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Long-Duration Contracts, Assumptions by Product and Guarantee, Volatility Rate

Percentage rate that is indicative of an expected degree of movement against a base line index, and which is included in determining the amount of the specified guaranteed benefit obligation as of the balance sheet date.

Compare To Other Companies

All Reported Long-Duration Contracts, Assumptions by Product and Guarantee, Volatility Rate (pure)

Value Reported On Form FY FP Start Date End Date Fiscal Period
0.004 2014-05-08 10-Q 2014 Q1 2014-03-31
0.004 2014-08-08 10-Q 2014 Q2 2014-03-31 CY2014Q1I
0.004 2014-11-05 10-Q 2014 Q3 2014-09-30
0.004 2015-03-13 10-K 2014 FY 2014-09-30 CY2014Q3I
0.004 2017-03-13 10-K 2016 FY 2014-12-31 CY2014Q4I
0.004 2016-03-10 10-K 2015 FY 2015-12-31 CY2015Q4I
0.005 2017-03-13 10-K 2016 FY 2016-12-31 CY2016Q4I
0.005 2018-03-16 10-K 2017 FY 2017-12-31 CY2017Q4I

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