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Equity (Tables)
3 Months Ended
Mar. 31, 2021
Stockholders' Equity Note [Abstract]  
Common Stock Disclosure
The changes in the number of shares of Common Stock issued, held in treasury and outstanding, are as follows for the periods indicated:
 Common Stock
 IssuedHeld In
Treasury
Outstanding
 (in millions)
Balance, December 31, 2020666.3 269.9 396.4 
Common Stock issued0.0 0.0 0.0 
Common Stock acquired0.0 4.3 (4.3)
Stock-based compensation programs(1)0.0 (2.2)2.2 
Balance, March 31, 2021666.3 272.0 394.3 
__________ 
(1)Represents net shares issued from treasury pursuant to the Company’s stock-based compensation programs.
Dividends Declared Dividends declared per share of Common Stock are as follows for the periods indicated:
 Three Months Ended
March 31,
 20212020
Dividends declared per share of Common Stock$1.15 $1.10 
Components of Accumulated Other Comprehensive Income (Loss) The balance of and changes in each component of AOCI as of and for the three months ended March 31, 2021 and 2020, are as follows:
 Accumulated Other Comprehensive Income (Loss) Attributable to
Prudential Financial, Inc.
 Foreign Currency
Translation
Adjustment
Net Unrealized
Investment Gains
(Losses)(1)
Pension and
Postretirement
Unrecognized Net
Periodic Benefit
(Cost)
Total
Accumulated
Other
Comprehensive
Income (Loss)
 (in millions)
Balance, December 31, 2020$52 $34,065 $(3,379)$30,738 
Change in OCI before reclassifications(660)(12,762)29 (13,393)
Amounts reclassified from AOCI(3)(1,366)67 (1,302)
Income tax benefit (expense)(54)3,254 (24)3,176 
Balance, March 31, 2021$(665)$23,191 $(3,307)$19,219 

 Accumulated Other Comprehensive Income (Loss) Attributable to
Prudential Financial, Inc.
 Foreign Currency
Translation
Adjustment
Net Unrealized
Investment Gains
(Losses)(1)
Pension and
Postretirement
Unrecognized Net
Periodic Benefit
(Cost)
Total
Accumulated
Other
Comprehensive
Income (Loss)
 (in millions)
Balance, December 31, 2019$(536)$28,112 $(3,537)$24,039 
Change in OCI before reclassifications(298)(808)(1,104)
Amounts reclassified from AOCI(546)70 (473)
Income tax benefit (expense)(25)179 (16)138 
Balance, March 31, 2020$(856)$26,937 $(3,481)$22,600 
__________
(1)Includes cash flow hedges of $(159) million and $(168) million as of March 31, 2021 and December 31, 2020, respectively, and $3,186 million and $832 million as of March 31, 2020 and December 31, 2019, respectively, and fair value hedges of $12 million and $10 million as of March 31, 2021 and December 31, 2020, respectively, and $0 million and $0 million as of March 31, 2020 and December 31, 2019, respectively.
Reclassification Out Of Accumulated Other Comprehensive Income (Loss)
Reclassifications out of Accumulated Other Comprehensive Income (Loss)
 Three Months Ended
March 31,
Affected line item in Consolidated Statements of Operations
 20212020
 (in millions) 
Amounts reclassified from AOCI(1)(2):
Foreign currency translation adjustment:
Foreign currency translation adjustments$$(3)Realized investment gains (losses), net
Foreign currency translation adjustmentsOther income (loss)
Total foreign currency translation adjustment(3)
Net unrealized investment gains (losses):
Cash flow hedges—Interest rate(1)(3)
Cash flow hedges—Currency(1)(3)
Cash flow hedges—Currency/Interest rate148 388 (3)
Fair value hedges—Currency(2)(3)
Net unrealized investment gains (losses) on available-for-sale securities1,216 158 Realized investment gains (losses), net
Total net unrealized investment gains (losses)1,366 546 (4)
Amortization of defined benefit pension items:
Prior service cost(1)(1)(5)
Actuarial gain (loss)(66)(69)(5)
Total amortization of defined benefit pension items(67)(70)
Total reclassifications for the period$1,302 $473 
__________
(1)All amounts are shown before tax.
(2)Positive amounts indicate gains/benefits reclassified out of AOCI. Negative amounts indicate losses/costs reclassified out of AOCI.
(3)See Note 5 for additional information on cash flow and fair value hedges.
(4)See table below for additional information on unrealized investment gains (losses), including the impact on deferred policy acquisition and other costs, future policy benefits and policyholders’ dividends.
(5)See Note 10 for information on employee benefit plans.
Net Unrealized Investment Gains (Losses) on AFS Fixed Maturity Securities with Allowance for Credit losses and All Other Investments AOCI Rollforward The amounts for the periods indicated below, split between amounts related to net unrealized investment gains (losses) on available-for-sale fixed maturity securities on which an allowance for credit losses has been recognized, and all other net unrealized investment gains (losses), are as follows: 
Net Unrealized Investment Gains (Losses) on Available-for-Sale Fixed Maturity Securities on which an allowance for credit losses has been recognizedNet Unrealized
Gains (Losses)
on All Other Investments(1)
DAC, DSI, VOBA and Reinsurance RecoverablesFuture Policy
Benefits,
Policyholders’
Account
Balances and
Reinsurance Payables
Policyholders’
Dividends
Deferred
Income
Tax
(Liability)
Benefit
Accumulated Other Comprehensive Income (Loss) Related to Net Unrealized Investment Gains (Losses)
 (in millions)
Balance, December 31, 2020$(25)$58,442 $(1,229)$(6,588)$(5,892)$(10,643)$34,065 
Net investment gains (losses) on investments arising during the period13 (19,615)4,404 (15,198)
Reclassification adjustment for (gains) losses included in net income10 (1,376)307 (1,059)
Reclassification due to allowance for credit losses recorded during period(3)
Impact of net unrealized investment (gains) losses on DAC, DSI, VOBA and reinsurance recoverables338 (84)254 
Impact of net unrealized investment (gains) losses on future policy benefits, policyholders’ account balances and reinsurance payables3,874 (821)3,053 
Impact of net unrealized investment (gains) losses on policyholders’ dividends2,628 (552)2,076 
Balance, March 31, 2021$(5)$37,454 $(891)$(2,714)$(3,264)$(7,389)$23,191 
__________
(1)Includes cash flow and fair value hedges. See Note 5 for information on cash flow and fair value hedges.