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Consolidated Statements of Cash Flows - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2024
Mar. 31, 2023
Cash flows from operating activities:    
Net income (loss) $ 217 $ 266
Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:    
Interest credited to policyholders’ account balances 566 463
Policy charges and fee income (614) (588)
Net derivative (gains) losses 1,376 841
Credit and intent to sell losses on available for sale debt securities and loans 20 66
Investment (gains) losses, net 19 21
(Gains) losses on businesses held-for-sale (1) 3
Realized and unrealized (gains) losses on trading securities (37) (34)
Non-cash long term incentive compensation expense 25 17
Amortization and depreciation 240 224
Remeasurement of liability for future policy benefits 1 4
Change in market risk benefits (1,100) 20
Equity (income) loss from limited partnerships (50) (21)
Changes in:    
Net broker-dealer and customer related receivables/payables (24) (641)
Reinsurance recoverable (375) (456)
Segregated cash and securities, net 2 468
Capitalization of deferred policy acquisition costs (270) (202)
Future policy benefits 117 (95)
Current and deferred income taxes 85 (738)
Other, net (166) (205)
Net cash provided by (used in) operating activities 31 (587) Close
Proceeds from the sale/maturity/pre-payment of:    
Fixed maturities, available-for-sale 1,906 1,481
Fixed maturities, at fair value using the fair value option 199 30
Mortgage loans on real estate 256 81
Trading account securities 251 162
Short term investments 282 589
Other 142 211
Payment for the purchase/origination of:    
Fixed maturities, available-for-sale (3,153) (1,846)
Fixed maturities, at fair value using the fair value option (216) (41)
Mortgage loans on real estate (658) (580)
Trading account securities (504) (297)
Short term investments (258) (804)
Other (81) (231)
Cash settlements related to derivative instruments, net (1,179) (197)
Investment in capitalized software, leasehold improvements and EDP equipment (63) (18)
Other, net 394 30
Net cash provided by (used in) investing activities (2,682) (1,430) Close
Policyholders’ account balances:    
Deposits 4,239 4,375
Withdrawals (2,572) (2,655)
Transfers (to) from Separate Accounts 401 309
Payments of market risk benefits (202) (172)
Repayment of short-term financings (254) (8)
Change in collateralized pledged assets (171) (7)
Change in collateralized pledged liabilities 3,663 665
(Decrease) increase in overdrafts payable 46 0
Issuance of long-term debt 0 496
Proceeds from collateralized loan obligations 5 0
Dividends paid on common stock (73) (72)
Dividends paid on preferred stock (14) (14)
Purchase of AB Holding Units to fund long-term incentive compensation plan awards, net (6) (18)
Purchase of treasury shares (253) (214)
Purchases (redemptions) of noncontrolling interests of consolidated company-sponsored investment funds 203 150
Distribution to noncontrolling interest of consolidated subsidiaries (99) (89)
Change in securities lending 31 0
Other, net 1 3
Net cash provided by (used in) financing activities 4,945 2,749 Close
Effect of exchange rate changes on cash and cash equivalents (10) 10 Close
Change in cash and cash equivalents 2,284 742 Close
Cash and cash equivalents, beginning of period 8,239 4,281
Change in cash of businesses held-for-sale (166) (5)
Cash and cash equivalents, end of period 10,357 5,018
Non-cash transactions from investing and financing activities:    
Right-of-use assets obtained in exchange for lease obligations $ 205 $ 10