# EDGAR Filing Document

**Accession Number:** 0000948255
**File Stem:** 0000948255-26-000023
**Filing Date:** 2026-4
**Character Count:** 474790
**Document Hash:** be5215769b61feb8322599e537d068db
**Contains OCR:** False
**Source Format:** 

## Filing Content

## Filing Summary
**0000948255-26-000023.hdr.sgml**: 20260413

**ACCESSION NUMBER**: 0000948255-26-000023

**CONFORMED SUBMISSION TYPE**: N-VPFS

**PUBLIC DOCUMENT COUNT**: 1

**CONFORMED PERIOD OF REPORT**: 20251231

**FILED AS OF DATE**: 20260413

**DATE AS OF CHANGE**: 20260413

**EFFECTIVENESS DATE**: 20260413

**FILER**: 

**COMPANY DATA:**
- **COMPANY CONFORMED NAME:** WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A
- **CENTRAL INDEX KEY:** 0000948255

**ORGANIZATION NAME:**
- **EIN:** 362608394
- **STATE OF INCORPORATION:** NY
- **FISCAL YEAR END:** 1231

**FILING VALUES:**
- **FORM TYPE:** N-VPFS
- **SEC ACT:** 1940 Act
- **SEC FILE NUMBER:** 811-07467
- **FILM NUMBER:** 26857349

**BUSINESS ADDRESS:**
- **STREET 1:** 800 WESTCHESTER AVENUE, SUITE 641 N
- **CITY:** RYE BROOK
- **STATE:** NY
- **ZIP:** 10573
- **BUSINESS PHONE:** 319-491-8364

**MAIL ADDRESS:**
- **STREET 1:** 4840 N. RIVER BLVD, SUITE 400
- **CITY:** CEDAR RAPIDS
- **STATE:** IA
- **ZIP:** 52411

**FORMER COMPANY:**
- **FORMER CONFORMED NAME:** WILTON REASSURANCE LIFE Co OF NEW YORK SEPARATE ACCOUNT A
- **DATE OF NAME CHANGE:** 20220811

**FORMER COMPANY:**
- **FORMER CONFORMED NAME:** ALLSTATE LIFE OF NEW YORK SEPARATE ACCOUNT A
- **DATE OF NAME CHANGE:** 19950719

## Series and Classes Contracts Data

### WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A (Series ID: S000002037)

| Class ID   | Class Name                                              | Ticker Symbol   |
|:---|:---|:---|
| C000005301 | Allstate Provider Variable Annuity                      |  |
| C000005306 | The Scudder Horizon Advantage VA                        |  |
| C000005307 | Custom Portfolio Plus Variable Annuity                  |  |
| C000020935 | Provider Ultra Variable Annuity                         |  |
| C000233749 | New Allstate Variable Annuity 3 AssetManager            |  |
| C000233752 | New Custom Portfolio VA                                 |  |
| C000233753 | New SelectDirections Variable Annuity                   |  |
| C000233760 | New AIM Lifetime Plus Variable Annuity                  |  |
| C000233761 | New AIM Lifetime Plus II Variable Annuity               |  |
| C000233763 | New AIM Lifetime Enhanced Choice VA                     |  |
| C000233765 | New Allstate Variable Annuity                           |  |
| C000233769 | New Allstate Variable Annuity II                        |  |
| C000233770 | New Allstate Variable Annuity 3                         |  |
| C000233783 | New Preferred Client Variable Annuity                   |  |
| C000233784 | New AIM Lifetime America Classic                        |  |
| C000233785 | New AIM Lifetime America Regal                          |  |
| C000233786 | New AIM Lifetime America Freedom                        |  |
| C000233799 | New Putnam Allstate Advisor Preferred_1                 |  |
| C000233800 | New Allstate Variable Annuity - L Share_1               |  |
| C000233801 | New Allstate Advisor Preferred_1                        |  |
| C000233802 | New Allstate Advisor Variable Annuity_1                 |  |
| C000233803 | New Allstate Advisor Plus_1                             |  |
| C000233804 | New Putnam Allstate Advisor_1                           |  |
| C000233805 | New Allstate Variable Annuity - B Share_1               |  |
| C000233806 | New Putnam Allstate Advisor Plus_1                      |  |
| C000233807 | New Putnam Allstate Advisor Preferred_2                 |  |
| C000233808 | New Putnam Allstate Advisor Plus_2                      |  |
| C000233809 | New Allstate Advisor Variable Annuity_2                 |  |
| C000233810 | New Allstate Advisor Plus_2                             |  |
| C000233811 | New Putnam Allstate Advisor_2                           |  |
| C000233812 | New Allstate Advisor Preferred_2                        |  |
| C000233828 | New Putnam Allstate Advisor Preferred_3                 |  |
| C000233829 | New Allstate Variable Annuity - L Share_2               |  |
| C000233830 | New Allstate Advisor Preferred_3                        |  |
| C000233831 | New Allstate Advisor Variable Annuity_3                 |  |
| C000233832 | New Allstate Advisor Plus_3                             |  |
| C000233833 | New Putnam Allstate Advisor_3                           |  |
| C000233834 | New Allstate Variable Annuity - B Share_2               |  |
| C000233835 | New Putnam Allstate Advisor Plus_3                      |  |
| C000237782 | New Allstate RetirementAccess Variable Annuity X Series |  |
| C000237783 | New Allstate RetirementAccess Variable Annuity L Series |  |
| C000237784 | New Allstate RetirementAccess Variable Annuity B Series |  |

---

| |
|:---|
| ***Wilton Reassurance Life*** |
| ***Co of New York*** |
| ***Separate Account A*** |
| *Financial Statements as of December 31, 2025 and for* |
| *the Years Ended December 31, 2025 and 2024 and* |
| *Report of Independent Registered Public Accounting* |
| *Firm* |

---

------

**REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM**

To the Board of Directors of Wilton Reassurance Life Co of New York and the contractholders of Wilton Reassurance Life Co of New York Separate Account A

**Opinion on the Financial Statements and Financial Highlights** 

We have audited the accompanying statement of net assets of each of the sub-accounts of Wilton Reassurance Life Co of New York Separate Account A (the "Account") listed in Note 1 (collectively, the "sub-accounts") as of December 31, 2025, the related statement of operations for the year then ended, statements of changes in net assets for each of the two years in the period then ended, and financial highlights for each of the five years in the period then ended, except for the sub-accounts included in the table below; the related statements of operations, changes in net assets, and the financial highlights for the sub-accounts and periods indicated in the table below; and the related notes (collectively referred to as the "financial statements and financial highlights"). In our opinion, the financial statements and financial highlights present fairly, in all material respects, the financial position of each of the sub-accounts as of December 31, 2025, and the results of their operations for the year then ended (or for the periods listed in the table below), the changes in their net assets for each of the two years in the period then ended (or for the periods listed in the table below), and the financial highlights for each of the five years in the period then ended (or for the periods listed in the table below), in conformity with accounting principles generally accepted in the United States of America.

---

| | | | |
|:---|:---|:---|:---|
| **Sub-Account** | **Statement of Operations** | **Statements of Changes in Net Assets** | **Financial Highlights** |
| AST Balanced Asset Allocation Portfolio | For the year ended December 31, 2025 | For the year ended December 31, 2025 and period from December 6, 2024 (commencement of operations) to December 31, 2024 | For the year ended December 31, 2025 and period from December 6, 2024 (commencement of operations) to December 31, 2024 |
| Invesco V.I. Equally-Weighted S&P 500 Fund - Series I | For the year ended December 31, 2025 | For the years ended December 31, 2025 and 2024 | For the years ended December 31, 2025, 2024 and 2023 and period from April 29, 2022 (commencement of operations) to December 31, 2022 |
| Invesco V.I. Equally-Weighted S&P 500 Fund - Series II | For the year ended December 31, 2025 | For the years ended December 31, 2025 and 2024 | For the years ended December 31, 2025, 2024 and 2023 and period from April 29, 2022 (commencement of operations) to December 31, 2022 |

---

**Basis for Opinion**

These financial statements and financial highlights are the responsibility of the Account's management. Our responsibility is to express an opinion on the Account's financial statements and financial highlights 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 Account 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 and financial highlights are free of material misstatement, whether due to error or fraud. The Account is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audits we are required to obtain an understanding of internal control over financial reporting but not for the purpose of expressing an opinion on the effectiveness of the Account's internal control over financial reporting. Accordingly, we express no such opinion.

------

Our audits included performing procedures to assess the risks of material misstatement of the financial statements and financial highlights, 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 and financial highlights. 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 and financial highlights. Our procedures included confirmation of securities owned as of December 31, 2025, by correspondence with the Account's fund managers. We believe that our audits provide a reasonable basis for our opinion.

/s/ Deloitte & Touche LLP

Stamford, Connecticut

April 7, 2026

We have served as the auditor of Wilton Reassurance Life Co of New York Separate Account A since 1995.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Allspring VT Index Asset Allocation Fund - Class 2** |
| **ASSETS** | | | | | |
| Investments, at fair value | $386357 | $161172 | $1460957 | $1640556 | $145846 |
| &nbsp;&nbsp;&nbsp;Total assets | $386357 | $161172 | $1460957 | $1640556 | $145846 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $386357 | $161172 | $1455957 | $1629728 | $145846 |
| Contracts in payout (annuitization) period |  |  | 5000 | 10828 |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $386357 | $161172 | $1460957 | $1640556 | $145846 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 23717 | 7741 | 17930 | 53178 | 7292 |
| Cost of investments | $405083 | $130371 | $1101714 | $1412869 | $119299 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $51.73 | $15.16 | $41.26 | $38.99 | $37.89 |
| Highest | $59.37 | $17.19 | $93.39 | $52.58 | $37.89 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Allspring VT Index Asset Allocation Fund - Class 2** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $2287 | $3334 | $— | $14423 | $1953 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (6417) | (2301) | (21997) | (23483) | (1853) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (726) | (271) | (2411) | (2256) | (161) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (4856) | 762 | (24408) | (11316) | (61) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 18042 | 5657 | 162315 | 182672 | 72701 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 18458 | 5069 | 131657 | 162519 | 60373 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | (416) | 588 | 30658 | 20153 | 12328 |
| Realized gain distributions | 43144 |  | 134726 | 134683 | 11620 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 42728 | 588 | 165384 | 154836 | 23948 |
| Change in unrealized gains (losses) | (35151) | 44227 | (7869) | (10757) | (12526) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 7577 | 44815 | 157515 | 144079 | 11422 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $2721 | $45577 | $133107 | $132763 | $11361 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Allspring VT Opportunity Fund - Class 2** | **AST Balanced Asset Allocation Portfolio** | **AST Government Money Market Portfolio** | **AST International Equity Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio**  |
| **ASSETS** | | | | | |
| Investments, at fair value | $40409 | $15686 | $9 | $3104 | $— |
| &nbsp;&nbsp;&nbsp;Total assets | $40409 | $15686 | $9 | $3104 | $— |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $40409 | $15686 | $9 | $3104 | $— |
| Contracts in payout (annuitization) period |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $40409 | $15686 | $9 | $3104 | $— |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 1572 | 490 | 9 | 87 |  |
| Cost of investments | $35563 | $14317 | $9 | $661 | $— |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $26.58 | $19.45 | $7.35 | $16.73 | $— |
| Highest | $26.58 | $30.15 | $10.41 | $35.2 | $— |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Allspring VT Opportunity Fund - Class 2** | **AST Balanced Asset Allocation Portfolio** | **AST Government Money Market Portfolio** | **AST International Equity Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $20 | $— | $— | $— | $— |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (447) | (320) |  | (35) | (233) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (39) | (30) |  | (4) | (22) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (466) | (350) |  | (39) | (255) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 2177 | 37568 |  | 42 | 19502 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 1899 | 37768 |  | 9 | 9764 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 278 | (200) |  | 33 | 9738 |
| Realized gain distributions | 4115 |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 4393 | (200) |  | 33 | 9738 |
| Change in unrealized gains (losses) | (1827) | 2448 |  | 743 | (7992) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 2566 | 2248 |  | 776 | 1746 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| **NET ASSETS FROM OPERATIONS** | $2100 | $1898 | $— | $737 | $1491 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Value Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** |
| **ASSETS** | | | | | |
| Investments, at fair value | $24825 | $14491 | $17736 | $— | $14432 |
| &nbsp;&nbsp;&nbsp;Total assets | $24825 | $14491 | $17736 | $— | $14432 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $24825 | $14491 | $17736 | $— | $14432 |
| Contracts in payout (annuitization) period |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $24825 | $14491 | $17736 | $— | $14432 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 225 | 237 | 805 |  | 503 |
| Cost of investments | $14680 | $12126 | $7032 | $— | $12037 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $59.00 | $22.62 | $13.00 | $— | $17.37 |
| Highest | $99.90 | $50.95 | $21.23 | $— | $31.62 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Value Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $— | $— | $— | $— | $— |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (281) | (165) | (336) | (351) | (292) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (34) | (20) | (26) | (33) | (27) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (315) | (185) | (362) | (384) | (319) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 346 | 203 | 1512 | 29934 | 34124 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 228 | 184 | 637 | 9597 | 28936 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 118 | 19 | 875 | 20337 | 5188 |
| Realized gain distributions |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 118 | 19 | 875 | 20337 | 5188 |
| Change in unrealized gains (losses) | 3518 | 1999 | 1339 | (16731) | (2966) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 3636 | 2018 | 2214 | 3606 | 2222 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $3321 | $1833 | $1852 | $3222 | $1903 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **AST Preservation Asset Allocation Portfolio** | **AST Small-Cap Equity Portfolio**  | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** |
| **ASSETS** | | | | | |
| Investments, at fair value | $66974 | $5638 | $2281492 | $157077 | $76749 |
| &nbsp;&nbsp;&nbsp;Total assets | $66974 | $5638 | $2281492 | $157077 | $76749 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $66974 | $5638 | $2274240 | $157077 | $76749 |
| Contracts in payout (annuitization) period |  |  | 7252 |  |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $66974 | $5638 | $2281492 | $157077 | $76749 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 2827 | 65 | 26179 | 2685 | 2279 |
| Cost of investments | $32058 | $4234 | $1172494 | $95625 | $78791 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $15.28 | $30.75 | $53.55 | $36.36 | $46.91 |
| Highest | $20.66 | $55.55 | $53.55 | $36.36 | $46.91 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **AST Preservation Asset Allocation Portfolio** | **AST Small-Cap Equity Portfolio** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $— | $— | $21893 | $361 | $266 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (846) | (65) | (24456) | (1650) | (836) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (95) | (8) | (2127) | (143) | (73) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (941) | (73) | (4690) | (1432) | (643) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 1002 | 80 | 194666 | 3222 | 1070 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 508 | 64 | 108203 | 2138 | 1126 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 494 | 16 | 86463 | 1084 | (56) |
| Realized gain distributions |  |  | 119168 | 11536 | 10770 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 494 | 16 | 205631 | 12620 | 10714 |
| Change in unrealized gains (losses) | 6365 | 373 | 117507 | 8681 | (3925) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 6859 | 389 | 323138 | 21301 | 6789 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $5918 | $316 | $318448 | $19869 | $6146 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **BNY Mellon VIF, Government Money Market Portfolio** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** |
| **ASSETS** | | | | | |
| Investments, at fair value | $167972 | $1814818 | $1328009 | $975227 | $10705 |
| &nbsp;&nbsp;&nbsp;Total assets | $167972 | $1814818 | $1328009 | $975227 | $10705 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $167972 | $1814818 | $1241241 | $971081 | $10039 |
| Contracts in payout (annuitization) period |  |  | 86768 | 4146 | 666 |
| &nbsp;&nbsp;&nbsp;Total net assets | $167972 | $1814818 | $1328009 | $975227 | $10705 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 167972 | 30303 | 23356 | 33137 | 890 |
| Cost of investments | $167972 | $1260950 | $970386 | $766572 | $10681 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $10.53 | $82.70 | $52.09 | $47.84 | $17.90 |
| Highest | $10.53 | $87.61 | $76.30 | $47.84 | $20.58 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **BNY Mellon VIF, Government Money Market Portfolio** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $6567 | $2366 | $— | $16511 | $339 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (1959) | (19384) | (18426) | (10692) | (212) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (170) | (1686) | (2461) | (930) | (27) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 4438 | (18704) | (20887) | 4889 | 100 |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 21513 | 217397 | 293917 | 111488 | 48496 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 21513 | 136102 | 194335 | 88504 | 53335 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: |  | 81295 | 99582 | 22984 | (4839) |
| Realized gain distributions |  | 271188 | 211537 | 51277 | 151 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) |  | 352483 | 311119 | 74261 | (4688) |
| Change in unrealized gains (losses) |  | (26890) | (52489) | 72478 | 6130 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments |  | 325593 | 258630 | 146739 | 1442 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $4438 | $306889 | $237743 | $151628 | $1542 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Initial Class**  | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** |
| **ASSETS** | | | | | |
| Investments, at fair value | $504260 | $22174 | $573740 | $5023637 | $1718280 |
| &nbsp;&nbsp;&nbsp;Total assets | $504260 | $22174 | $573740 | $5023637 | $1718280 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $504260 | $22174 | $573740 | $4622615 | $1691423 |
| Contracts in payout (annuitization) period |  |  |  | 401022 | 26857 |
| &nbsp;&nbsp;&nbsp;Total net assets | $504260 | $22174 | $573740 | $5023637 | $1718280 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 38405 | 1265 | 49333 | 5023637 | 1718280 |
| Cost of investments | $476861 | $15352 | $589100 | $5023637 | $1718280 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $20.73 | $24.15 | $14.40 | $10.59 | $9.23 |
| Highest | $23.83 | $27.76 | $16.56 | $11.42 | $10.52 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $17184 | $459 | $17540 | $205126 | $67270 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (12219) | (294) | (6324) | (63983) | (26146) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (1677) | (40) | (1087) | (5063) | (2940) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 3288 | 125 | 10129 | 136080 | 38184 |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 2461351 | 334 | 64848 | 1606244 | 210815 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 2659664 | 238 | 65936 | 1606244 | 210815 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | (198313) | 96 | (1088) |  |  |
| Realized gain distributions | 112095 | 904 | 195 |  |  |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | (86218) | 1000 | (893) |  |  |
| Change in unrealized gains (losses) | 160360 | 1485 | 34353 |  |  |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 74142 | 2485 | 33460 |  |  |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $77430 | $2610 | $43589 | $136080 | $38184 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** |
| **ASSETS** | | | | | |
| Investments, at fair value | $35820 | $563719 | $464787 | $1419939 | $123153 |
| &nbsp;&nbsp;&nbsp;Total assets | $35820 | $563719 | $464787 | $1419939 | $123153 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $35820 | $563719 | $464787 | $1415919 | $123153 |
| Contracts in payout (annuitization) period |  |  |  | 4020 |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $35820 | $563719 | $464787 | $1419939 | $123153 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 1120 | 5655 | 4821 | 14531 | 25236 |
| Cost of investments | $22330 | $246980 | $289207 | $1074857 | $135607 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $49.38 | $90.02 | $87.99 | $55.57 | $23.87 |
| Highest | $55.99 | $90.02 | $101.17 | $61.18 | $23.87 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $449 | $— | $— | $3905 | $7768 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (438) | (5742) | (5747) | (15187) | (1385) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (63) | (499) | (846) | (1321) | (121) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (52) | (6241) | (6593) | (12603) | 6262 |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 1792 | 8760 | 52055 | 81691 | 10102 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 1013 | 4334 | 33610 | 60290 | 11450 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 779 | 4426 | 18445 | 21401 | (1348) |
| Realized gain distributions | 3242 | 7836 | 6270 | 173246 |  |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 4021 | 12262 | 24715 | 194647 | (1348) |
| Change in unrealized gains (losses) | 2027 | 89283 | 65673 | (14937) | 5270 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 6048 | 101545 | 90388 | 179710 | 3922 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $5996 | $95304 | $83795 | $167107 | $10184 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** |
| **ASSETS** | | | | | |
| Investments, at fair value | $2708 | $1199941 | $1221377 | $133763 | $303207 |
| &nbsp;&nbsp;&nbsp;Total assets | $2708 | $1199941 | $1221377 | $133763 | $303207 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $2708 | $1199941 | $1213482 | $133763 | $303207 |
| Contracts in payout (annuitization) period |  |  | 7895 |  |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $2708 | $1199941 | $1221377 | $133763 | $303207 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 587 | 1818 | 1878 | 11775 | 8621 |
| Cost of investments | $2955 | $393876 | $541187 | $148406 | $290139 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $20.24 | $53.45 | $48.26 | $20.69 | $32.51 |
| Highest | $22.95 | $53.45 | $55.49 | $20.69 | $50.85 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $172 | $12988 | $9985 | $5484 | $709 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (32) | (12934) | (13984) | (2196) | (3958) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (4) | (1125) | (2175) | (191) | (568) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 136 | (1071) | (6174) | 3097 | (3817) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 37 | 115805 | 165819 | 159432 | 35745 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 41 | 42350 | 78468 | 178595 | 34234 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | (4) | 73455 | 87351 | (19163) | 1511 |
| Realized gain distributions |  | 5939 | 5846 |  | 35003 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | (4) | 79394 | 93197 | (19163) | 36514 |
| Change in unrealized gains (losses) | 77 | 91262 | 82160 | 27890 | (4565) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 73 | 170656 | 175357 | 8727 | 31949 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $209 | $169585 | $169183 | $11824 | $28132 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Income VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** |
| **ASSETS** | | | | | |
| Investments, at fair value | $51156 | $35631 | $3619807 | $4285427 | $4227840 |
| &nbsp;&nbsp;&nbsp;Total assets | $51156 | $35631 | $3619807 | $4285427 | $4227840 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $51156 | $35631 | $3525630 | $4250987 | $4161155 |
| Contracts in payout (annuitization) period |  |  | 94177 | 34440 | 66685 |
| &nbsp;&nbsp;&nbsp;Total net assets | $51156 | $35631 | $3619807 | $4285427 | $4227840 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 1859 | 5415 | 492491 | 282680 | 235797 |
| Cost of investments | $38246 | $33383 | $4112217 | $4159184 | $4227058 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $23.73 | $54.04 | $34.75 | $23.66 | $44.10 |
| Highest | $24.65 | $61.27 | $57.74 | $29.70 | $51.39 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Income VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $1029 | $— | $75091 | $216292 | $— |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (923) | (558) | (44887) | (55256) | (54774) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (80) | (62) | (6635) | (7431) | (8001) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 26 | (620) | 23569 | 153605 | (62775) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 62762 | 800 | 376041 | 703450 | 681451 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 46094 | 812 | 450176 | 715427 | 650159 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 16668 | (12) | (74135) | (11977) | 31292 |
| Realized gain distributions | 5868 |  | 323299 | 45464 | 828842 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 22536 | (12) | 249164 | 33487 | 860134 |
| Change in unrealized gains (losses) | (7997) | 5548 | 218361 | 257224 | (554285) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 14539 | 5536 | 467525 | 290711 | 305849 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $14565 | $4916 | $491094 | $444316 | $243074 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Shares VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin U.S. Government Securities VIP Fund - Class 2** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** |
| **ASSETS** | | | | | |
| Investments, at fair value | $327775 | $2631017 | $1904363 | $715286 | $20906 |
| &nbsp;&nbsp;&nbsp;Total assets | $327775 | $2631017 | $1904363 | $715286 | $20906 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $298951 | $2551725 | $1872610 | $708466 | $20906 |
| Contracts in payout (annuitization) period | 28824 | 79292 | 31753 | 6820 |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $327775 | $2631017 | $1904363 | $715286 | $20906 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 17197 | 163417 | 137301 | 68122 | 2556 |
| Cost of investments | $325988 | $2687791 | $1954413 | $805016 | $23802 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $26.84 | $24.29 | $35.34 | $10.64 | $30.70 |
| Highest | $38.73 | $39.38 | $69.23 | $12.70 | $34.81 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Shares VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin U.S. Government Securities VIP Fund - Class 2** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  | 0 |
| Dividends | $7702 | $52852 | $19663 | $22860 | $223 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (4971) | (34255) | (24227) | (9349) | (271) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (769) | (4969) | (3503) | (1336) | (38) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 1962 | 13628 | (8067) | 12175 | (86) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 154064 | 497226 | 286223 | 42024 | 372 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 157562 | 502065 | 299405 | 48210 | 401 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | (3498) | (4839) | (13182) | (6186) | (29) |
| Realized gain distributions | 42692 | 260402 | 153356 |  | 2776 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 39194 | 255563 | 140174 | (6186) | 2747 |
| Change in unrealized gains (losses) | 35761 | (22584) | (22272) | 28854 | (908) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 74955 | 232979 | 117902 | 22668 | 1839 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $76917 | $246607 | $109835 | $34843 | $1753 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series II** |
| **ASSETS** | | | | | |
| Investments, at fair value | $69849 | $54694 | $39031 | $6535642 | $2011870 |
| &nbsp;&nbsp;&nbsp;Total assets | $69849 | $54694 | $39031 | $6535642 | $2011870 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $69849 | $54694 | $39031 | $6369877 | $2011870 |
| Contracts in payout (annuitization) period |  |  |  | 165765 |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $69849 | $54694 | $39031 | $6535642 | $2011870 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 4288 | 3830 | 1791 | 80687 | 27962 |
| Cost of investments | $69492 | $49864 | $32342 | $4347569 | $1516265 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $38.48 | $35.91 | $50.64 | $30.38 | $47.84 |
| Highest | $43.63 | $40.72 | $57.42 | $86.59 | $81.01 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series II** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $807 | $373 | $257 | $— | $— |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (1133) | (826) | (497) | (76290) | (27389) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (126) | (94) | (68) | (6491) | (2718) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (452) | (547) | (308) | (82781) | (30107) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 1389 | 1405 | 1004 | 875193 | 73928 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 1323 | 1273 | 784 | 564698 | 49874 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 66 | 132 | 220 | 310495 | 24054 |
| Realized gain distributions | 7314 | 4243 | 4869 | 608763 | 201642 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 7380 | 4375 | 5089 | 919258 | 225696 |
| Change in unrealized gains (losses) | (2146) | 2957 | 45 | (206609) | (16643) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 5234 | 7332 | 5134 | 712649 | 209053 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $4782 | $6785 | $4826 | $629868 | $178946 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Core Equity Fund - Series I** |
| **ASSETS** | | | | | |
| Investments, at fair value | $3026965 | $2102943 | $702575 | $4833694 | $3315315 |
| &nbsp;&nbsp;&nbsp;Total assets | $3026965 | $2102943 | $702575 | $4833694 | $3315315 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $2879178 | $2073914 | $692811 | $4779145 | $3239377 |
| Contracts in payout (annuitization) period | 147787 | 29029 | 9764 | 54549 | 75938 |
| &nbsp;&nbsp;&nbsp;Total net assets | $3026965 | $2102943 | $702575 | $4833694 | $3315315 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 166775 | 118409 | 32800 | 227041 | 92015 |
| Cost of investments | $2647050 | $1765763 | $543054 | $3712187 | $2677615 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $17.42 | $17.18 | $49.93 | $37.08 | $31.33 |
| Highest | $79.37 | $81.75 | $62.03 | $60.62 | $74.11 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Core Equity Fund - Series I** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $13012 | $4208 | $11251 | $67343 | $21751 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (35276) | (27409) | (8633) | (67045) | (40239) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (3281) | (3506) | (662) | (8430) | (3392) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (25545) | (26707) | 1956 | (8132) | (21880) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 348180 | 205703 | 66243 | 539968 | 626124 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 313283 | 167660 | 49357 | 408922 | 505103 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 34897 | 38043 | 16886 | 131046 | 121021 |
| Realized gain distributions | 434185 | 302319 | 70940 | 499057 | 250392 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 469082 | 340362 | 87826 | 630103 | 371413 |
| Change in unrealized gains (losses) | 53154 | 28212 | 9319 | 43308 | 119601 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 522236 | 368574 | 97145 | 673411 | 491014 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $496691 | $341867 | $99101 | $665279 | $469134 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series II** |
| **ASSETS** | | | | | |
| Investments, at fair value | $31599 | $340881 | $1581131 | $422201 | $5544883 |
| &nbsp;&nbsp;&nbsp;Total assets | $31599 | $340881 | $1581131 | $422201 | $5544883 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $31599 | $340881 | $1555066 | $422201 | $5453460 |
| Contracts in payout (annuitization) period |  |  | 26065 |  | 91423 |
| &nbsp;&nbsp;&nbsp;Total net assets | $31599 | $340881 | $1581131 | $422201 | $5544883 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 884 | 58270 | 274026 | 6675 | 93585 |
| Cost of investments | $25098 | $375963 | $1583832 | $308016 | $4341180 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $34.50 | $14.88 | $10.26 | $43.22 | $48.54 |
| Highest | $46.83 | $18.85 | $15.52 | $43.22 | $69.14 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series II** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $123 | $14709 | $64344 | $— | $— |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (468) | (4096) | (20853) | (4717) | (71709) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (45) | (349) | (3084) | (410) | (10569) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (390) | 10264 | 40407 | (5127) | (82278) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 602 | 44432 | 842405 | 76996 | 1187571 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 478 | 46440 | 848847 | 52497 | 887478 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 124 | (2008) | (6442) | 24499 | 300093 |
| Realized gain distributions | 2252 |  |  | 48113 | 696067 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 2376 | (2008) | (6442) | 72612 | 996160 |
| Change in unrealized gains (losses) | 1873 | 11140 | 52740 | (23128) | (344532) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 4249 | 9132 | 46298 | 49484 | 651628 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $3859 | $19396 | $86705 | $44357 | $569350 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I** |
| **ASSETS** | | | | | |
| Investments, at fair value | $763951 | $1972373 | $5815084 | $654851 | $2610389 |
| &nbsp;&nbsp;&nbsp;Total assets | $763951 | $1972373 | $5815084 | $654851 | $2610389 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $762062 | $1967890 | $5503576 | $654851 | $2559403 |
| Contracts in payout (annuitization) period | 1889 | 4483 | 311508 |  | 50986 |
| &nbsp;&nbsp;&nbsp;Total net assets | $763951 | $1972373 | $5815084 | $654851 | $2610389 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 10158 | 31105 | 213633 | 24353 | 90923 |
| Cost of investments | $666133 | $1945210 | $4526182 | $473968 | $2511357 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $16.30 | $15.88 | $42.23 | $32.34 | $13.09 |
| Highest | $28.09 | $59.54 | $130.81 | $43.76 | $13.47 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $— | $— | $90717 | $9118 | $40054 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (10334) | (26531) | (69036) | (8781) | (33695) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (837) | (3516) | (5595) | (761) | (2561) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (11171) | (30047) | 16086 | (424) | 3798 |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 171287 | 141907 | 518607 | 65364 | 424235 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 147535 | 136390 | 396775 | 46939 | 395449 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 23752 | 5517 | 121832 | 18425 | 28786 |
| Realized gain distributions | 70645 | 193192 | 433749 | 51261 | 195723 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 94397 | 198709 | 555581 | 69686 | 224509 |
| Change in unrealized gains (losses) | (53344) | (107011) | 175712 | 14894 | 6111 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 41053 | 91698 | 731293 | 84580 | 230620 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $29882 | $61651 | $747379 | $84156 | $234418 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series I**  | **Invesco V.I. Equity and Income Fund - Series II**  | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series II** |
| **ASSETS** | | | | | |
| Investments, at fair value | $1830847 | $1370392 | $1934095 | $705269 | $51474 |
| &nbsp;&nbsp;&nbsp;Total assets | $1830847 | $1370392 | $1934095 | $705269 | $51474 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $1830847 | $1215012 | $1930829 | $688635 | $51474 |
| Contracts in payout (annuitization) period |  | 155380 | 3266 | 16634 |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $1830847 | $1370392 | $1934095 | $705269 | $51474 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 66819 | 75008 | 106738 | 19531 | 1454 |
| Cost of investments | $1773162 | $1259991 | $1752342 | $559525 | $46119 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $12.77 | $23.74 | $24.01 | $21.89 | $14.57 |
| Highest | $13.05 | $58.40 | $43.43 | $41.39 | $33.70 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series II** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $24898 | $28860 | $34753 | $10950 | $563 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (28232) | (16842) | (26303) | (9382) | (733) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (3035) | (1387) | (3453) | (778) | (48) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (6369) | 10631 | 4997 | 790 | (218) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 70966 | 227412 | 224092 | 206289 | 1969 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 67507 | 211349 | 207324 | 169937 | 1676 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 3459 | 16063 | 16768 | 36352 | 293 |
| Realized gain distributions | 143957 | 73312 | 99709 | 48601 | 3074 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 147416 | 89375 | 116477 | 84953 | 3367 |
| Change in unrealized gains (losses) | 9656 | 49331 | 72909 | 21885 | 3120 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 157072 | 138706 | 189386 | 106838 | 6487 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $150703 | $149337 | $194383 | $107628 | $6269 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series I** |
| **ASSETS** | | | | | |
| Investments, at fair value | $1171776 | $221400 | $559200 | $1142694 | $331694 |
| &nbsp;&nbsp;&nbsp;Total assets | $1171776 | $221400 | $559200 | $1142694 | $331694 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $1032612 | $221400 | $559200 | $1142694 | $331694 |
| Contracts in payout (annuitization) period | 139164 |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $1171776 | $221400 | $559200 | $1142694 | $331694 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 99387 | 18715 | 14735 | 31479 | 72581 |
| Cost of investments | $930546 | $169088 | $500871 | $1086952 | $349643 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $31.82 | $26.11 | $48.71 | $39.42 | $4.84 |
| Highest | $56.77 | $32.83 | $48.71 | $71.98 | $23.94 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series I** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $15442 | $2378 | $— | $— | $21803 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (14132) | (2812) | (6161) | (14170) | (4261) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (1129) | (274) | (536) | (2051) | (371) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 181 | (708) | (6697) | (16221) | 17171 |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 113943 | 9291 | 67118 | 89721 | 94524 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 86164 | 7029 | 56489 | 77626 | 101259 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 27779 | 2262 | 10629 | 12095 | (6735) |
| Realized gain distributions | 76453 | 14506 | 98755 | 209430 |  |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 104232 | 16768 | 109384 | 221525 | (6735) |
| Change in unrealized gains (losses) | 44592 | 10697 | (35284) | (68356) | 30390 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 148824 | 27465 | 74100 | 153169 | 23655 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $149005 | $26757 | $67403 | $136948 | $40826 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Growth and Income Fund - Series II** |
| **ASSETS** | | | | | |
| Investments, at fair value | $3602323 | $154018 | $16 | $332330 | $2304186 |
| &nbsp;&nbsp;&nbsp;Total assets | $3602323 | $154018 | $16 | $332330 | $2304186 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $3519025 | $153279 | $16 | $332330 | $2256761 |
| Contracts in payout (annuitization) period | 83298 | 739 |  |  | 47425 |
| &nbsp;&nbsp;&nbsp;Total net assets | $3602323 | $154018 | $16 | $332330 | $2304186 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 763204 | 154018 | 16 | 31205 | 107975 |
| Cost of investments | $3806076 | $154018 | $16 | $358970 | $2046817 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $13.86 | $9.46 | $9.02 | $13.03 | $35.30 |
| Highest | $20.74 | $12.30 | $10.05 | $17.85 | $61.01 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Growth and Income Fund - Series II** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $188731 | $6077 | $— | $10300 | $26124 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (47843) | (2133) |  | (4018) | (29176) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (6892) | (153) |  | (363) | (4230) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 133996 | 3791 |  | 5919 | (7282) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 679213 | 6014 |  | 86038 | 319728 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 732440 | 6014 |  | 93722 | 289663 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | (53227) |  |  | (7684) | 30065 |
| Realized gain distributions |  |  |  |  | 170048 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | (53227) |  |  | (7684) | 200113 |
| Change in unrealized gains (losses) | 301420 |  |  | 23779 | 91466 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 248193 |  |  | 16095 | 291579 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $382189 | $3791 | $— | $22014 | $284297 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** |
| **ASSETS** | | | | | |
| Investments, at fair value | $321165 | $309199 | $1624085 | $7407475 | $431827 |
| &nbsp;&nbsp;&nbsp;Total assets | $321165 | $309199 | $1624085 | $7407475 | $431827 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $315552 | $302273 | $1619461 | $7322650 | $431697 |
| Contracts in payout (annuitization) period | 5613 | 6926 | 4624 | 84825 | 130 |
| &nbsp;&nbsp;&nbsp;Total net assets | $321165 | $309199 | $1624085 | $7407475 | $431827 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 67756 | 66210 | 73322 | 345337 | 39221 |
| Cost of investments | $357687 | $353508 | $1514256 | $7114698 | $430011 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $20.92 | $12.45 | $45.91 | $43.74 | $36.25 |
| Highest | $39.58 | $27.59 | $45.91 | $66.23 | $51.37 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $22075 | $21082 | $8337 | $22754 | $1408 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (4041) | (5412) | (17625) | (91799) | (5210) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (330) | (611) | (1533) | (13888) | (428) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 17704 | 15059 | (10821) | (82933) | (4230) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 41640 | 57886 | 96067 | 1204936 | 37365 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 45325 | 62256 | 92745 | 1195394 | 37295 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | (3685) | (4370) | 3322 | 9542 | 70 |
| Realized gain distributions |  |  | 95355 | 456575 | 41540 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | (3685) | (4370) | 98677 | 466117 | 41610 |
| Change in unrealized gains (losses) | 2967 | 4325 | 120383 | 577512 | (5831) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | (718) | (45) | 219060 | 1043629 | 35779 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $16986 | $15014 | $208239 | $960696 | $31549 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series II** |
| **ASSETS** | | | | | |
| Investments, at fair value | $53458 | $328170 | $2197797 | $579515 | $334565 |
| &nbsp;&nbsp;&nbsp;Total assets | $53458 | $328170 | $2197797 | $579515 | $334565 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $53458 | $328170 | $2151118 | $552266 | $334565 |
| Contracts in payout (annuitization) period |  |  | 46679 | 27249 |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $53458 | $328170 | $2197797 | $579515 | $334565 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 5091 | 11499 | 79314 | 22558 | 15722 |
| Cost of investments | $54073 | $259387 | $1775317 | $465014 | $348762 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $31.31 | $56.94 | $42.16 | $67.75 | $63.36 |
| Highest | $40.62 | $56.94 | $77.35 | $77.17 | $69.87 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series II** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $52 | $1494 | $4939 | $— | $— |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (776) | (3860) | (27938) | (6850) | (4215) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (49) | (336) | (4084) | (527) | (295) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (773) | (2702) | (27083) | (7377) | (4510) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 819 | 62259 | 243896 | 49049 | 4502 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 806 | 48266 | 188594 | 39809 | 4804 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 13 | 13993 | 55302 | 9240 | (302) |
| Realized gain distributions | 4972 | 33522 | 219623 | 61316 | 41292 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 4985 | 47515 | 274925 | 70556 | 40990 |
| Change in unrealized gains (losses) | (838) | (22304) | (105424) | 28765 | 15088 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 4147 | 25211 | 169501 | 99321 | 56078 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $3374 | $22509 | $142418 | $91944 | $51568 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** |
| **ASSETS** | | | | | |
| Investments, at fair value | $1648839 | $732185 | $927126 | $814500 | $1492409 |
| &nbsp;&nbsp;&nbsp;Total assets | $1648839 | $732185 | $927126 | $814500 | $1492409 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $1613394 | $732185 | $917504 | $804558 | $1470973 |
| Contracts in payout (annuitization) period | 35445 |  | 9622 | 9942 | 21436 |
| &nbsp;&nbsp;&nbsp;Total net assets | $1648839 | $732185 | $927126 | $814500 | $1492409 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 155404 | 38577 | 22095 | 73312 | 57290 |
| Cost of investments | $1757923 | $645483 | $741718 | $879167 | $1312942 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $20.57 | $36.68 | $32.95 | $44.10 | $27.11 |
| Highest | $24.09 | $43.75 | $39.63 | $53.03 | $33.05 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $95832 | $2982 | $5006 | $— | $4762 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (20204) | (8846) | (11105) | (10311) | (18938) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (3106) | (1332) | (1631) | (1548) | (2777) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 72522 | (7196) | (7730) | (11859) | (16953) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 216352 | 133324 | 52109 | 171434 | 207831 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 229835 | 119878 | 40303 | 164102 | 179927 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | (13483) | 13446 | 11806 | 7332 | 27904 |
| Realized gain distributions |  | 68477 | 92692 | 126112 | 116451 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | (13483) | 81923 | 104498 | 133444 | 144355 |
| Change in unrealized gains (losses) | 48434 | 8933 | 29136 | (20847) | (49547) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 34951 | 90856 | 133634 | 112597 | 94808 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $107473 | $83660 | $125904 | $100738 | $77855 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** |
| **ASSETS** | | | | | |
| Investments, at fair value | $368707 | $178992 | $216350 | $101140 | $80749 |
| &nbsp;&nbsp;&nbsp;Total assets | $368707 | $178992 | $216350 | $101140 | $80749 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $368707 | $178992 | $216350 | $101140 | $80749 |
| Contracts in payout (annuitization) period |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $368707 | $178992 | $216350 | $101140 | $80749 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 12559 | 6842 | 13869 | 8586 | 15864 |
| Cost of investments | $296196 | $174978 | $230100 | $105066 | $90216 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $47.09 | $45.09 | $38.54 | $21.72 | $26.82 |
| Highest | $47.09 | $45.09 | $38.54 | $21.72 | $26.82 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $1985 | $2701 | $— | $4405 | $5304 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (3956) | (1919) | (2332) | (1451) | (917) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (344) | (167) | (203) | (126) | (80) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (2315) | 615 | (2535) | 2828 | 4307 |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 11084 | 2710 | 12581 | 90167 | 16368 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 9274 | 2056 | 14955 | 94069 | 18473 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 1810 | 654 | (2374) | (3902) | (2105) |
| Realized gain distributions | 8791 | 69128 |  |  |  |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 10601 | 69782 | (2374) | (3902) | (2105) |
| Change in unrealized gains (losses) | 17372 | (51035) | 27335 | 8328 | 3492 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 27973 | 18747 | 24961 | 4426 | 1387 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $25658 | $19362 | $22426 | $7254 | $5694 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** |
| **ASSETS** | | | | | |
| Investments, at fair value | $433471 | $1796251 | $723348 | $98938 | $14982 |
| &nbsp;&nbsp;&nbsp;Total assets | $433471 | $1796251 | $723348 | $98938 | $14982 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $433471 | $1784609 | $713951 | $98938 | $14982 |
| Contracts in payout (annuitization) period |  | 11642 | 9397 |  |  |
| &nbsp;&nbsp;&nbsp;Total net assets | $433471 | $1796251 | $723348 | $98938 | $14982 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 59380 | 279355 | 135459 | 5631 | 857 |
| Cost of investments | $497254 | $2247321 | $911877 | $72809 | $11418 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $76.80 | $44.83 | $19.11 | $32.29 | $44.89 |
| Highest | $98.27 | $102.64 | $33.52 | $48.54 | $51.52 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $1853 | $7150 | $100470 | $356 | $48 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (5779) | (27314) | (8864) | (1210) | (158) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (412) | (3489) | (1325) | (88) | (26) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (4338) | (23653) | 90281 | (942) | (136) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 107469 | 213787 | 79445 | 6509 | 950 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 135312 | 239175 | 101218 | 5218 | 793 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | (27843) | (25388) | (21773) | 1291 | 157 |
| Realized gain distributions |  |  |  | 2955 | 451 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | (27843) | (25388) | (21773) | 4246 | 608 |
| Change in unrealized gains (losses) | 87837 | 239589 | 20920 | 20904 | 3211 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 59994 | 214201 | (853) | 25150 | 3819 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $55656 | $190548 | $89428 | $24208 | $3683 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Nomura VIP Small Cap Value Series - Standard Class** |
| **ASSETS** | | | | | |
| Investments, at fair value | $1158526 | $176065 | $10553744 | $2689186 | $619548 |
| &nbsp;&nbsp;&nbsp;Total assets | $1158526 | $176065 | $10553744 | $2689186 | $619548 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $1008497 | $176065 | $9895025 | $2688228 | $613649 |
| Contracts in payout (annuitization) period | 150029 |  | 658719 | 958 | 5899 |
| &nbsp;&nbsp;&nbsp;Total net assets | $1158526 | $176065 | $10553744 | $2689186 | $619548 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 110970 | 17044 | 397355 | 134124 | 15458 |
| Cost of investments | $1070711 | $163376 | $9236732 | $2442474 | $484532 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $19.54 | $20.15 | $25.57 | $24.20 | $80.13 |
| Highest | $94.82 | $27.32 | $141.47 | $137.34 | $80.13 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Nomura VIP Small Cap Value Series - Standard Class** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $— | $— | $— | $— | $7912 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (14938) | (2385) | (132205) | (38204) | (7034) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (1188) | (189) | (11024) | (4051) | (612) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (16126) | (2574) | (143229) | (42255) | 266 |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 173256 | 4646 | 1249223 | 172316 | 87622 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 165559 | 4549 | 1156477 | 154968 | 69086 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 7697 | 97 | 92746 | 17348 | 18536 |
| Realized gain distributions | 41746 | 5818 |  |  | 38535 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 49443 | 5915 | 92746 | 17348 | 57071 |
| Change in unrealized gains (losses) | 141598 | 20522 | 2960628 | 723370 | (16236) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 191041 | 26437 | 3053374 | 740718 | 40835 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $174915 | $23863 | $2910145 | $698463 | $41101 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **Putnam VT Core Equity Fund - Class IB** |
| **ASSETS** | | | | | |
| Investments, at fair value | $2010 | $6343 | $47044 | $40827 | $5751954 |
| &nbsp;&nbsp;&nbsp;Total assets | $2010 | $6343 | $47044 | $40827 | $5751954 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $2010 | $6343 | $40159 | $40827 | $5511750 |
| Contracts in payout (annuitization) period |  |  | 6885 |  | 240204 |
| &nbsp;&nbsp;&nbsp;Total net assets | $2010 | $6343 | $47044 | $40827 | $5751954 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 313 | 555 | 3917 | 4320 | 243727 |
| Cost of investments | $3306 | $7005 | $47812 | $46488 | $3994571 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $7.50 | $18.34 | $13.79 | $14.55 | $34.70 |
| Highest | $8.45 | $20.66 | $15.55 | $16.39 | $84.92 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **Putnam VT Core Equity Fund - Class IB** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $51 | $403 | $1609 | $1728 | $22612 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (25) | (77) | (647) | (594) | (71980) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (4) | (11) | (95) | (82) | (827) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 22 | 315 | 867 | 1052 | (50195) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 31 | 106 | 8827 | 6962 | 626028 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 55 | 123 | 8960 | 8057 | 461257 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | (24) | (17) | (133) | (1095) | 164771 |
| Realized gain distributions |  |  |  |  | 473899 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | (24) | (17) | (133) | (1095) | 638670 |
| Change in unrealized gains (losses) | 292 | 441 | 2333 | 3030 | 200812 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 268 | 424 | 2200 | 1935 | 839482 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $290 | $739 | $3067 | $2987 | $789287 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** |
| **ASSETS** | | | | | |
| Investments, at fair value | $712199 | $396040 | $1513888 | $2868240 | $1061184 |
| &nbsp;&nbsp;&nbsp;Total assets | $712199 | $396040 | $1513888 | $2868240 | $1061184 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $690643 | $385592 | $1372684 | $2743664 | $1054955 |
| Contracts in payout (annuitization) period | 21556 | 10448 | 141204 | 124576 | 6229 |
| &nbsp;&nbsp;&nbsp;Total net assets | $712199 | $396040 | $1513888 | $2868240 | $1061184 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 151210 | 15470 | 79344 | 168819 | 53379 |
| Cost of investments | $934153 | $279489 | $1215060 | $1819182 | $850227 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $19.94 | $12.05 | $15.96 | $25.59 | $28.65 |
| Highest | $21.69 | $25.58 | $26.69 | $37.70 | $44.11 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $45093 | $2338 | $46748 | $40158 | $24740 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (9481) | (4497) | (17981) | (36182) | (15292) |
| &nbsp;&nbsp;&nbsp;Administrative expense |  |  | (219) | (1209) | (1026) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 35612 | (2159) | 28548 | 2767 | 8422 |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 133864 | 47140 | 260339 | 351881 | 428127 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 178616 | 37943 | 239068 | 237495 | 334365 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | (44752) | 9197 | 21271 | 114386 | 93762 |
| Realized gain distributions |  |  |  | 104341 | 133443 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | (44752) | 9197 | 21271 | 218727 | 227205 |
| Change in unrealized gains (losses) | 61577 | 93721 | 370373 | 109792 | (94356) |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 16825 | 102918 | 391644 | 328519 | 132849 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $52437 | $100759 | $420192 | $331286 | $141271 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB**  | **Putnam VT High Yield Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** |
| **ASSETS** | | | | | |
| Investments, at fair value | $1791170 | $5761311 | $1412415 | $3006229 | $3245385 |
| &nbsp;&nbsp;&nbsp;Total assets | $1791170 | $5761311 | $1412415 | $3006229 | $3245385 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $1737441 | $5655833 | $1370551 | $2909927 | $3202639 |
| Contracts in payout (annuitization) period | 53729 | 105478 | 41864 | 96302 | 42746 |
| &nbsp;&nbsp;&nbsp;Total net assets | $1791170 | $5761311 | $1412415 | $3006229 | $3245385 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 106554 | 5761311 | 246065 | 367061 | 163826 |
| Cost of investments | $1566177 | $5761312 | $1511604 | $3733485 | $2370400 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $42.39 | $8.68 | $21.37 | $13.52 | $18.09 |
| Highest | $59.59 | $11.32 | $35.25 | $19.72 | $37.11 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $— | $236724 | $88094 | $146147 | $351 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (22892) | (86165) | (17576) | (38990) | (39551) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (384) | (12046) | (1781) | (3949) | (2275) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (23276) | 138513 | 68737 | 103208 | (41475) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 234474 | 2062772 | 155730 | 506302 | 510066 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 220280 | 2062772 | 171499 | 646048 | 419300 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 14194 |  | (15769) | (139746) | 90766 |
| Realized gain distributions | 121635 |  |  |  | 193489 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 135829 |  | (15769) | (139746) | 284255 |
| Change in unrealized gains (losses) | 107812 |  | 46110 | 207484 | 685850 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 243641 |  | 30341 | 67738 | 970105 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $220365 | $138513 | $99078 | $170946 | $928630 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT International Value Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Research Fund - Class IB** |
| **ASSETS** | | | | | |
| Investments, at fair value | $495823 | $11011271 | $14428173 | $685330 | $1714424 |
| &nbsp;&nbsp;&nbsp;Total assets | $495823 | $11011271 | $14428173 | $685330 | $1714424 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $474333 | $10698159 | $13473203 | $659568 | $1647224 |
| Contracts in payout (annuitization) period | 21490 | 313112 | 954970 | 25762 | 67200 |
| &nbsp;&nbsp;&nbsp;Total net assets | $495823 | $11011271 | $14428173 | $685330 | $1714424 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 31262 | 626352 | 404264 | 110537 | 36200 |
| Cost of investments | $348145 | $6459391 | $9442154 | $952530 | $755542 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $22.63 | $32.10 | $25.44 | $16.36 | $42.87 |
| Highest | $27.51 | $45.13 | $80.08 | $18.71 | $84.86 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Putnam VT International Value Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Research Fund - Class IB** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $6169 | $— | $205592 | $56260 | $9480 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (6269) | (136116) | (180209) | (8786) | (21249) |
| &nbsp;&nbsp;&nbsp;Administrative expense |  | (2121) | (5798) |  | (142) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (100) | (138237) | 19585 | 47474 | (11911) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 77962 | 2519677 | 2469774 | 61747 | 228469 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 61153 | 1904254 | 1783327 | 89928 | 109745 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 16809 | 615423 | 686447 | (28181) | 118724 |
| Realized gain distributions | 4325 | 1010515 | 983451 |  | 101459 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 21134 | 1625938 | 1669898 | (28181) | 220183 |
| Change in unrealized gains (losses) | 112487 | (180245) | 712392 | 29916 | 44711 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 133621 | 1445693 | 2382290 | 1735 | 264894 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $133521 | $1307456 | $2401875 | $49209 | $252983 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Templeton Developing Markets VIP Fund - Class 2** |
| **ASSETS** | | | | | |
| Investments, at fair value | $89101 | $1588325 | $365716 | $7825967 | $603260 |
| &nbsp;&nbsp;&nbsp;Total assets | $89101 | $1588325 | $365716 | $7825967 | $603260 |
| **NET ASSETS** |  |  |  |  |  |
| Accumulation units | $89101 | $1581123 | $360417 | $7514584 | $599120 |
| Contracts in payout (annuitization) period |  | 7202 | 5299 | 311383 | 4140 |
| &nbsp;&nbsp;&nbsp;Total net assets | $89101 | $1588325 | $365716 | $7825967 | $603260 |
| **FUND SHARE INFORMATION** |  |  |  |  |  |
| Number of shares | 4135 | 146931 | 24862 | 169027 | 49939 |
| Cost of investments | $71327 | $1737471 | $389151 | $5415603 | $451718 |
| **UNIT VALUE ⁽¹⁾** |  |  |  |  |  |
| Lowest | $62.45 | $39.12 | $55.12 | $26.55 | $25.13 |
| Highest | $68.43 | $68.84 | $60.41 | $92.71 | $59.99 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Templeton Developing Markets VIP Fund - Class 2** |
| **NET INVESTMENT INCOME (LOSS)** |  |  |  |  |  |
| Dividends | $313 | $11239 | $393 | $52282 | $2953 |
| Charges from Wilton Reassurance Life |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (1266) | (20895) | (5196) | (97306) | (7207) |
| &nbsp;&nbsp;&nbsp;Administrative expense |  | (222) |  | (486) | (1040) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | (953) | (9878) | (4803) | (45510) | (5294) |
| **NET REALIZED AND UNREALIZED** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |  |  |  |  |
| Realized gains (losses) on fund shares: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 1791 | 235506 | 65737 | 1375329 | 132133 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 1477 | 270173 | 70317 | 992484 | 118641 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 314 | (34667) | (4580) | 382845 | 13492 |
| Realized gain distributions | 5440 | 153803 | 57957 | 919777 | 9215 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 5754 | 119136 | 53377 | 1302622 | 22707 |
| Change in unrealized gains (losses) | 1203 | (53536) | (43075) | (602397) | 182735 |
| Net realized and change in |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 6957 | 65600 | 10302 | 700225 | 205442 |
| **INCREASE (DECREASE) IN** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $6004 | $55722 | $5499 | $654715 | $200148 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF NET ASSETS** 

**As of December 31, 2025**

**&nbsp;&nbsp;&nbsp;&nbsp;**

---

| | |
|:---|:---|
| | **Templeton Foreign VIP Fund - Class 2** |
| **ASSETS** | |
| Investments, at fair value | $3135445 |
| &nbsp;&nbsp;&nbsp;Total assets | $3135445 |
| **NET ASSETS** |  |
| Accumulation units | $3084796 |
| Contracts in payout (annuitization) period | 50649 |
| &nbsp;&nbsp;&nbsp;Total net assets | $3135445 |
| **FUND SHARE INFORMATION** |  |
| Number of shares | 193307 |
| Cost of investments | $2658014 |
| **UNIT VALUE ⁽¹⁾** |  |
| Lowest | $17.50 |
| Highest | $31.49 |
| **STATEMENT OF OPERATIONS** | **STATEMENT OF OPERATIONS** |
| **For the Year Ended December 31, 2025** | **For the Year Ended December 31, 2025** |
|  | **Templeton Foreign VIP Fund - Class 2** |
| **NET INVESTMENT INCOME (LOSS)** |  |
| Dividends | $68841 |
| Charges from Wilton Reassurance Life |  |
| &nbsp;&nbsp;&nbsp;Co of New York: |  |
| &nbsp;&nbsp;&nbsp;Mortality and expense risk | (39364) |
| &nbsp;&nbsp;&nbsp;Administrative expense | (5659) |
| &nbsp;&nbsp;&nbsp;&nbsp;Net investment income (loss) | 23818 |
| **NET REALIZED AND UNREALIZED** |  |
| &nbsp;&nbsp;&nbsp;**GAINS (LOSSES) ON INVESTMENTS** |  |
| Realized gains (losses) on fund shares: |  |
| &nbsp;&nbsp;&nbsp;Proceeds from sales | 720837 |
| &nbsp;&nbsp;&nbsp;Cost of investments sold | 651136 |
| &nbsp;&nbsp;&nbsp;&nbsp;Realized gains (losses) on fund shares: | 69701 |
| Realized gain distributions | 192219 |
| &nbsp;&nbsp;&nbsp;Net realized gains (losses) | 261920 |
| Change in unrealized gains (losses) | 450329 |
| Net realized and change in |  |
| &nbsp;&nbsp;&nbsp;unrealized gains (losses) on investments | 712249 |
| **INCREASE (DECREASE) IN** |  |
| &nbsp;&nbsp;&nbsp;**NET ASSETS FROM OPERATIONS** | $736067 |

---

&nbsp;&nbsp;&nbsp;&nbsp;<sup>(1)</sup> The high and low unit value ("UV") are reported at the same amount where there is only one contract offered for investment in the sub-account. Otherwise, when more than one contract is available for investment, a high and low UV are reported at different amounts.

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Allspring VT Index Asset Allocation Fund - Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(4856) | $762 | $(24408) | $(11316) | $(61) |
| Net realized gains (losses) | 42728 | 588 | 165384 | 154836 | 23948 |
| Change in unrealized gains (losses) | (35151) | 44227 | (7869) | (10757) | (12526) |
| Increase (decrease) in net assets from operations | 2721 | 45577 | 133107 | 132763 | 11361 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (9039) | (804) | (34863) | (124944) | (70496) |
| Contract maintenance charge | (1843) | (561) | (5560) | (3810) | (112) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 1456 | (1720) | (80768) | (24458) | 1137 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (9426) | (3085) | (121191) | (153212) | (69471) |
| **INCREASE (DECREASE) IN NET ASSETS** | (6705) | 42492 | 11916 | (20449) | (58110) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 393062 | 118680 | 1449041 | 1661005 | 203956 |
| **NET ASSETS AT END OF PERIOD** | $386357 | $161172 | $1460957 | $1640556 | $145846 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 7605 | 10651 | 23622 | 41013 | 5927 |
| &nbsp;&nbsp;&nbsp;Units issued | 32 |  | 431 | 79 | 33 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (216) | (219) | (3829) | (3684) | (2111) |
| Units outstanding at end of period | 7421 | 10432 | 20224 | 37408 | 3849 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Allspring VT Opportunity Fund - Class 2** | **AST Balanced Asset Allocation Portfolio** | **AST Government Money Market Portfolio** | **AST International Equity Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio**  |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(466) | $(350) | $— | $(39) | $(255) |
| Net realized gains (losses) | 4393 | (200) |  | 33 | 9738 |
| Change in unrealized gains (losses) | (1827) | 2448 |  | 743 | (7992) |
| Increase (decrease) in net assets from operations | 2100 | 1898 |  | 737 | 1491 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (1420) | (2567) |  |  | (19235) |
| Contract maintenance charge |  |  |  | (4) | (12) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 702 | (15809) |  |  |  |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (718) | (18376) |  | (4) | (19247) |
| **INCREASE (DECREASE) IN NET ASSETS** | 1382 | (16478) |  | 733 | (17756) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 39027 | 32164 | 9 | 2371 | 17756 |
| **NET ASSETS AT END OF PERIOD** | $40409 | $15686 | $9 | $3104 | $— |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 1546 | 1579 | 2 | 148 | 1170 |
| &nbsp;&nbsp;&nbsp;Units issued | 39 | 899 |  |  |  |
| &nbsp;&nbsp;&nbsp;Units redeemed | (65) | (1793) |  |  | (1170) |
| Units outstanding at end of period | 1520 | 685 | 2 | 148 |  |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Value Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(315) | $(185) | $(362) | $(384) | $(319) |
| Net realized gains (losses) | 118 | 19 | 875 | 20337 | 5188 |
| Change in unrealized gains (losses) | 3518 | 1999 | 1339 | (16731) | (2966) |
| Increase (decrease) in net assets from operations | 3321 | 1833 | 1852 | 3222 | 1903 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations |  |  | (1121) | (29532) | (2341) |
| Contract maintenance charge | (31) | (18) | (30) | (18) |  |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net |  |  | 2 |  | (14300) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (31) | (18) | (1149) | (29550) | (16641) |
| **INCREASE (DECREASE) IN NET ASSETS** | 3290 | 1815 | 703 | (26328) | (14738) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 21535 | 12676 | 17033 | 26328 | 29170 |
| **NET ASSETS AT END OF PERIOD** | $24825 | $14491 | $17736 | $— | $14432 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 337 | 512 | 1319 | 1232 | 1627 |
| &nbsp;&nbsp;&nbsp;Units issued |  |  |  |  | 927 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (1) | (1) | (84) | (1232) | (1848) |
| Units outstanding at end of period | 336 | 511 | 1235 |  | 706 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **AST Preservation Asset Allocation Portfolio** | **AST Small-Cap Equity Portfolio**  | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(941) | $(73) | $(4690) | $(1432) | $(643) |
| Net realized gains (losses) | 494 | 16 | 205631 | 12620 | 10714 |
| Change in unrealized gains (losses) | 6365 | 373 | 117507 | 8681 | (3925) |
| Increase (decrease) in net assets from operations | 5918 | 316 | 318448 | 19869 | 6146 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations |  |  | (147391) | (1347) | (140) |
| Contract maintenance charge | (60) | (7) | (586) | (88) | (27) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net |  |  | (11323) | 779 | 97 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (60) | (7) | (159300) | (656) | (70) |
| **INCREASE (DECREASE) IN NET ASSETS** | 5858 | 309 | 159148 | 19213 | 6076 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 61116 | 5329 | 2122344 | 137864 | 70673 |
| **NET ASSETS AT END OF PERIOD** | $66974 | $5638 | $2281492 | $157077 | $76749 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 3566 | 147 | 45999 | 4343 | 1638 |
| &nbsp;&nbsp;&nbsp;Units issued |  |  | 175 | 22 | 2 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (4) |  | (3572) | (45) | (4) |
| Units outstanding at end of period | 3562 | 147 | 42602 | 4320 | 1636 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **BNY Mellon VIF, Government Money Market Portfolio** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $4438 | $(18704) | $(20887) | $4889 | $100 |
| Net realized gains (losses) |  | 352483 | 311119 | 74261 | (4688) |
| Change in unrealized gains (losses) |  | (26890) | (52489) | 72478 | 6130 |
| Increase (decrease) in net assets from operations | 4438 | 306889 | 237743 | 151628 | 1542 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (18731) | (189662) | (262412) | (86068) | (48192) |
| Contract maintenance charge | (184) | (606) | (2324) | (303) | (63) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 1702 | 39764 | 42621 | (6484) | (1) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (17213) | (150504) | (222115) | (92855) | (48256) |
| **INCREASE (DECREASE) IN NET ASSETS** | (12775) | 156385 | 15628 | 58773 | (46714) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 180747 | 1658433 | 1312381 | 916454 | 57419 |
| **NET ASSETS AT END OF PERIOD** | $167972 | $1814818 | $1328009 | $975227 | $10705 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 17624 | 23504 | 26780 | 22518 | 3177 |
| &nbsp;&nbsp;&nbsp;Units issued | 212 | 575 | 1235 | 158 |  |
| &nbsp;&nbsp;&nbsp;Units redeemed | (1880) | (2577) | (5394) | (2290) | (2606) |
| Units outstanding at end of period | 15956 | 21502 | 22621 | 20386 | 571 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Initial Class**  | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $3288 | $125 | $10129 | $136080 | $38184 |
| Net realized gains (losses) | (86218) | 1000 | (893) |  |  |
| Change in unrealized gains (losses) | 160360 | 1485 | 34353 |  |  |
| Increase (decrease) in net assets from operations | 77430 | 2610 | 43589 | 136080 | 38184 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (1641073) |  | (53577) | (502162) | (162319) |
| Contract maintenance charge | (1991) |  | (3534) | (1773) | (4490) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 9257 |  | 357 | 157749 | 69084 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (1633807) |  | (56754) | (346186) | (97725) |
| **INCREASE (DECREASE) IN NET ASSETS** | (1556377) | 2610 | (13165) | (210106) | (59541) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 2060637 | 19564 | 586905 | 5233743 | 1777821 |
| **NET ASSETS AT END OF PERIOD** | $504260 | $22174 | $573740 | $5023637 | $1718280 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 104274 | 849 | 38306 | 502168 | 186128 |
| &nbsp;&nbsp;&nbsp;Units issued | 40938 |  | 47 | 113229 | 8331 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (123639) |  | (3703) | (146269) | (18222) |
| Units outstanding at end of period | 21573 | 849 | 34650 | 469128 | 176237 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(52) | $(6241) | $(6593) | $(12603) | $6262 |
| Net realized gains (losses) | 4021 | 12262 | 24715 | 194647 | (1348) |
| Change in unrealized gains (losses) | 2027 | 89283 | 65673 | (14937) | 5270 |
| Increase (decrease) in net assets from operations | 5996 | 95304 | 83795 | 167107 | 10184 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (1011) | (2447) | (45461) | (62865) | (8570) |
| Contract maintenance charge | (12) | (109) |  | (408) | (44) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (219) | 2911 | 694 | 6185 | 153 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (1242) | 355 | (44767) | (57088) | (8461) |
| **INCREASE (DECREASE) IN NET ASSETS** | 4754 | 95659 | 39028 | 110019 | 1723 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 31066 | 468060 | 425759 | 1309920 | 121430 |
| **NET ASSETS AT END OF PERIOD** | $35820 | $563719 | $464787 | $1419939 | $123153 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 692 | 6262 | 5231 | 25393 | 5544 |
| &nbsp;&nbsp;&nbsp;Units issued | 1 | 33 | 7 | 140 | 7 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (23) | (32) | (462) | (1318) | (392) |
| Units outstanding at end of period | 670 | 6263 | 4776 | 24215 | 5159 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $136 | $(1071) | $(6174) | $3097 | $(3817) |
| Net realized gains (losses) | (4) | 79394 | 93197 | (19163) | 36514 |
| Change in unrealized gains (losses) | 77 | 91262 | 82160 | 27890 | (4565) |
| Increase (decrease) in net assets from operations | 209 | 169585 | 169183 | 11824 | 28132 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations |  | (99182) | (146223) | (115374) | (30027) |
| Contract maintenance charge | (1) | (341) | (544) | (109) | (408) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 130 | (1737) | 84924 | (38199) | 992 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | 129 | (101260) | (61843) | (153682) | (29443) |
| **INCREASE (DECREASE) IN NET ASSETS** | 338 | 68325 | 107340 | (141858) | (1311) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 2370 | 1131616 | 1114037 | 275621 | 304518 |
| **NET ASSETS AT END OF PERIOD** | $2708 | $1199941 | $1221377 | $133763 | $303207 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 117 | 24623 | 23796 | 14109 | 8774 |
| &nbsp;&nbsp;&nbsp;Units issued | 6 | 10 | 1649 | 170 | 59 |
| &nbsp;&nbsp;&nbsp;Units redeemed |  | (2185) | (2842) | (7812) | (959) |
| Units outstanding at end of period | 123 | 22448 | 22603 | 6467 | 7874 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Income VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $26 | $(620) | $23569 | $153605 | $(62775) |
| Net realized gains (losses) | 22536 | (12) | 249164 | 33487 | 860134 |
| Change in unrealized gains (losses) | (7997) | 5548 | 218361 | 257224 | (554285) |
| Increase (decrease) in net assets from operations | 14565 | 4916 | 491094 | 444316 | 243074 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  | 150 | 204 | 2071 |
| Transfers for contract benefits and terminations | (61378) |  | (262938) | (633041) | (362717) |
| Contract maintenance charge | (55) | (180) | (2077) | (2708) | (2491) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (163) | (1) | (41569) | 99765 | (9899) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (61596) | (181) | (306434) | (535780) | (373036) |
| **INCREASE (DECREASE) IN NET ASSETS** | (47031) | 4735 | 184660 | (91464) | (129962) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 98187 | 30896 | 3435147 | 4376891 | 4357802 |
| **NET ASSETS AT END OF PERIOD** | $51156 | $35631 | $3619807 | $4285427 | $4227840 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 4835 | 663 | 72458 | 169791 | 93570 |
| &nbsp;&nbsp;&nbsp;Units issued | 7 |  | 424 | 4393 | 5664 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (2753) | (4) | (6505) | (24153) | (13314) |
| Units outstanding at end of period | 2089 | 659 | 66377 | 150031 | 85920 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Shares VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin U.S. Government Securities VIP Fund - Class 2** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $1962 | $13628 | $(8067) | $12175 | $(86) |
| Net realized gains (losses) | 39194 | 255563 | 140174 | (6186) | 2747 |
| Change in unrealized gains (losses) | 35761 | (22584) | (22272) | 28854 | (908) |
| Increase (decrease) in net assets from operations | 76917 | 246607 | 109835 | 34843 | 1753 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 318 |  | 198 |  |
| Transfers for contract benefits and terminations | (146227) | (388799) | (155162) | (18718) |  |
| Contract maintenance charge | (896) | (2311) | (1737) | (624) | (49) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (75) | 3137 | (45240) | 10800 | 134 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (147198) | (387655) | (202139) | (8344) | 85 |
| **INCREASE (DECREASE) IN NET ASSETS** | (70281) | (141048) | (92304) | 26499 | 1838 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 398056 | 2772065 | 1996667 | 688787 | 19068 |
| **NET ASSETS AT END OF PERIOD** | $327775 | $2631017 | $1904363 | $715286 | $20906 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 15923 | 82088 | 34502 | 59902 | 632 |
| &nbsp;&nbsp;&nbsp;Units issued | 37 | 2153 | 1096 | 2003 | 5 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (5193) | (13494) | (4734) | (2744) | (1) |
| Units outstanding at end of period | 10767 | 70747 | 30864 | 59161 | 636 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(452) | $(547) | $(308) | $(82781) | $(30107) |
| Net realized gains (losses) | 7380 | 4375 | 5089 | 919258 | 225696 |
| Change in unrealized gains (losses) | (2146) | 2957 | 45 | (206609) | (16643) |
| Increase (decrease) in net assets from operations | 4782 | 6785 | 4826 | 629868 | 178946 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  | 4500 | 5780 |
| Transfers for contract benefits and terminations |  |  |  | (678739) | (22849) |
| Contract maintenance charge | (130) | (59) | (70) | (3552) | (3156) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (1) | (101) | (47) | (52115) | (491) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (131) | (160) | (117) | (729906) | (20716) |
| **INCREASE (DECREASE) IN NET ASSETS** | 4651 | 6625 | 4709 | (100038) | 158230 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 65198 | 48069 | 34322 | 6635680 | 1853640 |
| **NET ASSETS AT END OF PERIOD** | $69849 | $54694 | $39031 | $6535642 | $2011870 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 1819 | 1517 | 724 | 130072 | 32725 |
| &nbsp;&nbsp;&nbsp;Units issued |  | 11 | 7 | 1082 | 366 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (4) | (13) | (8) | (15300) | (640) |
| Units outstanding at end of period | 1815 | 1515 | 723 | 115854 | 32451 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Core Equity Fund - Series I** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(25545) | $(26707) | $1956 | $(8132) | $(21880) |
| Net realized gains (losses) | 469082 | 340362 | 87826 | 630103 | 371413 |
| Change in unrealized gains (losses) | 53154 | 28212 | 9319 | 43308 | 119601 |
| Increase (decrease) in net assets from operations | 496691 | 341867 | 99101 | 665279 | 469134 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 2520 |  | 1036 | 1500 |
| Transfers for contract benefits and terminations | (186374) | (95674) | (54921) | (277911) | (555336) |
| Contract maintenance charge | (1735) | (5120) | (260) | (10120) | (2295) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (73636) | (24802) | 450 | (133086) | (11047) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (261745) | (123076) | (54731) | (420081) | (567178) |
| **INCREASE (DECREASE) IN NET ASSETS** | 234946 | 218791 | 44370 | 245198 | (98044) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 2792019 | 1884152 | 658205 | 4588496 | 3413359 |
| **NET ASSETS AT END OF PERIOD** | $3026965 | $2102943 | $702575 | $4833694 | $3315315 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 120193 | 41001 | 14174 | 108888 | 91709 |
| &nbsp;&nbsp;&nbsp;Units issued | 1719 | 1159 | 46 | 1170 | 376 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (11334) | (3433) | (1071) | (11158) | (14474) |
| Units outstanding at end of period | 110578 | 38727 | 13149 | 98900 | 77611 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(390) | $10264 | $40407 | $(5127) | $(82278) |
| Net realized gains (losses) | 2376 | (2008) | (6442) | 72612 | 996160 |
| Change in unrealized gains (losses) | 1873 | 11140 | 52740 | (23128) | (344532) |
| Increase (decrease) in net assets from operations | 3859 | 19396 | 86705 | 44357 | 569350 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  | 1036 |
| Transfers for contract benefits and terminations |  | (36855) | (513569) | (67829) | (768533) |
| Contract maintenance charge | (89) | (135) | (2534) | (189) | (3944) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (1) | 2228 | 86039 | (994) | (86785) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (90) | (34762) | (430064) | (69012) | (858226) |
| **INCREASE (DECREASE) IN NET ASSETS** | 3769 | (15366) | (343359) | (24655) | (288876) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 27830 | 356247 | 1924490 | 446856 | 5833759 |
| **NET ASSETS AT END OF PERIOD** | $31599 | $340881 | $1581131 | $422201 | $5544883 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 837 | 21920 | 194056 | 11517 | 98610 |
| &nbsp;&nbsp;&nbsp;Units issued |  | 319 | 38558 | 81 | 4459 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (2) | (2404) | (81656) | (1829) | (18436) |
| Units outstanding at end of period | 835 | 19835 | 150958 | 9769 | 84633 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(11171) | $(30047) | $16086 | $(424) | $3798 |
| Net realized gains (losses) | 94397 | 198709 | 555581 | 69686 | 224509 |
| Change in unrealized gains (losses) | (53344) | (107011) | 175712 | 14894 | 6111 |
| Increase (decrease) in net assets from operations | 29882 | 61651 | 747379 | 84156 | 234418 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 180 | 420 |  |  |
| Transfers for contract benefits and terminations | (151044) | (86648) | (354030) | (24890) | (256267) |
| Contract maintenance charge | (266) | (3519) | (1916) | (260) | (451) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (7323) | 8947 | (58151) | (28375) | (39778) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (158633) | (81040) | (413677) | (53525) | (296496) |
| **INCREASE (DECREASE) IN NET ASSETS** | (128751) | (19389) | 333702 | 30631 | (62078) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 892702 | 1991762 | 5481382 | 624220 | 2672467 |
| **NET ASSETS AT END OF PERIOD** | $763951 | $1972373 | $5815084 | $654851 | $2610389 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 42386 | 56554 | 48240 | 20903 | 223180 |
| &nbsp;&nbsp;&nbsp;Units issued | 58 | 840 | 251 | 59 | 7120 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (7936) | (4172) | (3666) | (1613) | (31284) |
| Units outstanding at end of period | 34508 | 53222 | 44825 | 19349 | 199016 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series I**  | **Invesco V.I. Equity and Income Fund - Series II**  | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(6369) | $10631 | $4997 | $790 | $(218) |
| Net realized gains (losses) | 147416 | 89375 | 116477 | 84953 | 3367 |
| Change in unrealized gains (losses) | 9656 | 49331 | 72909 | 21885 | 3120 |
| Increase (decrease) in net assets from operations | 150703 | 149337 | 194383 | 107628 | 6269 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  | 1600 |  | 2400 |
| Transfers for contract benefits and terminations | (32594) | (195065) | (167986) | (184373) | (1190) |
| Contract maintenance charge | (7122) | (744) | (2773) | (359) |  |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 906 | (778) | 10880 | (3475) | (4) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (38810) | (196587) | (158279) | (188207) | 1206 |
| **INCREASE (DECREASE) IN NET ASSETS** | 111893 | (47250) | 36104 | (80579) | 7475 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1718954 | 1417642 | 1897991 | 785848 | 43999 |
| **NET ASSETS AT END OF PERIOD** | $1830847 | $1370392 | $1934095 | $705269 | $51474 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 145918 | 57263 | 58416 | 33357 | 1626 |
| &nbsp;&nbsp;&nbsp;Units issued | 78 | 512 | 1212 | 385 | 78 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (3227) | (7702) | (5938) | (8532) | (37) |
| Units outstanding at end of period | 142769 | 50073 | 53690 | 25210 | 1667 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series I** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $181 | $(708) | $(6697) | $(16221) | $17171 |
| Net realized gains (losses) | 104232 | 16768 | 109384 | 221525 | (6735) |
| Change in unrealized gains (losses) | 44592 | 10697 | (35284) | (68356) | 30390 |
| Increase (decrease) in net assets from operations | 149005 | 26757 | 67403 | 136948 | 40826 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (47046) | (5866) | (58161) | (62186) | (88120) |
| Contract maintenance charge | (491) | (350) | (108) | (1747) | (134) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (24068) | 13 | (484) | 8426 | 3507 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (71605) | (6203) | (58753) | (55507) | (84747) |
| **INCREASE (DECREASE) IN NET ASSETS** | 77400 | 20554 | 8650 | 81441 | (43921) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1094376 | 200846 | 550550 | 1061253 | 375615 |
| **NET ASSETS AT END OF PERIOD** | $1171776 | $221400 | $559200 | $1142694 | $331694 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 24585 | 8163 | 12872 | 17866 | 23915 |
| &nbsp;&nbsp;&nbsp;Units issued | 540 |  | 43 | 325 | 450 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (2036) | (209) | (1435) | (1196) | (4977) |
| Units outstanding at end of period | 23089 | 7954 | 11480 | 16995 | 19388 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Growth and Income Fund - Series II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $133996 | $3791 | $— | $5919 | $(7282) |
| Net realized gains (losses) | (53227) |  |  | (7684) | 200113 |
| Change in unrealized gains (losses) | 301420 |  |  | 23779 | 91466 |
| Increase (decrease) in net assets from operations | 382189 | 3791 |  | 22014 | 284297 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits | 4683 |  |  |  | 1786 |
| Transfers for contract benefits and terminations | (340892) | (3566) |  | (79214) | (181446) |
| Contract maintenance charge | (1573) | (67) |  | (278) | (2326) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (184256) | 278 | 1 | 4174 | (75044) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (522038) | (3355) | 1 | (75318) | (257030) |
| **INCREASE (DECREASE) IN NET ASSETS** | (139849) | 436 | 1 | (53304) | 27267 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 3742172 | 153582 | 15 | 385634 | 2276919 |
| **NET ASSETS AT END OF PERIOD** | $3602323 | $154018 | $16 | $332330 | $2304186 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 213807 | 15364 | 2 | 24866 | 48110 |
| &nbsp;&nbsp;&nbsp;Units issued | 5762 | 32 |  | 415 | 675 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (34403) | (369) |  | (5259) | (5922) |
| Units outstanding at end of period | 185166 | 15027 | 2 | 20022 | 42863 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $17704 | $15059 | $(10821) | $(82933) | $(4230) |
| Net realized gains (losses) | (3685) | (4370) | 98677 | 466117 | 41610 |
| Change in unrealized gains (losses) | 2967 | 4325 | 120383 | 577512 | (5831) |
| Increase (decrease) in net assets from operations | 16986 | 15014 | 208239 | 960696 | 31549 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  | 11707 |  |
| Transfers for contract benefits and terminations | (34072) | (48996) | (75383) | (782601) | (31856) |
| Contract maintenance charge | (164) | (1235) | (808) | (3322) | (190) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (1606) | 5358 | 5718 | (183957) | 598 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (35842) | (44873) | (70473) | (958173) | (31448) |
| **INCREASE (DECREASE) IN NET ASSETS** | (18856) | (29859) | 137766 | 2523 | 101 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 340021 | 339058 | 1486319 | 7404952 | 431726 |
| **NET ASSETS AT END OF PERIOD** | $321165 | $309199 | $1624085 | $7407475 | $431827 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 13823 | 15762 | 37064 | 135594 | 10188 |
| &nbsp;&nbsp;&nbsp;Units issued | 65 | 307 | 159 | 2807 | 7 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (1444) | (2142) | (1848) | (19525) | (716) |
| Units outstanding at end of period | 12444 | 13927 | 35375 | 118876 | 9479 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(773) | $(2702) | $(27083) | $(7377) | $(4510) |
| Net realized gains (losses) | 4985 | 47515 | 274925 | 70556 | 40990 |
| Change in unrealized gains (losses) | (838) | (22304) | (105424) | 28765 | 15088 |
| Increase (decrease) in net assets from operations | 3374 | 22509 | 142418 | 91944 | 51568 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits | 2400 |  | 120 |  | 1600 |
| Transfers for contract benefits and terminations |  | (57316) | (166222) | (40765) |  |
| Contract maintenance charge |  | (82) | (1304) | (211) |  |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net |  | 3492 | 7574 | 567 |  |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | 2400 | (53906) | (159832) | (40409) | 1600 |
| **INCREASE (DECREASE) IN NET ASSETS** | 5774 | (31397) | (17414) | 51535 | 53168 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 47684 | 359567 | 2215211 | 527980 | 281397 |
| **NET ASSETS AT END OF PERIOD** | $53458 | $328170 | $2197797 | $579515 | $334565 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 1383 | 6779 | 33803 | 8679 | 5012 |
| &nbsp;&nbsp;&nbsp;Units issued | 63 | 79 | 878 | 19 | 25 |
| &nbsp;&nbsp;&nbsp;Units redeemed |  | (1094) | (3389) | (683) |  |
| Units outstanding at end of period | 1446 | 5764 | 31292 | 8015 | 5037 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $72522 | $(7196) | $(7730) | $(11859) | $(16953) |
| Net realized gains (losses) | (13483) | 81923 | 104498 | 133444 | 144355 |
| Change in unrealized gains (losses) | 48434 | 8933 | 29136 | (20847) | (49547) |
| Increase (decrease) in net assets from operations | 107473 | 83660 | 125904 | 100738 | 77855 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits | 1036 |  |  |  |  |
| Transfers for contract benefits and terminations | (131467) | (51898) | (21916) | (72568) | (145247) |
| Contract maintenance charge | (914) | (399) | (1574) | (851) | (382) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (8822) | (5898) | (1568) | (21415) | (11123) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (140167) | (58195) | (25058) | (94834) | (156752) |
| **INCREASE (DECREASE) IN NET ASSETS** | (32694) | 25465 | 100846 | 5904 | (78897) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1681533 | 706720 | 826280 | 808596 | 1571306 |
| **NET ASSETS AT END OF PERIOD** | $1648839 | $732185 | $927126 | $814500 | $1492409 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 77197 | 18909 | 25108 | 17609 | 52905 |
| &nbsp;&nbsp;&nbsp;Units issued | 2391 | 1737 | 446 | 1495 | 1046 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (8724) | (3380) | (1186) | (3192) | (6432) |
| Units outstanding at end of period | 70864 | 17266 | 24368 | 15912 | 47519 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(2315) | $615 | $(2535) | $2828 | $4307 |
| Net realized gains (losses) | 10601 | 69782 | (2374) | (3902) | (2105) |
| Change in unrealized gains (losses) | 17372 | (51035) | 27335 | 8328 | 3492 |
| Increase (decrease) in net assets from operations | 25658 | 19362 | 22426 | 7254 | 5694 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (6796) | (562) | (9749) | (88559) | (15344) |
| Contract maintenance charge | (61) | (69) | (56) | (30) | (20) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 2438 | 76 | 412 | 1 | 6 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (4419) | (555) | (9393) | (88588) | (15358) |
| **INCREASE (DECREASE) IN NET ASSETS** | 21239 | 18807 | 13033 | (81334) | (9664) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 347468 | 160185 | 203317 | 182474 | 90413 |
| **NET ASSETS AT END OF PERIOD** | $368707 | $178992 | $216350 | $101140 | $80749 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 7934 | 3984 | 5886 | 8892 | 3618 |
| &nbsp;&nbsp;&nbsp;Units issued | 53 | 2 | 20 |  | 1 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (157) | (16) | (292) | (4235) | (608) |
| Units outstanding at end of period | 7830 | 3970 | 5614 | 4657 | 3011 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(4338) | $(23653) | $90281 | $(942) | $(136) |
| Net realized gains (losses) | (27843) | (25388) | (21773) | 4246 | 608 |
| Change in unrealized gains (losses) | 87837 | 239589 | 20920 | 20904 | 3211 |
| Increase (decrease) in net assets from operations | 55656 | 190548 | 89428 | 24208 | 3683 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (1285) | (81081) | (41100) | (5150) |  |
| Contract maintenance charge | (360) | (5561) | (133) | (66) | (50) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 55081 | (993) | (14274) | 180 | (717) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | 53436 | (87635) | (55507) | (5036) | (767) |
| **INCREASE (DECREASE) IN NET ASSETS** | 109092 | 102913 | 33921 | 19172 | 2916 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 324379 | 1693338 | 689427 | 79766 | 12066 |
| **NET ASSETS AT END OF PERIOD** | $433471 | $1796251 | $723348 | $98938 | $14982 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 4602 | 28954 | 24560 | 2826 | 312 |
| &nbsp;&nbsp;&nbsp;Units issued | 2287 | 1981 | 497 | 6 |  |
| &nbsp;&nbsp;&nbsp;Units redeemed | (1350) | (3373) | (2346) | (150) | (16) |
| Units outstanding at end of period | 5539 | 27562 | 22711 | 2682 | 296 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Nomura VIP Small Cap Value Series - Standard Class** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(16126) | $(2574) | $(143229) | $(42255) | $266 |
| Net realized gains (losses) | 49443 | 5915 | 92746 | 17348 | 57071 |
| Change in unrealized gains (losses) | 141598 | 20522 | 2960628 | 723370 | (16236) |
| Increase (decrease) in net assets from operations | 174915 | 23863 | 2910145 | 698463 | 41101 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  | 780 |  |  |
| Transfers for contract benefits and terminations | (121270) | (1217) | (989273) | (64292) | (79884) |
| Contract maintenance charge | (560) | (261) | (3207) | (8142) | (293) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (33621) | (556) | 47006 | (44029) | 7807 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (155451) | (2034) | (944694) | (116463) | (72370) |
| **INCREASE (DECREASE) IN NET ASSETS** | 19464 | 21829 | 1965451 | 582000 | (31269) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1139062 | 154236 | 8588293 | 2107186 | 650817 |
| **NET ASSETS AT END OF PERIOD** | $1158526 | $176065 | $10553744 | $2689186 | $619548 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 56353 | 8133 | 115561 | 55415 | 8675 |
| &nbsp;&nbsp;&nbsp;Units issued | 86 | 2 | 2035 | 120 | 103 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (7481) | (85) | (12882) | (1055) | (1046) |
| Units outstanding at end of period | 48958 | 8050 | 104714 | 54480 | 7732 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **Putnam VT Core Equity Fund - Class IB** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $22 | $315 | $867 | $1052 | $(50195) |
| Net realized gains (losses) | (24) | (17) | (133) | (1095) | 638670 |
| Change in unrealized gains (losses) | 292 | 441 | 2333 | 3030 | 200812 |
| Increase (decrease) in net assets from operations | 290 | 739 | 3067 | 2987 | 789287 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations |  |  | (6725) | (6302) | (505710) |
| Contract maintenance charge | (3) | (17) | (74) | (148) | (1790) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 1 | 12 | 1335 | 387 | (4022) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (2) | (5) | (5464) | (6063) | (511522) |
| **INCREASE (DECREASE) IN NET ASSETS** | 288 | 734 | (2397) | (3076) | 277765 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1722 | 5609 | 49441 | 43903 | 5474189 |
| **NET ASSETS AT END OF PERIOD** | $2010 | $6343 | $47044 | $40827 | $5751954 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 249 | 320 | 3503 | 3025 | 140333 |
| &nbsp;&nbsp;&nbsp;Units issued |  | 1 | 178 | 15 | 1171 |
| &nbsp;&nbsp;&nbsp;Units redeemed |  | (2) | (537) | (411) | (12718) |
| Units outstanding at end of period | 249 | 319 | 3144 | 2629 | 128786 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $35612 | $(2159) | $28548 | $2767 | $8422 |
| Net realized gains (losses) | (44752) | 9197 | 21271 | 218727 | 227205 |
| Change in unrealized gains (losses) | 61577 | 93721 | 370373 | 109792 | (94356) |
| Increase (decrease) in net assets from operations | 52437 | 100759 | 420192 | 331286 | 141271 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 480 | 480 |  |  |
| Transfers for contract benefits and terminations | (92630) | (30505) | (212394) | (307724) | (203567) |
| Contract maintenance charge | (93) | (172) | (466) | (1827) | (675) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (17168) | (3585) | (2623) | 23845 | (196472) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (109891) | (33782) | (215003) | (285706) | (400714) |
| **INCREASE (DECREASE) IN NET ASSETS** | (57454) | 66977 | 205189 | 45580 | (259443) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 769653 | 329063 | 1308699 | 2822660 | 1320627 |
| **NET ASSETS AT END OF PERIOD** | $712199 | $396040 | $1513888 | $2868240 | $1061184 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 38130 | 17329 | 70932 | 95530 | 40706 |
| &nbsp;&nbsp;&nbsp;Units issued | 704 | 373 | 1267 | 1050 | 355 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (5914) | (1922) | (10955) | (10255) | (12114) |
| Units outstanding at end of period | 32920 | 15780 | 61244 | 86325 | 28947 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB**  | **Putnam VT High Yield Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(23276) | $138513 | $68737 | $103208 | $(41475) |
| Net realized gains (losses) | 135829 |  | (15769) | (139746) | 284255 |
| Change in unrealized gains (losses) | 107812 |  | 46110 | 207484 | 685850 |
| Increase (decrease) in net assets from operations | 220365 | 138513 | 99078 | 170946 | 928630 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 3827 |  | 3107 | 570 |
| Transfers for contract benefits and terminations | (155976) | (1825942) | (108555) | (248796) | (313796) |
| Contract maintenance charge | (859) | (15986) | (822) | (2103) | (2102) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 2207 | 437581 | 13280 | (54871) | (141280) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (154628) | (1400520) | (96097) | (302663) | (456608) |
| **INCREASE (DECREASE) IN NET ASSETS** | 65737 | (1262007) | 2981 | (131717) | 472022 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1725433 | 7023318 | 1409434 | 3137946 | 2773363 |
| **NET ASSETS AT END OF PERIOD** | $1791170 | $5761311 | $1412415 | $3006229 | $3245385 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 36325 | 734744 | 46501 | 194163 | 135044 |
| &nbsp;&nbsp;&nbsp;Units issued | 1141 | 57260 | 1334 | 9941 | 695 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (4137) | (207641) | (4422) | (28325) | (18399) |
| Units outstanding at end of period | 33329 | 584363 | 43413 | 175779 | 117340 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT International Value Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Research Fund - Class IB** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(100) | $(138237) | $19585 | $47474 | $(11911) |
| Net realized gains (losses) | 21134 | 1625938 | 1669898 | (28181) | 220183 |
| Change in unrealized gains (losses) | 112487 | (180245) | 712392 | 29916 | 44711 |
| Increase (decrease) in net assets from operations | 133521 | 1307456 | 2401875 | 49209 | 252983 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 720 | 1606 | 90 | 150 |
| Transfers for contract benefits and terminations | (52505) | (1276966) | (1897274) | (42466) | (185840) |
| Contract maintenance charge | (113) | (4061) | (4885) | (307) | (676) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (13945) | (29535) | (227608) | 19137 | (2869) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (66563) | (1309842) | (2128161) | (23546) | (189235) |
| **INCREASE (DECREASE) IN NET ASSETS** | 66958 | (2386) | 273714 | 25663 | 63748 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 428865 | 11013657 | 14154459 | 659667 | 1650676 |
| **NET ASSETS AT END OF PERIOD** | $495823 | $11011271 | $14428173 | $685330 | $1714424 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 21285 | 342216 | 230354 | 38658 | 34688 |
| &nbsp;&nbsp;&nbsp;Units issued | 238 | 32263 | 3440 | 1795 | 487 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (2921) | (71193) | (36847) | (3083) | (4289) |
| Units outstanding at end of period | 18602 | 303286 | 196947 | 37370 | 30886 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Templeton Developing Markets VIP Fund - Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(953) | $(9878) | $(4803) | $(45510) | $(5294) |
| Net realized gains (losses) | 5754 | 119136 | 53377 | 1302622 | 22707 |
| Change in unrealized gains (losses) | 1203 | (53536) | (43075) | (602397) | 182735 |
| Increase (decrease) in net assets from operations | 6004 | 55722 | 5499 | 654715 | 200148 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 240 |  | 180 | 660 |
| Transfers for contract benefits and terminations | (528) | (179806) | (33987) | (1065483) | (67693) |
| Contract maintenance charge |  | (555) | (82) | (2837) | (327) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 108 | (27165) | (26087) | (63561) | (33362) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (420) | (207286) | (60156) | (1131701) | (100722) |
| **INCREASE (DECREASE) IN NET ASSETS** | 5584 | (151564) | (54657) | (476986) | 99426 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 83517 | 1739889 | 420373 | 8302953 | 503834 |
| **NET ASSETS AT END OF PERIOD** | $89101 | $1588325 | $365716 | $7825967 | $603260 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 1382 | 29037 | 7143 | 187221 | 13483 |
| &nbsp;&nbsp;&nbsp;Units issued | 2 | 177 | 7 | 3430 | 514 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (9) | (3509) | (1006) | (28625) | (2772) |
| Units outstanding at end of period | 1375 | 25705 | 6144 | 162026 | 11225 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2025**

---

| | |
|:---|:---|
| | **Templeton Foreign VIP Fund - Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | |
| Net investment income (loss) | $23818 |
| Net realized gains (losses) | 261920 |
| Change in unrealized gains (losses) | 450329 |
| Increase (decrease) in net assets from operations | 736067 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |
| Deposits | 60 |
| Transfers for contract benefits and terminations | (396835) |
| Contract maintenance charge | (3405) |
| Transfers among the sub-accounts and with the |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (200832) |
| Increase (decrease) in net assets from contract |  |
| &nbsp;&nbsp;&nbsp;transactions | (601012) |
| **INCREASE (DECREASE) IN NET ASSETS** | 135055 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 3000390 |
| **NET ASSETS AT END OF PERIOD** | $3135445 |
| **UNITS OUTSTANDING** |  |
| Units outstanding at beginning of period | 136845 |
| &nbsp;&nbsp;&nbsp;Units issued | 2958 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (27251) |
| Units outstanding at end of period | 112552 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Allspring VT Index Asset Allocation Fund - Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(4878) | $605 | $(25911) | $(5522) | $120 |
| Net realized gains (losses) | 21719 | (734) | 133668 | 80869 | 12941 |
| Change in unrealized gains (losses) | 12528 | 4880 | 194315 | 94380 | 11108 |
| Increase (decrease) in net assets from operations | 29369 | 4751 | 302072 | 169727 | 24169 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (17176) | (7689) | (91662) | (72840) | (816) |
| Contract maintenance charge | (2205) | (519) | (6067) | (4119) | (144) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (12519) | (9816) | (76682) | (26482) | 290 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (31900) | (18024) | (174411) | (103441) | (670) |
| **INCREASE (DECREASE) IN NET ASSETS** | (2531) | (13273) | 127661 | 66286 | 23499 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 395593 | 131953 | 1321380 | 1594719 | 180457 |
| **NET ASSETS AT END OF PERIOD** | $393062 | $118680 | $1449041 | $1661005 | $203956 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 8219 | 12154 | 27999 | 43677 | 5949 |
| &nbsp;&nbsp;&nbsp;Units issued | 44 | 62 | 2518 | 765 | 12 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (658) | (1565) | (6895) | (3429) | (34) |
| Units outstanding at end of period | 7605 | 10651 | 23622 | 41013 | 5927 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Allspring VT Opportunity Fund - Class 2** | **AST Balanced Asset Allocation Portfolio\*** | **AST Government Money Market Portfolio** | **AST International Equity Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio**  |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(462) | $(38) | $7 | $(34) | $(307) |
| Net realized gains (losses) | 4411 | (1) |  | 27 | 141 |
| Change in unrealized gains (losses) | 943 | (1079) |  | 99 | 909 |
| Increase (decrease) in net assets from operations | 4892 | (1118) | 7 | 92 | 743 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (1601) |  | (38807) |  |  |
| Contract maintenance charge |  |  |  | (3) | (12) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (653) | 33282 | 36058 |  | (1) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (2254) | 33282 | (2749) | (3) | (13) |
| **INCREASE (DECREASE) IN NET ASSETS** | 2638 | 32164 | (2742) | 89 | 730 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 36389 |  | 2751 | 2282 | 17026 |
| **NET ASSETS AT END OF PERIOD** | $39027 | $32164 | $9 | $2371 | $17756 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 1638 |  | 289 | 148 | 1170 |
| &nbsp;&nbsp;&nbsp;Units issued | 14 | 1579 | 2 |  |  |
| &nbsp;&nbsp;&nbsp;Units redeemed | (106) |  | (289) |  |  |
| Units outstanding at end of period | 1546 | 1579 | 2 | 148 | 1170 |

---

<sup>\*</sup> (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio).

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Value Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(203) | $(69) | $(363) | $(449) | $(569) |
| Net realized gains (losses) | 87 | 11 | 789 | 291 | 4332 |
| Change in unrealized gains (losses) | 3356 | 137 | 499 | 2349 | (302) |
| Increase (decrease) in net assets from operations | 3240 | 79 | 925 | 2191 | 3461 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations |  |  | (1076) |  | (3439) |
| Contract maintenance charge | (22) | (6) | (30) | (18) |  |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 6204 | 8446 |  | 1 | (15148) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | 6182 | 8440 | (1106) | (17) | (18587) |
| **INCREASE (DECREASE) IN NET ASSETS** | 9422 | 8519 | (181) | 2174 | (15126) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 12113 | 4157 | 17214 | 24154 | 44296 |
| **NET ASSETS AT END OF PERIOD** | $21535 | $12676 | $17033 | $26328 | $29170 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 243 | 182 | 1406 | 1233 | 2761 |
| &nbsp;&nbsp;&nbsp;Units issued | 94 | 330 |  |  | 514 |
| &nbsp;&nbsp;&nbsp;Units redeemed |  |  | (87) | (1) | (1648) |
| Units outstanding at end of period | 337 | 512 | 1319 | 1232 | 1627 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **AST Preservation Asset Allocation Portfolio** | **AST Small-Cap Equity Portfolio**  | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(891) | $(72) | $(1789) | $(950) | $(831) |
| Net realized gains (losses) | 431 | 11 | 160420 | 2476 | 9732 |
| Change in unrealized gains (losses) | 4034 | 683 | 245041 | 24918 | 3619 |
| Increase (decrease) in net assets from operations | 3574 | 622 | 403672 | 26444 | 12520 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  | 500 |  |
| Transfers for contract benefits and terminations |  |  | (61584) | (3073) | (48069) |
| Contract maintenance charge | (60) | (8) | (632) | (88) | (28) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net |  |  | (1537) | 6 |  |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (60) | (8) | (63753) | (2655) | (48097) |
| **INCREASE (DECREASE) IN NET ASSETS** | 3514 | 614 | 339919 | 23789 | (35577) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 57602 | 4715 | 1782425 | 114075 | 106250 |
| **NET ASSETS AT END OF PERIOD** | $61116 | $5329 | $2122344 | $137864 | $70673 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 3570 | 147 | 47558 | 4432 | 2743 |
| &nbsp;&nbsp;&nbsp;Units issued |  |  | 5 | 16 |  |
| &nbsp;&nbsp;&nbsp;Units redeemed | (4) |  | (1564) | (105) | (1105) |
| Units outstanding at end of period | 3566 | 147 | 45999 | 4343 | 1638 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **BNY Mellon VIF, Government Money Market Portfolio** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $6224 | $(16715) | $(28709) | $4421 | $1053 |
| Net realized gains (losses) |  | 229122 | 488705 | 73151 | (242) |
| Change in unrealized gains (losses) |  | 204300 | 12483 | 43108 | 1194 |
| Increase (decrease) in net assets from operations | 6224 | 416707 | 472479 | 120680 | 2005 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits | 375 | 250 |  |  |  |
| Transfers for contract benefits and terminations | (11735) | (79072) | (689721) | (99822) | (1358) |
| Contract maintenance charge | (196) | (647) | (2456) | (331) | (64) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 1911 | (13358) | (62677) | 773 |  |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (9645) | (92827) | (754854) | (99380) | (1422) |
| **INCREASE (DECREASE) IN NET ASSETS** | (3421) | 323880 | (282375) | 21300 | 583 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 184168 | 1334553 | 1594756 | 895154 | 56836 |
| **NET ASSETS AT END OF PERIOD** | $180747 | $1658433 | $1312381 | $916454 | $57419 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 18573 | 25016 | 43991 | 25054 | 3253 |
| &nbsp;&nbsp;&nbsp;Units issued | 225 | 11 | 528 | 40 | 3 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (1174) | (1523) | (17739) | (2576) | (79) |
| Units outstanding at end of period | 17624 | 23504 | 26780 | 22518 | 3177 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Initial Class**  | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $18984 | $84 | $12569 | $116331 | $48580 |
| Net realized gains (losses) | 53862 | 130 | (2422) |  |  |
| Change in unrealized gains (losses) | 38131 | 1133 | 6934 |  |  |
| Increase (decrease) in net assets from operations | 110977 | 1347 | 17081 | 116331 | 48580 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (52518) |  | (28200) | (231640) | (83970) |
| Contract maintenance charge | (2267) | (7) | (3718) | (1598) | (4953) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 944 | 1 | 24803 | 2095731 | 247516 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (53841) | (6) | (7115) | 1862493 | 158593 |
| **INCREASE (DECREASE) IN NET ASSETS** | 57136 | 1341 | 9966 | 1978824 | 207173 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 2003501 | 18223 | 576939 | 3254919 | 1570648 |
| **NET ASSETS AT END OF PERIOD** | $2060637 | $19564 | $586905 | $5233743 | $1777821 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 107003 | 849 | 38668 | 324014 | 169968 |
| &nbsp;&nbsp;&nbsp;Units issued | 47 |  | 1709 | 226580 | 27222 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (2776) |  | (2071) | (48426) | (11062) |
| Units outstanding at end of period | 104274 | 849 | 38306 | 502168 | 186128 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(132) | $(5775) | $(5899) | $(16292) | $5635 |
| Net realized gains (losses) | 5959 | 47776 | 12297 | 462731 | (7246) |
| Change in unrealized gains (losses) | 405 | 103415 | 117592 | (111833) | 10178 |
| Increase (decrease) in net assets from operations | 6232 | 145416 | 123990 | 334606 | 8567 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (8636) | (108928) | (25546) | (474345) | (1920) |
| Contract maintenance charge | (38) | (119) |  | (465) | (45) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (350) | (1670) | (42736) | (2005) | (33642) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (9024) | (110717) | (68282) | (476815) | (35607) |
| **INCREASE (DECREASE) IN NET ASSETS** | (2792) | 34699 | 55708 | (142209) | (27040) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 33858 | 433361 | 370051 | 1452129 | 148470 |
| **NET ASSETS AT END OF PERIOD** | $31066 | $468060 | $425759 | $1309920 | $121430 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 919 | 7952 | 6172 | 36629 | 7294 |
| &nbsp;&nbsp;&nbsp;Units issued |  | 6 | 180 | 31 | 108 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (227) | (1696) | (1121) | (11267) | (1858) |
| Units outstanding at end of period | 692 | 6262 | 5231 | 25393 | 5544 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $106 | $(1) | $(4871) | $6298 | $(3498) |
| Net realized gains (losses) | (193) | 89317 | 236265 | (2934) | 42119 |
| Change in unrealized gains (losses) | 253 | 137743 | 16026 | (3196) | 2982 |
| Increase (decrease) in net assets from operations | 166 | 227059 | 247420 | 168 | 41603 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (956) | (128926) | (480298) | (18409) | (9107) |
| Contract maintenance charge | (1) | (361) | (1306) | (106) | (454) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 64 | (4857) | 1943 | 49001 | (1108) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (893) | (134144) | (479661) | 30486 | (10669) |
| **INCREASE (DECREASE) IN NET ASSETS** | (727) | 92915 | (232241) | 30654 | 30934 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 3097 | 1038701 | 1346278 | 244967 | 273584 |
| **NET ASSETS AT END OF PERIOD** | $2370 | $1131616 | $1114037 | $275621 | $304518 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 168 | 27877 | 35324 | 12605 | 9115 |
| &nbsp;&nbsp;&nbsp;Units issued | 5 |  | 432 | 2437 | 129 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (56) | (3254) | (11960) | (933) | (470) |
| Units outstanding at end of period | 117 | 24623 | 23796 | 14109 | 8774 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Income VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $253 | $(543) | $28803 | $169395 | $(67674) |
| Net realized gains (losses) | 15968 | (217) | (164321) | (19083) | 625025 |
| Change in unrealized gains (losses) | (10357) | 7540 | 684249 | 102730 | 436753 |
| Increase (decrease) in net assets from operations | 5864 | 6780 | 548731 | 253042 | 994104 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  | 150 | 204 |  |
| Transfers for contract benefits and terminations | (37420) |  | (799308) | (700129) | (701617) |
| Contract maintenance charge | (68) | (339) | (2791) | (3678) | (3066) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (123) | 78 | (53171) | (181239) | (304036) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (37611) | (261) | (855120) | (884842) | (1008719) |
| **INCREASE (DECREASE) IN NET ASSETS** | (31747) | 6519 | (306389) | (631800) | (14615) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 129934 | 24377 | 3741536 | 5008691 | 4372417 |
| **NET ASSETS AT END OF PERIOD** | $98187 | $30896 | $3435147 | $4376891 | $4357802 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 6641 | 669 | 91559 | 205886 | 116535 |
| &nbsp;&nbsp;&nbsp;Units issued | 16 | 2 | 605 | 1984 | 1927 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (1822) | (8) | (19706) | (38079) | (24892) |
| Units outstanding at end of period | 4835 | 663 | 72458 | 169791 | 93570 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Shares VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin U.S. Government Securities VIP Fund - Class 2** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(762) | $10536 | $(13004) | $14901 | $(35) |
| Net realized gains (losses) | 52198 | 48059 | 14197 | (41463) | 2138 |
| Change in unrealized gains (losses) | (27650) | 255374 | 202690 | 30425 | 557 |
| Increase (decrease) in net assets from operations | 23786 | 313969 | 203883 | 3863 | 2660 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 501 |  | 254 |  |
| Transfers for contract benefits and terminations | (192918) | (996950) | (539655) | (433074) | (1499) |
| Contract maintenance charge | (1211) | (3598) | (2248) | (714) | (48) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 7105 | (4194) | (1056) | 59833 | (115) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (187024) | (1004241) | (542959) | (373701) | (1662) |
| **INCREASE (DECREASE) IN NET ASSETS** | (163238) | (690272) | (339076) | (369838) | 998 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 561294 | 3462337 | 2335743 | 1058625 | 18070 |
| **NET ASSETS AT END OF PERIOD** | $398056 | $2772065 | $1996667 | $688787 | $19068 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 23591 | 112706 | 43942 | 92161 | 694 |
| &nbsp;&nbsp;&nbsp;Units issued | 306 | 1320 | 689 | 6126 | 1 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (7974) | (31938) | (10129) | (38385) | (63) |
| Units outstanding at end of period | 15923 | 82088 | 34502 | 59902 | 632 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(554) | $(416) | $(397) | $(81523) | $(27489) |
| Net realized gains (losses) | 3805 | 3886 | 8467 | 303897 | 41067 |
| Change in unrealized gains (losses) | 2843 | 3619 | 799 | 1570959 | 461717 |
| Increase (decrease) in net assets from operations | 6094 | 7089 | 8869 | 1793333 | 475295 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  | 5375 | 9840 |
| Transfers for contract benefits and terminations |  | (2114) | (12563) | (902161) | (61691) |
| Contract maintenance charge | (139) | (59) | (125) | (3873) | (3329) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (1) | (203) | (558) | (116166) | (72012) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (140) | (2376) | (13246) | (1016825) | (127192) |
| **INCREASE (DECREASE) IN NET ASSETS** | 5954 | 4713 | (4377) | 776508 | 348103 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 59244 | 43356 | 38699 | 5859172 | 1505537 |
| **NET ASSETS AT END OF PERIOD** | $65198 | $48069 | $34322 | $6635680 | $1853640 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 1823 | 1599 | 1048 | 157521 | 34638 |
| &nbsp;&nbsp;&nbsp;Units issued |  | 2 | 1 | 286 | 337 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (4) | (84) | (325) | (27735) | (2250) |
| Units outstanding at end of period | 1819 | 1517 | 724 | 130072 | 32725 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Core Equity Fund - Series I** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(10512) | $(17786) | $1763 | $(9941) | $(19930) |
| Net realized gains (losses) | 57231 | 89056 | 124896 | 589045 | 337488 |
| Change in unrealized gains (losses) | 604376 | 399368 | (40754) | 17998 | 381300 |
| Increase (decrease) in net assets from operations | 651095 | 470638 | 85905 | 597102 | 698858 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 4316 |  |  | 1875 |
| Transfers for contract benefits and terminations | (303029) | (342640) | (83534) | (870839) | (363256) |
| Contract maintenance charge | (2088) | (5157) | (379) | (11000) | (2422) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 12786 | (105731) | (244833) | (9694) | (48918) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (292331) | (449212) | (328746) | (891533) | (412721) |
| **INCREASE (DECREASE) IN NET ASSETS** | 358764 | 21426 | (242841) | (294431) | 286137 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 2433255 | 1862726 | 901046 | 4882927 | 3127222 |
| **NET ASSETS AT END OF PERIOD** | $2792019 | $1884152 | $658205 | $4588496 | $3413359 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 135526 | 50987 | 21464 | 132390 | 105135 |
| &nbsp;&nbsp;&nbsp;Units issued | 1245 | 783 | 36 | 821 | 797 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (16578) | (10769) | (7326) | (24323) | (14223) |
| Units outstanding at end of period | 120193 | 41001 | 14174 | 108888 | 91709 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(328) | $8403 | $37720 | $(5951) | $(85112) |
| Net realized gains (losses) | 2312 | (2148) | (970) | 61449 | 212744 |
| Change in unrealized gains (losses) | 3255 | 565 | (10902) | 88993 | 1441645 |
| Increase (decrease) in net assets from operations | 5239 | 6820 | 25848 | 144491 | 1569277 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations |  | (30483) | (249546) | (158799) | (880960) |
| Contract maintenance charge | (111) | (150) | (2961) | (213) | (5046) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 9 | (5759) | 96175 | (217113) | (150119) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (102) | (36392) | (156332) | (376125) | (1036125) |
| **INCREASE (DECREASE) IN NET ASSETS** | 5137 | (29572) | (130484) | (231634) | 533152 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 22693 | 385819 | 2054974 | 678490 | 5300607 |
| **NET ASSETS AT END OF PERIOD** | $27830 | $356247 | $1924490 | $446856 | $5833759 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 841 | 24163 | 209600 | 23170 | 118030 |
| &nbsp;&nbsp;&nbsp;Units issued |  | 683 | 10959 | 31 | 1366 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (4) | (2926) | (26503) | (11684) | (20786) |
| Units outstanding at end of period | 837 | 21920 | 194056 | 11517 | 98610 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(11739) | $(30522) | $29514 | $622 | $4646 |
| Net realized gains (losses) | 7326 | (8944) | 288395 | 47283 | 66129 |
| Change in unrealized gains (losses) | 180179 | 433463 | 270952 | 21741 | 205727 |
| Increase (decrease) in net assets from operations | 175766 | 393997 | 588861 | 69646 | 276502 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 236 | 420 |  |  |
| Transfers for contract benefits and terminations | (88761) | (256609) | (182458) | (9076) | (196812) |
| Contract maintenance charge | (306) | (4282) | (2243) | (532) | (511) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (692) | (96602) | (13888) | (52001) | (268) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (89759) | (357257) | (198169) | (61609) | (197591) |
| **INCREASE (DECREASE) IN NET ASSETS** | 86007 | 36740 | 390692 | 8037 | 78911 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 806695 | 1955022 | 5090690 | 616183 | 2593556 |
| **NET ASSETS AT END OF PERIOD** | $892702 | $1991762 | $5481382 | $624220 | $2672467 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 47612 | 66702 | 50034 | 22611 | 240654 |
| &nbsp;&nbsp;&nbsp;Units issued | 22 | 475 | 659 | 103 | 249 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (5248) | (10623) | (2453) | (1811) | (17723) |
| Units outstanding at end of period | 42386 | 56554 | 48240 | 20903 | 223180 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series I**  | **Invesco V.I. Equity and Income Fund - Series II**  | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(5892) | $6538 | $2801 | $3371 | $(43) |
| Net realized gains (losses) | 44714 | 58779 | 101245 | 20042 | 305 |
| Change in unrealized gains (losses) | 128128 | 76831 | 55211 | (26513) | (888) |
| Increase (decrease) in net assets from operations | 166950 | 142148 | 159257 | (3100) | (626) |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  | 2760 |  | 4140 |
| Transfers for contract benefits and terminations | (55737) | (118279) | (451097) | (59151) |  |
| Contract maintenance charge | (8565) | (920) | (2645) | (404) |  |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 2272 | 4676 | 1337887 | 61 | (4) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (62030) | (114523) | 886905 | (59494) | 4136 |
| **INCREASE (DECREASE) IN NET ASSETS** | 104920 | 27625 | 1046162 | (62594) | 3510 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1614034 | 1390017 | 851829 | 848442 | 40489 |
| **NET ASSETS AT END OF PERIOD** | $1718954 | $1417642 | $1897991 | $785848 | $43999 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 151355 | 61983 | 28395 | 35915 | 1475 |
| &nbsp;&nbsp;&nbsp;Units issued | 316 | 251 | 45375 | 292 | 151 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (5753) | (4971) | (15354) | (2850) |  |
| Units outstanding at end of period | 145918 | 57263 | 58416 | 33357 | 1626 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series I** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(2534) | $(1191) | $(6876) | $(16362) | $6434 |
| Net realized gains (losses) | 27970 | 3776 | 43136 | 90923 | (8794) |
| Change in unrealized gains (losses) | 124988 | 24298 | 37589 | 71573 | 10177 |
| Increase (decrease) in net assets from operations | 150424 | 26883 | 73849 | 146134 | 7817 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (53632) | (6581) | (34514) | (128504) | (74439) |
| Contract maintenance charge | (505) | (385) | (125) | (1855) | (147) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (4707) | 422 | (29281) | (37753) | 7945 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (58844) | (6544) | (63920) | (168112) | (66641) |
| **INCREASE (DECREASE) IN NET ASSETS** | 91580 | 20339 | 9929 | (21978) | (58824) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1002796 | 180507 | 540621 | 1083231 | 434439 |
| **NET ASSETS AT END OF PERIOD** | $1094376 | $200846 | $550550 | $1061253 | $375615 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 25967 | 8404 | 14488 | 20702 | 27319 |
| &nbsp;&nbsp;&nbsp;Units issued | 1646 | 16 | 66 | 278 | 673 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (3028) | (257) | (1682) | (3114) | (4077) |
| Units outstanding at end of period | 24585 | 8163 | 12872 | 17866 | 23915 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Growth and Income Fund - Series II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $41868 | $5173 | $1 | $5651 | $(11725) |
| Net realized gains (losses) | (93921) |  |  | (10611) | 209631 |
| Change in unrealized gains (losses) | 106835 |  |  | 7770 | 147006 |
| Increase (decrease) in net assets from operations | 54782 | 5173 | 1 | 2810 | 344912 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits | 1088 |  |  |  | 989 |
| Transfers for contract benefits and terminations | (650062) | (3447) |  | (80274) | (638481) |
| Contract maintenance charge | (2390) | (65) |  | (329) | (2491) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 185158 | (1) | (1) | 10084 | (43973) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (466206) | (3513) | (1) | (70519) | (683956) |
| **INCREASE (DECREASE) IN NET ASSETS** | (411424) | 1660 |  | (67709) | (339044) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 4153596 | 151922 | 15 | 453343 | 2615963 |
| **NET ASSETS AT END OF PERIOD** | $3742172 | $153582 | $15 | $385634 | $2276919 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 239599 | 15722 | 2 | 29347 | 62578 |
| &nbsp;&nbsp;&nbsp;Units issued | 14306 | 4 |  | 637 | 962 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (40098) | (362) |  | (5118) | (15430) |
| Units outstanding at end of period | 213807 | 15364 | 2 | 24866 | 48110 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $14342 | $12307 | $(17716) | $(109260) | $(4071) |
| Net realized gains (losses) | (7446) | (3734) | 140974 | 694080 | 9303 |
| Change in unrealized gains (losses) | 14549 | 9845 | 150775 | 876305 | 53568 |
| Increase (decrease) in net assets from operations | 21445 | 18418 | 274033 | 1461125 | 58800 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  | 375 | 23660 |  |
| Transfers for contract benefits and terminations | (64341) | (17521) | (39286) | (1060967) | (12167) |
| Contract maintenance charge | (187) | (1542) | (833) | (3813) | (200) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 5115 | 6796 | (1010) | (197228) | 364 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (59413) | (12267) | (40754) | (1238348) | (12003) |
| **INCREASE (DECREASE) IN NET ASSETS** | (37968) | 6151 | 233279 | 222777 | 46797 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 377989 | 332907 | 1253040 | 7182175 | 384929 |
| **NET ASSETS AT END OF PERIOD** | $340021 | $339058 | $1486319 | $7404952 | $431726 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 16554 | 16366 | 38153 | 159772 | 10478 |
| &nbsp;&nbsp;&nbsp;Units issued | 501 | 397 | 23 | 1318 | 9 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (3232) | (1001) | (1112) | (25496) | (299) |
| Units outstanding at end of period | 13823 | 15762 | 37064 | 135594 | 10188 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(669) | $(4953) | $(34984) | $(6775) | $(3799) |
| Net realized gains (losses) | 1065 | 43950 | 211278 | 24177 | 12036 |
| Change in unrealized gains (losses) | 5387 | 2612 | 57360 | 116318 | 59170 |
| Increase (decrease) in net assets from operations | 5783 | 41609 | 233654 | 133720 | 67407 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits | 4140 |  | 120 |  | 2760 |
| Transfers for contract benefits and terminations |  | (60600) | (529099) | (35446) |  |
| Contract maintenance charge |  | (104) | (2251) | (215) |  |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 1 | (63567) | 6592 | 12 | (1) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | 4141 | (124271) | (524638) | (35649) | 2759 |
| **INCREASE (DECREASE) IN NET ASSETS** | 9924 | (82662) | (290984) | 98071 | 70166 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 37760 | 442229 | 2506195 | 429909 | 211231 |
| **NET ASSETS AT END OF PERIOD** | $47684 | $359567 | $2215211 | $527980 | $281397 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 1257 | 9278 | 41869 | 9355 | 4957 |
| &nbsp;&nbsp;&nbsp;Units issued | 126 | 79 | 648 | 7 | 55 |
| &nbsp;&nbsp;&nbsp;Units redeemed |  | (2578) | (8714) | (683) |  |
| Units outstanding at end of period | 1383 | 6779 | 33803 | 8679 | 5012 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $68932 | $(5878) | $(7626) | $(11624) | $(17046) |
| Net realized gains (losses) | (18801) | 55282 | 117291 | (24563) | 216859 |
| Change in unrealized gains (losses) | 37795 | 53896 | 58207 | 233312 | 2000 |
| Increase (decrease) in net assets from operations | 87926 | 103300 | 167872 | 197125 | 201813 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (202520) | (101927) | (290180) | (81497) | (203904) |
| Contract maintenance charge | (1022) | (558) | (1768) | (960) | (495) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 37285 | (5913) | (22146) | (13539) | 5124 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (166257) | (108398) | (314094) | (95996) | (199275) |
| **INCREASE (DECREASE) IN NET ASSETS** | (78331) | (5098) | (146222) | 101129 | 2538 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1759864 | 711818 | 972502 | 707467 | 1568768 |
| **NET ASSETS AT END OF PERIOD** | $1681533 | $706720 | $826280 | $808596 | $1571306 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 85097 | 21875 | 35385 | 19853 | 59687 |
| &nbsp;&nbsp;&nbsp;Units issued | 2163 | 95 | 616 | 1139 | 1145 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (10063) | (3061) | (10893) | (3383) | (7927) |
| Units outstanding at end of period | 77197 | 18909 | 25108 | 17609 | 52905 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(2537) | $(1020) | $(2552) | $5443 | $4277 |
| Net realized gains (losses) | 27263 | 20775 | (2734) | (1251) | (2963) |
| Change in unrealized gains (losses) | 20793 | 6607 | 15781 | (2041) | 3807 |
| Increase (decrease) in net assets from operations | 45519 | 26362 | 10495 | 2151 | 5121 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (67995) | (25352) | (8326) | (4035) | (20704) |
| Contract maintenance charge | (82) | (79) | (81) | (30) | (25) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (199) | 241 | 1649 | (15458) | 1168 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (68276) | (25190) | (6758) | (19523) | (19561) |
| **INCREASE (DECREASE) IN NET ASSETS** | (22757) | 1172 | 3737 | (17372) | (14440) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 370225 | 159013 | 199580 | 199846 | 104853 |
| **NET ASSETS AT END OF PERIOD** | $347468 | $160185 | $203317 | $182474 | $90413 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 9577 | 4668 | 6089 | 9862 | 4430 |
| &nbsp;&nbsp;&nbsp;Units issued | 8 | 6 | 52 |  | 49 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (1651) | (690) | (255) | (970) | (861) |
| Units outstanding at end of period | 7934 | 3984 | 5886 | 8892 | 3618 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(4056) | $(24960) | $60771 | $(51) | $(14) |
| Net realized gains (losses) | (17905) | (207206) | (19621) | 4061 | (239) |
| Change in unrealized gains (losses) | 119130 | 760215 | 21724 | 6104 | 844 |
| Increase (decrease) in net assets from operations | 97169 | 528049 | 62874 | 10114 | 591 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  |  |
| Transfers for contract benefits and terminations | (23316) | (121843) | (46935) | (10603) | (3013) |
| Contract maintenance charge | (604) | (6363) | (164) | (75) | (41) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 198 | (140228) | 2341 | (49763) | 306 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (23722) | (268434) | (44758) | (60441) | (2748) |
| **INCREASE (DECREASE) IN NET ASSETS** | 73447 | 259615 | 18116 | (50327) | (2157) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 250932 | 1433723 | 671311 | 130093 | 14223 |
| **NET ASSETS AT END OF PERIOD** | $324379 | $1693338 | $689427 | $79766 | $12066 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 4971 | 35381 | 26223 | 5096 | 401 |
| &nbsp;&nbsp;&nbsp;Units issued |  | 1258 | 325 | 1 | 16 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (369) | (7685) | (1988) | (2271) | (105) |
| Units outstanding at end of period | 4602 | 28954 | 24560 | 2826 | 312 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Nomura VIP Small Cap Value Series - Standard Class** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(15968) | $(2594) | $(96892) | $(27846) | $521 |
| Net realized gains (losses) | (10854) | (6016) | (500959) | (76248) | 35167 |
| Change in unrealized gains (losses) | 94835 | 17837 | 3307485 | 773300 | 25293 |
| Increase (decrease) in net assets from operations | 68013 | 9227 | 2709634 | 669206 | 60981 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  | 780 |  |  |
| Transfers for contract benefits and terminations | (90756) | (50062) | (630784) | (49312) | (42676) |
| Contract maintenance charge | (732) | (306) | (3813) | (7261) | (339) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 377 | 293 | (99769) | (73910) | (564) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (91111) | (50075) | (733586) | (130483) | (43579) |
| **INCREASE (DECREASE) IN NET ASSETS** | (23098) | (40848) | 1976048 | 538723 | 17402 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1162160 | 195084 | 6612245 | 1568463 | 633415 |
| **NET ASSETS AT END OF PERIOD** | $1139062 | $154236 | $8588293 | $2107186 | $650817 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 61287 | 10641 | 129156 | 57010 | 9282 |
| &nbsp;&nbsp;&nbsp;Units issued | 1174 | 30 | 1596 | 337 | 14 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (6108) | (2538) | (15191) | (1932) | (621) |
| Units outstanding at end of period | 56353 | 8133 | 115561 | 55415 | 8675 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **Putnam VT Core Equity Fund - Class IB** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $10 | $263 | $575 | $1464 | $(38759) |
| Net realized gains (losses) | (27) | (21) | (335) | (4146) | 550006 |
| Change in unrealized gains (losses) | 58 | 66 | 312 | 4060 | 713317 |
| Increase (decrease) in net assets from operations | 41 | 308 | 552 | 1378 | 1224564 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  |  |  |  | 318 |
| Transfers for contract benefits and terminations |  |  | (941) | (587) | (839001) |
| Contract maintenance charge | (3) | (17) | (119) | (447) | (1808) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net |  |  | (5088) | (24089) | (19462) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (3) | (17) | (6148) | (25123) | (859953) |
| **INCREASE (DECREASE) IN NET ASSETS** | 38 | 291 | (5596) | (23745) | 364611 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 1684 | 5318 | 55037 | 67648 | 5109578 |
| **NET ASSETS AT END OF PERIOD** | $1722 | $5609 | $49441 | $43903 | $5474189 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 249 | 321 | 3917 | 4683 | 162331 |
| &nbsp;&nbsp;&nbsp;Units issued |  |  | 218 | 18 | 1752 |
| &nbsp;&nbsp;&nbsp;Units redeemed |  | (1) | (632) | (1676) | (23750) |
| Units outstanding at end of period | 249 | 320 | 3503 | 3025 | 140333 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $39201 | $486 | $5117 | $(4055) | $10766 |
| Net realized gains (losses) | (52329) | 1738 | (7247) | 135089 | 60056 |
| Change in unrealized gains (losses) | 46238 | 41784 | 31673 | 273038 | 120667 |
| Increase (decrease) in net assets from operations | 33110 | 44008 | 29543 | 404072 | 191489 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 480 | 480 | 56 |  |
| Transfers for contract benefits and terminations | (107339) | (33602) | (120794) | (392860) | (244359) |
| Contract maintenance charge | (108) | (195) | (537) | (2080) | (804) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 8882 | 1598 | (1694) | (23468) | (42868) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (98565) | (31719) | (122545) | (418352) | (288031) |
| **INCREASE (DECREASE) IN NET ASSETS** | (65455) | 12289 | (93002) | (14280) | (96542) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 835108 | 316774 | 1401701 | 2836940 | 1417169 |
| **NET ASSETS AT END OF PERIOD** | $769653 | $329063 | $1308699 | $2822660 | $1320627 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 43194 | 18998 | 77619 | 109737 | 49288 |
| &nbsp;&nbsp;&nbsp;Units issued | 947 | 180 | 580 | 1355 | 206 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (6011) | (1849) | (7267) | (15562) | (8788) |
| Units outstanding at end of period | 38130 | 17329 | 70932 | 95530 | 40706 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT High Yield Fund - Class IB**  | **Putnam VT Income Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(18650) | $190179 | $67623 | $136593 | $24860 |
| Net realized gains (losses) | 132803 |  | (33063) | (167510) | 49221 |
| Change in unrealized gains (losses) | (74873) |  | 57328 | 65328 | (15134) |
| Increase (decrease) in net assets from operations | 39280 | 190179 | 91888 | 34411 | 58947 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 805 | 183 | 338 | 638 |
| Transfers for contract benefits and terminations | (306545) | (1594828) | (208599) | (484585) | (362815) |
| Contract maintenance charge | (979) | (16090) | (1151) | (2660) | (2306) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (7485) | 1921132 | 12885 | 138112 | 6722 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (315009) | 311019 | (196682) | (348795) | (357761) |
| **INCREASE (DECREASE) IN NET ASSETS** | (275729) | 501198 | (104794) | (314384) | (298814) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 2001162 | 6522120 | 1514228 | 3452330 | 3072177 |
| **NET ASSETS AT END OF PERIOD** | $1725433 | $7023318 | $1409434 | $3137946 | $2773363 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 42123 | 702776 | 52983 | 214712 | 151394 |
| &nbsp;&nbsp;&nbsp;Units issued | 326 | 209362 | 1233 | 10977 | 3498 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (6124) | (177394) | (7715) | (31526) | (19848) |
| Units outstanding at end of period | 36325 | 734744 | 46501 | 194163 | 135044 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT International Value Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Research Fund - Class IB** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $5508 | $(145165) | $(29609) | $34796 | $(14903) |
| Net realized gains (losses) | 6613 | 1261679 | 1385315 | (20742) | 126180 |
| Change in unrealized gains (losses) | 5536 | 1937418 | 1044154 | 8519 | 240391 |
| Increase (decrease) in net assets from operations | 17657 | 3053932 | 2399860 | 22573 | 351668 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 720 | 638 | 90 | 218 |
| Transfers for contract benefits and terminations | (37795) | (1187454) | (1937810) | (37243) | (155285) |
| Contract maintenance charge | (103) | (4565) | (5648) | (346) | (707) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (17197) | (1008695) | (247376) | 28622 | (23572) |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (55095) | (2199994) | (2190196) | (8877) | (179346) |
| **INCREASE (DECREASE) IN NET ASSETS** | (37438) | 853938 | 209664 | 13696 | 172322 |
| **NET ASSETS AT BEGINNING OF PERIOD** | 466303 | 10159719 | 13944795 | 645971 | 1478354 |
| **NET ASSETS AT END OF PERIOD** | $428865 | $11013657 | $14154459 | $659667 | $1650676 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 23957 | 410880 | 269887 | 39082 | 38537 |
| &nbsp;&nbsp;&nbsp;Units issued | 340 | 3044 | 1256 | 1780 | 508 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (3012) | (71708) | (40789) | (2204) | (4357) |
| Units outstanding at end of period | 21285 | 342216 | 230354 | 38658 | 34688 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Templeton Developing Markets VIP Fund - Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | | | | | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | | | | | |
| Net investment income (loss) | $(1723) | $(6279) | $(5453) | $(89979) | $13149 |
| Net realized gains (losses) | 12605 | 68840 | 162 | 387711 | (3678) |
| Change in unrealized gains (losses) | 15793 | 27361 | 55551 | 1278448 | 27454 |
| Increase (decrease) in net assets from operations | 26675 | 89922 | 50260 | 1576180 | 36925 |
| **INCREASE (DECREASE) IN NET ASSETS** |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |  |  |  |  |
| Deposits |  | 240 |  | 180 | 660 |
| Transfers for contract benefits and terminations | (8556) | (177350) | (7128) | (814730) | (143524) |
| Contract maintenance charge | (2) | (718) | (87) | (3076) | (506) |
| Transfers among the sub-accounts and with the |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | (47680) | (62538) | 6 | (62115) | 71 |
| Increase (decrease) in net assets from contract |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp;transactions | (56238) | (240366) | (7209) | (879741) | (143299) |
| **INCREASE (DECREASE) IN NET ASSETS** | (29563) | (150444) | 43051 | 696439 | (106374) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 113080 | 1890333 | 377322 | 7606514 | 610208 |
| **NET ASSETS AT END OF PERIOD** | $83517 | $1739889 | $420373 | $8302953 | $503834 |
| **UNITS OUTSTANDING** |  |  |  |  |  |
| Units outstanding at beginning of period | 2230 | 33014 | 7269 | 207515 | 17038 |
| &nbsp;&nbsp;&nbsp;Units issued | 247 | 170 | 1 | 878 | 500 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (1095) | (4147) | (127) | (21172) | (4055) |
| Units outstanding at end of period | 1382 | 29037 | 7143 | 187221 | 13483 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**STATEMENT OF CHANGES IN NET ASSETS**

**For the Year Ended December 31, 2024**

---

| | |
|:---|:---|
| | **Templeton Foreign VIP Fund - Class 2** |
| **INCREASE (DECREASE) IN NET ASSETS** | |
| &nbsp;&nbsp;&nbsp;**FROM OPERATIONS** | |
| Net investment income (loss) | $30041 |
| Net realized gains (losses) | 47796 |
| Change in unrealized gains (losses) | (139555) |
| Increase (decrease) in net assets from operations | (61718) |
| **INCREASE (DECREASE) IN NET ASSETS** |  |
| &nbsp;&nbsp;&nbsp;**FROM CONTRACT TRANSACTIONS** |  |
| Deposits | 310 |
| Transfers for contract benefits and terminations | (840060) |
| Contract maintenance charge | (4443) |
| Transfers among the sub-accounts and with the |  |
| &nbsp;&nbsp;&nbsp;Fixed Account - net | 206382 |
| Increase (decrease) in net assets from contract |  |
| &nbsp;&nbsp;&nbsp;transactions | (637811) |
| **INCREASE (DECREASE) IN NET ASSETS** | (699529) |
| **NET ASSETS AT BEGINNING OF PERIOD** | 3699919 |
| **NET ASSETS AT END OF PERIOD** | $3000390 |
| **UNITS OUTSTANDING** |  |
| Units outstanding at beginning of period | 162881 |
| &nbsp;&nbsp;&nbsp;Units issued | 9964 |
| &nbsp;&nbsp;&nbsp;Units redeemed | (36000) |
| Units outstanding at end of period | 136845 |

---

See notes to financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

**1. Organization**

Wilton Reassurance Life Co of New York Separate Account A, formerly known as Allstate Life of New York Separate Account A (the "Account"), a unit investment trust registered with the Securities and Exchange Commission under the Investment Company Act of 1940, is a separate account of Wilton Reassurance Life Co of New York ("the Company"). The assets of the Account are legally segregated from those of the Company. The Company is a wholly owned subsidiary of Wilton Reassurance Company ("WRAC") which, in turn is a wholly owned subsidiary of Wilton Re U.S. Holdings, Inc., a Delaware corporation ("Wilton Re U.S."). All but a de minimis portion of the economic interests and 100% of the voting interests of Wilton Re U.S. are held or controlled by Wilton Re U.S. Holdings Trust, an Ontario trust (the "Wilton Re Trust"). In turn, all economic interests associated with the Wilton Re Trust accrue to Wilton Re Ltd. ("WRL"), a non-insurance holding company registered in Nova Scotia, Canada. WRL is deemed the ultimate parent corporation in the Company's holding company system. The Account was established by Allstate Life Insurance Company of New York ("ALNY"), which was acquired by WRAC, on October 1, 2021. On November 1, 2021, ALNY merged with and into Wilton Re New York, with Wilton Re New York being the surviving company to the merger. These financial statements have been prepared in conformity with accounting principles generally accepted in the United States of America ("GAAP").

The assets within the Account are legally segregated from each other into sub-accounts (the "sub-accounts"). On June 1, 2006, the Company completed the disposal of substantially all of its variable annuity business through a combination of coinsurance and modified coinsurance reinsurance, and administrative services agreements with subsidiaries of Prudential Financial, Inc. ("Prudential"). Prudential is responsible for servicing the individual annuity contracts, including those of the Account. The reinsurance agreements do not extinguish the Company's contractual obligations to the contractholders. The Company continues to be responsible for all contract terms and conditions. The obligations of Prudential under the reinsurance and administrative agreements are to the Company.

The Company issued the following variable annuity contracts through the Account (collectively the "Contracts"). The Account accepts additional deposits from existing contractholders, but is closed to new contractholders.

---

| |
|:---|
| AIM Lifetime America Series (Classic, Freedom, and Regal) |
| AIM Lifetime Enhanced Choice |
| AIM Lifetime Plus SM Variable Annuity |
| AIM Lifetime Plus SM Variable Annuity II |
| Allstate Advisor Variable Annuity (Base, Plus, and Preferred) |
| Allstate Custom Portfolio |
| Allstate Custom Portfolio Plus |
| Allstate Provider |
| Allstate Retirement Access VA B Series |
| Allstate Retirement Access VA L Series |
| Allstate Retirement Access VA X Series |
| Allstate Variable Annuity (Base, B-Share and L-Share) |
| Allstate Variable Annuity II |
| Allstate Variable Annuity 3 |
| Allstate Variable Annuity 3 Asset Manager |
| Preferred Client Variable Annuity |
| Provider Ultra |
| Putnam Allstate Advisor Variable Annuity (Base, Plus, and Preferred) |
| Scudder Horizon Advantage Variable Annuity |
| Select Directions Variable Annuity |

---

Absent any contract provisions wherein the Company contractually guarantees either a minimum return or account value upon death or annuitization, a specified contract anniversary date, variable annuity contractholders bear the investment risk that the sub-accounts may not meet their stated investment objectives. The sub-account names listed below correspond to mutual fund portfolios ("Fund" or "Funds") in which they invest:

---

| | |
|:---|:---|
| Alliance Bernstein VPS Discovery Value Portfolio - Class B | AST Balanced Asset Allocation Portfolio |
| Alliance Bernstein VPS International Value Portfolio - Class B | AST Government Money Market Portfolio |
| Alliance Bernstein VPS Large Cap Growth Portfolio - Class B | AST International Equity Portfolio |
| Alliance Bernstein VPS Relative Value Portfolio - Class B | AST J.P. Morgan Conservative Multi-Asset Portfolio |
| Allspring VT Index Asset Allocation Fund - Class 2 | AST Large-Cap Growth Portfolio |
| Allspring VT Opportunity Fund - Class 2 | AST Large-Cap Value Portfolio |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | |
|:---|:---|
| AST Multi-Asset Diversified Plus Portfolio\* | Invesco V.I. Equally-Weighted S&P 500 Fund - Series I |
| AST Multi-Asset Diversified Portfolio\* | Invesco V.I. Equally-Weighted S&P 500 Fund - Series II |
| AST PGIM Aggressive Multi-Asset Portfolio\* | Invesco V.I. Equity and Income Fund - Series I |
| AST Preservation Asset Allocation Portfolio | Invesco V.I. Equity and Income Fund - Series II |
| AST Small-Cap Equity Portfolio | Invesco V.I. EQV International Equity Fund - Series I |
| BNY Mellon Stock Index Fund, Inc. | Invesco V.I. EQV International Equity Fund - Series II |
| BNY Mellon Sustainable U.S. Equity Portfolio, Inc. | Invesco V.I. Global Core Equity Fund - Series I |
| BNY Mellon VIF, Appreciation Portfolio - Initial Shares | Invesco V.I. Global Core Equity Fund - Series II |
| BNY Mellon VIF, Government Money Market Portfolio | Invesco V.I. Global Fund - Series I |
| Fidelity® VIP Contrafund℠ Portfolio - Initial Class | Invesco V.I. Global Fund - Series II |
| Fidelity® VIP Contrafund℠ Portfolio - Service Class 2 | Invesco V.I. Global Strategic Income Fund - Series I |
| Fidelity® VIP Equity-Income Portfolio℠ - Initial Class | Invesco V.I. Global Strategic Income Fund - Series II |
| Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2 | Invesco V.I. Government Money Market Fund - Series I |
| Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2 | Invesco V.I. Government Money Market Fund - Series II |
| Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2 | Invesco V.I. Government Securities Fund - Series I |
| Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2 | Invesco V.I. Growth and Income Fund - Series II |
| Fidelity® VIP Government Money Market Portfolio - Initial Class | Invesco V.I. High Yield Fund - Series I |
| Fidelity® VIP Government Money Market Portfolio - Service Class 2 | Invesco V.I. High Yield Fund - Series II |
| Fidelity® VIP Growth & Income Portfolio - Service Class 2 | Invesco V.I. Main Street Fund® - Series I |
| Fidelity® VIP Growth Opportunities Portfolio - Initial Class | Invesco V.I. Main Street Fund® - Series II |
| Fidelity® VIP Growth Opportunities Portfolio - Service Class 2 | Invesco V.I. Main Street Mid Cap Fund® - Series I |
| Fidelity® VIP Growth Portfolio - Initial Class | Invesco V.I. Main Street Mid Cap Fund® - Series II |
| Fidelity® VIP High Income Portfolio - Initial Class | Invesco V.I. Main Street Small Cap Fund® - Series I |
| Fidelity® VIP High Income Portfolio - Service Class 2 | Invesco V.I. Main Street Small Cap Fund® - Series II |
| Fidelity® VIP Index 500 Portfolio - Initial Class | Invesco V.I. Technology Fund - Series I |
| Fidelity® VIP Index 500 Portfolio - Service Class 2 | Invesco V.I. Technology Fund - Series II |
| Fidelity® VIP Investment Grade Bond Portfolio - Initial Class | Lord Abbett Bond Debenture Portfolio - Class VC |
| Fidelity® VIP Mid Cap Portfolio - Service Class 2 | Lord Abbett Fundamental Equity Portfolio - Class VC |
| Fidelity® VIP Overseas Portfolio - Initial Class | Lord Abbett Growth and Income Portfolio - Class VC |
| Franklin DynaTech VIP Fund - Class 2 | Lord Abbett Growth Opportunities Portfolio - Class VC |
| Franklin Growth and Income VIP Fund - Class 2 | Lord Abbett Mid Cap Stock Portfolio - Class VC |
| Franklin Income VIP Fund - Class 2 | LVIP Nomura SMID Cap Core Fund - Standard Class\* |
| Franklin Large Cap Growth VIP Fund - Class 2 | MFS® VIT Investors Trust Series - Initial Class |
| Franklin Mutual Global Discovery VIP Fund - Class 2 | MFS® VIT New Discovery Series - Initial Class |
| Franklin Mutual Shares VIP Fund - Class 2 | MFS® VIT Total Return Bond Series - Initial Class |
| Franklin Small Cap Value VIP Fund - Class 2 | MFS® VIT II High Yield Portfolio - Initial Class |
| Franklin U.S. Government Securities VIP Fund - Class 2 | Morgan Stanley VIF Discovery Portfolio - Class I |
| Goldman Sachs VIT Large Cap Value Fund - Institutional Class | Morgan Stanley VIF Discovery Portfolio - Class II |
| Goldman Sachs VIT Mid Cap Value Fund - Institutional Class | Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II |
| Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class | Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I |
| Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class | Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II |
| Invesco V.I. American Franchise Fund - Series I | Morgan Stanley VIF Global Strategist Portfolio - Class I |
| Invesco V.I. American Franchise Fund - Series II | Morgan Stanley VIF Global Strategist Portfolio - Class II |
| Invesco V.I. American Value Fund - Series I | Morgan Stanley VIF Growth Portfolio - Class I |
| Invesco V.I. American Value Fund - Series II | Morgan Stanley VIF Growth Portfolio - Class II |
| Invesco V.I. Comstock Fund - Series I | Nomura VIP Small Cap Value Series - Standard Class\* |
| Invesco V.I. Comstock Fund - Series II | PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class |
| Invesco V.I. Core Equity Fund - Series I | PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class |
| Invesco V.I. Core Equity Fund - Series II | PIMCO VIT Real Return Portfolio - Advisor Class |
| Invesco V.I. Core Plus Bond Fund - Series I | PIMCO VIT Total Return Portfolio - Advisor Class |
| Invesco V.I. Core Plus Bond Fund - Series II | Putnam VT Core Equity Fund - Class IB |
| Invesco V.I. Discovery Large Cap Fund - Series I\* | Putnam VT Diversified Income Fund - Class IB |
| Invesco V.I. Discovery Large Cap Fund - Series II\* | Putnam VT Emerging Markets Equity Fund - Class IB |
| Invesco V.I. Discovery Mid Cap Growth Fund - Series I | Putnam VT Focused International Equity Fund - Class IB |
| Invesco V.I. Discovery Mid Cap Growth Fund - Series II | Putnam VT George Putnam Balanced Fund - Class IB |
| Invesco V.I. Diversified Dividend Fund - Series I | Putnam VT Global Asset Allocation Fund - Class IB |
| Invesco V.I. Diversified Dividend Fund - Series II | Putnam VT Global Health Care Fund - Class IB |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | |
|:---|:---|
| Putnam VT Government Money Market Fund - Class IB | Putnam VT Research Fund - Class IB |
| Putnam VT High Yield Fund - Class IB | Putnam VT Small Cap Growth Fund - Class IB |
| Putnam VT Income Fund - Class IB | Putnam VT Small Cap Value Fund - Class IB |
| Putnam VT International Equity Fund - Class IB | Putnam VT Sustainable Future Fund - Class IB |
| Putnam VT International Value Fund - Class IB | Putnam VT Sustainable Leaders Fund - Class IB |
| Putnam VT Large Cap Growth Fund - Class IB | Templeton Developing Markets VIP Fund - Class 2 |
| Putnam VT Large Cap Value Fund - Class IB | Templeton Foreign VIP Fund - Class 2 |
| Putnam VT Mortgage Securities Fund - Class IB |  |
| (\*) See Note 2 for disclosure of changes to the names of sub-accounts (and Funds) during 2025. | (\*) See Note 2 for disclosure of changes to the names of sub-accounts (and Funds) during 2025. |

---

The net assets are affected by the investment results of each Fund, transactions by contractholders and certain contract expenses (see Note 5). Contractholders' interests consist of units of the sub-account. The accompanying financial statements include only contractholders' purchase payments applicable to the variable portions of their contracts and exclude any purchase payments directed by the contractholder to the Fixed Account in which the contractholders' deposits are included in the Company's general account assets and earn a fixed rate of return.

A contractholder may choose from among a number of different underlying Fund options. The underlying Funds are not available to the general public directly. These Funds are available as investment options in variable annuity contracts or variable life insurance policies issued by life insurance companies, or in certain cases, through participation in certain qualified pension or retirement plans.

Some of these underlying Funds have been established by investment advisers that manage publicly traded mutual funds that have similar names and investment objectives. While some of the underlying Funds may be similar to and may in fact be modeled after publicly traded mutual funds, the underlying Funds are not otherwise directly related to any publicly traded mutual fund. Consequently, the investment performance of publicly traded mutual funds and any corresponding underlying Funds may differ substantially.

**2. Portfolio Changes**

The following sub-account name changes occurred during the year ended December 31, 2025:

---

| | |
|:---|:---|
| **New Sub-account Name** | **Old Sub-account Name** |
| AST Multi-Asset Diversified Plus Portfolio | AST Academic Strategies Asset Allocation Portfolio |
| AST Multi-Asset Diversified Portfolio | AST Advanced Strategies Portfolio |
| AST PGIM Aggressive Multi-Asset Portfolio | AST Prudential Growth Allocation Portfolio |
| Invesco V.I. Discovery Large Cap Fund - Series I | Invesco V.I. Capital Appreciation Fund - Series I |
| Invesco V.I. Discovery Large Cap Fund - Series II | Invesco V.I. Capital Appreciation Fund - Series II |
| LVIP Nomura SMID Cap Core Fund - Standard Class | LVIP Macquarie SMID Cap Core Fund - Standard Class |
| Nomura VIP Small Cap Value Series - Standard Class | Macquarie VIP Small Cap Value Series - Standard Class |

---

***Sub-accounts with No Assets or Activity*** – The following sub-accounts were available, however there were no assets held as of December 31, 2025 nor activity that occurred during the year ended December 31, 2025, except as denoted below:

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | |
|:---|:---|
| AST Aggressive Asset Allocation Portfolio\*\* | AST T. Rowe Price Natural Resources Portfolio\* |
| AST Bond Portfolio 2025\* | DWS Capital Growth VIP - Class A |
| AST Bond Portfolio 2026 | DWS Core Equity VIP - Class A |
| AST Bond Portfolio 2027 | DWS CROCI® International VIP - Class A |
| AST Bond Portfolio 2028 | DWS Global Income Builder VIP - Class A |
| AST Bond Portfolio 2029 | DWS Global Small Cap VIP - Class A |
| AST Bond Portfolio 2030 | DWS Government Money Market VIP - Class A |
| AST Bond Portfolio 2031 | DWS Small Mid Cap Growth VIP - Class A |
| AST Bond Portfolio 2032 | Invesco V.I. Government Securities Fund - Series II |
| AST Bond Portfolio 2033 | ProFund VP Communication Services |
| AST Bond Portfolio 2034 | ProFund VP Consumer Discretionary |
| AST Bond Portfolio 2035 | ProFund VP Consumer Staples |
| AST Bond Portfolio 2036\* | ProFund VP Financials |
| AST ClearBridge Dividend Growth Portfolio\* | ProFund VP Health Care |
| AST Cohen & Steers Realty Portfolio\* | ProFund VP Industrials |
| AST Core Fixed Income Portfolio | ProFund VP Large-Cap Growth |
| AST Emerging Markets Equity Portfolio\* | ProFund VP Large-Cap Value |
| AST Global Bond Portfolio\* | ProFund VP Mid-Cap Growth |
| AST High Yield Portfolio\* | ProFund VP Mid-Cap Value |
| AST Investment Grade Bond Portfolio | ProFund VP Real Estate |
| AST J.P. Morgan Moderate Multi-Asset Portfolio | ProFund VP Small-Cap Growth |
| AST Large-Cap Equity Portfolio\*\* | ProFund VP Small-Cap Value |
| AST MFS Global Equity Portfolio\* | ProFund VP Utilities |
| AST Quantitative Modeling Portfolio |  |

---

\* The following sub-accounts commenced, ceased operations (i.e., liquidated), or merged to another sub-account during the year ended December 31, 2025:

---

| | | |
|:---|:---|:---|
| **Effective Date** | **Sub-account** | **Transaction** |
| January 2, 2025 | AST Bond Portfolio 2036 | Commenced operations |
| December 31, 2025 | AST Bond Portfolio 2025 | Ceased operations |
| January 10, 2025 | AST Emerging Markets Equity Portfolio | Merged to AST International Equity Portfolio |
| January 24, 2025 | AST ClearBridge Dividend Growth Portfolio | Merged to AST Large-Cap Equity Portfolio |
| January 24, 2025 | AST Cohen & Steers Realty Portfolio | Merged to AST Large-Cap Equity Portfolio |
| January 24, 2025 | AST MFS Global Equity Portfolio | Merged to AST Large-Cap Equity Portfolio |
| January 24, 2025 | AST T. Rowe Price Natural Resources Portfolio | Merged to AST Large-Cap Equity Portfolio |
| February 7, 2025 | AST Global Bond Portfolio | Merged to AST Core Fixed Income Portfolio |
| February 7, 2025 | AST High Yield Portfolio | Merged to AST Core Fixed Income Portfolio |

---

All of the assets of the merged from sub-account were transferred in exchange for shares of the merged to sub-account for units of equal aggregate value and the merged to sub-account's assumption of all of the current and future liabilities of the merged from sub-account effective on the merger date. The merged from sub-account ceased operations on the effective date of the merger.

\*\* The following sub-account name changes occurred during the year ended December 31, 2025:

---

| | |
|:---|:---|
| **New Sub-account Name** | **Old Sub-account Name** |
| AST Aggressive Asset Allocation Portfolio | AST Capital Growth Asset Allocation Portfolio |
| AST Large-Cap Equity Portfolio | AST Large-Cap Core Portfolio |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

**3. Summary of Significant Accounting Policies**

The Account is an investment company and, accordingly, follows the investment company accounting and reporting guidance of the Financial Accounting Standards Board Accounting Standards Codification Topic 946 - Investment Companies, which is part of GAAP.

***Investments*** - Investments consist of shares of the Funds and are stated at fair value based on the reported net asset value of each corresponding Fund, which in turn value their investment securities at fair value. The difference between cost and fair value of shares owned on the day of measurement is recorded as unrealized gain or loss on investments.

***Dividends*** - Dividends declared by the Funds are recognized on the ex-dividend date.

***Net Realized Gains and Losses*** - Net realized gains and losses on Fund shares represent the difference between the proceeds from sales of shares of the Funds by the sub-accounts and the cost of such shares, which is determined on a weighted average basis, and realized gain distributions received from the underlying Funds. Transactions are recorded on a trade date basis. Distributions of net realized gains are recorded on the Funds' ex-distribution date.

***Federal Income Taxes*** - The Account qualifies as a segregated asset account as defined by the Internal Revenue Code of 1986 ("Code"). In order to qualify as a segregated asset account, each sub-account is required to satisfy the diversification requirements of Section 817(h) of the Code. The Code provides that the "adequately diversified" requirement may be met if the underlying investments satisfy either the statutory safe harbor test or diversification requirements set forth in regulations issued by the Secretary of the Treasury. The operations of the Account are included in the tax return of the Company. The Company is taxed as a life insurance company under the Code and joins WRAC and its eligible domestic subsidiaries in the filing of a consolidated federal income tax return. No income taxes are allocable to the Account. The Account had no liability for unrecognized tax benefits as of December 31, 2025 and believes that the unrecognized tax benefits balance will not materially change within the next twelve months.

***Use of Estimates*** - The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the amounts reported at the date of the financial statements and the reported amounts of increases and decreases in net assets resulting from operations. Actual results could differ from those estimates and those differences could be material.

***Contracts in Payout (Annuitization) Period*** - Net assets allocated to contracts in the payout period are computed according to the industry standard mortality tables, depending on the annuitization date. The assumed investment return varies by contract but falls within a minimum of 3.00% and a 6.00% maximum. The mortality risk is fully borne by the Company and may result in additional amounts being transferred into the Account by the Company to cover greater longevity of annuitants than expected. A receivable is established for amounts due to the sub-accounts from the Company but not yet received. Conversely, if amounts allocated exceed amounts required, transfers may be made to the Company. A payable is established for amounts payable to the Company from the sub-accounts but not yet paid. The changes in mortality risks are included in "Transfers for contract benefits and terminations" on the Statement of Changes in Net Assets and in "Contracts in payout (annuitization) period" in the Statement of Net Assets.

***Segment Reporting*** - Each sub-account of the Account constitutes a single operating segment and therefore, a single reportable segment. The chief operating decision maker ("CODM") oversees the activities of the Account using information of each sub-account. The Account is engaged in a single line of business as a registered unit investment trust. The Account is a funding vehicle for individual annuity Contracts issued by the Company to support the liabilities of the applicable Contracts. The Account's CODM is a group of executives that consists of the Company's Chief Operating Officer, Assistant General Counsel, and Controller.

The CODM uses the increase (decrease) in net assets from operations as the performance measure to make operational decisions while monitoring the net assets of each of the sub-accounts within the Account. The accounting policies used to measure profit and loss of the segment are the same as those described in the summary of significant accounting policies. The measure of segment assets is reported on the Statement of Assets and Liabilities as net assets. The measure of segment profit and loss is reported on the Statement of Operations and Statement of Changes in Net Assets as increase (decrease) in net assets from operations. All assets and the increase (decrease) in net assets from operations are generated in the U.S.

***Subsequent Events -*** Subsequent events have been evaluated through April 7, 2026, the date the financial statements were issued, and no subsequent events requiring disclosure or adjustments to the financial statements.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

**4. Fair Value Measurements**

Fair value is defined as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. The hierarchy for inputs used in determining fair value maximizes the use of observable inputs and minimizes the use of unobservable inputs by requiring that observable inputs be used when available. Assets recorded on the Statement of Net Assets at fair value are categorized in the fair value hierarchy based on the observability of inputs to the valuation techniques as follows:

*Level 1:* Assets whose values are based on unadjusted quoted prices for identical assets in an active market that the

account can access.

*Level 2:*&nbsp;&nbsp;&nbsp;&nbsp;Assets whose values are based on the following:

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(a) Quoted prices for similar assets in active markets; or

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(b) Quoted prices for identical or similar assets in markets that are not active; or

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(c) Valuation models whose inputs are observable, directly or indirectly, for substantially the full term of the

asset.

*Level 3:* Assets whose values are based on prices or valuation techniques that require inputs that are both unobservable and significant to the overall fair value measurement. Unobservable inputs reflect the Account's estimates of the assumptions that market participants would use in valuing the assets.

In determining fair value, the Account uses the market approach which generally utilizes market transaction data for the same or similar instruments. All investments during the reporting period consist of shares of the Funds that have daily quoted net asset values for identical assets that the sub-account can access and are categorized as Level 1. Net asset values for these actively traded Funds are obtained daily from the Fund's managers. The Account's policy is to recognize the transfer of securities among the levels at the beginning of the reporting period.

**5. Expenses**

***Withdrawal charge*** - In the event of withdrawal of the account value during a specified period, a withdrawal charge may be imposed. The withdrawal charge varies by contract and ranges from 1.00% to 9.00% in the first year of the contract and declines to 0% in various years as defined in the contract. The Scudder Horizon Advantage does not charge a withdrawal charge. The amounts are included in "Transfers for contract benefits and terminations" on the Statement of Changes in Net Assets, but are remitted to the Company.

***Mortality and Expense Risk Charge*** - The Company assumes mortality and expense risks related to the operations of the Account and deducts charge daily at a rate ranging from 0.40% to 2.10% per annum of the daily net assets of the Account, based on the contract and rider options selected. The mortality and expense risk charge is recognized as a reduction in unit values and reported on the Statement of Operations. The mortality and expense risk charge covers insurance benefits available with the Contracts and certain expenses of the Contracts. It also covers the risk that the current charge will not be sufficient in the future to cover the cost of administering the Contracts. The Company guarantees that the amount of this charge will not increase over the lives of the Contracts. At the contractholder's discretion, additional options, may be purchased for an additional charge. For certain living benefits, that charge is based on a protected withdrawal value and is deducted as units.

***Administrative Expense Charge*** - The Company deducts administrative expense charge daily at a rate ranging from 0% to 0.30% per annum of the average daily net assets of the Account. The contract will specify which rate applies. The administrative expense charge is recognized as a reduction in unit values and reported on the Statement of Operations.

***Contract Maintenance Charge*** - The Company deducts an annual contract maintenance charge at a rate up to $35 on each contract anniversary and guarantees that this charge will not increase over the lives of the Contracts. This charge will be waived if certain conditions are met. The contract maintenance charge is recognized as a redemption of units and reported on the Statement of Changes in Net Assets.

**6. Purchases of Investments**

The cost of investments purchased during the year ended December 31, 2025 was as follows:

---

| | |
|:---|:---|
| | **<u>Purchases</u>** |
| Alliance Bernstein VPS Discovery Value Portfolio - Class B | $46904 |
| Alliance Bernstein VPS International Value Portfolio - Class B | 3334 |
| Alliance Bernstein VPS Large Cap Growth Portfolio - Class B | 151442 |
| Alliance Bernstein VPS Relative Value Portfolio - Class B | 152827 |
| Allspring VT Index Asset Allocation Fund - Class 2 | 14789 |
| Allspring VT Opportunity Fund - Class 2 | 5108 |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | |
|:---|:---|
| | **<u>Purchases</u>** |
| AST Balanced Asset Allocation Portfolio | $18843 |
| AST Government Money Market Portfolio |  |
| AST International Equity Portfolio |  |
| AST J.P. Morgan Conservative Multi-Asset Portfolio |  |
| AST Large-Cap Growth Portfolio |  |
| AST Large-Cap Value Portfolio |  |
| AST Multi-Asset Diversified Plus Portfolio |  |
| AST Multi-Asset Diversified Portfolio |  |
| AST PGIM Aggressive Multi-Asset Portfolio | 17164 |
| AST Preservation Asset Allocation Portfolio |  |
| AST Small-Cap Equity Portfolio |  |
| BNY Mellon Stock Index Fund, Inc. | 149844 |
| BNY Mellon Sustainable U.S. Equity Portfolio, Inc. | 12670 |
| BNY Mellon VIF, Appreciation Portfolio - Initial Shares | 11127 |
| BNY Mellon VIF, Government Money Market Portfolio | 8737 |
| Fidelity® VIP Contrafund℠ Portfolio - Initial Class | 319377 |
| Fidelity® VIP Contrafund℠ Portfolio - Service Class 2 | 262452 |
| Fidelity® VIP Equity-Income Portfolio℠ - Initial Class | 74799 |
| Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2 | 490 |
| Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2 | 942927 |
| Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2 | 1363 |
| Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2 | 18417 |
| Fidelity® VIP Government Money Market Portfolio - Initial Class | 1396137 |
| Fidelity® VIP Government Money Market Portfolio - Service Class 2 | 151274 |
| Fidelity® VIP Growth & Income Portfolio - Service Class 2 | 3739 |
| Fidelity® VIP Growth Opportunities Portfolio - Initial Class | 10709 |
| Fidelity® VIP Growth Opportunities Portfolio - Service Class 2 | 6966 |
| Fidelity® VIP Growth Portfolio - Initial Class | 185246 |
| Fidelity® VIP High Income Portfolio - Initial Class | 7903 |
| Fidelity® VIP High Income Portfolio - Service Class 2 | 301 |
| Fidelity® VIP Index 500 Portfolio - Initial Class | 19412 |
| Fidelity® VIP Index 500 Portfolio - Service Class 2 | 103649 |
| Fidelity® VIP Investment Grade Bond Portfolio - Initial Class | 8847 |
| Fidelity® VIP Mid Cap Portfolio - Service Class 2 | 37488 |
| Fidelity® VIP Overseas Portfolio - Initial Class | 7060 |
| Franklin DynaTech VIP Fund - Class 2 |  |
| Franklin Growth and Income VIP Fund - Class 2 | 416475 |
| Franklin Income VIP Fund - Class 2 | 366739 |
| Franklin Large Cap Growth VIP Fund - Class 2 | 1074482 |
| Franklin Mutual Global Discovery VIP Fund - Class 2 | 51520 |
| Franklin Mutual Shares VIP Fund - Class 2 | 383600 |
| Franklin Small Cap Value VIP Fund - Class 2 | 229374 |
| Franklin U.S. Government Securities VIP Fund - Class 2 | 45854 |
| Goldman Sachs VIT Large Cap Value Fund - Institutional Class | 3147 |
| Goldman Sachs VIT Mid Cap Value Fund - Institutional Class | 8120 |
| Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class | 4940 |
| Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class | 5448 |
| Invesco V.I. American Franchise Fund - Series I | 671270 |
| Invesco V.I. American Franchise Fund - Series II | 224748 |
| Invesco V.I. American Value Fund - Series I | 495075 |
| Invesco V.I. American Value Fund - Series II | 358239 |
| Invesco V.I. Comstock Fund - Series I | 84408 |
| Invesco V.I. Comstock Fund - Series II | 610812 |
| Invesco V.I. Core Equity Fund - Series I | 287457 |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | |
|:---|:---|
| | **<u>Purchases</u>** |
| Invesco V.I. Core Equity Fund - Series II | $2375 |
| Invesco V.I. Core Plus Bond Fund - Series I | 19934 |
| Invesco V.I. Core Plus Bond Fund - Series II | 452748 |
| Invesco V.I. Discovery Large Cap Fund - Series I | 50971 |
| Invesco V.I. Discovery Large Cap Fund - Series II | 943134 |
| Invesco V.I. Discovery Mid Cap Growth Fund - Series I | 72128 |
| Invesco V.I. Discovery Mid Cap Growth Fund - Series II | 224012 |
| Invesco V.I. Diversified Dividend Fund - Series I | 554765 |
| Invesco V.I. Diversified Dividend Fund - Series II | 62676 |
| Invesco V.I. Equally-Weighted S&P 500 Fund - Series I | 327259 |
| Invesco V.I. Equally-Weighted S&P 500 Fund - Series II | 169744 |
| Invesco V.I. Equity and Income Fund - Series I | 114769 |
| Invesco V.I. Equity and Income Fund - Series II | 170518 |
| Invesco V.I. EQV International Equity Fund - Series I | 67473 |
| Invesco V.I. EQV International Equity Fund - Series II | 6032 |
| Invesco V.I. Global Core Equity Fund - Series I | 118971 |
| Invesco V.I. Global Core Equity Fund - Series II | 16886 |
| Invesco V.I. Global Fund - Series I | 100423 |
| Invesco V.I. Global Fund - Series II | 227423 |
| Invesco V.I. Global Strategic Income Fund - Series I | 26949 |
| Invesco V.I. Global Strategic Income Fund - Series II | 291171 |
| Invesco V.I. Government Money Market Fund - Series I | 6450 |
| Invesco V.I. Government Money Market Fund - Series II |  |
| Invesco V.I. Government Securities Fund - Series I | 16639 |
| Invesco V.I. Growth and Income Fund - Series II | 225463 |
| Invesco V.I. High Yield Fund - Series I | 23502 |
| Invesco V.I. High Yield Fund - Series II | 28071 |
| Invesco V.I. Main Street Fund® - Series I | 110127 |
| Invesco V.I. Main Street Fund® - Series II | 620405 |
| Invesco V.I. Main Street Mid Cap Fund® - Series I | 43227 |
| Invesco V.I. Main Street Mid Cap Fund® - Series II | 7418 |
| Invesco V.I. Main Street Small Cap Fund® - Series I | 39172 |
| Invesco V.I. Main Street Small Cap Fund® - Series II | 276605 |
| Invesco V.I. Technology Fund - Series I | 62579 |
| Invesco V.I. Technology Fund - Series II | 42884 |
| Lord Abbett Bond Debenture Portfolio - Class VC | 148707 |
| Lord Abbett Fundamental Equity Portfolio - Class VC | 136411 |
| Lord Abbett Growth and Income Portfolio - Class VC | 112014 |
| Lord Abbett Growth Opportunities Portfolio - Class VC | 190853 |
| Lord Abbett Mid Cap Stock Portfolio - Class VC | 150576 |
| LVIP Nomura SMID Cap Core Fund - Standard Class | 13141 |
| MFS® VIT Investors Trust Series - Initial Class | 71898 |
| MFS® VIT New Discovery Series - Initial Class | 654 |
| MFS® VIT Total Return Bond Series - Initial Class | 4405 |
| MFS® VIT II High Yield Portfolio - Initial Class | 5319 |
| Morgan Stanley VIF Discovery Portfolio - Class I | 156568 |
| Morgan Stanley VIF Discovery Portfolio - Class II | 102499 |
| Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II | 114219 |
| Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I | 3485 |
| Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II | 499 |
| Morgan Stanley VIF Global Strategist Portfolio - Class I | 43425 |
| Morgan Stanley VIF Global Strategist Portfolio - Class II | 5856 |
| Morgan Stanley VIF Growth Portfolio - Class I | 161300 |
| Morgan Stanley VIF Growth Portfolio - Class II | 13597 |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | |
|:---|:---|
| | **<u>Purchases</u>** |
| Nomura VIP Small Cap Value Series - Standard Class | $54053 |
| PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class | 51 |
| PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class | 416 |
| PIMCO VIT Real Return Portfolio - Advisor Class | 4231 |
| PIMCO VIT Total Return Portfolio - Advisor Class | 1951 |
| Putnam VT Core Equity Fund - Class IB | 538209 |
| Putnam VT Diversified Income Fund - Class IB | 59585 |
| Putnam VT Emerging Markets Equity Fund - Class IB | 11199 |
| Putnam VT Focused International Equity Fund - Class IB | 73884 |
| Putnam VT George Putnam Balanced Fund - Class IB | 173283 |
| Putnam VT Global Asset Allocation Fund - Class IB | 169278 |
| Putnam VT Global Health Care Fund - Class IB | 178206 |
| Putnam VT Government Money Market Fund - Class IB | 800766 |
| Putnam VT High Yield Fund - Class IB | 128370 |
| Putnam VT Income Fund - Class IB | 306847 |
| Putnam VT International Equity Fund - Class IB | 205472 |
| Putnam VT International Value Fund - Class IB | 15624 |
| Putnam VT Large Cap Growth Fund - Class IB | 2082113 |
| Putnam VT Large Cap Value Fund - Class IB | 1344648 |
| Putnam VT Mortgage Securities Fund - Class IB | 85674 |
| Putnam VT Research Fund - Class IB | 128781 |
| Putnam VT Small Cap Growth Fund - Class IB | 5858 |
| Putnam VT Small Cap Value Fund - Class IB | 172146 |
| Putnam VT Sustainable Future Fund - Class IB | 58735 |
| Putnam VT Sustainable Leaders Fund - Class IB | 1117894 |
| Templeton Developing Markets VIP Fund - Class 2 | 35332 |
| Templeton Foreign VIP Fund - Class 2 | 335863 |

---

**7. Financial Highlights**

The Company offers multiple variable annuity contracts through this Account that have unique combinations of features and fees that are assessed to the contractholders. Differences in these fee structures result in various contract expense rates and unit values which in turn result in various expense and total return ratios.

In the table below, the units outstanding, the range of lowest to highest unit values, the net assets, the investment income ratio, the range of lowest to highest expense ratios, and the range of total returns are presented for each of the sub-accounts. Only rider options within each sub-account that had units outstanding during the respective periods were considered when determining the lowest and highest expense ratio. These ranges of lowest to highest unit values and total return are based on the product groupings that represent lowest and highest expense ratio amounts. Therefore, some individual contract ratios are not within the ranges presented. The range of the lowest and highest unit fair values disclosed in the Statement of Net Assets may differ from the values disclosed herein because the values in the Statement of Net Assets represent the absolute lowest and highest values without consideration of the corresponding expense ratios.

**Items in the following table are notated as follows:**

**\* &nbsp;&nbsp;&nbsp;&nbsp;Investment Income Ratio** - These amounts represent dividends, excluding realized gain distributions, received by the sub-account from the underlying Fund, net of management fees assessed by the fund manager, divided by the average net assets. These ratios exclude those expenses that result in a reduction in the unit values or redemption of units. The recognition of investment income by the sub-account is affected by the timing of the declaration of dividends by the underlying Fund in which the sub-account invests.

Sub-accounts with a date notation indicate the effective date of that investment option in the Account. Consistent with the total return, the investment income ratio is calculated for the period, or from the effective date, through the end of the reporting period. The investment income ratio for closed sub-accounts is calculated from the beginning of period, or from the effective date, through the last day the sub-account was open. The investment income ratio is reported at zero when no dividend is received in the sub-account during the period or the net asset value at the beginning and end of the period is zero.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

**\*\*&nbsp;&nbsp;&nbsp;&nbsp;Expense Ratio** - These amounts represent the range of annualized contract expenses of the sub-account, consisting of mortality and expense risk charges, and contract administrative expense charges, for each period indicated. The ratios include only those expenses that are charged that result in a reduction in the unit values. Charges made directly to contractholder accounts through the redemption of units and expenses of the underlying Fund have been excluded.

**\*\*\* Total Return** - These amounts represent the total return for the periods indicated, including changes in the value of the underlying Fund, and expenses assessed through the reduction of unit values. The ratio does not include any expenses assessed through the redemption of units. The total return is calculated as the change in the unit value during the reporting period, or the effective period if less than the reporting period, divided by the beginning of period unit value or the unit value on the effective date.

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** | **Alliance Bernstein VPS Discovery Value Portfolio - Class B** |
| 2025 | 7 | $51.73 | 59.37 | $386 | 0.60 | % | 1.29 | 1.89 | % | 0.70 | 1.32 | % |
| 2024 | 8 | 51.37 | 58.60 | 393 | 0.65 |  | 1.29 | 1.89 |  | 7.64 | 8.30 |  |
| 2023 | 8 | 47.72 | 54.11 | 396 | 0.82 |  | 1.29 | 1.89 |  | 14.67 | 15.36 |  |
| 2022 | 9 | 41.62 | 46.91 | 357 | 0.82 |  | 1.29 | 1.89 |  | (17.40) | (16.90) |  |
| 2021 | 9 | 50.39 | 56.45 | 476 | 0.58 |  | 1.29 | 1.89 |  | 33.05 | 33.86 |  |
| **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** | **Alliance Bernstein VPS International Value Portfolio - Class B** |
| 2025 | 10 | 15.16 | 16.49 | 161 | 2.34 |  | 1.49 | 1.89 |  | 38.62 | 39.18 |  |
| 2024 | 11 | 10.94 | 11.85 | 119 | 2.26 |  | 1.49 | 1.89 |  | 2.82 | 3.24 |  |
| 2023 | 12 | 10.64 | 11.48 | 132 | 0.70 |  | 1.49 | 1.89 |  | 12.67 | 13.13 |  |
| 2022 | 12 | 9.44 | 10.14 | 118 | 4.12 |  | 1.49 | 1.89 |  | (15.42) | (15.07) |  |
| 2021 | 13 | 11.16 | 12.35 | 150 | 1.66 |  | 1.29 | 1.89 |  | 8.77 | 9.43 |  |
| **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** | **Alliance Bernstein VPS Large Cap Growth Portfolio - Class B** |
| 2025 | 20 | 81.37 | 93.39 | 1461 |  |  | 1.29 | 1.89 |  | 10.73 | 11.40 |  |
| 2024 | 24 | 73.49 | 83.84 | 1449 |  |  | 1.29 | 1.89 |  | 22.59 | 23.34 |  |
| 2023 | 28 | 59.95 | 67.97 | 1321 |  |  | 1.29 | 1.89 |  | 32.26 | 33.06 |  |
| 2022 | 38 | 45.33 | 51.09 | 1428 |  |  | 1.29 | 1.89 |  | (30.03) | (29.61) |  |
| 2021 | 39 | 64.78 | 72.57 | 2107 |  |  | 1.29 | 1.89 |  | 26.23 | 27.00 |  |
| **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** | **Alliance Bernstein VPS Relative Value Portfolio - Class B** |
| 2025 | 37 | 45.81 | 52.58 | 1641 | 0.89 |  | 1.29 | 1.89 |  | 8.12 | 8.78 |  |
| 2024 | 41 | 42.37 | 48.34 | 1661 | 1.26 |  | 1.29 | 1.89 |  | 10.63 | 11.30 |  |
| 2023 | 44 | 38.30 | 43.43 | 1595 | 1.23 |  | 1.29 | 1.89 |  | 9.62 | 10.29 |  |
| 2022 | 50 | 34.94 | 39.38 | 1634 | 1.08 |  | 1.29 | 1.89 |  | (6.22) | (5.65) |  |
| 2021 | 55 | 37.25 | 41.73 | 1929 | 0.64 |  | 1.29 | 1.89 |  | 25.43 | 26.19 |  |
| **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** | **Allspring VT Index Asset Allocation Fund - Class 2** |
| 2025 | 4 | 37.89 | 37.89 | 146 | 1.21 |  | 1.25 | 1.25 |  | 10.10 | 10.10 |  |
| 2024 | 6 | 34.41 | 34.41 | 204 | 1.32 |  | 1.25 | 1.25 |  | 13.43 | 13.43 |  |
| 2023 | 6 | 30.34 | 30.34 | 180 | 0.96 |  | 1.25 | 1.25 |  | 15.26 | 15.26 |  |
| 2022 | 6 | 26.32 | 26.32 | 157 | 0.63 |  | 1.25 | 1.25 |  | (18.05) | (18.05) |  |
| 2021 | 6 | 32.12 | 32.12 | 194 | 0.59 |  | 1.25 | 1.25 |  | 14.56 | 14.56 |  |
| **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** | **Allspring VT Opportunity Fund - Class 2** |
| 2025 | 2 | 26.58 | 26.58 | 40 | 0.05 |  | 1.25 | 1.25 |  | 5.39 | 5.39 |  |
| 2024 | 2 | 25.22 | 25.22 | 39 | 0.05 |  | 1.25 | 1.25 |  | 13.61 | 13.61 |  |
| 2023 | 2 | 22.20 | 22.20 | 36 |  |  | 1.25 | 1.25 |  | 24.93 | 24.93 |  |
| 2022 | 2 | 17.77 | 17.77 | 31 |  |  | 1.25 | 1.25 |  | (21.79) | (21.79) |  |
| 2021 | 2 | 22.72 | 22.72 | 42 | 0.04 |  | 1.25 | 1.25 |  | 23.23 | 23.23 |  |
| **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** | **AST Balanced Asset Allocation Portfolio (Fund commenced operations December 6, 2024) (On December 6, 2024, AST T. Rowe Price Asset Allocation Portfolio merged into AST Balanced Asset Allocation Portfolio)** |
| 2025 | < 1 | 22.89 | 22.89 | 16 |  |  | 1.75 | 1.75 |  | 12.38 | 12.38 |  |
| 2024 | 2 | 20.36 | 20.36 | 32 |  |  | 1.75 | 1.75 |  | 9.96 | 9.96 |  |
| 2023 |  | N/A | N/A |  |  |  | N/A | N/A |  | N/A | N/A |  |
| 2022 |  | N/A | N/A |  |  |  | N/A | N/A |  | N/A | N/A |  |
| 2021 |  | N/A | N/A |  |  |  | N/A | N/A |  | N/A | N/A |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** | **AST Government Money Market Portfolio** |
| 2025 | < 1 | $10.13 | 10.13 | < 1 | 3.94 | % | 1.15 | 1.15 | % | 2.60 | 2.60 | % |
| 2024 | < 1 | 9.87 | 9.87 | < 1 | 5.43 |  | 1.15 | 1.15 |  | 3.56 | 3.56 |  |
| 2023 | < 1 | 9.54 | 9.54 | 3 | 4.46 |  | 1.15 | 1.15 |  | 3.43 | 3.43 |  |
| 2022 | < 1 | 9.22 | 9.22 | 5 | 1.02 |  | 1.15 | 1.15 |  | 0.07 | 0.07 |  |
| 2021 | 1 | 9.21 | 9.21 | 9 | <0.01 |  | 1.15 | 1.15 |  | (1.14) | (1.14) |  |
| **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** | **AST International Equity Portfolio** |
| 2025 | < 1 | 20.97 | 20.97 | 3 |  |  | 1.40 | 1.40 |  | 31.00 | 31.00 |  |
| 2024 | < 1 | 16.01 | 16.01 | 2 |  |  | 1.40 | 1.40 |  | 3.99 | 3.99 |  |
| 2023 | < 1 | 15.39 | 15.39 | 2 |  |  | 1.40 | 1.40 |  | 16.13 | 16.13 |  |
| 2022 | < 1 | 13.26 | 13.26 | 2 |  |  | 1.40 | 1.40 |  | (29.67) | (29.67) |  |
| 2021 | < 1 | 18.85 | 18.85 | 3 |  |  | 1.40 | 1.40 |  | 10.95 | 10.95 |  |
| **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** | **AST J.P. Morgan Conservative Multi-Asset Portfolio** |
| 2025 |  | 16.45 | 16.45 |  |  |  | 1.75 | 1.75 |  | 8.47 | 8.47 |  |
| 2024 | 1 | 15.17 | 15.17 | 18 |  |  | 1.75 | 1.75 |  | 4.36 | 4.36 |  |
| 2023 | 1 | 14.54 | 14.54 | 17 |  |  | 1.75 | 1.75 |  | 8.46 | 8.46 |  |
| 2022 | 1 | 13.40 | 13.40 | 16 |  |  | 1.75 | 1.75 |  | (17.18) | (17.18) |  |
| 2021 | 1 | 16.18 | 16.18 | 19 |  |  | 1.75 | 1.75 |  | 6.09 | 6.09 |  |
| **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** | **AST Large-Cap Growth Portfolio** |
| 2025 | < 1 | 73.97 | 73.97 | 25 |  |  | 1.40 | 1.40 |  | 15.45 | 15.45 |  |
| 2024 | < 1 | 64.07 | 64.07 | 22 |  |  | 1.40 | 1.40 |  | 28.35 | 28.35 |  |
| 2023 | < 1 | 49.92 | 49.92 | 12 |  |  | 1.40 | 1.40 |  | 41.65 | 41.65 |  |
| 2022 | < 1 | 35.24 | 35.24 | 9 |  |  | 1.40 | 1.40 |  | (34.13) | (34.13) |  |
| 2021 |  | N/A | N/A |  |  |  | N/A | N/A |  | N/A | N/A |  |
| **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** | **AST Large-Cap Value Portfolio** |
| 2025 | < 1 | 28.36 | 28.36 | 14 |  |  | 1.40 | 1.40 |  | 14.45 | 14.45 |  |
| 2024 | < 1 | 24.78 | 24.78 | 13 |  |  | 1.40 | 1.40 |  | 8.40 | 8.40 |  |
| 2023 | < 1 | 22.86 | 22.86 | 4 |  |  | 1.40 | 1.40 |  | 8.24 | 8.24 |  |
| 2022 | < 1 | 21.12 | 21.12 | 4 |  |  | 1.40 | 1.40 |  | 0.30 | 0.30 |  |
| 2021 |  | N/A | N/A |  |  |  | N/A | N/A |  | N/A | N/A |  |
| **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** | **AST Multi-Asset Diversified Plus Portfolio** |
| 2025 | 1 | 14.36 | 14.36 | 18 |  |  | 2.10 | 2.10 |  | 11.21 | 11.21 |  |
| 2024 | 1 | 12.91 | 12.91 | 17 |  |  | 2.10 | 2.10 |  | 5.48 | 5.48 |  |
| 2023 | 1 | 12.24 | 12.24 | 17 |  |  | 2.10 | 2.10 |  | 7.95 | 7.95 |  |
| 2022 | 1 | 11.34 | 11.34 | 17 |  |  | 2.10 | 2.10 |  | (15.23) | (15.23) |  |
| 2021 | 2 | 13.38 | 14.78 | 21 |  |  | 1.40 | 2.10 |  | 10.12 | 10.89 |  |
| **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** | **AST Multi-Asset Diversified Portfolio** |
| 2025 |  | 24.27 | 24.27 |  |  |  | 1.75 | 1.75 |  | 13.56 | 13.56 |  |
| 2024 | 1 | 21.37 | 21.37 | 26 |  |  | 1.75 | 1.75 |  | 9.07 | 9.07 |  |
| 2023 | 1 | 19.59 | 19.59 | 24 |  |  | 1.75 | 1.75 |  | 12.51 | 12.51 |  |
| 2022 | 1 | 17.41 | 17.41 | 21 |  |  | 1.75 | 1.75 |  | (18.06) | (18.06) |  |
| 2021 | 1 | 21.25 | 21.25 | 26 |  |  | 1.75 | 1.75 |  | 11.87 | 11.87 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** | **AST PGIM Aggressive Multi-Asset Portfolio** |
| 2025 | < 1 | $20.43 | 20.43 | $14 |  | % | 1.75 | 1.75 | % | 14.00 | 14.00 | % |
| 2024 | 2 | 17.92 | 17.92 | 29 |  |  | 1.75 | 1.75 |  | 11.72 | 11.72 |  |
| 2023 | 3 | 16.04 | 16.04 | 44 |  |  | 1.75 | 1.75 |  | 16.03 | 16.03 |  |
| 2022 | 3 | 13.83 | 13.83 | 43 |  |  | 1.75 | 1.75 |  | (19.70) | (19.70) |  |
| 2021 | 8 | 17.22 | 17.22 | 134 |  |  | 1.75 | 1.75 |  | 14.69 | 14.69 |  |
| **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** | **AST Preservation Asset Allocation Portfolio** |
| 2025 | 4 | 17.18 | 20.05 | 67 |  |  | 1.15 | 2.00 |  | 9.14 | 10.06 |  |
| 2024 | 4 | 15.74 | 18.21 | 61 |  |  | 1.15 | 2.00 |  | 5.67 | 6.57 |  |
| 2023 | 4 | 14.89 | 17.09 | 58 |  |  | 1.15 | 2.00 |  | 9.59 | 10.51 |  |
| 2022 | 4 | 13.59 | 15.47 | 52 |  |  | 1.15 | 2.00 |  | (17.28) | (16.58) |  |
| 2021 | 4 | 16.43 | 18.54 | 63 |  |  | 1.15 | 2.00 |  | 4.16 | 5.03 |  |
| **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** | **AST Small-Cap Equity Portfolio** |
| 2025 | < 1 | 38.55 | 38.55 | 6 |  |  | 1.40 | 1.40 |  | 5.93 | 5.93 |  |
| 2024 | < 1 | 36.39 | 36.39 | 5 |  |  | 1.40 | 1.40 |  | 13.26 | 13.26 |  |
| 2023 | < 1 | 32.13 | 32.13 | 5 |  |  | 1.40 | 1.40 |  | 15.48 | 15.48 |  |
| 2022 | < 1 | 27.82 | 27.82 | 4 |  |  | 1.40 | 1.40 |  | (28.57) | (28.57) |  |
| 2021 |  | N/A | N/A |  |  |  | N/A | N/A |  | N/A | N/A |  |
| **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** | **BNY Mellon Stock Index Fund, Inc.** |
| 2025 | 43 | 53.55 | 53.55 | 2281 | 1.03 |  | 1.25 | 1.25 |  | 16.07 | 16.07 |  |
| 2024 | 46 | 46.14 | 46.14 | 2122 | 1.17 |  | 1.25 | 1.25 |  | 23.11 | 23.11 |  |
| 2023 | 48 | 37.48 | 37.48 | 1782 | 1.42 |  | 1.25 | 1.25 |  | 24.37 | 24.37 |  |
| 2022 | 51 | 30.14 | 30.14 | 1541 | 1.33 |  | 1.25 | 1.25 |  | (19.33) | (19.33) |  |
| 2021 | 54 | 37.36 | 37.36 | 2007 | 0.89 |  | 1.25 | 1.25 |  | 26.82 | 26.82 |  |
| **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** | **BNY Mellon Sustainable U.S. Equity Portfolio, Inc.** |
| 2025 | 4 | 36.36 | 36.36 | 157 | 0.25 |  | 1.25 | 1.25 |  | 14.53 | 14.53 |  |
| 2024 | 4 | 31.75 | 31.75 | 138 | 0.53 |  | 1.25 | 1.25 |  | 23.33 | 23.33 |  |
| 2023 | 4 | 25.74 | 25.74 | 114 | 0.71 |  | 1.25 | 1.25 |  | 22.29 | 22.29 |  |
| 2022 | 6 | 21.05 | 21.05 | 127 | 0.52 |  | 1.25 | 1.25 |  | (23.83) | (23.83) |  |
| 2021 | 6 | 27.64 | 27.64 | 169 | 0.75 |  | 1.25 | 1.25 |  | 25.42 | 25.42 |  |
| **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** | **BNY Mellon VIF, Appreciation Portfolio - Initial Shares** |
| 2025 | 2 | 46.91 | 46.91 | 77 | 0.37 |  | 1.25 | 1.25 |  | 8.71 | 8.71 |  |
| 2024 | 2 | 43.16 | 43.16 | 71 | 0.41 |  | 1.25 | 1.25 |  | 11.40 | 11.40 |  |
| 2023 | 3 | 38.74 | 38.74 | 106 | 0.71 |  | 1.25 | 1.25 |  | 19.47 | 19.47 |  |
| 2022 | 5 | 32.43 | 32.43 | 166 | 0.62 |  | 1.25 | 1.25 |  | (19.08) | (19.08) |  |
| 2021 | 7 | 40.07 | 40.07 | 291 | 0.44 |  | 1.25 | 1.25 |  | 25.55 | 25.55 |  |
| **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** | **BNY Mellon VIF, Government Money Market Portfolio** |
| 2025 | 16 | 10.53 | 10.53 | 168 | 3.86 |  | 1.25 | 1.25 |  | 2.64 | 2.64 |  |
| 2024 | 18 | 10.26 | 10.26 | 181 | 4.63 |  | 1.25 | 1.25 |  | 3.43 | 3.43 |  |
| 2023 | 19 | 9.92 | 9.92 | 184 | 4.53 |  | 1.25 | 1.25 |  | 3.33 | 3.33 |  |
| 2022 | 19 | 9.60 | 9.60 | 183 | 1.06 |  | 1.25 | 1.25 |  | 0.01 | 0.01 |  |
| 2021 | 28 | 9.60 | 9.60 | 272 | <0.01 |  | 1.25 | 1.25 |  | (1.23) | (1.23) |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** | **Fidelity® VIP Contrafund℠ Portfolio - Initial Class** |
| 2025 | 22 | $82.70 | 87.61 | $1815 | 0.14 | % | 1.25 | 1.25 | % | 19.97 | 19.97 | % |
| 2024 | 24 | 68.93 | 73.03 | 1658 | 0.19 |  | 1.25 | 1.25 |  | 32.12 | 32.12 |  |
| 2023 | 25 | 52.17 | 55.27 | 1335 | 0.49 |  | 1.25 | 1.25 |  | 31.80 | 31.80 |  |
| 2022 | 27 | 39.58 | 41.94 | 1105 | 0.49 |  | 1.25 | 1.25 |  | (27.23) | (27.23) |  |
| 2021 | 30 | 54.39 | 57.63 | 1649 | 0.06 |  | 1.25 | 1.25 |  | 26.25 | 26.25 |  |
| **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** | **Fidelity® VIP Contrafund℠ Portfolio - Service Class 2** |
| 2025 | 23 | 53.14 | 76.30 | 1328 |  |  | 1.29 | 1.89 |  | 18.91 | 19.64 |  |
| 2024 | 27 | 44.69 | 63.77 | 1312 | 0.03 |  | 1.29 | 1.89 |  | 30.92 | 31.72 |  |
| 2023 | 44 | 34.14 | 48.41 | 1595 | 0.26 |  | 1.29 | 1.89 |  | 30.62 | 31.41 |  |
| 2022 | 48 | 26.13 | 36.84 | 1323 | 0.29 |  | 1.29 | 1.89 |  | (27.87) | (27.43) |  |
| 2021 | 47 | 36.23 | 50.77 | 1803 | 0.03 |  | 1.29 | 1.89 |  | 25.11 | 25.87 |  |
| **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** | **Fidelity® VIP Equity-Income Portfolio℠ - Initial Class** |
| 2025 | 20 | 47.84 | 47.84 | 975 | 1.78 |  | 1.25 | 1.25 |  | 17.54 | 17.54 |  |
| 2024 | 23 | 40.70 | 40.70 | 916 | 1.73 |  | 1.25 | 1.25 |  | 13.91 | 13.91 |  |
| 2023 | 25 | 35.73 | 35.73 | 895 | 1.88 |  | 1.25 | 1.25 |  | 9.28 | 9.28 |  |
| 2022 | 27 | 32.70 | 32.70 | 876 | 1.83 |  | 1.25 | 1.25 |  | (6.14) | (6.14) |  |
| 2021 | 30 | 34.83 | 34.83 | 1043 | 1.90 |  | 1.25 | 1.25 |  | 23.34 | 23.34 |  |
| **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2010 Portfolio℠ - Service Class 2** |
| 2025 | < 1 | 18.63 | 20.58 | 11 | 2.42 |  | 1.29 | 1.79 |  | 8.29 | 8.84 |  |
| 2024 | 3 | 17.20 | 18.91 | 57 | 3.37 |  | 1.29 | 1.79 |  | 3.27 | 3.79 |  |
| 2023 | 3 | 16.66 | 18.22 | 57 | 3.74 |  | 1.29 | 1.79 |  | 7.14 | 7.68 |  |
| 2022 | 3 | 15.55 | 16.92 | 54 | 1.93 |  | 1.29 | 1.79 |  | (15.20) | (14.77) |  |
| 2021 | 3 | 18.33 | 19.85 | 66 | 0.80 |  | 1.29 | 1.79 |  | 3.71 | 4.24 |  |
| **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2020 Portfolio℠ - Service Class 2** |
| 2025 | 22 | 21.57 | 23.83 | 504 | 1.95 |  | 1.29 | 1.79 |  | 10.98 | 11.54 |  |
| 2024 | 104 | 19.43 | 21.37 | 2061 | 2.64 |  | 1.29 | 1.79 |  | 5.48 | 6.01 |  |
| 2023 | 107 | 18.43 | 20.15 | 2004 | 3.02 |  | 1.29 | 1.79 |  | 10.22 | 10.78 |  |
| 2022 | 115 | 16.72 | 18.19 | 1948 | 1.85 |  | 1.29 | 1.79 |  | (17.47) | (17.05) |  |
| 2021 | 118 | 20.25 | 21.93 | 2430 | 0.85 |  | 1.29 | 1.79 |  | 7.31 | 7.86 |  |
| **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom 2030 Portfolio℠ - Service Class 2** |
| 2025 | < 1 | 26.16 | 26.16 | 22 | 2.19 |  | 1.59 | 1.59 |  | 13.34 | 13.34 |  |
| 2024 | < 1 | 23.08 | 23.08 | 20 | 2.04 |  | 1.59 | 1.59 |  | 7.40 | 7.40 |  |
| 2023 | < 1 | 21.49 | 21.88 | 18 | 2.26 |  | 1.49 | 1.59 |  | 12.65 | 12.76 |  |
| 2022 | < 1 | 19.08 | 19.40 | 16 | 1.72 |  | 1.49 | 1.59 |  | (18.40) | (18.32) |  |
| 2021 | < 1 | 23.38 | 23.75 | 20 | 0.87 |  | 1.49 | 1.59 |  | 10.30 | 10.41 |  |
| **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** | **Fidelity® VIP Freedom Income Portfolio℠ - Service Class 2** |
| 2025 | 35 | 15.91 | 16.56 | 574 | 3.07 |  | 1.29 | 1.49 |  | 7.68 | 7.90 |  |
| 2024 | 38 | 14.78 | 15.35 | 587 | 3.42 |  | 1.29 | 1.49 |  | 2.65 | 2.85 |  |
| 2023 | 39 | 14.14 | 14.92 | 577 | 4.01 |  | 1.29 | 1.59 |  | 5.94 | 6.27 |  |
| 2022 | 41 | 13.35 | 14.04 | 577 | 1.97 |  | 1.29 | 1.59 |  | (13.65) | (13.39) |  |
| 2021 | 43 | 15.46 | 16.21 | 702 | 1.16 |  | 1.29 | 1.59 |  | 1.39 | 1.70 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** | **Fidelity® VIP Government Money Market Portfolio - Initial Class** |
| 2025 | 469 | $10.59 | 11.09 | $5024 | 4.05 | % | 1.00 | 1.48 | % | 2.60 | 3.10 | % |
| 2024 | 502 | 10.32 | 10.76 | 5234 | 4.98 |  | 1.00 | 1.48 |  | 3.55 | 4.05 |  |
| 2023 | 324 | 9.96 | 10.34 | 3255 | 4.84 |  | 1.00 | 1.48 |  | 3.36 | 3.85 |  |
| 2022 | 194 | 9.64 | 9.95 | 1885 | 1.40 |  | 1.00 | 1.48 |  | (0.05) | 0.43 |  |
| 2021 | 208 | 9.65 | 10.01 | 2020 | <0.01 |  | 0.83 | 1.48 |  | (1.46) | (0.82) |  |
| **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** | **Fidelity® VIP Government Money Market Portfolio - Service Class 2** |
| 2025 | 176 | 9.23 | 9.82 | 1718 | 3.79 |  | 1.25 | 1.89 |  | 1.91 | 2.57 |  |
| 2024 | 186 | 9.06 | 9.58 | 1778 | 4.72 |  | 1.25 | 1.89 |  | 2.85 | 3.53 |  |
| 2023 | 170 | 8.81 | 9.25 | 1571 | 4.58 |  | 1.25 | 1.89 |  | 2.67 | 3.34 |  |
| 2022 | 108 | 8.58 | 8.95 | 955 | 1.16 |  | 1.25 | 1.89 |  | (0.64) | 0.01 |  |
| 2021 | 143 | 8.63 | 8.95 | 1272 | 0.01 |  | 1.25 | 1.89 |  | (1.87) | (1.23) |  |
| **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** | **Fidelity® VIP Growth & Income Portfolio - Service Class 2** |
| 2025 | < 1 | 49.38 | 55.99 | 36 | 1.35 |  | 1.29 | 1.89 |  | 18.93 | 19.65 |  |
| 2024 | < 1 | 41.52 | 46.80 | 31 | 1.15 |  | 1.29 | 1.89 |  | 19.65 | 20.38 |  |
| 2023 | < 1 | 34.70 | 38.87 | 34 | 1.49 |  | 1.29 | 1.89 |  | 16.14 | 16.85 |  |
| 2022 | < 1 | 29.88 | 33.27 | 30 | 1.47 |  | 1.29 | 1.89 |  | (6.96) | (6.39) |  |
| 2021 | < 1 | 32.11 | 35.54 | 33 | 2.21 |  | 1.29 | 1.89 |  | 23.27 | 24.02 |  |
| **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** | **Fidelity® VIP Growth Opportunities Portfolio - Initial Class** |
| 2025 | 6 | 90.02 | 90.02 | 564 |  |  | 1.25 | 1.25 |  | 20.43 | 20.43 |  |
| 2024 | 6 | 74.74 | 74.74 | 468 |  |  | 1.25 | 1.25 |  | 37.16 | 37.16 |  |
| 2023 | 8 | 54.50 | 54.50 | 433 |  |  | 1.25 | 1.25 |  | 43.85 | 43.85 |  |
| 2022 | 8 | 37.88 | 37.88 | 302 |  |  | 1.25 | 1.25 |  | (38.92) | (38.92) |  |
| 2021 | 10 | 62.02 | 62.02 | 625 |  |  | 1.25 | 1.25 |  | 10.55 | 10.55 |  |
| **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** | **Fidelity® VIP Growth Opportunities Portfolio - Service Class 2** |
| 2025 | 5 | 95.30 | 101.17 | 465 |  |  | 1.29 | 1.59 |  | 19.71 | 20.07 |  |
| 2024 | 5 | 79.61 | 84.26 | 426 |  |  | 1.29 | 1.59 |  | 36.35 | 36.77 |  |
| 2023 | 6 | 58.39 | 61.61 | 370 |  |  | 1.29 | 1.59 |  | 43.01 | 43.44 |  |
| 2022 | 6 | 40.83 | 42.95 | 263 |  |  | 1.29 | 1.59 |  | (39.30) | (39.11) |  |
| 2021 | 6 | 67.26 | 70.54 | 409 |  |  | 1.29 | 1.59 |  | 9.90 | 10.23 |  |
| **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** | **Fidelity® VIP Growth Portfolio - Initial Class** |
| 2025 | 24 | 55.57 | 61.18 | 1420 | 0.30 |  | 1.25 | 1.25 |  | 13.47 | 13.47 |  |
| 2024 | 25 | 48.97 | 53.92 | 1310 | <0.01 |  | 1.25 | 1.25 |  | 28.76 | 28.76 |  |
| 2023 | 37 | 38.03 | 41.88 | 1452 | 0.13 |  | 1.25 | 1.25 |  | 34.55 | 34.55 |  |
| 2022 | 40 | 28.27 | 31.12 | 1170 | 0.62 |  | 1.25 | 1.25 |  | (25.39) | (25.39) |  |
| 2021 | 41 | 37.89 | 41.72 | 1640 |  |  | 1.25 | 1.25 |  | 21.68 | 21.68 |  |
| **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** | **Fidelity® VIP High Income Portfolio - Initial Class** |
| 2025 | 5 | 23.87 | 23.87 | 123 | 6.45 |  | 1.25 | 1.25 |  | 8.99 | 8.99 |  |
| 2024 | 6 | 21.90 | 21.90 | 121 | 5.92 |  | 1.25 | 1.25 |  | 7.61 | 7.61 |  |
| 2023 | 7 | 20.35 | 20.35 | 148 | 4.75 |  | 1.25 | 1.25 |  | 9.11 | 9.11 |  |
| 2022 | 10 | 18.65 | 18.65 | 182 | 4.82 |  | 1.25 | 1.25 |  | (12.47) | (12.47) |  |
| 2021 | 11 | 21.31 | 21.31 | 227 | 5.29 |  | 1.25 | 1.25 |  | 3.11 | 3.11 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** | **Fidelity® VIP High Income Portfolio - Service Class 2** |
| 2025 | < 1 | $22.01 | 22.01 | $3 | 6.90 | % | 1.49 | 1.49 | % | 8.67 | 8.67 | % |
| 2024 | < 1 | 18.70 | 20.26 | 2 | 5.54 |  | 1.49 | 1.89 |  | 6.56 | 7.00 |  |
| 2023 | < 1 | 17.55 | 18.93 | 3 | 5.80 |  | 1.49 | 1.89 |  | 8.17 | 8.61 |  |
| 2022 | < 1 | 16.23 | 17.43 | 3 | 4.78 |  | 1.49 | 1.89 |  | (13.34) | (12.98) |  |
| 2021 | < 1 | 18.72 | 20.03 | 4 | 3.12 |  | 1.49 | 1.89 |  | 2.33 | 2.74 |  |
| **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** | **Fidelity® VIP Index 500 Portfolio - Initial Class** |
| 2025 | 22 | 53.45 | 53.45 | 1200 | 1.15 |  | 1.25 | 1.25 |  | 16.31 | 16.31 |  |
| 2024 | 25 | 45.96 | 45.96 | 1132 | 1.26 |  | 1.25 | 1.25 |  | 23.34 | 23.34 |  |
| 2023 | 28 | 37.26 | 37.26 | 1039 | 1.47 |  | 1.25 | 1.25 |  | 24.63 | 24.63 |  |
| 2022 | 30 | 29.90 | 29.90 | 901 | 1.42 |  | 1.25 | 1.25 |  | (19.23) | (19.23) |  |
| 2021 | 36 | 37.01 | 37.01 | 1347 | 1.26 |  | 1.25 | 1.25 |  | 26.98 | 26.98 |  |
| **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** | **Fidelity® VIP Index 500 Portfolio - Service Class 2** |
| 2025 | 23 | 49.24 | 55.49 | 1221 | 0.87 |  | 1.29 | 1.89 |  | 15.27 | 15.97 |  |
| 2024 | 24 | 42.71 | 47.85 | 1114 | 1.01 |  | 1.29 | 1.89 |  | 22.23 | 22.97 |  |
| 2023 | 35 | 34.95 | 38.91 | 1346 | 1.21 |  | 1.29 | 1.89 |  | 23.52 | 24.26 |  |
| 2022 | 45 | 28.29 | 31.31 | 1374 | 1.23 |  | 1.29 | 1.89 |  | (19.95) | (19.47) |  |
| 2021 | 37 | 35.35 | 38.88 | 1398 | 1.07 |  | 1.29 | 1.89 |  | 25.84 | 26.61 |  |
| **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** | **Fidelity® VIP Investment Grade Bond Portfolio - Initial Class** |
| 2025 | 6 | 20.69 | 20.69 | 134 | 2.88 |  | 1.25 | 1.25 |  | 5.89 | 5.89 |  |
| 2024 | 14 | 19.54 | 19.54 | 276 | 3.74 |  | 1.25 | 1.25 |  | 0.52 | 0.52 |  |
| 2023 | 13 | 19.43 | 19.43 | 245 | 2.61 |  | 1.25 | 1.25 |  | 4.89 | 4.89 |  |
| 2022 | 13 | 18.53 | 18.53 | 237 | 2.25 |  | 1.25 | 1.25 |  | (14.04) | (14.04) |  |
| 2021 | 13 | 21.56 | 21.56 | 284 | 2.03 |  | 1.25 | 1.25 |  | (1.84) | (1.84) |  |
| **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** | **Fidelity® VIP Mid Cap Portfolio - Service Class 2** |
| 2025 | 8 | 33.17 | 50.85 | 303 | 0.24 |  | 1.29 | 1.89 |  | 9.39 | 10.05 |  |
| 2024 | 9 | 30.32 | 46.20 | 305 | 0.35 |  | 1.29 | 1.89 |  | 14.96 | 15.66 |  |
| 2023 | 9 | 26.37 | 39.95 | 274 | 0.30 |  | 1.29 | 1.89 |  | 12.65 | 13.33 |  |
| 2022 | 13 | 23.41 | 35.25 | 355 | 0.27 |  | 1.29 | 1.89 |  | (16.57) | (16.06) |  |
| 2021 | 15 | 28.06 | 42.00 | 468 | 0.36 |  | 1.29 | 1.89 |  | 22.95 | 23.69 |  |
| **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** | **Fidelity® VIP Overseas Portfolio - Initial Class** |
| 2025 | 2 | 23.73 | 24.65 | 51 | 1.28 |  | 1.25 | 1.25 |  | 18.90 | 18.90 |  |
| 2024 | 5 | 19.96 | 20.73 | 98 | 1.47 |  | 1.25 | 1.25 |  | 3.74 | 3.74 |  |
| 2023 | 7 | 19.24 | 19.98 | 130 | 0.97 |  | 1.25 | 1.25 |  | 19.01 | 19.01 |  |
| 2022 | 9 | 16.17 | 16.79 | 140 | 1.06 |  | 1.25 | 1.25 |  | (25.42) | (25.42) |  |
| 2021 | 9 | 21.68 | 22.51 | 201 | 0.49 |  | 1.25 | 1.25 |  | 18.21 | 18.21 |  |
| **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** | **Franklin DynaTech VIP Fund - Class 2** |
| 2025 | < 1 | 54.04 | 54.04 | 36 |  |  | 1.89 | 1.89 |  | 15.91 | 15.91 |  |
| 2024 | < 1 | 46.62 | 46.62 | 31 |  |  | 1.89 | 1.89 |  | 27.98 | 27.98 |  |
| 2023 | < 1 | 36.43 | 36.43 | 24 |  |  | 1.89 | 1.89 |  | 41.07 | 41.07 |  |
| 2022 | < 1 | 25.82 | 25.82 | 17 |  |  | 1.89 | 1.89 |  | (41.09) | (41.09) |  |
| 2021 | < 1 | 43.83 | 43.83 | 30 |  |  | 1.89 | 1.89 |  | 13.96 | 13.96 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** | **Franklin Growth and Income VIP Fund - Class 2** |
| 2025 | 66 | $48.98 | 57.74 | $3620 | 2.15 | % | 1.29 | 1.99 | % | 14.58 | 15.40 | % |
| 2024 | 72 | 42.75 | 50.04 | 3435 | 2.29 |  | 1.29 | 1.99 |  | 15.64 | 16.46 |  |
| 2023 | 92 | 36.97 | 42.97 | 3742 | 2.19 |  | 1.29 | 1.99 |  | 6.83 | 7.58 |  |
| 2022 | 104 | 34.61 | 39.94 | 3969 | 3.01 |  | 1.29 | 1.99 |  | (8.65) | (8.01) |  |
| 2021 | 111 | 37.89 | 43.41 | 4580 | 2.44 |  | 1.29 | 1.99 |  | 22.76 | 23.63 |  |
| **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** | **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** | **Franklin Income VIP Fund - Class 2** | **Franklin Income VIP Fund - Class 2** | **Franklin Income VIP Fund - Class 2** |
| 2025 | 150 | 25.47 | 29.70 | 4285 | 5.08 |  | 1.29 | 1.99 |  | 10.33 | 11.11 |  |
| 2024 | 170 | 23.09 | 26.73 | 4377 | 5.16 |  | 1.29 | 1.99 |  | 5.07 | 5.82 |  |
| 2023 | 206 | 21.97 | 25.26 | 5009 | 5.21 |  | 1.29 | 1.99 |  | 6.47 | 7.23 |  |
| 2022 | 220 | 20.64 | 23.56 | 5003 | 4.81 |  | 1.29 | 1.99 |  | (7.34) | (6.69) |  |
| 2021 | 248 | 22.27 | 25.25 | 6044 | 4.42 |  | 1.29 | 1.99 |  | 14.44 | 15.25 |  |
| **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** | **Franklin Large Cap Growth VIP Fund - Class 2** |
| 2025 | 86 | 45.16 | 51.39 | 4228 |  |  | 1.29 | 1.89 |  | 5.20 | 5.84 |  |
| 2024 | 94 | 42.93 | 48.55 | 4358 |  |  | 1.29 | 1.89 |  | 23.91 | 24.66 |  |
| 2023 | 117 | 34.64 | 38.95 | 4372 |  |  | 1.29 | 1.89 |  | 37.81 | 38.64 |  |
| 2022 | 146 | 25.14 | 28.09 | 3949 |  |  | 1.29 | 1.89 |  | (37.73) | (37.35) |  |
| 2021 | 145 | 40.37 | 44.84 | 6252 |  |  | 1.29 | 1.89 |  | 13.10 | 13.79 |  |
| **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** | **Franklin Mutual Global Discovery VIP Fund - Class 2** |
| 2025 | 11 | 27.39 | 30.86 | 328 | 1.90 |  | 1.29 | 1.89 |  | 21.02 | 21.75 |  |
| 2024 | 16 | 22.63 | 25.35 | 398 | 1.35 |  | 1.29 | 1.89 |  | 2.67 | 3.30 |  |
| 2023 | 24 | 22.04 | 24.54 | 561 | 2.46 |  | 1.29 | 1.89 |  | 18.05 | 18.77 |  |
| 2022 | 25 | 18.67 | 20.66 | 507 | 1.37 |  | 1.29 | 1.89 |  | (6.54) | (5.97) |  |
| 2021 | 20 | 19.98 | 21.98 | 433 | 2.11 |  | 1.29 | 1.89 |  | 16.88 | 17.59 |  |
| **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** | **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** | **Franklin Mutual Shares VIP Fund - Class 2** | **Franklin Mutual Shares VIP Fund - Class 2** | **Franklin Mutual Shares VIP Fund - Class 2** |
| 2025 | 71 | 33.41 | 39.38 | 2631 | 2.00 |  | 1.29 | 1.99 |  | 9.31 | 10.08 |  |
| 2024 | 82 | 30.56 | 35.77 | 2772 | 1.86 |  | 1.29 | 1.99 |  | 9.05 | 9.83 |  |
| 2023 | 113 | 28.02 | 32.57 | 3462 | 1.86 |  | 1.29 | 1.99 |  | 11.22 | 12.01 |  |
| 2022 | 123 | 25.20 | 29.08 | 3376 | 1.73 |  | 1.29 | 1.99 |  | (9.26) | (8.62) |  |
| 2021 | 150 | 27.77 | 31.82 | 4497 | 2.80 |  | 1.29 | 1.99 |  | 16.81 | 17.63 |  |
| **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** | **Franklin Small Cap Value VIP Fund - Class 2** |
| 2025 | 31 | 58.73 | 69.23 | 1904 | 1.07 |  | 1.29 | 1.99 |  | 5.52 | 6.27 |  |
| 2024 | 35 | 55.66 | 65.15 | 1997 | 0.94 |  | 1.29 | 1.99 |  | 9.48 | 10.26 |  |
| 2023 | 44 | 50.84 | 59.09 | 2336 | 0.52 |  | 1.29 | 1.99 |  | 10.52 | 11.30 |  |
| 2022 | 49 | 46.00 | 53.09 | 2356 | 0.99 |  | 1.29 | 1.99 |  | (11.85) | (11.22) |  |
| 2021 | 55 | 52.18 | 59.80 | 2984 | 0.99 |  | 1.29 | 1.99 |  | 22.88 | 23.75 |  |
| **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** | **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** | **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 | 59 | 10.89 | 12.70 | 715 | 3.25 |  | 1.29 | 1.99 |  | 4.58 | 5.32 |  |
| 2024 | 60 | 10.41 | 12.06 | 689 | 3.32 |  | 1.29 | 1.99 |  | (0.65) | 0.06 |  |
| 2023 | 92 | 10.48 | 12.05 | 1059 | 2.68 |  | 1.29 | 1.99 |  | 2.40 | 3.12 |  |
| 2022 | 104 | 10.24 | 11.69 | 1159 | 2.34 |  | 1.29 | 1.99 |  | (11.54) | (10.91) |  |
| 2021 | 126 | 11.57 | 13.12 | 1583 | 2.29 |  | 1.29 | 1.99 |  | (3.77) | (3.09) |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Large Cap Value Fund - Institutional Class** |
| 2025 | < 1 | $30.70 | 33.39 | $21 | 1.13 | % | 1.49 | 1.89 | % | 8.80 | 9.24 | % |
| 2024 | < 1 | 28.22 | 30.56 | 19 | 1.40 |  | 1.49 | 1.89 |  | 14.88 | 15.35 |  |
| 2023 | < 1 | 24.56 | 26.50 | 18 | 1.81 |  | 1.49 | 1.89 |  | 10.89 | 11.34 |  |
| 2022 | < 1 | 22.15 | 23.80 | 16 | 1.36 |  | 1.49 | 1.89 |  | (8.13) | (7.76) |  |
| 2021 | < 1 | 24.11 | 25.80 | 18 | 1.15 |  | 1.49 | 1.89 |  | 21.80 | 22.29 |  |
| **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** | **Goldman Sachs VIT Mid Cap Value Fund - Institutional Class** |
| 2025 | 2 | 38.48 | 38.48 | 70 | 1.22 |  | 1.89 | 1.89 |  | 7.33 | 7.33 |  |
| 2024 | 2 | 35.85 | 35.85 | 65 | 1.03 |  | 1.89 | 1.89 |  | 10.27 | 10.27 |  |
| 2023 | 2 | 32.51 | 32.51 | 59 | 1.04 |  | 1.89 | 1.89 |  | 9.33 | 9.33 |  |
| 2022 | 2 | 29.74 | 29.74 | 54 | 0.70 |  | 1.89 | 1.89 |  | (11.68) | (11.68) |  |
| 2021 | 2 | 33.67 | 33.67 | 62 | 0.48 |  | 1.89 | 1.89 |  | 28.49 | 28.49 |  |
| **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT Small Cap Equity Insights Fund - Institutional Class** |
| 2025 | 2 | 35.91 | 39.05 | 55 | 0.76 |  | 1.49 | 1.89 |  | 13.96 | 14.42 |  |
| 2024 | 2 | 31.51 | 34.13 | 48 | 0.98 |  | 1.49 | 1.89 |  | 16.80 | 17.27 |  |
| 2023 | 2 | 26.98 | 29.10 | 43 | 1.04 |  | 1.49 | 1.89 |  | 17.04 | 17.51 |  |
| 2022 | 2 | 23.05 | 24.77 | 37 | 0.31 |  | 1.49 | 1.89 |  | (20.90) | (20.58) |  |
| 2021 | 2 | 29.14 | 32.25 | 48 | 0.44 |  | 1.29 | 1.89 |  | 21.46 | 22.20 |  |
| **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** | **Goldman Sachs VIT U.S. Equity Insights Fund - Institutional Class** |
| 2025 | < 1 | 50.64 | 55.08 | 39 | 0.72 |  | 1.49 | 1.89 |  | 13.57 | 14.03 |  |
| 2024 | < 1 | 44.59 | 48.30 | 34 | 0.57 |  | 1.49 | 1.89 |  | 25.89 | 26.41 |  |
| 2023 | 1 | 35.42 | 38.21 | 39 | 0.71 |  | 1.49 | 1.89 |  | 21.48 | 21.97 |  |
| 2022 | 1 | 29.16 | 31.33 | 32 | 0.83 |  | 1.49 | 1.89 |  | (21.25) | (20.93) |  |
| 2021 | 1 | 37.02 | 39.62 | 40 | 0.82 |  | 1.49 | 1.89 |  | 26.97 | 27.49 |  |
| **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** | **Invesco V.I. American Franchise Fund - Series I** |
| 2025 | 116 | 57.66 | 64.84 | 6536 |  |  | 1.10 | 1.70 |  | 9.78 | 10.44 |  |
| 2024 | 130 | 52.52 | 58.71 | 6636 |  |  | 1.10 | 1.70 |  | 32.60 | 33.41 |  |
| 2023 | 158 | 39.61 | 44.01 | 5859 |  |  | 1.10 | 1.70 |  | 38.56 | 39.39 |  |
| 2022 | 175 | 28.59 | 31.57 | 4743 |  |  | 1.10 | 1.70 |  | (32.27) | (31.87) |  |
| 2021 | 186 | 42.21 | 46.34 | 7450 |  |  | 1.10 | 1.70 |  | 10.04 | 10.70 |  |
| **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** | **Invesco V.I. American Franchise Fund - Series II** |
| 2025 | 32 | 70.11 | 80.72 | 2012 |  |  | 1.29 | 1.89 |  | 9.29 | 9.95 |  |
| 2024 | 33 | 64.15 | 73.41 | 1854 |  |  | 1.29 | 1.89 |  | 32.01 | 32.82 |  |
| 2023 | 35 | 48.60 | 55.27 | 1506 |  |  | 1.29 | 1.89 |  | 37.96 | 38.79 |  |
| 2022 | 37 | 35.23 | 39.82 | 1170 |  |  | 1.29 | 1.89 |  | (32.59) | (32.18) |  |
| 2021 | 38 | 52.25 | 58.72 | 1749 |  |  | 1.29 | 1.89 |  | 9.54 | 10.21 |  |
| **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** | **Invesco V.I. American Value Fund - Series I** |
| 2025 | 111 | 17.92 | 54.61 | 3027 | 0.47 |  | 1.10 | 1.99 |  | 18.60 | 19.68 |  |
| 2024 | 120 | 14.97 | 46.04 | 2792 | 0.99 |  | 1.10 | 1.99 |  | 27.81 | 28.98 |  |
| 2023 | 136 | 11.61 | 36.02 | 2433 | 0.64 |  | 1.10 | 1.99 |  | 13.31 | 14.34 |  |
| 2022 | 157 | 10.15 | 31.79 | 2427 | 0.76 |  | 1.10 | 1.99 |  | (4.54) | (3.68) |  |
| 2021 | 161 | 10.54 | 33.30 | 2569 | 0.43 |  | 1.10 | 1.99 |  | 5.40 | 25.41 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** | **Invesco V.I. American Value Fund - Series II** |
| 2025 | 39 | $53.53 | 81.75 | $2103 | 0.22 | % | 1.29 | 1.89 | % | 18.48 | 19.20 | % |
| 2024 | 41 | 45.18 | 68.58 | 1884 | 0.71 |  | 1.29 | 1.89 |  | 27.63 | 28.41 |  |
| 2023 | 51 | 35.40 | 53.41 | 1863 | 0.38 |  | 1.29 | 1.89 |  | 13.12 | 13.81 |  |
| 2022 | 53 | 31.29 | 46.93 | 1725 | 0.44 |  | 1.29 | 1.89 |  | (4.69) | (4.11) |  |
| 2021 | 55 | 32.83 | 48.94 | 1908 | 0.23 |  | 1.29 | 1.89 |  | 25.22 | 25.98 |  |
| **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** | **Invesco V.I. Comstock Fund - Series I** |
| 2025 | 13 | 49.93 | 59.48 | 703 | 1.70 |  | 1.25 | 1.58 |  | 15.60 | 15.99 |  |
| 2024 | 14 | 43.19 | 51.28 | 658 | 1.65 |  | 1.25 | 1.58 |  | 13.36 | 13.74 |  |
| 2023 | 21 | 38.10 | 45.08 | 901 | 1.80 |  | 1.25 | 1.58 |  | 10.60 | 10.97 |  |
| 2022 | 24 | 34.45 | 40.63 | 909 | 1.55 |  | 1.25 | 1.58 |  | (0.46) | (0.13) |  |
| 2021 | 28 | 34.61 | 40.68 | 1058 | 1.72 |  | 1.25 | 1.58 |  | 31.27 | 31.70 |  |
| **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** | **Invesco V.I. Comstock Fund - Series II** |
| 2025 | 99 | 40.70 | 60.62 | 4834 | 1.45 |  | 1.29 | 1.99 |  | 14.82 | 15.63 |  |
| 2024 | 109 | 35.44 | 52.43 | 4588 | 1.43 |  | 1.29 | 1.99 |  | 12.58 | 13.38 |  |
| 2023 | 132 | 31.48 | 46.24 | 4883 | 1.51 |  | 1.29 | 1.99 |  | 9.88 | 10.66 |  |
| 2022 | 156 | 28.65 | 41.79 | 5240 | 1.36 |  | 1.29 | 1.99 |  | (1.15) | (0.45) |  |
| 2021 | 177 | 28.99 | 41.98 | 5961 | 1.58 |  | 1.29 | 1.99 |  | 30.41 | 31.33 |  |
| **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** | **Invesco V.I. Core Equity Fund - Series I** |
| 2025 | 78 | 36.20 | 45.86 | 3315 | 0.64 |  | 1.10 | 1.70 |  | 14.21 | 14.90 |  |
| 2024 | 92 | 31.51 | 40.15 | 3413 | 0.69 |  | 1.10 | 1.70 |  | 23.48 | 24.23 |  |
| 2023 | 105 | 25.36 | 32.52 | 3127 | 0.73 |  | 1.10 | 1.70 |  | 21.29 | 22.02 |  |
| 2022 | 124 | 20.79 | 26.81 | 3025 | 0.88 |  | 1.10 | 1.70 |  | (21.88) | (21.41) |  |
| 2021 | 142 | 26.45 | 34.32 | 4436 | 0.66 |  | 1.10 | 1.70 |  | 25.59 | 26.34 |  |
| **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** | **Invesco V.I. Core Equity Fund - Series II** |
| 2025 | < 1 | 34.50 | 44.10 | 32 | 0.42 |  | 1.55 | 1.89 |  | 13.70 | 14.10 |  |
| 2024 | < 1 | 30.34 | 38.65 | 28 | 0.50 |  | 1.55 | 1.89 |  | 22.92 | 23.35 |  |
| 2023 | < 1 | 24.68 | 33.11 | 23 | 0.46 |  | 1.30 | 1.89 |  | 20.77 | 21.50 |  |
| 2022 | 1 | 20.44 | 27.25 | 26 | 0.63 |  | 1.30 | 1.89 |  | (22.24) | (21.78) |  |
| 2021 | 1 | 26.28 | 34.83 | 34 | 0.44 |  | 1.30 | 1.89 |  | 24.98 | 25.74 |  |
| **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** | **Invesco V.I. Core Plus Bond Fund - Series I** |
| 2025 | 20 | 14.88 | 17.55 | 341 | 4.22 |  | 1.10 | 1.70 |  | 5.29 | 5.92 |  |
| 2024 | 22 | 14.13 | 16.57 | 356 | 3.55 |  | 1.10 | 1.70 |  | 1.31 | 1.93 |  |
| 2023 | 24 | 13.95 | 16.26 | 386 | 2.58 |  | 1.10 | 1.70 |  | 4.35 | 4.98 |  |
| 2022 | 25 | 13.37 | 15.49 | 389 | 0.65 |  | 1.10 | 1.70 |  | (15.97) | (15.47) |  |
| 2021 | 14 | 15.91 | 18.32 | 263 | 1.47 |  | 1.10 | 1.70 |  | (2.33) | (1.74) |  |
| **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** | **Invesco V.I. Core Plus Bond Fund - Series II** |
| 2025 | 151 | 10.26 | 10.53 | 1581 | 3.96 |  | 1.29 | 1.99 |  | 4.84 | 5.59 |  |
| 2024 | 194 | 9.79 | 9.98 | 1924 | 3.41 |  | 1.29 | 1.99 |  | 0.67 | 1.39 |  |
| 2023 | 210 | 9.72 | 9.84 | 2055 | 2.44 |  | 1.29 | 1.99 |  | 3.75 | 4.49 |  |
| 2022 | 231 | 9.37 | 9.42 | 2177 | 0.57 |  | 1.29 | 1.99 |  | (6.29) | (5.84) |  |
| 2021 | < 1 | 15.06 | 15.84 | 2 | 1.44 |  | 1.50 | 1.75 |  | (2.73) | (2.48) |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** | **Invesco V.I. Discovery Large Cap Fund - Series I** |
| 2025 | 10 | $43.22 | 43.22 | $422 |  | % | 1.25 | 1.25 | % | 11.40 | 11.40 | % |
| 2024 | 12 | 38.80 | 38.80 | 447 |  |  | 1.25 | 1.25 |  | 32.49 | 32.49 |  |
| 2023 | 23 | 29.28 | 29.28 | 678 |  |  | 1.25 | 1.25 |  | 33.70 | 33.70 |  |
| 2022 | 24 | 21.90 | 21.90 | 532 |  |  | 1.25 | 1.25 |  | (31.64) | (31.64) |  |
| 2021 | 25 | 32.04 | 32.04 | 798 |  |  | 1.25 | 1.25 |  | 21.05 | 21.05 |  |
| **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** | **Invesco V.I. Discovery Large Cap Fund - Series II** |
| 2025 | 85 | 58.87 | 69.14 | 5545 |  |  | 1.29 | 1.99 |  | 10.30 | 11.08 |  |
| 2024 | 99 | 53.37 | 62.24 | 5834 |  |  | 1.29 | 1.99 |  | 31.16 | 32.09 |  |
| 2023 | 118 | 40.69 | 47.12 | 5301 |  |  | 1.29 | 1.99 |  | 32.36 | 33.30 |  |
| 2022 | 132 | 30.74 | 35.35 | 4442 |  |  | 1.29 | 1.99 |  | (32.33) | (31.85) |  |
| 2021 | 150 | 45.43 | 51.87 | 7421 |  |  | 1.29 | 1.99 |  | 19.86 | 20.71 |  |
| **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series I** |
| 2025 | 35 | 16.30 | 16.87 | 764 |  |  | 1.10 | 1.70 |  | 3.02 | 3.64 |  |
| 2024 | 42 | 15.82 | 16.27 | 893 |  |  | 1.10 | 1.70 |  | 22.13 | 22.87 |  |
| 2023 | 48 | 12.96 | 13.25 | 807 |  |  | 1.10 | 1.70 |  | 11.25 | 11.92 |  |
| 2022 | 65 | 11.65 | 11.84 | 947 |  |  | 1.10 | 1.70 |  | (32.14) | (31.74) |  |
| 2021 | 70 | 17.16 | 17.34 | 1479 |  |  | 1.10 | 1.70 |  | 17.09 | 17.80 |  |
| **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** | **Invesco V.I. Discovery Mid Cap Growth Fund - Series II** |
| 2025 | 53 | 37.12 | 59.54 | 1972 |  |  | 1.29 | 1.99 |  | 2.46 | 3.19 |  |
| 2024 | 57 | 36.23 | 57.70 | 1992 |  |  | 1.29 | 1.99 |  | 21.45 | 22.32 |  |
| 2023 | 67 | 29.83 | 47.17 | 1955 |  |  | 1.29 | 1.99 |  | 10.62 | 11.40 |  |
| 2022 | 73 | 26.97 | 42.35 | 1952 |  |  | 1.29 | 1.99 |  | (32.50) | (32.02) |  |
| 2021 | 82 | 39.95 | 62.29 | 3280 |  |  | 1.29 | 1.99 |  | 16.44 | 17.26 |  |
| **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** | **Invesco V.I. Diversified Dividend Fund - Series I** |
| 2025 | 45 | 122.48 | 125.78 | 5815 | 1.62 |  | 1.00 | 1.48 |  | 14.04 | 14.59 |  |
| 2024 | 48 | 106.89 | 110.29 | 5481 | 1.89 |  | 1.00 | 1.48 |  | 11.54 | 12.08 |  |
| 2023 | 50 | 95.36 | 98.88 | 5091 | 1.98 |  | 1.00 | 1.48 |  | 7.45 | 7.96 |  |
| 2022 | 54 | 88.33 | 92.02 | 5071 | 1.88 |  | 1.00 | 1.48 |  | (3.12) | (2.66) |  |
| 2021 | 55 | 90.74 | 94.99 | 5384 | 2.11 |  | 1.00 | 1.48 |  | 17.15 | 17.71 |  |
| **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** | **Invesco V.I. Diversified Dividend Fund - Series II** |
| 2025 | 19 | 39.92 | 43.76 | 655 | 1.41 |  | 1.29 | 1.69 |  | 13.49 | 13.95 |  |
| 2024 | 21 | 35.17 | 38.40 | 624 | 1.58 |  | 1.29 | 1.69 |  | 11.05 | 11.50 |  |
| 2023 | 23 | 30.38 | 34.44 | 616 | 1.71 |  | 1.29 | 1.89 |  | 6.73 | 7.37 |  |
| 2022 | 24 | 28.46 | 32.08 | 622 | 1.64 |  | 1.29 | 1.89 |  | (3.77) | (3.18) |  |
| 2021 | 25 | 29.58 | 33.13 | 673 | 1.99 |  | 1.29 | 1.89 |  | 16.36 | 17.07 |  |
| **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series I (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series I merged into Invesco V.I. Equally-Weighted S&P 500 Fund - Series I)** |
| 2025 | 199 | 13.09 | 13.15 | 2610 | 1.56 |  | 1.35 | 1.48 |  | 9.47 | 9.61 |  |
| 2024 | 223 | 11.95 | 11.99 | 2672 | 1.60 |  | 1.35 | 1.48 |  | 11.04 | 11.19 |  |
| 2023 | 241 | 10.76 | 10.79 | 2594 | 1.36 |  | 1.35 | 1.48 |  | 12.05 | 12.19 |  |
| 2022 | 267 | 9.61 | 9.62 | 2571 | 1.04 |  | 1.35 | 1.48 |  | (3.93) | (3.84) |  |
| 2021 |  | N/A | N/A |  |  |  | N/A | N/A |  | N/A | N/A |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** | **Invesco V.I. Equally-Weighted S&P 500 Fund - Series II (Fund commenced operations April 29, 2022) (On April 22, 2022, Invesco V.I. S&P 500 Index - Series II merged into Invesco V.I. Equally-Weighted S&P 500 - Series II)** |
| 2025 | 143 | $12.77 | 13.05 | $1831 | 1.42 | % | 1.29 | 1.89 | % | 8.74 | 9.40 | % |
| 2024 | 146 | 11.74 | 11.93 | 1719 | 1.44 |  | 1.29 | 1.89 |  | 10.34 | 11.01 |  |
| 2023 | 151 | 10.64 | 10.75 | 1614 | 1.10 |  | 1.29 | 1.89 |  | 11.30 | 11.97 |  |
| 2022 | 212 | 9.56 | 9.60 | 2027 | 0.84 |  | 1.29 | 1.89 |  | (4.39) | (4.00) |  |
| 2021 |  | N/A | N/A |  |  |  | N/A | N/A |  | N/A | N/A |  |
| **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** | **Invesco V.I. Equity and Income Fund - Series I** |
| 2025 | 50 | 25.01 | 25.58 | 1370 | 2.08 |  | 1.10 | 1.70 |  | 10.90 | 11.57 |  |
| 2024 | 57 | 22.42 | 23.06 | 1418 | 1.78 |  | 1.10 | 1.70 |  | 10.22 | 10.89 |  |
| 2023 | 62 | 20.22 | 20.92 | 1390 | 1.93 |  | 1.10 | 1.70 |  | 8.70 | 9.35 |  |
| 2022 | 71 | 18.49 | 19.25 | 1458 | 1.70 |  | 1.10 | 1.70 |  | (9.07) | (8.52) |  |
| 2021 | 79 | 20.21 | 21.17 | 1763 | 1.93 |  | 1.10 | 1.70 |  | 16.65 | 17.35 |  |
| **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** | **Invesco V.I. Equity and Income Fund - Series II** |
| 2025 | 54 | 31.99 | 37.31 | 1934 | 1.84 |  | 1.29 | 1.99 |  | 10.29 | 11.07 |  |
| 2024 | 58 | 29.01 | 33.59 | 1898 | 1.77 |  | 1.29 | 1.99 |  | 9.68 | 10.46 |  |
| 2023 | 28 | 26.98 | 30.41 | 852 | 1.64 |  | 1.29 | 1.89 |  | 8.17 | 8.82 |  |
| 2022 | 34 | 24.94 | 27.94 | 934 | 1.41 |  | 1.29 | 1.89 |  | (9.45) | (8.90) |  |
| 2021 | 40 | 27.55 | 30.67 | 1192 | 1.60 |  | 1.29 | 1.89 |  | 16.12 | 16.83 |  |
| **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** | **Invesco V.I. EQV International Equity Fund - Series I** |
| 2025 | 25 | 23.06 | 33.23 | 705 | 1.41 |  | 1.10 | 1.70 |  | 14.54 | 15.23 |  |
| 2024 | 33 | 20.01 | 29.01 | 786 | 1.71 |  | 1.10 | 1.70 |  | (1.09) | (0.49) |  |
| 2023 | 36 | 20.11 | 29.33 | 848 | 0.19 |  | 1.10 | 1.70 |  | 16.16 | 16.86 |  |
| 2022 | 44 | 17.21 | 25.25 | 866 | 1.67 |  | 1.10 | 1.70 |  | (19.68) | (19.20) |  |
| 2021 | 48 | 21.30 | 31.44 | 1164 | 1.14 |  | 1.10 | 1.70 |  | 4.10 | 4.73 |  |
| **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** | **Invesco V.I. EQV International Equity Fund - Series II** |
| 2025 | 2 | 30.24 | 32.51 | 51 | 1.20 |  | 1.45 | 1.75 |  | 14.21 | 14.56 |  |
| 2024 | 2 | 26.48 | 28.38 | 44 | 1.56 |  | 1.45 | 1.75 |  | (1.41) | (1.11) |  |
| 2023 | 1 | 26.86 | 28.70 | 40 |  |  | 1.45 | 1.75 |  | 15.83 | 16.17 |  |
| 2022 | 1 | 11.22 | 24.70 | 33 | 1.37 |  | 1.45 | 1.89 |  | (20.04) | (19.68) |  |
| 2021 | 2 | 14.03 | 31.69 | 44 | 0.78 |  | 1.30 | 1.89 |  | 3.62 | 4.24 |  |
| **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** | **Invesco V.I. Global Core Equity Fund - Series I** |
| 2025 | 23 | 48.83 | 56.77 | 1172 | 1.37 |  | 1.00 | 1.48 |  | 13.86 | 14.41 |  |
| 2024 | 25 | 42.88 | 49.62 | 1094 | 1.12 |  | 1.00 | 1.48 |  | 15.12 | 15.68 |  |
| 2023 | 26 | 37.25 | 42.89 | 1003 | 0.58 |  | 1.00 | 1.48 |  | 19.94 | 20.52 |  |
| 2022 | 27 | 31.05 | 35.59 | 883 | 0.34 |  | 1.00 | 1.48 |  | (23.02) | (22.65) |  |
| 2021 | 29 | 40.34 | 46.01 | 1209 | 0.96 |  | 1.00 | 1.48 |  | 14.27 | 14.82 |  |
| **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** | **Invesco V.I. Global Core Equity Fund - Series II** |
| 2025 | 8 | 28.61 | 32.83 | 221 | 1.13 |  | 1.29 | 1.89 |  | 13.04 | 13.73 |  |
| 2024 | 8 | 25.31 | 28.87 | 201 | 0.86 |  | 1.29 | 1.89 |  | 14.51 | 15.21 |  |
| 2023 | 8 | 22.10 | 25.06 | 181 | 0.29 |  | 1.29 | 1.89 |  | 19.18 | 19.90 |  |
| 2022 | 9 | 18.54 | 20.90 | 167 | 0.02 |  | 1.29 | 1.89 |  | (23.62) | (23.16) |  |
| 2021 | 10 | 24.28 | 27.20 | 239 | 0.74 |  | 1.29 | 1.89 |  | 13.53 | 14.22 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** | **Invesco V.I. Global Fund - Series I** |
| 2025 | 11 | $48.71 | 48.71 | $559 |  | % | 1.25 | 1.25 | % | 13.89 | 13.89 | % |
| 2024 | 13 | 42.77 | 42.77 | 551 |  |  | 1.25 | 1.25 |  | 14.62 | 14.62 |  |
| 2023 | 14 | 37.31 | 37.31 | 541 | 0.23 |  | 1.25 | 1.25 |  | 33.07 | 33.07 |  |
| 2022 | 15 | 28.04 | 28.04 | 426 |  |  | 1.25 | 1.25 |  | (32.61) | (32.61) |  |
| 2021 | 15 | 41.61 | 41.61 | 641 |  |  | 1.25 | 1.25 |  | 14.06 | 14.06 |  |
| **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** | **Invesco V.I. Global Fund - Series II** |
| 2025 | 17 | 61.06 | 71.98 | 1143 |  |  | 1.29 | 1.99 |  | 12.73 | 13.53 |  |
| 2024 | 18 | 54.17 | 63.40 | 1061 |  |  | 1.29 | 1.99 |  | 13.48 | 14.28 |  |
| 2023 | 21 | 47.73 | 55.48 | 1083 |  |  | 1.29 | 1.99 |  | 31.79 | 32.72 |  |
| 2022 | 24 | 36.22 | 41.80 | 948 |  |  | 1.29 | 1.99 |  | (33.29) | (32.81) |  |
| 2021 | 26 | 54.29 | 62.21 | 1522 |  |  | 1.29 | 1.99 |  | 12.89 | 13.69 |  |
| **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** | **Invesco V.I. Global Strategic Income Fund - Series I** |
| 2025 | 19 | 4.84 | 23.94 | 332 | 5.89 |  | 1.25 | 1.25 |  | 11.58 | 11.58 |  |
| 2024 | 24 | 4.33 | 21.46 | 376 | 2.85 |  | 1.25 | 1.25 |  | 1.87 | 1.87 |  |
| 2023 | 27 | 4.25 | 21.06 | 434 |  |  | 1.25 | 1.25 |  | 7.53 | 7.53 |  |
| 2022 | 28 | 3.96 | 19.59 | 418 |  |  | 1.25 | 1.25 |  | (12.56) | (12.56) |  |
| 2021 | 29 | 4.52 | 22.40 | 494 | 4.54 |  | 1.25 | 1.25 |  | (4.61) | (4.61) |  |
| **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** | **Invesco V.I. Global Strategic Income Fund - Series II** |
| 2025 | 185 | 17.59 | 20.74 | 3602 | 5.21 |  | 1.29 | 1.99 |  | 10.52 | 11.30 |  |
| 2024 | 214 | 15.92 | 18.63 | 3742 | 2.58 |  | 1.29 | 1.99 |  | 0.74 | 1.46 |  |
| 2023 | 240 | 15.80 | 18.36 | 4154 |  |  | 1.29 | 1.99 |  | 6.45 | 7.20 |  |
| 2022 | 285 | 14.84 | 17.13 | 4604 |  |  | 1.29 | 1.99 |  | (13.46) | (12.85) |  |
| 2021 | 310 | 17.15 | 19.65 | 5764 | 4.30 |  | 1.29 | 1.99 |  | (5.48) | (4.80) |  |
| **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** | **Invesco V.I. Government Money Market Fund - Series I** |
| 2025 | 15 | 9.46 | 11.76 | 154 | 3.94 |  | 1.10 | 1.70 |  | 2.26 | 2.88 |  |
| 2024 | 15 | 9.26 | 11.43 | 154 | 4.86 |  | 1.10 | 1.70 |  | 3.20 | 3.82 |  |
| 2023 | 16 | 8.97 | 11.01 | 152 | 4.74 |  | 1.10 | 1.70 |  | 3.10 | 3.72 |  |
| 2022 | 17 | 8.70 | 10.61 | 161 | 1.34 |  | 1.10 | 1.70 |  | (0.25) | 0.35 |  |
| 2021 | 20 | 8.72 | 10.58 | 194 | <0.01 |  | 1.10 | 1.70 |  | (1.68) | (1.09) |  |
| **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** | **Invesco V.I. Government Money Market Fund - Series II** |
| 2025 | < 1 | 9.12 | 9.12 | < 1 | 0.32 |  | 1.70 | 1.70 |  | 2.01 | 2.01 |  |
| 2024 | < 1 | 8.95 | 8.95 | < 1 | 3.35 |  | 1.70 | 1.70 |  | 2.94 | 2.94 |  |
| 2023 | < 1 | 8.69 | 8.69 | < 1 | 2.85 |  | 1.70 | 1.70 |  | 2.84 | 2.84 |  |
| 2022 | < 1 | 8.45 | 8.45 | < 1 | 0.07 |  | 1.70 | 1.70 |  | (0.45) | (0.45) |  |
| 2021 | < 1 | 8.49 | 8.49 | < 1 |  |  | 1.70 | 1.70 |  | (1.68) | (1.68) |  |
| **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** | **Invesco V.I. Government Securities Fund - Series I** |
| 2025 | 20 | 13.67 | 17.31 | 332 | 2.83 |  | 1.10 | 1.50 |  | 5.77 | 6.20 |  |
| 2024 | 25 | 12.93 | 16.30 | 386 | 2.52 |  | 1.10 | 1.50 |  | 0.20 | 0.60 |  |
| 2023 | 29 | 12.90 | 16.21 | 453 | 2.08 |  | 1.10 | 1.50 |  | 3.07 | 3.48 |  |
| 2022 | 30 | 12.52 | 15.66 | 455 | 1.77 |  | 1.10 | 1.50 |  | (11.63) | (11.27) |  |
| 2021 | 41 | 13.61 | 17.65 | 699 | 2.34 |  | 1.10 | 1.70 |  | (3.91) | (3.34) |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** | **Invesco V.I. Growth and Income Fund - Series II** |
| 2025 | 43 | $51.76 | 61.01 | $2304 | 1.17 | % | 1.29 | 1.99 | % | 13.01 | 13.81 | % |
| 2024 | 48 | 45.80 | 53.61 | 2277 | 1.08 |  | 1.29 | 1.99 |  | 13.41 | 14.22 |  |
| 2023 | 63 | 40.38 | 46.93 | 2616 | 1.27 |  | 1.29 | 1.99 |  | 10.18 | 10.96 |  |
| 2022 | 79 | 36.65 | 42.30 | 2974 | 1.25 |  | 1.29 | 1.99 |  | (7.86) | (7.21) |  |
| 2021 | 84 | 39.78 | 45.58 | 3442 | 1.34 |  | 1.29 | 1.99 |  | 25.65 | 26.54 |  |
| **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** | **Invesco V.I. High Yield Fund - Series I** |
| 2025 | 12 | 23.06 | 26.21 | 321 | 6.71 |  | 1.10 | 1.70 |  | 4.93 | 5.56 |  |
| 2024 | 14 | 21.85 | 24.98 | 340 | 5.40 |  | 1.10 | 1.70 |  | 5.90 | 6.54 |  |
| 2023 | 17 | 20.51 | 23.59 | 378 | 5.24 |  | 1.10 | 1.70 |  | 8.32 | 8.97 |  |
| 2022 | 18 | 18.82 | 21.78 | 369 | 4.61 |  | 1.10 | 1.70 |  | (11.08) | (10.54) |  |
| 2021 | 18 | 21.04 | 24.49 | 433 | 4.08 |  | 1.10 | 1.70 |  | 2.62 | 3.24 |  |
| **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** | **Invesco V.I. High Yield Fund - Series II** |
| 2025 | 14 | 22.42 | 25.73 | 309 | 6.26 |  | 1.29 | 1.89 |  | 4.35 | 4.98 |  |
| 2024 | 16 | 21.48 | 24.51 | 339 | 5.47 |  | 1.29 | 1.89 |  | 5.56 | 6.20 |  |
| 2023 | 16 | 20.35 | 23.08 | 333 | 5.13 |  | 1.29 | 1.89 |  | 7.71 | 8.37 |  |
| 2022 | 16 | 18.90 | 21.30 | 311 | 4.34 |  | 1.29 | 1.89 |  | (11.25) | (10.71) |  |
| 2021 | 18 | 21.29 | 23.85 | 375 | 4.60 |  | 1.29 | 1.89 |  | 2.05 | 2.66 |  |
| **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** | **Invesco V.I. Main Street Fund® - Series I** |
| 2025 | 35 | 45.91 | 45.91 | 1624 | 0.54 |  | 1.25 | 1.25 |  | 14.49 | 14.49 |  |
| 2024 | 37 | 40.10 | 40.10 | 1486 |  |  | 1.25 | 1.25 |  | 22.10 | 22.10 |  |
| 2023 | 38 | 32.84 | 32.84 | 1253 | 0.84 |  | 1.25 | 1.25 |  | 21.69 | 21.69 |  |
| 2022 | 42 | 26.99 | 26.99 | 1123 | 1.48 |  | 1.25 | 1.25 |  | (21.12) | (21.12) |  |
| 2021 | 44 | 34.22 | 34.22 | 1504 | 0.68 |  | 1.25 | 1.25 |  | 25.99 | 25.99 |  |
| **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** | **Invesco V.I. Main Street Fund® - Series II** |
| 2025 | 119 | 56.19 | 66.23 | 7407 | 0.31 |  | 1.29 | 1.99 |  | 13.35 | 14.15 |  |
| 2024 | 136 | 49.57 | 58.02 | 7405 |  |  | 1.29 | 1.99 |  | 20.93 | 21.80 |  |
| 2023 | 160 | 40.99 | 47.64 | 7182 | 0.48 |  | 1.29 | 1.99 |  | 20.40 | 21.25 |  |
| 2022 | 187 | 34.05 | 39.29 | 6931 | 1.11 |  | 1.29 | 1.99 |  | (21.89) | (21.33) |  |
| 2021 | 195 | 43.59 | 49.95 | 9209 | 0.51 |  | 1.29 | 1.99 |  | 24.71 | 25.59 |  |
| **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** | **Invesco V.I. Main Street Mid Cap Fund® - Series I** |
| 2025 | 9 | 40.60 | 51.37 | 432 | 0.33 |  | 1.10 | 1.70 |  | 7.35 | 8.00 |  |
| 2024 | 10 | 37.82 | 47.57 | 432 | 0.34 |  | 1.10 | 1.70 |  | 15.08 | 15.78 |  |
| 2023 | 10 | 32.86 | 41.08 | 385 | 0.29 |  | 1.10 | 1.70 |  | 12.54 | 13.22 |  |
| 2022 | 11 | 29.20 | 36.29 | 357 | 0.35 |  | 1.10 | 1.70 |  | (15.70) | (15.20) |  |
| 2021 | 12 | 34.64 | 42.79 | 451 | 0.43 |  | 1.10 | 1.70 |  | 21.17 | 21.90 |  |
| **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** | **Invesco V.I. Main Street Mid Cap Fund® - Series II** |
| 2025 | 1 | 36.45 | 38.71 | 53 | 0.11 |  | 1.50 | 1.75 |  | 7.08 | 7.34 |  |
| 2024 | 1 | 34.04 | 36.06 | 48 | 0.13 |  | 1.50 | 1.75 |  | 14.76 | 15.05 |  |
| 2023 | 1 | 29.66 | 31.35 | 38 | 0.04 |  | 1.50 | 1.75 |  | 12.17 | 12.45 |  |
| 2022 | 1 | 22.82 | 27.88 | 32 | 0.07 |  | 1.50 | 1.89 |  | (16.06) | (15.73) |  |
| 2021 | 1 | 27.18 | 33.08 | 45 | 0.25 |  | 1.50 | 1.89 |  | 20.55 | 21.04 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** | **Invesco V.I. Main Street Small Cap Fund® - Series I** |
| 2025 | 6 | $56.94 | 56.94 | $328 | 0.44 | % | 1.25 | 1.25 | % | 7.35 | 7.35 | % |
| 2024 | 7 | 53.04 | 53.04 | 360 |  |  | 1.25 | 1.25 |  | 11.28 | 11.28 |  |
| 2023 | 9 | 47.66 | 47.66 | 442 | 1.13 |  | 1.25 | 1.25 |  | 16.67 | 16.67 |  |
| 2022 | 10 | 40.85 | 40.85 | 411 | 0.49 |  | 1.25 | 1.25 |  | (16.88) | (16.88) |  |
| 2021 | 12 | 49.15 | 49.15 | 601 | 0.36 |  | 1.25 | 1.25 |  | 21.03 | 21.03 |  |
| **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** | **Invesco V.I. Main Street Small Cap Fund® - Series II** |
| 2025 | 31 | 65.62 | 77.35 | 2198 | 0.23 |  | 1.29 | 1.99 |  | 6.29 | 7.04 |  |
| 2024 | 34 | 61.74 | 72.26 | 2215 |  |  | 1.29 | 1.99 |  | 10.16 | 10.95 |  |
| 2023 | 42 | 56.04 | 65.13 | 2506 | 0.91 |  | 1.29 | 1.99 |  | 15.49 | 16.31 |  |
| 2022 | 49 | 48.53 | 56.00 | 2543 | 0.25 |  | 1.29 | 1.99 |  | (17.71) | (17.12) |  |
| 2021 | 53 | 58.97 | 67.57 | 3318 | 0.18 |  | 1.29 | 1.99 |  | 19.84 | 20.69 |  |
| **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** | **Invesco V.I. Technology Fund - Series I** |
| 2025 | 8 | 70.76 | 77.17 | 580 |  |  | 1.10 | 1.50 |  | 18.67 | 19.15 |  |
| 2024 | 9 | 59.63 | 64.77 | 528 |  |  | 1.10 | 1.50 |  | 32.26 | 32.79 |  |
| 2023 | 9 | 45.08 | 48.77 | 430 |  |  | 1.10 | 1.50 |  | 44.76 | 45.34 |  |
| 2022 | 11 | 31.14 | 33.56 | 333 |  |  | 1.10 | 1.50 |  | (40.84) | (40.61) |  |
| 2021 | 11 | 52.64 | 56.50 | 609 |  |  | 1.10 | 1.50 |  | 12.71 | 13.16 |  |
| **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** | **Invesco V.I. Technology Fund - Series II** |
| 2025 | 5 | 64.05 | 66.90 | 335 |  |  | 1.50 | 1.70 |  | 18.14 | 18.37 |  |
| 2024 | 5 | 54.22 | 56.51 | 281 |  |  | 1.50 | 1.70 |  | 31.59 | 31.85 |  |
| 2023 | 5 | 41.21 | 42.86 | 211 |  |  | 1.50 | 1.70 |  | 44.25 | 44.54 |  |
| 2022 | 5 | 28.56 | 29.65 | 145 |  |  | 1.50 | 1.70 |  | (41.12) | (41.01) |  |
| 2021 | 5 | 48.52 | 50.26 | 246 |  |  | 1.50 | 1.70 |  | 12.16 | 12.38 |  |
| **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** | **Lord Abbett Bond Debenture Portfolio - Class VC** |
| 2025 | 71 | 20.57 | 24.09 | 1649 | 5.87 |  | 1.29 | 1.99 |  | 6.18 | 6.93 |  |
| 2024 | 77 | 19.38 | 22.52 | 1682 | 5.43 |  | 1.29 | 1.99 |  | 4.59 | 5.34 |  |
| 2023 | 85 | 18.53 | 21.38 | 1760 | 4.88 |  | 1.29 | 1.99 |  | 4.44 | 5.18 |  |
| 2022 | 83 | 17.74 | 20.33 | 1626 | 4.25 |  | 1.29 | 1.99 |  | (14.53) | (13.92) |  |
| 2021 | 91 | 20.75 | 23.62 | 2078 | 2.99 |  | 1.29 | 1.99 |  | 1.23 | 1.95 |  |
| **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** | **Lord Abbett Fundamental Equity Portfolio - Class VC** |
| 2025 | 17 | 37.63 | 43.75 | 732 | 0.43 |  | 1.29 | 1.99 |  | 12.03 | 12.82 |  |
| 2024 | 19 | 33.59 | 38.78 | 707 | 0.68 |  | 1.29 | 1.99 |  | 14.32 | 15.14 |  |
| 2023 | 22 | 29.38 | 33.68 | 712 | 0.59 |  | 1.29 | 1.99 |  | 12.37 | 13.16 |  |
| 2022 | 23 | 26.15 | 29.77 | 670 | 1.05 |  | 1.29 | 1.99 |  | (13.73) | (13.11) |  |
| 2021 | 25 | 30.31 | 34.26 | 832 | 0.82 |  | 1.29 | 1.99 |  | 24.79 | 25.67 |  |
| **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** | **Lord Abbett Growth and Income Portfolio - Class VC** |
| 2025 | 24 | 34.83 | 39.63 | 927 | 0.58 |  | 1.29 | 1.89 |  | 15.08 | 15.78 |  |
| 2024 | 25 | 30.27 | 34.23 | 826 | 0.73 |  | 1.29 | 1.89 |  | 18.32 | 19.04 |  |
| 2023 | 35 | 25.58 | 28.76 | 973 | 0.92 |  | 1.29 | 1.89 |  | 11.06 | 11.73 |  |
| 2022 | 38 | 23.03 | 25.74 | 949 | 1.51 |  | 1.29 | 1.89 |  | (11.14) | (10.60) |  |
| 2021 | 34 | 25.92 | 28.79 | 950 | 0.99 |  | 1.29 | 1.89 |  | 26.59 | 27.36 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** | **Lord Abbett Growth Opportunities Portfolio - Class VC** |
| 2025 | 16 | $45.60 | 53.03 | $815 |  | % | 1.29 | 1.99 | % | 10.70 | 11.49 | % |
| 2024 | 18 | 41.20 | 47.57 | 809 |  |  | 1.29 | 1.99 |  | 28.00 | 28.91 |  |
| 2023 | 20 | 32.18 | 36.90 | 707 |  |  | 1.29 | 1.99 |  | 8.48 | 9.25 |  |
| 2022 | 24 | 29.67 | 33.77 | 771 |  |  | 1.29 | 1.99 |  | (33.87) | (33.40) |  |
| 2021 | 23 | 44.86 | 50.71 | 1138 |  |  | 1.29 | 1.99 |  | 4.34 | 5.09 |  |
| **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** | **Lord Abbett Mid Cap Stock Portfolio - Class VC** |
| 2025 | 48 | 29.04 | 33.05 | 1492 | 0.33 |  | 1.29 | 1.89 |  | 5.04 | 5.67 |  |
| 2024 | 53 | 27.65 | 31.27 | 1571 | 0.45 |  | 1.29 | 1.89 |  | 12.72 | 13.41 |  |
| 2023 | 60 | 24.53 | 27.57 | 1569 | 0.45 |  | 1.29 | 1.89 |  | 13.25 | 13.94 |  |
| 2022 | 69 | 21.66 | 24.20 | 1601 | 0.80 |  | 1.29 | 1.89 |  | (12.88) | (12.36) |  |
| 2021 | 75 | 24.86 | 27.61 | 1978 | 0.58 |  | 1.29 | 1.89 |  | 26.27 | 27.04 |  |
| **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** | **LVIP Nomura SMID Cap Core Fund - Standard Class** |
| 2025 | 8 | 47.09 | 47.09 | 369 | 0.58 |  | 1.25 | 1.25 |  | 7.50 | 7.50 |  |
| 2024 | 8 | 43.80 | 43.80 | 347 | 0.56 |  | 1.25 | 1.25 |  | 13.30 | 13.30 |  |
| 2023 | 10 | 38.66 | 38.66 | 370 | 1.14 |  | 1.25 | 1.25 |  | 15.01 | 15.01 |  |
| 2022 | 10 | 33.62 | 33.62 | 325 | 0.45 |  | 1.25 | 1.25 |  | (14.80) | (14.80) |  |
| 2021 | 10 | 39.45 | 39.45 | 382 | 0.99 |  | 1.25 | 1.25 |  | 21.65 | 21.65 |  |
| **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** | **MFS® VIT Investors Trust Series - Initial Class** |
| 2025 | 4 | 45.09 | 45.09 | 179 | 1.62 |  | 1.25 | 1.25 |  | 12.16 | 12.16 |  |
| 2024 | 4 | 40.20 | 40.20 | 160 | 0.64 |  | 1.25 | 1.25 |  | 18.03 | 18.03 |  |
| 2023 | 5 | 34.06 | 34.06 | 159 | 0.71 |  | 1.25 | 1.25 |  | 17.51 | 17.51 |  |
| 2022 | 5 | 28.99 | 28.99 | 151 | 0.67 |  | 1.25 | 1.25 |  | (17.52) | (17.52) |  |
| 2021 | 5 | 35.15 | 35.15 | 186 | 0.63 |  | 1.25 | 1.25 |  | 25.24 | 25.24 |  |
| **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** | **MFS® VIT New Discovery Series - Initial Class** |
| 2025 | 6 | 38.54 | 38.54 | 216 |  |  | 1.25 | 1.25 |  | 11.56 | 11.56 |  |
| 2024 | 6 | 34.55 | 34.55 | 203 |  |  | 1.25 | 1.25 |  | 5.39 | 5.39 |  |
| 2023 | 6 | 32.78 | 32.78 | 200 |  |  | 1.25 | 1.25 |  | 13.00 | 13.00 |  |
| 2022 | 6 | 29.01 | 29.01 | 179 |  |  | 1.25 | 1.25 |  | (30.63) | (30.63) |  |
| 2021 | 7 | 41.82 | 41.82 | 285 |  |  | 1.25 | 1.25 |  | 0.53 | 0.53 |  |
| **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** | **MFS® VIT Total Return Bond Series - Initial Class** |
| 2025 | 5 | 21.72 | 21.72 | 101 | 3.49 |  | 1.25 | 1.25 |  | 5.84 | 5.84 |  |
| 2024 | 9 | 20.52 | 20.52 | 182 | 4.22 |  | 1.25 | 1.25 |  | 1.27 | 1.27 |  |
| 2023 | 10 | 20.26 | 20.26 | 200 | 3.23 |  | 1.25 | 1.25 |  | 6.05 | 6.05 |  |
| 2022 | 10 | 19.11 | 19.11 | 198 | 2.74 |  | 1.25 | 1.25 |  | (15.00) | (15.00) |  |
| 2021 | 11 | 22.48 | 22.48 | 241 | 2.70 |  | 1.25 | 1.25 |  | (2.05) | (2.05) |  |
| **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** | **MFS® VIT II High Yield Portfolio - Initial Class** |
| 2025 | 3 | 26.82 | 26.82 | 81 | 6.66 |  | 1.25 | 1.25 |  | 7.30 | 7.30 |  |
| 2024 | 4 | 24.99 | 24.99 | 90 | 5.71 |  | 1.25 | 1.25 |  | 5.59 | 5.59 |  |
| 2023 | 4 | 23.67 | 23.67 | 105 | 5.98 |  | 1.25 | 1.25 |  | 11.02 | 11.02 |  |
| 2022 | 5 | 21.32 | 21.32 | 117 | 5.60 |  | 1.25 | 1.25 |  | (11.62) | (11.62) |  |
| 2021 | 6 | 24.12 | 24.12 | 134 | 4.90 |  | 1.25 | 1.25 |  | 2.20 | 2.20 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** | **Morgan Stanley VIF Discovery Portfolio - Class I** |
| 2025 | 6 | $76.80 | 81.10 | $433 | 0.45 | % | 1.35 | 1.58 | % | 10.82 | 11.07 | % |
| 2024 | 5 | 69.31 | 73.02 | 324 |  |  | 1.35 | 1.58 |  | 39.60 | 39.92 |  |
| 2023 | 5 | 49.65 | 52.18 | 251 |  |  | 1.35 | 1.58 |  | 42.09 | 42.41 |  |
| 2022 | 6 | 34.94 | 36.64 | 202 |  |  | 1.35 | 1.58 |  | (63.55) | (63.46) |  |
| 2021 | 6 | 95.85 | 100.28 | 561 |  |  | 1.35 | 1.58 |  | (12.46) | (12.25) |  |
| **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** | **Morgan Stanley VIF Discovery Portfolio - Class II** |
| 2025 | 28 | 45.74 | 51.55 | 1796 | 0.39 |  | 1.29 | 1.89 |  | 10.32 | 10.99 |  |
| 2024 | 29 | 41.46 | 46.44 | 1693 |  |  | 1.29 | 1.89 |  | 39.05 | 39.90 |  |
| 2023 | 35 | 29.82 | 33.20 | 1434 |  |  | 1.29 | 1.89 |  | 41.43 | 42.28 |  |
| 2022 | 42 | 21.08 | 23.33 | 1162 |  |  | 1.29 | 1.89 |  | (63.67) | (63.45) |  |
| 2021 | 33 | 58.03 | 63.83 | 2646 |  |  | 1.29 | 1.89 |  | (12.87) | (12.34) |  |
| **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Debt Portfolio - Class II** |
| 2025 | 23 | 19.11 | 33.52 | 723 | 14.42 |  | 1.29 | 1.99 |  | 12.95 | 13.75 |  |
| 2024 | 25 | 16.92 | 29.47 | 689 | 10.36 |  | 1.29 | 1.99 |  | 9.06 | 9.84 |  |
| 2023 | 26 | 15.51 | 26.83 | 671 | 8.61 |  | 1.29 | 1.99 |  | 9.48 | 10.25 |  |
| 2022 | 29 | 14.17 | 24.34 | 667 | 7.66 |  | 1.29 | 1.99 |  | (20.42) | (19.85) |  |
| 2021 | 29 | 17.80 | 30.36 | 850 | 5.02 |  | 1.29 | 1.99 |  | (3.91) | (3.23) |  |
| **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class I** |
| 2025 | 3 | 33.55 | 34.78 | 99 | 0.40 |  | 1.35 | 1.48 |  | 31.01 | 31.18 |  |
| 2024 | 3 | 24.67 | 26.51 | 80 | 1.44 |  | 1.35 | 1.58 |  | 6.12 | 6.36 |  |
| 2023 | 5 | 23.25 | 24.93 | 130 | 1.62 |  | 1.35 | 1.58 |  | 10.22 | 10.48 |  |
| 2022 | 6 | 21.09 | 29.09 | 146 | 0.44 |  | 1.35 | 1.58 |  | (26.26) | (26.09) |  |
| 2021 | 7 | 28.60 | 39.35 | 208 | 0.79 |  | 1.35 | 1.58 |  | 1.37 | 1.61 |  |
| **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** | **Morgan Stanley VIF Emerging Markets Equity Portfolio - Class II** |
| 2025 | < 1 | 49.22 | 51.52 | 15 | 0.36 |  | 1.29 | 1.49 |  | 30.92 | 31.19 |  |
| 2024 | < 1 | 34.42 | 39.27 | 12 | 1.27 |  | 1.29 | 1.89 |  | 5.68 | 6.32 |  |
| 2023 | < 1 | 32.57 | 36.94 | 14 | 1.57 |  | 1.29 | 1.89 |  | 9.86 | 10.53 |  |
| 2022 | < 1 | 29.65 | 33.42 | 13 | 0.32 |  | 1.29 | 1.89 |  | (26.54) | (26.09) |  |
| 2021 | < 1 | 40.36 | 45.22 | 25 | 0.70 |  | 1.29 | 1.89 |  | 1.01 | 1.63 |  |
| **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** | **Morgan Stanley VIF Global Strategist Portfolio - Class I** |
| 2025 | 49 | 19.54 | 94.82 | 1159 |  |  | 1.00 | 1.58 |  | 15.56 | 16.24 |  |
| 2024 | 56 | 16.91 | 81.58 | 1139 |  |  | 1.00 | 1.58 |  | 5.77 | 6.39 |  |
| 2023 | 61 | 15.98 | 76.68 | 1162 | 1.61 |  | 1.00 | 1.58 |  | 12.29 | 12.94 |  |
| 2022 | 73 | 14.23 | 67.89 | 1215 |  |  | 1.00 | 1.58 |  | (18.24) | (17.77) |  |
| 2021 | 80 | 17.41 | 82.56 | 1627 | 1.79 |  | 1.00 | 1.58 |  | 6.67 | 7.29 |  |
| **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** | **Morgan Stanley VIF Global Strategist Portfolio - Class II** |
| 2025 | 8 | 23.60 | 23.80 | 176 |  |  | 1.35 | 1.89 |  | 15.15 | 15.78 |  |
| 2024 | 8 | 20.38 | 20.67 | 154 |  |  | 1.35 | 1.89 |  | 5.39 | 5.97 |  |
| 2023 | 11 | 19.23 | 19.62 | 195 | 1.62 |  | 1.35 | 1.89 |  | 11.80 | 12.42 |  |
| 2022 | 13 | 17.11 | 17.54 | 208 |  |  | 1.35 | 1.89 |  | (18.63) | (18.18) |  |
| 2021 | 13 | 20.91 | 21.56 | 263 | 1.75 |  | 1.35 | 1.89 |  | 6.18 | 6.77 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** | **Morgan Stanley VIF Growth Portfolio - Class I** |
| 2025 | 105 | $25.57 | 110.12 | $10554 |  | % | 1.00 | 1.89 | % | 33.17 | 34.37 | % |
| 2024 | 116 | 19.03 | 82.69 | 8588 |  |  | 1.00 | 1.89 |  | 43.82 | 45.13 |  |
| 2023 | 129 | 13.11 | 57.50 | 6612 |  |  | 1.00 | 1.89 |  | 45.88 | 47.19 |  |
| 2022 | 148 | 8.91 | 39.41 | 5204 |  |  | 1.00 | 1.89 |  | (60.82) | (60.47) |  |
| 2021 | 156 | 22.54 | 100.60 | 13894 |  |  | 1.00 | 1.89 |  | (1.78) | (0.89) |  |
| **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** | **Morgan Stanley VIF Growth Portfolio - Class II** |
| 2025 | 54 | 104.47 | 137.34 | 2689 |  |  | 1.29 | 1.99 |  | 32.71 | 33.64 |  |
| 2024 | 55 | 78.72 | 102.77 | 2107 |  |  | 1.29 | 1.99 |  | 43.29 | 44.31 |  |
| 2023 | 57 | 54.94 | 71.21 | 1568 |  |  | 1.29 | 1.99 |  | 45.40 | 46.42 |  |
| 2022 | 60 | 37.78 | 48.64 | 1212 |  |  | 1.29 | 1.99 |  | (60.95) | (60.68) |  |
| 2021 | 59 | 96.77 | 123.69 | 3011 |  |  | 1.29 | 1.99 |  | (2.13) | (1.44) |  |
| **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** | **Nomura VIP Small Cap Value Series - Standard Class** |
| 2025 | 8 | 80.13 | 80.13 | 620 | 1.29 |  | 1.25 | 1.25 |  | 6.82 | 6.82 |  |
| 2024 | 9 | 75.01 | 75.01 | 651 | 1.34 |  | 1.25 | 1.25 |  | 9.93 | 9.93 |  |
| 2023 | 9 | 68.24 | 68.24 | 633 | 1.00 |  | 1.25 | 1.25 |  | 8.09 | 8.09 |  |
| 2022 | 11 | 63.13 | 63.13 | 673 | 0.85 |  | 1.25 | 1.25 |  | (13.18) | (13.18) |  |
| 2021 | 11 | 72.71 | 72.71 | 831 | 0.85 |  | 1.25 | 1.25 |  | 32.75 | 32.75 |  |
| **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** | **PIMCO VIT CommodityRealReturn® Strategy Portfolio - Advisor Class** |
| 2025 | < 1 | 8.12 | 8.12 | 2 | 2.73 |  | 1.49 | 1.49 |  | 16.90 | 16.90 |  |
| 2024 | < 1 | 6.95 | 6.95 | 2 | 2.07 |  | 1.49 | 1.49 |  | 2.41 | 2.41 |  |
| 2023 | < 1 | 6.78 | 6.78 | 2 | 15.68 |  | 1.49 | 1.49 |  | (9.30) | (9.30) |  |
| 2022 | < 1 | 7.48 | 7.48 | 2 | 20.52 |  | 1.49 | 1.49 |  | 7.05 | 7.05 |  |
| 2021 | < 1 | 6.99 | 6.99 | 2 | 4.13 |  | 1.49 | 1.49 |  | 31.13 | 31.13 |  |
| **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** | **PIMCO VIT Emerging Markets Bond Portfolio - Advisor Class** |
| 2025 | < 1 | 19.86 | 19.86 | 6 | 6.80 |  | 1.49 | 1.49 |  | 13.16 | 13.16 |  |
| 2024 | < 1 | 17.55 | 17.55 | 6 | 6.32 |  | 1.49 | 1.49 |  | 5.82 | 5.82 |  |
| 2023 | < 1 | 16.59 | 16.59 | 5 | 5.60 |  | 1.49 | 1.49 |  | 9.36 | 9.36 |  |
| 2022 | < 1 | 15.17 | 15.17 | 5 | 4.71 |  | 1.49 | 1.49 |  | (17.05) | (17.05) |  |
| 2021 | < 1 | 18.28 | 18.28 | 6 | 4.38 |  | 1.49 | 1.49 |  | (4.10) | (4.10) |  |
| **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** | **PIMCO VIT Real Return Portfolio - Advisor Class** |
| 2025 | 3 | 14.35 | 15.55 | 47 | 3.22 |  | 1.29 | 1.69 |  | 5.92 | 6.35 |  |
| 2024 | 4 | 13.55 | 14.62 | 49 | 2.56 |  | 1.29 | 1.69 |  | 0.30 | 0.71 |  |
| 2023 | 4 | 13.04 | 14.51 | 55 | 2.90 |  | 1.29 | 1.89 |  | 1.62 | 2.24 |  |
| 2022 | 6 | 12.83 | 14.20 | 80 | 6.89 |  | 1.29 | 1.89 |  | (13.65) | (13.12) |  |
| 2021 | 7 | 14.86 | 16.34 | 109 | 4.68 |  | 1.29 | 1.89 |  | 3.49 | 4.12 |  |
| **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** | **PIMCO VIT Total Return Portfolio - Advisor Class** |
| 2025 | 3 | 14.55 | 15.76 | 41 | 4.00 |  | 1.49 | 1.89 |  | 6.73 | 7.17 |  |
| 2024 | 3 | 13.63 | 14.70 | 44 | 3.93 |  | 1.49 | 1.89 |  | 0.49 | 0.90 |  |
| 2023 | 5 | 13.56 | 14.57 | 68 | 3.45 |  | 1.49 | 1.89 |  | 3.84 | 4.26 |  |
| 2022 | 6 | 13.06 | 13.98 | 78 | 2.46 |  | 1.49 | 1.89 |  | (16.00) | (15.66) |  |
| 2021 | 8 | 15.55 | 17.10 | 127 | 1.71 |  | 1.29 | 1.89 |  | (3.22) | (2.64) |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** | **Putnam VT Core Equity Fund - Class IB** |
| 2025 | 129 | $44.92 | 68.96 | $5752 | 0.41 | % | 1.25 | 1.89 | % | 14.61 | 15.35 | % |
| 2024 | 140 | 38.94 | 60.17 | 5474 | 0.63 |  | 1.25 | 1.89 |  | 24.56 | 25.36 |  |
| 2023 | 162 | 31.06 | 48.31 | 5110 | 0.51 |  | 1.25 | 1.89 |  | 25.68 | 26.49 |  |
| 2022 | 178 | 24.56 | 41.12 | 4425 | 0.99 |  | 1.25 | 1.89 |  | (17.35) | (16.82) |  |
| 2021 | 189 | 29.52 | 49.75 | 5596 | 0.64 |  | 1.25 | 1.89 |  | 28.54 | 29.37 |  |
| **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** | **Putnam VT Diversified Income Fund - Class IB** |
| 2025 | 33 | 19.94 | 21.69 | 712 | 6.02 |  | 1.25 | 1.60 |  | 6.85 | 7.23 |  |
| 2024 | 38 | 18.66 | 20.22 | 770 | 6.25 |  | 1.25 | 1.60 |  | 4.06 | 4.43 |  |
| 2023 | 43 | 17.93 | 19.37 | 835 | 6.12 |  | 1.25 | 1.60 |  | 3.15 | 3.51 |  |
| 2022 | 45 | 17.46 | 18.71 | 844 | 6.62 |  | 1.25 | 1.65 |  | (3.95) | (3.56) |  |
| 2021 | 53 | 18.18 | 19.40 | 1021 | 0.66 |  | 1.25 | 1.65 |  | (8.48) | (8.11) |  |
| **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** | **Putnam VT Emerging Markets Equity Fund - Class IB** |
| 2025 | 16 | 12.05 | 25.58 | 396 | 0.66 |  | 1.25 | 1.60 |  | 32.02 | 32.48 |  |
| 2024 | 17 | 9.13 | 19.31 | 329 | 1.41 |  | 1.25 | 1.60 |  | 13.71 | 14.12 |  |
| 2023 | 19 | 8.03 | 16.92 | 317 | 0.50 |  | 1.25 | 1.60 |  | 9.81 | 10.20 |  |
| 2022 | 21 | 7.31 | 15.35 | 314 |  |  | 1.25 | 1.60 |  | (28.63) | (28.38) |  |
| 2021 | 28 | 10.24 | 21.44 | 586 | 0.48 |  | 1.25 | 1.60 |  | (5.72) | (5.39) |  |
| **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** | **Putnam VT Focused International Equity Fund - Class IB** |
| 2025 | 61 | 16.86 | 26.69 | 1514 | 3.31 |  | 1.25 | 1.79 |  | 34.01 | 34.73 |  |
| 2024 | 71 | 12.58 | 19.81 | 1309 | 1.67 |  | 1.25 | 1.79 |  | 1.44 | 2.00 |  |
| 2023 | 78 | 12.40 | 19.42 | 1402 | 0.70 |  | 1.25 | 1.79 |  | 17.13 | 17.76 |  |
| 2022 | 94 | 10.59 | 16.49 | 1415 | 1.80 |  | 1.25 | 1.79 |  | (19.65) | (19.22) |  |
| 2021 | 112 | 13.18 | 20.42 | 2095 | 0.76 |  | 1.25 | 1.79 |  | 10.57 | 11.17 |  |
| **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** | **Putnam VT George Putnam Balanced Fund - Class IB** |
| 2025 | 86 | 30.64 | 32.53 | 2868 | 1.43 |  | 1.25 | 1.89 |  | 11.81 | 12.53 |  |
| 2024 | 96 | 27.41 | 28.91 | 2823 | 1.20 |  | 1.25 | 1.89 |  | 14.52 | 15.26 |  |
| 2023 | 110 | 23.93 | 25.08 | 2837 | 1.25 |  | 1.25 | 1.89 |  | 17.65 | 18.41 |  |
| 2022 | 117 | 20.34 | 21.18 | 2565 | 0.90 |  | 1.25 | 1.89 |  | (17.57) | (17.04) |  |
| 2021 | 129 | 24.68 | 25.54 | 3398 | 0.87 |  | 1.25 | 1.89 |  | 11.81 | 12.53 |  |
| **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** | **Putnam VT Global Asset Allocation Fund - Class IB** |
| 2025 | 29 | 33.59 | 37.42 | 1061 | 2.17 |  | 1.25 | 1.99 |  | 12.11 | 12.95 |  |
| 2024 | 41 | 29.73 | 33.38 | 1321 | 2.27 |  | 1.25 | 1.99 |  | 14.04 | 14.89 |  |
| 2023 | 49 | 25.88 | 29.27 | 1417 | 1.60 |  | 1.25 | 1.99 |  | 15.16 | 16.02 |  |
| 2022 | 62 | 22.31 | 25.42 | 1522 | 1.35 |  | 1.25 | 1.99 |  | (17.69) | (17.08) |  |
| 2021 | 69 | 26.90 | 30.88 | 2057 | 0.70 |  | 1.25 | 1.99 |  | 11.69 | 12.53 |  |
| **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** | **Putnam VT Global Health Care Fund - Class IB** |
| 2025 | 33 | 50.55 | 56.02 | 1791 |  |  | 1.25 | 1.99 |  | 12.77 | 13.61 |  |
| 2024 | 36 | 44.83 | 49.31 | 1725 | 0.48 |  | 1.25 | 1.99 |  | (0.60) | 0.15 |  |
| 2023 | 42 | 45.10 | 49.23 | 2001 | 0.31 |  | 1.25 | 1.99 |  | 6.98 | 7.77 |  |
| 2022 | 49 | 42.15 | 45.68 | 2154 | 0.41 |  | 1.25 | 1.99 |  | (6.56) | (5.86) |  |
| 2021 | 48 | 45.11 | 48.53 | 2249 | 1.10 |  | 1.25 | 1.99 |  | 17.03 | 17.91 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** | **Putnam VT Government Money Market Fund - Class IB** |
| 2025 | 584 | $8.68 | 11.32 | $5761 | 3.62 | % | 1.25 | 1.99 | % | 1.62 | 2.38 | % |
| 2024 | 735 | 8.55 | 11.05 | 7023 | 4.56 |  | 1.25 | 1.99 |  | 2.57 | 3.34 |  |
| 2023 | 703 | 8.33 | 10.70 | 6522 | 4.35 |  | 1.25 | 1.99 |  | 2.37 | 3.13 |  |
| 2022 | 614 | 8.14 | 10.37 | 5536 | 1.06 |  | 1.25 | 1.99 |  | (0.88) | (0.14) |  |
| 2021 | 687 | 8.21 | 10.39 | 6224 | 0.01 |  | 1.25 | 1.99 |  | (1.97) | (1.24) |  |
| **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** | **Putnam VT High Yield Fund - Class IB** |
| 2025 | 43 | 29.80 | 29.91 | 1412 | 6.21 |  | 1.25 | 1.99 |  | 6.52 | 7.31 |  |
| 2024 | 47 | 27.77 | 28.08 | 1409 | 5.95 |  | 1.25 | 1.99 |  | 5.71 | 6.51 |  |
| 2023 | 53 | 26.08 | 26.56 | 1514 | 5.37 |  | 1.25 | 1.99 |  | 9.92 | 10.74 |  |
| 2022 | 60 | 23.55 | 24.16 | 1546 | 5.32 |  | 1.25 | 1.99 |  | (13.35) | (12.71) |  |
| 2021 | 68 | 26.97 | 27.89 | 2003 | 4.87 |  | 1.25 | 1.99 |  | 2.89 | 3.66 |  |
| **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** | **Putnam VT Income Fund - Class IB** |
| 2025 | 176 | 14.47 | 19.72 | 3006 | 4.84 |  | 1.25 | 1.99 |  | 5.12 | 5.91 |  |
| 2024 | 194 | 13.77 | 18.62 | 3138 | 5.51 |  | 1.25 | 1.99 |  | 0.28 | 1.03 |  |
| 2023 | 215 | 13.73 | 18.43 | 3452 | 5.91 |  | 1.25 | 1.99 |  | 2.62 | 3.39 |  |
| 2022 | 246 | 13.38 | 17.82 | 3817 | 5.72 |  | 1.25 | 1.99 |  | (15.52) | (14.89) |  |
| 2021 | 271 | 15.84 | 20.94 | 4943 | 1.36 |  | 1.25 | 1.99 |  | (6.48) | (5.78) |  |
| **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** | **Putnam VT International Equity Fund - Class IB** |
| 2025 | 117 | 28.97 | 30.46 | 3245 | 0.01 |  | 1.25 | 1.89 |  | 35.09 | 35.96 |  |
| 2024 | 135 | 21.31 | 22.55 | 2773 | 2.19 |  | 1.25 | 1.89 |  | 1.02 | 1.68 |  |
| 2023 | 151 | 20.96 | 22.32 | 3072 | 0.04 |  | 1.25 | 1.89 |  | 16.28 | 17.03 |  |
| 2022 | 169 | 17.91 | 19.20 | 2943 | 1.54 |  | 1.25 | 1.89 |  | (16.37) | (15.83) |  |
| 2021 | 180 | 21.28 | 22.95 | 3740 | 1.12 |  | 1.25 | 1.89 |  | 6.77 | 7.46 |  |
| **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** | **Putnam VT International Value Fund - Class IB** |
| 2025 | 19 | 23.95 | 27.51 | 496 | 1.31 |  | 1.25 | 1.60 |  | 32.53 | 33.00 |  |
| 2024 | 21 | 18.07 | 20.68 | 429 | 2.55 |  | 1.25 | 1.60 |  | 3.53 | 3.89 |  |
| 2023 | 24 | 16.51 | 19.91 | 466 | 1.54 |  | 1.25 | 1.65 |  | 16.73 | 17.20 |  |
| 2022 | 28 | 14.14 | 16.99 | 471 | 2.01 |  | 1.25 | 1.65 |  | (8.34) | (7.97) |  |
| 2021 | 30 | 15.43 | 18.46 | 536 | 2.02 |  | 1.25 | 1.65 |  | 13.05 | 13.50 |  |
| **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** | **Putnam VT Large Cap Growth Fund - Class IB** |
| 2025 | 303 | 35.85 | 40.44 | 11011 |  |  | 1.25 | 1.89 |  | 12.19 | 12.91 |  |
| 2024 | 342 | 31.75 | 36.05 | 11014 |  |  | 1.25 | 1.89 |  | 30.88 | 31.73 |  |
| 2023 | 411 | 24.10 | 27.54 | 10160 |  |  | 1.25 | 1.89 |  | 41.76 | 42.68 |  |
| 2022 | 465 | 16.89 | 19.43 | 8049 |  |  | 1.25 | 1.89 |  | (31.81) | (31.37) |  |
| 2021 | 508 | 28.49 | 30.10 | 12886 |  |  | 0.83 | 1.89 |  | 20.35 | 21.64 |  |
| **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** | **Putnam VT Large Cap Value Fund - Class IB** |
| 2025 | 197 | 62.18 | 80.08 | 14428 | 1.47 |  | 1.25 | 1.99 |  | 17.96 | 18.85 |  |
| 2024 | 230 | 52.71 | 67.38 | 14154 | 1.14 |  | 1.25 | 1.99 |  | 16.77 | 17.65 |  |
| 2023 | 270 | 45.14 | 57.27 | 13945 | 2.08 |  | 1.25 | 1.99 |  | 13.38 | 14.22 |  |
| 2022 | 304 | 39.81 | 50.14 | 13795 | 1.50 |  | 1.25 | 1.99 |  | (5.05) | (4.34) |  |
| 2021 | 334 | 17.47 | 41.93 | 16027 | 1.22 |  | 0.83 | 1.99 |  | 24.78 | 26.25 |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** | **Putnam VT Mortgage Securities Fund - Class IB** |
| 2025 | 37 | $16.79 | 18.71 | $685 | 8.43 | % | 1.25 | 1.60 | % | 7.35 | 7.72 | % |
| 2024 | 39 | 15.64 | 17.37 | 660 | 6.57 |  | 1.25 | 1.60 |  | 3.08 | 3.44 |  |
| 2023 | 39 | 15.17 | 16.79 | 646 | 15.67 |  | 1.25 | 1.60 |  | 3.60 | 3.96 |  |
| 2022 | 40 | 14.64 | 16.15 | 645 | 9.49 |  | 1.25 | 1.60 |  | (11.51) | (11.20) |  |
| 2021 | 50 | 16.55 | 18.19 | 893 |  |  | 1.25 | 1.60 |  | (5.30) | (4.97) |  |
| **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** | **Putnam VT Research Fund - Class IB** |
| 2025 | 31 | 55.57 | 73.71 | 1714 | 0.58 |  | 1.25 | 1.89 |  | 15.66 | 16.41 |  |
| 2024 | 35 | 47.74 | 63.73 | 1651 | 0.39 |  | 1.25 | 1.89 |  | 23.89 | 24.69 |  |
| 2023 | 39 | 38.29 | 51.44 | 1478 | 0.81 |  | 1.25 | 1.89 |  | 26.44 | 27.25 |  |
| 2022 | 43 | 30.09 | 40.68 | 1293 | 0.57 |  | 1.25 | 1.89 |  | (18.84) | (18.31) |  |
| 2021 | 45 | 36.83 | 50.13 | 1668 | 0.10 |  | 1.25 | 1.89 |  | 21.80 | 22.58 |  |
| **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** | **Putnam VT Small Cap Growth Fund - Class IB** |
| 2025 | 1 | 62.45 | 68.43 | 89 | 0.37 |  | 1.25 | 1.65 |  | 7.02 | 7.45 |  |
| 2024 | 1 | 58.35 | 63.69 | 84 |  |  | 1.25 | 1.65 |  | 21.29 | 21.78 |  |
| 2023 | 2 | 48.11 | 52.30 | 113 |  |  | 1.25 | 1.65 |  | 21.12 | 21.61 |  |
| 2022 | 3 | 39.72 | 43.01 | 133 |  |  | 1.25 | 1.65 |  | (29.48) | (29.20) |  |
| 2021 | 3 | 56.32 | 60.74 | 190 |  |  | 1.25 | 1.65 |  | 12.00 | 12.45 |  |
| **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** | **Putnam VT Small Cap Value Fund - Class IB** |
| 2025 | 26 | 56.72 | 68.84 | 1588 | 0.70 |  | 1.25 | 1.65 |  | 3.54 | 3.96 |  |
| 2024 | 29 | 54.78 | 66.22 | 1740 | 0.97 |  | 1.25 | 1.65 |  | 4.44 | 4.86 |  |
| 2023 | 33 | 52.45 | 63.15 | 1890 | 0.17 |  | 1.25 | 1.65 |  | 21.72 | 22.21 |  |
| 2022 | 41 | 43.09 | 51.67 | 1872 | 0.17 |  | 1.25 | 1.65 |  | (14.41) | (14.07) |  |
| 2021 | 45 | 41.35 | 50.35 | 2399 | 0.71 |  | 0.83 | 1.65 |  | 37.60 | 38.75 |  |
| **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** | **Putnam VT Sustainable Future Fund - Class IB** |
| 2025 | 6 | 55.76 | 60.41 | 366 | 0.10 |  | 1.25 | 1.60 |  | 1.02 | 1.37 |  |
| 2024 | 7 | 55.19 | 59.59 | 420 |  |  | 1.25 | 1.60 |  | 13.04 | 13.44 |  |
| 2023 | 7 | 48.83 | 52.53 | 377 |  |  | 1.25 | 1.60 |  | 26.48 | 26.92 |  |
| 2022 | 8 | 38.60 | 41.39 | 320 |  |  | 1.25 | 1.60 |  | (35.08) | (34.85) |  |
| 2021 | 8 | 59.46 | 63.53 | 517 |  |  | 1.25 | 1.60 |  | 4.38 | 4.75 |  |
| **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** | **Putnam VT Sustainable Leaders Fund - Class IB** |
| 2025 | 162 | 48.75 | 78.64 | 7826 | 0.68 |  | 1.25 | 1.99 |  | 8.50 | 9.31 |  |
| 2024 | 187 | 44.60 | 72.48 | 8303 | 0.21 |  | 1.25 | 1.99 |  | 20.57 | 21.48 |  |
| 2023 | 208 | 36.71 | 60.12 | 7607 | 0.53 |  | 1.25 | 1.99 |  | 23.61 | 24.54 |  |
| 2022 | 237 | 29.48 | 48.63 | 6957 | 0.55 |  | 1.25 | 1.99 |  | (24.44) | (23.87) |  |
| 2021 | 259 | 38.73 | 64.36 | 9999 | 0.14 |  | 1.25 | 1.99 |  | 21.08 | 21.99 |  |
| **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** | **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** | **Templeton Developing Markets VIP Fund - Class 2** | **Templeton Developing Markets VIP Fund - Class 2** | **Templeton Developing Markets VIP Fund - Class 2** |
| 2025 | 11 | 50.89 | 59.99 | 603 | 0.54 |  | 1.29 | 1.99 |  | 43.37 | 44.39 |  |
| 2024 | 13 | 35.50 | 41.55 | 504 | 3.85 |  | 1.29 | 1.99 |  | 5.52 | 6.27 |  |
| 2023 | 17 | 33.64 | 39.10 | 610 | 1.99 |  | 1.29 | 1.99 |  | 10.40 | 11.18 |  |
| 2022 | 22 | 30.47 | 35.17 | 693 | 2.61 |  | 1.29 | 1.99 |  | (23.53) | (22.99) |  |
| 2021 | 22 | 39.85 | 45.66 | 895 | 0.88 |  | 1.29 | 1.99 |  | (7.61) | (6.95) |  |

---

------

**WILTON REASSURANCE LIFE CO OF NEW YORK SEPARATE ACCOUNT A**

**NOTES TO FINANCIAL STATEMENTS**

---

| | | | | | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| | **At December 31,** | **At December 31,** | **At December 31,** | **At 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,** | **For the year ended December 31,** |
| | | **Unit Value** | **Unit Value** | | **Investment** | **Investment** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Expense Ratio\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** | **Total Return\*\*\*** |
| | **Units Outstanding**<br>**(000s)** | **Lowest to Highest** | **Lowest to Highest** | **Net Assets**<br> **(000s)** | **Income Ratio\*** | **Income Ratio\*** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** | **Lowest to Highest** |
| **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** | **Templeton Foreign VIP Fund - Class 2** |
| 2025 | 113 | $19.90 | 21.31 | $3135 | 2.26 | % | 1.25 | 1.89 | % | 26.76 | 27.59 | % |
| 2024 | 137 | 15.70 | 16.70 | 3000 | 2.39 |  | 1.25 | 1.89 |  | (2.87) | (2.23) |  |
| 2023 | 163 | 16.16 | 17.08 | 3700 | 3.14 |  | 1.25 | 1.89 |  | 18.49 | 19.26 |  |
| 2022 | 203 | 13.64 | 14.32 | 3847 | 3.04 |  | 1.25 | 1.89 |  | (9.34) | (8.75) |  |
| 2021 | 225 | 15.05 | 15.70 | 4696 | 1.82 |  | 1.25 | 1.89 |  | 2.20 | 2.86 |  |

---