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)
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