Form 10 Explorer
10-Q
Quarterly Report
Aflac Incorporated

AFL

NYSE

CIK: 4977

File #: 001-07434

Period End: Sep 30, 2025

Fiscal Year: 2025

View on EDGAR
Balance Sheet
297 line items · 2 periods
XBRL
ItemSep 30, 2025Dec 31, 2024
Assets:
Investments and cash:
Fixed maturity securities, available-for-sale
67,276,000,00065,269,000,000
Consolidated Entity Excluding Variable Interest Entities (VIE)
63,584,000,00061,841,000,000
Variable Interest Entity
3,692,000,0003,428,000,000
Yen-denominated - Japan government and agencies
16,364,000,00017,640,000,000
Yen-denominated - Municipalities
783,000,000855,000,000
Yen-denominated - Mortgage- and asset-backed securities
290,000,000308,000,000
Yen-denominated - Public utilities
2,722,000,0002,840,000,000
Yen-denominated - Sovereign and supranational
346,000,000338,000,000
Yen-denominated - Banks/financial institutions
5,475,000,0005,301,000,000
Yen-denominated - Other corporate
5,630,000,0005,592,000,000
Yen-denominated
31,610,000,00032,874,000,000
Dollar-denominated - U.S. government and agencies
219,000,000206,000,000
Dollar-denominated - Municipalities
1,203,000,0001,179,000,000
Dollar-denominated - Mortgage- and asset-backed securities
4,024,000,0003,255,000,000
Dollar-denominated - Public utilities
4,650,000,0004,205,000,000
Dollar-denominated - Sovereign and supranational
79,000,00078,000,000
Dollar-denominated - Banks/financial institutions
4,244,000,0003,655,000,000
Dollar-denominated - Other corporate
21,115,000,00019,791,000,000
Dollar-denominated
35,534,000,00032,369,000,000
Other currencies - Mortgage- and asset-backed securities
48,000,000
Other currencies - Public utilities
58,000,000
Other currencies - Other corporate
26,000,00026,000,000
Other currencies
132,000,00026,000,000
Variable Interest Entity, Not Consolidated
6,891,000,0006,243,000,000
Public utilities
7,430,000,0007,045,000,000
Banks/financial institutions
9,719,000,0008,956,000,000
Other corporate
26,771,000,00025,409,000,000
Level 1 - Government and agencies
15,854,000,00017,088,000,000
Level 2 - Government and agencies
729,000,000758,000,000
Level 3 - Government and agencies
00
Government and agencies
16,583,000,00017,846,000,000
Level 1 - Municipalities
00
Level 2 - Municipalities
1,986,000,0002,034,000,000
Level 3 - Municipalities
00
Municipalities
1,986,000,0002,034,000,000
Level 1 - Mortgage- and asset-backed securities
00
Level 2 - Mortgage- and asset-backed securities
2,116,000,0002,407,000,000
Level 3 - Mortgage- and asset-backed securities
2,246,000,0001,156,000,000
Mortgage- and asset-backed securities
4,362,000,0003,563,000,000
Level 1 - Public utilities
00
Level 2 - Public utilities
6,624,000,0006,398,000,000
Level 3 - Public utilities
806,000,000647,000,000
Level 1 - Sovereign and supranational
00
Level 2 - Sovereign and supranational
403,000,000393,000,000
Level 3 - Sovereign and supranational
22,000,00023,000,000
Sovereign and supranational
425,000,000416,000,000
Level 1 - Banks/financial institutions
00
Level 2 - Banks/financial institutions
9,710,000,0008,946,000,000
Level 3 - Banks/financial institutions
9,000,00010,000,000
Level 1 - Other corporate
00
Level 2 - Other corporate
26,608,000,00025,178,000,000
Level 3 - Other corporate
163,000,000231,000,000
Level 1
15,854,000,00017,088,000,000
Level 2
48,176,000,00046,114,000,000
Level 3
3,246,000,0002,067,000,000
Level 1 - Government and agencies - Third-party pricing vendor
15,854,000,00017,088,000,000
Level 2 - Government and agencies - Third-party pricing vendor
409,000,000446,000,000
Level 3 - Government and agencies - Third-party pricing vendor
00
Government and agencies - Third-party pricing vendor
16,263,000,00017,534,000,000
Level 1 - Government and agencies - Internal
00
Level 2 - Government and agencies - Internal
320,000,000312,000,000
Level 3 - Government and agencies - Internal
00
Government and agencies - Internal
320,000,000312,000,000
Level 1 - Municipalities - Third-party pricing vendor
00
Level 2 - Municipalities - Third-party pricing vendor
1,749,000,0001,791,000,000
Level 3 - Municipalities - Third-party pricing vendor
00
Municipalities - Third-party pricing vendor
1,749,000,0001,791,000,000
Level 1 - Municipalities - Internal
00
Level 2 - Municipalities - Internal
237,000,000243,000,000
Level 3 - Municipalities - Internal
00
Municipalities - Internal
237,000,000243,000,000
Level 1 - Mortgage- and asset-backed securities - Third-party pricing vendor
00
Level 2 - Mortgage- and asset-backed securities - Third-party pricing vendor
2,069,000,0002,352,000,000
Level 3 - Mortgage- and asset-backed securities - Third-party pricing vendor
00
Mortgage- and asset-backed securities - Third-party pricing vendor
2,069,000,0002,352,000,000
Level 1 - Mortgage- and asset-backed securities - Internal
00
Level 2 - Mortgage- and asset-backed securities - Internal
47,000,00055,000,000
Level 3 - Mortgage- and asset-backed securities - Internal
38,000,00037,000,000
Mortgage- and asset-backed securities - Internal
85,000,00092,000,000
Level 1 - Mortgage- and asset-backed securities - Broker/other
00
Level 2 - Mortgage- and asset-backed securities - Broker/other
00
Level 3 - Mortgage- and asset-backed securities - Broker/other
2,208,000,0001,119,000,000
Mortgage- and asset-backed securities - Broker/other
2,208,000,0001,119,000,000
Level 1 - Public utilities - Third-party pricing vendor
00
Level 2 - Public utilities - Third-party pricing vendor
3,774,000,0003,628,000,000
Level 3 - Public utilities - Third-party pricing vendor
00
Public utilities - Third-party pricing vendor
3,774,000,0003,628,000,000
Level 1 - Public utilities - Internal
00
Level 2 - Public utilities - Internal
2,850,000,0002,770,000,000
Level 3 - Public utilities - Internal
00
Public utilities - Internal
2,850,000,0002,770,000,000
Level 1 - Public utilities - Broker/other
00
Level 2 - Public utilities - Broker/other
00
Level 3 - Public utilities - Broker/other
806,000,000647,000,000
Public utilities - Broker/other
806,000,000647,000,000
Level 1 - Sovereign and supranational - Third-party pricing vendor
00
Level 2 - Sovereign and supranational - Third-party pricing vendor
80,000,00078,000,000
Level 3 - Sovereign and supranational - Third-party pricing vendor
00
Sovereign and supranational - Third-party pricing vendor
80,000,00078,000,000
Level 1 - Sovereign and supranational - Internal
00
Level 2 - Sovereign and supranational - Internal
323,000,000315,000,000
Level 3 - Sovereign and supranational - Internal
00
Sovereign and supranational - Internal
323,000,000315,000,000
Level 1 - Sovereign and supranational - Broker/other
00
Level 2 - Sovereign and supranational - Broker/other
00
Level 3 - Sovereign and supranational - Broker/other
22,000,00023,000,000
Sovereign and supranational - Broker/other
22,000,00023,000,000
Level 1 - Banks/financial institutions - Third-party pricing vendor
00
Level 2 - Banks/financial institutions - Third-party pricing vendor
5,580,000,0004,975,000,000
Level 3 - Banks/financial institutions - Third-party pricing vendor
00
Banks/financial institutions - Third-party pricing vendor
5,580,000,0004,975,000,000
Level 1 - Banks/financial institutions - Internal
00
Level 2 - Banks/financial institutions - Internal
4,130,000,0003,971,000,000
Level 3 - Banks/financial institutions - Internal
5,000,0005,000,000
Banks/financial institutions - Internal
4,135,000,0003,976,000,000
Level 1 - Banks/financial institutions - Broker/other
00
Level 2 - Banks/financial institutions - Broker/other
00
Level 3 - Banks/financial institutions - Broker/other
4,000,0005,000,000
Banks/financial institutions - Broker/other
4,000,0005,000,000
Level 1 - Other corporate - Third-party pricing vendor
00
Level 2 - Other corporate - Third-party pricing vendor
21,376,000,00020,051,000,000
Level 3 - Other corporate - Third-party pricing vendor
00
Other corporate - Third-party pricing vendor
21,376,000,00020,051,000,000
Level 1 - Other corporate - Internal
00
Level 2 - Other corporate - Internal
5,232,000,0005,127,000,000
Level 3 - Other corporate - Internal
20,000,000116,000,000
Other corporate - Internal
5,252,000,0005,243,000,000
Level 1 - Other corporate - Broker/other
00
Level 2 - Other corporate - Broker/other
00
Level 3 - Other corporate - Broker/other
143,000,000115,000,000
Other corporate - Broker/other
143,000,000115,000,000
Level 3 - Mortgage- and asset-backed securities - Offered Quotes - Consensus pricing valuation technique
2,246,000,0001,156,000,000
Level 3 - Public utilities - Credit Spreads - Discounted cash flow technique
806,000,000647,000,000
Level 3 - Sovereign and supranational - Offered Quotes - Consensus pricing valuation technique
22,000,00023,000,000
Level 3 - Banks/financial institutions - Private Financials - Adjusted cost valuation technique
9,000,00010,000,000
Level 3 - Other corporate - Credit Spreads - Discounted cash flow technique
163,000,000231,000,000
Fixed maturity securities, held-to-maturity
16,955,000,00015,966,000,000
Yen-denominated - Japan government and agencies
16,258,000,00015,309,000,000
Yen-denominated - Municipalities
248,000,000235,000,000
Yen-denominated - Public utilities
34,000,00032,000,000
Yen-denominated - Sovereign and supranational
398,000,000374,000,000
Yen-denominated - Other corporate
17,000,00016,000,000
Yen-denominated
16,955,000,00015,966,000,000
Equity securities
885,000,000796,000,000
Yen-denominated
584,000,000484,000,000
Dollar-denominated
301,000,000312,000,000
Level 1
722,000,000639,000,000
Level 2
00
Level 3
163,000,000157,000,000
Level 1 - Third-party pricing vendor
722,000,000639,000,000
Level 2 - Third-party pricing vendor
00
Level 3 - Third-party pricing vendor
00
Third-party pricing vendor
722,000,000639,000,000
Level 1 - Internal
00
Level 2 - Internal
00
Level 3 - Internal
25,000,00026,000,000
Internal
25,000,00026,000,000
Level 1 - Broker/other
00
Level 2 - Broker/other
00
Level 3 - Broker/other
138,000,000131,000,000
Broker/other
138,000,000131,000,000
Level 3 - Private Financials - Adjusted cost valuation technique
163,000,000157,000,000
Commercial mortgage and other loans
10,137,000,00010,869,000,000
Variable Interest Entity
8,183,000,0008,693,000,000
Other investments
7,495,000,0005,958,000,000
Variable Interest Entity
2,305,000,0002,176,000,000
Policy loans
217,000,000203,000,000
Short-term investments
2,346,000,0001,599,000,000
Limited partnerships
3,961,000,0003,435,000,000
Real estate owned
940,000,000682,000,000
Other
31,000,00039,000,000
Variable Interest Entity, Not Consolidated
1,473,000,0001,124,000,000
Cash and cash equivalents
6,768,000,0006,229,000,000
Total investments and cash
109,516,000,000105,087,000,000
Receivables
852,000,000779,000,000
Accrued investment income
702,000,000710,000,000
Deferred policy acquisition costs
9,216,000,0008,758,000,000
Cancer - Aflac Japan
3,061,000,0002,776,000,000
Medical and other health - Aflac Japan
1,940,000,0001,833,000,000
Life insurance - Aflac Japan
468,000,000441,000,000
Other - Aflac Japan
54,000,00052,000,000
Accident - Aflac U.S.
906,000,000915,000,000
Disability - Aflac U.S.
636,000,000636,000,000
Critical Care - Aflac U.S.
1,348,000,0001,348,000,000
Hospital Indemnity - Aflac U.S.
457,000,000452,000,000
Dental/Vision - Aflac U.S.
86,000,00086,000,000
Life insurance - Aflac U.S.
260,000,000219,000,000
Other - Aflac U.S.
00
Property and equipment, at cost less accumulated depreciation
367,000,000387,000,000
Other
1,653,000,0001,845,000,000
Total assets
122,306,000,000117,566,000,000
Variable Interest Entity
14,224,000,00014,350,000,000
Aflac Japan
94,131,000,00090,210,000,000
Aflac U.S.
22,569,000,00021,930,000,000
Corporate and other
5,606,000,0005,426,000,000
Variable Interest Entity, Not Consolidated
8,364,000,0007,367,000,000
Liabilities and shareholders’ equity:
Liabilities:
Policy liabilities:
Future policy benefits
67,143,000,00070,381,000,000
Corporate and other
4,751,000,0005,072,000,000
Cancer - Aflac Japan
24,972,000,00026,597,000,000
Medical and other health - Aflac Japan
8,046,000,0008,789,000,000
Life insurance - Aflac Japan
17,839,000,00019,109,000,000
Other - Aflac Japan
3,223,000,0003,379,000,000
Accident - Aflac U.S.
671,000,000630,000,000
Disability - Aflac U.S.
661,000,000695,000,000
Critical Care - Aflac U.S.
6,949,000,0006,800,000,000
Hospital Indemnity - Aflac U.S.
788,000,000775,000,000
Dental/Vision - Aflac U.S.
240,000,000245,000,000
Life insurance - Aflac U.S.
1,038,000,000938,000,000
Other - Aflac U.S.
481,000,000462,000,000
Intercompany eliminations
(5,485,000,000)(5,760,000,000)
Unpaid policy claims
460,000,000381,000,000
Unearned premiums
1,349,000,0001,286,000,000
Other policyholders’ funds
5,785,000,0005,460,000,000
Total policy liabilities
74,737,000,00077,508,000,000
Income taxes
1,477,000,000573,000,000
Payables for return of cash collateral on loaned securities
5,429,000,0002,037,000,000
Notes payable and lease obligations
8,685,000,0007,498,000,000
1.125% senior sustainability notes due March 2026
399,000,000399,000,000
2.875% senior notes due October 2026
299,000,000299,000,000
3.60% senior notes due April 2030
995,000,000994,000,000
6.90% senior notes due December 2039
221,000,000221,000,000
6.45% senior notes due August 2040
255,000,000255,000,000
4.00% senior notes due October 2046
394,000,000394,000,000
4.750% senior notes due January 2049
542,000,000542,000,000
.300% senior notes paid September 2025
079,000,000
.932% senior notes due January 2027
402,000,000378,000,000
1.048% senior notes due March 2029
87,000,00081,000,000
1.075% senior notes due September 2029
224,000,000211,000,000
.500% senior notes due December 2029
84,000,00079,000,000
.550% senior notes due March 2030
89,000,00084,000,000
1.159% senior notes due October 2030
196,000,000184,000,000
1.726% senior notes due October 2030
234,000,0000
1.412% senior notes due March 2031
187,000,000176,000,000
.633% senior notes due April 2031
201,000,000189,000,000
.843% senior notes due December 2031
62,000,00058,000,000
.750% senior notes due March 2032
138,000,000130,000,000
1.990% senior notes due May 2032
122,000,0000
1.320% senior notes due December 2032
141,000,000133,000,000
2.003% senior notes due December 2032
157,000,0000
.844% senior notes due April 2033
80,000,00076,000,000
1.488% senior notes due October 2033
101,000,00095,000,000
1.682% senior notes due March 2034
52,000,00048,000,000
1.600% senior notes due March 2034
122,000,000115,000,000
.934% senior notes due December 2034
65,000,00062,000,000
.830% senior notes due March 2035
71,000,00066,000,000
2.320% senior notes due May 2035
257,000,0000
2.369% senior notes due June 2035
64,000,0000
1.740% senior notes due March 2036
99,000,00094,000,000
1.039% senior notes due April 2036
67,000,00063,000,000
1.594% senior notes due September 2037
43,000,00041,000,000
1.750% senior notes due October 2038
59,000,00056,000,000
1.920% senior notes due March 2039
110,000,000103,000,000
1.122% senior notes due December 2039
42,000,00039,000,000
2.650% senior notes due May 2040
78,000,0000
2.779% senior notes due June 2040
47,000,0000
1.264% senior notes due April 2041
67,000,00063,000,000
2.160% senior notes due March 2044
38,000,00035,000,000
3.040% senior notes due May 2045
47,000,0000
2.108% subordinated notes due October 2047
399,000,000375,000,000
1.560% senior notes due April 2051
133,000,000125,000,000
2.144% senior notes due September 2052
80,000,00075,000,000
1.958% subordinated bonds due December 2053
201,000,000188,000,000
2.400% senior notes due March 2054
130,000,000122,000,000
Yen-denominated loan variable interest rate due August 2027
78,000,00074,000,000
Yen-denominated loan variable interest rate due August 2029
170,000,000160,000,000
Yen-denominated loan variable interest rate due August 2032
469,000,000441,000,000
Other
3,290,000,0003,852,000,000
Total liabilities
93,618,000,00091,468,000,000
Variable Interest Entity
685,000,000604,000,000
Shareholders’ equity:
Common stock of $.10 par value. In thousands: authorized 1,900,000 shares in 2025 and 2024; issued 1,357,841 shares in 2025 and 1,356,763 shares in 2024
136,000,000136,000,000
Additional paid-in capital
2,977,000,0002,894,000,000
Retained earnings
53,923,000,00052,277,000,000
Accumulated other comprehensive income (loss):
Unrealized foreign currency translation gains (losses)
(4,504,000,000)(4,998,000,000)
Unrealized gains (losses) on fixed maturity securities
(1,701,000,000)24,000,000
Unrealized gains (losses) on derivatives
(16,000,000)(20,000,000)
Effect of changes in discount rate assumptions
6,832,000,0002,006,000,000
Pension liability adjustment
(42,000,000)(10,000,000)
Treasury stock, at average cost
29,001,000,00026,231,000,000
Total shareholders’ equity
28,688,000,00026,098,000,000
Common Stock
136,000,000136,000,000
Additional Paid-in Capital
2,977,000,0002,894,000,000
Retained Earnings
53,923,000,00052,277,000,000
Accumulated Other Comprehensive Income (Loss)
653,000,000(2,978,000,000)
Treasury Stock
(29,001,000,000)(26,231,000,000)
Unrealized Foreign Currency Translation Gains (Losses)
(4,504,000,000)(4,998,000,000)
Unrealized gains (losses) on available-for-sale securities
(1,701,000,000)24,000,000
Unrealized Gains (Losses) on Derivatives
(16,000,000)(20,000,000)
Effect of Changes in Discount Rate Assumptions
6,832,000,0002,006,000,000
Pension Liability Adjustment
42,000,00010,000,000
Total liabilities and shareholders’ equity
122,306,000,000117,566,000,000