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 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 
      
                                   
      assets
                                   
      investments:
                                   
      fixed maturities available-for-sale, at fair value
    75,851,000,000 80,094,000,000 77,997,000,000 76,641,000,000 76,245,000,000 71,579,000,000 67,606,000,000 67,030,000,000 63,470,000,000 65,351,000,000 65,065,000,000 63,361,000,000 64,600,000,000 67,254,000,000 72,386,000,000 78,216,000,000 76,968,000,000 75,755,000,000 77,161,000,000 81,638,000,000 79,379,000,000 76,243,000,000 70,321,000,000 66,343,000,000 66,300,000,000 57,572,000,000 50,305,000,000     
      fixed maturities, at fair value using the fair value option
    2,416,000,000 2,428,000,000 2,105,000,000 2,053,000,000 1,700,000,000 1,703,000,000 1,687,000,000 1,654,000,000 1,634,000,000 1,574,000,000 1,543,000,000 1,508,000,000 1,548,000,000 1,562,000,000 1,627,000,000 1,641,000,000 1,334,000,000 941,000,000 844,000,000 389,000,000            
      mortgage loans on real estate
    22,150,000,000 21,536,000,000 20,566,000,000 20,072,000,000 19,237,000,000 18,802,000,000 18,570,000,000 18,171,000,000 17,655,000,000 17,364,000,000 16,969,000,000 16,481,000,000 15,688,000,000 14,480,000,000 14,452,000,000 14,033,000,000 13,448,000,000 13,384,000,000 13,280,000,000 13,159,000,000 12,802,000,000 12,523,000,000 12,123,000,000 12,107,000,000 12,022,000,000 12,288,000,000 12,117,000,000 11,835,000,000 12,070,000,000 11,808,000,000 11,333,000,000 
      policy loans
    1,855,000,000 4,355,000,000 4,318,000,000 4,330,000,000 4,293,000,000 4,247,000,000 4,191,000,000 4,158,000,000 4,089,000,000 4,061,000,000 4,028,000,000 4,033,000,000 4,018,000,000 4,020,000,000 4,010,000,000 4,024,000,000 4,027,000,000 4,048,000,000 4,091,000,000 4,118,000,000 4,123,000,000 3,689,000,000 3,720,000,000 3,735,000,000 3,750,000,000 3,740,000,000 3,766,000,000 3,779,000,000 3,739,000,000 3,739,000,000 3,776,000,000 
      other equity investments
    3,786,000,000 3,789,000,000 3,748,000,000 3,719,000,000 3,731,000,000 3,743,000,000 3,502,000,000 3,384,000,000 3,272,000,000 3,264,000,000 3,179,000,000 3,152,000,000 3,183,000,000 3,202,000,000 3,087,000,000 2,975,000,000 2,986,000,000 2,563,000,000 2,387,000,000 1,502,000,000 1,428,000,000 1,342,000,000 1,406,000,000 1,344,000,000 1,330,000,000 1,309,000,000 1,321,000,000 1,334,000,000 1,387,000,000 1,385,000,000 1,258,000,000 
      trading securities, at fair value
    1,595,000,000 1,295,000,000 1,203,000,000 1,095,000,000 2,215,000,000 2,017,000,000 1,340,000,000 1,057,000,000 1,009,000,000 873,000,000 828,000,000 677,000,000 631,000,000 538,000,000 589,000,000 631,000,000 584,000,000 1,038,000,000 4,821,000,000 5,553,000,000 6,244,000,000 6,616,000,000 6,534,000,000 7,031,000,000 8,939,000,000 9,646,000,000 13,127,000,000 16,017,000,000 14,993,000,000 14,146,000,000 14,919,000,000 
      other invested assets
    8,852,000,000 8,301,000,000 8,971,000,000 8,537,000,000 6,825,000,000 5,635,000,000 5,724,000,000 6,719,000,000 6,080,000,000 5,235,000,000 4,611,000,000 3,885,000,000 2,849,000,000 2,160,000,000 2,625,000,000 3,591,000,000 2,660,000,000 2,738,000,000 2,913,000,000 2,728,000,000 1,802,000,000 2,280,000,000 2,112,000,000 2,753,000,000 2,349,000,000 2,298,000,000 2,244,000,000 2,037,000,000 2,920,000,000 1,792,000,000 4,061,000,000 
      total investments
    116,505,000,000 121,798,000,000 118,908,000,000 116,447,000,000 114,246,000,000 107,726,000,000 102,620,000,000 102,173,000,000 97,209,000,000 97,722,000,000 96,223,000,000 93,097,000,000 92,517,000,000 93,216,000,000 98,776,000,000 105,111,000,000 102,007,000,000 100,467,000,000 105,497,000,000 109,087,000,000 105,778,000,000 102,693,000,000 96,216,000,000 93,340,000,000 94,717,000,000 86,901,000,000 82,948,000,000 81,333,000,000 78,942,000,000 76,828,000,000 78,883,000,000 
      cash and cash equivalents
    13,604,000,000 14,957,000,000 8,164,000,000 6,964,000,000 9,579,000,000 9,684,000,000 10,357,000,000 8,239,000,000 6,096,000,000 7,693,000,000 5,018,000,000 4,281,000,000 4,139,000,000 5,109,000,000 5,713,000,000 5,188,000,000 5,255,000,000 5,761,000,000 6,795,000,000 6,179,000,000 8,684,000,000 8,364,000,000 10,315,000,000 4,405,000,000 4,471,000,000 4,734,000,000 5,129,000,000 4,469,000,000 4,777,000,000 6,833,000,000 6,091,000,000 
      cash and securities segregated, at fair value
    425,000,000 483,000,000 772,000,000 500,000,000 547,000,000 592,000,000 866,000,000 868,000,000 928,000,000 879,000,000 1,055,000,000 1,522,000,000 1,335,000,000 1,747,000,000 1,693,000,000 1,504,000,000 909,000,000 1,073,000,000 1,413,000,000 1,753,000,000 1,869,000,000 1,882,000,000 2,013,000,000 1,095,000,000 958,000,000 1,110,000,000 1,262,000,000 1,170,000,000 1,263,000,000 1,289,000,000 1,025,000,000 
      broker-dealer related receivables
    1,996,000,000 1,933,000,000 1,931,000,000 1,961,000,000 1,898,000,000 1,801,000,000 1,808,000,000 1,837,000,000 2,017,000,000 2,053,000,000 2,203,000,000 2,338,000,000 2,539,000,000 2,666,000,000 2,744,000,000 2,599,000,000 2,639,000,000 2,474,000,000 2,361,000,000 2,223,000,000 1,929,000,000 1,998,000,000 2,436,000,000 1,987,000,000 1,935,000,000 2,156,000,000 2,122,000,000 2,209,000,000 2,224,000,000 2,276,000,000 2,300,000,000 
      deferred policy acquisition costs
    7,430,000,000 7,361,000,000 7,262,000,000 7,170,000,000 7,031,000,000 6,924,000,000 6,804,000,000 6,705,000,000 6,599,000,000 6,512,000,000 6,419,000,000 8,158,000,000 8,244,000,000 7,541,000,000 6,592,000,000 5,491,000,000 5,366,000,000 4,838,000,000 4,943,000,000 4,243,000,000 4,171,000,000 4,182,000,000 4,809,000,000 5,890,000,000 5,787,000,000 6,080,000,000 6,018,000,000 6,745,000,000 6,736,000,000 6,346,000,000 6,288,000,000 
      goodwill and other intangible assets
    5,327,000,000 5,342,000,000 5,356,000,000 5,371,000,000 5,388,000,000 5,403,000,000 5,419,000,000 5,433,000,000 5,448,000,000 5,463,000,000 5,478,000,000 5,482,000,000 5,635,000,000 4,721,000,000 4,723,000,000 4,728,000,000 4,734,000,000 4,739,000,000 4,744,000,000 4,737,000,000 4,745,000,000 4,756,000,000 4,760,000,000 4,751,000,000 4,765,000,000 4,776,000,000 4,769,000,000 4,780,000,000 4,791,000,000 4,802,000,000 4,813,000,000 
      amounts due from reinsurers
    20,025,000,000 7,501,000,000 7,523,000,000 8,044,000,000 8,222,000,000 8,237,000,000 8,387,000,000 8,352,000,000 8,271,000,000 8,395,000,000 8,453,000,000 17,201,000,000 13,378,000,000 13,758,000,000 14,060,000,000 14,679,000,000 14,801,000,000 14,462,000,000 4,526,000,000 4,566,000,000 4,580,000,000 4,665,000,000 4,614,000,000 4,592,000,000 4,656,000,000 4,740,000,000 4,850,000,000 4,895,000,000 4,909,000,000 4,963,000,000 4,953,000,000 
      current and deferred income taxes
    2,337,000,000 1,749,000,000 1,687,000,000 1,997,000,000 1,701,000,000 2,117,000,000 2,063,000,000 2,050,000,000 2,035,000,000 1,726,000,000 1,294,000,000 714,000,000 2,222,000,000 1,674,000,000 1,111,000,000 195,000,000 293,000,000 428,000,000 509,000,000 749,000,000 1,648,000,000 1,848,000,000 2,355,000,000 549,000,000 864,000,000 689,000,000 482,000,000  321,000,000   
      purchased market risk benefits
    5,415,000,000 5,543,000,000 5,976,000,000 7,376,000,000 8,492,000,000 7,993,000,000 8,337,000,000 9,427,000,000 8,745,000,000 9,931,000,000 10,676,000,000                     
      other assets
    3,678,000,000 3,962,000,000 4,574,000,000 4,462,000,000 3,738,000,000 3,825,000,000 3,618,000,000 3,323,000,000 3,945,000,000 3,391,000,000 3,629,000,000 4,031,000,000 4,680,000,000 4,787,000,000 3,852,000,000 3,613,000,000 4,545,000,000 4,149,000,000 3,859,000,000 3,701,000,000 4,476,000,000 3,724,000,000 5,824,000,000 3,799,000,000 3,882,000,000 3,760,000,000 3,787,000,000 3,127,000,000 3,124,000,000 3,025,000,000 3,239,000,000 
      assets for market risk benefits
    762,000,000 776,000,000 644,000,000 863,000,000 740,000,000 803,000,000 818,000,000 591,000,000 701,000,000 777,000,000 629,000,000                     
      separate accounts assets
    136,905,000,000 131,683,000,000 124,569,000,000 134,711,000,000 137,407,000,000 132,664,000,000 133,735,000,000 127,251,000,000 117,577,000,000 123,898,000,000 119,752,000,000 114,853,000,000 109,622,000,000 116,765,000,000 136,812,000,000 147,306,000,000 142,093,000,000 145,565,000,000 139,795,000,000 135,950,000,000 123,446,000,000 118,915,000,000 106,128,000,000 126,910,000,000 121,023,000,000 122,444,000,000 120,194,000,000 110,337,000,000 125,989,000,000 122,967,000,000 121,858,000,000 
      total assets
    314,409,000,000 303,088,000,000 287,366,000,000 295,866,000,000 298,989,000,000 287,769,000,000 285,577,000,000 276,814,000,000 260,252,000,000 269,006,000,000 261,500,000,000 253,468,000,000 245,600,000,000 253,482,000,000 277,658,000,000 292,262,000,000 284,579,000,000 285,982,000,000 276,832,000,000 275,397,000,000 262,496,000,000 254,110,000,000 240,781,000,000 249,870,000,000 244,646,000,000 238,597,000,000 232,819,000,000 220,797,000,000 234,451,000,000 231,012,000,000 232,294,000,000 
      liabilities
                                   
      policyholders’ account balances
    129,561,000,000 123,359,000,000 112,793,000,000 110,965,000,000 107,433,000,000 104,072,000,000 100,246,000,000 95,673,000,000 91,912,000,000 91,595,000,000 86,761,000,000 83,855,000,000 79,999,000,000 78,766,000,000 79,549,000,000 79,357,000,000 75,909,000,000 75,169,000,000 73,303,000,000 66,820,000,000 62,726,000,000 59,272,000,000 55,810,000,000 58,879,000,000 56,719,000,000 53,211,000,000 52,197,000,000 49,923,000,000 50,066,000,000 48,849,000,000 47,666,000,000 
      liability for market risk benefits
    10,301,000,000 10,187,000,000 10,864,000,000 11,810,000,000 13,197,000,000 12,593,000,000 12,814,000,000 14,612,000,000 13,011,000,000 13,642,000,000 15,061,000,000                     
      future policy benefits and other policyholders’ liabilities
    17,611,000,000 17,557,000,000 17,372,000,000 17,613,000,000                          29,351,000,000 29,586,000,000 
      broker-dealer related payables
    1,367,000,000 1,454,000,000 642,000,000 775,000,000 1,382,000,000 839,000,000 1,022,000,000 1,232,000,000 454,000,000 1,522,000,000 888,000,000 715,000,000 607,000,000 612,000,000 1,992,000,000 1,283,000,000 1,087,000,000 1,643,000,000 2,283,000,000 1,443,000,000 760,000,000 1,001,000,000 1,001,000,000 722,000,000 519,000,000 443,000,000 494,000,000 431,000,000 491,000,000 603,000,000 466,000,000 
      customer related payables
    1,740,000,000 1,885,000,000 2,135,000,000 1,933,000,000 1,795,000,000 2,060,000,000 2,162,000,000 2,201,000,000 2,321,000,000 2,526,000,000 2,595,000,000 3,323,000,000 3,361,000,000 3,821,000,000 3,684,000,000 3,600,000,000 3,153,000,000 2,942,000,000 3,179,000,000 3,417,000,000 3,461,000,000 3,199,000,000 3,630,000,000 2,523,000,000 2,381,000,000 2,686,000,000 2,999,000,000 3,095,000,000 2,781,000,000   
      amounts due to reinsurers
    1,451,000,000 1,350,000,000 1,357,000,000 1,407,000,000 1,421,000,000 1,363,000,000 1,377,000,000 1,450,000,000 1,424,000,000 1,404,000,000 1,428,000,000 1,533,000,000 1,348,000,000 1,353,000,000 1,331,000,000 1,381,000,000 1,466,000,000 1,377,000,000 1,340,000,000 1,381,000,000 1,391,000,000 1,399,000,000 1,380,000,000 1,404,000,000 1,387,000,000 1,390,000,000 1,372,000,000 1,438,000,000 1,415,000,000 1,398,000,000 1,396,000,000 
      long-term debt
    3,833,000,000 4,332,000,000 4,330,000,000 3,833,000,000 3,831,000,000 3,830,000,000 3,821,000,000 3,820,000,000 3,820,000,000 3,819,000,000 3,819,000,000 3,322,000,000                    
      notes issued by consolidated variable interest entities, at fair value using the fair value option
    2,530,000,000 2,471,000,000 2,110,000,000 2,116,000,000 1,744,000,000 1,740,000,000 1,580,000,000 1,559,000,000 1,541,000,000 1,484,000,000 1,169,000,000 1,150,000,000 1,165,000,000 1,150,000,000 1,182,000,000 1,191,000,000 1,190,000,000 746,000,000 323,000,000 313,000,000            
      other liabilities
    7,162,000,000 5,847,000,000 6,700,000,000 7,135,000,000 6,645,000,000 6,718,000,000 6,511,000,000 6,088,000,000 7,412,000,000 6,410,000,000 6,296,000,000 5,873,000,000 5,998,000,000 4,866,000,000 4,030,000,000 3,933,000,000 5,343,000,000 4,439,000,000 3,990,000,000 3,686,000,000 4,864,000,000 3,666,000,000 5,716,000,000 3,970,000,000 3,833,000,000 3,856,000,000 3,781,000,000 3,360,000,000 3,485,000,000 3,350,000,000 4,342,000,000 
      separate accounts liabilities
    136,905,000,000 131,683,000,000 124,569,000,000 134,711,000,000 137,407,000,000 132,664,000,000 133,735,000,000 127,251,000,000 117,577,000,000 123,898,000,000 119,752,000,000 114,853,000,000 109,622,000,000 116,765,000,000 136,812,000,000 147,306,000,000 142,093,000,000 145,565,000,000 139,795,000,000 135,950,000,000 123,446,000,000 118,915,000,000 106,128,000,000 126,910,000,000 121,023,000,000 122,444,000,000 120,194,000,000 110,337,000,000 125,989,000,000 122,967,000,000 121,858,000,000 
      total liabilities
    312,461,000,000 300,125,000,000 282,872,000,000 292,298,000,000 292,791,000,000 283,296,000,000 280,831,000,000 271,656,000,000 256,335,000,000 263,215,000,000 255,416,000,000 249,615,000,000 240,413,000,000 246,135,000,000 267,789,000,000 278,699,000,000 271,264,000,000 272,636,000,000 264,427,000,000 258,077,000,000 243,549,000,000 234,889,000,000 218,884,000,000 234,379,000,000 227,830,000,000 221,952,000,000 217,930,000,000 205,178,000,000 220,437,000,000 216,003,000,000 214,670,000,000 
      redeemable noncontrolling interest
    344,000,000 358,000,000 289,000,000 125,000,000 1,223,000,000 1,088,000,000 991,000,000 770,000,000 636,000,000 531,000,000 613,000,000 455,000,000 354,000,000 348,000,000 386,000,000 468,000,000 143,000,000 42,000,000 137,000,000 143,000,000 95,000,000 87,000,000 257,000,000 365,000,000 338,000,000 257,000,000 207,000,000 187,000,000 143,000,000 146,000,000 1,024,000,000 
      commitments and contingent liabilities
                                   
      equity
                                   
      equity attributable to holdings:
                                   
      preferred stock and additional paid-in capital, 1 par value and 25,000 liquidation preference
    1,068,000,000 1,228,000,000 1,507,000,000 1,507,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,562,000,000 1,269,000,000 1,269,000,000           
      common stock
    5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 3,000,000 4,000,000 4,000,000 4,000,000 4,000,000 4,000,000 4,000,000 4,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 5,000,000 6,000,000 6,000,000 6,000,000 
      additional paid-in capital
    1,917,000,000 1,901,000,000 2,305,000,000 2,336,000,000 2,343,000,000 2,337,000,000 2,322,000,000 2,328,000,000 2,308,000,000 2,297,000,000 2,298,000,000 2,299,000,000 2,027,000,000 1,918,000,000 1,933,000,000 1,919,000,000 1,917,000,000 1,980,000,000 1,928,000,000 1,985,000,000 1,953,000,000 1,938,000,000 1,930,000,000 1,920,000,000 1,897,000,000 1,901,000,000 1,881,000,000     
      treasury stock
    -5,011,000,000 -4,423,000,000 -4,296,000,000 -4,198,000,000 -4,072,000,000 -3,932,000,000 -3,801,000,000 -3,712,000,000 -3,592,000,000 -3,493,000,000 -3,400,000,000 -3,297,000,000 -3,202,000,000 -3,065,000,000 -3,070,000,000 -2,850,000,000 -2,537,000,000 -2,537,000,000 -2,300,000,000 -2,245,000,000 -2,147,000,000 -2,047,000,000 -2,025,000,000 -1,832,000,000 -1,269,000,000 -1,232,000,000 -1,234,000,000 -640,000,000 -56,000,000   
      retained earnings
    8,360,000,000 9,870,000,000 10,447,000,000 10,647,000,000 9,977,000,000 10,317,000,000 10,110,000,000 10,243,000,000 11,163,000,000 10,325,000,000 9,806,000,000 9,924,000,000 10,839,000,000 10,718,000,000 9,312,000,000 8,880,000,000 8,857,000,000 8,739,000,000 8,758,000,000 10,699,000,000 12,032,000,000 12,995,000,000 17,112,000,000 11,827,000,000 12,835,000,000 13,293,000,000 13,004,000,000 13,989,000,000 12,031,000,000 12,613,000,000 12,455,000,000 
      accumulated other comprehensive income
    -6,191,000,000 -7,432,000,000 -7,567,000,000 -8,712,000,000 -6,595,000,000 -8,645,000,000 -8,166,000,000 -7,777,000,000 -9,802,000,000 -7,142,000,000 -6,516,000,000 -8,834,000,000 -7,876,000,000 -5,548,000,000 -1,787,000,000 2,004,000,000 1,876,000,000 1,983,000,000 740,000,000 3,863,000,000 4,188,000,000 3,928,000,000 2,289,000,000 840,000,000 1,468,000,000 876,000,000 -513,000,000 -1,396,000,000 -1,595,000,000 -1,310,000,000 -946,000,000 
      total equity attributable to holdings
    148,000,000 1,149,000,000 2,401,000,000 1,585,000,000 3,220,000,000 1,644,000,000 2,032,000,000 2,649,000,000 1,642,000,000 3,553,000,000 3,754,000,000 1,658,000,000 3,354,000,000 5,589,000,000 7,954,000,000 11,519,000,000 11,680,000,000 11,732,000,000 10,693,000,000 15,576,000,000 17,300,000,000 17,594,000,000 20,086,000,000 13,535,000,000 14,936,000,000 14,843,000,000 13,143,000,000 13,866,000,000 12,411,000,000 13,376,000,000 13,565,000,000 
      noncontrolling interest
    1,456,000,000 1,456,000,000 1,804,000,000 1,858,000,000 1,755,000,000 1,741,000,000 1,723,000,000 1,739,000,000 1,639,000,000 1,707,000,000 1,717,000,000 1,740,000,000 1,479,000,000 1,410,000,000 1,529,000,000 1,576,000,000 1,492,000,000 1,572,000,000 1,575,000,000 1,601,000,000 1,552,000,000 1,540,000,000 1,554,000,000 1,591,000,000 1,542,000,000 1,545,000,000 1,539,000,000 1,566,000,000 1,460,000,000 1,487,000,000 3,035,000,000 
      total equity
    1,604,000,000 2,605,000,000 4,205,000,000 3,443,000,000 4,975,000,000 3,385,000,000 3,755,000,000 4,388,000,000 3,281,000,000 5,260,000,000 5,471,000,000 3,398,000,000 4,833,000,000 6,999,000,000 9,483,000,000 13,095,000,000 13,172,000,000 13,304,000,000 12,268,000,000 17,177,000,000 18,852,000,000 19,134,000,000 21,640,000,000 15,126,000,000 16,478,000,000 16,388,000,000 14,682,000,000 15,432,000,000 13,871,000,000 14,863,000,000 16,600,000,000 
      total liabilities, redeemable noncontrolling interest and equity
    314,409,000,000 303,088,000,000 287,366,000,000 295,866,000,000 298,989,000,000 287,769,000,000 285,577,000,000 276,814,000,000 260,252,000,000 269,006,000,000 261,500,000,000 253,468,000,000 245,600,000,000 253,482,000,000 277,658,000,000 292,262,000,000 284,579,000,000 285,982,000,000 276,832,000,000 275,397,000,000 262,496,000,000 254,110,000,000 240,781,000,000 249,870,000,000 244,646,000,000 238,597,000,000 232,819,000,000 220,797,000,000 234,451,000,000 231,012,000,000 232,294,000,000 
      assets held-for-sale
          745,000,000 565,000,000 681,000,000 566,000,000 671,000,000 562,000,000       483,000,000 470,000,000   843,000,000 962,000,000        
      short-term debt
           254,000,000   751,000,000 759,000,000                    
      liabilities held-for-sale
          239,000,000 153,000,000 216,000,000 129,000,000 158,000,000 108,000,000       270,000,000 322,000,000   679,000,000 724,000,000        
      future policy benefits and other policyholders' liabilities
        17,936,000,000 17,417,000,000 17,324,000,000 17,363,000,000 16,647,000,000 16,786,000,000 16,738,000,000 34,124,000,000 34,225,000,000 34,717,000,000 35,165,000,000 36,717,000,000 37,184,000,000 36,835,000,000 35,922,000,000 39,881,000,000 41,139,000,000 41,476,000,000 37,968,000,000 34,587,000,000 36,310,000,000 32,381,000,000 31,462,000,000 30,998,000,000    
      gmib reinsurance contract asset, at fair value
               1,229,000,000 1,289,000,000 1,498,000,000 1,582,000,000 1,848,000,000 1,937,000,000 2,026,000,000 1,907,000,000 2,488,000,000 2,818,000,000 2,931,000,000 2,823,000,000 2,139,000,000 2,452,000,000 1,896,000,000 1,740,000,000 1,732,000,000 1,375,000,000 1,636,000,000 1,734,000,000 
      short-term and long-term debt
                4,088,000,000 4,085,000,000 4,044,000,000 3,931,000,000 3,839,000,000 3,920,000,000 4,022,000,000 4,115,000,000 4,114,000,000 4,113,000,000 4,217,000,000 4,111,000,000 4,794,000,000 4,852,000,000 4,949,000,000 4,955,000,000 4,806,000,000 4,922,000,000 2,373,000,000 
      preferred stock and additional paid-in capital, 1 par value, 32 million shares authorized, issued and outstanding; 25,000 liquidation preference
                         775,000,000 775,000,000         
      real estate held for production of income
                           27,000,000 27,000,000 48,000,000 68,000,000 52,000,000 54,000,000 53,000,000 52,000,000 
      securities sold under agreements to repurchase
                               573,000,000 1,900,000,000 1,850,000,000 1,904,000,000 
      preferred stock and additional paid-in capital, par value 1.00 per share; 25,000 liquidation preference at december 31, 2019
                           775,000,000        
      fixed maturities available for sale, at fair value
                               46,279,000,000 43,779,000,000 43,905,000,000 43,484,000,000 
      loans to affiliates
                                  885,000,000 
      loans from affiliates
                                  2,530,000,000 
      income taxes payable
                               68,000,000    
      capital in excess of par value
                               1,908,000,000 2,025,000,000 2,067,000,000 2,050,000,000 
      future policy benefits and other policyholders liabilities
                                29,504,000,000   
      current and deferred tax assets
                                 47,000,000 225,000,000 
      customers related payables
                                 2,713,000,000 2,549,000,000 
    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.