Discontinued — last reported Q3 '23

Other

Liability for Future Policy Benefit, Expected Net Premium, Original Discount Rate, before Reinsurance, after Cash Flow Change

Analysis

StatementBalance Sheet Statement
SectionOther
First reportedQ4 2021
Last reportedQ3 2023
Metric ID: other_liability_for_future_policy_benefit_expected_net_p_054838

Product Breakdown

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SegmentQ2 '24Q3 '24Q4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Fixed & Immediate Annuities6,464,400,000,000%6,444,300,000,000%6,442,100,000,000%6,956,300,000,000%6,954,300,000,000%6,944,100,000,000%6,947,300,000,000%8,145,200,000,000%
Long-term Care2,052,500,000,000%2,074,400,000,000%2,078,300,000,000%2,101,400,000,000%2,105,000,000,000%2,123,900,000,000%2,130,300,000,000%2,153,400,000,000%
Accident & health insurance2,152,400,000,000%2,167,100,000,000%2,146,600,000,000%1,869,500,000,000%1,862,000,000,000%1,844,800,000,000%1,839,900,000,000%1,820,700,000,000%
Whole and Term Life & Endowments1,716,500,000,000%1,719,500,000,000%1,709,900,000,000%1,524,000,000,000%1,520,900,000,000%1,517,300,000,000%1,517,200,000,000%1,535,900,000,000%
Fixed Annuity924,000,000,000%922,400,000,000%924,300,000,000%913,100,000,000%913,200,000,000%912,100,000,000%911,300,000,000%1,158,700,000,000%
Total