22.80 | to | 22.80 |
| MFS International Growth Portfolio | MFS International Growth Portfolio | MFS International Growth Portfolio | MFS International Growth Portfolio | MFS International Growth Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 29.583 | to | 29.583 | 104 | 3082 | 0.92 | 0.60 | to | 0.60 | 20.39 | to | 20.39 |
|  | 2024 | 24.572 | to | 24.572 | 104 | 2561 | 0.98 | 0.60 | to | 0.60 | 8.34 | to | 8.34 |
|  | 2023 | 22.680 | to | 22.680 | 104 | 2364 | 1.39 | 0.60 | to | 0.60 | 14.03 | to | 14.03 |
|  | 2022 | 19.889 | to | 19.889 | 376 | 7470 | 0.61 | 0.60 | to | 0.60 | (15.46) | to | (15.46) |
|  | 2021 | 23.526 | to | 23.526 | 376 | 8835 | 0.51 | 0.60 | to | 0.60 | 8.61 | to | 8.61 |
| MFS International Intrinsic Value Portfolio | MFS International Intrinsic Value Portfolio | MFS International Intrinsic Value Portfolio | MFS International Intrinsic Value Portfolio | MFS International Intrinsic Value Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 37.349 | to | 37.349 | 11818 | 441392 | 1.56 | 0.60 | to | 0.60 | 32.46 | to | 32.46 |
|  | 2024 | 28.196 | to | 28.196 | 11960 | 337237 | 1.36 | 0.60 | to | 0.60 | 6.60 | to | 6.60 |
|  | 2023 | 26.450 | to | 26.450 | 11970 | 316600 | 0.72 | 0.60 | to | 0.60 | 16.95 | to | 16.95 |
|  | 2022 | 22.616 | to | 22.616 | 12631 | 285667 | 0.64 | 0.60 | to | 0.60 | (24.02) | to | (24.02) |
|  | 2021 | 29.764 | to | 29.764 | 22803 | 678705 | 0.24 | 0.60 | to | 0.60 | 9.90 | to | 9.90 |
| MFS New Discovery Series | MFS New Discovery Series | MFS New Discovery Series | MFS New Discovery Series | MFS New Discovery Series |  |  |  |  |  |  |  |  |  |
|  | 2025 | 36.617 | to | 36.617 | 290 | 10633 |  | 0.60 | to | 0.60 | 12.29 | to | 12.29 |
|  | 2024 | 32.610 | to | 32.610 | 290 | 9469 |  | 0.60 | to | 0.60 | 6.08 | to | 6.08 |
|  | 2023 | 30.741 | to | 30.741 | 290 | 8926 |  | 0.60 | to | 0.60 | 13.73 | to | 13.73 |
|  | 2022 | 27.03 | to | 27.03 | 454 | 12285 |  | 0.60 | to | 0.60 | (30.18) | to | (30.18) |
|  | 2021 | 38.713 | to | 38.713 | 454 | 17598 |  | 0.60 | to | 0.60 | 1.19 | to | 1.19 |
| MFS Utilities Series | MFS Utilities Series | MFS Utilities Series | MFS Utilities Series | MFS Utilities Series |  |  |  |  |  |  |  |  |  |
|  | 2025 | 29.520 | to | 29.520 | 2489 | 73473 | 2.86 | 0.60 | to | 0.60 | 14.32 | to | 14.32 |
|  | 2024 | 25.822 | to | 25.822 | 2816 | 72725 | 2.33 | 0.60 | to | 0.60 | 10.99 | to | 10.99 |
|  | 2023 | 23.266 | to | 23.266 | 2999 | 69772 | 3.58 | 0.60 | to | 0.60 | (2.69) | to | (2.69) |
|  | 2022 | 23.910 | to | 23.910 | 3318 | 79339 | 2.52 | 0.60 | to | 0.60 | 0.15 | to | 0.15 |
|  | 2021 | 23.873 | to | 23.873 | 4186 | 99936 | 1.76 | 0.60 | to | 0.60 | 13.41 | to | 13.41 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Nomura VIP Emerging Markets Series - Standard Class<sup>1</sup> | Nomura VIP Emerging Markets Series - Standard Class<sup>1</sup> | Nomura VIP Emerging Markets Series - Standard Class<sup>1</sup> | Nomura VIP Emerging Markets Series - Standard Class<sup>1</sup> | Nomura VIP Emerging Markets Series - Standard Class<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | $29.277 | to | $29.277 | 12472 | $365152 | 1.48% | 0.60% | to | 0.60% | 80.18% | to | 80.18% |
|  | 2024 | 16.249 | to | 16.249 | 12472 | 202656 | 2.59 | 0.60 | to | 0.60 | 4.46 | to | 4.46 |
|  | 2023 | 15.555 | to | 15.555 | 12472 | 194011 | 1.58 | 0.60 | to | 0.60 | 13.11 | to | 13.11 |
|  | 2022 | 13.752 | to | 13.752 | 12696 | 174590 | 4.05 | 0.60 | to | 0.60 | (28.02) | to | (28.02) |
|  | 2021 | 19.105 | to | 19.105 | 31446 | 600772 | 0.18 | 0.60 | to | 0.60 | (3.42) | to | (3.42) |
| Nomura VIP Small Cap Value Series - Standard Class<sup>1</sup> | Nomura VIP Small Cap Value Series - Standard Class<sup>1</sup> | Nomura VIP Small Cap Value Series - Standard Class<sup>1</sup> | Nomura VIP Small Cap Value Series - Standard Class<sup>1</sup> | Nomura VIP Small Cap Value Series - Standard Class<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 32.208 | to | 32.208 | 2276 | 73311 | 1.28 | 0.60 | to | 0.60 | 7.51 | to | 7.51 |
|  | 2024 | 29.957 | to | 29.957 | 2275 | 68148 | 1.33 | 0.60 | to | 0.60 | 10.65 | to | 10.65 |
|  | 2023 | 27.074 | to | 27.074 | 2285 | 61868 | 0.95 | 0.60 | to | 0.60 | 8.79 | to | 8.79 |
|  | 2022 | 24.886 | to | 24.886 | 2283 | 56826 | 0.82 | 0.60 | to | 0.60 | (12.61) | to | (12.61) |
|  | 2021 | 28.478 | to | 28.478 | 2284 | 65054 | 0.82 | 0.60 | to | 0.60 | 33.61 | to | 33.61 |
| PIMCO All Asset Institutional Class | PIMCO All Asset Institutional Class | PIMCO All Asset Institutional Class | PIMCO All Asset Institutional Class | PIMCO All Asset Institutional Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 18.268 | to | 18.268 | 113 | 2061 | 4.58 | 0.60 | to | 0.60 | 13.66 | to | 13.66 |
|  | 2024 | 16.073 | to | 16.073 | 1184 | 19032 | 6.54 | 0.60 | to | 0.60 | 3.32 | to | 3.32 |
|  | 2023 | 15.556 | to | 15.556 | 1124 | 17484 | 3.07 | 0.60 | to | 0.60 | 7.64 | to | 7.64 |
|  | 2022 | 14.452 | to | 14.452 | 1101 | 15912 | 7.21 | 0.60 | to | 0.60 | (12.19) | to | (12.19) |
|  | 2021 | 16.458 | to | 16.458 | 23346 | 384216 | 11.11 | 0.60 | to | 0.60 | 15.72 | to | 15.72 |
| PIMCO CommodityRealReturn Strat. Institutional Class | PIMCO CommodityRealReturn Strat. Institutional Class | PIMCO CommodityRealReturn Strat. Institutional Class | PIMCO CommodityRealReturn Strat. Institutional Class | PIMCO CommodityRealReturn Strat. Institutional Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 10.020 | to | 10.020 | 2134 | 21382 | 3.05 | 0.60 | to | 0.60 | 18.36 | to | 18.36 |
|  | 2024 | 8.466 | to | 8.466 | 2134 | 18066 | 2.39 | 0.60 | to | 0.60 | 3.71 | to | 3.71 |
|  | 2023 | 8.163 | to | 8.163 | 2134 | 17420 | 16.25 | 0.60 | to | 0.60 | (8.29) | to | (8.29) |
|  | 2022 | 8.901 | to | 8.901 | 2134 | 18996 | 21.09 | 0.60 | to | 0.60 | 8.14 | to | 8.14 |
|  | 2021 | 8.231 | to | 8.231 | 2134 | 17566 | 4.44 | 0.60 | to | 0.60 | 32.67 | to | 32.67 |
| PIMCO Dynamic Bond - Institutional Class<sup>1</sup> | PIMCO Dynamic Bond - Institutional Class<sup>1</sup> | PIMCO Dynamic Bond - Institutional Class<sup>1</sup> | PIMCO Dynamic Bond - Institutional Class<sup>1</sup> | PIMCO Dynamic Bond - Institutional Class<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 13.914 | to | 13.914 |  |  |  | 0.60 | to | 0.60 | 7.62 | to | 7.62 |
|  | 2024 | 12.929 | to | 12.929 |  |  | 0.27 | 0.60 | to | 0.60 | 5.13 | to | 5.13 |
|  | 2023 | 12.298 | to | 12.298 | 651 | 7995 | 3.86 | 0.60 | to | 0.60 | 6.62 | to | 6.62 |
|  | 2022 | 11.534 | to | 11.534 | 651 | 7500 | 2.09 | 0.60 | to | 0.60 | (6.78) | to | (6.78) |
|  | 2021 | 12.373 | to | 12.373 | 10999 | 136082 | 2.23 | 0.60 | to | 0.60 | 0.83 | to | 0.83 |
| PIMCO Emerging Markets Bond Institutional Class | PIMCO Emerging Markets Bond Institutional Class | PIMCO Emerging Markets Bond Institutional Class | PIMCO Emerging Markets Bond Institutional Class | PIMCO Emerging Markets Bond Institutional Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 15.666 | to | 15.666 | 1222 | 19137 | 7.14 | 0.60 | to | 0.60 | 14.46 | to | 14.46 |
|  | 2024 | 13.687 | to | 13.687 | 1611 | 22035 | 6.59 | 0.60 | to | 0.60 | 7.04 | to | 7.04 |
|  | 2023 | 12.787 | to | 12.787 | 1573 | 20106 | 5.86 | 0.60 | to | 0.60 | 10.61 | to | 10.61 |
|  | 2022 | 11.560 | to | 11.560 | 1951 | 22545 | 4.80 | 0.60 | to | 0.60 | (16.09) | to | (16.09) |
|  | 2021 | 13.776 | to | 13.776 | 11167 | 153846 | 4.63 | 0.60 | to | 0.60 | (3.00) | to | (3.00) |
| PIMCO Global Bond Opportunities (Unhedged) - Institutional Class | PIMCO Global Bond Opportunities (Unhedged) - Institutional Class | PIMCO Global Bond Opportunities (Unhedged) - Institutional Class | PIMCO Global Bond Opportunities (Unhedged) - Institutional Class | PIMCO Global Bond Opportunities (Unhedged) - Institutional Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 11.054 | to | 11.054 | 128 | 1420 | 4.68 | 0.60 | to | 0.60 | 12.26 | to | 12.26 |
|  | 2024 | 9.847 | to | 9.847 | 128 | 1265 | 3.68 | 0.60 | to | 0.60 | (0.96) | to | (0.96) |
|  | 2023 | 9.942 | to | 9.942 | 128 | 1277 | 2.40 | 0.60 | to | 0.60 | 4.78 | to | 4.78 |
|  | 2022 | 9.488 | to | 9.488 | 128 | 1218 | 1.41 | 0.60 | to | 0.60 | (11.40) | to | (11.40) |
|  | 2021 | 10.709 | to | 10.709 | 22026 | 235870 | 5.12 | 0.60 | to | 0.60 | (4.59) | to | (4.59) |
| PIMCO Low Duration Institutional Class | PIMCO Low Duration Institutional Class | PIMCO Low Duration Institutional Class | PIMCO Low Duration Institutional Class | PIMCO Low Duration Institutional Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 11.682 | to | 11.682 | 8112 | 94763 | 4.09 | 0.60 | to | 0.60 | 5.04 | to | 5.04 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| PIMCO Low Duration Institutional Class (continued) | PIMCO Low Duration Institutional Class (continued) | PIMCO Low Duration Institutional Class (continued) | PIMCO Low Duration Institutional Class (continued) | PIMCO Low Duration Institutional Class (continued) |  |  |  |  |  |  |  |  |  |
|  | 2024 | $11.121 | to | $11.121 | 8112 | $90208 | 4.14% | 0.60% | to | 0.60% | 4.02% | to | 4.02% |
|  | 2023 | 10.691 | to | 10.691 | 8112 | 86721 | 3.75 | 0.60 | to | 0.60 | 4.51 | to | 4.51 |
|  | 2022 | 10.230 | to | 10.230 | 8112 | 82985 | 1.83 | 0.60 | to | 0.60 | (6.16) | to | (6.16) |
|  | 2021 | 10.902 | to | 10.902 | 8112 | 88436 | 0.66 | 0.60 | to | 0.60 | (1.38) | to | (1.38) |
| PIMCO Real Return Institutional Class | PIMCO Real Return Institutional Class | PIMCO Real Return Institutional Class | PIMCO Real Return Institutional Class | PIMCO Real Return Institutional Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 12.060 | to | 12.060 | 2716 | 32747 | 3.48 | 0.60 | to | 0.60 | 7.36 | to | 7.36 |
|  | 2024 | 11.233 | to | 11.233 | 2870 | 32229 | 2.76 | 0.60 | to | 0.60 | 1.67 | to | 1.67 |
|  | 2023 | 11.048 | to | 11.048 | 2870 | 31699 | 3.15 | 0.60 | to | 0.60 | 3.20 | to | 3.20 |
|  | 2022 | 10.705 | to | 10.705 | 3229 | 34562 | 7.21 | 0.60 | to | 0.60 | (12.30) | to | (12.30) |
|  | 2021 | 12.206 | to | 12.206 | 3742 | 45671 | 5.10 | 0.60 | to | 0.60 | 5.11 | to | 5.11 |
| PIMCO StocksPLUS Global Portfolio Institutional Class<sup>1</sup> | PIMCO StocksPLUS Global Portfolio Institutional Class<sup>1</sup> | PIMCO StocksPLUS Global Portfolio Institutional Class<sup>1</sup> | PIMCO StocksPLUS Global Portfolio Institutional Class<sup>1</sup> | PIMCO StocksPLUS Global Portfolio Institutional Class<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 32.052 | to | 32.052 |  |  |  | 0.60 | to | 0.60 | 23.75 | to | 23.75 |
|  | 2024 | 25.900 | to | 25.900 |  |  |  | 0.60 | to | 0.60 | 13.02 | to | 13.02 |
|  | 2023 | 22.916 | to | 22.916 |  |  | 1.78 | 0.60 | to | 0.60 | 22.29 | to | 22.29 |
|  | 2022 | 18.739 | to | 18.739 | 257 | 4819 | 1.36 | 0.60 | to | 0.60 | (19.00) | to | (19.00) |
|  | 2021 | 23.135 | to | 23.135 | 257 | 5951 | 0.23 | 0.60 | to | 0.60 | 18.80 | to | 18.80 |
| PIMCO Total Return Institutional Class | PIMCO Total Return Institutional Class | PIMCO Total Return Institutional Class | PIMCO Total Return Institutional Class | PIMCO Total Return Institutional Class |  |  |  |  |  |  |  |  |  |
|  | 2025 | 12.748 | to | 12.748 | 14076 | 179430 | 4.25 | 0.60 | to | 0.60 | 8.40 | to | 8.40 |
|  | 2024 | 11.760 | to | 11.760 | 14072 | 165480 | 4.19 | 0.60 | to | 0.60 | 2.07 | to | 2.07 |
|  | 2023 | 11.522 | to | 11.522 | 14739 | 169801 | 3.71 | 0.60 | to | 0.60 | 5.46 | to | 5.46 |
|  | 2022 | 10.925 | to | 10.925 | 19709 | 215325 | 2.61 | 0.60 | to | 0.60 | (14.69) | to | (14.69) |
|  | 2021 | 12.806 | to | 12.806 | 57770 | 739783 | 1.97 | 0.60 | to | 0.60 | (1.71) | to | (1.71) |
| Royce Capital Micro-Cap<sup>1</sup> | Royce Capital Micro-Cap<sup>1</sup> | Royce Capital Micro-Cap<sup>1</sup> | Royce Capital Micro-Cap<sup>1</sup> | Royce Capital Micro-Cap<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 26.624 | to | 26.624 |  |  |  | 0.60 | to | 0.60 | 13.21 | to | 13.21 |
|  | 2024 | 23.517 | to | 23.517 |  |  |  | 0.60 | to | 0.60 | 12.99 | to | 12.99 |
|  | 2023 | 20.814 | to | 20.814 |  |  |  | 0.60 | to | 0.60 | 18.07 | to | 18.07 |
|  | 2022 | 17.628 | to | 17.628 |  |  |  | 0.60 | to | 0.60 | (22.90) | to | (22.90) |
|  | 2021 | 22.863 | to | 22.863 | 259 | 5924 |  | 0.60 | to | 0.60 | 29.20 | to | 29.20 |
| Royce Capital Small-Cap | Royce Capital Small-Cap | Royce Capital Small-Cap | Royce Capital Small-Cap | Royce Capital Small-Cap |  |  |  |  |  |  |  |  |  |
|  | 2025 | 26.755 | to | 26.755 | 1637 | 43803 | 1.94 | 0.60 | to | 0.60 | 8.28 | to | 8.28 |
|  | 2024 | 24.709 | to | 24.709 | 1573 | 38872 | 1.24 | 0.60 | to | 0.60 | 2.78 | to | 2.78 |
|  | 2023 | 24.041 | to | 24.041 | 1548 | 37208 | 0.82 | 0.60 | to | 0.60 | 25.17 | to | 25.17 |
|  | 2022 | 19.206 | to | 19.206 | 1692 | 32498 | 0.39 | 0.60 | to | 0.60 | (9.74) | to | (9.74) |
|  | 2021 | 21.278 | to | 21.278 | 1729 | 36784 | 1.43 | 0.60 | to | 0.60 | 28.05 | to | 28.05 |
| T. Rowe Price All-Cap Opportunities Portfolio | T. Rowe Price All-Cap Opportunities Portfolio | T. Rowe Price All-Cap Opportunities Portfolio | T. Rowe Price All-Cap Opportunities Portfolio | T. Rowe Price All-Cap Opportunities Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 77.574 | to | 77.574 | 13234 | 1026622 |  | 0.60 | to | 0.60 | 15.61 | to | 15.61 |
|  | 2024 | 67.101 | to | 67.101 | 13299 | 892378 | 0.08 | 0.60 | to | 0.60 | 24.40 | to | 24.40 |
|  | 2023 | 53.938 | to | 53.938 | 13356 | 720391 | 0.26 | 0.60 | to | 0.60 | 28.19 | to | 28.19 |
|  | 2022 | 42.075 | to | 42.075 | 13472 | 566852 |  | 0.60 | to | 0.60 | (21.98) | to | (21.98) |
|  | 2021 | 53.928 | to | 53.928 | 13942 | 751860 |  | 0.60 | to | 0.60 | 20.07 | to | 20.07 |
| T. Rowe Price Blue Chip Growth | T. Rowe Price Blue Chip Growth | T. Rowe Price Blue Chip Growth | T. Rowe Price Blue Chip Growth | T. Rowe Price Blue Chip Growth |  |  |  |  |  |  |  |  |  |
|  | 2025 | 70.482 | to | 70.482 | 13500 | 951491 |  | 0.60 | to | 0.60 | 18.03 | to | 18.03 |
|  | 2024 | 59.717 | to | 59.717 | 13732 | 820064 |  | 0.60 | to | 0.60 | 34.69 | to | 34.69 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| T. Rowe Price Blue Chip Growth (continued) | T. Rowe Price Blue Chip Growth (continued) | T. Rowe Price Blue Chip Growth (continued) | T. Rowe Price Blue Chip Growth (continued) | T. Rowe Price Blue Chip Growth (continued) |  |  |  |  |  |  |  |  |  |
|  | 2023 | $44.335 | to | $44.335 | 13959 | $618858 | —% | 0.60% | to | 0.60% | 48.40% | to | 48.40% |
|  | 2022 | 29.875 | to | 29.875 | 13703 | 409373 |  | 0.60 | to | 0.60 | (38.87) | to | (38.87) |
|  | 2021 | 48.872 | to | 48.872 | 21979 | 1074154 |  | 0.60 | to | 0.60 | 16.92 | to | 16.92 |
| T. Rowe Price Equity Income Portfolio | T. Rowe Price Equity Income Portfolio | T. Rowe Price Equity Income Portfolio | T. Rowe Price Equity Income Portfolio | T. Rowe Price Equity Income Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 35.979 | to | 35.979 | 12804 | 460688 | 1.66 | 0.60 | to | 0.60 | 13.68 | to | 13.68 |
|  | 2024 | 31.650 | to | 31.650 | 12871 | 407373 | 1.84 | 0.60 | to | 0.60 | 11.03 | to | 11.03 |
|  | 2023 | 28.506 | to | 28.506 | 12930 | 368583 | 2.10 | 0.60 | to | 0.60 | 8.89 | to | 8.89 |
|  | 2022 | 26.179 | to | 26.179 | 13178 | 345002 | 1.79 | 0.60 | to | 0.60 | (3.92) | to | (3.92) |
|  | 2021 | 27.247 | to | 27.247 | 20302 | 553188 | 1.57 | 0.60 | to | 0.60 | 24.80 | to | 24.80 |
| T. Rowe Price Health Sciences Portfolio | T. Rowe Price Health Sciences Portfolio | T. Rowe Price Health Sciences Portfolio | T. Rowe Price Health Sciences Portfolio | T. Rowe Price Health Sciences Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 53.360 | to | 53.360 | 14491 | 773214 |  | 0.60 | to | 0.60 | 17.40 | to | 17.40 |
|  | 2024 | 45.453 | to | 45.453 | 14518 | 659902 |  | 0.60 | to | 0.60 | 1.04 | to | 1.04 |
|  | 2023 | 44.984 | to | 44.984 | 14565 | 655175 |  | 0.60 | to | 0.60 | 2.35 | to | 2.35 |
|  | 2022 | 43.953 | to | 43.953 | 14828 | 651742 |  | 0.60 | to | 0.60 | (13.00) | to | (13.00) |
|  | 2021 | 50.518 | to | 50.518 | 17686 | 893481 |  | 0.60 | to | 0.60 | 12.42 | to | 12.42 |
| T. Rowe Price International Stock Portfolio | T. Rowe Price International Stock Portfolio | T. Rowe Price International Stock Portfolio | T. Rowe Price International Stock Portfolio | T. Rowe Price International Stock Portfolio |  |  |  |  |  |  |  |  |  |
|  | 2025 | 23.404 | to | 23.404 | 14130 | 330696 | 1.98 | 0.60 | to | 0.60 | 17.71 | to | 17.71 |
|  | 2024 | 19.883 | to | 19.883 | 14204 | 282421 | 0.95 | 0.60 | to | 0.60 | 2.63 | to | 2.63 |
|  | 2023 | 19.374 | to | 19.374 | 14269 | 276439 | 1.01 | 0.60 | to | 0.60 | 15.55 | to | 15.55 |
|  | 2022 | 16.767 | to | 16.767 | 14321 | 240120 | 0.79 | 0.60 | to | 0.60 | (16.32) | to | (16.32) |
|  | 2021 | 20.037 | to | 20.037 | 14366 | 287847 | 0.54 | 0.60 | to | 0.60 | 0.72 | to | 0.72 |
| Templeton Developing Markets VIP Fund - Class 2 | Templeton Developing Markets VIP Fund - Class 2 | Templeton Developing Markets VIP Fund - Class 2 | Templeton Developing Markets VIP Fund - Class 2 | Templeton Developing Markets VIP Fund - Class 2 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 39.064 | to | 39.064 | 488 | 19048 | 0.41 | 1.25 | to | 1.25 | 44.45 | to | 44.45 |
|  | 2024 | 27.043 | to | 27.043 | 1076 | 29105 | 3.98 | 1.25 | to | 1.25 | 6.33 | to | 6.33 |
|  | 2023 | 25.434 | to | 25.434 | 1048 | 26648 | 2.07 | 1.25 | to | 1.25 | 11.23 | to | 11.23 |
|  | 2022 | 22.867 | to | 22.867 | 1083 | 24761 | 2.73 | 1.25 | to | 1.25 | (22.95) | to | (22.95) |
|  | 2021 | 29.679 | to | 29.679 | 1000 | 29680 | 0.87 | 1.25 | to | 1.25 | (6.91) | to | (6.91) |
| Templeton Global Bond VIP Fund - Class 1 | Templeton Global Bond VIP Fund - Class 1 | Templeton Global Bond VIP Fund - Class 1 | Templeton Global Bond VIP Fund - Class 1 | Templeton Global Bond VIP Fund - Class 1 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 10.337 | to | 10.337 | 2389 | 24696 |  | 0.60 | to | 0.60 | 15.39 | to | 15.39 |
|  | 2024 | 8.958 | to | 8.958 | 2384 | 21358 |  | 0.60 | to | 0.60 | (11.67) | to | (11.67) |
|  | 2023 | 10.141 | to | 10.141 | 2397 | 24307 |  | 0.60 | to | 0.60 | 2.58 | to | 2.58 |
|  | 2022 | 9.886 | to | 9.886 | 2701 | 26700 |  | 0.60 | to | 0.60 | (5.42) | to | (5.42) |
|  | 2021 | 10.452 | to | 10.452 | 11512 | 120320 |  | 0.60 | to | 0.60 | (5.20) | to | (5.20) |
| Templeton Growth VIP Fund - Class 2 | Templeton Growth VIP Fund - Class 2 | Templeton Growth VIP Fund - Class 2 | Templeton Growth VIP Fund - Class 2 | Templeton Growth VIP Fund - Class 2 |  |  |  |  |  |  |  |  |  |
|  | 2025 | 26.660 | to | 26.660 | 1013 | 27003 | 0.69 | 1.25 | to | 1.25 | 22.29 | to | 22.29 |
|  | 2024 | 21.801 | to | 21.801 | 2123 | 46281 | 0.95 | 1.25 | to | 1.25 | 4.09 | to | 4.09 |
|  | 2023 | 20.945 | to | 20.945 | 2158 | 45189 | 3.30 | 1.25 | to | 1.25 | 19.51 | to | 19.51 |
|  | 2022 | 17.525 | to | 17.525 | 2293 | 40192 | 0.16 | 1.25 | to | 1.25 | (12.60) | to | (12.60) |
|  | 2021 | 20.052 | to | 20.052 | 2341 | 46949 | 1.11 | 1.25 | to | 1.25 | 3.57 | to | 3.57 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| TVST Touchstone Common Stock Fund | TVST Touchstone Common Stock Fund | TVST Touchstone Common Stock Fund | TVST Touchstone Common Stock Fund | TVST Touchstone Common Stock Fund |  |  |  |  |  |  |  |  |  |
|  | 2025 | $55.194 | to | $55.194 | 2073 | $114397 | 0.56% | 0.60% | to | 0.60% | 17.13% | to | 17.13% |
|  | 2024 | 47.124 | to | 47.124 | 2073 | 97672 | 0.67 | 0.60 | to | 0.60 | 20.75 | to | 20.75 |
|  | 2023 | 39.027 | to | 39.027 | 2073 | 80889 | 0.45 | 0.60 | to | 0.60 | 25.90 | to | 25.90 |
|  | 2022 | 30.999 | to | 30.999 | 2073 | 64250 | 0.42 | 0.60 | to | 0.60 | (18.15) | to | (18.15) |
|  | 2021 | 37.872 | to | 37.872 | 2073 | 78496 | 0.56 | 0.60 | to | 0.60 | 27.08 | to | 27.08 |
| VanEck Global Resources Fund | VanEck Global Resources Fund | VanEck Global Resources Fund | VanEck Global Resources Fund | VanEck Global Resources Fund |  |  |  |  |  |  |  |  |  |
|  | 2025 | 13.783 | to | 13.783 | 24483 | 337458 | 2.53 | 0.60 | to | 0.60 | 35.66 | to | 35.66 |
|  | 2024 | 10.160 | to | 10.160 | 24483 | 248742 | 2.61 | 0.60 | to | 0.60 | (3.41) | to | (3.41) |
|  | 2023 | 10.519 | to | 10.519 | 24483 | 257543 | 2.84 | 0.60 | to | 0.60 | (4.16) | to | (4.16) |
|  | 2022 | 10.976 | to | 10.976 | 24829 | 272520 | 1.25 | 0.60 | to | 0.60 | 7.75 | to | 7.75 |
|  | 2021 | 10.187 | to | 10.187 | 52005 | 529760 | 0.48 | 0.60 | to | 0.60 | 18.21 | to | 18.21 |
| Vanguard Balanced | Vanguard Balanced | Vanguard Balanced | Vanguard Balanced | Vanguard Balanced |  |  |  |  |  |  |  |  |  |
|  | 2025 | 33.780 | to | 33.780 | 15216 | 514010 | 2.07 | 0.60 | to | 0.60 | 15.77 | to | 15.77 |
|  | 2024 | 29.179 | to | 29.179 | 17650 | 515001 | 2.25 | 0.60 | to | 0.60 | 14.11 | to | 14.11 |
|  | 2023 | 25.571 | to | 25.571 | 17556 | 448929 | 2.07 | 0.60 | to | 0.60 | 13.64 | to | 13.64 |
|  | 2022 | 22.501 | to | 22.501 | 19769 | 444828 | 2.24 | 0.60 | to | 0.60 | (14.81) | to | (14.81) |
|  | 2021 | 26.414 | to | 26.414 | 59675 | 1576232 | 2.19 | 0.60 | to | 0.60 | 18.31 | to | 18.31 |
| Vanguard Capital Growth | Vanguard Capital Growth | Vanguard Capital Growth | Vanguard Capital Growth | Vanguard Capital Growth |  |  |  |  |  |  |  |  |  |
|  | 2025 | 69.232 | to | 69.232 | 1476 | 102212 | 1.01 | 0.60 | to | 0.60 | 28.21 | to | 28.21 |
|  | 2024 | 54.000 | to | 54.000 | 1476 | 79723 | 1.11 | 0.60 | to | 0.60 | 12.73 | to | 12.73 |
|  | 2023 | 47.903 | to | 47.903 | 1505 | 72086 | 1.02 | 0.60 | to | 0.60 | 27.22 | to | 27.22 |
|  | 2022 | 37.654 | to | 37.654 | 1934 | 72825 | 1.02 | 0.60 | to | 0.60 | (15.99) | to | (15.99) |
|  | 2021 | 44.821 | to | 44.821 | 2720 | 121929 | 0.97 | 0.60 | to | 0.60 | 20.81 | to | 20.81 |
| Vanguard Equity Income | Vanguard Equity Income | Vanguard Equity Income | Vanguard Equity Income | Vanguard Equity Income |  |  |  |  |  |  |  |  |  |
|  | 2025 | 43.048 | to | 43.048 | 103811 | 4468894 | 2.45 | 0.60 | to | 0.60 | 16.10 | to | 16.10 |
|  | 2024 | 37.079 | to | 37.079 | 105424 | 3908991 | 2.84 | 0.60 | to | 0.60 | 14.43 | to | 14.43 |
|  | 2023 | 32.404 | to | 32.404 | 106244 | 3442721 | 2.67 | 0.60 | to | 0.60 | 7.45 | to | 7.45 |
|  | 2022 | 30.156 | to | 30.156 | 108382 | 3268398 | 2.64 | 0.60 | to | 0.60 | (1.26) | to | (1.26) |
|  | 2021 | 30.540 | to | 30.540 | 115200 | 3518159 | 1.89 | 0.60 | to | 0.60 | 24.58 | to | 24.58 |
| Vanguard Equity Index | Vanguard Equity Index | Vanguard Equity Index | Vanguard Equity Index | Vanguard Equity Index |  |  |  |  |  |  |  |  |  |
|  | 2025 | 59.033 | to | 59.033 | 6257 | 369349 | 1.06 | 0.60 | to | 0.60 | 17.00 | to | 17.00 |
|  | 2024 | 50.457 | to | 50.457 | 6286 | 317152 | 1.28 | 0.60 | to | 0.60 | 24.09 | to | 24.09 |
|  | 2023 | 40.662 | to | 40.662 | 6325 | 257173 | 1.40 | 0.60 | to | 0.60 | 25.36 | to | 25.36 |
|  | 2022 | 32.436 | to | 32.436 | 6356 | 206146 | 1.27 | 0.60 | to | 0.60 | (18.72) | to | (18.72) |
|  | 2021 | 39.905 | to | 39.905 | 4304 | 171770 | 1.29 | 0.60 | to | 0.60 | 27.78 | to | 27.78 |
| Vanguard High Yield Bond | Vanguard High Yield Bond | Vanguard High Yield Bond | Vanguard High Yield Bond | Vanguard High Yield Bond |  |  |  |  |  |  |  |  |  |
|  | 2025 | 18.550 | to | 18.550 | 10444 | 193738 | 6.37 | 0.60 | to | 0.60 | 8.53 | to | 8.53 |
|  | 2024 | 17.092 | to | 17.092 | 10483 | 179182 | 5.57 | 0.60 | to | 0.60 | 5.81 | to | 5.81 |
|  | 2023 | 16.154 | to | 16.154 | 10522 | 169976 | 4.53 | 0.60 | to | 0.60 | 11.00 | to | 11.00 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Vanguard High Yield Bond (continued) | Vanguard High Yield Bond (continued) | Vanguard High Yield Bond (continued) | Vanguard High Yield Bond (continued) | Vanguard High Yield Bond (continued) |  |  |  |  |  |  |  |  |  |
|  | 2022 | $14.553 | to | $14.553 | 8850 | $128801 | 5.83% | 0.60% | to | 0.60% | (9.91)% | to | (9.91)% |
|  | 2021 | 16.153 | to | 16.153 | 34507 | 557388 | 4.17 | 0.60 | to | 0.60 | 3.06 | to | 3.06 |
| Vanguard International | Vanguard International | Vanguard International | Vanguard International | Vanguard International |  |  |  |  |  |  |  |  |  |
|  | 2025 | 33.569 | to | 33.569 | 1568 | 52626 | 0.82 | 0.60 | to | 0.60 | 19.25 | to | 19.25 |
|  | 2024 | 28.150 | to | 28.150 | 1936 | 54494 | 1.19 | 0.60 | to | 0.60 | 8.36 | to | 8.36 |
|  | 2023 | 25.979 | to | 25.979 | 1949 | 50637 | 1.77 | 0.60 | to | 0.60 | 13.97 | to | 13.97 |
|  | 2022 | 22.795 | to | 22.795 | 7369 | 167968 | 1.46 | 0.60 | to | 0.60 | (30.54) | to | (30.54) |
|  | 2021 | 32.817 | to | 32.817 | 13006 | 426814 | 0.27 | 0.60 | to | 0.60 | (2.13) | to | (2.13) |
| Vanguard Mid-Cap Index | Vanguard Mid-Cap Index | Vanguard Mid-Cap Index | Vanguard Mid-Cap Index | Vanguard Mid-Cap Index |  |  |  |  |  |  |  |  |  |
|  | 2025 | 42.465 | to | 42.465 | 2567 | 109019 | 1.23 | 0.60 | to | 0.60 | 10.87 | to | 10.87 |
|  | 2024 | 38.301 | to | 38.301 | 2567 | 98328 | 1.37 | 0.60 | to | 0.60 | 14.38 | to | 14.38 |
|  | 2023 | 33.485 | to | 33.485 | 2567 | 85965 | 1.40 | 0.60 | to | 0.60 | 15.14 | to | 15.14 |
|  | 2022 | 29.082 | to | 29.082 | 2765 | 80409 | 1.21 | 0.60 | to | 0.60 | (19.31) | to | (19.31) |
|  | 2021 | 36.040 | to | 36.040 | 5463 | 196898 | 1.08 | 0.60 | to | 0.60 | 23.61 | to | 23.61 |
| Vanguard Real Estate Index | Vanguard Real Estate Index | Vanguard Real Estate Index | Vanguard Real Estate Index | Vanguard Real Estate Index |  |  |  |  |  |  |  |  |  |
|  | 2025 | 21.654 | to | 21.654 | 15191 | 328946 | 2.69 | 0.60 | to | 0.60 | 2.49 | to | 2.49 |
|  | 2024 | 21.127 | to | 21.127 | 17369 | 366960 | 3.12 | 0.60 | to | 0.60 | 4.11 | to | 4.11 |
|  | 2023 | 20.293 | to | 20.293 | 17452 | 354155 | 2.47 | 0.60 | to | 0.60 | 11.03 | to | 11.03 |
|  | 2022 | 18.277 | to | 18.277 | 14418 | 263509 | 2.25 | 0.60 | to | 0.60 | (26.74) | to | (26.74) |
|  | 2021 | 24.947 | to | 24.947 | 31449 | 784549 | 2.10 | 0.60 | to | 0.60 | 39.37 | to | 39.37 |
| Vanguard Short Term Investment Grade | Vanguard Short Term Investment Grade | Vanguard Short Term Investment Grade | Vanguard Short Term Investment Grade | Vanguard Short Term Investment Grade |  |  |  |  |  |  |  |  |  |
|  | 2025 | 12.948 | to | 12.948 | 39191 | 507431 | 4.18 | 0.60 | to | 0.60 | 6.22 | to | 6.22 |
|  | 2024 | 12.190 | to | 12.190 | 16345 | 199249 | 3.12 | 0.60 | to | 0.60 | 4.26 | to | 4.26 |
|  | 2023 | 11.692 | to | 11.692 | 6032 | 70529 | 2.99 | 0.60 | to | 0.60 | 5.52 | to | 5.52 |
|  | 2022 | 11.080 | to | 11.080 | 40747 | 451472 | 2.36 | 0.60 | to | 0.60 | (6.28) | to | (6.28) |
|  | 2021 | 11.823 | to | 11.823 | 62961 | 744383 | 1.84 | 0.60 | to | 0.60 | (1.05) | to | (1.05) |
| Vanguard Small Company Growth | Vanguard Small Company Growth | Vanguard Small Company Growth | Vanguard Small Company Growth | Vanguard Small Company Growth |  |  |  |  |  |  |  |  |  |
|  | 2025 | 37.337 | to | 37.337 | 607 | 22687 | 0.47 | 0.60 | to | 0.60 | 5.47 | to | 5.47 |
|  | 2024 | 35.400 | to | 35.400 | 607 | 21510 | 0.53 | 0.60 | to | 0.60 | 10.71 | to | 10.71 |
|  | 2023 | 31.976 | to | 31.976 | 607 | 19430 | 0.40 | 0.60 | to | 0.60 | 18.94 | to | 18.94 |
|  | 2022 | 26.885 | to | 26.885 | 607 | 16338 | 0.26 | 0.60 | to | 0.60 | (25.80) | to | (25.80) |
|  | 2021 | 36.233 | to | 36.233 | 505 | 18322 | 0.35 | 0.60 | to | 0.60 | 13.53 | to | 13.53 |
| Vanguard Total Bond Market Index | Vanguard Total Bond Market Index | Vanguard Total Bond Market Index | Vanguard Total Bond Market Index | Vanguard Total Bond Market Index |  |  |  |  |  |  |  |  |  |
|  | 2025 | 11.733 | to | 11.733 | 35294 | 414091 | 3.45 | 0.60 | to | 0.60 | 6.31 | to | 6.31 |
|  | 2024 | 11.037 | to | 11.037 | 42012 | 463709 | 2.78 | 0.60 | to | 0.60 | 0.63 | to | 0.63 |
|  | 2023 | 10.968 | to | 10.968 | 41987 | 460521 | 2.30 | 0.60 | to | 0.60 | 4.95 | to | 4.95 |
|  | 2022 | 10.451 | to | 10.451 | 32250 | 337043 | 2.16 | 0.60 | to | 0.60 | (13.74) | to | (13.74) |
|  | 2021 | 12.115 | to | 12.115 | 33538 | 406296 | 2.58 | 0.60 | to | 0.60 | (2.30) | to | (2.30) |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Vanguard Total Stock Market Index | Vanguard Total Stock Market Index | Vanguard Total Stock Market Index | Vanguard Total Stock Market Index | Vanguard Total Stock Market Index |  |  |  |  |  |  |  |  |  |
|  | 2025 | $55.969 | to | $55.969 | 2754 | $154156 | 1.20% | 0.60% | to | 0.60% | 16.23% | to | 16.23% |
|  | 2024 | 48.152 | to | 48.152 | 5014 | 241425 | 1.27 | 0.60 | to | 0.60 | 22.97 | to | 22.97 |
|  | 2023 | 39.158 | to | 39.158 | 6972 | 272996 | 1.04 | 0.60 | to | 0.60 | 25.20 | to | 25.20 |
|  | 2022 | 31.277 | to | 31.277 | 5982 | 187095 | 1.39 | 0.60 | to | 0.60 | (20.07) | to | (20.07) |
|  | 2021 | 39.131 | to | 39.131 | 17458 | 683134 | 1.27 | 0.60 | to | 0.60 | 24.89 | to | 24.89 |
| Victory Pioneer Bond VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Bond VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Bond VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Bond VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Bond VCT Portfolio Class I<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 46.828 | to | 46.828 | 19091 | 893983 | 4.51 | 1.25 | to | 1.25 | 7.81 | to | 7.81 |
|  | 2024 | 43.434 | to | 43.434 | 21274 | 924007 | 4.49 | 1.25 | to | 1.25 | 1.88 | to | 1.88 |
|  | 2023 | 42.633 | to | 42.633 | 22872 | 975136 | 3.94 | 1.25 | to | 1.25 | 5.63 | to | 5.63 |
|  | 2022 | 40.361 | to | 40.361 | 24732 | 998197 | 2.42 | 1.25 | to | 1.25 | (15.26) | to | (15.26) |
|  | 2021 | 47.631 | to | 47.631 | 29202 | 1390932 | 2.21 | 1.25 | to | 1.25 | (0.87) | to | (0.87) |
| Victory Pioneer Equity Income VCT Portfolio Class II<sup>1</sup> | Victory Pioneer Equity Income VCT Portfolio Class II<sup>1</sup> | Victory Pioneer Equity Income VCT Portfolio Class II<sup>1</sup> | Victory Pioneer Equity Income VCT Portfolio Class II<sup>1</sup> | Victory Pioneer Equity Income VCT Portfolio Class II<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 38.962 | to | 38.962 | 395 | 15392 | 1.79 | 1.25 | to | 1.25 | 9.76 | to | 9.76 |
|  | 2024 | 35.499 | to | 35.499 | 1338 | 47493 | 1.97 | 1.25 | to | 1.25 | 9.59 | to | 9.59 |
|  | 2023 | 32.394 | to | 32.394 | 1356 | 43916 | 1.67 | 1.25 | to | 1.25 | 5.85 | to | 5.85 |
|  | 2022 | 30.605 | to | 30.605 | 1456 | 44574 | 1.55 | 1.25 | to | 1.25 | (9.08) | to | (9.08) |
|  | 2021 | 33.663 | to | 33.663 | 1510 | 50837 | 1.22 | 1.25 | to | 1.25 | 23.77 | to | 23.77 |
| Victory Pioneer Fund VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Fund VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Fund VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Fund VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Fund VCT Portfolio Class I<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 318.314 | to | 318.314 | 102575 | 32650928 | 0.45 | 1.25 | to | 1.25 | 21.82 | to | 21.82 |
|  | 2024 | 261.288 | to | 261.288 | 116171 | 30354132 | 0.71 | 1.25 | to | 1.25 | 21.12 | to | 21.12 |
|  | 2023 | 215.721 | to | 215.721 | 128623 | 27746712 | 0.87 | 1.25 | to | 1.25 | 27.33 | to | 27.33 |
|  | 2022 | 169.415 | to | 169.415 | 143544 | 24318468 | 0.64 | 1.25 | to | 1.25 | (20.49) | to | (20.49) |
|  | 2021 | 213.083 | to | 213.083 | 158395 | 33751356 | 0.32 | 1.25 | to | 1.25 | 26.39 | to | 26.39 |
| Victory Pioneer High Yield VCT Portfolio Class II<sup>1</sup> | Victory Pioneer High Yield VCT Portfolio Class II<sup>1</sup> | Victory Pioneer High Yield VCT Portfolio Class II<sup>1</sup> | Victory Pioneer High Yield VCT Portfolio Class II<sup>1</sup> | Victory Pioneer High Yield VCT Portfolio Class II<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 21.968 | to | 21.968 | 313 | 6877 | 5.86 | 1.25 | to | 1.25 | 6.58 | to | 6.58 |
|  | 2024 | 20.611 | to | 20.611 | 892 | 18384 | 5.54 | 1.25 | to | 1.25 | 7.15 | to | 7.15 |
|  | 2023 | 19.236 | to | 19.236 | 817 | 15708 | 5.31 | 1.25 | to | 1.25 | 9.62 | to | 9.62 |
|  | 2022 | 17.548 | to | 17.548 | 810 | 14211 | 4.81 | 1.25 | to | 1.25 | (12.54) | to | (12.54) |
|  | 2021 | 20.063 | to | 20.063 | 1246 | 24992 | 4.86 | 1.25 | to | 1.25 | 4.14 | to | 4.14 |
| Victory Pioneer Mid Cap Value VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Mid Cap Value VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Mid Cap Value VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Mid Cap Value VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Mid Cap Value VCT Portfolio Class I<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 75.926 | to | 75.926 | 25314 | 1922022 | 2.04 | 1.25 | to | 1.25 | 9.80 | to | 9.80 |
|  | 2024 | 69.147 | to | 69.147 | 28184 | 1948815 | 1.90 | 1.25 | to | 1.25 | 9.55 | to | 9.55 |
|  | 2023 | 63.119 | to | 63.119 | 31238 | 1971681 | 1.95 | 1.25 | to | 1.25 | 11.06 | to | 11.06 |
|  | 2022 | 56.832 | to | 56.832 | 32817 | 1865069 | 2.09 | 1.25 | to | 1.25 | (6.81) | to | (6.81) |
|  | 2021 | 60.985 | to | 60.985 | 34554 | 2107263 | 0.96 | 1.25 | to | 1.25 | 28.06 | to | 28.06 |
| Victory Pioneer Select Mid Cap Growth VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Select Mid Cap Growth VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Select Mid Cap Growth VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Select Mid Cap Growth VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Select Mid Cap Growth VCT Portfolio Class I<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 221.890 | to | 221.890 | 67406 | 14956780 |  | 1.25 | to | 1.25 | 18.98 | to | 18.98 |
|  | 2024 | 186.493 | to | 186.493 | 74088 | 13816937 |  | 1.25 | to | 1.25 | 22.39 | to | 22.39 |
|  | 2023 | 152.382 | to | 152.382 | 81265 | 12383338 |  | 1.25 | to | 1.25 | 17.30 | to | 17.30 |
|  | 2022 | 129.908 | to | 129.908 | 88477 | 11493891 |  | 1.25 | to | 1.25 | (31.91) | to | (31.91) |
|  | 2021 | 190.800 | to | 190.800 | 97623 | 18626372 |  | 1.25 | to | 1.25 | 6.73 | to | 6.73 |
| Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> | Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 15.005 | to | 15.005 | 6191 | 92891 | 4.63 | 0.60 | to | 0.60 | 10.44 | to | 10.44 |

---

------

---

| | |
|:---|:---|
| Symetra Resource Variable Account B | Symetra Resource Variable Account B |
| **Notes to Financial Statements** | **Notes to Financial Statements** |
| **6.** | **ACCUMULATION UNIT VALUES (continued)** |

---

---

| | | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **As of December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** | **For the Year Ended December 31,** |
|<br>**Sub-Account** |<br>**Year Ended** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Unit Fair Value Corresponding to Lowest to Highest Expense Ratio** | **Units Outstanding** | **Net Assets** | **Net Investment Income Ratio**<sup>2</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Expense Ratio** <br>**Lowest to Highest**<sup>3</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> | **Total Return Corresponding to Lowest to Highest Expense Ratio**<sup>4</sup> |
| Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> (continued) | Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> (continued) | Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> (continued) | Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> (continued) | Victory Pioneer Strategic Income VCT Portfolio Class I<sup>1</sup> (continued) |  |  |  |  |  |  |  |  |  |
|  | 2024 | $13.586 | to | $13.586 | 4888 | $66406 | 4.30% | 0.60% | to | 0.60% | 3.64% | to | 3.64% |
|  | 2023 | 13.109 | to | 13.109 | 5509 | 72220 | 3.86 | 0.60 | to | 0.60 | 7.67 | to | 7.67 |
|  | 2022 | 12.175 | to | 12.175 | 5509 | 67070 | 3.15 | 0.60 | to | 0.60 | (13.21) | to | (13.21) |
|  | 2021 | 14.028 | to | 14.028 | 5509 | 77281 | 3.28 | 0.60 | to | 0.60 | 1.37 | to | 1.37 |
| Victory Pioneer Strategic Income VCT Portfolio Class II<sup>1</sup> | Victory Pioneer Strategic Income VCT Portfolio Class II<sup>1</sup> | Victory Pioneer Strategic Income VCT Portfolio Class II<sup>1</sup> | Victory Pioneer Strategic Income VCT Portfolio Class II<sup>1</sup> | Victory Pioneer Strategic Income VCT Portfolio Class II<sup>1</sup> |  |  |  |  |  |  |  |  |  |
|  | 2025 | 19.071 | to | 19.071 | 1113 | 21230 | 4.45 | 1.25 | to | 1.25 | 9.48 | to | 9.48 |
|  | 2024 | 17.420 | to | 17.420 | 2738 | 47698 | 4.05 | 1.25 | to | 1.25 | 2.59 | to | 2.59 |
|  | 2023 | 16.981 | to | 16.981 | 2700 | 45842 | 3.61 | 1.25 | to | 1.25 | 6.72 | to | 6.72 |
|  | 2022 | 15.912 | to | 15.912 | 2741 | 43609 | 2.87 | 1.25 | to | 1.25 | (13.92) | to | (13.92) |
|  | 2021 | 18.486 | to | 18.486 | 3864 | 71430 | 3.04 | 1.25 | to | 1.25 | 0.47 | to | 0.47 |
| Virtus Duff & Phelps Real Estate Securities Series I | Virtus Duff & Phelps Real Estate Securities Series I | Virtus Duff & Phelps Real Estate Securities Series I | Virtus Duff & Phelps Real Estate Securities Series I | Virtus Duff & Phelps Real Estate Securities Series I |  |  |  |  |  |  |  |  |  |
|  | 2025 | 20.675 | to | 20.675 | 181 | 3735 | 2.96 | 0.60 | to | 0.60 | 0.40 | to | 0.40 |
|  | 2024 | 20.593 | to | 20.593 | 181 | 3732 | 2.35 | 0.60 | to | 0.60 | 10.48 | to | 10.48 |
|  | 2023 | 18.639 | to | 18.639 | 181 | 3378 | 1.72 | 0.60 | to | 0.60 | 10.65 | to | 10.65 |
|  | 2022 | 16.845 | to | 16.845 | 336 | 5677 | 1.32 | 0.60 | to | 0.60 | (26.34) | to | (26.34) |
|  | 2021 | 22.870 | to | 22.870 | 336 | 7705 | 1.06 | 0.60 | to | 0.60 | 45.99 | to | 45.99 |
| Virtus KAR Small-Cap Growth Series I | Virtus KAR Small-Cap Growth Series I | Virtus KAR Small-Cap Growth Series I | Virtus KAR Small-Cap Growth Series I | Virtus KAR Small-Cap Growth Series I |  |  |  |  |  |  |  |  |  |
|  | 2025 | 38.155 | to | 38.155 | 823 | 31402 |  | 0.60 | to | 0.60 | (22.91) | to | (22.91) |
|  | 2024 | 49.493 | to | 49.493 | 823 | 40734 |  | 0.60 | to | 0.60 | 9.33 | to | 9.33 |
|  | 2023 | 45.268 | to | 45.268 | 823 | 37256 |  | 0.60 | to | 0.60 | 19.28 | to | 19.28 |
|  | 2022 | 37.951 | to | 37.951 | 1013 | 38463 |  | 0.60 | to | 0.60 | (30.56) | to | (30.56) |
|  | 2021 | 54.655 | to | 54.655 | 1013 | 55392 |  | 0.60 | to | 0.60 | 4.58 | to | 4.58 |
| VY JPMorgan Emerging Markets Equity Portfolio Initial | VY JPMorgan Emerging Markets Equity Portfolio Initial | VY JPMorgan Emerging Markets Equity Portfolio Initial | VY JPMorgan Emerging Markets Equity Portfolio Initial | VY JPMorgan Emerging Markets Equity Portfolio Initial |  |  |  |  |  |  |  |  |  |
|  | 2025 | 43.164 | to | 43.164 | 546 | 23571 | 0.98 | 1.25 | to | 1.25 | 37.34 | to | 37.34 |
|  | 2024 | 31.429 | to | 31.429 | 583 | 18321 | 1.06 | 1.25 | to | 1.25 | 0.87 | to | 0.87 |
|  | 2023 | 31.159 | to | 31.159 | 622 | 19375 | 1.95 | 1.25 | to | 1.25 | 5.48 | to | 5.48 |
|  | 2022 | 29.539 | to | 29.539 | 661 | 19537 |  | 1.25 | to | 1.25 | (26.81) | to | (26.81) |
|  | 2021 | 40.361 | to | 40.361 | 704 | 28435 |  | 1.25 | to | 1.25 | (10.96) | to | (10.96) |

---

<sup>1</sup>Reference Note 1 of the financial statements for additional information pertaining to this sub-account.

<sup>2</sup>These amounts represent the dividends, excluding distributions of capital gains, received by the sub-account from the underlying Mutual Funds, net of management fees assessed by the Mutual Fund manager, divided by the trading days' average net assets. These ratios exclude those expenses, such as mortality and expense risk charges, that result in direct reductions in the Unit values. The recognition of investment income by the sub-account is affected by the timing of the declaration of dividends by the underlying Mutual Fund in which the sub-accounts invest.

<sup>3</sup>These amounts represent the annualized contract expenses of the Separate Account, consisting primarily of mortality and expense risk charges, for the period indicated. The ratios include only those expenses that result in a direct reduction to Unit values. Charges made directly to contract owner accounts through the redemption of Units and expenses of the underlying Mutual Fund are excluded.

<sup>4</sup>These amounts represent the total return for the periods indicated, including changes in the value of the underlying Mutual Fund, and reflect deductions for all items included in the expense ratio with the exception of Mutual Fund reorganization. Mutual Funds that have reorganized during the year present information through the time of the reorganization. The total return ratio does not include any expenses assessed through the redemption of Units, inclusion of these expenses in the calculation would result in a reduction in the total return presented. The total return is calculated for the period indicated or from the effective commencement date through the end of the reporting period.

------

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| |
|:---|
| Symetra Resource Variable Account B |
| **Notes to Financial Statements** |

---

**7. SUBSEQUENT EVENTS**

The Separate Account has evaluated subsequent events through April 22, 2026, the date which the Separate Account's financial statements were available to be issued.

<br>