7Baggers
Quarterly
Annual
    Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-03-31 2020-12-31 
      
                       
      assets
                       
      investments:
                       
      fixed maturity securities available-for-sale, at estimated fair value
    81,537,000,000 80,835,000,000 80,640,000,000 80,055,000,000 83,298,000,000 80,581,000,000 80,474,000,000 80,991,000,000 75,433,000,000 77,577,000,000 77,685,000,000 75,577,000,000 75,271,000,000 78,606,000,000 82,496,000,000 87,582,000,000 87,074,000,000 78,971,000,000 82,495,000,000 
      trading securities, at estimated fair value
    528,000,000 520,000,000 365,000,000                 
      equity securities, at estimated fair value
    78,000,000 74,000,000 73,000,000 77,000,000 87,000,000 85,000,000 86,000,000 102,000,000 90,000,000 91,000,000 91,000,000 89,000,000 100,000,000 96,000,000 80,000,000 101,000,000 90,000,000 106,000,000 138,000,000 
      mortgage loans
    22,862,000,000 22,993,000,000 23,051,000,000 23,286,000,000 22,938,000,000 22,641,000,000 22,670,000,000 22,508,000,000 22,682,000,000 22,614,000,000 22,823,000,000 22,936,000,000 22,089,000,000 21,508,000,000 21,357,000,000 19,850,000,000 18,267,000,000 15,690,000,000 15,808,000,000 
      policy loans
    1,439,000,000 1,425,000,000 1,436,000,000 2,024,000,000 1,387,000,000 1,470,000,000 1,651,000,000 1,331,000,000 1,311,000,000 1,288,000,000 1,273,000,000 1,282,000,000 1,274,000,000 1,277,000,000 1,270,000,000 1,264,000,000 1,264,000,000 1,245,000,000 1,291,000,000 
      limited partnerships and limited liability companies
    4,816,000,000 4,798,000,000 4,839,000,000 4,827,000,000 4,870,000,000 4,938,000,000 4,920,000,000 4,946,000,000 4,931,000,000 4,914,000,000 4,803,000,000 4,775,000,000 4,607,000,000 4,683,000,000 4,587,000,000 4,271,000,000 3,959,000,000 3,219,000,000 2,810,000,000 
      short-term investments, principally at estimated fair value
    778,000,000 1,170,000,000 1,569,000,000 1,868,000,000 1,812,000,000 1,390,000,000 1,347,000,000 1,169,000,000 1,003,000,000 1,125,000,000 1,386,000,000 1,081,000,000 1,130,000,000 920,000,000 1,062,000,000 1,841,000,000 1,892,000,000 1,673,000,000 3,242,000,000 
      other invested assets, principally at estimated fair value
    8,842,000,000 8,932,000,000 5,284,000,000 5,250,000,000 4,462,000,000 4,194,000,000 4,746,000,000 4,409,000,000 3,210,000,000 3,677,000,000 3,229,000,000 2,852,000,000 4,033,000,000 3,345,000,000 2,568,000,000 3,316,000,000 2,774,000,000 2,267,000,000 3,747,000,000 
      total investments
    120,880,000,000 120,747,000,000 117,257,000,000 117,387,000,000 118,854,000,000 115,299,000,000 115,894,000,000 115,456,000,000 108,660,000,000 111,286,000,000 111,290,000,000 108,592,000,000 108,504,000,000 110,435,000,000 113,420,000,000 118,225,000,000 115,320,000,000 103,171,000,000 109,531,000,000 
      cash and cash equivalents
    6,606,000,000 5,540,000,000 4,667,000,000 5,045,000,000 5,630,000,000 4,441,000,000 3,823,000,000 3,851,000,000 3,839,000,000 3,737,000,000 3,685,000,000 4,115,000,000 4,793,000,000 5,071,000,000 4,101,000,000 4,474,000,000 4,108,000,000 4,025,000,000 4,108,000,000 
      accrued investment income
    1,350,000,000 1,235,000,000 1,267,000,000 1,277,000,000 2,083,000,000 1,169,000,000 1,297,000,000 1,183,000,000 1,143,000,000 1,027,000,000 985,000,000 885,000,000 909,000,000 852,000,000 754,000,000 724,000,000 764,000,000 734,000,000 676,000,000 
      premiums, reinsurance and other receivables
    21,244,000,000 21,258,000,000 21,188,000,000 21,126,000,000 20,692,000,000 20,043,000,000 20,234,000,000 19,761,000,000 19,066,000,000 19,223,000,000 18,967,000,000 19,266,000,000 17,877,000,000 16,642,000,000 16,290,000,000 16,094,000,000 16,298,000,000 16,129,000,000 16,158,000,000 
      deferred policy acquisition costs and value of business acquired
    4,603,000,000 4,636,000,000 4,672,000,000 4,710,000,000 4,745,000,000 4,791,000,000 4,829,000,000 4,872,000,000 4,919,000,000 4,968,000,000 5,027,000,000 5,659,000,000 5,639,000,000 5,434,000,000 5,581,000,000 5,377,000,000 5,356,000,000 5,148,000,000 4,911,000,000 
      current income tax recoverable
    17,000,000 17,000,000 20,000,000 19,000,000 28,000,000 28,000,000 28,000,000 27,000,000 31,000,000 31,000,000 30,000,000 38,000,000 18,000,000 18,000,000      
      deferred income tax asset
    1,531,000,000 1,695,000,000 1,808,000,000 1,875,000,000 1,737,000,000 2,087,000,000 2,063,000,000 1,893,000,000 2,121,000,000 1,897,000,000 1,673,000,000 1,618,000,000 1,619,000,000 471,000,000      
      market risk benefit assets
    979,000,000 1,084,000,000 914,000,000 1,092,000,000 750,000,000 916,000,000 839,000,000 656,000,000 694,000,000 602,000,000 510,000,000         
      other assets
    342,000,000 348,000,000 364,000,000 370,000,000 324,000,000 404,000,000 349,000,000 370,000,000 368,000,000 382,000,000 395,000,000 442,000,000 446,000,000 445,000,000 465,000,000 482,000,000 484,000,000 506,000,000 516,000,000 
      separate account assets
    87,127,000,000 86,085,000,000 82,524,000,000 85,636,000,000 90,313,000,000 88,260,000,000 90,332,000,000 88,271,000,000 82,675,000,000 88,392,000,000 87,440,000,000 84,965,000,000 81,836,000,000 88,843,000,000 104,441,000,000 114,464,000,000 112,361,000,000 112,224,000,000 111,969,000,000 
      total assets
    244,679,000,000 242,645,000,000 234,681,000,000 238,537,000,000 245,156,000,000 237,438,000,000 239,688,000,000 236,340,000,000 223,516,000,000 231,545,000,000 230,002,000,000 225,580,000,000 221,641,000,000 228,211,000,000 245,052,000,000 259,840,000,000 254,691,000,000 241,937,000,000 247,869,000,000 
      liabilities and equity
                       
      liabilities
                       
      future policy benefits
    32,021,000,000 31,974,000,000 31,834,000,000 31,475,000,000 32,781,000,000 31,886,000,000 32,245,000,000 32,569,000,000 30,404,000,000 31,899,000,000 32,286,000,000 41,569,000,000 41,786,000,000 41,142,000,000 41,979,000,000 43,807,000,000 43,795,000,000 42,426,000,000 44,448,000,000 
      policyholder account balances
    88,703,000,000 88,046,000,000 85,618,000,000 87,989,000,000 87,678,000,000 85,865,000,000 84,159,000,000 81,068,000,000 78,371,000,000 78,643,000,000 76,120,000,000 74,836,000,000 71,323,000,000 68,293,000,000 67,887,000,000 66,851,000,000 63,748,000,000 55,152,000,000 54,508,000,000 
      market risk benefit liabilities
    8,529,000,000 8,051,000,000 9,165,000,000 8,329,000,000 9,580,000,000 8,708,000,000 8,964,000,000 10,323,000,000 8,830,000,000 9,783,000,000 10,729,000,000         
      other policy-related balances
    3,918,000,000 3,977,000,000 3,866,000,000 3,878,000,000 3,853,000,000 3,796,000,000 3,798,000,000 3,836,000,000 3,806,000,000 3,784,000,000 3,816,000,000 3,400,000,000 3,364,000,000 3,273,000,000 3,457,000,000 3,457,000,000 3,406,000,000 3,355,000,000 3,411,000,000 
      payables for collateral under securities loaned and other transactions
    4,347,000,000 3,994,000,000 3,904,000,000 3,891,000,000 3,764,000,000 3,906,000,000 3,653,000,000 3,670,000,000 3,941,000,000 4,133,000,000 4,401,000,000 4,560,000,000 6,532,000,000 6,675,000,000 6,209,000,000 6,269,000,000 5,639,000,000 4,281,000,000 5,252,000,000 
      long-term debt
    3,155,000,000 3,155,000,000 3,155,000,000 3,155,000,000 3,155,000,000 3,155,000,000 3,155,000,000 3,156,000,000 3,157,000,000 3,156,000,000 3,157,000,000 3,156,000,000 3,156,000,000 3,157,000,000 3,157,000,000 3,157,000,000 3,436,000,000 3,435,000,000 3,436,000,000 
      other liabilities
    10,451,000,000 11,625,000,000 9,311,000,000 9,160,000,000 8,442,000,000 7,656,000,000 9,122,000,000 8,439,000,000 8,198,000,000 6,783,000,000 6,234,000,000 7,056,000,000 7,765,000,000 6,572,000,000 4,767,000,000 4,504,000,000 4,942,000,000 5,018,000,000 5,011,000,000 
      separate account liabilities
    87,127,000,000 86,085,000,000 82,524,000,000 85,636,000,000 90,313,000,000 88,260,000,000 90,332,000,000 88,271,000,000 82,675,000,000 88,392,000,000 87,440,000,000 84,965,000,000 81,836,000,000 88,843,000,000 104,441,000,000 114,464,000,000 112,361,000,000 112,224,000,000 111,969,000,000 
      total liabilities
    238,251,000,000 236,907,000,000 229,377,000,000 233,513,000,000 239,566,000,000 233,232,000,000 235,428,000,000 231,332,000,000 219,382,000,000 226,573,000,000 224,183,000,000 219,542,000,000 215,762,000,000 217,955,000,000 232,173,000,000 243,633,000,000 238,595,000,000 226,855,000,000 229,781,000,000 
      contingencies, commitments and guarantees
                       
      equity
                       
      brighthouse financial, inc.’s stockholders’ equity:
                       
      preferred stock, par value 0.01 per share; 1,753 aggregate liquidation preference
                       
      common stock
    1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 
      additional paid-in capital
    13,893,000,000 13,918,000,000 13,939,000,000 13,927,000,000 13,953,000,000 13,972,000,000 13,989,000,000 14,004,000,000 14,022,000,000 14,039,000,000 14,054,000,000 14,075,000,000 14,095,000,000 14,113,000,000 14,133,000,000 14,154,000,000 13,830,000,000 13,858,000,000 13,878,000,000 
      retained earnings
    -823,000,000 -1,302,000,000 -1,387,000,000 -1,119,000,000 -1,790,000,000 -1,966,000,000 -2,000,000,000 -1,507,000,000 -590,000,000 -1,069,000,000 -894,000,000 -637,000,000 304,000,000 981,000,000 -2,000,000 -642,000,000 -705,000,000 -1,119,000,000 -534,000,000 
      treasury stock
    -2,688,000,000 -2,687,000,000 -2,644,000,000 -2,572,000,000 -2,512,000,000 -2,447,000,000 -2,382,000,000 -2,309,000,000 -2,248,000,000 -2,183,000,000 -2,119,000,000 -2,042,000,000 -1,949,000,000 -1,813,000,000 -1,681,000,000 -1,543,000,000 -1,385,000,000 -1,112,000,000 -1,038,000,000 
      accumulated other comprehensive income
    -4,020,000,000 -4,257,000,000 -4,670,000,000 -5,278,000,000 -4,127,000,000 -5,419,000,000 -5,413,000,000 -5,246,000,000 -7,116,000,000 -5,881,000,000 -5,288,000,000 -5,424,000,000 -6,637,000,000 -3,091,000,000 363,000,000 4,172,000,000 4,290,000,000 3,389,000,000 5,716,000,000 
      total brighthouse financial, inc.’s stockholders’ equity
    6,363,000,000 5,673,000,000 5,239,000,000 4,959,000,000 5,525,000,000 4,141,000,000 4,195,000,000 4,943,000,000 4,069,000,000 4,907,000,000 5,754,000,000 5,973,000,000 5,814,000,000 10,191,000,000 12,814,000,000 16,142,000,000 16,031,000,000 15,017,000,000 18,023,000,000 
      noncontrolling interests
    65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 65,000,000 
      total equity
    6,428,000,000 5,738,000,000 5,304,000,000 5,024,000,000 5,590,000,000 4,206,000,000 4,260,000,000 5,008,000,000 4,134,000,000 4,972,000,000 5,819,000,000 6,038,000,000 5,879,000,000 10,256,000,000 12,879,000,000 16,207,000,000 16,096,000,000 15,082,000,000 18,088,000,000 
      total liabilities and equity
    244,679,000,000 242,645,000,000 234,681,000,000 238,537,000,000 245,156,000,000 237,438,000,000 239,688,000,000 236,340,000,000 223,516,000,000 231,545,000,000 230,002,000,000 225,580,000,000 221,641,000,000 228,211,000,000 245,052,000,000 259,840,000,000 254,691,000,000 241,937,000,000 247,869,000,000 
      current income tax payable
                  61,000,000 62,000,000 148,000,000 152,000,000 126,000,000 
      deferred income tax liability
                  215,000,000 1,062,000,000 1,120,000,000 812,000,000 1,620,000,000 
      preferred stock, par value 0.01 per share; 1,753 and 1,403, respectively, aggregate liquidation preference
                       
      preferred stock, par value 0.01 per share; 1,403 aggregate liquidation preference
                       
      preferred stock, par value 0.01 per share; 1,403 and 425, respectively, aggregate liquidation preference
                       
    The information provided in this report is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.