v3.25.4
Debt (Tables)
12 Months Ended
Dec. 31, 2025
Debt Disclosure [Abstract]  
Schedule of Debt
The following table lists our total debt outstanding at December 31, 2025 and December 31, 2024. The interest rates presented in the following table are the range of contractual rates in effect at December 31, 2025, including fixed and variable rates:
(in millions)Range of
Interest Rate(s)
Maturity
Date(s)
December 31, 2025December 31, 2024
Current portion of long-term debt:
Senior unsecured notes
3.50 %2025$$1,000
CRBGLH notes
7.50 %2025$$101
Total short-term debt $$1,101
Long-term debt issued by Corebridge:
Senior unsecured notes*
3.65% - 6.05%
2027 - 2052$6,750$6,750
Hybrid junior subordinated notes
6.375% - 6.875%
2052 - 20642,3502,350
Long-term debt issued by Corebridge subsidiaries:
CRBGLH notes
6.63%
20299999
CRBGLH junior subordinated debentures
7.57% - 8.50%
2030 - 2046227227
Total long-term debt9,4269,426
Debt issuance costs(67)(73)
Total short-term and long-term debt, net of debt issuance costs
$9,359$10,454
Debt of consolidated investment entities - not guaranteed by Corebridge
0.01% - 6.39%
2026 - 20511,5471,938
Total debt, net of issuance costs$10,906$12,392
*    Interest rates reflect contractual amounts and do not reflect the effective borrowing rate after giving effect to the cash flow hedges.
Schedule of Maturities of Short-term and Long-Term Debt
The following table presents maturities of short-term and long-term debt (including unamortized original issue discount when applicable):
December 31, 2025Year Ending
(in millions)Total
2026
2027
2028
2029
2030
Thereafter
Long-term debt issued by Corebridge:
Senior unsecured notes$6,750$$1,250$$1,000$$4,500
Hybrid junior subordinated notes2,3502,350
CRBGLH notes
9999
CRBGLH junior subordinated debentures
22754173
Total long-term debt issued by Corebridge
$9,426$$1,250$$1,099$54$7,023