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Policyholders' Account Balances (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period $ 135,624 $ 123,042  
Interest credits to policyholders' account balances 3,983 2,193 [1] $ 3,431 [1]
Total Policyholders' account balance 147,018 135,624 123,042
Closed Block Division 4,500 4,607 4,737
Policyholder Account Balance, Unearned Revenue Reserve, Unearned Expense Credit, And Additional Interest Reserve 5,326 4,581 3,905
Other $ 4,463 $ 8,059 339
Reclassified to "Liabilities held-for-sale"     $ (39,914)
Weighted-average crediting rate 2.78% 2.32% 2.47%
Net amount at risk $ 480,986 $ 462,615 $ 443,717
Cash surrender value 117,561 103,049 142,000
Total      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 118,377 117,470 152,537
Deposits 25,641 20,874 23,595
Interest credits to policyholders' account balances 3,494 2,384 3,785
Dispositions 0 (1,845) 0
Policy charges (2,955) (2,785) (2,873)
Surrenders and withdrawals (11,485) (11,750) (18,894)
Benefit payments (3,150) (3,246) (3,583)
Net transfers (to) from separate account 1,379 654 1,678
Change in market value and other adjustments 2,598 (286) 602
Foreign currency adjustment (1,170) (3,093) (2,872)
Balance, end of period 132,729 118,377 153,975
Policyholder Account Balance, Reinsurance Recoverable, after Allowance 21 35 41
Policyholders' account balance net of reinsurance and other recoverable 132,708 118,342 153,934
Total Policyholders' account balance   118,377 117,470
PALAC      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Reclassified to "Liabilities held-for-sale"     (11,750)
Full Service Retirement Business Coinsurance      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Reclassified to "Liabilities held-for-sale"     (28,164)
Institutional      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 9,855 8,956  
Total Policyholders' account balance 9,684 9,855 8,956
Institutional | Retirement Strategies      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 17,376 16,391 18,456
Deposits 5,657 6,083 4,188
Interest credits to policyholders' account balances 677 561 549
Dispositions 0 0 0
Policy charges (23) (22) (23)
Surrenders and withdrawals (5,290) (5,075) (6,238)
Benefit payments (659) (562) (541)
Net transfers (to) from separate account 0 0 0
Change in market value and other adjustments 0 0 0
Foreign currency adjustment 0 0 0
Balance, end of period 17,738 17,376 16,391
Policyholder Account Balance, Reinsurance Recoverable, after Allowance 0 0 0
Policyholders' account balance net of reinsurance and other recoverable $ 17,738 17,376 16,391
Total Policyholders' account balance   $ 17,376 $ 16,391
Weighted-average crediting rate 3.85% 3.33% 3.15%
Net amount at risk $ 0 $ 0 $ 0
Cash surrender value 17,738 17,376 16,391
Individual Variable      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 4,592 5,995  
Total Policyholders' account balance 4,051 4,592 5,995
Individual Variable | Retirement Strategies      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 17,524 14,125 8,169
Deposits 4,638 4,777 4,326
Interest credits to policyholders' account balances 305 211 244
Dispositions 0 (1,405) 0
Policy charges (24) (6) (3)
Surrenders and withdrawals (704) (372) (346)
Benefit payments (76) (92) (190)
Net transfers (to) from separate account 34 246 837
Change in market value and other adjustments 2,068 40 1,088
Foreign currency adjustment 0 0 0
Balance, end of period 23,765 17,524 14,125
Policyholder Account Balance, Reinsurance Recoverable, after Allowance 0 0 0
Policyholders' account balance net of reinsurance and other recoverable $ 23,765 17,524 14,125
Total Policyholders' account balance   $ 17,524 $ 14,125
Weighted-average crediting rate 1.48% 1.34% 2.19%
Net amount at risk $ 0 $ 0 $ 0
Cash surrender value 21,640 15,297 13,903
Individual Fixed      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 2,032 1,924  
Total Policyholders' account balance 3,121 2,032 1,924
Individual Fixed | Retirement Strategies      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 4,643 4,652 4,215
Deposits 2,659 753 841
Interest credits to policyholders' account balances 129 87 15
Dispositions 0 (440) 0
Policy charges (9) (5) (5)
Surrenders and withdrawals (414) (163) (301)
Benefit payments (76) (176) (113)
Net transfers (to) from separate account 0 0 0
Change in market value and other adjustments 163 (65) 0
Foreign currency adjustment 0 0 0
Balance, end of period 7,095 4,643 4,652
Policyholder Account Balance, Reinsurance Recoverable, after Allowance 0 0 0
Policyholders' account balance net of reinsurance and other recoverable $ 7,095 4,643 4,652
Total Policyholders' account balance   $ 4,643 $ 4,652
Weighted-average crediting rate 2.21% 1.88% 0.34%
Net amount at risk $ 0 $ 0 $ 16
Cash surrender value 5,827 3,581 3,157
Life/Disability | Group Insurance      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 5,839 6,273 7,440
Deposits 1,212 1,233 1,039
Interest credits to policyholders' account balances 165 153 171
Dispositions 0 0 0
Policy charges (323) (322) (321)
Surrenders and withdrawals (1,552) (1,457) (2,058)
Benefit payments 0 0 0
Net transfers (to) from separate account (48) (41) 2
Change in market value and other adjustments 0 0 0
Foreign currency adjustment 0 0 0
Balance, end of period 5,293 5,839 6,273
Policyholder Account Balance, Reinsurance Recoverable, after Allowance 0 0 0
Policyholders' account balance net of reinsurance and other recoverable $ 5,293 5,839 6,273
Total Policyholders' account balance   $ 5,839 $ 6,273
Weighted-average crediting rate 2.96% 2.53% 2.50%
Net amount at risk $ 72,858 $ 70,574 $ 67,471
Cash surrender value 4,021 4,147 3,736
Variable/ Universal Life      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 23,753 24,287  
Total Policyholders' account balance 24,064 23,753 24,287
Variable/ Universal Life | Individual Life      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 26,502 26,859 26,597
Deposits 2,447 2,551 3,091
Interest credits to policyholders' account balances 773 816 746
Dispositions 0 0 0
Policy charges (2,047) (2,040) (1,993)
Surrenders and withdrawals (1,820) (1,657) (1,852)
Benefit payments (154) (197) (221)
Net transfers (to) from separate account 1,393 449 406
Change in market value and other adjustments 345 (279) 85
Foreign currency adjustment 0 0 0
Balance, end of period 27,439 26,502 26,859
Policyholder Account Balance, Reinsurance Recoverable, after Allowance 0 12 13
Policyholders' account balance net of reinsurance and other recoverable $ 27,439 26,490 26,846
Total Policyholders' account balance   $ 26,502 $ 26,859
Weighted-average crediting rate 2.87% 3.06% 2.79%
Net amount at risk $ 382,399 $ 367,698 $ 352,407
Cash surrender value 23,234 21,766 21,594
Life Planner      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 7,099 7,507  
Total Policyholders' account balance 8,334 7,099 7,507
Life Planner | International Businesses      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 11,168 11,555 11,383
Deposits 2,417 1,499 1,446
Interest credits to policyholders' account balances 709 38 511
Dispositions 0 0 0
Policy charges (312) (216) (196)
Surrenders and withdrawals (218) (210) (222)
Benefit payments (266) (253) (261)
Net transfers (to) from separate account 0 0 0
Change in market value and other adjustments 31 28 21
Foreign currency adjustment (580) (1,273) (1,127)
Balance, end of period 12,949 11,168 11,555
Policyholder Account Balance, Reinsurance Recoverable, after Allowance 1 1 1
Policyholders' account balance net of reinsurance and other recoverable $ 12,948 11,167 11,554
Total Policyholders' account balance   $ 11,168 $ 11,555
Weighted-average crediting rate 5.88% 3.41% 4.46%
Net amount at risk $ 19,276 $ 17,205 $ 15,362
Cash surrender value 11,268 9,612 10,441
Gibraltar Life and Other      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 35,072 37,215  
Total Policyholders' account balance 38,311 35,072 37,215
Gibraltar Life and Other | International Businesses      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period 35,325 37,615 39,716
Deposits 6,611 3,978 2,746
Interest credits to policyholders' account balances 736 518 649
Dispositions 0 0 0
Policy charges (217) (174) (101)
Surrenders and withdrawals (1,487) (2,816) (1,374)
Benefit payments (1,919) (1,966) (2,257)
Net transfers (to) from separate account 0 0 0
Change in market value and other adjustments (9) (10) (19)
Foreign currency adjustment (590) (1,820) (1,745)
Balance, end of period 38,450 35,325 37,615
Policyholder Account Balance, Reinsurance Recoverable, after Allowance 20 22 27
Policyholders' account balance net of reinsurance and other recoverable $ 38,430 35,303 37,588
Total Policyholders' account balance   $ 35,325 $ 37,615
Weighted-average crediting rate 1.99% 1.42% 1.68%
Net amount at risk $ 6,453 $ 7,138 $ 8,461
Cash surrender value 33,833 31,270 36,273
Full Service      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period   36,505  
Total Policyholders' account balance     36,505
Full Service | Corporate and Other      
Additional Liability, Long-Duration Insurance [Roll Forward]      
Balance, beginning of period     36,561
Deposits     5,918
Interest credits to policyholders' account balances     900
Dispositions     0
Policy charges     (231)
Surrenders and withdrawals     (6,503)
Benefit payments     0
Net transfers (to) from separate account     433
Change in market value and other adjustments     (573)
Foreign currency adjustment     0
Balance, end of period     36,505
Policyholder Account Balance, Reinsurance Recoverable, after Allowance $ 5,479 $ 8,133 0
Policyholders' account balance net of reinsurance and other recoverable     $ 36,505
Weighted-average crediting rate     2.46%
Net amount at risk     $ 0
Cash surrender value     $ 36,505
[1] Prior period amounts adjusted for the implementation of ASU 2018-12: Targeted Improvements to the Accounting for Long-Duration Contracts.