Riversource of New York Variable Annuity Account

04/30/2026 | Press release | Distributed by Public on 04/30/2026 12:27

Updating Summary Prospectus (Form 497VPU)

RiverSource®
RAVA Vista NY Variable Annuity
Individual Flexible Purchase Payment Deferred Variable Annuity 
Issued by:
RiverSource Life Insurance Co. of New York (RiverSource Life of NY)
20 Madison Avenue Extension
Albany, NY 12203
Telephone: 1-800-541-2251
ameriprise.com/variableannuities
Service Center:
RiverSource Life Insurance Co. of New York (RiverSource Life of NY)
70500 Ameriprise Financial Center
Minneapolis, MN 55474
Telephone: 1-800-541-2251
ameriprise.com/variableannuities
Updating Summary Prospectus
May 1, 2026
The Prospectus for the RiverSource RAVA Vista NY Variable Annuity (the Contract), an individual flexible premium deferred combination fixed/variable annuity issued by RiverSource Life Insurance Co. of New York ("RVS Life of NY", "we", "us" and "our") is available and contains more information about the Contract, including its features, benefits and risks. You can find the current prospectus and other information about the Contract online at riversource.com/annuities. You can also obtain this information at no cost by calling 1-800-862-7919 or by sending an email request to [email protected].
Additional information about certain investment products, including variable annuities, has been prepared by the Securities and Exchange Commission's staff and is available at Investor.gov.
The Securities and Exchange Commission has not approved or disapproved these securities or determined if this prospectus is accurate or complete. Any representation to the contrary is a criminal offense.
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 1
Contents
Key Terms
3
Updated Information You Should Consider About the Contract
4
Important Information You Should Consider About the Contract
5
Appendix A : Investment Options Available Under the Contract
8
2 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
Key Terms
These terms can help you understand details about your Contract.
Annuitant: The person or persons on whose life or life expectancy the annuity payouts are based.
Annuity payouts: An amount paid at regular intervals under one of several plans.
Beneficiary: The person you designate to receive benefits in case of your death while the Contract is in force.
Contract value: The total value of your Contract at any point in time. The Contract value is the sum of the contract value in the Special DCA Fixed Account and Contract value in the Variable Account.
Contract year: A period of 12 months, starting on the effective date of your Contract and on each anniversary of the effective date.
Funds: A portfolio of an open-end management investment company that is registered with the Securities and Exchange Commission (the "SEC") in which the Subaccounts invest. May also be referred to as an underlying Fund.
Investment Options: The Fixed Account and the Subaccounts.
Separate Account: An insulated segregated account, the assets of which are invested solely in the underlying Funds. We call this the Variable Account.
Service Center: Our department that processes all transaction and service requests for the Contracts. We consider all transaction and service requests received when they arrive in good order at the Service Center. Any transaction or service requests sent or directed to any location other than our Service Center may end up delayed or not processed. Our Service Center address and telephone number are listed on the first page of the prospectus.
Subaccount: A division of the Variable Account, each of which invests in one Fund.
Variable Account: Refers to the RiverSource of New York Variable Annuity Account, a Separate Account established to hold Contract owners' assets allocated to the Subaccounts, each of which invests in a particular Fund.
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 3
Updated Information You Should Consider About the Contract
The information in this Updating Summary Prospectus is a summary of certain Contract features that have changed since the Prospectus dated May 1, 2025. This may not reflect all of the changes that have occurred since you entered into your Contract.
UNDERLYING FUNDS
Effective June 28, 2025, Neuberger Berman AMT Sustainable Equity Portfolio changed its name to Neuberger Berman Quality Equity Portfolio.
Effective July 1, 2026, the Income GuideSM Program is no longer available for new enrollments.
4 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
Important Information You Should Consider About the Contract 
FEES, EXPENSES AND ADJUSTMENTS
Location in
Statutory
Prospectus
Are There Charges
or Adjustments for
Early
Withdrawals?
Yes. If you make a withdrawal or surrender during the first 7 contract years,
you will be assessed a surrender charge of up to 7% of the Purchase
Payment.
For example, if you make a withdrawal, you could pay a surrender charge of
up to $7,000 on a $100,000 investment.
Fee Table and
Examples
Charges and
Adjustments -
Transaction
Expenses -
Surrender Charge
Are There
Transaction
Charges?
No. Other than surrender charges. we do not assess any transaction
charges.
Are There Ongoing
Fees and
Expenses?
Yes. The table below describes the current fees and expenses that you
may pay each year, depending on the investment options and optional
benefits you choose. Please refer to your Contract Data page for
information about the specific fees you will pay each year based on the
options you have elected.
Fee Table and
Examples
Appendix A:
Investment
Options Available
Under the
Contract
Annual Fee
Minimum
Maximum
Base Contract(1)
(varies by death benefit option, age
band, size band and Contract value)
0.93%
1.58%
Fund options
(funds fees and expenses)(2)
0.51%
2.32%
Optional benefits available for an
additional charge
(for a single optional benefit, if
elected)(3)
0.10%
0.25%
(1) As a percentage of average daily contract value in the variable account. Includes the
Mortality and Expense Fee and contract administrative charge.
(2) As a percentage of Fund net assets.
(3) As a percentage of average daily Contract value in the Variable Account.
Because your Contract is customizable, the choices you make affect how
much you will pay. To help you understand the cost of owning your Contract,
the following table shows the lowest and highest cost you could pay each
year, based on current charges. This estimate assumes that you do not
take withdrawals from the Contract, which could add surrender charges
that substantially increase costs.
Lowest Annual Cost:
$1,380
Highest Annual Cost:
$3,137
Assumes:
•Investment of $100,000
•5% annual appreciation
•Least expensive combination of
Contract features and Fund fees
and expenses
•No optional benefits
•No sales charge
•No additional purchase payments,
transfers or withdrawals
Assumes:
•Investment of $100,000
•5% annual appreciation
•Most expensive combination of
Contract features, optional
benefits and Fund fees and
expenses
•No sales charge
•No additional purchase payments,
transfers or withdrawals
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 5
RISKS
Location in
Statutory
Prospectus
Is There a Risk of
Loss from Poor
Performance?
Yes. You can lose money by investing in this Contract including loss of
principal.
Principal Risks of
Investing in the
Contract
Is This a
Short-Term
Investment?
No.
•The Contract is not a short-term investment and is not appropriate for an
investor who needs ready access to cash because the contract is
designed to provide for the accumulation of retirement savings and
income on a long-term basis.
•The Contract has a surrender charge that may apply for the first seven
years. The surrender charges may reduce the value of your Contract if
you withdraw money during that time. Surrenders may also reduce
Contract guarantees.
•Surrenders may also be subject to taxes and tax penalties.
•The benefits of tax deferral and long-term income mean the contract is
generally more beneficial to investors with a long term investment
horizon.
Principal Risks of
Investing in the
Contract
Charges and
Adjustments -
Transaction
Expenses -
Surrender Charge
What Are the
Risks Associated
with the
Investment
Options?
•An investment in the Contract is subject to the risk of poor investment
performance and can vary depending on the performance of the
investment options available under the Contract.
•Each investment option (including under any fixed account investment
options) has its own unique risks.
•You should review the investment options before making any investment
decisions.
Principal Risks of
Investing in the
Contract
The Variable
Account and the
Funds
What Are the
Risks Related to
the Insurance
Company?
Any obligations (including under the Fixed Account), guarantees or benefits
we may provide under the contract that exceed the value of amounts held
in the Variable Account are subject to our financial strength and
claims-paying ability. If we experience financial distress, we may not be
able to meet our obligations to you. More information about RiverSource
Life of NY, including our financial strength ratings, is available by contacting
us at 1-800-862-7919.
Principal Risks of
Investing in the
Contract
The General
Account
RESTRICTIONS
Are There
Restrictions on
the Investment
Options?
Yes.
•Subject to certain restrictions, you may transfer your Contract value
among the subaccounts without charge at any time before the
annuitization start date, and once per contract year after the
annuitization start date.
•We reserve the right to modify, restrict or suspend your transfer
privileges if we determine that your transfer activity constitutes market
timing.
•We reserve the right to limit the number of transfers allowed each
contract year. The limit will not be less than 12 transfers per contract
year.
•We reserve the right to add, remove or substitute Funds as investment
options. We also reserve the right, upon notification to you, to close or
restrict any Funds.
Making the Most
of Your Contract -
Transferring
Among Accounts
Substitution of
Investments
Are There Any
Restrictions on
Contract
Benefits?
Yes.
•We may stop offering an optional benefit at any time for new sales.
•Withdrawals may substantially reduce the benefit.
Optional
Benefits -
Optional Death
Benefits
6 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
TAXES
Location in
Statutory
Prospectus
What Are the
Contract's Tax
Implications?
•Consult with a tax advisor to determine the tax implications of an
investment in and payments and withdrawals received under this
Contract.
•If you purchase the Contract through a tax-qualified plan or individual
retirement account, you do not get any additional tax benefit.
•Earnings under your contract are taxed at ordinary income tax rates
generally when withdrawn. You may have to pay a 10% tax penalty if you
take a withdrawal before age 59½.
Taxes
CONFLICTS OF INTEREST
How Are
Investment
Professionals
Compensated?
Your investment professional may receive compensation for selling this
Contract to you, in the form of commissions, additional cash benefits (e.g.,
bonuses), and non-cash compensation. This financial incentive may
influence your investment professional to recommend this Contract over
another investment for which the investment professional is not
compensated or compensated less.
About the Service
Providers
Should I Exchange
My Contract?
If you already own an annuity or insurance Contract, some investment
professionals may have a financial incentive to offer you a new Contract in
place of the one you own. You should only exchange a Contract you already
own if you determine, after comparing the features, fees, and risks of both
Contracts, that it is better for you to purchase the new Contract rather than
continue to own your existing Contract.
Buying Your
Contract -
Contract
Exchanges
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 7
Appendix A: Investment Options Available Under the Contract
The following is a list of funds available under the contract. More information about the funds is available in the prospectuses for the funds, which may be amended from time to time and can be found online at riversource.com. You can also request this information at no cost by calling 1-800-862-7919 or by sending an email request to [email protected].
The current expenses and performance information below reflects fee and expenses of the funds, but do not reflect the other fees and expenses that your contract may charge. Expenses would be higher and performance would be lower if these other charges were included. Each fund's past performance is not necessarily an indication of future performance. 
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Seeks long-term growth
of capital.
AB VPS Large Cap Growth Portfolio (Class B)
AllianceBernstein L.P.
0.90%
12.85%
11.76%
15.88%
Seeks long-term growth
of capital.
AB VPS Relative Value Portfolio (Class B)
AllianceBernstein L.P.
0.85%1
10.20%
11.15%
10.30%
Seeks long-term growth
of capital.
AB VPS Sustainable Global Thematic
Portfolio (Class B)
AllianceBernstein L.P.
1.20%1
6.02%
3.02%
9.80%
Seeks long-term capital
appreciation.
Allspring VT Small Cap Growth Fund
(Class 2)
Allspring Funds Management, LLC, adviser;
Allspring Global Investments, LLC,
subadviser.
1.16%
9.25%
(0.96%)
9.94%
The Portfolio seeks
investment results that
correspond (before fees
and expenses) generally
to the price and yield
performance of its
underlying index, the
Alerian Midstream
Energy Select Index (the
"Index").
ALPS | Alerian Energy Infrastructure Portfolio
(Class III)
ALPS Advisors, Inc.
1.30%
4.66%
22.06%
10.70%
Seeks long-term growth
of capital.
BlackRock Advantage SMID Cap V.I. Fund
(Class III)
BlackRock Advisors, LLC
0.80%1
10.87%
6.77%
10.85%
Seeks high total
investment return.
BlackRock Global Allocation V.I. Fund
(Class III)2
BlackRock Advisors, LLC, adviser; BlackRock
(Singapore) Limited and BlackRock
International Limited, subadvisers.
1.01%1
19.42%
5.51%
7.33%
Seeks long-term capital
appreciation.
BNY Mellon Sustainable U.S. Equity
Portfolio, Inc. (Service Shares)
BNY Mellon Investment Adviser, Inc.,
adviser; Newton Investment Management
Limited, subadviser.
0.91%
15.67%
11.65%
13.27%
8 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Seeks to achieve a
competitive total return
through an actively
managed portfolio of
stocks, bonds and
money market
instruments which offer
income and capital
growth opportunity.
Calvert VP SRI Balanced Portfolio (Class F)
Calvert Research and Management
0.90%
11.68%
8.43%
9.51%
Seeks long-term capital
appreciation.
Columbia Variable Portfolio - Acorn Fund
Columbia Management Investment Advisers,
LLC
0.86%1
4.47%
1.02%
8.66%
Seeks long-term capital
appreciation.
Columbia Variable Portfolio - Acorn
International Fund
Columbia Management Investment Advisers,
LLC
1.01%1
12.76%
(1.00%)
4.31%
Seeks maximum total
investment return
through a combination
of capital growth and
current income.
Columbia Variable Portfolio - Balanced Fund
(Class 2)
Columbia Management Investment Advisers,
LLC
0.96%1
13.75%
8.45%
9.48%
Seeks to provide
shareholders with total
return.
Columbia Variable Portfolio - Commodity
Strategy Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.98%1
15.30%
12.44%
6.46%
Seeks total return,
consisting of long-term
capital appreciation and
current income.
Columbia Variable Portfolio - Contrarian Core
Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.95%1
17.35%
13.89%
14.03%
Seeks long-term capital
appreciation.
Columbia Variable Portfolio - Cornerstone
Equity Fund (Class 2) (previously Columbia
Variable Portfolio - Select Large Cap Equity
Fund (Class 2))
Columbia Management Investment Advisers,
LLC
0.92%
13.96%
13.30%
-
Seeks to provide
shareholders with
long-term capital growth.
Columbia Variable Portfolio - Cornerstone
Growth Fund (Class 2) (previously Columbia
Variable Portfolio - Large Cap Growth Fund
(Class 2))
Columbia Management Investment Advisers,
LLC
0.96%
15.85%
13.75%
15.69%
Seeks to provide
shareholders with
capital appreciation.
Columbia Variable Portfolio - Disciplined
Core Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.93%
14.35%
13.87%
13.31%
Seeks to provide
shareholders with a high
level of current income
and, as a secondary
objective, steady growth
of capital.
Columbia Variable Portfolio - Dividend
Opportunity Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.90%1
15.56%
11.60%
10.15%
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 9
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Non-diversified fund that
seeks to provide
shareholders with high
total return through
current income and,
secondarily, through
capital appreciation.
Columbia Variable Portfolio - Emerging
Markets Bond Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.98%
12.65%
1.47%
4.03%
Seeks to provide
shareholders with
long-term capital growth.
Columbia Variable Portfolio - Emerging
Markets Fund (Class 2)
Columbia Management Investment Advisers,
LLC
1.34%1
30.87%
(1.37%)
7.00%
Seeks to provide
shareholders with
maximum current
income consistent with
liquidity and stability of
principal.
Columbia Variable Portfolio - Government
Money Market Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.59%1
3.71%
2.79%
1.72%
Seeks to provide
shareholders with high
current income as its
primary objective and,
as its secondary
objective, capital
growth.
Columbia Variable Portfolio - High Yield Bond
Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.89%1
8.49%
3.93%
5.51%
Seeks to provide
shareholders with a high
total return through
current income and
capital appreciation.
Columbia Variable Portfolio - Income
Opportunities Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.89%1
8.43%
3.60%
5.17%
Seeks to provide
shareholders with a high
level of current income
while attempting to
conserve the value of
the investment for the
longest period of time.
Columbia Variable Portfolio - Intermediate
Bond Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.78%
8.84%
(0.68%)
2.52%
Seeks to provide
shareholders with
long-term capital
appreciation.
Columbia Variable Portfolio - Large Cap Index
Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.50%1
17.25%
13.84%
14.21%
Seeks total return,
consisting of current
income and capital
appreciation.
Columbia Variable Portfolio - Long
Government/Credit Bond Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.72%1
5.98%
(5.48%)
1.31%
Seeks to provide
shareholders with
capital appreciation.
Columbia Variable Portfolio - Overseas Core
Fund (Class 2)
Columbia Management Investment Advisers,
LLC
1.05%
37.96%
8.92%
7.55%
10 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Seeks to provide
shareholders with high
total return through
income and growth of
capital.
Columbia Variable Portfolio - Select
Corporate Income Fund (Class 2) (previously
Columbia Variable Portfolio - Corporate Bond
Fund (Class 2))
Columbia Management Investment Advisers,
LLC
0.72%1
7.55%
1.20%
1.94%
Seeks to provide
shareholders with
long-term growth of
capital.
Columbia Variable Portfolio - Select Large
Cap Value Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.94%
27.97%
13.32%
12.30%
Seeks to provide
shareholders with
growth of capital.
Columbia Variable Portfolio - Select Mid Cap
Growth Fund (Class 2)
Columbia Management Investment Advisers,
LLC
1.08%1
14.86%
7.26%
11.89%
Seeks to provide
shareholders with
long-term growth of
capital.
Columbia Variable Portfolio - Select Mid Cap
Value Fund (Class 2)
Columbia Management Investment Advisers,
LLC
1.08%1
13.87%
10.90%
10.17%
Seeks to provide
shareholders with a
level of current income
consistent with
preservation of capital.
Columbia Variable Portfolio - Select Short
Corporate Income Fund (Class 2) (previously
Columbia Variable Portfolio - Limited
Duration Credit Fund (Class 2))
Columbia Management Investment Advisers,
LLC
0.66%1
6.00%
1.90%
2.94%
Seeks to provide
shareholders with
long-term capital growth.
Columbia Variable Portfolio - Select Small
Cap Value Fund (Class 2)
Columbia Management Investment Advisers,
LLC
1.10%1
6.30%
8.66%
7.97%
Seeks to provide
shareholders with
long-term capital
appreciation.
Columbia Variable Portfolio - Seligman
Global Technology Fund (Class 2)
Columbia Management Investment Advisers,
LLC
1.18%1
34.37%
18.42%
22.70%
Seeks long-term capital
appreciation.
Columbia Variable Portfolio - Small Cap
Value Discovery Fund (Class 2) (previously
Columbia Variable Portfolio - Small Cap
Value Fund (Class 2))
Columbia Management Investment Advisers,
LLC
1.16%1
14.66%
12.19%
11.20%
Seeks total return,
consisting of current
income and capital
appreciation.
Columbia Variable Portfolio - Strategic
Income Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.95%1
6.88%
1.87%
3.99%
Seeks to provide
shareholders with
current income as its
primary objective and,
as its secondary
objective, preservation
of capital.
Columbia Variable Portfolio -
U.S. Government Mortgage Fund (Class 2)
Columbia Management Investment Advisers,
LLC
0.70%
8.83%
(0.32%)
1.65%
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 11
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Non-diversified fund that
seeks to provide
shareholders with total
return that exceeds the
rate of inflation over the
long term.
CTIVP® - BlackRock Global Inflation-Linked
Securities Fund (Class 2) (previously CTIVP®
- BlackRock Global Inflation-Protected
Securities Fund (Class 2))
Columbia Management Investment Advisers,
LLC, adviser; BlackRock Financial
Management, Inc., subadviser; BlackRock
International Limited, sub-subadviser.
0.87%1
3.84%
(1.74%)
1.71%
Seeks to provide
shareholders with
current income and
capital appreciation.
CTIVP® - CenterSquare Real Estate Fund
(Class 2)
Columbia Management Investment Advisers,
LLC, adviser; CenterSquare Investment
Management LLC, subadviser.
1.09%
2.11%
6.36%
5.44%
Seeks to provide
shareholders with a high
level of current income.
CTIVP® - Fidelity Institutional AM® Total Bond
Fund (Class 2) (previously CTIVP® - American
Century Diversified Bond Fund (Class 2))
Columbia Management Investment Advisers,
LLC, adviser; FIAM LLC, subadviser; FMR
Investment Management (UK) Limited,
sub-subadviser.
0.74%
7.24%
(0.57%)
2.08%
Seeks to provide
shareholders with
long-term capital growth.
CTIVP® - Principal Large Cap Growth Fund
(Class 2)
Columbia Management Investment Advisers,
LLC, adviser; Principal Global Investors, LLC,
subadviser.
0.95%
13.49%
10.20%
14.38%
Seeks to provide
shareholders with
long-term growth of
capital and income.
CTIVP® - T. Rowe Price Large Cap Value Fund
(Class 2)
Columbia Management Investment Advisers,
LLC, adviser; T. Rowe Price Associates, Inc.,
subadviser.
0.94%
12.12%
10.15%
9.64%
Seeks to provide
shareholders with total
return through current
income and capital
appreciation.
CTIVP® - TCW Total Return Bond Fund
(Class 2) (previously CTIVP® - TCW Core Plus
Bond Fund (Class 2))
Columbia Management Investment Advisers,
LLC, adviser; TCW Investment Management
Company LLC, subadviser.
0.75%
7.31%
(0.78%)
1.79%
Seeks to provide
shareholders with
long-term growth of
capital.
CTIVP® - Victory Sycamore Established Value
Fund (Class 2)
Columbia Management Investment Advisers,
LLC, adviser; Victory Capital Management
Inc., subadviser.
1.07%
2.00%
9.37%
10.43%
Seeks to provide
shareholders with
long-term capital growth.
CTIVP® - Wellington Large Cap Value Fund
(Class 2)
Columbia Management Investment Advisers,
LLC, adviser; Wellington Management
Company LLP, subadviser.
0.86%1
19.61%
10.97%
10.43%
Seeks to provide
shareholders with
long-term capital growth.
CTIVP® - Westfield Mid Cap Growth Fund
(Class 2)
Columbia Management Investment Advisers,
LLC, adviser; Westfield Capital Management
Company, L.P., subadviser.
1.08%1
10.12%
6.89%
11.90%
12 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Seeks to provide
shareholders with
long-term capital growth.
CTIVP® - Westfield Select Large Cap Growth
Fund (Class 2)
Columbia Management Investment Advisers,
LLC, adviser; Westfield Capital Management
Company, L.P., subadviser.
0.94%
16.98%
1.78%
13.02%
Seeks investment
results that correspond
to the total return
performance of common
stocks as represented
by the MSCI EAFE Index.
CVT EAFE International Index Portfolio
(Class F)
Calvert Research and Management
0.68%1
30.64%
8.31%
7.63%
Seeks investment
results that correspond
to the investment
performance of U.S.
common stocks, as
represented by the
NASDAQ 100 Index.
CVT Nasdaq 100 Index Portfolio (Class F)
Calvert Research and Management, adviser;
Ameritas Investment Partners, Inc,
subadviser.
0.74%1
20.10%
14.45%
18.79%
Seeks investment
results that correspond
to the investment
performance of U.S.
common stocks, as
represented by the
Russell 2000® Index.
CVT Russell 2000® Small Cap Index
Portfolio (Class F)
Calvert Research and Management, adviser;
Ameritas Investment Partners, Inc,
subadviser.
0.60%1
12.23%
5.62%
9.08%
Seeks capital
appreciation.
DWS Alternative Asset Allocation VIP
(Class B)2
DWS Investment Management Americas
Inc., adviser; RREEF America L.L.C.,
subadviser.
1.31%
10.03%
4.88%
4.52%
Seeks high level of
current income.
Eaton Vance VT Floating-Rate Income Fund
(Initial Class)
Eaton Vance Management
1.19%
3.95%
4.64%
4.43%
Seeks long-term capital
appreciation.
Fidelity® VIP Contrafund® Portfolio (Service
Class 2)
Fidelity Management & Research Company,
adviser; Fidelity Management & Research
Company (UK) Limited, Fidelity
Management & Research Company (Hong
Kong) Limited, Fidelity Management &
Research Company (Japan) Limited,
subadvisers.
0.79%
21.24%
15.08%
15.49%
Seeks capital
appreciation.
Fidelity® VIP Emerging Markets Portfolio
(Service Class 2)
Fidelity Management & Research Company,
adviser; Fidelity Management & Research
Company (UK) Limited, Fidelity
Management & Research Company (Hong
Kong) Limited, Fidelity Management &
Research Company (Japan) Limited, FIL
Investment Advisers, FIL Investment
Advisers (UK) Limited and FIL Investments
(Japan) Limited, subadvisers.
1.12%
40.79%
5.62%
10.66%
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 13
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Seeks capital
appreciation.
Fidelity® VIP Energy Portfolio (Service
Class 2)
Fidelity Management & Research Company,
adviser; Fidelity Management & Research
Company (UK) Limited, Fidelity
Management & Research Company (Hong
Kong) Limited, Fidelity Management &
Research Company (Japan) Limited,
subadvisers.
0.85%
10.34%
23.86%
7.69%
Seeks high total return
through a combination
of current income and
capital appreciation.
Fidelity® VIP Growth & Income Portfolio
(Service Class 2)
Fidelity Management & Research Company,
adviser; Fidelity Management & Research
Company (UK) Limited, Fidelity
Management & Research Company (Hong
Kong) Limited, Fidelity Management &
Research Company (Japan) Limited,
subadvisers.
0.72%
21.21%
15.83%
13.56%
Seeks to provide capital
growth.
Fidelity® VIP Growth Opportunities Portfolio
(Service Class 2)
Fidelity Management & Research Company,
adviser; Fidelity Management & Research
Company (UK) Limited, Fidelity
Management & Research Company (Hong
Kong) Limited, Fidelity Management &
Research Company (Japan) Limited,
subadvisers.
0.81%
21.73%
11.04%
19.64%
Seeks capital
appreciation.
Fidelity® VIP International Capital
Appreciation Portfolio (Service Class 2)
Fidelity Management & Research Company,
adviser; Fidelity Management & Research
Company (UK) Limited, Fidelity
Management & Research Company (Hong
Kong) Limited, Fidelity Management &
Research Company (Japan) Limited, FIL
Investment Advisers, FIL Investment
Advisers (UK) Limited and FIL Investments
(Japan) Limited, subadvisers.
1.02%
18.36%
5.99%
9.53%
Seeks as high level of
current income as is
consistent with the
preservation of capital.
Fidelity® VIP Investment Grade Bond
Portfolio (Service Class 2)
Fidelity Management & Research Company,
adviser; Fidelity Management & Research
Company (UK) Limited, Fidelity
Management & Research Company (Hong
Kong) Limited, Fidelity Management &
Research Company (Japan) Limited,
subadvisers.
0.62%
6.93%
(0.21%)
2.45%
14 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Seeks long-term growth
of capital.
Fidelity® VIP Mid Cap Portfolio (Service
Class 2)
Fidelity Management & Research Company,
adviser; Fidelity Management & Research
Company (UK) Limited, Fidelity
Management & Research Company (Hong
Kong) Limited, Fidelity Management &
Research Company (Japan) Limited,
subadvisers.
0.80%
11.49%
9.83%
10.31%
Seeks a high level of
current income and may
also seek capital
appreciation.
Fidelity® VIP Strategic Income Portfolio
(Service Class 2)
Fidelity Management & Research Company,
adviser; Fidelity Management & Research
Company (UK) Limited, Fidelity
Management & Research Company (Hong
Kong) Limited, Fidelity Management &
Research Company (Japan) Limited, FIL
Investment Advisers, FIL Investment
Advisers (UK) Limited and FIL Investments
(Japan) Limited, subadvisers.
0.88%
8.58%
2.79%
4.40%
Seeks to maximize
income while
maintaining prospects
for capital appreciation.
Under normal market
conditions, the fund
invests in a diversified
portfolio of debt and
equity securities.
Franklin Income VIP Fund (Class 4)
Franklin Advisers, Inc.
0.82%
12.43%
7.54%
7.19%
Seeks capital
appreciation.
Franklin Mutual Global Discovery VIP Fund
(Class 4)
Franklin Mutual Advisers, LLC
1.26%
23.25%
11.88%
8.41%
Seeks long-term total
return. Under normal
market conditions, the
fund invests at least
80% of its net assets in
investments of small
capitalization
companies.
Franklin Small Cap Value VIP Fund (Class 4)
Franklin Mutual Advisers, LLC
1.01%1
7.49%
8.75%
9.71%
Seeks long-term growth
of capital.
Goldman Sachs VIT Small Cap Equity
Insights Fund (Service Shares)
Goldman Sachs Asset Management, L.P.
1.07%1
15.82%
10.19%
10.57%
Seeks total return with a
low to moderate
correlation to traditional
financial market indices.
Invesco V.I. Balanced-Risk Allocation Fund
(Series II Shares)3
Invesco Advisers, Inc.
1.13%1
8.69%
2.27%
4.91%
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 15
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Seeks capital growth
and income through
investments in equity
securities, including
common stocks,
preferred stocks and
securities convertible
into common and
preferred stocks.
Invesco V.I. Comstock Fund (Series II
Shares)
Invesco Advisers, Inc.
1.00%
17.14%
15.14%
11.67%
Seeks total return,
comprised of current
income and capital
appreciation.
Invesco V.I. Core Plus Bond Fund (Series II
Shares)
Invesco Advisers, Inc.
0.87%1
6.96%
(0.36%)
2.73%
Seeks capital
appreciation.
Invesco V.I. Global Fund (Series II Shares)
Invesco Advisers, Inc.
1.06%
15.05%
7.01%
10.72%
Seeks capital
appreciation.
Invesco V.I. Main Street Small Cap Fund®
(Series II Shares)
Invesco Advisers, Inc.
1.09%
8.44%
8.07%
10.31%
Seeks long-term growth
of capital.
Invesco V.I. Technology Fund (Series II
Shares)
Invesco Advisers, Inc.
1.21%
20.16%
10.02%
15.49%
Seeks long-term capital
growth, consistent with
preservation of capital
and balanced by current
income.
Janus Henderson Balanced Portfolio
(Service Shares)
Janus Henderson Investors US LLC
0.87%
14.84%
8.21%
9.86%
Seeks to obtain
maximum total return,
consistent with
preservation of capital.
Janus Henderson Flexible Bond Portfolio
(Service Shares)
Janus Henderson Investors US LLC
0.82%1
7.22%
(0.47%)
2.07%
Seeks long-term growth
of capital.
Janus Henderson Forty Portfolio (Service
Shares)
Janus Henderson Investors US LLC
0.87%
17.86%
11.37%
15.96%
Seeks long-term growth
of capital.
Janus Henderson Global Technology and
Innovation Portfolio (Service Shares)
Janus Henderson Investors US LLC
0.97%
24.84%
13.44%
21.18%
Seeks long-term growth
of capital.
Janus Henderson Overseas Portfolio
(Service Shares)
Janus Henderson Investors US LLC
0.96%
28.58%
9.17%
8.97%
Seeks long-term capital
appreciation.
Lazard Retirement Emerging Markets Equity
Portfolio (Service Shares)
Lazard Asset Management, LLC
1.38%1
41.77%
10.76%
9.35%
Seeks total return.
Lazard Retirement Global Dynamic
Multi-Asset Portfolio (Service Shares)3
Lazard Asset Management, LLC
1.05%1
15.72%
5.19%
5.93%
16 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Seeks to deliver high
current income and
long-term growth of
capital by investing
primarily in a variety of
fixed income securities
and select equity-related
securities.
Lord Abbett Series Fund Bond Debenture
Portfolio (Class VC)
Lord, Abbett & Co LLC
0.98%
8.33%
2.10%
4.72%
Seeks to deliver a high
level of current income
consistent with the
preservation of capital
by investing in a variety
of short maturity debt
securities including,
investment grade and
high yield corporate
bonds, U.S. government
securities, and
mortgage- and other
asset-backed debt
securities.
Lord Abbett Series Fund Short Duration
Income Portfolio (Class VC)
Lord, Abbett & Co LLC
0.72%1
5.90%
2.25%
2.62%
Seeks capital growth.
LVIP American Century International Fund
(Service Class)
Lincoln Financial Investments Corporation,
adviser; American Century Investment
Management, Inc., subadviser.
1.10%1
15.81%
1.71%
6.27%
Seeks long-term capital
growth. Income is a
secondary objective.
LVIP American Century Mid Cap Value Fund
(Service Class)
Lincoln Financial Investments Corporation,
adviser; American Century Investment
Management, Inc., subadviser.
1.01%1
8.83%
8.72%
8.96%
Seeks long-term capital
growth. Income is a
secondary objective.
LVIP American Century Value Fund (Service
Class)
Lincoln Financial Investments Corporation,
adviser; American Century Investment
Management, Inc., subadviser.
0.86%1
15.85%
11.47%
10.07%
Seeks to provide high
total return from a
portfolio of selected
equity securities.
LVIP JPMorgan U.S. Equity Fund (Service
Class)
Lincoln Investment Advisors Corporation,
adviser; J.P. Morgan Investment
Management Inc., subadviser.
0.88%
14.26%
13.40%
14.56%
Seeks total return.
MFS® Global Real Estate Portfolio (Service
Class)
Massachusetts Financial Services Company
1.15%1
3.30%
1.08%
4.76%
Seeks capital
appreciation.
MFS® International Growth Portfolio (Service
Class)
Massachusetts Financial Services Company
1.13%1
20.81%
6.80%
9.60%
Seeks capital
appreciation.
MFS® Research International Portfolio
(Service Class)
Massachusetts Financial Services Company
1.15%1
21.75%
5.25%
7.27%
Seeks total return.
MFS® Utilities Series (Service Class)
Massachusetts Financial Services Company
1.03%1
14.76%
7.38%
9.22%
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 17
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
The Fund seeks
long-term capital growth
by investing primarily in
common stocks and
other equity securities.
Morgan Stanley VIF Discovery Portfolio
(Class II Shares)
Morgan Stanley Investment Management
Inc.
1.05%1
12.44%
(5.46%)
14.04%
Seeks long-term growth
of capital by investing
primarily in securities of
companies that meet
the Fund's
environmental, social
and governance (ESG)
criteria.
Neuberger Berman AMT Quality Equity
Portfolio (Class S) (previously Neuberger
Berman AMT Sustainable Equity Portfolio
(Class S))
Neuberger Berman Investment Advisers LLC
1.12%
13.41%
12.54%
12.66%
Seeks to provide total
return.
Nomura VIP Asset Strategy Series (Service
Class) (previously Macquarie VIP Asset
Strategy Series (Service Class))
Delaware Management Company, adviser;
Macquarie Investment Management Global
Limited, subadviser.
0.77%1
16.66%
7.07%
7.84%
Seeks high current
income.
Nomura VIP Fund for Income Series (Service
Class) (previously Macquarie VIP Fund for
Income Series (Service Class))
Delaware Management Company, adviser;
Nomura Corporate Research and Asset
Management Inc., subadviser.
1.05%1
8.80%
-
-
Seeks long-term capital
growth.
Nomura VIP International Core Equity Series
(Service Class) (previously Macquarie VIP
International Core Equity Series (Service
Class))
Delaware Management Company
1.11%1
24.24%
7.83%
6.62%
Seeks maximum real
return, consistent with
preservation of real
capital and prudent
investment
management.
PIMCO VIT All Asset Portfolio (Advisor
Class)2
Pacific Investment Management Company
LLC (PIMCO)
2.23%1
14.19%
5.49%
6.67%
Seeks maximum total
return, consistent with
preservation of capital
and prudent investment
management.
PIMCO VIT Total Return Portfolio (Advisor
Class)
Pacific Investment Management Company
LLC (PIMCO)
0.83%
8.78%
(0.08%)
2.26%
Seeks capital
appreciation.
Putnam VT Global Health Care Fund
(Class IB Shares)
Putnam Investment Management, LLC,
adviser; Franklin Advisers, Inc., Franklin
Templeton Investment Management Limited
and The Putnam Advisory Company, LLC,
subadvisers.
1.00%
15.05%
7.71%
8.36%
18 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Seeks capital growth.
Current income is a
secondary objective.
Putnam VT International Value Fund
(Class IB Shares)
Putnam Investment Management, LLC,
adviser; Franklin Advisers, Inc., Franklin
Templeton Investment Management Limited
and The Putnam Advisory Company, LLC,
subadvisers.
1.06%
34.68%
12.49%
8.86%
Seeks capital growth
and current income.
Putnam VT Large Cap Value Fund (Class IB
Shares)
Putnam Investment Management, LLC,
adviser; Franklin Advisers, Inc. and Franklin
Templeton Investment Management Limited,
subadvisers.
0.79%
20.35%
15.38%
13.30%
Seeks long-term capital
appreciation.
Putnam VT Sustainable Future Fund
(Class IB Shares)
Putnam Investment Management, LLC,
adviser; Franklin Advisers, Inc. and Franklin
Templeton Investment Management Limited,
subadvisers.
1.05%1
2.66%
1.19%
9.60%
Seeks long-term capital
appreciation.
Putnam VT Sustainable Leaders Fund
(Class IB Shares)
Putnam Investment Management, LLC,
adviser; Franklin Advisers, Inc. and Franklin
Templeton Investment Management Limited,
subadvisers.
0.88%
10.69%
10.34%
14.69%
Seeks long-term capital
appreciation by
investing in common
stocks of gold-mining
companies. The Fund
may take current
income into
consideration when
choosing investments.
VanEck VIP Global Gold Fund (Class S
Shares)
Van Eck Associates Corporation
1.45%1
164.43%
20.00%
20.89%
Seeks to provide a high
level of total return that
is consistent with an
aggressive level of risk.
Variable Portfolio - Aggressive Portfolio
(Class 2)2
Columbia Management Investment Advisers,
LLC
1.04%
17.63%
8.13%
9.06%
Seeks to provide a high
level of total return that
is consistent with a
conservative level of
risk.
Variable Portfolio - Conservative Portfolio
(Class 2)2
Columbia Management Investment Advisers,
LLC
0.89%1
10.21%
1.62%
3.53%
Pursues total return
while seeking to
manage the Fund's
exposure to equity
market volatility.
Variable Portfolio - Managed Risk Fund
(Class 2)2,3
Columbia Management Investment Advisers,
LLC
1.02%1
12.15%
4.73%
-
Pursues total return
while seeking to
manage the Fund's
exposure to equity
market volatility.
Variable Portfolio - Managed Risk U.S. Fund
(Class 2)2,3
Columbia Management Investment Advisers,
LLC
0.99%
9.59%
5.64%
-
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 19
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Pursues total return
while seeking to
manage the Fund's
exposure to equity
market volatility.
Variable Portfolio - Managed Volatility
Conservative Fund (Class 2)2,3
Columbia Management Investment Advisers,
LLC
0.95%
9.17%
1.15%
3.33%
Pursues total return
while seeking to
manage the Fund's
exposure to equity
market volatility.
Variable Portfolio - Managed Volatility
Conservative Growth Fund (Class 2)2,3
Columbia Management Investment Advisers,
LLC
0.97%
11.02%
2.66%
4.53%
Pursues total return
while seeking to
manage the Fund's
exposure to equity
market volatility.
Variable Portfolio - Managed Volatility Growth
Fund (Class 2)2,3
Columbia Management Investment Advisers,
LLC
1.01%
14.75%
5.83%
6.95%
Pursues total return
while seeking to
manage the Fund's
exposure to equity
market volatility.
Variable Portfolio - Managed Volatility
Moderate Growth Fund (Class 2)2,3
Columbia Management Investment Advisers,
LLC
0.98%
12.87%
4.29%
5.82%
Seeks to provide a high
level of total return that
is consistent with a
moderate level of risk.
Variable Portfolio - Moderate Portfolio
(Class 2)2
Columbia Management Investment Advisers,
LLC
0.96%
13.86%
4.91%
6.42%
Seeks to provide a high
level of total return that
is consistent with a
moderately aggressive
level of risk.
Variable Portfolio - Moderately Aggressive
Portfolio (Class 2)2
Columbia Management Investment Advisers,
LLC
1.00%
15.71%
6.44%
7.71%
Seeks to provide a high
level of total return that
is consistent with a
moderately conservative
level of risk.
Variable Portfolio - Moderately Conservative
Portfolio (Class 2)2
Columbia Management Investment Advisers,
LLC
0.94%
12.10%
3.18%
4.92%
Seeks to provide
shareholders with a high
level of current income
while conserving the
value of the investment
for the longest period of
time.
Variable Portfolio - Partners Core Bond Fund
(Class 2)
Columbia Management Investment Advisers,
LLC, adviser; J.P. Morgan Investment
Management Inc. and Allspring Global
Investments, LLC, subadvisers.
0.73%
7.28%
(0.23%)
1.99%
Seeks to provide
shareholders with
long-term capital growth.
Variable Portfolio - Partners Core Equity Fund
(Class 2)
Columbia Management Investment Advisers,
LLC, adviser; J.P. Morgan Investment
Management Inc. and T. Rowe Price
Associates, Inc., subadvisers.
0.93%1
13.14%
13.04%
12.63%
20 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
Investment Objective
Fund and
Adviser/Sub-Adviser
Current
Expenses
Ratio
[NET]
Average Annual Total Returns
(as of 12/31/2025)
1 Year
5 Year
10 Year
Seeks to provide
shareholders with
long-term growth of
capital.
Variable Portfolio - Partners International
Core Equity Fund (Class 2)
Columbia Management Investment Advisers,
LLC, adviser; Schroder Investment
Management North America Inc.,
subadviser; Schroder Investment
Management North America Limited,
sub-subadviser.
1.08%
24.55%
7.02%
6.12%
Seeks to provide
shareholders with
long-term capital growth.
Variable Portfolio - Partners International
Growth Fund (Class 2)
Columbia Management Investment Advisers
LLC, adviser; William Blair Investment
Management, LLC and Walter Scott &
Partners Limited, subadvisers.
1.08%1
17.50%
1.36%
5.01%
Seeks to provide
shareholders with
long-term capital growth.
Variable Portfolio - Partners International
Value Fund (Class 2)
Columbia Management Investment Advisers,
LLC, adviser; Pzena Investment
Management, LLC and Thompson, Siegel &
Walmsley LLC, subadvisers.
1.05%1
34.84%
10.14%
6.97%
Seeks to provide
shareholders with
long-term capital growth.
Variable Portfolio - Partners Small Cap
Growth Fund (Class 2)
Columbia Management Investment Advisers,
LLC, adviser; Goldman Sachs Asset
Management, LP and Segall Bryant & Hamill
LLC, subadvisers.
1.10%1
7.86%
0.94%
7.72%
Seeks to provide
shareholders with
long-term capital
appreciation.
Variable Portfolio - Partners Small Cap Value
Fund (Class 2)
Columbia Management Investment Advisers,
LLC, adviser; Segall Bryant & Hamill, LLC
and William Blair Investment Management,
LLC, subadvisers.
1.09%1
7.07%
6.60%
7.06%
Pursues total return
while seeking to
manage the Fund's
exposure to equity
market volatility.
Variable Portfolio - U.S. Flexible Conservative
Growth Fund (Class 2)2,3
Columbia Management Investment Advisers,
LLC
0.96%
9.22%
3.53%
-
Pursues total return
while seeking to
manage the Fund's
exposure to equity
market volatility.
Variable Portfolio - U.S. Flexible Growth Fund
(Class 2)2,3
Columbia Management Investment Advisers,
LLC
0.93%
11.07%
7.36%
-
Pursues total return
while seeking to
manage the Fund's
exposure to equity
market volatility.
Variable Portfolio - U.S. Flexible Moderate
Growth Fund (Class 2)2,3
Columbia Management Investment Advisers,
LLC
0.94%
10.10%
5.46%
-
Seeks to maximize total
return.
Western Asset Variable Global High Yield
Bond Portfolio (Class II)
Franklin Templeton Fund Adviser, LLC,
adviser; Western Asset Management
Company, LLC, subadviser.
1.06%
9.95%
2.34%
5.09%
1
This Fund and its investment adviser and/or affiliates have entered into a temporary expense reimbursement arrangement and/or fee waiver. The Fund's annual expenses reflect temporary fee reductions. Please see the Fund's prospectus for additional information.
RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus 21
2
This Fund is a fund of funds and invests substantially all of its assets in other underlying funds. Because the Fund invests in other funds, it will bear its pro rata portion of the operating expenses of those underlying funds, including management fees.
3
This Fund is managed in a way that is intended to minimize volatility of returns. See "Principal Risks of Investing in the Contract."
The following is a list of Fixed Options currently available under the Contract. We may change the features of the Fixed Options listed below or terminate existing Fixed Options. We will provide you with written notice before doing so.
Name
Term
Contract
Issue
Year
Guaranteed
Minimum
Interest Rate*
Special DCA Fixed Account
6 Months
2022
1.00%
2023
2.95%
2024
3.00%
2025
2.65%
2026
2.40%
Special DCA Fixed Account
1 Year
2022
1.00%
2023
2.95%
2024
3.00%
2025
2.65%
2026
2.40%
*
See your Contract Data Page for your applicable guaranteed minimum interest rate.
22 RiverSource RAVA Vista Variable Annuity NY - Summary Prospectus
This page left blank intentionally
The prospectus and Statement of Additional Information (SAI) include additional information about the Contract. The prospectus and SAI, dated the same date as this summary prospectus, are incorporated by reference. The prospectus and SAI are available, without charge, upon request. For a free copy of the prospectus, SAI, or for more information about the Contract, call us at 1-800-862-7919, visit our website at riversource.com/annuities or write to us at: 70100 Ameriprise Financial Center Minneapolis, MN 55474.
RiverSource Life Insurance Co. of New York
20 Madison Avenue Extension
Albany, NY 12203
1-800-541-2251
USP9112_12_E01_(05/26)
Reports and other information about RiverSource of New York Variable Annuity Account are available on the SEC's website at http://www.sec.gov, and copies of this information may be obtained, upon payment of a duplicating fee, by electronic request at the following email address: [email protected].
EDGAR Contract Identifier: C000235285
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