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Separate Account Assets and Liabilities (Tables)
12 Months Ended
Dec. 31, 2023
Insurance [Abstract]  
Aggregate fair value of separate account assets, by major asset category
Aggregate fair value of separate account assets, by major asset category, consisted of the following:
December 31, 2023December 31, 2022
(in millions)
Variable annuities and variable universal life:
Mutual funds$74,634 $70,876 
Unitized pooled pension funds:
Property/real estate1,784 1,876 
Equity securities553 679 
Debt securities285 279 
Cash and cash equivalents147 208 
Other54 44 
Total$77,457 $73,962 
Balances of and changes in separate account liabilities
The balances of and changes in separate account liabilities were as follows:
Variable AnnuitiesVariable Universal Life
Unitized Pooled Pension Funds
Total
(in millions)
Balance at January 1, 2023
$63,223 $7,653 $3,086 $73,962 
Premiums and deposits835 459 194 1,488 
Policy charges(1,343)(292)(7)(1,642)
Surrenders and other benefits(5,378)(317)(777)(6,472)
Investment return8,477 1,250 170 9,897 
Net transfer from (to) general account25 42 — 67 
Other charges— — 157 157 
Balance at December 31, 2023
$65,839 $8,795 $2,823 $77,457 
Cash surrender value$64,280 $8,263 $2,823 $75,366 
Variable AnnuitiesVariable Universal Life
Unitized Pooled Pension Funds
Total
(in millions)
Balance at January 1, 2022
$82,862 $9,376 $5,253 $97,491 
Premiums and deposits1,067 425 252 1,744 
Policy charges(1,396)(278)(11)(1,685)
Surrenders and other benefits(4,923)(286)(1,548)(6,757)
Investment return(14,450)(1,654)(273)(16,377)
Net transfer from (to) general account63 70 — 133 
Other charges— — (587)(587)
Balance at December 31, 2022
$63,223 $7,653 $3,086 $73,962 
Cash surrender value$61,461 $7,200 $3,086 $71,747