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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Change in operating assets and liabilities:      
Accrued investment income $ (99) $ (111) $ (15)
Premiums receivable and other reinsurance balances (537) (249) (117)
Deferred policy acquisition costs (490) (311) (160)
Reinsurance ceded receivable balances (209) 61 131
Future policy benefits, other policy claims and benefits and other reinsurance balances 4,142 793 3,720
Deferred income taxes 211 67 53
Increase Decrease In Funds Withheld Net Of Reinsurance Recoverable And Deposit Receivable 49   82
Decrease In Funds Withheld Net Of Reinsurance Recoverable And Deposit Receivable   (63)  
Other assets and other liabilities, net 68 255 (138)
Amortization of net investment premiums, discounts and other (127) (71) (54)
(Income) loss from limited partnerships and real estate joint ventures (181) (331) (419)
Investment related (gains) losses, net 481 539 (567)
Increase (Decrease) in Future Policy Benefit Reserves (62) 291 567
Market Risk Benefit, Increase (Decrease) from Equity Market Change (10) 10 (58)
Depreciation and amortization expense 41 38 43
Gain on sale of businesses 0 2 11
Other, net (135) (90) (45)
Net cash provided by operating activities 4,044 1,343 4,182 Close
Cash flows from investing activities      
Sales of fixed maturity securities available-for-sale 8,195 10,558 12,142
Principal payments on mortgage loans 967 906 887
Proceeds from Sale of Available-for-sale Securities, Equity 1 7 30
Proceeds from Sale and Collection of Mortgage Notes Receivable 436 963 991
Payments to Acquire Available-for-sale Securities (12,647) (16,531) (18,071)
Payments to Acquire Available-for-sale Securities, Equity (5) (15) (22)
Purchases of fixed maturity securities available-for-sale (1,280) (1,314) (1,155)
Deposits in (withdrawals from) funds withheld at interest 352 (36) (67)
Proceeds from Real Estate and Real Estate Joint Ventures 474 710 498
Payments to Acquire Real Estate and Real Estate Joint Ventures (551) (700) (648)
Proceeds from Sale of Short-Term Investments 353 317 410
Payments to Acquire Short-Term Investments (601) (528) (185)
Proceeds from Maturities, Prepayments and Calls of Short-Term Investments 187 131 146
Payments for (Proceeds from) Productive Assets 102 (140) 547
Purchase of businesses, net of cash acquired of $53 0 0 156
Proceeds from Divestiture of Businesses, Net of Cash Divested 0 7 19
Change in other invested assets (49) (23) 6
Net cash used in investing activities (4,066) (5,688) (4,628) Close
Cash flows from financing activities      
Dividends to stockholders (219) (205) (194)
Repayment of collateral finance and securitization notes 0 (181) (208)
Proceeds from long-term debt issuance, net 890 690 494
Principal payments of long-term debt (428) (403) (403)
Purchases of treasury stock (227) (81) (99)
Change in cash collateral for derivative positions and other arrangements 603 230 31
Decrease In Reinsurance Deposits Financing Activities 227 (44) 91
Deposits on investment-type policies and contracts 2,860 5,705 1,729
Withdrawals on investment-type policies and contracts (3,628) (1,365) (1,421)
Proceeds from Noncontrolling Interests 0 90 0
Net cash provided by financing activities 78 4,436 20 Close
Effect of exchange rate changes on cash (13) (112) (34) Close
Change in cash and cash equivalents 43 (21) (460) Close
Cash and cash equivalents, beginning of period 2,927 2,948  
Cash and cash equivalents, end of period 2,970 2,927 2,948
Change in cash and cash equivalents 2,970 2,927 2,948
Supplemental disclosures of cash flow information:      
Interest paid 217 163 160
Income taxes paid, net of refunds 298 129 368
Non-cash investing activities:      
Transfer of invested assets 2,006 618 1,798
Non-cash deposits on reinsurance 2,792 0 1,581
Assets acquired, excluding cash acquired 0 0 847
Liabilities assumed 0 0 (691)
Assets disposed, net of cash transferred 0 (6) (512)
Liabilities disposed $ 0 $ 1 $ 504