Development
C
AETNA LIFE INS CO
Rating Date
December 2023
NAIC
Classification
Risk Adjusted
Capital Ratio #1
Risk Adjusted
Capital Ratio #2
Total
Assets
Capital
Net
Premiums
Net
Income
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Major Rating Factors: Good quality investment portfolio (6.2 on a scale of 0 to 10) despite mixed results such as: minimal exposure to mortgages and large holdings of BBB rated bonds but small junk bond holdings. Weak profitability (2.0) with investment income below regulatory standards in relation to interest assumptions of reserves. Weak Liquidity (0.0).
Other Rating Factors: Weak overall results on stability tests (2.9). Strong capitalization (10.0) based on excellent risk adjusted capital (severe loss scenario).
Stability Factors: A - Financial problems or weaknesses of a parent or affiliate company. I - Past results on our Investment Safety Index.
Principal Lines of Business: Ind health (66.8%), group health (33.1%)
Licensed in: All states, the District of Columbia and Puerto Rico
Investments
Invested Assets
Cash
CMO & Structured Securities
Other Investment Grade Bonds
Non-Investment Grade Bonds
Common & Preferred Stock
Mortgages in Good Standing
Non-Performing Mortgages
Real Estate
Other Investments
Investments in Affiliates
Corporate Info
Group Affiliation
Aetna Inc
Investment Rating
CVS
Company Address
151 FARMINGTON AVENUE
HARTFORD, CT 06156
Phone Number
(800) 872-3862
NAIC Number
60054
Largest Affiliates