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Reserve for Future Policy Benefits and Contractholder Funds - Schedule of Contractholder Funds Activity (Details) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Contractholder funds activity    
Beginning balance $ 890 $ 888
Deposits 30 34
Interest credited 8 9
Benefits (8) (2)
Surrenders and partial withdrawals (7) (6)
Contract charges (29) (30)
Other adjustments (2) (3)
Ending balance 882 890
Components of contractholder funds $ 882 $ 890
Weighted-average crediting rate 4.23% 4.20%
Net amount at risk $ 10,679 $ 11,364
Cash surrender value 735 731
Interest-sensitive life insurance    
Contractholder funds activity    
Ending balance 844 846
Components of contractholder funds 844 846
Fixed annuities    
Contractholder funds activity    
Ending balance 38 44
Components of contractholder funds $ 38 $ 44