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Investor Presentaiton

| Key Financial Key Financial Highlights ($ Millions) Nine Months Ended September 30 Years Ended December 31 Selected Income Statement Data 2022 2021 2021 2020 2019 Premiums and annuity considerations $10,332 $8,696 $13,984 $11,760 $13,441 Net investment income 2,526 2,402 3,276 3,206 3,845 Total revenues 13,661 11,793 18,235 15,617 18,006 Total benefits and expenses 12,562 11,942 18,776 15,849 17,187 Realized capital gains (losses), net of taxes (1,070) 959 1,612 (64) 847 Net income (loss) (84) 652 861 (99) 1,716 Selected Balance Sheet Data Total invested assets $113,055 $99,383 $103,873 $92,897 $86,276 Total general account assets 116,873 102,891 107,624 96,010 88,481 Aggregate reserves 78,353 73,327 76,028 71,367 67,687 Liability for deposit-type contracts 16,285 8,822 11,198 6,281 4,118 Surplus notes 1,588 1,674 1,675 1,674 1,730 Total capital and surplus 11,461 11,723 11,353 11,364 10,510 Separate account assets / liabilities 55,331 67,387 70,442 63,283 57,267 PACIFIC LIFE PLGFII - Investor Presentation (Q3 2022) 32 of 33
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