| Separate Account, Liability |
The following tables present a rollforward of separate account liabilities for the Retirement stabilizer and deferred annuity business, including a reconciliation to the Condensed Consolidated Balance Sheets, for the periods indicated: | | | | | | | | | | | | | | | | | | | | | | | | | March 31, 2026 | | December 31, 2025 | | Retirement | Stabilizer(1) | Deferred Annuity | Total | | Stabilizer(1) | Deferred Annuity | Total | | Balance at January 1 | $ | 7,159 | | $ | 101,145 | | $ | 108,304 | | | $ | 6,901 | | $ | 90,756 | | $ | 97,657 | | Premiums and deposits | 233 | | 2,911 | | 3,144 | | | 963 | | 10,758 | | 11,721 | | | Fee income | (8) | | (132) | | (140) | | | (31) | | (514) | | (545) | | | Surrenders, withdrawals and benefits | (328) | | (3,811) | | (4,139) | | | (1,205) | | (12,579) | | (13,784) | | | Net transfers (from) to separate accounts | — | | (372) | | (372) | | | — | | (1,574) | | (1,574) | | | Investment performance | 11 | | (2,749) | | (2,738) | | | 531 | | 14,298 | | 14,829 | | | Balance at end of period | $ | 7,067 | | $ | 96,992 | | $ | 104,059 | | | $ | 7,159 | | $ | 101,145 | | $ | 108,304 | | | | | | | | | | | Reconciliation to Condensed Consolidated Balance Sheets: | | Other variable products liabilities | | | 4,408 | | | | | 4,703 | | | Total Separate Account liabilities | | | $ | 108,467 | | | | | $ | 113,007 | |
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| Fair Value, Separate Account Investment |
The aggregate fair value of assets, by major investment asset category, supporting separate accounts liabilities was as follows for the periods indicated: | | | | | | | | | | | | | March 31, 2026 | | December 31, 2025 | | U.S. Treasury securities and obligations of U.S. government, corporations and agencies | $ | 862 | | | $ | 909 | | | | | | | Corporate and foreign debt securities | 2,729 | | | 2,635 | | | | | | | Mortgage-backed securities | 3,015 | | | 2,928 | | | Equity securities (including mutual funds) | 100,890 | | | 105,331 | | | | | | | Cash, cash equivalents and short-term investments | 572 | | | 734 | | | Receivable for securities and accruals | 399 | | | 470 | | | Total | $ | 108,467 | | | $ | 113,007 | |
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