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Separate Accounts (Tables)
12 Months Ended
Dec. 31, 2024
Insurance [Abstract]  
Separate Account Assets
The aggregate fair value of assets, by major investment asset category, supporting separate accounts is as follows:

December 31, 2024December 31, 2023
(in thousands)
Asset Type:
U.S. Treasury securities and obligations of U.S. government authorities and agencies$15,548 $2,954 
Obligations of U.S. states and their political subdivisions authorities115 
 U.S. corporate securities24,458 9,504 
 Foreign corporate securities3,158 1,763 
Asset-backed securities1,099 
Mortgage-backed securities82 186 
Mutual funds:
Equity73,226,610 72,614,821 
Fixed Income33,828,097 37,065,162 
Other4,431,975 4,101,661 
Equity securities126,792 104,159 
Other invested assets6,444,077 5,258,900 
Short-term investments2,559 2,126 
   Cash and cash equivalents38,686 27,249 
Total$118,143,256 $119,188,485 
Separate Account Liabilities
The balances of and changes in separate account liabilities as of and for the periods indicated are as follows:
Year Ended December 31, 2024
Variable AnnuitiesVariable LifeTotal
(in thousands)
Balance, beginning of period$92,383,121 $26,805,364 $119,188,485 
     Deposits601,236 3,513,738 4,114,974 
     Investment performance8,395,586 4,657,022 13,052,608 
     Policy charges(2,210,261)(923,275)(3,133,536)
     Surrenders and withdrawals(13,827,431)(450,573)(14,278,004)
     Benefit payments(66,029)(285,680)(351,709)
     Net transfers (to) from general account(100,193)(380,869)(481,062)
     Other7,026 24,474 31,500 
Balance, end of period$85,183,055 $32,960,201 $118,143,256 
Cash surrender value(1)$84,325,382 $29,592,881 $113,918,263 
Year Ended December 31, 2023
Variable AnnuitiesVariable LifeTotal
(in thousands)
Balance, beginning of period$91,785,447 $22,265,799 $114,051,246 
Deposits440,707 2,745,751 3,186,458 
Investment performance12,219,777 4,310,729 16,530,506 
Policy charges(2,296,859)(829,539)(3,126,398)
Surrenders and withdrawals(9,687,372)(347,955)(10,035,327)
Benefit payments(73,791)(226,242)(300,033)
Net transfers (to) from general account(2)(15,121)(1,175,575)(1,190,696)
Other10,333 62,396 72,729 
Balance, end of period$92,383,121 $26,805,364 $119,188,485 
Cash surrender value(1)$91,201,190 $23,700,726 $114,901,916 
Year Ended December 31, 2022
Variable AnnuitiesVariable LifeTotal
(in thousands)
Balance, beginning of period$123,977,624 $25,820,204 $149,797,828 
Deposits658,695 2,275,000 2,933,695 
Investment performance(21,600,783)(4,270,091)(25,870,874)
Policy charges(2,513,831)(767,168)(3,280,999)
Surrenders and withdrawals(8,481,231)(339,931)(8,821,162)
Benefit payments(62,586)(278,140)(340,726)
Net transfers (to) from general account(206,269)(213,752)(420,021)
Other13,828 39,677 53,505 
Balance, end of period$91,785,447 $22,265,799 $114,051,246 
Cash surrender value(1)$90,208,083 $19,575,562 $109,783,645 
(1) Represents the amount of the contractholder's account balances distributable at the balance sheet date less certain surrender charges.
(2) Variable life includes $900 million of funding for a policy loan to an affiliated irrevocable trust. See Note 15 for additional information.