| Cash Flow | 2025-09-30 | 2025-06-30 | 2025-03-31 | 2024-09-30 |
|---|---|---|---|---|
| Net cash provided by (used in) operating activities | 10,016 | 6,449 | 4,262 | 9,987 |
| Sales, maturities and repayments of fixed maturity securities available-for-sale | 42,928 | 27,503 | 14,062 | 41,355 |
| Sales, maturities and repayments of equity securities | 96 | 54 | 9 | 89 |
| Sales, maturities and repayments of mortgage loans | 9,248 | 6,421 | 3,234 | 7,203 |
| Sales, maturities and repayments of real estate and real estate joint ventures | 246 | 72 | 48 | 562 |
| Sales, maturities and repayments of other limited partnership interests | 669 | 504 | 301 | 842 |
| Sales, maturities and repayments of short-term investments | 11,578 | 7,439 | 4,143 | 9,743 |
| Purchases of fixed maturity securities available-for-sale | 55,250 | 35,502 | 18,359 | 48,197 |
| Purchases of equity securities | 62 | 48 | 35 | 80 |
| Purchases of mortgage loans | 6,252 | 4,214 | 1,999 | 6,008 |
| Purchases of real estate and real estate joint ventures | 555 | 387 | 114 | 850 |
| Purchases of other limited partnership interests | 921 | 650 | 278 | 930 |
| Purchases of short-term investments | 12,208 | 7,427 | 4,443 | 8,100 |
| Cash received in connection with freestanding derivatives | 2,161 | 1,438 | 803 | 1,725 |
| Cash paid in connection with freestanding derivatives | 3,164 | 1,959 | 1,013 | 2,783 |
| Purchases of investments in operating joint ventures | 216 | - | - | - |
| Net change in policy loans | -14 | 30 | 87 | 59 |
| Net change in other invested assets | -454 | -557 | -457 | 457 |
| Other, net | 87 | 74 | 51 | 184 |
| Net cash provided by (used in) investing activities | -11,321 | -6,303 | -3,322 | -6,129 |
| Policyholder account balances - deposits | 82,937 | 55,756 | 28,692 | 74,869 |
| Policyholder account balances - withdrawals | 77,149 | 51,669 | 26,916 | 72,334 |
| Net change in payables for collateral under securities loaned and other transactions | -90 | -118 | 233 | -394 |
| Long-term debt issued | 743 | 713 | 89 | 1,547 |
| Long-term debt repaid | 609 | 558 | 555 | 1,742 |
| Collateral financing arrangement repaid | 78 | 38 | 13 | 108 |
| Subordinated debt securities issued | 1,000 | 1,000 | 1,000 | - |
| Derivatives with certain financing elements and other derivative-related transactions, net | 132 | 74 | 71 | 41 |
| Proceeds from mortgage loan secured financing | 351 | 334 | 66 | 147 |
| Repayments of mortgage loan secured financing | 877 | 672 | 255 | 578 |
| Treasury stock acquired in connection with share repurchases | 2,423 | 1,921 | 1,411 | 2,801 |
| Redemption of preferred stock | 988 | - | - | - |
| Preferred stock redemption premium | 12 | - | - | - |
| Dividends on preferred stock | 163 | 97 | 66 | 168 |
| Dividends on common stock | 1,134 | 756 | 374 | 1,149 |
| Other, net | -215 | -231 | -199 | 140 |
| Net cash provided by (used in) financing activities | 1,161 | 1,669 | 220 | -2,612 |
| Effect of change in foreign currency exchange rates on cash and cash equivalents balances | 309 | 295 | 98 | -120 |
| Change in cash and cash equivalents | 165 | 2,110 | 1,258 | 1,126 |
| Cash and cash equivalents at beginning of period | 20,068 | 20,068 | 20,068 | 20,639 |
| Cash and cash equivalents at end of period | 20,233 | 22,178 | 21,326 | 21,765 |
METLIFE INC (MET-PE)
METLIFE INC (MET-PE)