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Separate Accounts (Tables)
6 Months Ended
Jun. 30, 2023
Insurance [Abstract]  
Separate Account Assets
The aggregate fair value of assets, by major investment asset category, supporting separate accounts is as follows:

June 30, 2023December 31, 2022
(in thousands)
Asset Type:
U.S. Treasury securities and obligations of U.S. government authorities and agencies$2,948 $2,510 
 U.S. corporate securities5,038 8,702 
 Foreign corporate securities1,796 1,420 
Mortgage-backed securities282 276 
Mutual funds:
Equity71,084,752 67,144,660 
Fixed Income37,875,086 38,109,374 
Other3,967,348 3,441,016 
Equity securities83,396 49,260 
Other invested assets4,805,171 5,262,178 
Short-term investments1,691 1,237 
   Cash and cash equivalents12,647 30,613 
Total$117,840,155 $114,051,246 
Separate Account Liabilities
The balances of and changes in separate account liabilities as of and for the periods indicated are as follows:
Six Months Ended June 30, 2023
Variable AnnuitiesVariable LifeTotal
(in thousands)
Balance, beginning of period$91,785,448 $22,265,798 $114,051,246 
     Deposits200,961 1,376,552 1,577,513 
     Investment performance7,184,460 2,535,342 9,719,802 
     Policy charges(1,171,455)(405,108)(1,576,563)
     Surrenders and withdrawals(4,561,633)(214,686)(4,776,319)
     Benefit payments(43,056)(107,641)(150,697)
     Net transfers (to) from general account(1)(4,995)(1,035,554)(1,040,549)
     Other5,405 30,317 35,722 
Balance, end of period$93,395,135 $24,445,020 $117,840,155 
Cash surrender value(2)$92,036,034 $21,526,262 $113,562,296 

Six Months Ended June 30, 2022
Variable AnnuitiesVariable LifeTotal
(in thousands)
Balance, beginning of period$123,977,624 $25,820,204 $149,797,828 
Deposits392,364 1,140,622 1,532,986 
Investment performance(21,112,961)(4,540,002)(25,652,963)
Policy charges(1,315,427)(378,197)(1,693,624)
Surrenders and withdrawals(4,594,845)(178,115)(4,772,960)
Benefit payments(35,662)(134,299)(169,961)
Net transfers (to) from general account(157,771)(126,364)(284,135)
Other6,241 28,707 34,948 
Balance, end of period$97,159,563 $21,632,556 $118,792,119 
Cash surrender value(2)$95,384,568 $19,001,929 $114,386,497 

(1) Variable life includes $900 million of funding for a policy loan to an affiliated irrevocable trust. See Note 14 for additional information.
(2) Represents the amount of the contractholder's account balances distributable at the balance sheet date less certain surrender charges.