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Brookfield Reinsurance Ltd. – ‘20-F’ for 12/31/23 – ‘EX-15.2’

On:  Wednesday, 3/27/24, at 6:07pm ET   ·   As of:  3/28/24   ·   For:  12/31/23   ·   Accession #:  1837429-24-6   ·   File #:  1-40509

Previous ‘20-F’:  ‘20-F’ on 3/31/23 for 12/31/22   ·   Latest ‘20-F’:  This Filing   ·   8 References:   

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  As Of               Filer                 Filing    For·On·As Docs:Size

 3/28/24  Brookfield Reinsurance Ltd.       20-F       12/31/23  173:34M

Annual or Annual-Transition Report by a Foreign Non-Canadian Issuer   —   Form 20-F   —   SEA’34

Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 20-F        Annual or Annual-Transition Report by a Foreign     HTML   7.18M 
                Non-Canadian Issuer                                              
 2: EX-2.1      Plan of Acquisition, Reorganization, Arrangement,   HTML     96K 
                Liquidation or Succession                                        
 3: EX-4.2      Instrument Defining the Rights of Security Holders  HTML     60K 
 4: EX-4.5      Instrument Defining the Rights of Security Holders  HTML     54K 
 7: EX-13.1     Annual or Quarterly Report to Security Holders      HTML     48K 
 8: EX-13.2     Annual or Quarterly Report to Security Holders      HTML     48K 
 5: EX-12.1     Statement re: the Computation of Ratios             HTML     52K 
 6: EX-12.2     Statement re: the Computation of Ratios             HTML     52K 
 9: EX-15.2     Letter re: Unaudited Interim Financial Info         HTML     47K 
15: R1          Cover                                               HTML    123K 
16: R2          Audit Information                                   HTML     53K 
17: R3          Combined Consolidated Statements of Financial       HTML    218K 
                Position                                                         
18: R4          Combined Consolidated Statements of Financial       HTML     81K 
                Position (Parenthetical)                                         
19: R5          Combined Consolidated Statements of Operations      HTML    141K 
20: R6          Combined Consolidated Statements of Comprehensive   HTML    100K 
                Income (Loss)                                                    
21: R7          Combined Consolidated Statements of Changes in      HTML    143K 
                Equity                                                           
22: R8          Combined Consolidated Statements of Changes in      HTML     54K 
                Equity (Parenthetical)                                           
23: R9          Combined Consolidated Statements of Cash Flows      HTML    214K 
24: R10         Organization and Description of the Company         HTML     65K 
25: R11         Summary of Significant Accounting Policies          HTML    169K 
26: R12         Investments in Available-For-Sale Fixed Maturity    HTML    280K 
                Securities                                                       
27: R13         Equity Securities                                   HTML    280K 
28: R14         Mortgage Loans on Real Estate                       HTML    229K 
29: R15         Private Loans                                       HTML    229K 
30: R16         Real Estate and Real Estate Partnerships            HTML     75K 
31: R17         Variable Interest Entities and Equity Method        HTML     92K 
                Investments                                                      
32: R18         Derivative Instruments                              HTML    224K 
33: R19         Net Investment Income and Investment Related Gains  HTML     87K 
                (Losses)                                                         
34: R20         Fair Value of Financial Instruments                 HTML    399K 
35: R21         Reinsurance                                         HTML    100K 
36: R22         Separate Account Assets and Liabilities             HTML     65K 
37: R23         Deferred Policy Acquisition Costs and Value of      HTML    112K 
                Business Acquired                                                
38: R24         Intangible Assets                                   HTML     86K 
39: R25         Acquisitions and Disposition                        HTML     90K 
40: R26         Future Policy Benefits                              HTML    769K 
41: R27         Policyholders' Account Balances                     HTML    256K 
42: R28         Market Risk Benefits                                HTML    256K 
43: R29         Liability for Unpaid Claims and Claim Adjustment    HTML    769K 
                Expenses                                                         
44: R30         Corporate and Subsidiary Borrowings                 HTML     83K 
45: R31         Income Taxes                                        HTML    129K 
46: R32         Share Capital                                       HTML    105K 
47: R33         Accumulated Other Comprehensive Income (Loss)       HTML    107K 
48: R34         Earnings Per Share                                  HTML     76K 
49: R35         Related Party Transactions                          HTML     73K 
50: R36         Segment Reporting                                   HTML    179K 
51: R37         Financial Commitments and Contingencies             HTML     56K 
52: R38         Combined Condensed Financial Information of         HTML    128K 
                Registrant                                                       
53: R39         Supplementary Insurance Information                 HTML    141K 
54: R40         Reinsurance                                         HTML     98K 
55: R41         Supplemental Information Concerning                 HTML     70K 
                Property-Casualty Insurance Operations                           
56: R42         Insider Trading Policies and Procedures             HTML     49K 
57: R43         Summary of Significant Accounting Policies          HTML    259K 
                (Policies)                                                       
58: R44         Summary of Significant Accounting Policies          HTML     54K 
                (Tables)                                                         
59: R45         Investments in Available-For-Sale Fixed Maturity    HTML    262K 
                Securities (Tables)                                              
60: R46         Equity Securities (Tables)                          HTML     72K 
61: R47         Mortgage Loans on Real Estate (Tables)              HTML    193K 
62: R48         Private Loans (Tables)                              HTML    141K 
63: R49         Real Estate and Real Estate Partnerships (Tables)   HTML     74K 
64: R50         Variable Interest Entities and Equity Method        HTML     88K 
                Investments (Tables)                                             
65: R51         Derivative Instruments (Tables)                     HTML    313K 
66: R52         Net Investment Income and Investment Related Gains  HTML     90K 
                (Losses) (Tables)                                                
67: R53         Fair Value of Financial Instruments (Tables)        HTML    387K 
68: R54         Reinsurance (Tables)                                HTML     97K 
69: R55         Separate Account Assets and Liabilities (Tables)    HTML     65K 
70: R56         Deferred Policy Acquisition Costs and Value of      HTML    114K 
                Business Acquired (Tables)                                       
71: R57         Intangible Assets (Tables)                          HTML    120K 
72: R58         Acquisitions and Disposition (Tables)               HTML     83K 
73: R59         Future Policy Benefits (Tables)                     HTML    289K 
74: R60         Policyholders' Account Balances (Tables)            HTML    178K 
75: R61         Market Risk Benefits (Tables)                       HTML    129K 
76: R62         Liability for Unpaid Claims and Claim Adjustment    HTML    527K 
                Expenses (Tables)                                                
77: R63         Corporate and Subsidiary Borrowings (Tables)        HTML     72K 
78: R64         Income Taxes (Tables)                               HTML    127K 
79: R65         Share Capital (Tables)                              HTML     97K 
80: R66         Accumulated Other Comprehensive Income (Loss)       HTML    106K 
                (Tables)                                                         
81: R67         Earnings Per Share (Tables)                         HTML     76K 
82: R68         Related Party Transactions (Tables)                 HTML     66K 
83: R69         Segment Reporting (Tables)                          HTML    175K 
84: R70         Combined Condensed Financial Information of         HTML    127K 
                Registrant (Tables)                                              
85: R71         Organization and Description of the Company         HTML     86K 
                (Details)                                                        
86: R72         Summary of Significant Accounting Policies          HTML    120K 
                (Details)                                                        
87: R73         INVESTMENTS IN AVAILABLE-FOR-SALE FIXED MATURITY    HTML     91K 
                SECURITIES - Amortized Cost and Fair Value of                    
                Available-for-Sale Fixed Maturity Securities                     
                (Details)                                                        
88: R74         INVESTMENTS IN AVAILABLE-FOR-SALE FIXED MATURITY    HTML     76K 
                SECURITIES - Amortized Cost and Fair Value, by                   
                Contractual Maturity, of Available-for-Sale Fixed                
                Maturity Securities (Details)                                    
89: R75         INVESTMENTS IN AVAILABLE-FOR-SALE FIXED MATURITY    HTML     55K 
                SECURITIES - Proceeds from Sales of                              
                Available-for-Sale Fixed Maturity Securities with                
                Related Gross Realized Gains and Losses (Details)                
90: R76         INVESTMENTS IN AVAILABLE-FOR-SALE FIXED MATURITY    HTML     59K 
                SECURITIES - Narrative (Details)                                 
91: R77         INVESTMENTS IN AVAILABLE-FOR-SALE FIXED MATURITY    HTML    117K 
                SECURITIES - Gross Unrealized Losses and Fair                    
                Value of Available-for-Sale Fixed Maturity                       
                Securities (Details)                                             
92: R78         INVESTMENTS IN AVAILABLE-FOR-SALE FIXED MATURITY    HTML     74K 
                SECURITIES - Allowance for Credit Loss for                       
                Available-for-Sale Fixed Maturity Securities                     
                (Details)                                                        
93: R79         EQUITY SECURITIES - Components of Change in Net     HTML     55K 
                Gains (Losses) on Equity Securities (Details)                    
94: R80         EQUITY SECURITIES - Equity Securities by Market     HTML     68K 
                Sector Distribution (Details)                                    
95: R81         MORTGAGE LOANS ON REAL ESTATE - Age Analysis of     HTML    101K 
                Loans by Property Type (Details)                                 
96: R82         MORTGAGE LOANS ON REAL ESTATE - Narrative           HTML     60K 
                (Details)                                                        
97: R83         MORTGAGE LOANS ON REAL ESTATE - Allowance for       HTML     58K 
                Credit Loss (Details)                                            
98: R84         MORTGAGE LOANS ON REAL ESTATE - Asset and           HTML     78K 
                Allowance Balances for Credit Losses (Details)                   
99: R85         MORTGAGE LOANS ON REAL ESTATE - Credit Quality      HTML    116K 
                Indicators (Details)                                             
100: R86         PRIVATE LOANS - Credit Ratings For Private Loans    HTML     60K  
                (Details)                                                        
101: R87         PRIVATE LOANS - Allowances for Credit Losses for    HTML     56K  
                Private Loans (Details)                                          
102: R88         Real Estate and Real Estate Partnerships (Details)  HTML     81K  
103: R89         VARIABLE INTEREST ENTITIES AND EQUITY METHOD        HTML    115K  
                INVESTMENTS - Variable Interest Entities (Details)               
104: R90         VARIABLE INTEREST ENTITIES AND EQUITY METHOD        HTML     77K  
                INVESTMENTS - Narrative (Details)                                
105: R91         DERIVATIVE INSTRUMENTS - Notional Amounts           HTML     95K  
                (Details)                                                        
106: R92         DERIVATIVE INSTRUMENTS - Schedule of Derivatives    HTML     56K  
                Instruments Statements of Financial Performance                  
                and Financial Position, Location (Details)                       
107: R93         DERIVATIVE INSTRUMENTS - Gain (Losses) Recognized   HTML     73K  
                in Income on Derivatives (Details)                               
108: R94         DERIVATIVE INSTRUMENTS - Offsetting Derivatives     HTML    112K  
                (Details)                                                        
109: R95         Net Investment Income and Investment Related Gains  HTML     75K  
                (Losses) (Details)                                               
110: R96         FAIR VALUE OF FINANCIAL INSTRUMENTS - Schedule of   HTML    130K  
                Carrying Amount and Fair Value of Financial                      
                Instruments (Details)                                            
111: R97         FAIR VALUE OF FINANCIAL INSTRUMENTS - Narrative     HTML     49K  
                (Details)                                                        
112: R98         FAIR VALUE OF FINANCIAL INSTRUMENTS - Schedule of   HTML     56K  
                Significant Unobservable Inputs (Details)                        
113: R99         FAIR VALUE OF FINANCIAL INSTRUMENTS - Schedule of   HTML    193K  
                Fair Value Hierarchy Measurements of Financial                   
                Instruments (Details)                                            
114: R100        FAIR VALUE OF FINANCIAL INSTRUMENTS - Schedule of   HTML     96K  
                Fair Value Assets Measured on Recurring Basis                    
                (Details)                                                        
115: R101        FAIR VALUE OF FINANCIAL INSTRUMENTS - Summary of    HTML    119K  
                Valuation Techniques and Unobservable Inputs of                  
                Level 3 Fair Value Measurements (Details)                        
116: R102        REINSURANCE - Reinsurance Funds Withheld, Deposit   HTML     74K  
                Liability, Policyholders' Account Balances and                   
                Embedded Derivatives (Details)                                   
117: R103        REINSURANCE - Schedule of Reinsurance (Details)     HTML     63K  
118: R104        Separate Account Assets and Liabilities (Details)   HTML     72K  
119: R105        DEFERRED POLICY ACQUISITION COSTS AND VALUE OF      HTML     89K  
                BUSINESS ACQUIRED - Schedule of Rollforward of                   
                Deferred Acquisition Costs and Value of Business                 
                Acquired (Details)                                               
120: R106        DEFERRED POLICY ACQUISITION COSTS AND VALUE OF      HTML     65K  
                BUSINESS ACQUIRED - Schedule of Projected VOBA                   
                Asset Amortization Expenses (Details)                            
121: R107        INTANGIBLE ASSETS - Schedule of Intangible Assets   HTML     81K  
                (Details)                                                        
122: R108        INTANGIBLE ASSETS - Narrative (Details)             HTML     50K  
123: R109        INTANGIBLE ASSETS - Schedule of Estimated Future    HTML     63K  
                Amortization Expense (Details)                                   
124: R110        ACQUISITIONS AND DISPOSITION - Narrative (Details)  HTML    104K  
125: R111        ACQUISITIONS AND DISPOSITION - Summary of           HTML    132K  
                Consideration Transferred, Fair Value of Assets                  
                Acquired and Liabilities Assumed (Details)                       
126: R112        FUTURE POLICY BENEFITS - Schedule of Future Policy  HTML     61K  
                Benefits (Details)                                               
127: R113        FUTURE POLICY BENEFITS - Changes in Liability for   HTML    189K  
                Future Policy Benefits (Details)                                 
128: R114        FUTURE POLICY BENEFITS - Undiscounted Expected      HTML     66K  
                Gross Premiums and Expected Future Benefit                       
                Payments (Details)                                               
129: R115        FUTURE POLICY BENEFITS - Revenue and Interest       HTML     58K  
                Recognized in the Statements of Operations                       
                (Details)                                                        
130: R116        FUTURE POLICY BENEFITS - Limited Payment            HTML     99K  
                Traditional Life Permanent Contracts (Details)                   
131: R117        POLICYHOLDERS' ACCOUNT BALANCES - Narrative         HTML     56K  
                (Details)                                                        
132: R118        POLICYHOLDERS' ACCOUNT BALANCES - Policyholder      HTML     81K  
                Account Balance (Details)                                        
133: R119        POLICYHOLDERS' ACCOUNT BALANCES - Policyholder      HTML    164K  
                Account Balance, Guaranteed Minimum Crediting Rate               
                (Details)                                                        
134: R120        MARKET RISK BENEFITS - Schedule of Net Balance of   HTML     97K  
                Market Risk Benefit Asset and Liabilities                        
                (Details)                                                        
135: R121        MARKET RISK BENEFITS - Schedule of Reconciliation   HTML     62K  
                of Market Risk Benefits (Details)                                
136: R122        LIABILITY FOR UNPAID CLAIMS AND CLAIM ADJUSTMENT    HTML     84K  
                EXPENSES - Information on Liability for Unpaid                   
                Claims (Details)                                                 
137: R123        LIABILITY FOR UNPAID CLAIMS AND CLAIM ADJUSTMENT    HTML     50K  
                EXPENSES - Narrative (Details)                                   
138: R124        LIABILITY FOR UNPAID CLAIMS AND CLAIM ADJUSTMENT    HTML     80K  
                EXPENSES - Claims and Claim Adjustment Expenses                  
                (Details)                                                        
139: R125        LIABILITY FOR UNPAID CLAIMS AND CLAIM ADJUSTMENT    HTML    301K  
                EXPENSES - Incurred and Paid Claims Development                  
                (Details)                                                        
140: R126        LIABILITY FOR UNPAID CLAIMS AND CLAIM ADJUSTMENT    HTML     84K  
                EXPENSES - Schedule of Claims Duration (Details)                 
141: R127        LIABILITY FOR UNPAID CLAIMS AND CLAIM ADJUSTMENT    HTML     63K  
                EXPENSES - Schedule of Discounted Liabilities for                
                Unpaid Claims (Details)                                          
142: R128        CORPORATE AND SUBSIDIARY BORROWINGS - Narrative     HTML     80K  
                (Details)                                                        
143: R129        CORPORATE AND SUBSIDIARY BORROWINGS - Corporate     HTML     74K  
                Borrowings and Subsidiary Borrowings (Details)                   
144: R130        Income Taxes - Income Tax Expense (Details)         HTML     69K  
145: R131        Income Taxes - Income Tax Expense Reconciliation    HTML     67K  
                (Details)                                                        
146: R132        Income Taxes - Effective Income Tax Rate (Details)  HTML     62K  
147: R133        Income Taxes - Deferred Tax Assets (Details)        HTML     57K  
148: R134        Income Taxes - Temporary Differences (Details)      HTML     64K  
149: R135        INCOME TAXES - Narrative (Details)                  HTML     51K  
150: R136        SHARE CAPITAL - Narrative (Details)                 HTML    149K  
151: R137        SHARE CAPITAL - Share Capital (Details)             HTML     83K  
152: R138        SHARE CAPITAL - Movement of Shares Issued and       HTML     79K  
                Outstanding (Details)                                            
153: R139        Accumulated Other Comprehensive Income (LOSS) -     HTML    114K  
                Components of and Changes in Accumulated Other                   
                Comprehensive Income (Details)                                   
154: R140        Earnings Per Share (Details)                        HTML     92K  
155: R141        RELATED PARTY TRANSACTIONS - Narrative (Details)    HTML     65K  
156: R142        RELATED PARTY TRANSACTIONS - Related Party          HTML     69K  
                Agreements and Transactions (Details)                            
157: R143        SEGMENT REPORTING - Narrative (Details)             HTML     55K  
158: R144        SEGMENT REPORTING - Schedule of Segment Results     HTML    148K  
                (Details)                                                        
159: R145        SEGMENT REPORTING - Schedule of Segment             HTML     92K  
                Non-current Assets (Details)                                     
160: R146        Financial Commitments and Contingencies (Details)   HTML     70K  
161: R147        COMBINED CONDENSED FINANCIAL INFORMATION OF         HTML    121K  
                REGISTRANT - Combined Condensed Statements of                    
                Financial Position (Parent Company Only) (Details)               
162: R148        COMBINED CONDENSED FINANCIAL INFORMATION OF         HTML     83K  
                REGISTRANT - Combined Condensed Statements of                    
                Comprehensive Income (Loss) (Parent Company Only)                
                (Details)                                                        
163: R149        COMBINED CONDENSED FINANCIAL INFORMATION OF         HTML    101K  
                REGISTRANT - Schedule of Combined Condensed                      
                Statement of Cash Flow (Details)                                 
164: R150        COMBINED CONDENSED FINANCIAL INFORMATION OF         HTML     57K  
                REGISTRANT - Notes to the Combined Condensed                     
                Financial Information of Registrant (Parent                      
                Company Only) (Details)                                          
165: R151        Supplementary Insurance Information (Details)       HTML     97K  
166: R152        Reinsurance (Details)                               HTML     87K  
167: R153        Supplemental Information Concerning                 HTML     73K  
                Property-Casualty Insurance Operations (Details)                 
168: R9999       Uncategorized Items - bamr-20231231.htm             HTML     51K  
170: XML         IDEA XML File -- Filing Summary                      XML    337K  
173: XML         XBRL Instance -- bamr-20231231_htm                   XML  10.91M  
169: EXCEL       IDEA Workbook of Financial Report Info              XLSX    447K  
11: EX-101.CAL  XBRL Calculations -- bamr-20231231_cal               XML    532K 
12: EX-101.DEF  XBRL Definitions -- bamr-20231231_def                XML   1.99M 
13: EX-101.LAB  XBRL Labels -- bamr-20231231_lab                     XML   3.64M 
14: EX-101.PRE  XBRL Presentations -- bamr-20231231_pre              XML   2.72M 
10: EX-101.SCH  XBRL Schema -- bamr-20231231                         XSD    396K 
171: JSON        XBRL Instance as JSON Data -- MetaLinks            1,030±  1.65M  
172: ZIP         XBRL Zipped Folder -- 0001837429-24-000006-xbrl      Zip   1.24M  


‘EX-15.2’   —   Letter re: Unaudited Interim Financial Info


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



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  Document  
Exhibit 15.2
CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
We consent to the incorporation by reference in Registration Statement No. 333-276533 on Form F-3 of our reports dated March 27, 2024, relating to the financial statements of Brookfield Reinsurance Ltd. (the “Company”) and the effectiveness of the Company’s internal control over financial reporting appearing in this Annual Report on Form 20-F for the year ended December 31, 2023.
/s/ Deloitte LLP
Chartered Professional Accountants
Licensed Public Accountants
Toronto, Canada
March 27, 2024



Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘20-F’ Filing    Date    Other Filings
Filed as of:3/28/246-K
Filed on:3/27/246-K
For Period end:12/31/23
 List all Filings 


8 Previous Filings that this Filing References

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 3/31/23  Brookfield Reinsurance Ltd.       20-F       12/31/22  153:59M
 2/09/23  Brookfield Reinsurance Ltd.       6-K         2/08/23    4:642K                                   Donnelley … Solutions/FA
12/15/22  Brookfield Reinsurance Ltd.       6-K        12/14/22    2:69K                                    Donnelley … Solutions/FA
12/15/22  Brookfield Reinsurance Ltd.       6-K        12/14/22    3:3.1M                                   Donnelley … Solutions/FA
11/01/22  Brookfield Reinsurance Ltd.       6-K        11/01/22    2:65K                                    Donnelley … Solutions/FA
 6/29/21  Brookfield Reinsurance Ltd.       6-K         6/29/21    8:1.4M                                   Donnelley … Solutions/FA
 6/25/21  Brookfield Reinsurance Ltd.       6-K         6/25/21    2:470K                                   Donnelley … Solutions/FA
 4/01/21  Brookfield Reinsurance Ltd.       F-1                   11:4.4M                                   Donnelley … Solutions/FA
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Filing Submission 0001837429-24-000006   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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