| Net income | |
| Amortization of deferred policy acquisition costs and present value of future profits | |
| Additions to deferred policy acquisition costs and present value of future profits | |
| Change in reserve for future policy benefits and unpaid losses and loss adjustment expenses and unearned premiums | 403M |
| Change in reinsurance recoverables | 349M |
| Change in receivables and other assets | |
| Change in payables and accruals | |
| Change in accrued and deferred income taxes | |
| Net realized capital losses | |
| Net disbursements from investment contracts related to policyholder funds - international variable annuities | |
| Net decrease in equity securities, trading | |
| Depreciation and amortization | 296M |
| Goodwill impairment | |
| Other operating activities, net | |
| Net cash provided by operating activities | 1.41B |
| Fixed maturities, available-for-sale | |
| Fixed maturities, fair value option | |
| Equity securities, available-for-sale | 562M |
| Mortgage loans | 325M |
| Partnerships | |
| Fixed maturities, available-for-sale | -16.14B |
| Fixed maturities, fair value option | |
| Equity securities, available-for-sale | -384M |
| Mortgage loans | -305M |
| Partnerships | |
| Proceeds from business sold | |
| Derivatives, net | |
| Change in policy loans, net | |
| Change in payables for collateral under securities lending, net | |
| Other investing activities, net | 32M |
| Net cash provided by (used for) investing activities | 945M |
| Deposits and other additions to investment and universal life-type contracts | |
| Withdrawals and other deductions from investment and universal life-type contracts | |
| Net transfers from separate accounts related to investment and universal life-type contracts | |
| Proceeds from issuance of long-term debt | |
| Repayments at maturity for long-term debt and payments on capital lease obligations | |
| Repayments at maturity or settlement of consumer notes | -14M |
| Net proceeds from issuance of mandatory convertible preferred stock | |
| Net proceeds from issuance of common shares under public offering | |
| Redemption of preferred stock issued to the U.S. Treasury | |
| Proceeds from net issuance of shares under incentive and stock compensation plans, excess tax benefit and other | |
| Dividends paid on preferred stock | |
| Dividends paid on common stock | -253M |
| Changes in bank deposits and payments on bank advances | |
| Net cash provided by (used for) financing activities | -1.97B |
| Foreign exchange rate effect on cash | -21M |
| Net increase (decrease) in cash | |
| Cash - beginning of period | 448M |
| Cash - end of period | 810M |
| Income taxes paid | -131M |
| Interest paid | -239M |