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Business and Basis of Presentation (Narrative) (Details)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Dec. 01, 2021
USD ($)
Jul. 01, 2021
USD ($)
Dec. 31, 2022
USD ($)
Sep. 30, 2022
USD ($)
Jun. 30, 2022
USD ($)
Jun. 30, 2022
USD ($)
Dec. 31, 2022
USD ($)
subsidiary
Dec. 31, 2021
USD ($)
Dec. 31, 2020
USD ($)
Mar. 31, 2022
USD ($)
Organization, Consolidation and Presentation of Financial Statements [Abstract]                    
Number Of Subsidiaries | subsidiary             1      
Effects of Reinsurance [Line Items]                    
Invested assets     $ 189,299,841       $ 189,299,841 $ 221,661,364    
Loss related to ceding commissions             1,731,957 1,529,757 $ 624,320  
Reinsurance recoverable             1,181,692 1,304,306 2,440,532  
Capital contributions received             0 776,657 575,000  
Non-cash activities                 0  
Reinsurance recoverables     34,561,825       34,561,825 38,598,767    
Policyholders’ account balances     41,748,241       41,748,241 35,361,795    
Income (loss) from operations before income taxes and equity in earnings of operating joint venture             416,004 (2,901,871) $ 68,135  
Out of period adjustment                    
Effects of Reinsurance [Line Items]                    
Income (loss) from operations before income taxes and equity in earnings of operating joint venture     73,000 $ (68,000) $ 32,000 $ 50,000 53,000      
Variable annuity | Impacts of Recapture                    
Effects of Reinsurance [Line Items]                    
Invested assets   $ 828,000                
Reinsurance recoverable   (12,300,000)                
Net deferred reinsurance loss   (100,000)                
Pre-tax loss   (3,500,000)                
Reinsurance recoverables   (12,307,000)                
Policyholders’ account balances   0                
Income (loss) from operations before income taxes and equity in earnings of operating joint venture   (3,540,000)                
Universal and variable life products | Variable life and annuities | Out of period adjustment                    
Effects of Reinsurance [Line Items]                    
Adjustments related to reserves                   $ 48,000
Investments | Variable annuity | Impacts of Recapture                    
Effects of Reinsurance [Line Items]                    
Non-cash activities   8,300,000                
PALAC                    
Effects of Reinsurance [Line Items]                    
Reinsurance recoverables     0       0 7,198,504    
PALAC | Investments | Variable annuity | Impacts of Recapture                    
Effects of Reinsurance [Line Items]                    
Invested assets   6,800,000                
Loss related to ceding commissions   (2,000,000)                
Prudential Insurance | Additional paid-in capital | Variable annuity | Impacts of Recapture                    
Effects of Reinsurance [Line Items]                    
Capital contributions received   3,800,000                
Non-cash activities   3,400,000                
Cash   $ 400,000                
FLIAC | Variable annuity                    
Effects of Reinsurance [Line Items]                    
Adjustments related to reserves     4,800,000       4,800,000      
FLIAC | Fixed Annuity                    
Effects of Reinsurance [Line Items]                    
Adjustments related to reserves     $ 1,900,000       $ 1,900,000      
Affiliated Entity | FLIAC | Variable annuity | Impacts of Recapture                    
Effects of Reinsurance [Line Items]                    
Net deferred reinsurance loss $ (238,000)                  
Reinsurance recoverables               7,200,000    
Affiliated Entity | FLIAC | Fixed Annuity | Impacts of Recapture                    
Effects of Reinsurance [Line Items]                    
Policyholders’ account balances               $ 9,800,000