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Separate Accounts (Tables)
6 Months Ended
Jun. 30, 2025
Insurance [Abstract]  
Separate Account Assets
The aggregate fair value of assets, by major investment asset category, supporting separate accounts is as follows:

June 30, 2025December 31, 2024
(in thousands)
Asset Type:
U.S. Treasury securities and obligations of U.S. government authorities and agencies$18,466 $15,548 
Obligations of U.S. states and their political subdivisions authorities125 115 
 U.S. corporate securities27,807 24,458 
 Foreign corporate securities3,376 3,158 
Asset-backed securities1,014 1,099 
Mortgage-backed securities120 82 
Mutual funds:
Equity72,667,286 73,226,610 
Fixed Income32,398,622 33,828,097 
Other5,169,686 4,431,975 
Equity securities186,276 126,792 
Other invested assets7,104,406 6,444,077 
Short-term investments6,364 2,559 
   Cash and cash equivalents62,470 38,686 
Total$117,646,018 $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:
Six Months Ended June 30, 2025
Variable AnnuitiesVariable LifeTotal
(in thousands)
Balance, beginning of period$85,183,055 $32,960,201 $118,143,256 
     Deposits275,971 1,856,320 2,132,291 
     Investment performance4,392,232 1,871,861 6,264,093 
     Policy charges(997,613)(495,309)(1,492,922)
     Surrenders and withdrawals(6,754,785)(280,273)(7,035,058)
     Benefit payments(42,662)(165,752)(208,414)
     Net transfers (to) from general account(28,288)(201,728)(230,016)
     Other2,688 70,100 72,788 
Balance, end of period$82,030,598 $35,615,420 $117,646,018 
Cash surrender value(1)$81,263,628 $32,126,590 $113,390,218 
Six Months Ended June 30, 2024
Variable AnnuitiesVariable LifeTotal
(in thousands)
Balance, beginning of period$92,383,121 $26,805,364 $119,188,485 
Deposits291,602 1,506,531 1,798,133 
Investment performance5,034,082 2,795,950 7,830,032 
Policy charges(1,112,504)(447,119)(1,559,623)
Surrenders and withdrawals(6,694,864)(235,991)(6,930,855)
Benefit payments(33,831)(131,243)(165,074)
Net transfers (to) from general account(41,403)(169,366)(210,769)
Other2,825 27,752 30,577 
Balance, end of period$89,829,028 $30,151,878 $119,980,906 
Cash surrender value(1)$88,793,191 $26,797,766 $115,590,957 
(1) Represents the amount of the contractholder's account balances distributable at the balance sheet date less certain surrender charges.