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Consolidated Statements of Cash Flows - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Cash flows from operating activities:    
Net income (loss) $ (87) $ 4,560
Income from discontinued operations, net of income taxes 0 0
Noncash revenues, expenses, gains and losses included in income (loss):    
Net losses on sales of securities available for sale and other assets 450 165
Net (gain) loss on divestitures and other 2 (40)
Unrealized gains in earnings - net (112) (873)
Change in the fair value of market risk benefits in earnings, net 316 (496)
Equity in income from equity method investments, net of dividends or distributions (12) (91)
Depreciation and other amortization 1,186 1,134
Impairments of assets 11 0
Changes in operating assets and liabilities:    
Insurance reserves 3,015 1,256
Premiums and other receivables and payables - net 641 (4,166)
Reinsurance assets, net (2,561) (807)
Capitalization of deferred policy acquisition costs (1,689) (1,402)
Current and deferred income taxes - net (200) 1,098
Other, net (463) (299)
Total adjustments 584 (4,521)
Net cash provided by operating activities 497 39
Sales or distributions of:    
Available for sale securities 10,676 6,097
Other securities 313 411
Other invested assets 413 795
Divestitures, net 32  
Maturities of fixed maturity securities available for sale 4,130 5,674
Principal payments received on and sales of mortgage and other loans receivable 957 1,921
Purchases of:    
Available for sale securities (13,607) (12,263)
Other securities (481) (1,061)
Other invested assets (443) (674)
Mortgage and other loans receivable (2,009) (3,515)
Net change in short-term investments (1,152) 3,645
Other, net (303) (177)
Net cash provided by (used in) investing activities (1,474) 853
Proceeds from (payments for)    
Policyholder contract deposits 8,226 6,410
Policyholder contract withdrawals (6,468) (4,802)
Issuance of debt 743 11
Repayments of debt (1) (7)
Purchase of common stock (577) (1,394)
Dividends paid on preferred stock (7) (7)
Dividends paid on common stock (234) (258)
Other, net (774) (490)
Net cash provided by (used in) financing activities 817 (577)
Effect of exchange rate changes on cash and restricted cash 2 (13)
Net increase (decrease) in cash and restricted cash (158) 302
Cash and restricted cash at beginning of year 2,216 2,427
Cash and restricted cash at end of period 2,058 2,729
Cash Equivalents, Restricted Cash and Restricted Cash Equivalents:    
Cash 1,923 [1] 2,537
Total cash and restricted cash shown in the Condensed Consolidated Statements of Cash Flows 2,058 2,729
Cash paid during the period for:    
Interest 165 243
Taxes 56 56
Non-cash investing activities:    
Fixed maturity securities available for sale received in connection with pension risk transfer transactions 1,424 0
Fixed maturity securities received in connection with reinsurance transactions 0 2
Fixed maturity securities transferred in connection with reinsurance transactions (680) (204)
Non-cash financing activities:    
Interest credited to policyholder contract deposits included in financing activities 1,107 854
Fee income debited to policyholder contract deposits included in financing activities (524) (420)
Consolidated VIE    
Proceeds from (payments for)    
Issuance of debt 36 697
Repayments of debt (127) (737)
Cash Equivalents, Restricted Cash and Restricted Cash Equivalents:    
Cash 96  
Short-term investments    
Cash Equivalents, Restricted Cash and Restricted Cash Equivalents:    
Restricted cash [2] 105 152
Other assets    
Cash Equivalents, Restricted Cash and Restricted Cash Equivalents:    
Restricted cash [2] $ 30 $ 40
[1] See Note 9 for details of balances associated with variable interest entities.
[2] Includes funds held for tax sharing payments to AIG Parent, security deposits, and replacement reserve deposits related to real estate.