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Nature of Operations, Basis of Presentation and Summary of Significant Accounting Policies (Summary of Restated Consolidated Statements of Cash Flows) (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended 9 Months Ended 12 Months Ended
Dec. 31, 2022
Sep. 30, 2022
Jun. 30, 2022
Mar. 31, 2022
Dec. 31, 2021
Sep. 30, 2021
Jun. 30, 2021
Mar. 31, 2021
Jun. 30, 2022
Jun. 30, 2021
Sep. 30, 2022
Sep. 30, 2021
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash Flows from Operating Activities                              
Net income (loss) $ 21 $ (2,583) $ 228 $ 92 $ 708 $ 316 $ 645 $ 219 $ 319 $ 864 $ (2,264) $ 1,180 $ (2,241) $ 1,887 $ 499
Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:                              
Realized (gain) loss 407 (212) (515) (25) (514) (79) (1) 180 (540) 179 (752) 100 (345) (414) 513
Sales and maturities (purchases) of trading securities, net       (187)       118 117 230 163 239 300 (87) 266
Amortization of deferred gain on business sold through reinsurance (10) (10) (11) (11) (11) (9) (9) (9) (22) (17) (31) (27) (42) (38) (41)
Impairment of intangibles   634                 634   634    
Change in:                              
Deferred acquisition costs, value of business acquired, deferred sales inducements and deferred front-end loads deferrals and interest, net of amortization       31       54   112 74 346 118 312 48
Premiums and fees receivable       (91)       (161) (76) (97) (3) (98) (54) (93) (21)
Accrued investment income       (35)       (41) (40) (10) (80) (34) (67) 16 (84)
Insurance liabilities and reinsurance-related balances       1,275       (762) 3,116 (1,431) 6,166 (1,779) 5,958 (1,955) (699)
Accrued expenses       (262)       (40) (371) 42 (402) 246 (89) 392 (18)
Federal income tax accruals       39       35 69 166 (498) 215 (535) 361 (98)
Other       (74)       (216) 135 (251) 383 (263) 399 (213) 169
Net cash provided by (used in) operating activities       752       (623) 2,707 (213) 3,390 125 4,036 168 534
Cash Flows from Investing Activities                              
Purchases of available-for-sale securities and equity securities       (3,934)       (3,854) (8,204) (8,324) (12,008) (11,917) (14,813) (16,915) (16,761)
Sales of available-for-sale securities and equity securities       105       571 308 1,269 1,196 1,452 2,297 2,268 1,426
Maturities of available-for-sale securities       1,604       1,913 3,231 4,700 4,333 7,055 5,453 9,621 5,354
Purchases of alternative investments       (161)       (163) (329) (361) (484) (506) (664) (757) (396)
Sales and repayments of alternative investments       131       54 183 128 383 258 446 377 171
Issuance of mortgage loans on real estate       (539)       (887) (1,366) (1,632) (1,924) (2,210) (2,507) (3,079) (1,800)
Repayment and maturities of mortgage loans on real estate       717       403 1,428 851 1,872 1,274 2,255 1,881 1,154
Repayment (issuance) of policy loans, net       25       (76) (5) 16 17 48 5 62 50
Net change in collateral on investments, derivatives and related settlements       16       1,341 (1,893) 1,888 (3,155) 2,312 (4,070) 3,261 1,474
Other       (104)       (33) (101) (71) (93) (219) (48) (303) (153)
Net cash provided by (used in) investing activities       (2,140)       (731) (6,748) (1,536) (9,863) (2,453) (11,646) (3,584) (9,481)
Cash Flows from Financing Activities                              
Payment of long-term debt, including current maturities       (300)         (300)   (300)   (300)   (1,096)
Issuance of long-term debt, net of issuance costs       297         297   296   296   1,289
Payment related to modification or early extinguishment of debt                       (8)   (8) (13)
Payment related to sale-leaseback transactions       (4)         (47)   (52)   (70) (59) (47)
Proceeds from certain financing arrangements                 53 50 53 50 186 159 109
Deposits of fixed account values, including the fixed portion of variable       3,046       3,140 6,900 6,378 11,062 9,152 15,229 12,643 14,034
Withdrawals of fixed account values, including the fixed portion of variable       (1,884)       (1,773) (3,352) (3,276) (4,997) (4,961) (6,913) (6,554) (6,113)
Transfers from (to) separate accounts, net       70       (130) 116 (255) 71 (254) (195) (397) 528
Common stock issued for benefit plans       (10)       7 (14) 12 (15) 14 (16) 20 (7)
Issuance of preferred stock, net of issuance costs                         986    
Repurchase of common stock       (400)       (105) (500) (255) (550) (455) (550) (1,105) (275)
Dividends paid to common stockholders       (79)       (80) (157) (161) (234) (241) (310) (319) (311)
Other               (63)   (63) (1) (63) (2) (60) (6)
Net cash provided by (used in) financing activities       736       996 2,996 2,430 5,333 3,234 8,341 4,320 8,092
Net increase (decrease) in cash, invested cash and restricted cash       (652)       (358) (1,045) 681 (1,140) 906 731 904 (855)
Cash, invested cash and restricted cash as of beginning-of-year 1,472 1,567 1,960 2,612 2,614 2,389 1,350 1,708 2,612 1,708 2,612 1,708 2,612 1,708 2,563
Cash, invested cash and restricted cash as of end-of-period 3,343 1,472 1,567 1,960 2,612 2,614 2,389 1,350 1,567 2,389 1,472 2,614 3,343 2,612 1,708
As Previously Reported [Member]                              
Cash Flows from Operating Activities                              
Net income (loss) 5 (2,574) 238 104 220 318 642 225 341 867 (2,233) 1,185 (2,227) 1,405  
Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:                              
Realized (gain) loss 435 (220) (522) (29) 114 (85) 2 181 (551) 182 (771) 97 (336) 212  
Sales and maturities (purchases) of trading securities, net       (187)       98 117 210 163 219 300 (108)  
Amortization of deferred gain on business sold through reinsurance (18) (18) (19) (19) (19) (9) (9) (9) (38) (17) (56) (27) (74) (46)  
Impairment of intangibles   634                 634   634    
Change in:                              
Deferred acquisition costs, value of business acquired, deferred sales inducements and deferred front-end loads deferrals and interest, net of amortization       31       54 2 115 80 348 115 315  
Premiums and fees receivable       (91)       (167) (76) (97) (3) (98) (54) (93)  
Accrued investment income       (35)       (41) (40) (10) (80) (34) (67) 16  
Insurance liabilities and reinsurance-related balances       1,271       (764) 3,083 (1,438) 6,166 (1,779) 5,956 (1,954)  
Accrued expenses       (262)       (40) (371) 42 (402) 246 (89) 389  
Federal income tax accruals       42       37 74 167 (490) 216 (530) 232  
Other       (72)       (216) 167 (252) 386 (265) 405 (217)  
Net cash provided by (used in) operating activities       753       (642) 2,708 (231) 3,394 108 4,033 151  
Cash Flows from Investing Activities                              
Purchases of available-for-sale securities and equity securities       (3,934)       (3,834) (8,204) (8,304) (12,008) (11,897) (14,813) (16,893)  
Sales of available-for-sale securities and equity securities       105       571 308 1,269 1,196 1,452 2,297 2,268  
Maturities of available-for-sale securities       1,604       1,913 3,231 4,700 4,333 7,055 5,453 9,621  
Purchases of alternative investments       (161)       (163) (329) (361) (484) (506) (664) (757)  
Sales and repayments of alternative investments       131       54 183 128 383 258 446 377  
Issuance of mortgage loans on real estate       (540)       (888) (1,368) (1,634) (1,928) (2,213) (2,503) (3,084)  
Repayment and maturities of mortgage loans on real estate       717       403 1,428 851 1,872 1,274 2,255 1,881  
Repayment (issuance) of policy loans, net       25       (76) (5) 16 17 48 5 62  
Net change in collateral on investments, derivatives and related settlements       16       1,341 (1,892) 1,888 (3,155) 2,312 (4,071) 3,261  
Other       (104)       (33) (101) (71) (93) (219) (48) (303)  
Net cash provided by (used in) investing activities       (2,141)       (712) (6,749) (1,518) (9,867) (2,436) (11,643) (3,567)  
Cash Flows from Financing Activities                              
Payment of long-term debt, including current maturities       (300)         (300)   (300)   (300)    
Issuance of long-term debt, net of issuance costs       297         297   296   296    
Payment related to modification or early extinguishment of debt                       (8)   (8)  
Payment related to sale-leaseback transactions       (4)         (47)   (52)   (70) (59)  
Proceeds from certain financing arrangements                 53 50 53 50 186 159  
Deposits of fixed account values, including the fixed portion of variable       3,048       3,136 6,900 6,375 11,067 9,150 15,229 12,639  
Withdrawals of fixed account values, including the fixed portion of variable       (1,830)       (1,777) (3,298) (3,299) (4,943) (4,961) (6,913) (6,607)  
Transfers from (to) separate accounts, net       14       (122) 62 (229) 12 (252) (195) (340)  
Common stock issued for benefit plans       (10)       7 (14) 12 (15) 14 (16) 20  
Issuance of preferred stock, net of issuance costs                         986    
Repurchase of common stock       (400)       (105) (500) (255) (550) (455) (550) (1,105)  
Dividends paid to common stockholders       (79)       (80) (157) (161) (234) (241) (310) (319)  
Other               (63)   (63) (1) (63) (2) (60)  
Net cash provided by (used in) financing activities       736       996 2,996 2,430 5,333 3,234 8,341 4,320  
Net increase (decrease) in cash, invested cash and restricted cash       (652)       (358) (1,045) 681 (1,140) 906 731 904  
Cash, invested cash and restricted cash as of beginning-of-year 1,472 1,567 1,960 2,612 2,614 2,389 1,350 1,708 2,612 1,708 2,612 1,708 2,612 1,708  
Cash, invested cash and restricted cash as of end-of-period 3,343 1,472 1,567 1,960 2,612 2,614 2,389 1,350 1,567 2,389 1,472 2,614 3,343 2,612 $ 1,708
Restatement Impacts [Member]                              
Cash Flows from Operating Activities                              
Net income (loss) 16 (9) (10) (12) 488 (2) 3 (6) (22) (3) (31) (5) (14) 482  
Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:                              
Realized (gain) loss (28) 8 7 4 (628) $ 6 $ (3) (1) 11 (3) 19 3 (9) (626)  
Sales and maturities (purchases) of trading securities, net               20   20   20   21  
Amortization of deferred gain on business sold through reinsurance $ 8 $ 8 $ 8 8 $ 8       16   25   32 8  
Change in:                              
Deferred acquisition costs, value of business acquired, deferred sales inducements and deferred front-end loads deferrals and interest, net of amortization                 (2) (3) (6) (2) 3 (3)  
Premiums and fees receivable               6              
Insurance liabilities and reinsurance-related balances       4       2 33 7     2 (1)  
Accrued expenses                           3  
Federal income tax accruals       (3)       (2) (5) (1) (8) (1) (5) 129  
Other       (2)         (32) 1 (3) 2 (6) 4  
Net cash provided by (used in) operating activities       (1)       19 (1) 18 (4) 17 3 17  
Cash Flows from Investing Activities                              
Purchases of available-for-sale securities and equity securities               (20)   (20)   (20)   (22)  
Issuance of mortgage loans on real estate       1       1 2 2 4 3 (4) 5  
Net change in collateral on investments, derivatives and related settlements                 (1)       1    
Net cash provided by (used in) investing activities       1       (19) 1 (18) 4 (17) $ (3) (17)  
Cash Flows from Financing Activities                              
Deposits of fixed account values, including the fixed portion of variable       (2)       4   3 (5) 2   4  
Withdrawals of fixed account values, including the fixed portion of variable       (54)       4 (54) 23 (54)     53  
Transfers from (to) separate accounts, net       $ 56       $ (8) $ 54 $ (26) $ 59 $ (2)   $ (57)