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Schedule I - Summary of Investments Other Than investments in Related Parties
12 Months Ended
Dec. 31, 2024
SEC Schedule, 12-15, Insurance Companies, Summary of Investments, Other than Investments in Related Parties [Abstract]  
Schedule I - Summary of Investments Other Than investments in Related Parties
Type of InvestmentAmortized Cost or CostFair
Value
Amount
Shown in the
Balance Sheet
Fixed maturities, available-for-sale:
Bonds:
U.S. Treasury securities and obligations of U.S. government authorities and agencies$1,199,628 $1,099,241 $1,099,241 
Obligations of U.S. states and their political subdivisions570,253 541,066 541,066 
Foreign governments362,154 310,334 310,334 
Asset-backed securities3,728,073 3,750,663 3,750,663 
Commercial mortgage-backed securities944,652 895,775 895,775 
Residential mortgage-backed securities367,005 356,072 356,072 
Public utilities2,869,299 2,613,495 2,613,495 
All other corporate bonds26,934,775 25,414,259 25,414,259 
Redeemable preferred stock5,094 5,255 5,255 
Total fixed maturities, available-for-sale$36,980,933 $34,986,160 $34,986,160 
Equity securities:
Common stocks:
Other common stocks $2,452,942 $2,427,792 $2,427,792 
Mutual funds 177,939 175,882 175,882 
Perpetual preferred stocks 19,661 20,146 20,146 
Total equity securities, at fair value$2,650,542 $2,623,820 $2,623,820 
Fixed maturities, trading$4,415,277 $3,845,045 $3,845,045 
Commercial mortgage and other loans7,759,323 7,759,323 
Policy loans1,541,480 1,541,480 
Short-term investments517,386 517,386 
Other invested assets 1,582,094 1,582,094 
Total investments$55,447,035 $52,855,308