All individual numbers are from the SEC provided Financial Statement and Notes Data Sets. No guarantee is made for their accuracy.
APOLLO GLOBAL MANAGEMENT, INC.: Last Reported 2/29/2024

Business Address

9 WEST 57TH STREET, 42ND FLOOR

NEW YORK , NY US 10019

Mailing Address

9 WEST 57TH STREET, 42ND FLOOR

NEW YORK , NY US 10019
Phone Number: 212-515-3200 / State Incorporated: DE / Fiscal Year End 12 /31
Financials: AccretionAmortizationOfDiscountsAndPremiumsInvestments
Date Value
1 12/31/2023 $-81,000,000.00
2 9/30/2023 $-70,000,000.00
3 6/30/2023 $-48,000,000.00
4 3/31/2023 $-30,000,000.00
5 12/31/2022 $-285,000,000.00
6 9/30/2022 $-234,000,000.00
7 6/30/2022 $-155,000,000.00
8 3/31/2022 $-73,000,000.00
9 12/31/2021 --
10 9/30/2021 --
11 6/30/2021 --
12 3/31/2021 --
13 12/31/2020 --
Financials: AccumulatedOtherComprehensiveIncomeLossNetOfTax
Date Value
1 12/31/2023 $-5,575,000,000.00
2 9/30/2023 $-8,095,000,000.00
3 6/30/2023 $-6,392,000,000.00
4 3/31/2023 $-6,162,000,000.00
5 12/31/2022 $-7,335,000,000.00
6 9/30/2022 $-13,758,000,000.00
7 6/30/2022 $-9,790,000,000.00
8 3/31/2022 $-4,676,000,000.00
9 12/31/2021 $-5,000,000.00
Financials: AdditionalLiabilityLongDurationInsuranceRemeasurementGainLoss
Date Value
1 3/31/2023 $274,000,000.00
2 3/31/2022 $-1,003,000,000.00
Financials: AdditionalPaidInCapital
Date Value
1 12/31/2023 $15,249,000,000.00
2 9/30/2023 $14,605,000,000.00
3 6/30/2023 $14,468,000,000.00
4 3/31/2023 $14,408,000,000.00
5 12/31/2022 $14,982,000,000.00
6 9/30/2022 $15,256,000,000.00
7 6/30/2022 $15,412,000,000.00
8 3/31/2022 $15,762,000,000.00
9 12/31/2021 $2,096,000,000.00
Financials: AdjustmentsToAdditionalPaidInCapitalSharebasedCompensationRequisiteServicePeriodRecognitionValue
Date Value
1 12/31/2023 $947,000,000.00
2 9/30/2023 $364,000,000.00
3 6/30/2023 $245,000,000.00
4 3/31/2023 $122,000,000.00
5 12/31/2022 $462,000,000.00
6 9/30/2022 $100,000,000.00
7 6/30/2022 $258,000,000.00
8 3/31/2022 $141,000,000.00
9 12/31/2021 $1,152,000,000.00
10 9/30/2021 $46,000,000.00
11 6/30/2021 $86,000,000.00
12 3/31/2021 $45,000,000.00
13 12/31/2020 $174,000,000.00
Financials: AllocatedShareBasedCompensationExpense
Date Value
1 12/31/2023 $1,000,000,000.00
2 9/30/2023 $422,000,000.00
3 6/30/2023 $280,000,000.00
4 3/31/2023 $140,000,000.00
5 12/31/2022 $540,000,000.00
6 9/30/2022 $118,800,000.00
7 6/30/2022 $294,000,000.00
8 3/31/2022 $168,000,000.00
9 12/31/2021 $1,200,000,000.00
10 9/30/2021 $165,700,000.00
11 6/30/2021 $53,000,000.00
12 3/31/2021 $56,000,000.00
13 12/31/2020 $213,000,000.00
Financials: AociLiabilityForFuturePolicyBenefitExpectedNetPremiumBeforeTax
Date Value
1 3/31/2023 $226,000,000.00
2 3/31/2022 $-758,000,000.00
Financials: AociMarketRiskBenefitInstrumentSpecificCreditRiskBeforeTax
Date Value
1 9/30/2023 $-220,000,000.00
2 3/31/2023 $-455,000,000.00
3 12/31/2022 $366,000,000.00
4 9/30/2022 $-524,000,000.00
5 6/30/2022 $-576,000,000.00
6 3/31/2022 $-397,000,000.00
Financials: Assets
Date Value
1 12/31/2023 $313,488,000,000.00
2 9/30/2023 $283,235,000,000.00
3 6/30/2023 $281,984,000,000.00
4 3/31/2023 $270,324,000,000.00
5 12/31/2022 $257,217,000,000.00
6 9/30/2022 $250,340,000,000.00
7 6/30/2022 $247,850,000,000.00
8 3/31/2022 $261,555,000,000.00
9 12/31/2021 $30,502,000,000.00
Financials: AssetsHeldInTrust
Date Value
1 12/31/2023 $21,600,000,000.00
2 12/31/2022 $12,600,000,000.00
Financials: AssetsSoldUnderAgreementsToRepurchaseCarryingAmounts
Date Value
1 12/31/2023 $3,853,000,000.00
2 9/30/2023 $4,512,000,000.00
3 6/30/2023 $6,261,000,000.00
4 3/31/2023 $7,781,000,000.00
5 12/31/2022 $4,743,000,000.00
Financials: AssumedPremiumsEarned
Date Value
1 12/31/2023 $2,313,000,000.00
2 12/31/2022 $377,000,000.00
Financials: AvailableForSaleDebtSecuritiesAccumulatedGrossUnrealizedGainBeforeTax
Date Value
1 12/31/2023 $1,709,000,000.00
2 9/30/2023 $478,000,000.00
3 6/30/2023 $567,000,000.00
4 3/31/2023 $569,000,000.00
5 12/31/2022 $309,000,000.00
6 9/30/2022 $74,000,000.00
7 6/30/2022 $83,000,000.00
8 3/31/2022 $91,000,000.00
Financials: AvailableForSaleDebtSecuritiesAccumulatedGrossUnrealizedLossBeforeTax
Date Value
1 12/31/2023 $14,787,000,000.00
2 9/30/2023 $21,093,000,000.00
3 6/30/2023 $17,697,000,000.00
4 3/31/2023 $17,084,000,000.00
5 12/31/2022 $19,047,000,000.00
6 9/30/2022 $21,621,000,000.00
7 6/30/2022 $15,116,000,000.00
8 3/31/2022 $7,030,000,000.00
Financials: AvailableForSaleDebtSecuritiesAmortizedCostBasis
Date Value
1 12/31/2023 $162,016,000,000.00
2 9/30/2023 $150,894,000,000.00
3 6/30/2023 $146,211,000,000.00
4 3/31/2023 $135,597,000,000.00
5 12/31/2022 $131,422,000,000.00
6 9/30/2022 $124,631,000,000.00
7 6/30/2022 $116,471,000,000.00
8 3/31/2022 $112,487,000,000.00
Financials: AvailableForSaleSecuritiesDebtSecurities
Date Value
1 12/31/2023 $148,347,000,000.00
2 9/30/2023 $129,700,000,000.00
3 6/30/2023 $128,559,000,000.00
4 3/31/2023 $118,579,000,000.00
5 12/31/2022 $112,225,000,000.00
6 9/30/2022 $102,648,000,000.00
7 6/30/2022 $100,809,000,000.00
8 3/31/2022 $105,060,000,000.00
Financials: CashAcquiredFromAcquisition
Date Value
1 12/31/2023 --
2 9/30/2023 --
3 6/30/2023 --
4 3/31/2023 --
5 12/31/2022 $10,420,000,000.00
6 9/30/2022 $10,420,000,000.00
7 6/30/2022 $10,420,000,000.00
8 3/31/2022 $10,429,000,000.00
9 12/31/2021 --
10 9/30/2021 --
11 6/30/2021 --
12 3/31/2021 --
13 12/31/2020 $49,000,000.00
Financials: CashAndCashEquivalentsAtCarryingValue
Date Value
1 6/30/2023 $12,070,000,000.00
2 3/31/2023 $15,099,000,000.00
3 12/31/2022 $8,980,000,000.00
4 9/30/2022 $10,942,000,000.00
5 6/30/2022 $12,718,000,000.00
6 3/31/2022 $9,769,000,000.00
7 12/31/2021 $917,000,000.00
8 9/30/2021 $2,090,000,000.00
9 6/30/2021 $1,825,000,000.00
10 3/31/2021 $1,718,000,000.00
11 12/31/2020 $1,556,000,000.00
Financials: CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
Date Value
1 12/31/2023 $17,691,000,000.00
2 9/30/2023 $14,427,000,000.00
3 6/30/2023 $14,784,000,000.00
4 3/31/2023 $18,085,000,000.00
5 12/31/2022 $11,128,000,000.00
6 9/30/2022 $13,236,000,000.00
7 6/30/2022 $14,510,000,000.00
8 3/31/2022 $12,434,000,000.00
9 12/31/2021 $2,088,000,000.00
10 9/30/2021 $3,816,000,000.00
11 6/30/2021 $4,155,000,000.00
12 3/31/2021 $3,434,000,000.00
13 12/31/2020 $2,467,000,000.00
14 12/31/2019 $1,621,000,000.00
Financials: CashCashEquivalentsRestrictedCashAndRestrictedCashEquivalentsPeriodIncreaseDecreaseIncludingExchangeRateEffect
Date Value
1 12/31/2023 $6,563,000,000.00
2 9/30/2023 $3,299,000,000.00
3 6/30/2023 $3,656,000,000.00
4 3/31/2023 $6,957,000,000.00
5 12/31/2022 $9,040,000,000.00
6 9/30/2022 $11,148,000,000.00
7 6/30/2022 $12,422,000,000.00
8 3/31/2022 $10,346,000,000.00
9 12/31/2021 $-379,000,000.00
10 9/30/2021 $1,349,000,000.00
11 6/30/2021 $1,688,000,000.00
12 3/31/2021 $967,000,000.00
13 12/31/2020 $846,000,000.00
Financials: CashSurrenderValueDuePolicyholdersAmount
Date Value
1 12/31/2023 --
2 9/30/2023 $139,739,000,000.00
3 6/30/2023 $136,777,000,000.00
4 3/31/2023 $132,751,000,000.00
5 12/31/2022 --
6 9/30/2022 $123,168,000,000.00
7 6/30/2022 $119,445,000,000.00
8 3/31/2022 $119,186,000,000.00
Financials: CededPremiumsEarned
Date Value
1 12/31/2023 $89,000,000.00
2 12/31/2022 $112,000,000.00
Financials: CommitmentsAndContingencies
Date Value
1 12/31/2023 --
2 9/30/2023 --
3 6/30/2023 --
4 3/31/2023 --
5 12/31/2022 --
6 9/30/2022 --
7 6/30/2022 --
8 3/31/2022 --
9 12/31/2021 --
Financials: CommonStockDividendsPerShareDeclared
Date Value
1 12/31/2023 $1.69
2 10/31/2023 $0.43
3 9/30/2023 $1.26
4 7/31/2023 $0.43
5 6/30/2023 $0.83
6 4/30/2023 $0.43
7 3/31/2023 $0.40
8 1/31/2023 $0.40
9 12/31/2022 $1.60
10 10/31/2022 $0.40
11 9/30/2022 $1.20
12 7/31/2022 $0.40
13 6/30/2022 $0.80
14 4/30/2022 $0.40
15 3/31/2022 $0.40
16 1/31/2022 $0.40
17 12/31/2021 $2.10
18 10/31/2021 $0.50
19 7/31/2021 $0.50
20 4/30/2021 $0.50
21 1/31/2021 $0.60
22 12/31/2020 $2.31
23 10/31/2020 $0.51
24 7/31/2020 $0.49
25 4/30/2020 $0.42
26 1/31/2020 $0.89
Financials: CommonStockParOrStatedValuePerShare
Date Value
1 12/31/2023 --
2 9/30/2023 --
3 6/30/2023 --
4 3/31/2023 --
5 12/31/2022 --
6 9/30/2022 --
7 6/30/2022 --
8 3/31/2022 --
Financials: CommonStockSharesAuthorized
Date Value
1 12/31/2023 $90,000,000,000.00
2 9/30/2023 $90,000,000,000.00
3 6/30/2023 $90,000,000,000.00
4 3/31/2023 $90,000,000,000.00
5 12/31/2022 $90,000,000,000.00
6 9/30/2022 $90,000,000,000.00
7 6/30/2022 $90,000,000,000.00
8 3/31/2022 $90,000,000,000.00
Financials: CommonStockSharesIssued
Date Value
1 12/31/2023 $567,762,932.00
2 9/30/2023 $567,565,120.00
3 6/30/2023 $566,809,153.00
4 3/31/2023 $567,394,604.00
5 12/31/2022 $570,276,188.00
6 9/30/2022 $572,670,634.00
7 6/30/2022 $571,028,097.00
8 3/31/2022 $570,353,554.00
Financials: CommonStockSharesOutstanding
Date Value
1 12/31/2023 $567,762,932.00
2 9/30/2023 $567,565,120.00
3 6/30/2023 $566,809,153.00
4 3/31/2023 $567,394,604.00
5 12/31/2022 $570,276,188.00
6 9/30/2022 $572,670,634.00
7 6/30/2022 $571,028,097.00
8 3/31/2022 $570,353,554.00
Financials: CommonStockValue
Date Value
1 12/31/2023 --
2 9/30/2023 --
3 6/30/2023 --
4 3/31/2023 --
5 12/31/2022 --
6 9/30/2022 --
7 6/30/2022 --
8 3/31/2022 --
9 12/31/2021 --
Financials: ComprehensiveIncomeNetOfTax
Date Value
1 12/31/2023 $6,804,000,000.00
2 9/30/2023 $1,528,000,000.00
3 6/30/2023 $2,552,000,000.00
4 3/31/2023 $2,183,000,000.00
5 12/31/2022 $-9,291,000,000.00
6 9/30/2022 $-11,072,000,000.00
7 6/30/2022 $-7,734,000,000.00
8 3/31/2022 $-2,716,000,000.00
9 12/31/2021 $1,836,000,000.00
10 9/30/2021 $1,594,000,000.00
11 6/30/2021 $1,336,000,000.00
12 3/31/2021 $678,000,000.00
13 12/31/2020 $160,000,000.00
Financials: ComprehensiveIncomeNetOfTaxAttributableToNoncontrollingInterest
Date Value
1 12/31/2023 $1,732,000,000.00
2 9/30/2023 $635,000,000.00
3 6/30/2023 $834,000,000.00
4 3/31/2023 $577,000,000.00
5 12/31/2022 $-1,704,000,000.00
6 9/30/2022 $-2,299,000,000.00
7 6/30/2022 $-1,820,000,000.00
8 3/31/2022 $-603,000,000.00
9 12/31/2021 $2,399,000,000.00
10 9/30/2021 $2,041,000,000.00
11 6/30/2021 $1,677,000,000.00
12 3/31/2021 $826,000,000.00
13 12/31/2020 $348,000,000.00
Financials: ComprehensiveIncomeNetOfTaxIncludingPortionAttributableToNoncontrollingInterest
Date Value
1 12/31/2023 $8,536,000,000.00
2 9/30/2023 $2,163,000,000.00
3 6/30/2023 $3,386,000,000.00
4 3/31/2023 $2,760,000,000.00
5 12/31/2022 $-10,995,000,000.00
6 9/30/2022 $-13,371,000,000.00
7 6/30/2022 $-9,554,000,000.00
8 3/31/2022 $-3,319,000,000.00
9 12/31/2021 $4,235,000,000.00
10 9/30/2021 $3,635,000,000.00
11 6/30/2021 $3,013,000,000.00
12 3/31/2021 $1,504,000,000.00
13 12/31/2020 $508,000,000.00
Financials: ContractWithCustomerLiabilityRevenueRecognized
Date Value
1 12/31/2023 $172,000,000.00
2 9/30/2023 $172,000,000.00
3 6/30/2023 $170,000,000.00
4 3/31/2023 $124,000,000.00
5 12/31/2022 $114,000,000.00
6 9/30/2022 $109,700,000.00
Financials: CurrentFederalTaxExpenseBenefit
Date Value
1 12/31/2023 $809,000,000.00
2 12/31/2022 $402,000,000.00
3 12/31/2021 $83,000,000.00
4 12/31/2020 $21,000,000.00
Financials: CurrentForeignTaxExpenseBenefit
Date Value
1 12/31/2023 $104,000,000.00
2 12/31/2022 $54,000,000.00
3 12/31/2021 $33,000,000.00
4 12/31/2020 $25,000,000.00
Financials: CurrentIncomeTaxExpenseBenefit
Date Value
1 12/31/2023 $977,000,000.00
2 12/31/2022 $515,000,000.00
3 12/31/2021 $119,000,000.00
4 12/31/2020 $51,000,000.00
Financials: CurrentStateAndLocalTaxExpenseBenefit
Date Value
1 12/31/2023 $64,000,000.00
2 12/31/2022 $59,000,000.00
3 12/31/2021 $3,000,000.00
4 12/31/2020 $5,000,000.00
Financials: DebtInstrumentFairValue
Date Value
1 12/31/2023 $7,536,000,000.00
2 9/30/2023 $6,043,000,000.00
3 6/30/2023 $5,463,000,000.00
4 3/31/2023 $5,520,000,000.00
5 12/31/2022 $5,467,000,000.00
6 9/30/2022 $4,981,000,000.00
7 6/30/2022 $5,270,000,000.00
8 3/31/2022 $5,832,000,000.00
9 12/31/2021 $3,499,000,000.00
Financials: DebtSecuritiesAvailableForSaleAllowanceForCreditLoss
Date Value
1 12/31/2023 $591,000,000.00
2 9/30/2023 $579,000,000.00
3 6/30/2023 $522,000,000.00
4 3/31/2023 $503,000,000.00
5 12/31/2022 $459,000,000.00
6 9/30/2022 $436,000,000.00
7 6/30/2022 $629,000,000.00
8 3/31/2022 $488,000,000.00
9 12/31/2021 $311,000,000.00
Financials: DebtSecuritiesAvailableForSaleAllowanceForCreditLossNotPreviouslyRecorded
Date Value
1 12/31/2023 $155,000,000.00
2 9/30/2023 $111,000,000.00
3 6/30/2023 $38,000,000.00
4 3/31/2023 $26,000,000.00
5 12/31/2022 $270,000,000.00
6 9/30/2022 $15,000,000.00
7 6/30/2022 $222,000,000.00
8 3/31/2022 $179,000,000.00
Financials: DebtSecuritiesAvailableForSaleAllowanceForCreditLossNotToSellBeforeRecoveryCreditLossPreviouslyRecordedExpenseReversal
Date Value
1 12/31/2023 $-6,000,000.00
2 9/30/2023 $-6,000,000.00
3 6/30/2023 --
4 3/31/2023 --
5 12/31/2022 $-63,000,000.00
6 9/30/2022 $-169,000,000.00
7 6/30/2022 $112,000,000.00
8 3/31/2022 $6,000,000.00
Financials: DebtSecuritiesAvailableForSaleAllowanceForCreditLossPurchasedWithCreditDeteriorationIncrease
Date Value
1 12/31/2023 $53,000,000.00
2 9/30/2023 $40,000,000.00
3 6/30/2023 $39,000,000.00
4 3/31/2023 $28,000,000.00
5 12/31/2022 $7,000,000.00
6 9/30/2022 $2,000,000.00
7 6/30/2022 $1,000,000.00
8 3/31/2022 --
Financials: DebtSecuritiesAvailableForSaleAllowanceForCreditLossSecuritiesSold
Date Value
1 12/31/2023 $55,000,000.00
2 9/30/2023 $25,000,000.00
3 6/30/2023 $14,000,000.00
4 3/31/2023 $10,000,000.00
5 12/31/2022 $60,000,000.00
6 9/30/2022 $35,000,000.00
7 6/30/2022 $17,000,000.00
8 3/31/2022 $8,000,000.00
Financials: DebtSecuritiesAvailableForSaleAllowanceForCreditLossSellBeforeRecovery
Date Value
1 12/31/2023 $15,000,000.00
2 9/30/2023 --
3 12/31/2022 $6,000,000.00
4 9/30/2022 $6,000,000.00
Financials: DebtSecuritiesAvailableForSaleContinuousUnrealizedLossPosition12MonthsOrLonger
Date Value
1 12/31/2023 $79,813,000,000.00
2 9/30/2023 $77,726,000,000.00
3 6/30/2023 $76,984,000,000.00
4 3/31/2023 $75,867,000,000.00
5 12/31/2022 --
6 9/30/2022 --
7 6/30/2022 --
8 3/31/2022 --
Financials: DebtSecuritiesAvailableForSaleContinuousUnrealizedLossPosition12MonthsOrLongerAccumulatedLoss
Date Value
1 12/31/2023 $13,567,000,000.00
2 9/30/2023 $18,813,000,000.00
3 6/30/2023 $15,983,000,000.00
4 3/31/2023 $15,178,000,000.00
5 12/31/2022 --
6 9/30/2022 --
7 6/30/2022 --
8 3/31/2022 --
Financials: DebtSecuritiesAvailableForSaleContinuousUnrealizedLossPosition12MonthsOrLongerNumberOfPositions
Date Value
1 12/31/2023 $7,714.00
2 9/30/2023 $7,841.00
3 6/30/2023 $7,580.00
4 3/31/2023 $7,387.00
5 12/31/2022 --
6 9/30/2022 --
7 6/30/2022 --
8 3/31/2022 --
Financials: DebtSecuritiesAvailableForSaleContinuousUnrealizedLossPositionLessThan12Months
Date Value
1 12/31/2023 $17,675,000,000.00
2 9/30/2023 $29,565,000,000.00
3 6/30/2023 $28,977,000,000.00
4 3/31/2023 $23,935,000,000.00
5 12/31/2022 $98,331,000,000.00
6 9/30/2022 $95,941,000,000.00
7 6/30/2022 $90,851,000,000.00
8 3/31/2022 $92,689,000,000.00
Financials: DebtSecuritiesAvailableForSaleContinuousUnrealizedLossPositionLessThan12MonthsAccumulatedLoss
Date Value
1 12/31/2023 $801,000,000.00
2 9/30/2023 $1,761,000,000.00
3 6/30/2023 $1,192,000,000.00
4 3/31/2023 $1,335,000,000.00
5 12/31/2022 $18,593,000,000.00
6 9/30/2022 $21,270,000,000.00
7 6/30/2022 $14,844,000,000.00
8 3/31/2022 $6,904,000,000.00
Financials: DebtSecuritiesAvailableForSaleRealizedGain
Date Value
1 12/31/2023 $926,000,000.00
2 9/30/2023 $379,000,000.00
3 6/30/2023 $324,000,000.00
4 3/31/2023 $183,000,000.00
5 12/31/2022 $1,337,000,000.00
6 9/30/2022 $404,000,000.00
7 6/30/2022 $320,000,000.00
8 3/31/2022 $103,000,000.00
Financials: DebtSecuritiesAvailableForSaleRealizedGainLoss
Date Value
1 12/31/2023 $147,000,000.00
2 9/30/2023 $-268,000,000.00
3 6/30/2023 $108,000,000.00
4 3/31/2023 $79,000,000.00
5 12/31/2022 $-814,000,000.00
6 9/30/2022 $-677,000,000.00
7 6/30/2022 $-922,000,000.00
8 3/31/2022 $-307,000,000.00
Financials: DebtSecuritiesAvailableForSaleRealizedLoss
Date Value
1 12/31/2023 $779,000,000.00
2 9/30/2023 $647,000,000.00
3 6/30/2023 $216,000,000.00
4 3/31/2023 $104,000,000.00
5 12/31/2022 $2,151,000,000.00
6 9/30/2022 $761,000,000.00
7 6/30/2022 $1,242,000,000.00
8 3/31/2022 $410,000,000.00
Financials: DebtSecuritiesAvailableForSaleUnrealizedLossPosition
Date Value
1 12/31/2023 $97,488,000,000.00
2 9/30/2023 $107,291,000,000.00
3 6/30/2023 $105,961,000,000.00
4 3/31/2023 $99,802,000,000.00
5 12/31/2022 $98,331,000,000.00
6 9/30/2022 $95,941,000,000.00
7 6/30/2022 $90,851,000,000.00
8 3/31/2022 $92,689,000,000.00
Financials: DebtSecuritiesAvailableForSaleUnrealizedLossPositionAccumulatedLoss
Date Value
1 12/31/2023 $14,368,000,000.00
2 9/30/2023 $20,574,000,000.00
3 6/30/2023 $17,175,000,000.00
4 3/31/2023 $16,513,000,000.00
5 12/31/2022 $18,593,000,000.00
6 9/30/2022 $21,270,000,000.00
7 6/30/2022 $14,844,000,000.00
8 3/31/2022 $6,904,000,000.00
Financials: DebtSecuritiesAvailableForSaleUnrealizedLossPositionNumberOfPositions
Date Value
1 12/31/2023 $8,650.00
2 9/30/2023 $9,552.00
3 6/30/2023 $9,345.00
4 3/31/2023 $8,873.00
5 12/31/2022 $8,921.00
6 9/30/2022 $9,160.00
7 6/30/2022 $8,475.00
8 3/31/2022 $8,329.00
Financials: DebtSecuritiesTradingRealizedGainLoss
Date Value
1 12/31/2023 $66,000,000.00
2 9/30/2023 $-105,000,000.00
3 6/30/2023 $32,000,000.00
4 3/31/2023 $64,000,000.00
5 12/31/2022 $-432,000,000.00
6 9/30/2022 $-119,000,000.00
7 6/30/2022 $-378,000,000.00
8 3/31/2022 $-221,000,000.00
Financials: DebtSecuritiesTradingUnrealizedGainLoss
Date Value
1 12/31/2023 $85,000,000.00
2 9/30/2023 $-35,000,000.00
3 6/30/2023 $40,000,000.00
4 3/31/2023 $66,000,000.00
5 12/31/2022 $-415,000,000.00
6 9/30/2022 $-119,000,000.00
7 6/30/2022 $-349,000,000.00
8 3/31/2022 $-189,000,000.00
Financials: DecreaseInUnrecognizedTaxBenefitsIsReasonablyPossible
Date Value
1 12/31/2023 $11,000,000.00
Financials: DeferredFederalIncomeTaxExpenseBenefit
Date Value
1 12/31/2023 $331,000,000.00
2 12/31/2022 $-1,209,000,000.00
3 12/31/2021 $423,000,000.00
4 12/31/2020 $9,000,000.00
Financials: DeferredForeignIncomeTaxExpenseBenefit
Date Value
1 12/31/2023 $-2,239,000,000.00
2 12/31/2022 $6,000,000.00
3 12/31/2021 $-1,000,000.00
4 12/31/2020 --
Financials: DeferredIncomeTaxExpenseBenefit
Date Value
1 12/31/2023 $-1,900,000,000.00
2 12/31/2022 $-1,254,000,000.00
3 12/31/2021 $475,000,000.00
4 12/31/2020 $35,000,000.00
Financials: DeferredStateAndLocalIncomeTaxExpenseBenefit
Date Value
1 12/31/2023 $8,000,000.00
2 12/31/2022 $-51,000,000.00
3 12/31/2021 $53,000,000.00
4 12/31/2020 $26,000,000.00
Financials: DeferredTaxAssetsTaxCreditCarryforwardsForeign
Date Value
1 12/31/2023 $68,000,000.00
Financials: DeferredTaxAssetsValuationAllowance
Date Value
1 12/31/2023 $33,000,000.00
2 12/31/2022 $105,000,000.00
3 12/31/2021 --
Financials: DepreciationDepletionAndAmortization
Date Value
1 12/31/2023 $803,000,000.00
2 9/30/2023 $586,000,000.00
3 6/30/2023 $345,000,000.00
4 3/31/2023 $165,000,000.00
5 12/31/2022 $529,000,000.00
6 9/30/2022 $376,000,000.00
7 6/30/2022 $227,000,000.00
8 3/31/2022 $106,000,000.00
9 12/31/2021 $27,000,000.00
10 9/30/2021 $20,000,000.00
11 6/30/2021 $13,000,000.00
12 3/31/2021 $6,000,000.00
13 12/31/2020 $19,000,000.00
Financials: DerivativeAssets
Date Value
1 6/30/2023 $-539,000,000.00
2 3/31/2023 $-1,601,000,000.00
3 12/31/2022 $-2,963,000,000.00
4 9/30/2022 $-2,765,000,000.00
5 6/30/2022 $-2,155,000,000.00
6 3/31/2022 $1,216,000,000.00
Financials: DerivativeCollateralObligationToReturnCash
Date Value
1 12/31/2023 $3,676,000,000.00
2 9/30/2023 $3,140,000,000.00
3 6/30/2023 $3,584,000,000.00
4 3/31/2023 $2,411,000,000.00
5 12/31/2022 $1,952,000,000.00
6 9/30/2022 $2,538,000,000.00
7 6/30/2022 $1,904,000,000.00
8 3/31/2022 $3,105,000,000.00
Financials: DerivativeCollateralObligationToReturnSecurities
Date Value
1 12/31/2023 $1,497,000,000.00
2 9/30/2023 $1,665,000,000.00
3 6/30/2023 $1,584,000,000.00
4 3/31/2023 $1,456,000,000.00
5 12/31/2022 $1,477,000,000.00
6 9/30/2022 $1,671,000,000.00
7 6/30/2022 $1,204,000,000.00
8 3/31/2022 $661,000,000.00
Financials: DerivativeCollateralRightToReclaimCash
Date Value
1 12/31/2023 $848,000,000.00
2 9/30/2023 $655,000,000.00
3 6/30/2023 $644,000,000.00
4 3/31/2023 $506,000,000.00
5 12/31/2022 $478,000,000.00
6 9/30/2022 $598,000,000.00
7 6/30/2022 $304,000,000.00
8 3/31/2022 $164,000,000.00
Financials: DerivativeCollateralRightToReclaimSecurities
Date Value
1 12/31/2023 $1,497,000,000.00
2 9/30/2023 $1,665,000,000.00
3 6/30/2023 $1,584,000,000.00
4 3/31/2023 $1,456,000,000.00
5 12/31/2022 $1,477,000,000.00
6 9/30/2022 $1,671,000,000.00
7 6/30/2022 $1,204,000,000.00
8 3/31/2022 $661,000,000.00
Financials: DerivativeFairValueOfDerivativeAsset
Date Value
1 12/31/2023 $5,298,000,000.00
2 9/30/2023 $4,571,000,000.00
3 6/30/2023 $5,114,000,000.00
4 3/31/2023 $3,956,000,000.00
5 12/31/2022 $3,309,000,000.00
6 9/30/2022 $4,065,000,000.00
7 6/30/2022 $2,932,000,000.00
8 3/31/2022 $3,668,000,000.00
Financials: DerivativeFairValueOfDerivativeAssetAmountOffsetAgainstCollateral
Date Value
1 6/30/2023 $-54,000,000.00
2 3/31/2023 $89,000,000.00
3 12/31/2022 $-120,000,000.00
4 9/30/2022 $-144,000,000.00
5 6/30/2022 $-176,000,000.00
6 3/31/2022 $-98,000,000.00
Financials: DerivativeFairValueOfDerivativeLiability
Date Value
1 12/31/2023 $1,995,000,000.00
2 9/30/2023 $1,892,000,000.00
3 6/30/2023 $1,753,000,000.00
4 3/31/2023 $1,518,000,000.00
5 12/31/2022 $1,646,000,000.00
6 9/30/2022 $2,222,000,000.00
7 6/30/2022 $1,223,000,000.00
8 3/31/2022 $631,000,000.00
Financials: DerivativeFairValueOfDerivativeLiabilityAmountOffsetAgainstCollateral
Date Value
1 6/30/2023 $475,000,000.00
2 3/31/2023 $-444,000,000.00
3 12/31/2022 $309,000,000.00
4 9/30/2022 $-47,000,000.00
5 6/30/2022 $-285,000,000.00
6 3/31/2022 $-194,000,000.00
Financials: DerivativeGainLossOnDerivativeNet
Date Value
1 12/31/2023 $2,135,000,000.00
2 9/30/2023 $-66,000,000.00
3 6/30/2023 $1,414,000,000.00
4 3/31/2023 $993,000,000.00
5 12/31/2022 $-9,173,000,000.00
6 9/30/2022 $-8,794,000,000.00
7 6/30/2022 $-6,973,000,000.00
8 3/31/2022 $-3,041,000,000.00
Financials: DerivativeInstrumentsNotDesignatedAsHedgingInstrumentsGainLossNet
Date Value
1 12/31/2023 $525,000,000.00
2 9/30/2023 $-457,000,000.00
3 6/30/2023 $-26,000,000.00
4 3/31/2023 $378,000,000.00
5 12/31/2022 $-5,830,000,000.00
6 9/30/2022 $-5,586,000,000.00
7 6/30/2022 $-4,541,000,000.00
8 3/31/2022 $-2,009,000,000.00
Financials: DerivativeLiabilities
Date Value
1 12/31/2023 $10,990,000,000.00
2 9/30/2023 $9,148,000,000.00
3 6/30/2023 $9,923,000,000.00
4 3/31/2023 $8,198,000,000.00
5 12/31/2022 $7,410,000,000.00
6 9/30/2022 $7,138,000,000.00
7 6/30/2022 $6,674,000,000.00
8 3/31/2022 $7,335,000,000.00
Financials: DirectPremiumsEarned
Date Value
1 12/31/2023 $10,525,000,000.00
2 12/31/2022 $11,373,000,000.00
Financials: Dividends
Date Value
1 3/31/2023 $424,000,000.00
2 12/31/2022 $2,009,000,000.00
3 9/30/2022 $368,000,000.00
4 6/30/2022 $551,000,000.00
5 3/31/2022 $841,000,000.00
6 12/31/2021 $2,058,000,000.00
7 9/30/2021 $530,000,000.00
8 6/30/2021 $1,068,000,000.00
9 3/31/2021 $314,000,000.00
10 12/31/2020 $1,962,000,000.00
Financials: DividendsCommonStock
Date Value
1 12/31/2023 $961,000,000.00
2 9/30/2023 $717,000,000.00
3 6/30/2023 $473,000,000.00
4 3/31/2023 $229,000,000.00
5 12/31/2022 $916,000,000.00
6 9/30/2022 $688,000,000.00
7 6/30/2022 $458,000,000.00
8 3/31/2022 $229,000,000.00
9 12/31/2021 $501,000,000.00
10 9/30/2021 $122,000,000.00
11 6/30/2021 $116,000,000.00
12 3/31/2021 $139,000,000.00
13 12/31/2020 $531,000,000.00
Financials: DividendsShareBasedCompensation
Date Value
1 12/31/2023 $51,000,000.00
2 9/30/2023 $36,000,000.00
3 6/30/2023 $24,000,000.00
4 3/31/2023 $12,000,000.00
5 12/31/2022 $46,000,000.00
6 9/30/2022 $35,000,000.00
7 6/30/2022 $24,000,000.00
8 3/31/2022 $12,000,000.00
9 12/31/2021 $17,000,000.00
10 9/30/2021 $4,000,000.00
11 6/30/2021 $4,000,000.00
12 3/31/2021 $5,000,000.00
13 12/31/2020 $19,000,000.00
Financials: DueFromEmployees
Date Value
1 3/31/2023 $92,000,000.00
2 12/31/2022 $90,000,000.00
3 9/30/2022 $94,000,000.00
4 6/30/2022 $95,000,000.00
5 3/31/2022 $97,000,000.00
6 12/31/2021 $107,000,000.00
Financials: DueFromRelatedParties
Date Value
1 3/31/2023 $464,000,000.00
2 12/31/2022 $465,000,000.00
3 9/30/2022 $430,000,000.00
4 6/30/2022 $408,000,000.00
5 3/31/2022 $367,000,000.00
6 12/31/2021 $490,000,000.00
Financials: DueToRelatedPartiesCurrentAndNoncurrent
Date Value
1 3/31/2023 $980,000,000.00
2 12/31/2022 $998,000,000.00
3 9/30/2022 $1,023,000,000.00
4 6/30/2022 $1,045,000,000.00
5 3/31/2022 $1,121,000,000.00
6 12/31/2021 $1,222,000,000.00
Financials: EarningsPerShareBasic
Date Value
1 12/31/2023 $8.32
2 9/30/2023 $3.77
3 6/30/2023 $2.67
4 3/31/2023 $1.67
5 12/31/2022 $-3.43
6 9/30/2022 $-4.51
7 6/30/2022 $-3.52
8 3/31/2022 $-0.70
9 12/31/2021 $7.32
10 9/30/2021 $1.01
11 6/30/2021 $5.51
12 3/31/2021 $2.81
13 12/31/2020 $0.44
Financials: EarningsPerShareBasicDistributed
Date Value
1 12/31/2023 $1.69
2 9/30/2023 $1.26
3 6/30/2023 $0.83
4 3/31/2023 $0.40
5 12/31/2022 $1.60
6 9/30/2022 $0.40
7 6/30/2022 $0.80
8 3/31/2022 $0.40
9 12/31/2021 $2.10
10 9/30/2021 $1.60
11 6/30/2021 $1.10
12 3/31/2021 $0.60
13 12/31/2020 $2.31
Financials: EarningsPerShareBasicUndistributed
Date Value
1 12/31/2023 $6.63
2 9/30/2023 $2.51
3 6/30/2023 $1.84
4 3/31/2023 $1.27
5 12/31/2022 $-7.17
6 9/30/2022 $-1.92
7 6/30/2022 $-4.32
8 3/31/2022 $-1.10
9 12/31/2021 $5.22
10 9/30/2021 $0.51
11 6/30/2021 $2.20
12 3/31/2021 $2.21
13 12/31/2020 $-1.87
Financials: EarningsPerShareDiluted
Date Value
1 12/31/2023 $8.28
2 9/30/2023 $3.75
3 6/30/2023 $2.67
4 3/31/2023 $1.66
5 12/31/2022 $-3.43
6 9/30/2022 $-4.51
7 6/30/2022 $-3.52
8 3/31/2022 $-0.70
9 12/31/2021 $7.32
10 9/30/2021 $6.47
11 6/30/2021 $2.70
12 3/31/2021 $2.81
13 12/31/2020 $0.44
Financials: EarningsPerShareDilutedDistributed
Date Value
1 12/31/2023 $1.69
2 9/30/2023 $1.26
3 6/30/2023 $0.83
4 3/31/2023 $0.40
5 12/31/2022 $1.60
6 9/30/2022 $1.20
7 6/30/2022 $0.80
8 3/31/2022 $0.40
9 12/31/2021 $2.10
10 9/30/2021 $1.60
11 6/30/2021 $0.50
12 3/31/2021 $0.60
13 12/31/2020 $2.31
Financials: EarningsPerShareDilutedUndistributed
Date Value
1 12/31/2023 $6.59
2 9/30/2023 $2.49
3 6/30/2023 $0.57
4 3/31/2023 $1.26
5 12/31/2022 $-7.17
6 9/30/2022 $-1.92
7 6/30/2022 $-4.32
8 3/31/2022 $-1.10
9 12/31/2021 $5.22
10 9/30/2021 $4.87
11 6/30/2021 $4.41
12 3/31/2021 $2.21
13 12/31/2020 $-1.87
Financials: EffectiveIncomeTaxRateContinuingOperations
Date Value
1 12/31/2023 $-0.17
2 9/30/2023 $0.19
3 6/30/2023 $0.17
4 3/31/2023 $0.14
5 12/31/2022 $0.18
6 9/30/2022 $-0.18
7 6/30/2022 $0.19
8 3/31/2022 $0.31
9 12/31/2021 $0.12
10 9/30/2021 $0.12
11 6/30/2021 $0.12
12 3/31/2021 $0.12
13 12/31/2020 $0.16
Financials: EffectiveIncomeTaxRateReconciliationAtFederalStatutoryIncomeTaxRate
Date Value
1 12/31/2023 $0.21
2 12/31/2022 $0.21
3 12/31/2021 $0.21
4 12/31/2020 $0.21
Financials: EffectiveIncomeTaxRateReconciliationChangeInDeferredTaxAssetsValuationAllowance
Date Value
1 12/31/2023 $-0.01
2 12/31/2022 --
3 12/31/2021 --
4 12/31/2020 --
Financials: EffectiveIncomeTaxRateReconciliationForeignIncomeTaxRateDifferential
Date Value
1 12/31/2023 $-0.31
2 12/31/2022 --
3 12/31/2021 $0.00
4 12/31/2020 $0.02
Financials: EffectiveIncomeTaxRateReconciliationMinorityInterestIncomeExpense
Date Value
1 12/31/2023 $0.05
2 12/31/2022 $0.09
3 12/31/2021 $0.10
4 12/31/2020 $0.12
Financials: EffectiveIncomeTaxRateReconciliationNondeductibleExpenseShareBasedCompensationCost
Date Value
1 12/31/2023 $0.01
2 12/31/2022 $0.00
3 12/31/2021 $0.01
4 12/31/2020 $-0.01
Financials: EffectiveIncomeTaxRateReconciliationOtherAdjustments
Date Value
1 12/31/2023 $-0.01
2 12/31/2022 $-0.02
3 12/31/2021 --
4 12/31/2020 $0.01
Financials: EffectiveIncomeTaxRateReconciliationStateAndLocalIncomeTaxes
Date Value
1 12/31/2023 $0.01
2 12/31/2022 $0.00
3 12/31/2021 $0.01
4 12/31/2020 $0.04
Financials: EffectiveIncomeTaxRateReconciliationTaxCredits
Date Value
1 12/31/2023 $0.01
2 12/31/2022 --
3 12/31/2021 --
Financials: EffectOfExchangeRateOnCashCashEquivalentsRestrictedCashAndRestrictedCashEquivalents
Date Value
1 12/31/2023 $10,000,000.00
2 9/30/2023 $2,000,000.00
3 6/30/2023 $5,000,000.00
4 3/31/2023 $3,000,000.00
5 12/31/2022 $-15,000,000.00
6 9/30/2022 $-18,000,000.00
7 6/30/2022 $-20,000,000.00
8 3/31/2022 $-4,000,000.00
9 12/31/2021 --
10 9/30/2021 --
11 6/30/2021 --
12 3/31/2021 --
13 12/31/2020 --
Financials: EquitySecuritiesFvNiRealizedGainLoss
Date Value
1 12/31/2023 $13,000,000.00
2 9/30/2023 $-3,000,000.00
3 6/30/2023 $-31,000,000.00
4 3/31/2023 $-18,000,000.00
5 12/31/2022 $-153,000,000.00
6 9/30/2022 $-260,000,000.00
7 6/30/2022 $-251,000,000.00
8 3/31/2022 $20,000,000.00
Financials: EquitySecuritiesFvNiUnrealizedGainLoss
Date Value
1 12/31/2023 $51,000,000.00
2 9/30/2023 $9,000,000.00
3 6/30/2023 $3,000,000.00
4 3/31/2023 $-23,000,000.00
5 12/31/2022 $-146,000,000.00
6 9/30/2022 $-237,000,000.00
7 6/30/2022 $-238,000,000.00
8 3/31/2022 $17,000,000.00
Financials: EquitySecuritiesWithoutReadilyDeterminableFairValueAmount
Date Value
1 12/31/2023 $358,000,000.00
2 9/30/2023 $400,000,000.00
3 6/30/2023 $400,000,000.00
4 3/31/2023 $400,000,000.00
5 12/31/2022 $400,000,000.00
6 9/30/2022 $400,000,000.00
7 6/30/2022 $400,000,000.00
8 3/31/2022 $400,000,000.00
Financials: EquitySecuritiesWithoutReadilyDeterminableFairValueImpairmentLossCumulativeAmount
Date Value
1 12/31/2023 $42,000,000.00
2 9/30/2023 --
3 6/30/2023 --
4 3/31/2023 --
5 12/31/2022 --
6 9/30/2022 --
7 6/30/2022 --
8 3/31/2022 --
Financials: FairValueOfSecuritiesReceivedAsCollateralThatCanBeResoldOrRepledged
Date Value
1 12/31/2023 $453,000,000.00
2 9/30/2023 $453,000,000.00
3 6/30/2023 $422,000,000.00
4 3/31/2023 $510,000,000.00
5 12/31/2022 $1,522,000,000.00
Financials: FairValueOfSecuritiesReceivedAsCollateralThatHaveBeenResoldOrRepledged
Date Value
1 12/31/2023 --
2 9/30/2023 --
3 6/30/2023 --
4 3/31/2023 --
5 12/31/2022 $1,522,000,000.00
Financials: FairValueOptionCreditRiskGainsLossesOnAssets
Date Value
1 12/31/2023 $-53,000,000.00
2 9/30/2023 $-31,000,000.00
3 6/30/2023 $-11,000,000.00
4 3/31/2023 $-3,000,000.00
5 12/31/2022 $-41,000,000.00
6 9/30/2022 $18,000,000.00
7 6/30/2022 $-52,000,000.00
8 3/31/2022 $-18,000,000.00
Financials: GainLossOnSaleOfMortgageLoans
Date Value
1 12/31/2023 $207,000,000.00
2 9/30/2023 $-838,000,000.00
3 6/30/2023 $73,000,000.00
4 3/31/2023 $277,000,000.00
5 12/31/2022 $-2,974,000,000.00
6 9/30/2022 $-3,094,000,000.00
7 6/30/2022 $-1,099,000,000.00
8 3/31/2022 $-796,000,000.00
Financials: Goodwill
Date Value
1 12/31/2023 $4,329,000,000.00
2 12/31/2022 $4,322,000,000.00
3 9/30/2022 $4,322,000,000.00
4 6/30/2022 $4,417,000,000.00
5 3/31/2022 $4,300,000,000.00
6 12/31/2021 $117,000,000.00
Financials: GuaranteedInterestContracts
Date Value
1 12/31/2023 $204,670,000,000.00
2 9/30/2023 $189,065,000,000.00
3 6/30/2023 $184,359,000,000.00
4 3/31/2023 $181,100,000,000.00
5 12/31/2022 $173,616,000,000.00
6 9/30/2022 $166,878,000,000.00
7 6/30/2022 $164,487,000,000.00
8 3/31/2022 $164,303,000,000.00
Financials: IncomeLossFromContinuingOperationsBeforeIncomeTaxesExtraordinaryItemsNoncontrollingInterest
Date Value
1 12/31/2023 $5,586,000,000.00
2 9/30/2023 $3,625,000,000.00
3 6/30/2023 $2,742,000,000.00
4 3/31/2023 $1,791,000,000.00
5 12/31/2022 $-4,246,000,000.00
6 9/30/2022 $-5,476,000,000.00
7 6/30/2022 $-4,531,000,000.00
8 3/31/2022 $-1,544,000,000.00
9 12/31/2021 $4,861,000,000.00
10 9/30/2021 $732,000,000.00
11 6/30/2021 $1,699,000,000.00
12 3/31/2021 $1,722,000,000.00
13 12/31/2020 $553,000,000.00
Financials: IncomeLossFromContinuingOperationsBeforeIncomeTaxesForeign
Date Value
1 12/31/2023 $2,600,000,000.00
2 12/31/2022 $-3,359,000,000.00
3 12/31/2021 $212,000,000.00
4 12/31/2020 $116,000,000.00
Financials: IncomeTaxesPaid
Date Value
1 12/31/2023 $358,000,000.00
2 9/30/2023 $162,000,000.00
3 6/30/2023 $134,000,000.00
4 3/31/2023 $35,000,000.00
5 12/31/2022 $1,007,000,000.00
6 9/30/2022 $762,000,000.00
7 6/30/2022 $327,000,000.00
8 3/31/2022 $25,000,000.00
9 12/31/2021 $121,000,000.00
10 9/30/2021 $79,000,000.00
11 6/30/2021 $38,000,000.00
12 3/31/2021 $7,000,000.00
13 12/31/2020 $37,000,000.00
Financials: IncomeTaxExpenseBenefit
Date Value
1 12/31/2023 $-923,000,000.00
2 9/30/2023 $697,000,000.00
3 6/30/2023 $454,000,000.00
4 3/31/2023 $253,000,000.00
5 12/31/2022 $-739,000,000.00
6 9/30/2022 $-962,000,000.00
7 6/30/2022 $-866,000,000.00
8 3/31/2022 $-485,000,000.00
9 12/31/2021 $594,000,000.00
10 9/30/2021 $498,000,000.00
11 6/30/2021 $194,000,000.00
12 3/31/2021 $203,000,000.00
13 12/31/2020 $86,000,000.00
Financials: IncomeTaxExpenseBenefitIntraperiodTaxAllocation
Date Value
1 12/31/2023 $-410,000,000.00
2 12/31/2022 $-2,672,000,000.00
3 12/31/2021 $594,000,000.00
4 12/31/2020 $86,000,000.00
Financials: IncreaseDecreaseInDueToAffiliates
Date Value
1 12/31/2023 --
2 12/31/2022 --
3 12/31/2021 $-288,000,000.00
4 12/31/2020 $-69,000,000.00
Financials: IncreaseDecreaseInFuturePolicyBenefitReserves
Date Value
1 12/31/2023 $136,000,000.00
2 9/30/2023 $110,000,000.00
3 6/30/2023 $111,000,000.00
4 12/31/2022 $50,000,000.00
5 9/30/2022 $38,000,000.00
6 6/30/2022 $29,000,000.00
Financials: IncreaseDecreaseInInsuranceLiabilities
Date Value
1 12/31/2023 $4,333,000,000.00
2 9/30/2023 $2,917,000,000.00
3 6/30/2023 $3,827,000,000.00
4 3/31/2023 $64,000,000.00
5 12/31/2022 $3,901,000,000.00
6 9/30/2022 $3,837,000,000.00
7 6/30/2022 $3,000,000,000.00
8 3/31/2022 $-776,000,000.00
9 12/31/2021 --
10 9/30/2021 --
11 6/30/2021 --
12 3/31/2021 --
13 12/31/2020 --
Financials: IncreaseDecreaseInOtherOperatingCapitalNet
Date Value
1 12/31/2023 $4,815,000,000.00
2 9/30/2023 $1,088,000,000.00
3 6/30/2023 $886,000,000.00
4 3/31/2023 $852,000,000.00
5 12/31/2022 $-3,381,000,000.00
6 9/30/2022 $-5,228,000,000.00
7 6/30/2022 $-3,595,000,000.00
8 3/31/2022 $-2,189,000,000.00
9 12/31/2021 $-3,050,000,000.00
10 9/30/2021 $-2,628,000,000.00
11 6/30/2021 $-1,162,000,000.00
12 3/31/2021 $-1,327,000,000.00
13 12/31/2020 $24,000,000.00
Financials: IncreaseDecreaseInTradingSecurities
Date Value
1 12/31/2023 $5,744,000,000.00
2 9/30/2023 $4,761,000,000.00
3 6/30/2023 $2,959,000,000.00
4 3/31/2023 $1,213,000,000.00
5 12/31/2022 $7,139,000,000.00
6 9/30/2022 $8,403,000,000.00
7 6/30/2022 $7,505,000,000.00
8 3/31/2022 $6,033,000,000.00
9 12/31/2021 $4,725,000,000.00
10 9/30/2021 $2,887,000,000.00
11 6/30/2021 $2,435,000,000.00
12 3/31/2021 $1,618,000,000.00
13 12/31/2020 $4,991,000,000.00
Financials: IncrementalCommonSharesAttributableToContingentlyIssuableShares
Date Value
1 12/31/2023 $31,661.00
2 9/30/2023 $42,215.00
3 12/31/2022 --
4 9/30/2022 --
5 12/31/2021 --
Financials: IncrementalCommonSharesAttributableToConversionOfPreferredStock
Date Value
1 12/31/2023 $6,440,346.00
2 12/31/2022 --
3 12/31/2021 --
Financials: IncrementalCommonSharesAttributableToShareBasedPaymentArrangements
Date Value
1 12/31/2023 $994,172.00
2 9/30/2023 $960,937.00
3 3/31/2023 $126,644.00
4 12/31/2022 --
5 9/30/2022 --
6 3/31/2022 --
7 12/31/2021 --
Financials: InterestCreditedToPolicyholdersAccountBalances
Date Value
1 12/31/2023 $4,175,000,000.00
2 9/30/2023 $2,824,000,000.00
3 6/30/2023 $1,638,000,000.00
4 3/31/2023 $724,000,000.00
5 12/31/2022 $3,442,000,000.00
6 9/30/2022 $2,743,000,000.00
7 6/30/2022 $2,047,000,000.00
8 3/31/2022 $1,074,000,000.00
Financials: InterestExpenseDebt
Date Value
1 12/31/2023 $268,000,000.00
2 9/30/2023 $189,000,000.00
3 6/30/2023 $123,000,000.00
4 3/31/2023 $61,000,000.00
5 12/31/2022 $222,000,000.00
6 9/30/2022 $55,000,000.00
7 6/30/2022 $110,000,000.00
8 3/31/2022 $56,000,000.00
9 12/31/2021 $138,000,000.00
10 9/30/2021 $35,000,000.00
11 6/30/2021 $70,000,000.00
12 3/31/2021 $35,000,000.00
13 12/31/2020 $133,000,000.00
Financials: InterestPaidNet
Date Value
1 12/31/2023 $720,000,000.00
2 9/30/2023 $533,000,000.00
3 6/30/2023 $345,000,000.00
4 3/31/2023 $169,000,000.00
5 12/31/2022 $566,000,000.00
6 9/30/2022 $432,000,000.00
7 6/30/2022 $314,000,000.00
8 3/31/2022 $203,000,000.00
9 12/31/2021 $556,000,000.00
10 9/30/2021 $417,000,000.00
11 6/30/2021 $200,000,000.00
12 3/31/2021 $95,000,000.00
13 12/31/2020 $307,000,000.00
Financials: InvestmentIncomeNet
Date Value
1 12/31/2023 $1,140,000,000.00
2 9/30/2023 $958,000,000.00
3 6/30/2023 $639,000,000.00
4 3/31/2023 $474,000,000.00
5 12/31/2022 $1,306,000,000.00
6 9/30/2022 $810,000,000.00
7 6/30/2022 $797,000,000.00
8 3/31/2022 $478,000,000.00
9 12/31/2021 $3,699,000,000.00
10 9/30/2021 $3,125,000,000.00
11 6/30/2021 $1,752,000,000.00
12 3/31/2021 $1,504,000,000.00
13 12/31/2020 $392,000,000.00
Financials: Liabilities
Date Value
1 12/31/2023 $288,243,000,000.00
2 9/30/2023 $265,273,000,000.00
3 6/30/2023 $264,657,000,000.00
4 3/31/2023 $252,590,000,000.00
5 12/31/2022 $241,819,000,000.00
6 9/30/2022 $247,454,000,000.00
7 6/30/2022 $239,689,000,000.00
8 3/31/2022 $241,277,000,000.00
9 12/31/2021 $18,538,000,000.00
Financials: LiabilitiesAndStockholdersEquity
Date Value
1 12/31/2023 $313,488,000,000.00
2 9/30/2023 $283,235,000,000.00
3 6/30/2023 $281,984,000,000.00
4 3/31/2023 $270,324,000,000.00
5 12/31/2022 $257,217,000,000.00
6 9/30/2022 $250,340,000,000.00
7 6/30/2022 $247,850,000,000.00
8 3/31/2022 $261,555,000,000.00
9 12/31/2021 $30,502,000,000.00
Financials: LiabilityForFuturePolicyBenefitCurrentWeightedAverageDiscountRate
Date Value
1 9/30/2023 $0.06
2 6/30/2023 $0.06
3 3/31/2023 $0.05
4 9/30/2022 $0.06
5 6/30/2022 $0.05
6 3/31/2022 $0.04
Financials: LiabilityForFuturePolicyBenefitExpectedFutureGrossPremiumDiscountedBeforeReinsurance
Date Value
1 9/30/2023 $50,593,000,000.00
2 6/30/2023 $52,905,000,000.00
3 3/31/2023 $44,375,000,000.00
4 9/30/2022 $44,348,000,000.00
5 6/30/2022 $41,756,000,000.00
6 3/31/2022 $36,711,000,000.00
Financials: LiabilityForFuturePolicyBenefitExpectedFuturePolicyBenefitCumulativeIncreaseDecreaseFromCashFlowChange
Date Value
1 12/31/2023 $-297,000,000.00
Financials: LiabilityForFuturePolicyBenefitExpectedFuturePolicyBenefitInterestExpense
Date Value
1 12/31/2023 $1,664,000,000.00
2 12/31/2022 $1,146,000,000.00
Financials: LiabilityForFuturePolicyBenefitExpectedFuturePolicyBenefitIssuance
Date Value
1 12/31/2023 $13,518,000,000.00
2 12/31/2022 $11,528,000,000.00
3 3/31/2022 $1,994,000,000.00
Financials: LiabilityForFuturePolicyBenefitExpectedFuturePolicyBenefitPeriodIncreaseDecrease
Date Value
1 12/31/2023 $11,950,000,000.00
2 12/31/2022 $1,144,000,000.00
Financials: LiabilityForFuturePolicyBenefitExpectedFuturePolicyBenefitUndiscountedBeforeReinsurance
Date Value
1 9/30/2023 $73,933,000,000.00
2 6/30/2023 $77,248,000,000.00
3 3/31/2023 $63,995,000,000.00
4 9/30/2022 $63,743,000,000.00
5 6/30/2022 $60,043,000,000.00
6 3/31/2022 $51,643,000,000.00
Financials: LiabilityForFuturePolicyBenefitInterestExpense
Date Value
1 12/31/2023 $1,658,000,000.00
2 9/30/2023 $1,194,000,000.00
3 6/30/2023 $751,000,000.00
4 3/31/2023 $346,000,000.00
5 12/31/2022 $1,146,000,000.00
6 9/30/2022 $802,000,000.00
7 6/30/2022 $483,000,000.00
8 3/31/2022 $229,000,000.00
Financials: LiabilityForFuturePolicyBenefitRemeasurementGainLoss
Date Value
1 12/31/2023 $53,000,000.00
2 9/30/2023 $36,000,000.00
3 6/30/2023 $6,000,000.00
4 3/31/2023 $-2,000,000.00
5 12/31/2022 $15,000,000.00
6 9/30/2022 $5,000,000.00
7 6/30/2022 $10,000,000.00
8 3/31/2022 $3,000,000.00
Financials: LiabilityForFuturePolicyBenefitRemeasurementGainLossLimitedPaymentContract
Date Value
1 12/31/2023 $-65,000,000.00
2 9/30/2023 $-54,000,000.00
3 6/30/2023 $-10,000,000.00
4 3/31/2023 $-4,000,000.00
5 12/31/2022 $21,000,000.00
6 9/30/2022 --
7 6/30/2022 $5,000,000.00
8 3/31/2022 $10,000,000.00
Financials: LiabilityForFuturePolicyBenefits
Date Value
1 12/31/2023 $53,287,000,000.00
2 9/30/2023 $46,672,000,000.00
3 6/30/2023 $50,284,000,000.00
4 3/31/2023 $42,490,000,000.00
5 12/31/2022 $42,110,000,000.00
6 9/30/2022 $41,285,000,000.00
7 6/30/2022 $41,199,000,000.00
8 3/31/2022 $39,240,000,000.00
Financials: LiabilityForFuturePolicyBenefitsPaymentForBenefits
Date Value
1 12/31/2023 $3,852,000,000.00
2 12/31/2022 $2,921,000,000.00
3 3/31/2022 $724,000,000.00
Financials: LiabilityForFuturePolicyBenefitWeightedAverageInterestAccretionRate
Date Value
1 9/30/2023 $0.04
2 6/30/2023 $0.04
3 3/31/2023 $0.03
4 9/30/2022 $0.03
5 6/30/2022 $0.03
6 3/31/2022 $0.03
Financials: LongTermDebt
Date Value
1 12/31/2023 $8,092,000,000.00
2 9/30/2023 $7,026,000,000.00
3 6/30/2023 $6,454,000,000.00
4 3/31/2023 $6,464,000,000.00
5 12/31/2022 $6,472,000,000.00
6 9/30/2022 $6,081,000,000.00
7 6/30/2022 $6,092,000,000.00
8 3/31/2022 $6,102,000,000.00
9 12/31/2021 $3,134,000,000.00
Financials: MarketRiskBenefitAfterIncreaseDecreaseFromInstrumentSpecificCreditRisk
Date Value
1 12/31/2023 $3,373,000,000.00
2 9/30/2023 $2,590,000,000.00
3 6/30/2023 $2,762,000,000.00
4 3/31/2023 $2,763,000,000.00
5 12/31/2022 $2,489,000,000.00
6 9/30/2022 $2,280,000,000.00
7 6/30/2022 $2,674,000,000.00
8 3/31/2022 $3,444,000,000.00
9 12/31/2021 $4,447,000,000.00
Financials: MarketRiskBenefitAssetAmount
Date Value
1 12/31/2023 $378,000,000.00
2 9/30/2023 $431,000,000.00
3 6/30/2023 $433,000,000.00
4 3/31/2023 $440,000,000.00
5 12/31/2022 $481,000,000.00
6 9/30/2022 $511,000,000.00
7 6/30/2022 $489,000,000.00
8 3/31/2022 $413,000,000.00
9 12/31/2021 $366,000,000.00
Financials: MarketRiskBenefitAttributedFeeCollected
Date Value
1 9/30/2023 $252,000,000.00
2 6/30/2023 $166,000,000.00
3 3/31/2023 $85,000,000.00
4 9/30/2022 $247,000,000.00
5 6/30/2022 $162,000,000.00
6 3/31/2022 $82,000,000.00
Financials: MarketRiskBenefitBeforeReinsuranceAndCumulativeIncreaseDecreaseFromInstrumentSpecificCreditRiskChange
Date Value
1 3/31/2023 $3,218,000,000.00
2 12/31/2022 $2,855,000,000.00
3 3/31/2022 $3,841,000,000.00
Financials: MarketRiskBenefitBenefitPayment
Date Value
1 3/31/2023 $6,000,000.00
2 3/31/2022 $12,000,000.00
Financials: MarketRiskBenefitIncreaseDecreaseFromActualPolicyholderBehaviorDifferentFromExpected
Date Value
1 12/31/2023 $75,000,000.00
2 9/30/2023 $75,000,000.00
Financials: MarketRiskBenefitIncreaseDecreaseFromEquityMarketChange
Date Value
1 3/31/2023 $-18,000,000.00
2 9/30/2022 $188,000,000.00
3 6/30/2022 $165,000,000.00
4 3/31/2022 $55,000,000.00
Financials: MarketRiskBenefitIncreaseDecreaseFromFutureExpectedPolicyholderBehaviorAssumption
Date Value
1 3/31/2023 $25,000,000.00
2 3/31/2022 $13,000,000.00
Financials: MarketRiskBenefitIncreaseDecreaseFromInterestRateChange
Date Value
1 9/30/2023 $609,000,000.00
2 6/30/2023 $-74,000,000.00
3 3/31/2023 $226,000,000.00
4 9/30/2022 $2,093,000,000.00
5 6/30/2022 $1,558,000,000.00
6 3/31/2022 $-758,000,000.00
Financials: MarketRiskBenefitIncreaseDecreaseFromOtherAssumption
Date Value
1 12/31/2023 $6,000,000.00
2 9/30/2023 $6,000,000.00
3 12/31/2022 $-43,000,000.00
4 9/30/2022 $-43,000,000.00
Financials: MarketRiskBenefitInterestExpense
Date Value
1 9/30/2023 $115,000,000.00
2 3/31/2023 $34,000,000.00
3 3/31/2022 $-2,000,000.00
Financials: MarketRiskBenefitIssuance
Date Value
1 3/31/2023 $17,000,000.00
2 3/31/2022 $16,000,000.00
Financials: MarketRiskBenefitLiabilityAmount
Date Value
1 12/31/2023 $3,751,000,000.00
2 9/30/2023 $3,021,000,000.00
3 6/30/2023 $3,195,000,000.00
4 3/31/2023 $3,203,000,000.00
5 12/31/2022 $2,970,000,000.00
6 9/30/2022 $2,791,000,000.00
7 6/30/2022 $3,163,000,000.00
8 3/31/2022 $3,857,000,000.00
9 12/31/2021 $4,813,000,000.00
Financials: MarketRiskBenefitPeriodIncreaseDecrease
Date Value
1 9/30/2023 $101,000,000.00
2 6/30/2023 $273,000,000.00
3 9/30/2022 $-2,167,000,000.00
4 6/30/2022 $-1,773,000,000.00
Financials: MinorityInterest
Date Value
1 12/31/2023 $11,189,000,000.00
2 9/30/2023 $9,233,000,000.00
3 6/30/2023 $8,813,000,000.00
4 3/31/2023 $8,618,000,000.00
5 12/31/2022 $7,726,000,000.00
6 9/30/2022 $3,201,000,000.00
7 6/30/2022 $3,479,000,000.00
8 3/31/2022 $7,495,000,000.00
9 12/31/2021 $6,405,000,000.00
Financials: MinorityInterestDecreaseFromDistributionsToNoncontrollingInterestHolders
Date Value
1 12/31/2023 $1,894,000,000.00
2 9/30/2023 $608,000,000.00
3 6/30/2023 $783,000,000.00
4 12/31/2022 $2,009,000,000.00
5 9/30/2022 $1,760,000,000.00
6 6/30/2022 $1,392,000,000.00
7 12/31/2021 $2,058,000,000.00
Financials: NetCashProvidedByUsedInFinancingActivities
Date Value
1 12/31/2023 $42,638,000,000.00
2 9/30/2023 $26,758,000,000.00
3 6/30/2023 $16,537,000,000.00
4 3/31/2023 $11,523,000,000.00
5 12/31/2022 $28,710,000,000.00
6 9/30/2022 $21,013,000,000.00
7 6/30/2022 $13,280,000,000.00
8 3/31/2022 $11,240,000,000.00
9 12/31/2021 $109,000,000.00
10 9/30/2021 $-444,000,000.00
11 6/30/2021 $-177,000,000.00
12 3/31/2021 $1,177,000,000.00
13 12/31/2020 $3,300,000,000.00
Financials: NetCashProvidedByUsedInInvestingActivities
Date Value
1 12/31/2023 $-42,407,000,000.00
2 9/30/2023 $-27,719,000,000.00
3 6/30/2023 $-17,508,000,000.00
4 3/31/2023 $-5,640,000,000.00
5 12/31/2022 $-23,444,000,000.00
6 9/30/2022 $-12,171,000,000.00
7 6/30/2022 $-818,000,000.00
8 3/31/2022 $3,103,000,000.00
9 12/31/2021 $-1,552,000,000.00
10 9/30/2021 $-344,000,000.00
11 6/30/2021 $772,000,000.00
12 3/31/2021 $19,000,000.00
13 12/31/2020 $-838,000,000.00
Financials: NetCashProvidedByUsedInOperatingActivities
Date Value
1 12/31/2023 $6,322,000,000.00
2 9/30/2023 $4,258,000,000.00
3 6/30/2023 $4,622,000,000.00
4 3/31/2023 $1,071,000,000.00
5 12/31/2022 $3,789,000,000.00
6 9/30/2022 $2,324,000,000.00
7 6/30/2022 $-20,000,000.00
8 3/31/2022 $-3,993,000,000.00
9 12/31/2021 $1,064,000,000.00
10 9/30/2021 $2,137,000,000.00
11 6/30/2021 $1,093,000,000.00
12 3/31/2021 $-229,000,000.00
13 12/31/2020 $-1,616,000,000.00
Financials: NetIncomeLoss
Date Value
1 12/31/2023 $5,047,000,000.00
2 9/30/2023 $2,291,000,000.00
3 12/31/2022 $-1,961,000,000.00
4 9/30/2022 $-2,601,000,000.00
5 6/30/2022 $-2,921,000,000.00
6 3/31/2022 $-870,000,000.00
7 12/31/2021 $1,802,000,000.00
8 9/30/2021 $258,000,000.00
9 6/30/2021 $1,337,000,000.00
10 3/31/2021 $679,000,000.00
11 12/31/2020 $120,000,000.00
Financials: NetIncomeLossAttributableToNoncontrollingInterest
Date Value
1 12/31/2023 $1,462,000,000.00
2 9/30/2023 $637,000,000.00
3 6/30/2023 $679,000,000.00
4 3/31/2023 $528,000,000.00
5 12/31/2022 $-1,546,000,000.00
6 9/30/2022 $-1,913,000,000.00
7 6/30/2022 $-969,000,000.00
8 3/31/2022 $-658,000,000.00
9 12/31/2021 $2,428,000,000.00
10 9/30/2021 $2,060,000,000.00
11 6/30/2021 $847,000,000.00
12 3/31/2021 $840,000,000.00
13 12/31/2020 $310,000,000.00
Financials: NetIncomeLossAvailableToCommonStockholdersBasic
Date Value
1 12/31/2023 $5,001,000,000.00
2 9/30/2023 $2,269,000,000.00
3 6/30/2023 $1,609,000,000.00
4 3/31/2023 $1,010,000,000.00
5 12/31/2022 $-1,961,000,000.00
6 9/30/2022 $-2,601,000,000.00
7 6/30/2022 $-2,038,000,000.00
8 3/31/2022 $-401,000,000.00
9 12/31/2021 $1,802,000,000.00
10 9/30/2021 $249,000,000.00
11 6/30/2021 $649,000,000.00
12 3/31/2021 $670,000,000.00
13 12/31/2020 $120,000,000.00
Financials: NetIncomeLossAvailableToCommonStockholdersDiluted
Date Value
1 12/31/2023 $5,001,000,000.00
2 9/30/2023 $2,269,000,000.00
3 6/30/2023 $1,609,000,000.00
4 3/31/2023 $1,010,000,000.00
5 12/31/2022 $-1,961,000,000.00
6 9/30/2022 $-2,601,000,000.00
7 6/30/2022 $-2,038,000,000.00
8 3/31/2022 $-401,000,000.00
9 12/31/2021 $1,802,000,000.00
10 9/30/2021 $1,568,000,000.00
11 6/30/2021 $1,319,000,000.00
12 3/31/2021 $670,000,000.00
13 12/31/2020 $120,000,000.00
Financials: NoncontrollingInterestIncreaseFromBusinessCombination
Date Value
1 12/31/2023 $2,863,000,000.00
2 9/30/2023 $1,766,000,000.00
3 6/30/2023 $729,000,000.00
4 3/31/2023 $617,000,000.00
5 12/31/2022 $4,816,000,000.00
6 9/30/2022 $3,955,000,000.00
7 6/30/2022 $665,000,000.00
8 3/31/2022 $3,012,000,000.00
9 12/31/2021 $2,280,000,000.00
10 9/30/2021 $1,189,000,000.00
11 6/30/2021 $1,012,000,000.00
12 3/31/2021 $821,000,000.00
13 12/31/2020 $843,000,000.00
Financials: NoncontrollingInterestIncreaseFromSubsidiaryEquityIssuance
Date Value
1 12/31/2023 $584,000,000.00
2 9/30/2023 $598,000,000.00
Financials: NumberOfReportableSegments
Date Value
1 12/31/2023 $3.00
2 9/30/2023 $3.00
3 6/30/2023 $3.00
4 3/31/2023 $3.00
5 12/31/2022 $3.00
6 9/30/2022 $3.00
7 6/30/2022 $3.00
8 3/31/2022 $3.00
Financials: OciLiabilityForFuturePolicyBenefitGainLossAfterReclassificationAdjustmentBeforeTax
Date Value
1 12/31/2023 $-2,236,000,000.00
2 9/30/2023 $1,328,000,000.00
3 6/30/2023 $11,000,000.00
4 3/31/2023 $-802,000,000.00
5 12/31/2022 $8,425,000,000.00
6 9/30/2022 $8,833,000,000.00
7 6/30/2022 $6,459,000,000.00
8 3/31/2022 $3,562,000,000.00
9 12/31/2021 --
Financials: OciMarketRiskBenefitInstrumentSpecificCreditRiskGainLossAfterAdjustmentsBeforeTax
Date Value
1 12/31/2023 $-374,000,000.00
2 9/30/2023 $-220,000,000.00
3 6/30/2023 $34,000,000.00
4 3/31/2023 $89,000,000.00
5 12/31/2022 $366,000,000.00
6 9/30/2022 $524,000,000.00
7 6/30/2022 $576,000,000.00
8 3/31/2022 $397,000,000.00
9 12/31/2021 --
Financials: OperatingExpenses
Date Value
1 12/31/2023 $27,331,000,000.00
2 9/30/2023 $18,156,000,000.00
3 6/30/2023 $16,405,000,000.00
4 3/31/2023 $3,574,000,000.00
5 12/31/2022 $15,911,000,000.00
6 9/30/2022 $12,258,000,000.00
7 6/30/2022 $5,453,000,000.00
8 3/31/2022 $2,784,000,000.00
9 12/31/2021 $4,113,000,000.00
10 9/30/2021 $648,000,000.00
11 6/30/2021 $1,769,000,000.00
12 3/31/2021 $1,022,000,000.00
13 12/31/2020 $1,579,000,000.00
Financials: OtherComprehensiveIncomeLossAvailableForSaleSecuritiesAdjustmentBeforeTax
Date Value
1 12/31/2023 $5,284,000,000.00
2 9/30/2023 $-1,767,000,000.00
3 6/30/2023 $1,388,000,000.00
4 3/31/2023 $2,099,000,000.00
5 12/31/2022 $-18,158,000,000.00
6 9/30/2022 $-20,168,000,000.00
7 6/30/2022 $-14,252,000,000.00
8 3/31/2022 $-6,698,000,000.00
9 12/31/2021 --
10 9/30/2021 $1,000,000.00
11 6/30/2021 $-1,000,000.00
12 3/31/2021 $1,000,000.00
13 12/31/2020 $-1,000,000.00
Financials: OtherComprehensiveIncomeLossBeforeTax
Date Value
1 12/31/2023 $2,540,000,000.00
2 9/30/2023 $-940,000,000.00
3 6/30/2023 $1,399,000,000.00
4 3/31/2023 $1,512,000,000.00
5 12/31/2022 $-9,421,000,000.00
6 9/30/2022 $-11,077,000,000.00
7 6/30/2022 $-7,382,000,000.00
8 3/31/2022 $-2,875,000,000.00
9 12/31/2021 $-32,000,000.00
10 9/30/2021 $-9,000,000.00
11 6/30/2021 $4,000,000.00
12 3/31/2021 $-15,000,000.00
13 12/31/2020 $41,000,000.00
Financials: OtherComprehensiveIncomeLossCashFlowHedgeGainLossAfterReclassificationBeforeTax
Date Value
1 12/31/2023 $-199,000,000.00
2 9/30/2023 $-280,000,000.00
3 6/30/2023 $-67,000,000.00
4 3/31/2023 $104,000,000.00
5 12/31/2022 $4,000,000.00
6 9/30/2022 $-80,000,000.00
7 6/30/2022 $81,000,000.00
8 3/31/2022 $-127,000,000.00
9 12/31/2021 --
10 9/30/2021 --
11 6/30/2021 --
12 3/31/2021 --
13 12/31/2020 --
Financials: OtherComprehensiveIncomeLossForeignCurrencyTransactionAndTranslationAdjustmentBeforeTax
Date Value
1 12/31/2023 $65,000,000.00
2 9/30/2023 $-1,000,000.00
3 6/30/2023 $33,000,000.00
4 3/31/2023 $22,000,000.00
5 12/31/2022 $-58,000,000.00
6 9/30/2022 $-140,000,000.00
7 6/30/2022 $-119,000,000.00
8 3/31/2022 $-9,000,000.00
9 12/31/2021 $-32,000,000.00
10 9/30/2021 $-10,000,000.00
11 6/30/2021 $-11,000,000.00
12 3/31/2021 $-16,000,000.00
13 12/31/2020 $42,000,000.00
Financials: OtherComprehensiveIncomeLossNetOfTax
Date Value
1 12/31/2023 $2,027,000,000.00
2 9/30/2023 $-765,000,000.00
3 6/30/2023 $-124,000,000.00
4 3/31/2023 $1,222,000,000.00
5 12/31/2022 $-7,488,000,000.00
6 9/30/2022 $-8,857,000,000.00
7 6/30/2022 $-5,889,000,000.00
8 3/31/2022 $-2,260,000,000.00
9 12/31/2021 $-32,000,000.00
10 9/30/2021 $-20,000,000.00
11 6/30/2021 $4,000,000.00
12 3/31/2021 $-15,000,000.00
13 12/31/2020 $41,000,000.00
Financials: OtherComprehensiveIncomeLossTax
Date Value
1 12/31/2023 $513,000,000.00
2 9/30/2023 $-175,000,000.00
3 6/30/2023 $301,000,000.00
4 3/31/2023 $290,000,000.00
5 12/31/2022 $-1,933,000,000.00
6 9/30/2022 $-2,220,000,000.00
7 6/30/2022 $-1,493,000,000.00
8 3/31/2022 $-615,000,000.00
9 12/31/2021 --
10 9/30/2021 --
11 6/30/2021 --
12 3/31/2021 --
13 12/31/2020 --
Financials: OtherNoncashIncomeExpense
Date Value
1 12/31/2023 $415,000,000.00
2 9/30/2023 $349,000,000.00
3 6/30/2023 $-81,000,000.00
4 3/31/2023 $-66,000,000.00
5 12/31/2022 $-321,000,000.00
6 9/30/2022 $62,000,000.00
7 6/30/2022 $30,000,000.00
8 3/31/2022 $-42,000,000.00
9 12/31/2021 $-642,000,000.00
10 9/30/2021 $-388,000,000.00
11 6/30/2021 $-382,000,000.00
12 3/31/2021 --
13 12/31/2020 $-77,000,000.00
Financials: OtherNonoperatingGainsLosses
Date Value
1 12/31/2023 $-805,000,000.00
2 9/30/2023 $355,000,000.00
3 6/30/2023 $12,000,000.00
4 3/31/2023 $-264,000,000.00
5 12/31/2022 $1,056,000,000.00
6 9/30/2022 $1,614,000,000.00
7 6/30/2022 $807,000,000.00
8 3/31/2022 $307,000,000.00
Financials: OtherReceivablesNetCurrent
Date Value
1 6/30/2023 $503,000,000.00
2 12/31/2022 $465,000,000.00
Financials: ParticipatingSecuritiesDistributedAndUndistributedEarningsLossBasic
Date Value
1 12/31/2023 $115,000,000.00
2 9/30/2023 $44,000,000.00
3 6/30/2023 $31,000,000.00
4 3/31/2023 $20,000,000.00
5 12/31/2022 --
6 9/30/2022 --
7 6/30/2022 --
8 3/31/2022 --
9 12/31/2021 $55,000,000.00
10 9/30/2021 $4,000,000.00
11 6/30/2021 $39,000,000.00
12 3/31/2021 $19,000,000.00
13 12/31/2020 --
Financials: PaymentsForDerivativeInstrumentInvestingActivities
Date Value
1 12/31/2023 $5,637,000,000.00
2 9/30/2023 $5,242,000,000.00
3 6/30/2023 $3,551,000,000.00
4 3/31/2023 $725,000,000.00
5 12/31/2022 $3,008,000,000.00
6 9/30/2022 $2,235,000,000.00
7 6/30/2022 $1,334,000,000.00
8 3/31/2022 $736,000,000.00
9 12/31/2021 --
10 12/31/2020 --
Financials: PaymentsForProceedsFromDerivativeInstrumentFinancingActivities
Date Value
1 12/31/2023 $-829,000,000.00
2 9/30/2023 $-945,000,000.00
3 6/30/2023 $-3,138,000,000.00
4 3/31/2023 $-3,489,000,000.00
5 12/31/2022 $330,000,000.00
6 9/30/2022 $22,000,000.00
7 6/30/2022 $1,024,000,000.00
8 3/31/2022 $-27,000,000.00
9 12/31/2021 --
10 9/30/2021 --
11 6/30/2021 --
12 3/31/2021 --
13 12/31/2020 --
Financials: PaymentsForProceedsFromOtherInvestingActivities
Date Value
1 12/31/2023 $-231,000,000.00
2 9/30/2023 $-354,000,000.00
3 6/30/2023 $-315,000,000.00
4 3/31/2023 $-459,000,000.00
5 12/31/2022 $277,000,000.00
6 9/30/2022 $-499,000,000.00
7 6/30/2022 --
8 3/31/2022 $935,000,000.00
9 12/31/2021 $69,000,000.00
10 9/30/2021 $55,000,000.00
11 6/30/2021 $14,000,000.00
12 3/31/2021 $6,000,000.00
13 12/31/2020 $52,000,000.00
Financials: PaymentsForRepurchaseOfCommonStock
Date Value
1 12/31/2023 $561,000,000.00
2 9/30/2023 $535,000,000.00
3 6/30/2023 $535,000,000.00
4 3/31/2023 $458,000,000.00
5 12/31/2022 $635,000,000.00
6 9/30/2022 $463,000,000.00
7 6/30/2022 $437,000,000.00
8 3/31/2022 $226,000,000.00
9 12/31/2021 $299,000,000.00
10 9/30/2021 $201,000,000.00
11 6/30/2021 $123,000,000.00
12 3/31/2021 --
13 12/31/2020 $92,000,000.00
Financials: PaymentsForRepurchaseOfRedeemablePreferredStock
Date Value
1 12/31/2023 $575,000,000.00
2 9/30/2023 $575,000,000.00
3 12/31/2022 --
4 9/30/2022 --
5 12/31/2021 --
Financials: PaymentsOfDebtIssuanceCosts
Date Value
1 9/30/2023 $16,000,000.00
2 9/30/2022 --
Financials: PaymentsOfDividendsCommonStock
Date Value
1 12/31/2023 $1,012,000,000.00
2 9/30/2023 $753,000,000.00
3 6/30/2023 $497,000,000.00
4 3/31/2023 $241,000,000.00
5 12/31/2022 $962,000,000.00
6 9/30/2022 $722,000,000.00
7 6/30/2022 $458,000,000.00
8 5/31/2022 $229,000,000.00
9 3/31/2022 $229,000,000.00
10 2/28/2022 $229,000,000.00
11 12/31/2021 $517,000,000.00
12 11/30/2021 $124,000,000.00
13 9/30/2021 $390,000,000.00
14 8/31/2021 --
15 6/30/2021 $264,000,000.00
16 5/31/2021 $116,000,000.00
17 3/31/2021 --
18 2/28/2021 $139,000,000.00
19 12/31/2020 $550,000,000.00
Financials: PaymentsOfDividendsMinorityInterest
Date Value
1 12/31/2023 --
2 11/30/2023 --
3 8/31/2023 --
4 6/30/2023 --
5 5/31/2023 --
6 3/31/2023 --
7 2/28/2023 --
8 12/31/2022 --
9 11/30/2022 --
10 9/30/2022 --
11 8/31/2022 --
12 6/30/2022 --
13 5/31/2022 --
14 3/31/2022 --
15 2/28/2022 --
16 12/31/2021 $518,000,000.00
17 11/30/2021 $23,000,000.00
18 8/31/2021 $24,000,000.00
19 5/31/2021 $101,000,000.00
20 3/31/2021 $42,000,000.00
21 2/28/2021 $121,000,000.00
22 12/31/2020 $489,000,000.00
23 11/30/2020 $104,000,000.00
24 8/31/2020 $100,000,000.00
25 5/31/2020 $86,000,000.00
26 3/31/2020 $43,000,000.00
27 2/29/2020 $156,000,000.00
Financials: PaymentsOfDividendsPreferredStockAndPreferenceStock
Date Value
1 12/31/2023 $22,000,000.00
2 12/31/2022 --
3 9/30/2022 --
4 6/30/2022 --
5 3/31/2022 --
6 12/31/2021 $37,000,000.00
7 9/30/2021 $27,000,000.00
8 6/30/2021 $18,000,000.00
9 3/31/2021 $9,000,000.00
10 12/31/2020 $37,000,000.00
Financials: PaymentsOfOrdinaryDividends
Date Value
1 12/31/2023 $961,000,000.00
2 11/30/2023 $244,000,000.00
3 8/31/2023 $244,000,000.00
4 6/30/2023 $473,000,000.00
5 5/31/2023 $244,000,000.00
6 3/31/2023 $229,000,000.00
7 2/28/2023 $229,000,000.00
8 12/31/2022 $916,000,000.00
9 11/30/2022 $229,000,000.00
10 9/30/2022 $687,000,000.00
11 8/31/2022 $229,000,000.00
12 6/30/2022 $458,000,000.00
13 5/31/2022 $229,000,000.00
14 3/31/2022 $229,000,000.00
15 2/28/2022 $229,000,000.00
16 12/31/2021 $1,019,000,000.00
17 11/30/2021 $23,000,000.00
18 8/31/2021 $216,000,000.00
19 5/31/2021 $20,000,000.00
20 3/31/2021 $42,000,000.00
21 2/28/2021 $260,000,000.00
22 12/31/2020 $1,019,000,000.00
23 11/30/2020 $221,000,000.00
24 8/31/2020 $212,000,000.00
25 5/31/2020 $182,000,000.00
26 3/31/2020 $43,000,000.00
27 2/29/2020 $361,000,000.00
Financials: PaymentsRelatedToTaxWithholdingForShareBasedCompensation
Date Value
1 12/31/2023 $259,000,000.00
2 9/30/2023 $215,000,000.00
3 6/30/2023 $166,000,000.00
4 3/31/2023 $147,000,000.00
5 12/31/2022 $185,000,000.00
6 9/30/2022 $176,000,000.00
7 6/30/2022 $158,000,000.00
8 3/31/2022 $138,000,000.00
9 12/31/2021 $141,000,000.00
10 9/30/2021 $99,000,000.00
11 6/30/2021 $64,000,000.00
12 3/31/2021 $48,000,000.00
13 12/31/2020 $97,000,000.00
Financials: PaymentsToAcquireAvailableForSaleSecuritiesDebt
Date Value
1 12/31/2023 $37,263,000,000.00
2 9/30/2023 $24,568,000,000.00
3 6/30/2023 $16,213,000,000.00
4 3/31/2023 $6,668,000,000.00
5 12/31/2022 $36,684,000,000.00
6 9/30/2022 $28,050,000,000.00
7 6/30/2022 $18,665,000,000.00
8 3/31/2022 $11,100,000,000.00
9 12/31/2021 --
10 12/31/2020 --
Financials: PaymentsToAcquireHeldToMaturitySecurities
Date Value
1 12/31/2023 $490,000,000.00
2 9/30/2023 $490,000,000.00
3 6/30/2023 $490,000,000.00
4 3/31/2023 $244,000,000.00
5 12/31/2022 $4,939,000,000.00
6 9/30/2022 $4,160,000,000.00
7 6/30/2022 $3,006,000,000.00
8 3/31/2022 $1,517,000,000.00
9 12/31/2021 $4,491,000,000.00
10 12/31/2020 $1,874,000,000.00
Financials: PaymentsToAcquireNotesReceivable
Date Value
1 12/31/2023 $20,972,000,000.00
2 9/30/2023 $14,398,000,000.00
3 6/30/2023 $8,700,000,000.00
4 3/31/2023 $2,930,000,000.00
5 12/31/2022 $12,951,000,000.00
6 9/30/2022 $9,824,000,000.00
7 6/30/2022 $7,832,000,000.00
8 3/31/2022 $4,258,000,000.00
9 12/31/2021 --
10 12/31/2020 --
Financials: PaymentsToMinorityShareholders
Date Value
1 12/31/2023 $766,000,000.00
2 9/30/2023 $596,000,000.00
3 6/30/2023 $271,000,000.00
4 3/31/2023 $183,000,000.00
5 12/31/2022 $1,050,000,000.00
6 9/30/2022 $1,034,000,000.00
7 6/30/2022 $947,000,000.00
8 3/31/2022 $633,000,000.00
9 12/31/2021 $1,498,000,000.00
10 9/30/2021 $1,177,000,000.00
11 6/30/2021 $784,000,000.00
12 3/31/2021 $160,000,000.00
13 12/31/2020 $855,000,000.00
Financials: PolicyholderAccountBalanceBenefitPayment
Date Value
1 12/31/2023 $6,141,000,000.00
2 9/30/2023 $4,441,000,000.00
3 6/30/2023 $3,408,000,000.00
4 3/31/2023 $1,266,000,000.00
5 12/31/2022 $5,698,000,000.00
6 9/30/2022 $4,826,000,000.00
7 6/30/2022 $2,462,000,000.00
8 3/31/2022 $1,460,000,000.00
Financials: PolicyholderAccountBalanceIncreaseDecreaseFromOtherChange
Date Value
1 12/31/2023 $-1,021,000,000.00
2 9/30/2023 $-1,325,000,000.00
3 6/30/2023 $-102,000,000.00
4 3/31/2023 $56,000,000.00
5 12/31/2022 $-714,000,000.00
6 9/30/2022 $-710,000,000.00
7 6/30/2022 $-342,000,000.00
8 3/31/2022 $-218,000,000.00
Financials: PolicyholderAccountBalanceIssuance
Date Value
1 12/31/2023 $54,304,000,000.00
2 9/30/2023 $35,624,000,000.00
3 6/30/2023 $22,237,000,000.00
4 3/31/2023 $12,162,000,000.00
5 12/31/2022 $35,341,000,000.00
6 9/30/2022 $24,350,000,000.00
7 6/30/2022 $14,768,000,000.00
8 3/31/2022 $8,957,000,000.00
Financials: PolicyholderAccountBalanceNetAmountAtRisk
Date Value
1 12/31/2023 --
2 9/30/2023 $14,967,000,000.00
3 6/30/2023 $14,686,000,000.00
4 3/31/2023 $14,392,000,000.00
5 12/31/2022 --
6 9/30/2022 $13,626,000,000.00
7 6/30/2022 $13,232,000,000.00
8 3/31/2022 $10,983,000,000.00
Financials: PolicyholderAccountBalancePolicyCharge
Date Value
1 12/31/2023 $653,000,000.00
2 9/30/2023 $483,000,000.00
3 6/30/2023 $319,000,000.00
4 3/31/2023 $159,000,000.00
5 12/31/2022 $603,000,000.00
6 9/30/2022 $443,000,000.00
7 6/30/2022 $288,000,000.00
8 3/31/2022 $142,000,000.00
Financials: PolicyholderAccountBalanceSurrenderAndWithdrawal
Date Value
1 12/31/2023 $21,332,000,000.00
2 9/30/2023 $16,634,000,000.00
3 6/30/2023 $10,670,000,000.00
4 3/31/2023 $4,603,000,000.00
5 12/31/2022 $14,373,000,000.00
6 9/30/2022 $9,628,000,000.00
7 6/30/2022 $5,777,000,000.00
8 3/31/2022 $2,644,000,000.00
Financials: PolicyholderAccountBalanceWeightedAverageCreditingRate
Date Value
1 9/30/2023 $0.03
2 6/30/2023 $0.03
3 3/31/2023 $0.03
4 9/30/2022 $0.02
5 6/30/2022 $0.02
6 3/31/2022 $0.02
Financials: PolicyholderBenefitsAndClaimsIncurredGross
Date Value
1 12/31/2023 $12,321,000,000.00
2 12/31/2022 $12,142,000,000.00
Financials: PolicyholderBenefitsAndClaimsIncurredNet
Date Value
1 12/31/2023 $14,434,000,000.00
2 12/31/2022 $12,465,000,000.00
Financials: PolicyholderFunds
Date Value
1 12/31/2023 $197,889,000,000.00
2 9/30/2023 $183,456,000,000.00
3 6/30/2023 $177,627,000,000.00
4 3/31/2023 $175,291,000,000.00
5 12/31/2022 $168,339,000,000.00
6 9/30/2022 $161,868,000,000.00
7 6/30/2022 $158,829,000,000.00
8 3/31/2022 $156,843,000,000.00
9 12/31/2021 $151,390,000,000.00
Financials: PreferredStockDividendsIncomeStatementImpact
Date Value
1 12/31/2023 $46,000,000.00
2 9/30/2023 $22,000,000.00
3 12/31/2022 --
4 9/30/2022 --
5 6/30/2022 --
6 3/31/2022 --
7 12/31/2021 $37,000,000.00
8 9/30/2021 $9,000,000.00
9 6/30/2021 $9,000,000.00
10 3/31/2021 $9,000,000.00
11 12/31/2020 $37,000,000.00
Financials: PreferredStockRedemptionPricePerShare
Date Value
1 9/30/2023 $25.00
Financials: PreferredStockSharesIssued
Date Value
1 12/31/2023 $28,750,000.00
2 9/30/2023 $28,750,000.00
3 12/31/2022 --
Financials: PreferredStockSharesOutstanding
Date Value
1 12/31/2023 $28,750,000.00
2 9/30/2023 $28,750,000.00
3 12/31/2022 --
Financials: PreferredStockValue
Date Value
1 12/31/2023 $1,398,000,000.00
2 9/30/2023 $1,397,000,000.00
3 12/31/2022 --
Financials: PremiumsEarnedNet
Date Value
1 12/31/2023 $12,749,000,000.00
2 9/30/2023 $9,163,000,000.00
3 6/30/2023 $9,137,000,000.00
4 3/31/2023 $96,000,000.00
5 12/31/2022 $11,638,000,000.00
6 9/30/2022 $10,769,000,000.00
7 6/30/2022 $7,724,000,000.00
8 3/31/2022 $2,110,000,000.00
Financials: PresentValueOfFutureInsuranceProfitsAdditionsFromAcquisitions
Date Value
1 12/31/2023 --
2 9/30/2023 --
3 6/30/2023 --
4 3/31/2023 --
5 12/31/2022 --
6 9/30/2022 --
7 6/30/2022 --
8 3/31/2022 --
Financials: PresentValueOfFutureInsuranceProfitsAmortizationExpense1
Date Value
1 12/31/2023 $404,000,000.00
2 9/30/2023 $315,000,000.00
3 6/30/2023 $183,000,000.00
4 3/31/2023 $93,000,000.00
5 12/31/2022 $488,000,000.00
6 9/30/2022 $371,000,000.00
7 6/30/2022 $249,000,000.00
8 3/31/2022 $96,000,000.00
Financials: PresentValueOfFutureInsuranceProfitsAmortizationExpenseRemainderOfFiscalYear
Date Value
1 9/30/2023 $87,000,000.00
2 6/30/2023 $169,000,000.00
3 3/31/2023 $257,000,000.00
4 9/30/2022 $117,000,000.00
5 6/30/2022 $239,000,000.00
6 3/31/2022 $362,000,000.00
Financials: PresentValueOfFutureInsuranceProfitsAmortizationExpenseYearFive
Date Value
1 12/31/2023 $196,000,000.00
2 9/30/2023 $197,000,000.00
3 6/30/2023 $200,000,000.00
4 3/31/2023 $200,000,000.00
5 12/31/2022 $301,000,000.00
6 9/30/2022 $303,000,000.00
7 6/30/2022 $304,000,000.00
8 3/31/2022 $305,000,000.00
Financials: PresentValueOfFutureInsuranceProfitsAmortizationExpenseYearFour
Date Value
1 12/31/2023 $229,000,000.00
2 9/30/2023 $228,000,000.00
3 6/30/2023 $230,000,000.00
4 3/31/2023 $230,000,000.00
5 12/31/2022 $336,000,000.00
6 9/30/2022 $339,000,000.00
7 6/30/2022 $342,000,000.00
8 3/31/2022 $343,000,000.00
Financials: PresentValueOfFutureInsuranceProfitsAmortizationExpenseYearOne
Date Value
1 12/31/2023 $325,000,000.00
2 9/30/2023 $324,000,000.00
3 6/30/2023 $316,000,000.00
4 3/31/2023 $316,000,000.00
5 12/31/2022 $440,000,000.00
6 9/30/2022 $442,000,000.00
7 6/30/2022 $447,000,000.00
8 3/31/2022 $452,000,000.00
Financials: PresentValueOfFutureInsuranceProfitsAmortizationExpenseYearThree
Date Value
1 12/31/2023 $262,000,000.00
2 9/30/2023 $260,000,000.00
3 6/30/2023 $260,000,000.00
4 3/31/2023 $260,000,000.00
5 12/31/2022 $370,000,000.00
6 9/30/2022 $373,000,000.00
7 6/30/2022 $377,000,000.00
8 3/31/2022 $380,000,000.00
Financials: PresentValueOfFutureInsuranceProfitsAmortizationExpenseYearTwo
Date Value
1 12/31/2023 $294,000,000.00
2 9/30/2023 $292,000,000.00
3 6/30/2023 $289,000,000.00
4 3/31/2023 $289,000,000.00
5 12/31/2022 $402,000,000.00
6 9/30/2022 $405,000,000.00
7 6/30/2022 $410,000,000.00
8 3/31/2022 $415,000,000.00
Financials: ProceedsFromAnnuitiesAndInvestmentCertificates
Date Value
1 12/31/2023 $53,660,000,000.00
2 9/30/2023 $35,168,000,000.00
3 6/30/2023 $21,942,000,000.00
4 3/31/2023 $12,006,000,000.00
5 12/31/2022 $33,920,000,000.00
6 9/30/2022 $23,329,000,000.00
7 6/30/2022 $13,925,000,000.00
8 3/31/2022 $8,342,000,000.00
9 12/31/2021 --
10 9/30/2021 --
11 6/30/2021 --
12 3/31/2021 --
13 12/31/2020 --
Financials: ProceedsFromIssuanceOfConvertiblePreferredStock
Date Value
1 12/31/2023 $1,398,000,000.00
2 12/31/2022 --
3 12/31/2021 --
Financials: ProceedsFromIssuanceOfLongTermDebt
Date Value
1 12/31/2023 $4,912,000,000.00
2 9/30/2023 $3,821,000,000.00
3 6/30/2023 $2,417,000,000.00
4 3/31/2023 $1,203,000,000.00
5 12/31/2022 $5,745,000,000.00
6 9/30/2022 $3,751,000,000.00
7 6/30/2022 $3,751,000,000.00
8 3/31/2022 $3,656,000,000.00
9 12/31/2021 $1,334,000,000.00
10 9/30/2021 $842,000,000.00
11 6/30/2021 $774,000,000.00
12 3/31/2021 $257,000,000.00
13 12/31/2020 $4,300,000,000.00
Financials: ProceedsFromIssuanceOrSaleOfEquity
Date Value
1 9/30/2023 $1,397,000,000.00
2 12/31/2022 --
3 9/30/2022 --
4 6/30/2022 --
5 3/31/2022 --
6 12/31/2021 $1,001,000,000.00
7 9/30/2021 $1,001,000,000.00
8 6/30/2021 $662,000,000.00
9 3/31/2021 $662,000,000.00
10 12/31/2020 --
Financials: ProceedsFromMinorityShareholders
Date Value
1 12/31/2023 $2,863,000,000.00
2 9/30/2023 $1,766,000,000.00
3 6/30/2023 $725,000,000.00
4 3/31/2023 $617,000,000.00
5 12/31/2022 $4,816,000,000.00
6 9/30/2022 $3,955,000,000.00
7 6/30/2022 $4,034,000,000.00
8 3/31/2022 $3,382,000,000.00
9 12/31/2021 $2,280,000,000.00
10 9/30/2021 $1,189,000,000.00
11 6/30/2021 $1,012,000,000.00
12 3/31/2021 $821,000,000.00
13 12/31/2020 $843,000,000.00
Financials: ProceedsFromOtherEquity
Date Value
1 12/31/2023 --
2 12/31/2022 --
3 12/31/2021 $1,001,000,000.00
Financials: ProceedsFromPaymentsForOtherFinancingActivities
Date Value
1 12/31/2023 $257,000,000.00
2 9/30/2023 $-700,000,000.00
3 6/30/2023 $-518,000,000.00
4 3/31/2023 $-345,000,000.00
5 12/31/2022 $2,224,000,000.00
6 9/30/2022 $1,689,000,000.00
7 6/30/2022 $21,000,000.00
8 3/31/2022 $-139,000,000.00
9 12/31/2021 $-187,000,000.00
10 9/30/2021 $-142,000,000.00
11 6/30/2021 $-105,000,000.00
12 3/31/2021 $-50,000,000.00
13 12/31/2020 $-157,000,000.00
Financials: ProceedsFromSaleOfAvailableForSaleSecuritiesDebt
Date Value
1 12/31/2023 $6,464,000,000.00
2 9/30/2023 $3,918,000,000.00
3 6/30/2023 $3,194,000,000.00
4 3/31/2023 $1,140,000,000.00
5 12/31/2022 $9,421,000,000.00
6 9/30/2022 $635,000,000.00
7 6/30/2022 $1,614,000,000.00
8 3/31/2022 $298,000,000.00
Financials: ProfitLoss
Date Value
1 12/31/2023 $6,509,000,000.00
2 9/30/2023 $2,928,000,000.00
3 6/30/2023 $2,288,000,000.00
4 3/31/2023 $1,538,000,000.00
5 12/31/2022 $-3,507,000,000.00
6 9/30/2022 $-4,514,000,000.00
7 6/30/2022 $-2,606,000,000.00
8 3/31/2022 $-1,059,000,000.00
9 12/31/2021 $4,267,000,000.00
10 9/30/2021 $3,655,000,000.00
11 6/30/2021 $3,024,000,000.00
12 3/31/2021 $1,519,000,000.00
13 12/31/2020 $467,000,000.00
Financials: ProvisionForOtherCreditLosses
Date Value
1 12/31/2023 $335,000,000.00
2 9/30/2023 $237,000,000.00
3 6/30/2023 $177,000,000.00
4 3/31/2023 $66,000,000.00
5 12/31/2022 $227,000,000.00
6 9/30/2022 $-171,000,000.00
7 6/30/2022 $364,000,000.00
8 3/31/2022 $192,000,000.00
Financials: RealizedInvestmentGainsLosses
Date Value
1 12/31/2023 $1,428,000,000.00
2 9/30/2023 $-1,193,000,000.00
3 6/30/2023 $1,431,000,000.00
4 3/31/2023 $1,065,000,000.00
5 12/31/2022 $-12,717,000,000.00
6 9/30/2022 $-12,823,000,000.00
7 6/30/2022 $-9,976,000,000.00
8 3/31/2022 $-4,230,000,000.00
Financials: ReinsuranceEffectOnClaimsAndBenefitsIncurredAmountAssumed
Date Value
1 12/31/2023 $2,389,000,000.00
2 12/31/2022 $416,000,000.00
Financials: ReinsuranceEffectOnClaimsAndBenefitsIncurredAmountCeded
Date Value
1 12/31/2023 $276,000,000.00
2 12/31/2022 $93,000,000.00
Financials: ReinsuranceRecoverables
Date Value
1 12/31/2023 $4,154,000,000.00
2 12/31/2022 $4,358,000,000.00
Financials: RepaymentsOfAnnuitiesAndInvestmentCertificates
Date Value
1 12/31/2023 $14,125,000,000.00
2 9/30/2023 $10,229,000,000.00
3 6/30/2023 $6,804,000,000.00
4 3/31/2023 $2,707,000,000.00
5 12/31/2022 $10,209,000,000.00
6 9/30/2022 $7,903,000,000.00
7 6/30/2022 $4,074,000,000.00
8 3/31/2022 $2,245,000,000.00
9 12/31/2021 --
10 9/30/2021 --
11 6/30/2021 --
12 3/31/2021 --
13 12/31/2020 --
Financials: RepaymentsOfLongTermDebt
Date Value
1 12/31/2023 $3,780,000,000.00
2 9/30/2023 $2,769,000,000.00
3 6/30/2023 $2,262,000,000.00
4 3/31/2023 $1,858,000,000.00
5 12/31/2022 $4,033,000,000.00
6 9/30/2022 $791,000,000.00
7 6/30/2022 $735,000,000.00
8 3/31/2022 $695,000,000.00
9 12/31/2021 $1,968,000,000.00
10 9/30/2021 $1,539,000,000.00
11 6/30/2021 $1,331,000,000.00
12 3/31/2021 $200,000,000.00
13 12/31/2020 $925,000,000.00
Financials: RestrictedCashAndCashEquivalentsAtCarryingValue
Date Value
1 12/31/2023 $1,763,000,000.00
2 9/30/2023 $1,492,000,000.00
3 6/30/2023 $2,473,000,000.00
4 3/31/2023 $2,209,000,000.00
5 12/31/2022 $1,676,000,000.00
6 9/30/2022 $1,721,000,000.00
7 6/30/2022 $1,446,000,000.00
8 3/31/2022 $1,872,000,000.00
9 12/31/2021 $708,000,000.00
10 9/30/2021 $1,053,000,000.00
11 6/30/2021 $1,524,000,000.00
12 3/31/2021 $708,000,000.00
13 12/31/2020 $18,000,000.00
Financials: RetainedEarningsAccumulatedDeficit
Date Value
1 12/31/2023 $2,972,000,000.00
2 9/30/2023 $535,000,000.00
3 6/30/2023 $153,000,000.00
4 3/31/2023 $-172,000,000.00
5 12/31/2022 $-1,007,000,000.00
6 9/30/2022 $-2,837,000,000.00
7 6/30/2022 $-1,943,000,000.00
8 3/31/2022 $-93,000,000.00
9 12/31/2021 $1,144,000,000.00
Financials: Revenues
Date Value
1 12/31/2023 $32,644,000,000.00
2 9/30/2023 $21,598,000,000.00
3 6/30/2023 $19,003,000,000.00
4 3/31/2023 $5,301,000,000.00
5 12/31/2022 $10,968,000,000.00
6 9/30/2022 $6,127,000,000.00
7 6/30/2022 $2,286,000,000.00
8 3/31/2022 $862,000,000.00
9 12/31/2021 $5,951,000,000.00
10 9/30/2021 $4,756,000,000.00
11 6/30/2021 $3,678,000,000.00
12 3/31/2021 $2,295,000,000.00
13 12/31/2020 $2,354,000,000.00
Financials: SecuritiesReceivedAsCollateral
Date Value
1 12/31/2023 $1,504,000,000.00
2 9/30/2023 $1,447,000,000.00
3 6/30/2023 $1,375,000,000.00
4 3/31/2023 $1,475,000,000.00
5 12/31/2022 $1,753,000,000.00
6 9/30/2022 $616,000,000.00
7 6/30/2022 $616,000,000.00
8 3/31/2022 $616,000,000.00
Financials: SecuritiesSoldUnderAgreementsToRepurchase
Date Value
1 12/31/2023 $947,000,000.00
2 9/30/2023 $949,000,000.00
3 6/30/2023 $891,000,000.00
4 3/31/2023 $1,088,000,000.00
5 12/31/2022 $1,640,000,000.00
6 9/30/2022 $26,000,000.00
7 6/30/2022 $26,000,000.00
8 3/31/2022 $26,000,000.00
Financials: ShareBasedCompensation
Date Value
1 12/31/2023 $1,026,000,000.00
2 9/30/2023 $422,000,000.00
3 6/30/2023 $280,000,000.00
4 3/31/2023 $140,000,000.00
5 12/31/2022 $540,000,000.00
6 9/30/2022 $410,000,000.00
7 6/30/2022 $293,000,000.00
8 3/31/2022 $168,000,000.00
9 12/31/2021 $1,181,000,000.00
10 9/30/2021 $166,000,000.00
11 6/30/2021 $109,000,000.00
12 3/31/2021 $56,000,000.00
13 12/31/2020 $213,000,000.00
Financials: StockholdersEquity
Date Value
1 12/31/2023 $14,044,000,000.00
2 9/30/2023 $8,442,000,000.00
3 6/30/2023 $8,229,000,000.00
4 3/31/2023 $8,074,000,000.00
5 12/31/2022 $6,640,000,000.00
6 9/30/2022 $-1,339,000,000.00
7 6/30/2022 $3,679,000,000.00
8 3/31/2022 $10,993,000,000.00
9 12/31/2021 $3,789,000,000.00
Financials: StockholdersEquityIncludingPortionAttributableToNoncontrollingInterest
Date Value
1 12/31/2023 $25,233,000,000.00
2 9/30/2023 $17,675,000,000.00
3 6/30/2023 $17,042,000,000.00
4 3/31/2023 $16,692,000,000.00
5 12/31/2022 $14,366,000,000.00
6 9/30/2022 $1,862,000,000.00
7 6/30/2022 $7,158,000,000.00
8 3/31/2022 $22,089,000,000.00
9 12/31/2021 $10,194,000,000.00
10 9/30/2021 $8,474,000,000.00
11 6/30/2021 $8,212,000,000.00
12 3/31/2021 $7,498,000,000.00
13 12/31/2020 $5,513,000,000.00
14 12/31/2019 $3,038,000,000.00
Financials: StockIssuedDuringPeriodValueNewIssues
Date Value
1 12/31/2023 $1,398,000,000.00
2 9/30/2023 $1,397,000,000.00
3 12/31/2022 $252,000,000.00
4 9/30/2022 $252,000,000.00
5 6/30/2022 $252,000,000.00
6 3/31/2022 $21,000,000.00
7 12/31/2021 $22,000,000.00
8 9/30/2021 $22,000,000.00
Financials: StockIssuedDuringPeriodValueStockOptionsExercised
Date Value
1 12/31/2023 $21,000,000.00
2 9/30/2023 $16,000,000.00
3 6/30/2023 $10,000,000.00
Financials: StockRepurchasedDuringPeriodValue
Date Value
1 12/31/2023 $563,000,000.00
2 9/30/2023 $538,000,000.00
3 6/30/2023 $538,000,000.00
4 3/31/2023 $460,000,000.00
5 12/31/2022 $635,000,000.00
6 9/30/2022 $26,000,000.00
7 6/30/2022 $437,000,000.00
8 3/31/2022 $226,000,000.00
9 12/31/2021 $299,000,000.00
10 9/30/2021 $201,000,000.00
11 6/30/2021 $123,000,000.00
12 12/31/2020 $92,000,000.00
Financials: StockRepurchaseProgramAuthorizedAmount1
Date Value
1 2/28/2023 $1,000,000,000.00
2 12/31/2021 $1,500,000,000.00
Financials: TemporaryEquityCarryingAmountAttributableToParent
Date Value
1 12/31/2023 $12,000,000.00
2 9/30/2023 $287,000,000.00
3 6/30/2023 $285,000,000.00
4 3/31/2023 $1,042,000,000.00
5 12/31/2022 $1,032,000,000.00
6 9/30/2022 $1,024,000,000.00
7 6/30/2022 $1,003,000,000.00
8 3/31/2022 $1,790,000,000.00
9 12/31/2021 $1,770,000,000.00
Financials: UndistributedEarningsDiluted
Date Value
1 3/31/2023 $-5,000,000.00
2 3/31/2022 --
Financials: UndistributedEarningsLossAllocatedToParticipatingSecuritiesDiluted
Date Value
1 9/30/2023 $5,000,000.00
2 9/30/2022 --
Financials: UndistributedEarningsLossAvailableToCommonShareholdersBasic
Date Value
1 12/31/2023 $3,874,000,000.00
2 9/30/2023 $1,472,000,000.00
3 6/30/2023 $1,081,000,000.00
4 3/31/2023 $749,000,000.00
5 12/31/2022 $-4,175,000,000.00
6 9/30/2022 $-1,117,000,000.00
7 6/30/2022 $-3,403,000,000.00
8 3/31/2022 $-642,000,000.00
9 12/31/2021 $1,229,000,000.00
10 9/30/2021 $1,135,000,000.00
11 6/30/2021 $509,000,000.00
12 3/31/2021 $507,000,000.00
13 12/31/2020 $-430,000,000.00
Financials: UndistributedEarningsLossAvailableToCommonShareholdersDiluted
Date Value
1 12/31/2023 $3,915,000,000.00
2 9/30/2023 $1,467,000,000.00
3 3/31/2023 $744,000,000.00
4 12/31/2022 $-2,923,000,000.00
5 9/30/2022 $-3,324,000,000.00
6 3/31/2022 $-642,000,000.00
7 12/31/2021 $1,229,000,000.00
Financials: UnrecognizedTaxBenefits
Date Value
1 12/31/2023 $19,000,000.00
2 12/31/2022 $15,000,000.00
3 9/30/2022 $15,700,000.00
4 6/30/2022 $15,700,000.00
5 3/31/2022 $15,700,000.00
6 12/31/2021 --
7 12/31/2020 --
8 12/31/2019 --
Financials: UnrecognizedTaxBenefitsIncreasesResultingFromPriorPeriodTaxPositions
Date Value
1 12/31/2023 $4,000,000.00
2 12/31/2022 $15,000,000.00
3 12/31/2021 --
4 12/31/2020 --
Financials: UnrecognizedTaxBenefitsInterestOnIncomeTaxesAccrued
Date Value
1 12/31/2023 $10,000,000.00
2 12/31/2022 $5,000,000.00
Financials: UnrecognizedTaxBenefitsThatWouldImpactEffectiveTaxRate
Date Value
1 12/31/2023 $23,000,000.00
2 9/30/2023 $16,000,000.00
3 6/30/2023 $16,000,000.00
4 3/31/2023 $16,000,000.00
5 12/31/2022 $16,000,000.00
Financials: ValuationAllowancesAndReservesBalance
Date Value
1 12/31/2023 $33,000,000.00
2 12/31/2022 $105,000,000.00
3 12/31/2021 --
Financials: ValuationAllowancesAndReservesChargedToCostAndExpense
Date Value
1 12/31/2023 $156,000,000.00
2 12/31/2022 $53,000,000.00
Financials: ValuationAllowancesAndReservesDeductions
Date Value
1 12/31/2023 $228,000,000.00
2 12/31/2022 $14,000,000.00
Financials: ValuationAllowancesAndReservesReservesOfBusinessesAcquired
Date Value
1 12/31/2023 --
2 12/31/2022 $66,000,000.00
Financials: ValueOfBusinessAcquiredVOBA
Date Value
1 12/31/2023 $2,581,000,000.00
2 9/30/2023 $2,670,000,000.00
3 6/30/2023 $2,805,000,000.00
4 3/31/2023 $2,895,000,000.00
5 12/31/2022 $2,988,000,000.00
6 9/30/2022 $3,083,000,000.00
7 6/30/2022 $3,177,000,000.00
8 3/31/2022 $3,276,000,000.00
9 12/31/2021 $3,372,000,000.00
Financials: VariableInterestDifferenceBetweenCarryingAmountAndMaximumExposure
Date Value
1 12/31/2023 $79,529,000,000.00
2 9/30/2023 $73,206,000,000.00
3 6/30/2023 $70,229,000,000.00
4 3/31/2023 $65,695,000,000.00
5 12/31/2022 $61,578,000,000.00
6 9/30/2022 $55,261,000,000.00
7 6/30/2022 $51,517,000,000.00
8 3/31/2022 $57,482,000,000.00
Financials: VariableInterestEntityEntityMaximumLossExposureAmount
Date Value
1 12/31/2023 $91,931,000,000.00
2 9/30/2023 $86,902,000,000.00
3 6/30/2023 $84,685,000,000.00
4 3/31/2023 $77,943,000,000.00
5 12/31/2022 $74,432,000,000.00
6 9/30/2022 $68,679,000,000.00
7 6/30/2022 $61,521,000,000.00
8 3/31/2022 $68,010,000,000.00
Financials: WeightedAverageNumberOfDilutedSharesOutstanding
Date Value
1 12/31/2023 $588,846,447.00
2 9/30/2023 $581,600,000.00
3 6/30/2023 $581,500,000.00
4 3/31/2023 $584,200,000.00
5 12/31/2022 $584,700,000.00
6 9/30/2022 $585,187,783.00
7 6/30/2022 $584,800,000.00
8 3/31/2022 $586,495,913.00
9 12/31/2021 $236,600,000.00
10 9/30/2021 $239,451,921.00
11 6/30/2021 $230,500,000.00
12 3/31/2021 $230,000,000.00
13 12/31/2020 $227,500,000.00
Financials: WeightedAverageNumberOfSharesOutstandingBasic
Date Value
1 12/31/2023 $581,380,268.00
2 9/30/2023 $580,600,000.00
3 6/30/2023 $581,500,000.00
4 3/31/2023 $584,115,927.00
5 12/31/2022 $584,700,000.00
6 9/30/2022 $584,300,000.00
7 6/30/2022 $585,600,000.00
8 3/31/2022 $586,495,913.00
9 12/31/2021 $236,600,000.00
10 9/30/2021 $233,500,000.00
11 6/30/2021 $230,500,000.00
12 3/31/2021 $230,000,000.00
13 12/31/2020 $227,500,000.00
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