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Policyholder Liabilities (Schedule of Changes in the Net Market Risk Benefit) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Market Risk Benefit Liability      
Beginning balance, market risk benefits $ 2,225,621    
Ending balance, market risk benefits 2,666,860 $ 2,225,621  
Fixed Rate Annuities      
Market Risk Benefit Liability      
Beginning balance, market risk benefits 37,863 78,411  
Balance, beginning of year, before effect of changes in the instrument-specific credit risk 44,355 77,731  
Issuances 32 376  
Interest accrual 3,139 1,349  
Attributed fees collected 1,216 1,270  
Benefits payments 0 0  
Effect of changes in interest rates (380) (19,421)  
Effect of changes in equity markets 0 0  
Effect of changes in equity index volatility 0 0  
Effect of changes in future expected policyholder behavior (1,509) 602  
Effect of changes in other future expected assumptions 16,720 (17,552)  
Balance, end of year, before effect of changes in the instrument-specific credit 63,573 44,355  
Effect of changes in the instrument-specific credit risk (3,386) (6,492)  
Ending balance, market risk benefits 60,187 37,863  
Reinsured MRB, end of period 18,391 10,656 $ 0
Balance, end of period, net of reinsurance 41,796 27,207  
Net amount at risk (a) $ 266,438 $ 258,826  
Weighted average attained age of contract holders (years) 70 years 69 years  
Fixed Index Annuities      
Market Risk Benefit Liability      
Beginning balance, market risk benefits $ 2,187,758 $ 2,557,378  
Balance, beginning of year, before effect of changes in the instrument-specific credit risk 2,453,169 2,310,437  
Issuances 289,939 59,452  
Interest accrual 155,512 72,551  
Attributed fees collected 128,437 125,168  
Benefits payments 0 0  
Effect of changes in interest rates (126,255) (952,265)  
Effect of changes in equity markets (48,164) 186,618  
Effect of changes in equity index volatility (77,023) 241,563  
Effect of changes in future expected policyholder behavior (11,582) 46,567  
Effect of changes in other future expected assumptions (219,094) 363,078  
Balance, end of year, before effect of changes in the instrument-specific credit 2,544,939 2,453,169  
Effect of changes in the instrument-specific credit risk 61,734 (265,411)  
Ending balance, market risk benefits 2,606,673 2,187,758  
Reinsured MRB, end of period 640,826 593,959 $ 156,931
Balance, end of period, net of reinsurance 1,965,847 1,593,799  
Net amount at risk (a) $ 11,721,734 $ 10,987,198  
Weighted average attained age of contract holders (years) 71 years 71 years