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Consolidated Supplementary Insurance Information
12 Months Ended
Dec. 31, 2021
SEC Schedule, 12-16, Insurance Companies, Supplementary Insurance Information [Abstract]  
SEC Schedule, 12-16, Insurance Companies, Supplementary Insurance Information, Disclosure [Text Block]
Brighthouse Financial, Inc.
Schedule III
Consolidated Supplementary Insurance Information
December 31, 2021 and 2020
(In millions)
SegmentDAC
and
VOBA
Future Policy Benefits and Other Policy-Related Balances Policyholder Account BalancesUnearned Premiums (1)(2)Unearned Revenue (1)
2021
Annuities$4,331 $10,423 $50,791 $— $83 
Life947 6,302 3,083 10 398 
Run-off23,031 7,207 — 213 
Corporate & Other95 7,508 5,770 — 
Total$5,377 $47,264 $66,851 $15 $694 
2020
Annuities$3,829 $10,452 $43,784 $— $86 
Life971 6,242 3,085 10 350 
Run-off23,558 7,638 — 184 
Corporate & Other106 7,607 — 
Total$4,911 $47,859 $54,508 $15 $620 
_______________
(1)Amounts are included within the future policy benefits and other policy-related balances column.
(2)Includes premiums received in advance.
Brighthouse Financial, Inc.
Schedule III
Consolidated Supplementary Insurance Information (continued)
December 31, 2021, 2020 and 2019
(In millions)
SegmentPremiums and
Universal Life
and Investment-Type
Product Policy Fees
Net
Investment
Income (1)
Policyholder Benefits and Claims and
Interest Credited
to Policyholder
Account Balances
Amortization of
DAC and VOBA
Other
Expenses 
2021
Annuities$2,862 $2,207 $1,628 $111 $1,654 
Life784 671 927 22 180 
Run-off618 1,900 2,109 — 191 
Corporate & Other79 103 91 11 426 
Total$4,343 $4,881 $4,755 $144 $2,451 
2020
Annuities$2,656 $1,809 $2,452 $668 $1,554 
Life848 459 869 107 176 
Run-off641 1,263 3,422 — 186 
Corporate & Other84 70 60 (9)437 
Total$4,229 $3,601 $6,803 $766 $2,353 
2019
Annuities$2,788 $1,797 $1,414 $363 $1,676 
Life871 434 824 211 
Run-off718 1,273 2,436 — 200 
Corporate & Other85 75 59 14 404 
Total$4,462 $3,579 $4,733 $382 $2,491 
_______________
(1)See Note 2 of the Notes to the Consolidated Financial Statements for the basis of allocation of net investment income.