v3.26.1
Condensed Consolidated Balance Sheets - USD ($)
$ in Millions
Mar. 31, 2026
Dec. 31, 2025
Investments:    
Short-term investments under securities loan agreements, including collateral delivered $ 1,004 $ 984
Accrued investment income 426 414
Premium receivable and reinsurance recoverable 10,609 10,713
Deferred policy acquisition costs ("DAC") and Value of business acquired ("VOBA") 2,364 2,401
Deferred income taxes 1,911 1,871
Goodwill 804 804
Other intangibles, net 864 874
Assets held in separate accounts 108,467 113,007
Total assets 173,433 178,859
Liabilities:    
Future policy benefits 8,790 8,982
Contract owner account balances 40,238 40,374
Payables under securities loan and repurchase agreements, including collateral held 1,218 1,273
Short-term debt 587 586
Long-term debt 1,913 1,518
Derivatives 262 282
Liabilities related to separate accounts 108,467 113,007
Total liabilities 166,727 171,820
Commitments and Contingencies (Note 18)
Mezzanine equity:    
Redeemable noncontrolling interest 226 222
Shareholders' equity:    
Preferred stock ($0.01 par value per share; $625000000 aggregate liquidation preference as of 2025 and 2024) 0 0
Common stock ($0.01 par value per share; 900000000 shares authorized; 0 and 105,592,281 shares issued as of 2025 and 2024, respectively; 0 and 95,497,265 shares outstanding as of 2025 and 2024, respectively) 1 1
Treasury stock (at cost; 0 and 10,095,016 shares as of 2025 and 2024, respectively) (1,188) (1,010)
Additional paid-in capital 6,395 6,358
Accumulated other comprehensive income (loss) (2,061) (1,788)
Retained earnings:    
Unappropriated 1,511 1,392
Total Voya Financial, Inc. shareholders' equity 4,658 4,953
Noncontrolling interest 1,822 1,864
Total shareholders' equity 6,480 6,817
Total liabilities, mezzanine equity and shareholders' equity 173,433 178,859
Excluding consolidated VIEs    
Investments:    
Fixed maturities, available-for-sale, at fair value 26,646 27,150
Fixed maturities, at fair value using the fair value option 1,695 1,740
Equity securities, at fair value 193 201
Short-term investments 218 145
Mortgage loans on real estate 5,634 5,577
Policy loans 316 323
Limited partnerships/corporations 1,919 1,891
Derivatives 203 197
Other investments 90 86
Securities pledged 1,210 1,261
Total investments 38,124 38,571
Cash and cash equivalents 969 1,228
Other assets 3,121 3,167
Corporate loans, at fair value using the fair value option 5,634 5,577
Liabilities:    
Other liabilities 2,645 3,210
VIEs    
Investments:    
Mortgage loans on real estate 1,488 1,350
Limited partnerships/corporations 2,971 3,142
Cash and cash equivalents 121 120
Other assets 190 213
Corporate loans, at fair value using the fair value option 1,488 1,350
Liabilities:    
Other liabilities 1,434 1,454
Collateralized loan obligations notes, at fair value using the fair value option $ 1,173 $ 1,134