7Baggers
Quarterly
Annual
    Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-09-30 2024-06-30 2024-03-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-09-30 2019-06-30 2019-03-31 2018-09-30 2018-06-30 2018-03-31 2017-09-30 2017-06-30 2017-03-31 2016-09-30 2016-06-30 2016-03-31 2015-09-30 2015-06-30 2015-03-31 2014-09-30 2014-06-30 2014-03-31 2013-09-30 2013-06-30 2013-03-31 2012-06-30 2011-09-30 
      
                                               
      assets
                                               
      investments:
                                               
      fixed maturity securities available-for-sale, at estimated fair value (net of allowance for credit loss of 248 and 160, respectively); and amortized cost: 324,833 and 307,421, respectively
    304,645,000,000                                           
      equity securities, at estimated fair value
    788,000,000 790,000,000 747,000,000 746,000,000 754,000,000 750,000,000 742,000,000 769,000,000 1,695,000,000 1,684,000,000 973,000,000 1,085,000,000 988,000,000 941,000,000 1,001,000,000 1,063,000,000 1,079,000,000 1,111,000,000 1,105,000,000 1,050,000,000 1,341,000,000 1,476,000,000 1,432,000,000 1,479,000,000 1,483,000,000 1,544,000,000                  
      contractholder-directed equity securities and fair value option securities, at estimated fair value
    12,270,000,000 11,694,000,000 10,725,000,000 9,289,000,000 10,106,000,000 10,313,000,000 9,680,000,000 10,204,000,000 10,063,000,000 9,668,000,000 8,954,000,000 9,875,000,000 11,418,000,000 12,055,000,000 12,177,000,000 12,975,000,000 13,319,000,000 12,276,000,000 11,911,000,000 11,145,000,000 12,671,000,000 13,000,000,000 13,245,000,000 13,540,000,000 13,848,000,000 16,444,000,000                  
      mortgage loans
    85,843,000,000 86,868,000,000 87,908,000,000 90,415,000,000 89,802,000,000 91,458,000,000 92,230,000,000 92,986,000,000 85,572,000,000 83,763,000,000 82,437,000,000 82,055,000,000 79,968,000,000 80,964,000,000 81,497,000,000 83,015,000,000 83,919,000,000 82,881,000,000 82,890,000,000 81,344,000,000 78,959,000,000 77,997,000,000 78,601,000,000 72,461,000,000 70,852,000,000 71,055,000,000 68,057,000,000 77,572,000,000 76,541,000,000 71,156,000,000 69,399,000,000 68,651,000,000 63,553,000,000 64,010,000,000 62,409,000,000 58,038,000,000 57,223,000,000 57,139,000,000 57,733,000,000 55,636,000,000 55,614,000,000 58,941,000,000 62,949,000,000 
      policy loans
    8,589,000,000 8,664,000,000 8,663,000,000 8,822,000,000 8,691,000,000 8,800,000,000 8,725,000,000 8,788,000,000 8,863,000,000 8,874,000,000 8,783,000,000 8,876,000,000 9,036,000,000 9,186,000,000 9,256,000,000 9,334,000,000 9,493,000,000 9,580,000,000 9,639,000,000 9,638,000,000 9,671,000,000 9,705,000,000 9,670,000,000 9,703,000,000 9,702,000,000 9,744,000,000 9,585,000,000 11,072,000,000 11,115,000,000 11,177,000,000 11,240,000,000 11,257,000,000 11,549,000,000 11,575,000,000 11,606,000,000 11,756,000,000 11,785,000,000 11,762,000,000 11,782,000,000 11,722,000,000 11,781,000,000 11,912,000,000 11,932,000,000 
      real estate and real estate joint ventures
    13,932,000,000 14,007,000,000 13,481,000,000 13,731,000,000 13,517,000,000 12,992,000,000 13,133,000,000 13,045,000,000 13,155,000,000 13,137,000,000 12,532,000,000 12,376,000,000 12,379,000,000 12,182,000,000 11,901,000,000 12,007,000,000 11,933,000,000 11,643,000,000 11,524,000,000 11,250,000,000 10,246,000,000 10,326,000,000 10,022,000,000 9,977,000,000 9,741,000,000 9,862,000,000 9,486,000,000 9,484,000,000 9,464,000,000 9,186,000,000 9,063,000,000 8,733,000,000 9,923,000,000 10,207,000,000 10,310,000,000 10,393,000,000 10,101,000,000 9,930,000,000 10,053,000,000 9,886,000,000 9,998,000,000 8,477,000,000 8,197,000,000 
      other limited partnership interests
    14,741,000,000 14,279,000,000 14,137,000,000 14,186,000,000 14,288,000,000 14,301,000,000 14,918,000,000 14,722,000,000 14,437,000,000 14,414,000,000 14,387,000,000 14,636,000,000 14,570,000,000 13,480,000,000 11,980,000,000 10,961,000,000 9,470,000,000 8,569,000,000 7,794,000,000 8,230,000,000 7,441,000,000 7,054,000,000 6,787,000,000 6,374,000,000 5,985,000,000 5,876,000,000 5,501,000,000 6,874,000,000 6,762,000,000 6,878,000,000 6,982,000,000 7,022,000,000 7,901,000,000 8,099,000,000 8,074,000,000 8,214,000,000 7,964,000,000 7,819,000,000 7,253,000,000 7,197,000,000 7,087,000,000 6,726,000,000 6,538,000,000 
      short-term investments, principally at estimated fair value
    5,962,000,000 5,300,000,000 5,543,000,000 4,609,000,000 3,804,000,000 4,884,000,000 6,497,000,000 6,921,000,000 4,184,000,000 4,935,000,000 5,266,000,000 3,043,000,000 3,146,000,000 7,150,000,000 3,759,000,000 4,781,000,000 3,904,000,000 3,832,000,000 5,345,000,000 5,930,000,000 3,536,000,000 2,811,000,000 4,524,000,000 5,231,000,000 3,853,000,000 5,121,000,000 7,217,000,000 7,177,000,000 9,968,000,000 11,655,000,000 9,838,000,000 11,621,000,000 14,957,000,000 14,594,000,000 14,130,000,000 12,240,000,000 12,366,000,000 13,908,000,000 12,664,000,000 12,990,000,000 13,653,000,000 18,526,000,000 15,913,000,000 
      other invested assets
    16,932,000,000 16,352,000,000 17,470,000,000 19,706,000,000 18,131,000,000 18,097,000,000 18,755,000,000 19,656,000,000 19,479,000,000 20,038,000,000 22,299,000,000 19,901,000,000 18,696,000,000 18,683,000,000 18,977,000,000 18,677,000,000 20,593,000,000 22,544,000,000 24,731,000,000 27,839,000,000 21,979,000,000 20,036,000,000 18,175,000,000 16,336,000,000 17,017,000,000 17,486,000,000 17,652,000,000                 
      total investments
    463,702,000,000 456,691,000,000 450,409,000,000 455,283,000,000 436,829,000,000 440,004,000,000 435,662,000,000 450,948,000,000 441,302,000,000 433,293,000,000 426,396,000,000 436,025,000,000 470,280,000,000 495,679,000,000 491,243,000,000 485,754,000,000 508,519,000,000 506,245,000,000 494,944,000,000 483,111,000,000 471,893,000,000 461,094,000,000 450,866,000,000 439,941,000,000 438,812,000,000 441,843,000,000 445,706,000,000 514,036,000,000 506,878,000,000 548,791,000,000 543,511,000,000 524,727,000,000 501,577,000,000 500,384,000,000 516,751,000,000 507,551,000,000 505,305,000,000 493,247,000,000 484,925,000,000 491,206,000,000 512,472,000,000 516,419,000,000 504,410,000,000 
      cash and cash equivalents, principally at estimated fair value
    20,233,000,000 22,178,000,000 21,326,000,000 21,765,000,000 20,786,000,000 19,840,000,000 14,912,000,000 15,417,000,000 18,456,000,000 20,195,000,000 22,200,000,000 20,548,000,000 23,488,000,000 18,956,000,000 25,037,000,000 19,635,000,000 19,795,000,000 24,405,000,000 24,289,000,000 24,094,000,000 19,452,000,000 18,435,000,000 14,506,000,000 12,490,000,000 16,312,000,000 13,927,000,000 13,023,000,000 17,319,000,000 17,411,000,000 15,883,000,000 17,067,000,000 13,290,000,000 10,216,000,000 8,074,000,000 8,127,000,000 8,783,000,000 7,393,000,000 8,573,000,000 11,376,000,000 9,184,000,000 9,983,000,000 16,035,000,000 10,001,000,000 
      accrued investment income
    3,791,000,000 3,532,000,000 3,557,000,000 3,722,000,000 3,657,000,000 3,636,000,000 3,704,000,000 3,505,000,000 3,554,000,000 3,446,000,000 3,355,000,000 3,154,000,000 3,251,000,000 3,354,000,000 3,202,000,000 3,363,000,000 3,388,000,000 3,424,000,000 3,388,000,000 3,828,000,000 3,561,000,000 3,535,000,000 3,569,000,000 3,691,000,000 3,512,000,000 3,638,000,000 3,692,000,000 3,970,000,000 3,984,000,000 4,197,000,000 3,884,000,000 4,198,000,000 4,187,000,000 3,990,000,000 4,298,000,000 4,380,000,000 4,234,000,000 4,446,000,000 4,519,000,000 4,357,000,000 4,555,000,000 4,404,000,000 4,793,000,000 
      premiums, reinsurance and other receivables
    40,329,000,000 31,503,000,000 31,251,000,000 31,443,000,000 31,820,000,000 29,986,000,000 19,002,000,000 18,530,000,000 18,692,000,000 17,461,000,000 17,666,000,000 17,769,000,000 17,926,000,000 17,816,000,000 18,236,000,000 18,727,000,000 17,870,000,000 20,712,000,000 20,848,000,000 21,224,000,000 20,723,000,000 20,425,000,000 20,615,000,000 19,820,000,000 19,608,000,000 19,368,000,000 18,588,000,000 26,487,000,000 25,916,000,000 26,178,000,000 26,035,000,000 27,843,000,000 25,808,000,000 24,872,000,000 24,190,000,000 23,814,000,000 23,730,000,000 23,031,000,000 23,473,000,000 23,283,000,000 23,052,000,000 23,974,000,000 23,137,000,000 
      market risk benefits, at estimated fair value
    392,000,000 352,000,000 317,000,000 310,000,000 356,000,000 351,000,000 334,000,000 279,000,000 227,000,000                                   
      deferred policy acquisition costs and value of business acquired
    21,175,000,000 20,993,000,000 20,162,000,000 20,401,000,000 19,568,000,000 19,842,000,000 19,737,000,000 19,850,000,000 19,976,000,000 22,983,000,000 21,523,000,000 20,248,000,000 18,409,000,000 16,191,000,000 16,527,000,000 17,214,000,000 16,389,000,000 16,179,000,000 16,353,000,000 17,254,000,000 17,382,000,000 17,880,000,000 18,349,000,000 19,160,000,000 19,013,000,000 19,330,000,000 18,399,000,000 25,408,000,000 25,547,000,000 24,748,000,000 24,748,000,000 23,973,000,000 23,996,000,000 24,379,000,000 24,003,000,000 25,503,000,000 25,915,000,000 26,352,000,000 25,639,000,000 24,782,000,000 24,645,000,000 24,505,000,000 27,623,000,000 
      current income tax recoverable
    374,000,000 554,000,000 338,000,000 304,000,000 348,000,000   189,000,000  42,000,000 194,000,000 274,000,000 39,000,000  52,000,000 214,000,000      97,000,000     3,000,000 66,000,000 25,000,000  51,000,000 125,000,000            
      deferred income tax asset
    2,719,000,000 2,925,000,000 2,524,000,000 2,469,000,000 2,681,000,000 2,751,000,000 3,174,000,000 2,377,000,000 2,257,000,000 2,830,000,000 2,700,000,000                                 
      goodwill
    9,095,000,000 9,142,000,000 9,036,000,000 9,155,000,000 8,950,000,000 9,037,000,000 9,109,000,000 9,261,000,000 9,379,000,000 9,297,000,000 9,005,000,000 9,151,000,000 9,510,000,000 9,638,000,000 9,768,000,000 9,944,000,000 10,112,000,000 9,360,000,000 9,245,000,000 9,159,000,000 9,278,000,000 9,408,000,000 9,418,000,000 9,440,000,000 9,499,000,000 9,733,000,000 9,556,000,000 9,385,000,000 9,350,000,000 9,592,000,000 9,852,000,000 9,729,000,000 9,546,000,000 9,644,000,000 9,717,000,000 10,216,000,000 10,430,000,000 10,433,000,000 9,509,000,000 9,447,000,000 9,696,000,000 11,823,000,000 12,006,000,000 
      other assets
    11,572,000,000 11,425,000,000 11,253,000,000 11,315,000,000 11,043,000,000 11,126,000,000 10,862,000,000 10,977,000,000 12,006,000,000 11,026,000,000 11,294,000,000 11,895,000,000 11,743,000,000 11,614,000,000 11,651,000,000 12,164,000,000 11,685,000,000 10,471,000,000 11,173,000,000 10,617,000,000 10,166,000,000 10,029,000,000 10,100,000,000 8,493,000,000 8,230,000,000 8,387,000,000 8,149,000,000 8,073,000,000 8,055,000,000 7,867,000,000 7,747,000,000 7,496,000,000 7,881,000,000 7,589,000,000 7,980,000,000 8,900,000,000 9,136,000,000 8,387,000,000 7,952,000,000 7,830,000,000 8,062,000,000 7,711,000,000 8,340,000,000 
      separate account assets
    146,344,000,000 143,175,000,000 138,143,000,000 148,809,000,000 139,707,000,000 141,003,000,000 135,624,000,000 145,946,000,000 148,417,000,000 146,038,000,000 135,771,000,000 143,829,000,000 165,056,000,000 180,954,000,000 189,947,000,000 196,200,000,000 199,970,000,000 189,696,000,000 187,343,000,000 168,454,000,000 190,357,000,000 191,264,000,000 185,765,000,000 185,416,000,000 191,347,000,000 196,358,000,000 203,399,000,000 320,455,000,000 317,521,000,000 315,648,000,000 309,672,000,000 306,047,000,000 299,249,000,000 319,477,000,000 324,724,000,000 319,480,000,000 324,977,000,000 316,434,000,000 255,250,000,000 245,573,000,000 249,220,000,000 220,317,000,000 191,499,000,000 
      total assets
    719,726,000,000 702,470,000,000 688,316,000,000 704,976,000,000 675,745,000,000 677,576,000,000 652,120,000,000 677,279,000,000 674,266,000,000 666,611,000,000 650,104,000,000 662,893,000,000 724,284,000,000 761,664,000,000 773,253,000,000 769,814,000,000 795,146,000,000 780,492,000,000 767,583,000,000 737,741,000,000 742,812,000,000 732,167,000,000 713,188,000,000 698,451,000,000 706,333,000,000 712,584,000,000 720,515,000,000 925,199,000,000 914,687,000,000 952,904,000,000 942,567,000,000 917,428,000,000 882,460,000,000 898,409,000,000 919,790,000,000 908,627,000,000 911,120,000,000 890,903,000,000 822,643,000,000 815,662,000,000 841,685,000,000 825,188,000,000 785,230,000,000 
      liabilities and equity
                                               
      liabilities
                                               
      future policy benefits
    199,169,000,000 198,965,000,000 197,667,000,000 201,340,000,000 190,993,000,000 191,013,000,000 181,755,000,000 190,474,000,000 191,741,000,000 204,228,000,000 199,671,000,000 193,474,000,000 195,789,000,000 197,086,000,000 199,376,000,000 197,755,000,000 206,656,000,000 203,929,000,000 196,522,000,000 193,106,000,000 193,310,000,000 191,139,000,000 187,508,000,000 185,476,000,000 184,461,000,000 180,348,000,000 176,005,000,000 205,836,000,000 203,226,000,000 208,561,000,000 204,461,000,000 196,967,000,000 190,754,000,000 188,928,000,000 191,217,000,000 189,282,000,000 189,675,000,000 189,970,000,000 186,528,000,000 184,697,000,000 190,054,000,000 188,509,000,000 182,736,000,000 
      policyholder account balances
    235,312,000,000 232,433,000,000 225,623,000,000 224,609,000,000 219,543,000,000 219,168,000,000 213,933,000,000 214,413,000,000 212,569,000,000 203,082,000,000 198,251,000,000 200,580,000,000 206,762,000,000 203,973,000,000 204,948,000,000 205,186,000,000 205,176,000,000 201,072,000,000 198,147,000,000 193,875,000,000 189,060,000,000 190,033,000,000 187,333,000,000 184,094,000,000 182,493,000,000 184,289,000,000 182,513,000,000 216,257,000,000 214,757,000,000 216,192,000,000 213,526,000,000 207,593,000,000 202,291,000,000 204,262,000,000 206,591,000,000 215,226,000,000 213,799,000,000 209,498,000,000 214,512,000,000 215,195,000,000 224,044,000,000 225,909,000,000 217,764,000,000 
      other policy-related balances
    20,361,000,000 19,899,000,000 19,523,000,000 19,932,000,000 19,379,000,000 20,219,000,000 19,665,000,000 19,642,000,000 19,598,000,000 19,651,000,000 19,491,000,000 19,284,000,000 19,553,000,000 17,735,000,000 17,527,000,000 18,045,000,000 17,101,000,000 16,883,000,000 16,870,000,000 16,755,000,000 16,960,000,000 16,815,000,000 16,967,000,000 16,207,000,000 15,908,000,000 16,023,000,000 15,026,000,000 14,708,000,000 14,713,000,000 14,857,000,000 14,447,000,000 14,435,000,000 14,521,000,000 14,393,000,000 14,586,000,000 15,026,000,000 15,361,000,000 15,369,000,000 15,530,000,000 15,279,000,000 15,472,000,000 15,664,000,000 15,451,000,000 
      policyholder dividends payable
    369,000,000 367,000,000 356,000,000 381,000,000 365,000,000 357,000,000 381,000,000 366,000,000 356,000,000 387,000,000 429,000,000 457,000,000 450,000,000 525,000,000 572,000,000 562,000,000 587,000,000 595,000,000 670,000,000 654,000,000 692,000,000 689,000,000 671,000,000 709,000,000 695,000,000 672,000,000 730,000,000 722,000,000 699,000,000 763,000,000 734,000,000 706,000,000 716,000,000 699,000,000 677,000,000 710,000,000 682,000,000 656,000,000 769,000,000 750,000,000 713,000,000 786,000,000 871,000,000 
      payables for collateral under securities loaned and other transactions
    17,139,000,000 17,147,000,000 17,440,000,000 17,132,000,000 17,719,000,000 17,470,000,000 17,797,000,000 18,806,000,000 19,863,000,000 20,937,000,000 24,890,000,000 23,819,000,000 30,481,000,000 31,382,000,000 30,620,000,000 28,694,000,000 29,475,000,000 34,772,000,000 34,133,000,000 35,530,000,000 28,443,000,000 25,354,000,000 25,084,000,000 26,075,000,000 27,030,000,000 26,151,000,000 27,132,000,000 33,725,000,000 32,899,000,000 44,422,000,000 45,790,000,000 41,165,000,000 37,991,000,000 35,532,000,000 37,312,000,000 33,776,000,000 33,187,000,000 32,469,000,000 31,866,000,000 33,247,000,000 34,215,000,000 40,302,000,000 34,933,000,000 
      short-term debt
    378,000,000 379,000,000 381,000,000 404,000,000 390,000,000 127,000,000 161,000,000 200,000,000 168,000,000 175,000,000 183,000,000 196,000,000 323,000,000 346,000,000 393,000,000 302,000,000 393,000,000 351,000,000 303,000,000 298,000,000 142,000,000 158,000,000 289,000,000 290,000,000 479,000,000 526,000,000 214,000,000 235,000,000 260,000,000 201,000,000 103,000,000 100,000,000 100,000,000 100,000,000 100,000,000 100,000,000 100,000,000 100,000,000 100,000,000 100,000,000 100,000,000 101,000,000 451,000,000 
      long-term debt
    15,300,000,000 15,374,000,000 14,695,000,000 15,278,000,000 14,809,000,000 15,972,000,000 15,475,000,000 14,539,000,000 14,622,000,000 14,647,000,000 14,520,000,000 13,677,000,000 13,848,000,000 14,010,000,000 14,518,000,000 14,509,000,000 14,603,000,000 14,539,000,000 14,513,000,000 14,510,000,000 13,443,000,000 13,346,000,000 12,850,000,000 13,408,000,000 14,536,000,000 15,707,000,000 16,688,000,000 19,508,000,000 16,511,000,000 16,553,000,000 16,586,000,000 17,915,000,000 16,755,000,000 16,770,000,000 17,714,000,000 16,389,000,000 16,783,000,000 16,793,000,000 18,252,000,000 18,577,000,000 18,721,000,000 18,879,000,000 24,753,000,000 
      collateral financing arrangement
    398,000,000 438,000,000 463,000,000 529,000,000 555,000,000 590,000,000 651,000,000 675,000,000 704,000,000 716,000,000 729,000,000 741,000,000 754,000,000 806,000,000 818,000,000 833,000,000 845,000,000 924,000,000 968,000,000 981,000,000 1,013,000,000 1,026,000,000 1,048,000,000 1,073,000,000 1,085,000,000 1,108,000,000 1,220,000,000                 
      subordinated debt securities
    4,154,000,000 4,153,000,000 4,153,000,000                                         
      deferred income tax liability
    574,000,000 430,000,000 430,000,000 956,000,000 216,000,000 835,000,000 128,000,000 752,000,000 1,111,000,000 325,000,000 172,000,000 1,301,000,000 5,690,000,000 9,850,000,000 9,748,000,000 8,570,000,000 11,008,000,000 10,839,000,000 11,334,000,000 10,009,000,000 10,153,000,000 8,766,000,000 7,075,000,000 4,924,000,000 5,377,000,000 6,304,000,000 8,554,000,000 10,383,000,000 9,550,000,000 14,359,000,000 14,966,000,000 13,776,000,000 11,363,000,000 10,762,000,000 13,305,000,000 11,357,000,000 10,453,000,000 8,906,000,000 5,955,000,000 6,602,000,000 8,699,000,000 8,603,000,000 7,214,000,000 
      other liabilities
    48,452,000,000 39,074,000,000 38,843,000,000 38,162,000,000 38,748,000,000 36,158,000,000 34,698,000,000 34,555,000,000 25,112,000,000 25,980,000,000 27,509,000,000 25,011,000,000 23,888,000,000 23,697,000,000 23,250,000,000 24,457,000,000 23,614,000,000 26,589,000,000 23,963,000,000 27,570,000,000 25,070,000,000 24,548,000,000 25,091,000,000 25,202,000,000 24,930,000,000 24,013,000,000 26,745,000,000 27,060,000,000 27,232,000,000 32,127,000,000 32,285,000,000 32,878,000,000 27,977,000,000 27,741,000,000 28,040,000,000 25,373,000,000 25,214,000,000 24,178,000,000 22,902,000,000 25,331,000,000 24,260,000,000 25,395,000,000 23,121,000,000 
      separate account liabilities
    146,344,000,000 143,175,000,000 138,143,000,000 148,809,000,000 139,707,000,000 141,003,000,000 135,624,000,000 145,946,000,000 148,417,000,000 146,038,000,000 135,771,000,000 143,829,000,000 165,056,000,000 180,954,000,000 189,947,000,000 196,200,000,000 199,970,000,000 189,696,000,000 187,343,000,000 168,454,000,000 190,357,000,000 191,264,000,000 185,765,000,000 185,416,000,000 191,347,000,000 196,358,000,000 203,399,000,000 320,455,000,000 317,521,000,000 315,648,000,000 309,672,000,000 306,047,000,000 299,249,000,000 319,477,000,000 324,724,000,000 319,480,000,000 324,977,000,000 316,434,000,000 255,250,000,000 245,573,000,000 249,220,000,000 220,317,000,000 191,499,000,000 
      total liabilities
    690,535,000,000 674,543,000,000 660,561,000,000 673,812,000,000 648,205,000,000 648,780,000,000 626,225,000,000 646,787,000,000 641,843,000,000 639,324,000,000 624,774,000,000 625,526,000,000 670,047,000,000 692,331,000,000 703,830,000,000 703,677,000,000 720,329,000,000 706,923,000,000 691,643,000,000 667,278,000,000 674,193,000,000 668,121,000,000 654,450,000,000 646,642,000,000 652,501,000,000 656,076,000,000 663,571,000,000 855,530,000,000 846,579,000,000 874,438,000,000 863,194,000,000 841,463,000,000 811,393,000,000 828,420,000,000 845,381,000,000 837,226,000,000 840,838,000,000 824,464,000,000 761,265,000,000 755,124,000,000 776,717,000,000 762,364,000,000 724,355,000,000 
      contingencies, commitments and guarantees
                                               
      equity
                                               
      metlife, inc.’s stockholders’ equity:
                                               
      preferred stock, par value 0.01 per share; 2,905 and 3,905, respectively, aggregate liquidation preference
                                               
      common stock
    12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 12,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 
      additional paid-in capital
    32,855,000,000 33,822,000,000 33,820,000,000 33,766,000,000 33,740,000,000 33,718,000,000 33,666,000,000 33,630,000,000 33,617,000,000 33,616,000,000 33,589,000,000 33,548,000,000 33,531,000,000 33,457,000,000 33,440,000,000 33,910,000,000 33,812,000,000 33,744,000,000 33,728,000,000 33,711,000,000 32,639,000,000 32,602,000,000 32,535,000,000 32,475,000,000 32,454,000,000 31,653,000,000 31,066,000,000 31,021,000,000 30,990,000,000 30,797,000,000 30,783,000,000 30,769,000,000 30,726,000,000 30,718,000,000 30,632,000,000 29,488,000,000 29,438,000,000 29,384,000,000 29,221,000,000 28,137,000,000 28,072,000,000 26,927,000,000 26,744,000,000 
      retained earnings
    43,887,000,000 43,447,000,000 43,131,000,000 41,765,000,000 40,873,000,000 40,350,000,000 39,958,000,000 39,928,000,000 39,957,000,000 41,953,000,000 41,032,000,000 41,101,000,000 41,406,000,000 40,426,000,000 39,318,000,000 36,373,000,000 36,491,000,000 36,782,000,000 36,568,000,000 36,919,000,000 32,948,000,000 31,209,000,000 29,944,000,000 27,331,000,000 26,870,000,000 26,453,000,000 24,410,000,000 35,270,000,000 34,863,000,000 37,054,000,000 36,924,000,000 37,301,000,000 35,153,000,000 34,376,000,000 33,754,000,000 30,928,000,000 29,259,000,000 28,319,000,000 26,766,000,000 25,824,000,000 25,958,000,000 26,904,000,000 26,951,000,000 
      treasury stock
    -30,244,000,000 -29,737,000,000 -29,222,000,000 -27,418,000,000 -26,637,000,000 -25,774,000,000 -23,724,000,000 -22,923,000,000 -22,245,000,000 -21,458,000,000 -20,862,000,000 -20,188,000,000 -19,072,000,000 -16,956,000,000 -15,941,000,000 -14,828,000,000 -13,829,000,000 -13,258,000,000 -13,178,000,000 -13,178,000,000 -12,428,000,000 -11,643,000,000 -10,893,000,000 -9,193,000,000 -8,557,000,000 -7,442,000,000 -5,779,000,000 -5,284,000,000 -4,332,000,000 -3,172,000,000 -3,172,000,000 -3,172,000,000 -2,279,000,000 -2,172,000,000 -2,158,000,000 -615,000,000 -176,000,000 -172,000,000 -172,000,000 -172,000,000 -172,000,000 -172,000,000 -172,000,000 
      accumulated other comprehensive income
    -17,566,000,000 -19,859,000,000 -20,248,000,000 -17,240,000,000 -20,736,000,000 -19,771,000,000 -24,254,000,000 -20,386,000,000 -19,147,000,000 -27,083,000,000 -28,695,000,000 -17,372,000,000 -1,912,000,000 12,111,000,000 12,309,000,000 10,397,000,000 18,072,000,000 16,036,000,000 18,563,000,000 12,757,000,000 15,197,000,000 11,631,000,000 6,911,000,000 1,000,000,000 2,854,000,000 5,634,000,000 7,005,000,000 8,436,000,000 6,396,000,000 13,595,000,000 14,632,000,000 10,865,000,000 6,891,000,000 6,443,000,000 11,529,000,000 10,992,000,000 11,058,000,000 8,215,000,000 5,100,000,000 6,202,000,000 10,580,000,000 8,735,000,000 6,813,000,000 
      total metlife, inc.’s stockholders’ equity
    28,944,000,000 27,685,000,000 27,493,000,000 30,885,000,000 27,252,000,000 28,535,000,000 25,658,000,000 30,261,000,000 32,194,000,000 27,040,000,000 25,076,000,000 37,101,000,000 53,965,000,000 69,050,000,000 69,138,000,000 65,864,000,000 74,558,000,000 73,316,000,000 75,693,000,000 70,221,000,000 68,368,000,000 63,811,000,000 58,509,000,000 51,625,000,000 53,633,000,000 56,310,000,000 56,714,000,000 69,455,000,000 67,929,000,000 78,286,000,000 79,179,000,000 75,775,000,000 70,503,000,000 69,377,000,000 73,770,000,000 70,805,000,000 69,591,000,000 65,758,000,000 60,927,000,000 60,003,000,000 64,450,000,000 62,406,000,000 60,348,000,000 
      noncontrolling interests
    247,000,000 242,000,000 262,000,000 279,000,000 288,000,000 261,000,000 237,000,000 231,000,000 229,000,000 247,000,000 254,000,000 266,000,000 272,000,000 283,000,000 285,000,000 273,000,000 259,000,000 253,000,000 247,000,000 242,000,000 251,000,000 235,000,000 229,000,000 184,000,000 199,000,000 198,000,000 230,000,000 214,000,000 179,000,000 180,000,000 194,000,000 190,000,000 485,000,000 520,000,000 544,000,000 494,000,000 583,000,000 574,000,000 341,000,000 405,000,000 422,000,000 323,000,000 397,000,000 
      total equity
    29,191,000,000 27,927,000,000 27,755,000,000 31,164,000,000 27,540,000,000 28,796,000,000 25,895,000,000 30,492,000,000 32,423,000,000 27,287,000,000 25,330,000,000 37,367,000,000 54,237,000,000 69,333,000,000 69,423,000,000 66,137,000,000 74,817,000,000 73,569,000,000 75,940,000,000 70,463,000,000 68,619,000,000 64,046,000,000 58,738,000,000 51,809,000,000 53,832,000,000 56,508,000,000 56,944,000,000 69,669,000,000 68,108,000,000 78,466,000,000 79,373,000,000 75,965,000,000 70,988,000,000 69,897,000,000 74,314,000,000 71,299,000,000 70,174,000,000 66,332,000,000 61,268,000,000 60,408,000,000 64,872,000,000 62,729,000,000 60,745,000,000 
      total liabilities and equity
    719,726,000,000 702,470,000,000 688,316,000,000 704,976,000,000 675,745,000,000 677,576,000,000 652,120,000,000 677,279,000,000 674,266,000,000 666,611,000,000 650,104,000,000 662,893,000,000 724,284,000,000 761,664,000,000 773,253,000,000 769,814,000,000 795,146,000,000 780,492,000,000 767,583,000,000 737,741,000,000 742,812,000,000 732,167,000,000 713,188,000,000 698,451,000,000 706,333,000,000 712,584,000,000 720,515,000,000 925,199,000,000 914,687,000,000 952,904,000,000 942,567,000,000 917,428,000,000 882,460,000,000 898,409,000,000 919,790,000,000 908,627,000,000 911,120,000,000 890,903,000,000 822,643,000,000 815,662,000,000 841,685,000,000 825,188,000,000 785,230,000,000 
      fixed maturity securities available-for-sale, at estimated fair value (net of allowance for credit loss of 151 and 160, respectively); and amortized cost: 321,735 and 307,421, respectively
     298,737,000,000                                          
      preferred stock, par value 0.01 per share; 3,905 aggregate liquidation preference
                                               
      fixed maturity securities available-for-sale, at estimated fair value (net of allowance for credit loss of 137 and 160, respectively); and amortized cost: 315,474 and 307,421, respectively
      291,735,000,000                                         
      fixed maturity securities available-for-sale, at estimated fair value (net of allowance for credit loss of 162 and 184, respectively); and amortized cost: 309,406 and 300,555, respectively
       293,779,000,000                                        
      junior subordinated debt securities
       3,163,000,000 3,163,000,000 3,162,000,000 3,160,000,000 3,160,000,000 3,159,000,000 3,158,000,000 3,158,000,000 3,157,000,000 3,156,000,000 3,155,000,000 3,154,000,000 3,153,000,000 3,153,000,000 3,152,000,000 3,151,000,000 3,151,000,000 3,149,000,000 3,149,000,000 3,148,000,000 3,146,000,000 3,146,000,000 3,145,000,000 3,144,000,000 3,169,000,000 3,169,000,000 3,168,000,000 3,168,000,000 3,168,000,000 3,194,000,000 3,193,000,000 3,193,000,000 3,193,000,000 3,193,000,000 3,193,000,000 3,193,000,000 3,193,000,000 3,193,000,000 3,192,000,000 3,192,000,000 
      fixed maturity securities available-for-sale, at estimated fair value (net of allowance for credit loss of 121 and 184, respectively); and amortized cost: 303,191 and 300,555, respectively
        277,736,000,000                                       
      fixed maturity securities available-for-sale, at estimated fair value (net of allowance for credit loss of 113 and 184, respectively); and amortized cost: 300,623 and 300,555, respectively
         278,409,000,000                                      
      current income tax payable
         10,000,000 59,000,000  554,000,000     103,000,000   129,000,000 638,000,000 928,000,000 708,000,000 31,000,000  505,000,000 166,000,000 222,000,000 155,000,000    151,000,000   21,000,000 71,000,000 243,000,000 293,000,000 232,000,000 239,000,000 199,000,000 111,000,000 231,000,000 310,000,000 385,000,000 
      fixed maturity securities available-for-sale, at estimated fair value (net of allowance for credit loss of 182 and 183, respectively); and amortized cost: 306,181 and 306,025, respectively
          270,982,000,000                                     
      fixed maturity securities available-for-sale, at estimated fair value (net of allowance for credit loss of 197 and 183, respectively); and amortized cost: 307,045 and 306,025, respectively
           283,857,000,000                                    
      fixed maturity securities available-for-sale, at estimated fair value (net of allowance for credit loss of 193 and 183, respectively); and amortized cost: 304,962 and 306,025, respectively
            283,854,000,000                                   
      fixed maturity securities available-for-sale, at estimated fair value (net of allowance for credit loss of 183 and 91, respectively); and amortized cost: 306,025 and 310,884, respectively
             276,780,000,000                                  
      assets held-for-sale
                4,582,000,000 7,462,000,000 7,590,000,000 6,599,000,000 7,418,000,000                           
      policyholder dividend obligation
                 1,952,000,000 2,115,000,000 1,546,000,000 2,969,000,000 2,944,000,000 2,798,000,000 1,677,000,000 2,370,000,000 1,834,000,000 1,116,000,000 456,000,000 792,000,000 1,277,000,000 2,201,000,000 2,237,000,000 1,983,000,000 3,352,000,000 3,343,000,000 2,586,000,000 2,309,000,000 2,328,000,000 3,483,000,000 2,825,000,000 2,986,000,000 2,463,000,000 2,013,000,000 2,273,000,000 3,599,000,000 3,369,000,000 2,782,000,000 
      liabilities held-for-sale
                4,297,000,000 6,757,000,000 6,844,000,000 3,865,000,000 4,650,000,000                           
      fixed maturity securities available-for-sale, at estimated fair value
              270,765,000,000 284,178,000,000 320,079,000,000 341,038,000,000 340,695,000,000 332,941,000,000 354,809,000,000 353,809,000,000 340,005,000,000 326,685,000,000 326,049,000,000 318,689,000,000 308,410,000,000 304,840,000,000 306,331,000,000 304,711,000,000 308,894,000,000 364,084,000,000 355,528,000,000 390,442,000,000 387,508,000,000 371,981,000,000 351,578,000,000 351,353,000,000 366,275,000,000 368,070,000,000 367,056,000,000 355,069,000,000 348,787,000,000 356,514,000,000 374,294,000,000 366,339,000,000 353,927,000,000 
      preferred stock, par value 0.01 per share; 3,905 and 3,905 aggregate liquidation preference, respectively
                                               
      preferred stock, par value 0.01 per share; 3,905 and 4,405 aggregate liquidation preference
                                               
      preferred stock, par value 0.01 per share; 4,405 aggregate liquidation preference
                                               
      preferred stock, par value 0.01 per share; 4,405 and 3,405, respectively, aggregate liquidation preference
                                               
      preferred stock, par value 0.01 per share; 3,405 aggregate liquidation preference
                                               
      preferred stock, par value 0.01 per share; 3,405 and 2,100 aggregate liquidation preference, respectively
                                               
      preferred stock, par value 0.01 per share; 2,600 and 2,100 aggregate liquidation preference, respectively
                                               
      equity securities available-for-sale, at estimated fair value
                              2,776,000,000 3,415,000,000 3,377,000,000 3,289,000,000 3,333,000,000 3,374,000,000 3,399,000,000 3,677,000,000 3,713,000,000 3,689,000,000 3,863,000,000 3,693,000,000 3,241,000,000 3,231,000,000 3,188,000,000 2,882,000,000 3,118,000,000 
      fair value option securities, at estimated fair value
                              16,538,000,000 14,762,000,000 14,399,000,000               
      assets of disposed subsidiary
                                               
      liabilities of disposed subsidiary
                                               
      preferred stock, par value 0.01 per share; 2,100 aggregate liquidation preference
                                               
      other invested assets, principally at estimated fair value
                               19,596,000,000 19,724,000,000 30,278,000,000 31,834,000,000 27,095,000,000 23,356,000,000 20,409,000,000 23,763,000,000 17,905,000,000 17,116,000,000 16,433,000,000 16,766,000,000 17,920,000,000 20,269,000,000 24,288,000,000 23,138,000,000 
      collateral financing arrangements
                               1,235,000,000 4,059,000,000 4,084,000,000 4,113,000,000 4,127,000,000 4,152,000,000 4,164,000,000 4,196,000,000 4,196,000,000 4,196,000,000 4,196,000,000 4,196,000,000 4,196,000,000 4,196,000,000 4,196,000,000 5,297,000,000 
      fair value option and trading securities, at estimated fair value
                                 14,730,000,000 14,314,000,000 14,993,000,000 15,361,000,000 16,460,000,000 16,471,000,000 17,246,000,000 17,831,000,000 17,494,000,000 16,646,000,000 16,110,000,000 16,588,000,000   
      redeemable noncontrolling interests in partially-owned consolidated subsidiaries
                                    79,000,000 92,000,000 95,000,000    110,000,000 130,000,000 96,000,000   
      preferred stock, par value 0.01 per share; 200,000,000 shares authorized: 84,000,000 shares issued and outstanding; 2,100 aggregate liquidation preference
                                      1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000   
      redeemable noncontrolling interests
                                       102,000,000 108,000,000 107,000,000      
      mortgage loans:
                                               
      held-for-investment, principally at amortized cost
                                          57,508,000,000 55,636,000,000 55,343,000,000 57,201,000,000 59,209,000,000 
      held-for-sale, principally at estimated fair value
                                          225,000,000  271,000,000 1,740,000,000 3,740,000,000 
      bank deposits
                                             6,832,000,000 10,685,000,000 
      trading and other securities, at estimated fair value
                                             18,328,000,000 18,698,000,000 
      redeemable noncontrolling interests in partially owned consolidated subsidiaries
                                             95,000,000 130,000,000 
      preferred stock, par value 0.01 per share; 200,000,000 shares authorized: 84,000,000 shares issued and outstanding;
                                               
      2,100 aggregate liquidation preference
                                             1,000,000  
      assets of subsidiaries held-for-sale
                                              3,421,000,000 
      liabilities of subsidiaries held-for-sale
                                              3,221,000,000 
      preferred stock, par value 0.01 per share; 200,000,000 shares authorized:
                                               
      preferred stock, 84,000,000 shares issued and outstanding; 2,100 aggregate liquidation preference
                                              1,000,000 
      convertible preferred stock, 0 and 6,857,000 shares issued and outstanding at september 30, 2011 and december 31, 2010, respectively
                                               
    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.