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Separate Accounts (Tables)
3 Months Ended
Mar. 31, 2025
Insurance [Abstract]  
Separate Account Assets
The aggregate fair value of assets, by major investment asset category, supporting separate accounts is as follows:

March 31, 2025December 31, 2024
(in thousands)
Asset Type:
U.S. Treasury securities and obligations of U.S. government authorities and agencies$18,498 $15,548 
Obligations of U.S. states and their political subdivisions authorities140 115 
 U.S. corporate securities28,128 24,458 
 Foreign corporate securities3,052 3,158 
Asset-backed securities1,263 1,099 
Mortgage-backed securities129 82 
Mutual funds:
Equity69,189,973 73,226,610 
Fixed Income32,508,482 33,828,097 
Other4,851,887 4,431,975 
Equity securities150,205 126,792 
Other invested assets6,805,838 6,444,077 
Short-term investments1,449 2,559 
   Cash and cash equivalents27,469 38,686 
Total$113,586,513 $118,143,256 
Separate Account Liabilities
The balances of and changes in separate account liabilities as of and for the periods indicated are as follows:
Three Months Ended March 31, 2025
Variable AnnuitiesVariable LifeTotal
(in thousands)
Balance, beginning of period$85,183,055 $32,960,201 $118,143,256 
     Deposits151,359 871,702 1,023,061 
     Investment performance(166,036)(754,703)(920,739)
     Policy charges(508,620)(248,335)(756,955)
     Surrenders and withdrawals(3,587,214)(142,237)(3,729,451)
     Benefit payments(23,567)(94,690)(118,257)
     Net transfers (to) from general account(23,157)(90,828)(113,985)
     Other1,798 57,785 59,583 
Balance, end of period$81,027,618 $32,558,895 $113,586,513 
Cash surrender value(1)$80,187,666 $29,118,691 $109,306,357 
Three Months Ended March 31, 2024
Variable AnnuitiesVariable LifeTotal
(in thousands)
Balance, beginning of period$92,383,121 $26,805,364 $119,188,485 
Deposits149,538 697,390 846,928 
Investment performance4,150,157 2,023,976 6,174,133 
Policy charges(557,722)(220,783)(778,505)
Surrenders and withdrawals(3,293,055)(116,910)(3,409,965)
Benefit payments(15,282)(73,731)(89,013)
Net transfers (to) from general account6,723 (84,803)(78,080)
Other877 40,163 41,040 
Balance, end of period$92,824,357 $29,070,666 $121,895,023 
Cash surrender value(1)$91,713,815 $25,802,599 $117,516,414 
(1) Represents the amount of the contractholder's account balances distributable at the balance sheet date less certain surrender charges.