
Brighthouse Financial Pref Share BHFAO 6.75 Perp 06/25/25 B | 10-Q: FY2025 Q1 EPS: USD -5.04

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EPS: As of FY2025 Q1, the actual value is USD -5.04.
EBIT: As of FY2025 Q1, the actual value is USD -354 M.
Segment Revenue
- Annuities: Total revenues for the Annuities segment were $1,590 million for the three months ended March 31, 2025.
- Life: Total revenues for the Life segment were $281 million for the same period.
- Run-off: Total revenues for the Run-off segment were $368 million.
- Corporate & Other: Total revenues were $151 million.
Operational Metrics
- Net Income (Loss): The net loss attributable to Brighthouse Financial, Inc. was $268 million for the three months ended March 31, 2025, compared to a net loss of $493 million for the same period in 2024.
- Adjusted Earnings (Loss): Adjusted earnings for the Annuities segment were $314 million, while the Life segment reported $9 million. The Run-off segment had a loss of $64 million, and Corporate & Other reported a loss of $24 million, resulting in total adjusted earnings of $235 million.
Cash Flow
- Operating Cash Flow: Net cash provided by operating activities was $146 million for the three months ended March 31, 2025, compared to net cash used of $530 million for the same period in 2024.
- Investing Cash Flow: Net cash provided by investing activities was $563 million, compared to net cash used of $625 million in the prior year.
- Financing Cash Flow: Net cash used in financing activities was $1,087 million, compared to net cash provided of $1,127 million in the prior year.
Unique Metrics
- Market Risk Benefits: The balance of market risk benefit liabilities was $9,165 million as of March 31, 2025, compared to $8,329 million as of December 31, 2024.
Future Outlook and Strategy
- Core Business Focus: The company continues to focus on its core segments of Annuities and Life insurance, with strategic initiatives aimed at enhancing product offerings and distribution capabilities to drive growth and profitability.
- Non-Core Business: The Run-off segment, which includes products no longer actively sold, is managed separately to optimize value and manage risk.

