XML 38 R26.htm IDEA: XBRL DOCUMENT v3.24.1.u1
Separate Accounts (Tables)
3 Months Ended
Mar. 31, 2024
Insurance [Abstract]  
Separate Account, Liability
Information regarding separate account liabilities was as follows:
Three Months Ended March 31,
20242023
Variable AnnuitiesUniversal Life InsuranceCompany-Owned Life InsuranceVariable AnnuitiesUniversal Life InsuranceCompany-Owned Life Insurance
(In millions)
Balance, beginning of period$77,086 $2,276 $2,148 $74,845 $1,970 $1,919 
Premiums and deposits202 20 — 215 22 — 
Surrenders and withdrawals(1,853)(21)(3)(1,437)(16)(3)
Benefit payments(387)(5)(5)(373)(3)(10)
Investment performance4,313 167 112 4,141 137 111 
Policy charges(490)(20)(13)(503)(21)(12)
Net transfers from (to) general account(28)(10)(200)(9)(3)— 
Other(9)— — — — 
Balance, end of period$78,834 $2,407 $2,039 $76,881 $2,086 $2,005 
A reconciliation of separate account liabilities reported in the preceding rollforward table to the separate account liabilities balance on the consolidated balance sheets was as follows at:
March 31,
20242023
(In millions)
Separate account liabilities reported in the preceding rollforward table$83,280 $80,972 
Variable income annuities189 134 
Pension risk transfer annuities20 18 
Total separate account liabilities$83,489 $81,124 
Fair Value, Separate Account Investment
The aggregate estimated fair value of assets, by major investment asset category, supporting separate accounts was as follows at:
March 31, 2024December 31, 2023
(In millions)
Equity securities
$83,221 $81,417 
Fixed maturity securities
261 259 
Cash and cash equivalents
Other assets
Total aggregate estimated fair value of assets$83,489 $81,690 
Guarantees related to Annuity, Universal and Variable Life Contracts
Information regarding the net amount at risk and cash surrender value for insurance products was as follows at:
Universal Life InsuranceVariable AnnuitiesIndex-linked AnnuitiesFixed Rate AnnuitiesULSGCompany-Owned Life Insurance
(In millions)
March 31, 2024
Account balances reported in the preceding
rollforward tables:
Policyholder account balances$1,990 $3,982 $44,350 $14,923 $4,984 $856 
Separate account liabilities2,407 78,834 — — — 2,039 
Total account balances$4,397 $82,816 $44,350 $14,923 $4,984 $2,895 
Net amount at risk$21,872 $12,205 N/AN/A$64,837 $2,671 
Cash surrender value$4,198 $82,391 $41,958 $14,260 $4,455 $2,366 
March 31, 2023
Account balances reported in the preceding
rollforward tables:
Policyholder account balances$2,033 $4,539 $35,922 $14,684 $5,219 $644 
Separate account liabilities2,086 76,881 — — — 2,005 
Total account balances$4,119 $81,420 $35,922 $14,684 $5,219 $2,649 
Net amount at risk$23,332 $14,757 N/AN/A$70,062 $3,407 
Cash surrender value$3,862 $81,110 $33,567 $14,106 $6,203 $2,430