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F&G Annuities & Life FG Indexed annuities — Changes in assumptions and other
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Where this comes from
Reported directly by F&G Annuities & Life in its filing.
Tagged under the XBRL concept us-gaap:MarketRiskBenefitIncreaseDecreaseFromOtherAssumption.
The source filing: F&G Annuities & Life’s 10-Q, filed May 7, 2026.
- Filed
- May 7, 2026, 4:59 PM EDT
- Fiscal quarter
- Q2 FY2026
- Calendar quarter
- Q2 2026
- Accession
- 0001934850-26-000057
| Line item | March 31, 2026 / Indexedannuities | March 31, 2026 / Fixed rateannuities | December 31, 2025 / Indexedannuities | December 31, 2025 / Fixed rateannuities |
|---|---|---|---|---|
| Issuances and benefit payments | 45 | — | 147 | — |
| Attributed fees collected and interest accrual | 44 | — | 156 | — |
| Actual policyholder behavior different from expected | 53 | — | 45 | — |
| Changes in assumptions and other | (10) | — | 8 | — |
| Effects of market related movements | (12) | — | 6 | — |
| Balance, end of period, before effect of changes in the instrument-specific credit risk | 804 | 1 | 684 | 1 |
| Effect of changes in the instrument-specific credit risk | 80 | — | 128 | — |
| Balance, end of period, net liability | 884 | 1 | 812 | 1 |
Item 1. Condensed Consolidated Financial Statements:
FAQ
- What is F&G Annuities & Life's indexed annuities — changes in assumptions and other?
- F&G Annuities & Life (FG) reported indexed annuities — changes in assumptions and other of -$10M in Q1 2026.
- How has F&G Annuities & Life's indexed annuities — changes in assumptions and other changed year-over-year?
- F&G Annuities & Life's indexed annuities — changes in assumptions and other decreased by 1100.0% year-over-year, from $1M to -$10M.
- What does indexed annuities — changes in assumptions and other mean?
- This metric reflects the financial impact of updates to actuarial assumptions, such as mortality, lapse rates, or interest rate projections, within the indexed annuity segment. It provides transparency into how management's evolving view of future liabilities affects current financial results. Frequent or large adjustments may signal volatility in the long-term valuation of the product portfolio.
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