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Policyholder Liabilities (Schedule of Reinsured Market Risk Benefits) (Details) - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Jun. 30, 2023
Dec. 31, 2022
Fixed Rate Annuities    
Market Risk Benefit Liability    
Balance, beginning of period $ 10,656 $ 0
Write-off related to in-force ceded reinsurance 0 10,091
Issuances 0 0
Interest accrual 286 104
Attributed fees collected 19 28
Benefits payments 0 0
Effect of changes in interest rates 154 135
Effect of changes in equity markets 0 118
Effect of changes in equity index volatility 0 0
Actual policyholder behavior different from expected behavior 0 0
Effect of changes in future expected policyholder behavior 211 180
Effect of changes in other future expected assumptions 0 0
Balance, end of period 11,326 10,656
Net amount at risk (a) $ 74,282 $ 72,350
Weighted average attained age of contract holders (years) 70 years 70 years
Fixed Index Annuities    
Market Risk Benefit Liability    
Balance, beginning of period $ 593,959 $ 156,931
Write-off related to in-force ceded reinsurance 0 334,835
Issuances 114,216 36,036
Interest accrual 16,447 7,598
Attributed fees collected 13,451 23,745
Benefits payments 0 0
Effect of changes in interest rates 4,455 (171,948)
Effect of changes in equity markets (29,194) 43,799
Effect of changes in equity index volatility (12,929) 34,278
Actual policyholder behavior different from expected behavior 0 0
Effect of changes in future expected policyholder behavior 1,993 12,598
Effect of changes in other future expected assumptions 0 116,087
Balance, end of period 702,398 593,959
Net amount at risk (a) $ 2,761,134 $ 2,402,964
Weighted average attained age of contract holders (years) 70 years 71 years