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Contractholder Funds - Schedule of Balances and Changes in Contractholder Funds (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended 12 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Sep. 30, 2025
Sep. 30, 2024
Dec. 31, 2024
Policyholder Account Balance          
Embedded derivative adjustment $ 3 $ 3 $ 7 $ 6  
Gross liability, end of period 61,798   61,798   $ 56,404
Reinsurance recoverable, net of allowance for expected credit losses 16,848   16,848   13,380
Indexed annuities          
Policyholder Account Balance          
Balance, beginning of year     30,235 27,164 27,164
Issuances     4,862   6,649
Premiums received     2,062   120
Policy charges     (2,197)   (195)
Surrenders and withdrawals     (2,819)   (3,832)
Benefit payments     (405)   (495)
Interest credited     564   821
Other     5   3
Balance, end of period 32,307   32,307   30,235
Issuances     4,862   6,649
Premiums received     2,062   120
Policy charges     (2,197)   (195)
Surrenders and withdrawals     (2,819)   (3,832)
Benefit payments     (405)   (495)
Interest credited     564   821
Other     5   3
Reconciling items     391    
Embedded derivative adjustment         219
Gross liability, end of period 32,698   32,698   30,454
Reinsurance recoverable, net of allowance for expected credit losses 2,454   2,454   861
Net liability, after reinsurance $ 30,244   $ 30,244   $ 29,593
Weighted-average crediting rate 2.44%   2.44%   2.90%
Cash surrender value $ 30,067   $ 30,067   $ 27,865
Fixed rate annuities          
Policyholder Account Balance          
Balance, beginning of year     17,442 13,443 13,443
Issuances     3,444   5,125
Premiums received     0   1
Policy charges     0   0
Surrenders and withdrawals     (1,720)   (1,479)
Benefit payments     (272)   (315)
Interest credited     638   667
Other     (1)   0
Balance, end of period 19,531   19,531   17,442
Issuances     3,444   5,125
Premiums received     0   1
Policy charges     0   0
Surrenders and withdrawals     (1,720)   (1,479)
Benefit payments     (272)   (315)
Interest credited     638   667
Other     (1)   0
Reconciling items     0    
Embedded derivative adjustment         0
Gross liability, end of period 19,531   19,531   17,442
Reinsurance recoverable, net of allowance for expected credit losses 12,909   12,909   11,009
Net liability, after reinsurance $ 6,622   $ 6,622   $ 6,433
Weighted-average crediting rate 4.71%   4.71%   4.42%
Cash surrender value $ 18,266   $ 18,266   $ 16,266
Universal Life          
Policyholder Account Balance          
Balance, beginning of year     2,817 2,391 2,391
Issuances     168   208
Premiums received     437   495
Policy charges     (278)   (315)
Surrenders and withdrawals     (99)   (101)
Benefit payments     (18)   (18)
Interest credited     132   157
Other     0   0
Balance, end of period 3,159   3,159   2,817
Issuances     168   208
Premiums received     437   495
Policy charges     (278)   (315)
Surrenders and withdrawals     (99)   (101)
Benefit payments     (18)   (18)
Interest credited     132   157
Other     0   0
Reconciling items     120    
Embedded derivative adjustment         79
Gross liability, end of period 3,279   3,279   2,896
Reinsurance recoverable, net of allowance for expected credit losses 885   885   877
Net liability, after reinsurance $ 2,394   $ 2,394   $ 2,019
Weighted-average crediting rate 6.05%   6.05%   6.20%
Net amount at risk $ 29,483   $ 29,483   $ 74,279
Cash surrender value 2,431   2,431   2,177
FABN          
Policyholder Account Balance          
Balance, beginning of year     2,463 2,613 2,613
Issuances     1,148   600
Premiums received     0   0
Policy charges     0   0
Surrenders and withdrawals     0   0
Benefit payments     (363)   (820)
Interest credited     73   71
Other     3   (1)
Balance, end of period 3,324   3,324   2,463
Issuances     1,148   600
Premiums received     0   0
Policy charges     0   0
Surrenders and withdrawals     0   0
Benefit payments     (363)   (820)
Interest credited     73   71
Other     3   (1)
Reconciling items     12    
Embedded derivative adjustment         0
Gross liability, end of period 3,336   3,336   2,463
Reinsurance recoverable, net of allowance for expected credit losses 0   0   0
Net liability, after reinsurance 3,336   3,336   2,463
FHLB          
Policyholder Account Balance          
Balance, beginning of year     2,852 $ 2,539 2,539
Issuances     1,461   1,804
Premiums received     0   0
Policy charges     0   0
Surrenders and withdrawals     0   0
Benefit payments     (1,715)   (1,606)
Interest credited     75   117
Other     0   (2)
Balance, end of period 2,673   2,673   2,852
Issuances     1,461   1,804
Premiums received     0   0
Policy charges     0   0
Surrenders and withdrawals     0   0
Benefit payments     (1,715)   (1,606)
Interest credited     75   117
Other     0   (2)
Reconciling items     0    
Embedded derivative adjustment         0
Gross liability, end of period 2,673   2,673   2,852
Reinsurance recoverable, net of allowance for expected credit losses 0   0   0
Net liability, after reinsurance $ 2,673   $ 2,673   $ 2,852