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Schedule III - Supplementary Insurance Information
12 Months Ended
Dec. 31, 2024
SEC Schedule, 12-16, Insurance Companies, Supplementary Insurance Information [Abstract]  
Schedule III - Supplementary Insurance Information
AMERICAN NATIONAL GROUP INC. AND SUBSIDIARIES
Schedule III—Supplementary Insurance Information
Successor
DAC, DSI
and VOBA
FPB, PAB,
 policy and
contract claims,
deposit liabilities
and MRB (1)
Unearned
premiums
Other policy
claims and
benefits
payable (2)
Premium
revenue
Net
investment
income
Policyholder
benefits and
claims incurred,
interest sensitive
contract benefits
and change in
fair value
of MRB (3)
Amortization
of DAC, DSI
and VOBA
Other
operating
expenses
Net
premiums
written
(Dollars in millions)
Year Ended December 31, 2024
Annuities$10,118 $90,590 $— $28 $3,679 $3,070 $5,138 $487 $350 $— 
Property and Casualty142 1,493 1,044 407 1,874 169 1,331 415 150 1,625 
Life Insurance371 5,688 — — 623 301 633 37 224 — 
Total$10,631 $97,771 $1,044 $435 $6,176 $3,540 $7,102 $939 $724 $1,625 
Year Ended December 31, 2023
Annuities$237 $17,686 $— $— $1,070 $921 $1,436 $20 $87 $— 
Property and Casualty184 1,618 1,139 484 2,065 99 1,549 462 226 2,057 
Life Insurance523 5,885 — — 800 324 715 44 224 — 
Total$944 $25,189 $1,139 $484 $3,935 $1,344 $3,700 $526 $537 $2,057 
Period From May 25, 2022 to December 31, 2022
Annuities$91 $14,209 $— $— $31 $333 $149 $$51 $— 
Property and Casualty185 1,643 1,086 — 1,184 51 806 276 101 1,123 
Life Insurance423 5,480 — — 465 172 391 42 105 — 
Total$699 $21,332 $1,086 $— $1,680 $556 $1,346 $322 $257 $1,123 
PredecessorDAC, DSI
and VOBA
FPB, PAB,
 policy and
contract claims,
deposit liabilities
and MRB (1)
Unearned
premiums
Other policy
claims and
benefits
payable (2)
Premium
revenue
Net
investment
income
Policyholder
benefits and
claims incurred,
interest sensitive
contract benefits
and change in
fair value
of MRB (3)
Amortization
of DAC, DSI
and VOBA
Other
operating
expenses
Net
premiums
written
(Dollars in millions)
Period From January 1, 2022 to May 24, 2022
Annuities$587 $— $— $— $20 $229 $84 $$32 $— 
Property and Casualty171 — — — 795 27 540 167 70 806 
Life Insurance980 — — — 323 103 260 51 84 — 
Total$1,738 $— $— $— $1,138 $359 $884 $227 $186 $806 
(1)Represents interest sensitive contract liabilities, future policy benefits and market risk benefits on the Consolidated Statements of Financial Position.
(2)Included in “Other liabilities” on the Consolidated Statements of Financial Position.
(3)Represents interest sensitive contract benefits, future policy and other policy benefits and market risk benefits remeasurement (gains) losses on the Consolidated Statements of Operations.
See accompanying Report of Independent Registered Public Accounting Firm.