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Schedule I - Summary of Investments Other Than investments in Related Parties
12 Months Ended
Dec. 31, 2025
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$1,196,805 $1,117,320 $1,117,320 
Obligations of U.S. states and their political subdivisions460,634 434,528 434,528 
Foreign governments456,138 424,735 424,735 
Asset-backed securities5,051,514 5,076,048 5,076,048 
Commercial mortgage-backed securities1,370,898 1,354,310 1,354,310 
Residential mortgage-backed securities936,614 941,965 941,965 
Public utilities3,553,256 3,401,020 3,401,020 
All other corporate bonds35,134,183 34,801,972 34,801,972 
Redeemable preferred stock70,176 72,273 72,273 
Total fixed maturities, available-for-sale$48,230,218 $47,624,171 $47,624,171 
Equity securities:
Common stocks:
Other common stocks $2,569,208 $2,608,156 $2,608,156 
Mutual funds 237,773 241,178 241,178 
Non-redeemable preferred stocks 19,661 20,297 20,297 
Total equity securities, at fair value$2,826,642 $2,869,631 $2,869,631 
Fixed maturities, trading$5,241,598 $4,892,507 $4,892,507 
Commercial mortgage and other loans10,082,667 10,082,667 
Policy loans1,666,965 1,666,965 
Short-term investments320,794 320,794 
Other invested assets 2,297,535 2,297,535 
Total investments$70,666,419 $69,754,270