v3.26.1
DERIVATIVE INSTRUMENTS (Tables)
3 Months Ended
Mar. 31, 2026
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value
The table below summarizes the balance sheet classification of the Company's derivative instruments at fair value. The fair value amounts presented exclude income accruals. The notional amount of derivative contracts represents the basis upon which pay or receive amounts are calculated and are not reflective of exposure or credit risk.
  March 31, 2026December 31, 2025
(In millions)Asset
Derivatives
Liability
Derivatives
Asset
Derivatives
Liability
Derivatives
Hedge Designation/ Derivative
  Type
Notional
Amount
Fair ValueFair ValueNotional
Amount
Fair ValueFair Value
Cash flow hedges:
Foreign currency swaps - VIE$18 $0 $6 $18 $$
Total cash flow hedges18 0 6 18 
Net investment hedge:
Foreign currency forwards2,074 143 0 1,828 120 
Total net investment hedge2,074 143 0 1,828 120 
Non-qualifying strategies:
Foreign currency swaps49 0 0 49 
Foreign currency swaps - VIE2,960 43 800 2,960 45 760 
Foreign currency forwards1,600 2 23 945 18 
Foreign currency options26,000 23 40 25,000 
Interest rate swaps32,850 0 142 36,728 14 189 
Forward bond purchase
  commitment
688 0 5 
Total non-qualifying strategies64,147 68 1,010 65,682 59 967 
Total derivatives$66,239 $211 $1,016 $67,528 $179 $972 
Schedule of Interest Rate Fair Value Hedges Hedged Items
The following table presents the carrying amounts of (1) assets designated and qualified as hedged items in fair value hedges of interest rate risk and (2) the related cumulative hedge adjustment included in the carrying amount. The Company had no fair value hedges of interest rate risk as of March 31, 2026 and December 31, 2025; therefore, the amounts presented in the table below are related to previous fair value hedges of interest rate risk that were discontinued.
(In millions)
Carrying Amount of the Hedged Assets/(Liabilities)(1)
Cumulative Amount of Fair Value Hedging Adjustment Included in the Carrying Amount of Hedged Assets/(Liabilities)
March 31,
2026
December 31,
2025
March 31,
2026
December 31,
2025
Fixed maturity securities$1,210 $1,238 $119 $121 
(1) The balance includes hedging adjustment on discontinued hedging relationships of $119 in 2026 and $121 in 2025.
Schedule of Derivative Instruments, Gain (Loss) in Statement of Financial Performance
The following table summarizes the impact to earnings and other comprehensive income (loss) from all derivatives and hedging instruments.
Three Months Ended March 31,
20262025
(In millions)
Net
Investment
Income
Net
Investment
Gains
(Losses)
Other
Comprehensive
 Income (Loss)
Net
Investment
Income
Net
Investment
Gains (Losses)
Other
Comprehensive
 Income (Loss)
Qualifying hedges:
  Cash flow hedges:
       Foreign currency swaps - VIE$0 $4 $(4)$$(1)$
  Total cash flow hedges0 4 
(1)
(4)(1)
(1)
  Net investment hedge:
       Non-derivative hedging
          instruments
0 105 (240)
       Foreign currency forwards11 47 36 (144)
   Total net investment hedge11 152 36 (384)
  Non-qualifying strategies:
       Foreign currency swaps1 
       Foreign currency swaps - VIE(55)(57)
       Foreign currency forwards(22)
       Foreign currency options (18)(5)
       Interest rate swaps(11)(18)
       Forward bond purchase
         commitment
(5)
  Total non-qualifying strategies(110)(80)
          Total$0 $(95)$148 $0 $(45)$(382)
(1) Impact of cash flow hedges reported as net investment gains (losses) includes $4 of gains reclassified from accumulated other comprehensive income (loss) into earnings during the three-month period ended March 31, 2026, and $1 of losses during the three-month period ended March 31, 2025.
Offsetting Assets
Offsetting of Financial Assets and Derivative Assets
March 31, 2026
Gross Amounts Not Offset
in Balance Sheet
(In millions)Gross Amount of Recognized AssetsGross Amount
Offset in
Balance
Sheet
Net Amount of Assets Presented
 in Balance Sheet
Financial InstrumentsSecurities
Collateral
Cash Collateral ReceivedNet Amount
Derivative
  assets:
    Derivative
      assets subject to a
      master netting
      agreement or
      offsetting
      arrangement
          OTC - bilateral$168 $0 $168 $(23)$(36)$(102)$7 
    Total derivative
      assets subject to a
      master netting
      agreement or
      offsetting
      arrangement
168 0 168 (23)(36)(102)7 
    Derivative
      assets not subject
      to a master netting
      agreement or
      offsetting
      arrangement
          OTC - bilateral43 43 43 
    Total derivative
      assets not subject
      to a master netting
      agreement or
      offsetting
      arrangement
43 43 43 
    Total derivative
      assets
211 0 211 (23)(36)(102)50 
Securities lending
   and similar
   arrangements
6,358 0 6,358 0 0 (6,358)0 
    Total$6,569 $0 $6,569 $(23)$(36)$(6,460)$50 
December 31, 2025
Gross Amounts Not Offset
in Balance Sheet
(In millions)Gross Amount of Recognized AssetsGross Amount
Offset in
Balance
Sheet
Net Amount of Assets Presented
 in Balance Sheet
Financial InstrumentsSecurities
Collateral
Cash Collateral ReceivedNet Amount
Derivative
  assets:
    Derivative
      assets subject to a
      master netting
      agreement or
      offsetting
      arrangement
          OTC - bilateral$122 $$122 $(1)$(34)$(84)$
          OTC - cleared12 12 (12)
    Total derivative
      assets subject to a
      master netting
      agreement or
      offsetting
      arrangement
134 134 (13)(34)(84)
    Derivative
      assets not subject
      to a master netting
      agreement or
      offsetting
      arrangement
          OTC - bilateral45 45 45 
    Total derivative
      assets not subject
      to a master netting
      agreement or
      offsetting
      arrangement
45 45 45 
    Total derivative
      assets
179 179 (13)(34)(84)48 
Securities lending
   and similar
   arrangements
3,945 3,945 (3,945)
    Total$4,124 $$4,124 $(13)$(34)$(4,029)$48 
Offsetting Liabilities
Offsetting of Financial Liabilities and Derivative Liabilities
March 31, 2026
Gross Amounts Not Offset
in Balance Sheet
(In millions)Gross Amount of Recognized LiabilitiesGross Amount
Offset in
Balance
Sheet
Net Amount of Liabilities Presented
 in Balance Sheet
Financial InstrumentsSecurities
Collateral
Cash Collateral PledgedNet Amount
Derivative
  liabilities:
    Derivative
      liabilities subject
      to a master netting
      agreement or
      offsetting
      arrangement
          OTC - bilateral$68 $0 $68 $(23)$(43)$0 $2 
          OTC - cleared142 0 142 0 (19)(119)4 
    Total derivative
      liabilities subject
      to a master netting
      agreement or
      offsetting
      arrangement
210 0 210 (23)(62)(119)6 
    Derivative
      liabilities not
      subject to a
      master netting
      agreement or
      offsetting
      arrangement
          OTC - bilateral806 806 806 
    Total derivative
      liabilities not
      subject to a
      master netting
      agreement or
      offsetting
      arrangement
806 806 806 
    Total derivative
      liabilities
1,016 0 1,016 (23)(62)(119)812 
Securities lending
   and similar
   arrangements
6,414 0 6,414 (6,358)0 0 56 
    Total$7,430 $0 $7,430 $(6,381)$(62)$(119)$868 
December 31, 2025
Gross Amounts Not Offset
in Balance Sheet
(In millions)Gross Amount of Recognized LiabilitiesGross Amount
Offset in
Balance
Sheet
Net Amount of Liabilities Presented
 in Balance Sheet
Financial InstrumentsSecurities
Collateral
Cash Collateral PledgedNet Amount
Derivative
  liabilities:
    Derivative
      liabilities subject
      to a master netting
      agreement or
      offsetting
      arrangement
          OTC - bilateral$19 $$19 $(1)$(17)$$
          OTC - cleared188 188 (12)(24)(151)
    Total derivative
      liabilities subject
      to a master netting
      agreement or
      offsetting
      arrangement
207 207 (13)(41)(151)
    Derivative
      liabilities not
      subject to a
      master netting
      agreement or
      offsetting
      arrangement
          OTC - bilateral765 765 765 
    Total derivative
      liabilities not
      subject to a
      master netting
      agreement or
      offsetting
      arrangement
765 765 765 
    Total derivative
      liabilities
972 972 (13)(41)(151)767 
Securities lending
   and similar
   arrangements
3,989 3,989 (3,945)44 
    Total$4,961 $$4,961 $(3,958)$(41)$(151)$811