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REVISION OF PRIOR PERIOD FINANCIAL STATEMENTS - Balance Sheet (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Mar. 31, 2025
Dec. 31, 2024
Jun. 30, 2024
Mar. 31, 2024
Dec. 31, 2023
ASSETS            
Trading securities, at fair value $ 1,295   $ 1,089      
Investments 121,798   116,441      
Amounts due from reinsurers 7,501   7,899 $ 8,087    
Current and deferred income taxes 1,749   2,003 2,129    
Purchased Market Risk Benefits 5,543   7,376 8,002    
Other assets [1] 3,962   4,462 3,828    
Assets for market risk benefits 776   863 799    
Separate Accounts assets 131,683   134,717      
Total Assets 303,088   295,727 287,639    
LIABILITIES            
Policyholders’ account balances 123,359   110,929 104,049    
Market risk benefits 10,187   11,810 12,612    
Future policy benefits and other policyholders’ liabilities 17,557   17,613 17,433    
Amounts due to reinsurers 1,350   1,421 1,373    
Other liabilities 5,847 [1]   7,032 [1] 6,612    
Separate Accounts liabilities 131,683   134,717      
Total Liabilities 300,125   292,179 283,212    
Equity attributable to Holdings:            
Retained earnings 9,870   10,627 10,301    
Accumulated other comprehensive income (loss) (7,432)   (8,712) (8,675)    
Total equity attributable to Holdings 1,149   1,565 1,598    
Noncontrolling interest 1,456   1,858 1,741    
Total Equity 2,605 $ 4,205 3,423 3,339 $ 3,715 $ 4,375
Total Equity and Redeemable NCI       4,427    
Total Liabilities, Redeemable Noncontrolling Interest and Equity $ 303,088   $ 295,727 287,639    
As Previously 
Reported            
ASSETS            
Amounts due from reinsurers       8,237    
Current and deferred income taxes       2,117    
Purchased Market Risk Benefits       7,993    
Other assets [1]       3,825    
Assets for market risk benefits       803    
Total Assets       287,769    
LIABILITIES            
Policyholders’ account balances       104,072    
Market risk benefits       12,593    
Future policy benefits and other policyholders’ liabilities       17,417    
Amounts due to reinsurers       1,363    
Other liabilities       6,718    
Total Liabilities       283,296    
Equity attributable to Holdings:            
Retained earnings       10,317    
Accumulated other comprehensive income (loss)       (8,645)    
Total equity attributable to Holdings       1,644    
Noncontrolling interest       1,741    
Total Equity       3,385 3,755 4,388
Total Equity and Redeemable NCI       4,473    
Total Liabilities, Redeemable Noncontrolling Interest and Equity       287,769    
Impact of Revisions            
ASSETS            
Amounts due from reinsurers       (150)    
Current and deferred income taxes       12    
Purchased Market Risk Benefits       9    
Other assets [1]       3    
Assets for market risk benefits       (4)    
Total Assets       (130)    
LIABILITIES            
Policyholders’ account balances       (23)    
Market risk benefits       19    
Future policy benefits and other policyholders’ liabilities       16    
Amounts due to reinsurers       10    
Other liabilities       (106)    
Total Liabilities       (84)    
Equity attributable to Holdings:            
Retained earnings       (16)    
Accumulated other comprehensive income (loss)       (30)    
Total equity attributable to Holdings       (46)    
Noncontrolling interest       0    
Total Equity       (46) $ (40) $ (13)
Total Equity and Redeemable NCI       (46)    
Total Liabilities, Redeemable Noncontrolling Interest and Equity       $ (130)    
[1] See Note 2 of the Notes to these Consolidated Financial Statements for details of balances with VIEs.