N-6 |
May 01, 2026 |
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| Prospectus: | |
| Document Type | N-6 |
| Entity Registrant Name | The Prudential Variable Contract Account GI-2 |
| Entity Central Index Key | 0001008003 |
| Entity Investment Company Type | N-6 |
| Document Period End Date | Oct. 05, 2026 |
| Amendment Flag | false |
| Item 2. Key Information [Line Items] | |
| Portfolio Companies [Table Text Block] | ^ The Fund’s annual current expense reflects temporary fee reductions
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| C000026478 [Member] | |
| Item 2. Key Information [Line Items] | |
| Portfolio Company Name [Text Block] | PIMCO All Asset Portfolio (Administrative Class) |
| Portfolio Company Objective [Text Block] | Tactical Allocation |
| Portfolio Company Adviser [Text Block] | Pacific Investment Management Company LLC |
| Portfolio Company Subadviser [Text Block] | Syzygy Asset Management |
| Current Expenses [Percent] | 2.08% |
| Average Annual Total Returns, 1 Year [Percent] | 14.20% |
| Average Annual Total Returns, 5 Years [Percent] | 5.60% |
| Average Annual Total Returns, 10 Years [Percent] | 6.77% |
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- Definition One of: N-1A (Mutual Fund), N-1 (Open-End Separate Account with No Variable Annuities), N-2 (Closed-End Investment Company), N-3 (Separate Account Registered as Open-End Management Investment Company), N-4 (Variable Annuity UIT Separate Account), N-5 (Small Business Investment Company), N-6 (Variable Life UIT Separate Account), S-1 or S-3 (Face Amount Certificate Company), S-6 (UIT, Non-Insurance Product). Reference 1: http://www.xbrl.org/2003/role/presentationRef
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- Details
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