v3.26.1
FAIR VALUE MEASUREMENTS (Tables)
3 Months Ended
Mar. 31, 2026
Fair Value Disclosures [Abstract]  
Fair Value Hierarchy, Assets and Liabilities Measured on Recurring Basis
The following tables present the fair value hierarchy levels of the Company's assets and liabilities that are measured and carried at fair value on a recurring basis.
  
March 31, 2026
(In millions)Quoted Prices in
Active Markets
for Identical
Assets
(Level 1)
Significant
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Fair
Value
Assets:
Securities available-for-sale, carried at
  fair value:
Fixed maturity securities:
Government and agencies$12,993 $579 $0 $13,572 
Municipalities0 1,878 0 1,878 
Mortgage- and asset-backed securities0 2,382 2,655 5,037 
Public utilities0 6,129 825 6,954 
Sovereign and supranational0 366 19 385 
Banks/financial institutions0 9,190 4 9,194 
Other corporate0 26,073 135 26,208 
Total fixed maturity securities12,993 46,597 3,638 63,228 
Equity securities692 0 159 851 
Other investments2,616 0 0 2,616 
Cash and cash equivalents5,654 0 0 5,654 
Other assets:
Foreign currency swaps0 43 0 43 
Foreign currency forwards0 145 0 145 
Foreign currency options0 23 0 23 
Total other assets0 211 0 211 
Total assets$21,955 $46,808 $3,797 $72,560 
Liabilities:
Other liabilities:
Foreign currency swaps$0 $806 $0 $806 
Foreign currency forwards0 23 0 23 
Foreign currency options0 40 0 40 
Interest rate swaps0 142 0 142 
Forward bond purchase commitment 0 5 0 5 
Total liabilities$0 $1,016 $0 $1,016 
  
December 31, 2025
(In millions)Quoted Prices in
Active Markets
for Identical
Assets
(Level 1)
Significant
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Fair
Value
Assets:
Securities available-for-sale, carried at
  fair value:
Fixed maturity securities:
Government and agencies$13,921 $686 $$14,607 
Municipalities1,930 1,930 
Mortgage- and asset-backed securities2,072 2,294 4,366 
Public utilities6,298 876 7,174 
Sovereign and supranational383 19 402 
Banks/financial institutions9,235 9,244 
Other corporate26,239 159 26,398 
Total fixed maturity securities13,921 46,843 3,357 64,121 
Equity securities727 160 887 
Other investments1,373 1,373 
Cash and cash equivalents6,245 6,245 
Other assets:
Foreign currency swaps45 45 
Foreign currency forwards120 120 
Interest rate swaps14 14 
Total other assets179 179 
Total assets$22,266 $47,022 $3,517 $72,805 
Liabilities:
Other liabilities:
Foreign currency swaps$$765 $$765 
Foreign currency forwards18 18 
Interest rate swaps189 189 
Total liabilities$$972 $$972 
Fair Value Hierarchy, Assets and Liabilities Not Carried at Fair Value
The following tables present the carrying amount and fair value categorized by fair value hierarchy level for the Company's financial instruments that are not carried at fair value.
  
March 31, 2026
(In millions)Carrying
Value
Quoted Prices in
Active Markets
for Identical
Assets
(Level 1)
Significant
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Fair
Value
Assets:
Securities held-to-maturity,
    carried at amortized cost:
  Fixed maturity securities:
Government and agencies$15,136 $14,052 $125 $0 $14,177 
Municipalities230 0 217 0 217 
Public utilities31 0 27 0 27 
Sovereign and
   supranational
339 0 333 0 333 
Other corporate16 0 15 0 15 
Commercial mortgage and
    other loans
9,770 0 0 9,578 9,578 
Other investments (1)
37 0 37 0 37 
 Total assets$25,559 $14,052 $754 $9,578 $24,384 
Liabilities:
Other policyholders’ funds$5,423 $0 $0 $5,358 $5,358 
Notes payable
   (excluding leases)
7,822 0 6,581 668 7,249 
Total liabilities$13,245 $0 $6,581 $6,026 $12,607 
(1) Excludes policy loans of $205, equity method investments of $4,226, and REO of $853, at carrying value
  
December 31, 2025
(In millions)Carrying
Value
Quoted Prices in
Active Markets
for Identical
Assets
(Level 1)
Significant
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Fair
Value
Assets:
Securities held-to-maturity,
   carried at amortized cost:
  Fixed maturity securities:
Government and agencies$15,459 $14,696 $131 $$14,827 
Municipalities235 229 229 
Public utilities32 29 29 
Sovereign and
   supranational
378 375 375 
Other corporate16 16 16 
Commercial mortgage and
    other loans
9,765 9,617 9,617 
Other investments (1)
28 28 28 
  Total assets$25,913 $14,696 $808 $9,617 $25,121 
Liabilities:
Other policyholders’ funds$5,445 $$$5,376 $5,376 
Notes payable
   (excluding leases)
8,330 7,167 682 7,849 
Total liabilities$13,775 $$7,167 $6,058 $13,225 
(1) Excludes policy loans of $210, equity method investments of $4,109, and REO of $902, at carrying value
Fair Value, Assets, Securities Carried At Fair Value, Primary Pricing Sources
The following tables present the pricing sources for the fair values of the Company's fixed maturity and equity securities.
March 31, 2026
(In millions)Quoted Prices in
Active Markets
for Identical
Assets
(Level 1)
Significant
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Fair
Value
Securities available-for-sale, carried at fair value:
      Fixed maturity securities:
         Government and agencies:
Third-party pricing vendor$12,993 $385 $0 $13,378 
Internal0 194 0 194 
               Total government and agencies12,993 579 0 13,572 
         Municipalities:
Third-party pricing vendor0 1,664 0 1,664 
Internal0 214 0 214 
               Total municipalities0 1,878 0 1,878 
         Mortgage- and asset-backed securities:
Third-party pricing vendor0 1,993 0 1,993 
Internal 0 389 0 389 
Broker/other0 0 2,655 2,655 
               Total mortgage- and asset-backed securities0 2,382 2,655 5,037 
         Public utilities:
Third-party pricing vendor0 3,630 0 3,630 
Internal 0 2,499 0 2,499 
Broker/other0 0 825 825 
               Total public utilities0 6,129 825 6,954 
         Sovereign and supranational:
Third-party pricing vendor0 76 0 76 
Internal0 290 0 290 
Broker/other 0 0 19 19 
               Total sovereign and supranational0 366 19 385 
         Banks/financial institutions:
Third-party pricing vendor0 5,572 0 5,572 
Internal0 3,618 0 3,618 
Broker/other0 0 4 4 
               Total banks/financial institutions0 9,190 4 9,194 
         Other corporate:
Third-party pricing vendor0 21,373 0 21,373 
Internal0 4,700 0 4,700 
Broker/other0 0 135 135 
               Total other corporate0 26,073 135 26,208 
                  Total securities available-for-sale$12,993 $46,597 $3,638 $63,228 
Equity securities, carried at fair value:
Third-party pricing vendor$692 $0 $0 $692 
Internal0 0 22 22 
Broker/other0 0 137 137 
               Total equity securities$692 $0 $159 $851 
December 31, 2025
(In millions)Quoted Prices in
Active Markets
for Identical Assets
(Level 1)
Significant
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Fair
Value
Securities available-for-sale, carried at fair value:
      Fixed maturity securities:
         Government and agencies:
Third-party pricing vendor$13,921 $383 $$14,304 
Internal303 303 
               Total government and agencies13,921 686 14,607 
         Municipalities:
Third-party pricing vendor1,706 1,706 
Internal224 224 
               Total municipalities1,930 1,930 
         Mortgage- and asset-backed securities:
Third-party pricing vendor1,824 1,824 
Internal248 248 
Broker/other2,294 2,294 
               Total mortgage- and asset-backed securities2,072 2,294 4,366 
         Public utilities:
Third-party pricing vendor3,660 3,660 
Internal2,638 2,638 
Broker/other876 876 
               Total public utilities6,298 876 7,174 
         Sovereign and supranational:
Third-party pricing vendor79 79 
Internal304 304 
Broker/other19 19 
               Total sovereign and supranational383 19 402 
         Banks/financial institutions:
Third-party pricing vendor5,605 5,605 
Internal3,630 3,635 
Broker/other
               Total banks/financial institutions9,235 9,244 
         Other corporate:
Third-party pricing vendor21,294 21,294 
Internal4,945 20 4,965 
Broker/other139 139 
               Total other corporate26,239 159 26,398 
                  Total securities available-for-sale$13,921 $46,843 $3,357 $64,121 
Equity securities, carried at fair value:
Third-party pricing vendor$727 $$$727 
Internal24 24 
Broker/other136 136 
               Total equity securities$727 $$160 $887 
Fair Value, Assets, Securities Carried At Amortized Cost, Primary Pricing Sources
March 31, 2026
(In millions)Quoted Prices in
Active Markets
for Identical
Assets
(Level 1)
Significant
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Fair
Value
Securities held-to-maturity, carried at amortized cost:
      Fixed maturity securities:
         Government and agencies:
Third-party pricing vendor$14,052 $125 $0 $14,177 
               Total government and agencies14,052 125 0 14,177 
         Municipalities:
Third-party pricing vendor0 217 0 217 
               Total municipalities0 217 0 217 
         Public utilities:
Third-party pricing vendor0 27 0 27 
               Total public utilities0 27 0 27 
         Sovereign and supranational:
Third-party pricing vendor0 149 0 149 
Internal0 184 0 184 
               Total sovereign and supranational0 333 0 333 
         Other corporate:
Third-party pricing vendor0 15 0 15 
               Total other corporate0 15 0 15 
                  Total securities held-to-maturity$14,052 $717 $0 $14,769 
December 31, 2025
(In millions)Quoted Prices in
Active Markets
for Identical Assets
(Level 1)
Significant
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Fair
Value
Securities held-to-maturity, carried at amortized cost:
      Fixed maturity securities:
         Government and agencies:
Third-party pricing vendor$14,696 $131 $$14,827 
               Total government and agencies14,696 131 14,827 
         Municipalities:
Third-party pricing vendor229 229 
               Total municipalities229 229 
         Public utilities:
Third-party pricing vendor29 29 
               Total public utilities29 29 
         Sovereign and supranational:
Third-party pricing vendor188 188 
Internal187 187 
               Total sovereign and supranational375 375 
         Other corporate:
Third-party pricing vendor16 16 
               Total other corporate16 16 
                  Total securities held-to-maturity$14,696 $780 $$15,476 
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation
The following tables present the changes in fair value of the Company's investments carried at fair value classified as Level 3.
Three Months Ended
March 31, 2026
  Fixed Maturity SecuritiesEquity
Securities
  
(In millions)Mortgage-
and
Asset-
Backed
Securities
Public
Utilities
Sovereign
and
Supranational
Banks/
Financial
Institutions
Other
Corporate
 Total
Balance, beginning of period$2,294 $876 $19 $$159 $160 $3,517 
Net investment gains (losses) included
  in earnings
(2)10 
Unrealized gains (losses) included in
  other comprehensive income (loss)
(32)(23)(8)(63)
Purchases, issuances, sales
  and settlements:
Purchases302 10 313 
Issuances
Sales
Settlements(30)(42)(22)(94)
Transfers into Level 3119 119 
Transfers out of Level 3(5)(5)
Balance, end of period$2,655 $825 $19 $$135 $159 $3,797 
Changes in unrealized gains (losses)
  relating to Level 3 assets and liabilities
  still held at the end of the period
  included in earnings
$$$$$$(1)$0 
Three Months Ended
March 31, 2025
  Fixed Maturity SecuritiesEquity
Securities
  
(In millions)Mortgage-
and
Asset-
Backed
Securities
Public
Utilities
Sovereign
and
Supranational
Banks/
Financial
Institutions
Other
Corporate
 Total
Balance, beginning of period$1,156 $647 $23 $10 $231 $157 $2,224 
Net investment gains (losses) included
  in earnings
1 
Unrealized gains (losses) included in
  other comprehensive income (loss)
10 19 
Purchases, issuances, sales
  and settlements:
Purchases434 110 547 
Issuances
Sales(1)(1)
Settlements(12)(7)(1)(20)
Transfers into Level 315 15 
Transfers out of Level 3(95)(95)
Balance, end of period$1,603 $756 $24 $10 $137 $160 $2,690 
Changes in unrealized gains (losses)
  relating to Level 3 assets and liabilities
  still held at the end of the period
  included in earnings
$$$$$$$1 
Fair Value Measurement Inputs and Valuation Techniques
The following tables summarize the significant unobservable inputs used in the valuation of the Company's Level 3 investments carried at fair value. Included in the tables are the inputs or range of possible inputs that have an effect on the overall valuation of the financial instruments.
March 31, 2026
(In millions)Fair ValueValuation Technique(s)Unobservable InputRange Weighted Average
Assets:
  Securities available-for-sale, carried at fair value:
    Fixed maturity securities:
       Mortgage- and asset-backed securities$2,655 Consensus pricingOffered quotes87.70-104.69
(a)
99.44
       Public utilities825 Discounted cash flowCredit spreads100 bps-477 bps
(c)
188 bps
       Sovereign and supranational19 Consensus pricingOffered quotesN/A
(b)
N/A
       Banks/financial institutions4 Adjusted costPrivate financialsN/A
(d)
N/A
       Other corporate135 Discounted cash flowCredit spreads75 bps-393 bps
(c)
208 bps
  Equity securities159 Adjusted costPrivate financialsN/A
(d)
N/A
            Total assets$3,797 
(a) Represents prices for securities where the Company receives unadjusted broker quotes and for which there is no transparency into the providers' valuation techniques
(b) Category represents a single security; range not applicable
(c) Actual or equivalent credit spreads in basis points
(d) Prices do not utilize credit spreads; therefore, range is not applicable

December 31, 2025
(In millions)Fair ValueValuation Technique(s)Unobservable InputRange Weighted Average
Assets:
  Securities available-for-sale, carried at fair value:
    Fixed maturity securities:
       Mortgage- and asset-backed securities$2,294 Consensus pricingOffered quotes88.75-106.70
(a)
100.42
       Public utilities876 Discounted cash flowCredit spreads100 bps-391 bps
(c)
163 bps
       Sovereign and supranational19 Consensus pricingOffered quotesN/A
(b)
N/A
       Banks/financial institutionsAdjusted costPrivate financialsN/A
(d)
N/A
       Other corporate159 Discounted cash flowCredit spreads75 bps-384 bps
(c)
217 bps
  Equity securities160 Adjusted costPrivate financialsN/A
(d)
N/A
            Total assets$3,517 
(a) Represents prices for securities where the Company receives unadjusted broker quotes and for which there is no transparency into the providers' valuation techniques
(b) Category represents a single security; range not applicable
(c) Actual or equivalent credit spreads in basis points
(d) Prices do not utilize credit spreads; therefore, range is not applicable