v3.26.1
DESCRIPTION OF THE PLAN (Tables) - EBP 004
12 Months Ended
Dec. 31, 2025
EBP, Description of Plan [Line Items]  
Schedule of Vesting Percentage
Participants become vested in the Company’s matching contributions and nonelective contributions and the related earnings or losses thereon according to the following schedule.
             
Years of ServiceVested Percentage    
Less than 10%
120%
240%
360%
480%
5 or more100%
Schedule of Parties-in-Interest Transactions
As of December 31, 2025 and 2024, the statements of net assets available for plan benefits include the following investments and notes receivable with parties-in-interest to the Plan.
20252024
Fidelity Balanced Fund$125,941,839 $112,045,004 
Fidelity Total Bond Fund14,762,186 12,749,483 
Fidelity U.S. Bond Index Fund6,500,502 5,405,858 
Fidelity Stock Selector Small Cap Fund9,590,617 8,075,604 
Aflac Incorporated common stock192,410,829 194,533,469 
Notes receivable from participants19,074,539 17,945,832