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Fixed maturity
securities,...
$25,781M
Fixed maturity
securities,...
$18,133M
Fixed maturity
securities,...
$4,804M
Fixed maturity
securities,...
$3,764M
Fixed maturity
securities,...
$1,537M
Fixed maturity
securities,...
$616M
Fixed maturity
securities,...
$341M
Fixed maturity
securities,...
$230M
Gross unrealized
gains
$165M
Gross unrealized
gains
$104M
Gross unrealized
gains
$28M
Gross unrealized
gains
$54M
Gross unrealized
gains
$3M
Gross unrealized
gains
$4M
Gross unrealized
gains
$3M
Corporate Debt Securities
$23,538M
Asset Backed
Securities
$17,871M
Commercial Mortgage Backed
Securities
$4,622M
Residential Mortgage Backed
Securities
$3,742M
Municipals
$1,327M
Hybrids
$597M
Foreign Government Debt
Securities
$303M
USGovernment Agencies Debt
Securities
$228M
Gross unrealized
losses
-$2,408M
Gross unrealized
losses
-$352M
Gross unrealized
losses
-$154M
Fixed maturity
securities,...
-$56M
Gross unrealized
losses
-$75M
Gross unrealized
losses
-$213M
Gross unrealized
losses
-$23M
Gross unrealized
losses
-$41M
Gross unrealized
losses
-$2M
Fixed maturity
securities,...
-$14M
Fixed maturity
securities,...
-$1M
Fixed maturity
securities available for...
$52,228M
Mortgage loans, net of
allowance for credit...
$9,265M
Investments in
unconsolidated affiliates...
$5,065M
Other long-term
investments (2026 and 2025...
$1,315M
Derivative investments
$1,305M
Short-term investments
(2026 and 2025 include...
$545M
Equity securities, at
fair value
$293M
Policy loans
$171M
Fixed maturity
securities, at fair value...
$94M
Deferred acquisition
costs (dac)
$3,853M
Value of business
acquired (voba)
$1,127M
Deferred sales
inducements (dsi)
$1,014M
Definite lived-Customer
Relationships
$208M
Definite
lived-Trademarks Tradenames And...
$192M
Definite lived-Software
And Software...
$77M
Definite lived-Value Of
Distribution Asset
$57M
Indefinite lived
tradenames and...
$8M
Total investments
$70,281M
Reinsurance recoverable,
net of allowance for...
$20,876M
Other intangible
assets, net
$6,536M
Goodwill
$2,124M
Cash and cash
equivalents (2026 and 2025...
$2,103M
Prepaid expenses and
other assets (certain...
$1,142M
Market risk benefits
asset
$364M
Deferred tax asset, net
$85M
Income taxes
receivable
$81M
Total assets
$103,592M
Total liabilities and
equity
$103,592M
Total liabilities
$98,898M
Total equity
$4,694M
Contractholder funds
$64,398M
Funds withheld for
reinsurance liabilities
$17,457M
Future policy benefits
$10,856M
Accounts payable and
accrued liabilities
$2,846M
Notes payable
$2,239M
Market risk benefits
liability
$1,102M
Total f&g annuities &
life, inc....
$4,609M
Non-controlling interests
$85M
Accumulated other
comprehensive income (loss)...
-$1,658M
Treasury stock, at cost
(6,064,199 shares and...
$163M
Additional
paid-in-capital
$3,765M
Retained earnings
$2,665M
Back
Back
Balance Sheet
F&G Annuities & Life, Inc. (FGSN)
F&G Annuities & Life, Inc. (FGSN)
source: myfinsight.com