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Recent Accounting Pronouncements (Tables)
6 Months Ended
Jun. 30, 2023
Accounting Standards Update and Change in Accounting Principle [Abstract]  
Adoption of new accounting standard
The following table presents the effects of the adoption of the above new accounting standard to the Company’s previously reported Consolidated Balance Sheets:
 As Filed December 31, 2022AdjustmentPost-adoption December 31, 2022As Filed December 31, 2021AdjustmentPost-adoption December 31, 2021
(in millions)
Assets
Market risk benefits$— $1,015 $1,015 $— $539 $539 
Receivables (allowance for credit losses: 2022, $75; 2021, $55)
15,779 (184)15,595 16,205 927 17,132 
Deferred acquisition costs3,160 (383)2,777 2,782 62 2,844 
Other assets9,341 (64)9,277 11,375 297 11,672 
Total assets$158,468 $384 $158,852 $175,910 $1,825 $177,735 
Liabilities and Equity
Liabilities:
Policyholder account balances, future policy benefits and claims$36,067 $(1,935)$34,132 $35,750 $(727)$35,023 
Market risk benefits— 2,118 2,118 — 3,440 3,440 
Other liabilities6,305 11 6,316 8,641 216 8,857 
Total liabilities154,855 194 155,049 169,969 2,929 172,898 
Equity:
Retained earnings19,531 387 19,918 17,525 (203)17,322 
Accumulated other comprehensive income (loss), net of tax(2,349)(197)(2,546)259 (901)(642)
Total equity3,613 190 3,803 5,941 (1,104)4,837 
Total liabilities and equity$158,468 $384 $158,852 $175,910 $1,825 $177,735 
The following tables present the effects of the adoption of the above new accounting standard to the Company’s previously reported Consolidated Statements of Operations:
 
Three Months Ended June 30,
As Filed 2022AdjustmentPost-adoption 2022As Filed 2021AdjustmentPost-adoption 2021
(in millions, except per share amounts)
Revenues
Distribution fees$458 $$459 $452 $— $452 
Premiums, policy and contract charges365 (23)342 364 (23)341 
Total revenues3,511 (22)3,489 3,420 (23)3,397 
Total net revenues3,508 (22)3,486 3,418 (23)3,395 
Benefits and expenses
Distribution expenses1,236 1,239 1,233 1,236 
Benefits, claims, losses and settlement expenses82 (278)(196)404 (136)268 
Remeasurement (gains) losses of future policy benefit reserves— — (5)(5)
Change in fair value of market risk benefits— 519 519 — 411 411 
Amortization of deferred acquisition costs152 (85)67 63 65 
Total expenses2,553 160 2,713 2,697 275 2,972 
Pretax income955 (182)773 721 (298)423 
Income tax provision199 (40)159 130 (63)67 
Net income$756 $(142)$614 $591 $(235)$356 
Earnings per share
Basic$6.73 $(1.26)$5.47 $4.99 $(1.98)$3.01 
Diluted$6.61 $(1.24)$5.37 $4.88 $(1.94)$2.94 
 
Six Months Ended June 30,
As Filed 2022AdjustmentPost-adoption 2022As Filed 2021AdjustmentPost-adoption 2021
(in millions, except per share amounts)
Revenues
Distribution fees$904 $$905 $910 $— $910 
Premiums, policy and contract charges733 (53)680 711 (32)679 
Total revenues7,168 (52)7,116 6,775 (32)6,743 
Total net revenues7,163 (52)7,111 6,768 (32)6,736 
Benefits and expenses
Distribution expenses2,533 2,539 2,408 2,414 
Benefits, claims, losses and settlement expenses293 (457)(164)1,057 (549)508 
Remeasurement (gains) losses of future policy benefit reserves— (5)(5)— (45)(45)
Change in fair value of market risk benefits— 619 619 — (476)(476)
Amortization of deferred acquisition costs248 (116)132 68 63 131 
Total expenses5,285 47 5,332 5,554 (1,001)4,553 
Pretax income1,878 (99)1,779 1,214 969 2,183 
Income tax provision361 (21)340 186 206 392 
Net income$1,517 $(78)$1,439 $1,028 $763 $1,791 
Earnings per share
Basic$13.42 $(0.69)$12.73 $8.63 $6.41 $15.04 
Diluted$13.16 $(0.68)$12.48 $8.45 $6.27 $14.72 
 
Years Ended December 31,
As Filed 2022AdjustmentPost-adoption 2022As Filed 2021AdjustmentPost-adoption 2021
(in millions, except per share amounts)
Revenues
Distribution fees$1,938 $$1,939 $1,830 $(2)$1,828 
Premiums, policy and contract charges1,411 (14)1,397 273 (52)221 
Total revenues14,347 (13)14,334 13,443 (54)13,389 
Total net revenues14,271 (13)14,258 13,431 (54)13,377 
Benefits and expenses
Distribution expenses4,923 12 4,935 5,015 13 5,028 
Benefits, claims, losses and settlement expenses1,372 (1,130)242 716 (872)(156)
Remeasurement (gains) losses of future policy benefit reserves— — (52)(52)
Change in fair value of market risk benefits— 311 311 — (113)(113)
Amortization of deferred acquisition costs208 44 252 124 135 259 
Total expenses11,089 (762)10,327 10,081 (889)9,192 
Pretax income3,182 749 3,931 3,350 835 4,185 
Income tax provision623 159 782 590 178 768 
Net income$2,559 $590 $3,149 $2,760 $657 $3,417 
Earnings per share
Basic$22.99 $5.30 $28.29 $23.53 $5.60 $29.13 
Diluted$22.51 $5.19 $27.70 $23.00 $5.48 $28.48