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falseQ20000769218--12-311H 2025 figures are restated as Aegon UK is classified as discontinued operations.Other assets total eliminates intercompany transactions of EUR 13,190 million.Including our share of a.s.r. Excess of Assets over Liabilities (minus own shares and minus minority interests) and SCR in our Group Solvency numbers.The solvency ratios are estimates and are not final until filed with the respective supervisory authorityOther assets total eliminates intercompany transactions of EUR 12,984 million.Investment contracts with DPF - Without direct part. includes EUR (2) million in line Total insurance finance income / (expenses) and Insurance net investment result.Including purchased credit impaired.Includes impairments and movements related to fair value hedges. 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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
 
 
Form
6-K
 
 
Report of Foreign Private Issuer
Pursuant to Rule
13a-16
or
15d-16
of
the Securities Exchange Act of 1934
For the
six-month
period ended June 30, 2026
Commission File Number
001-10882
Aegon Ltd.
(Translation of registrant’s name into English)
World Trade Center Schiphol
Schiphol Boulevard 223
1118 BH Schiphol
The Netherlands
(Address of principal executive offices)
Indicate by check mark whether the registrant files or will file annual reports under cover of
Form 20-F or Form 40-F.
Form 20-F        
Form 40-F


Aegon Ltd. Interim financial information for the six-month period ended June 30, 2026, dated August 20, 2026, is attached hereto and incorporated by reference herein and into the registration statements on Form S-8 (File No. 333-238186) and Form F-3 (No. 333-287291) of Aegon Ltd.

SIGNATURE

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

     

Aegon Ltd.

      (Registrant)
Date: August 20, 2026     By  

/s/ S. Knol

      S. Knol
      Director Financial Reporting & Operations


LOGO

Interim Financial Informations For the six-month period ended June 30, 2026 August 20, 2026


LOGO  
   
   

 

Table of contents

 

 

 

 

 

 4 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  

 


 

Our performance  

   
   

 

Our performance

In the first half of 2026, we continued to grow our businesses, delivered robust financial results and progressed at pace with our planned relocation to the US. These results demonstrate our strategy is gaining momentum and reinforce our confidence in the ambitions outlined at our 2025 Capital Markets Day.

 

Transamerica delivered strong commercial growth compared with the prior year period. Individual Life sales grew by 54%, fueled by growth in the instant decision market. We further expanded our distribution capabilities, with World Financial Group now exceeding 100,000 agents, and we maintained good commercial momentum in Retirement Plans written sales. Aegon Asset Management benefited from third-party net flows and positive market developments, and our International businesses continued to grow, led by Brazil.

We made significant progress in preparing for our future in the US. We selected New York City as the future location of our head office and announced changes to our leadership team. We reached an agreement with Vereniging Aegon, our largest shareholder, on its future relationship with our company and a proposed US-aligned governance framework. As previously announced, and in the context of our increased US focus, we also announced the sale of Aegon UK to Standard Life. Finally, we target an Extraordinary General Meeting on October 8, 2026, to seek shareholder approval for the redomiciliation to the US.

In the first half of 2026, net result amounted to EUR 608 million, stable compared with the prior year period, operating result increased by 9% to EUR 804 million and operating capital generation grew by 27% to EUR 416 million, enabling EUR 392 million in free cash flow. We also conducted our annual assumptions review, mostly to adjust for changing policyholder behavior observed in recent periods.

We are announcing an interim dividend of 21 eurocents per share, up 11% versus the prior year period. Supported by our strong capital position and confidence in the outlook for our businesses, we are also increasing our recently announced share buyback program by EUR 150 million to EUR 350 million. Our businesses are well capitalized and we are on track to meet or exceed our Group financial ambitions for 2026.

Strategic developments

On December 10, 2025, at the CMD (Capital Markets Day), Aegon announced its ambition to become a leading US life insurance and retirement group and its decision to move its head office and legal seat to the US. The redomiciliation process is running at pace with a number of developments underway:

  Implementation of US GAAP on track for a first release of the full-year 2027 results
  Ensuring leadership continuity, Lard Friese’s term as Executive Director and CEO extended until the end of 2030 AGM. Will Fuller to become President and Chief Operating Officer of Aegon Ltd. from January 1, 2027
  New York City selected as the location for the future head-office
  Sale of Aegon UK to Standard Life for a total consideration of GBP 2.0 billion. The transaction is expected to close around the end of 2026, subject to customary conditions, including regulatory approvals. The consideration at completion includes 181 million shares in Standard Life (worth GBP 1.25 billion upon announcement on April 15, 2026) and GBP 649 million in cash after the deduction of the expected remittance paid to Aegon over the course of 2026
  Issuance of USD 500 million senior unsecured note, trading on the New York Stock Exchange (NYSE), establishing a US dollar yield curve to support future senior debt issuances in the US market
  Agreement with Vereniging Aegon on the future relationship with the Group and the proposed US-aligned governance framework
  Extraordinary General Meeting (EGM) on proposed US redomiciliation targeted for October 8, 2026
  EUR 137 million of expenses booked in aggregate on US GAAP implementation and redomiciliation since the second half of 2025

Revised financial ambitions

Following the announced sale of Aegon UK to Standard Life, Aegon’s Group financial ambitions for 2026 and 2027 were updated:

 

  The Group operating result run-rate is expected to grow by around 5% per annum, from a pro forma 2025 run-rate of EUR 1.3 – 1.5 billion
  OCG after holding funding and operating expenses is expected to grow between 0% and 5% per annum from a pro forma 2025 run-rate of EUR 0.7 – 0.75 billion
  Free cash flow run-rate is expected to increase at around 5% per annum from a pro forma 2025 run-rate of around EUR 0.68 billion. The free cash flow growth ambition of around 5% per annum does not include remittances from Aegon UK or dividends from Standard Life
 

 

 

 

    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 5   

 


LOGO  
   
   

 

  Dividend per share is expected to grow in excess of 5% per annum, which remains unchanged from the 2025 CMD financial ambition

In addition, subsequent to the announcement at the 2025 CMD, Aegon has completed the transfer of Transamerica Asset Management (TAM) from Transamerica to Aegon Asset Management (AAM) resulting in the following updated financial ambitions for Transamerica and AAM, with no impact on Group financial ambitions for 2026 and 2027.

 

  Transamerica’s operating result run-rate is expected to grow by around 5% per annum, starting from a pro forma 2025 run-rate of USD 1.35 – USD 1.55 billion
  Transamerica’s OCG run-rate is expected to grow between 0% and 3% per annum, starting from a pro forma 2025 run-rate of USD 0.86 – 0.96 billion
  Transamerica’s remittance run-rate is expected to grow by around 5% per annum, starting from a pro forma 2025 run-rate of USD 645 million
  AAM’s pro forma 2025 operating result, OCG and remittance run-rates are increased to EUR 210 - 240 million, EUR 150 - 170 million and EUR 110 million, respectively, with growth trends in line with the 2025 CMD financial ambitions
 

 

Business update

 

Business update Americas

During the first half of 2026, Transamerica continued to make progress in growing its business by focusing on “Main Street” America, targeting the middle and mass affluent markets through agency distribution and the workplace. New Individual Life sales increased by 54% in the period compared with the first half of 2025, mainly driven by growth in the instant decision market through the brokerage channel and WFG, Transamerica’s affiliated distribution network of independent agents. WFG’s number of licensed agents surpassed the 100,000 agents mark and the company increased both its new life and annuity sales. Retirement Plans improved the return on Retirement Plans assets to 10 bps from spread expansion and experienced net outflows.

Strategic Assets business update: Distribution

 

Amounts in USD millions (unaudited)    1H 2026      1H 2025        %  

Distribution KPIs

        
New life sales1,2,3      370        353        5  

Total annuities sales1,2

     2,680        2,383        12  

Number of World Financial Group (WFG) licensed agents2

     100,294        90,315        11  

Transamerica’s market share in WFG (US Life)

     70%        66%           

 

1 

Includes WFG and other distribution networks owned by Transamerica.

2 

Totals reflect US and Canada.

3 

New life sales is defined as new recurring premiums plus 1/10 of single premiums.

In the first half of 2026 new life sales in the Distribution segment increased by 5%, driven by improved WFG agent productivity from more agents producing and a higher average premium per new policy sold. Annuities sales increased by 12% over the same period reflecting higher WFG segregated funds sales in Canada and higher annuities sales through Transamerica’s own financial adviser channel in the US.

Within WFG, the number of licensed agents increased to 100,294, reflecting improved agent retention and a higher activation rate of newly recruited agents. Furthermore, Transamerica’s market share of WFG US Life sales increased to 70% in the reporting period.

Strategic Assets business update: Savings & Investments

 

Amounts in USD millions (unaudited)    1H 2026     1H 2025        %  

Savings & Investments KPIs

       
Gross deposits Retirement Plans      17,307       18,643        (7
Net deposits Retirement Plans      (5,064     2,149        n.m.  
Retirement Plans AuA      269,014       239,812        12  

of which: General Account Stable Value AuM

     15,318       14,190        8  

of which: Individual Retirement Accounts AuA

     16,457       13,592        21  
Return on Retirement Plans Assets (RoA) in bps      10       8        37  

 

*

n.m. – not measured.

Retirement Plans gross deposits decreased by 7% during the first half of 2026 compared with the prior year period, primarily due to a large pooled plan deposit of USD 1.9 billion reported in the first half of 2025. This was partly offset by higher recurring deposits reflecting strong written sales in previous periods and higher contributions from existing contracts. Written sales reflect good commercial momentum, especially within pooled plans, and are expected to support gross deposits in the coming quarters. Total net outflows amounted to USD 5.1 billion, of which USD 3.0 billion resulted from a contract termination following a merger. The remaining net outflows were driven by lower gross deposits and increased participant withdrawals, mainly resulting from higher account balances.

 

 

 

 

 6 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  

 


 

Our performance  

   
   

 

Favorable market movements drove a 12% increase in the total account balances in Retirement Plans compared with June 30, 2025. Continued strategies to grow ancillary products such as the General Account Stable Value product and Individual Retirement Accounts led to an 8% and 21% increase in asset balances of these products, respectively. Net fee revenues, also driven by Stable Value spread expansion, increased more than account balances and as a result the return on Retirement Plans assets improved by 2 bps to 10 bps.

Strategic Assets business update: Protection Solutions

 

Amounts in USD millions (unaudited)    1H 2026      1H 2025        %  
Protection Solutions KPIs         

Traditional Life

     184        80        130  

Indexed Universal Life

     241        196        23  
New life sales - Individual Life      424        276        54  
New life sales - Workplace Life      41        49        (16
New premium production Workplace Health      68        64        7  
Net deposits Indexed Annuities      1,100        993        11  

Individual Life new life sales increased by 54% in the first half of 2026 compared with the prior year period. The growth was mainly enabled by the fully digital underwriting platform with instant decision capabilities, driving strong sales in Final Expense and – since its launch on the platform in the fall of 2025 – in Indexed Universal Life (IUL). In addition, Indexed Universal Life sales by both WFG agents and Transamerica’s own agency channel increased in the reporting period.

New life sales in Workplace Life decreased compared with

the first half of 2025, while new premium production in Workplace Health peaked from the launch of a Medical Gap product and grew from the expansion of distribution partnerships for Supplemental Health products.

Net deposits for Indexed Annuities products increased by 11%. The increase was driven by a further improvement in wholesale distribution productivity and enhancements to the Registered Index Linked Annuities (RILA) products, including an income product option, as well as enhancements to crediting strategies and customer experience.

Financial Assets business update

 

Amounts in USD millions (unaudited)    1H 2026     1H 2025       %  

Financial Assets KPIs

      
Capital employed in Financial Assets (at operating level)      2,391       3,272       (27

Net deposits

      

Variable Annuities

     (3,322     (2,980     (11
Fixed Annuities (excluding SPGAs and PAR annuities)      (187     (266     29  

Net face amount Universal Life

     32,379       45,132       (28

 On June 30, 2026, Financial Assets had USD 2.4 billion of capital employed, a decrease of USD 0.9 billion compared with a year ago. A third of this decrease was driven by the reinsurance of a block of Secondary Guarantee Universal Life (SGUL) contracts, which was announced in December 2025. The transaction, together with existing reinsurance, resulted in 80% of the face value of Transamerica’s SGUL business being reinsured. The remaining part of the decrease in capital employed resulted mainly from favorable markets, the run-off of the Financial Assets book, and an expansion of the dynamic hedge program for Variable Annuities. Within Financial Assets, the required capital in Variable Annuities decreased in recent periods due to market movements. This may reverse if markets decline.

The run-off of the book and the reinsurance transaction resulted in a significantly lower net face value of the legacy Universal Life portfolio. In addition, the termination of purchased policies – which had previously been held by institutional investors – led to a further reduction in net face value in the first half of 2026. Transamerica expects to terminate the remaining purchased institutionally owned policies over the next few years.

Net outflows in Variable Annuities were 11% higher than in the prior year period, reflecting the run-off of the book, slightly offset by limited gross deposits from new business. Fixed Annuities net outflows resulted in similar amounts in the first half of 2026 compared with the same period in 2025.

Business update International

 

Amounts in EUR millions (unaudited)    1H 2026      1H 2025        %  
Spain & Portugal      20        19        6  
China      37        48        (23
Brazil      74        68        9  
TLB and others      12        10        25  
New life sales      143        144        (1
New premium production accident & health insurance      26        26        (1
New premium production property & casualty insurance      34        38        (11

 

*

Amounts include results from Aegon’s joint ventures and associates consolidated on a proportionate basis.

International new sales continue to contribute to the ongoing growth of the book.

New life sales decreased by 1%, as growth in Brazil, Transamerica Life Bermuda (TLB), and Spain & Portugal was more than offset by a decrease in China. Brazil reported higher new life sales, driven by individual risk products, and favorable currency movements. At TLB, higher new life sales were driven by indexed universal life products while new life sales in Spain & Portugal benefited from higher credit linked sales compared with the prior year period. In China, lower sales were driven by the repricing of products to reflect the current economic environment.

 

 

 

 

    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 7   

 


LOGO  
   
   

 

 

New premium production for accident and health insurance decreased mainly because the Health business in Spain focused on higher margin business to drive earnings growth. New premium production in property and casualty insurance decreased mainly due to lower sales of non-linked products in Spain through Santander Non-Life.

Business update Asset Management

 

Amounts in EUR millions (unaudited)    1H 2026     1H 2025       %  

General Account

     720       2,540       (72

Affiliate

     (338     (774     56  

Third Party

     549       1,141       (52
Global Platforms      931       2,907       (68

Affiliate

     (2,899     -       n.m.  

Third-party

     (948     -       n.m.  
Transamerica Asset Management      (3,847     -       n.m.  
Strategic Partnerships      3,287       2,387       38  
Net flows1,2      834       5,294       (84
Global Platforms      267,819       258,099       4  
Transamerica Asset Management      57,548       -       n.m.  
Strategic Partnerships      77,646       62,596       24  
Assets under Management1,2      390,359       320,695       22  

 

1 

Amounts include results from Aegon’s joint ventures and associates consolidated on a proportionate basis.

2 

The total is corrected for AAM sub-advised funds, which is reported under both Transamerica Asset Management and Global Platforms.

3 

n.m. – not measured.

Strategic developments

As announced at the 2025 CMD, TAM was transferred from Transamerica to AAM on January 1, 2026 and the 2025 figures are not restated for this transfer.

Following the announced sale of Aegon UK to Standard Life, flows and Assets under Management (AuM) from Aegon UK, which were previously classified as General Account and Affiliate, will be classified as third-party from 2026, with prior year periods restated for consistent comparison.

Business update

In Global Platforms, during the first half of 2026, the General Account experienced net inflows driven by US liquid assets and private debt. This was partly offset by net outflows from AAM Real Assets.

Net outflows in Affiliate at both Global Platforms and TAM mainly reflected the run-off of the Financial Assets block in the US.

Third-party net flows were mainly driven by inflows in ABS and fixed income products in Europe. This was partly offset by outflows from a.s.r and from the gradual run-off of the traditional insurance book of Aegon UK. Third-party revenues increased by 1.5% to EUR 162 million in the first half of 2026 compared with the prior year period.

TAM experienced net outflows in third-party from short term bonds and International equities.

Net inflows in AAM’s Strategic Partnerships were driven by Aegon’s Chinese asset management joint venture, Aegon Industrial Fund Management Company (AIFMC), which benefited from net inflows into mutual funds and money market funds. This was partly offset by net outflows from Aegon’s French asset management joint venture, LBP AM, mainly driven by continued withdrawals of low-margin business from a former shareholder.

Assets under Management (AuM) increased by EUR 70 billion compared with June 30, 2025, mainly driven by the inclusion of TAM assets. Excluding the TAM assets, AuM increased driven by the impact of favorable markets, currency movements, and third-party net inflows. This was partially offset by net outflows mainly from the General Account driven by the reinsurance transaction on Transamerica’s SGUL block in the second half of 2025.

 

 

Financial highlights

 

Overview

 

Amounts in EUR millions (unaudited)   1H 2026      1H 2025        %  
Net result     608        606        -  
Operating result1     804        741        9  
   

June 30,

2026

    

December

31, 2025

       %  
Shareholders’ equity     7,328        7,432        (1
Contractual Service Margin (CSM)2 (pro-forma after tax)     5,449        6,277        (13
Estimated equity accretion AUK sale     1,214        -        n.m.  
Valuation equity     13,991        13,709        2  
Gross financial leverage     4,967        4,850        2  

 

1 

1H 2025 figures are restated as Aegon UK is classified as discontinued operations.

2

On IFRS basis i.e. excluding joint ventures & associates

*

n.m. – not measured.

Net result

The result before tax amounted to EUR 715 million, as the positive impact from the operating result and non-operating items was partly offset by Other charges. The income tax for the period amounted to EUR 107 million and included recurring beneficial impacts, such as dividend received deduction and tax credits in the US. The net result, therefore, was EUR 608 million.

Operating result

Aegon uses the non-IFRS performance measure operating result that reflects Aegon’s profit before tax from underlying business operations and mainly excludes components that relate to accounting mismatches that are dependent on market volatility or relate to events that are considered outside the normal course of business. Aegon believes that

 

 

 

 

 8 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  

 


 

Our performance 

   
   

 

this performance measure provides meaningful information about the operating results of Aegon’s business, including insight into the financial measures that Aegon’s senior management uses in managing the business. The reconciliation from Result before tax from continuing operations, being the most directly comparable IFRS measure, to operating result is presented in note 3 Segment information included in the Notes to the condensed consolidated interim financial statements.

 

Amounts in EUR millions (unaudited)    1H 2026     1H 2025       %  
Distribution      85       76       12  
Savings & Investments      128       115       11  
Protection Solutions      320       349       (8
Financial Assets      115       87       33  
Americas      648       627       3  
Spain & Portugal      47       47       -  
China (ATHTF)      18       12       54  
Brazil      37       26       42  
TLB      27       20       39  
Other      (6     (5     (21
International      123       99       24  
Global Platforms      46       35       31  
Transamerica Asset Management      20       -       n.m.  
Strategic Partnerships      85       69       22  
Asset Management      150       104       44  
Holding and other activities      (118     (89     (32
Operating result1      804       741       9  

 

1 

1H 2025 figures are restated as Aegon UK is classified as discontinued operations.

*

n.m. – not measured.

Aegon’s operating result increased by 9% to EUR 804 million driven by an increase across all units, reflecting business growth and favorable market impacts.

Over the 2026-2027 period, Aegon aims to grow its operating result by around 5% per year, from the EUR 1.3 – 1.5 billion operating result run-rate in 2025 (taking into account the divestment of Aegon UK and an assumed EUR/ USD exchange rate of 1.20).

Americas

The operating result of the Americas increased by 3% to EUR 648 million in the first half of 2026.

In local currency, it increased by 10% to USD 756 million and is within the updated financial ambition range which has been updated for the previously announced transfer of TAM from the Americas to AAM. The increase in the operating result was 14% when excluding the contribution of TAM for both periods. Compared with the first half of 2025, the increase in the operating result was largely driven by business growth in the Strategic Assets, as well as by an improvement of experience variances in Financial Assets.

The operating result of the Distribution business segment increased by 19%. Net commission revenue from continued momentum in life and annuity sales more than offset increased expenses reflecting investments in the WFG franchise.

In the Savings & Investments business segment, the operating result increased by 19% to USD 150 million, which excludes the Mutual Funds business in this reporting period as the business was transferred to AAM. Correcting the prior year period figure for this transfer, the Savings & Investments operating result increased by 42%, largely driven by Retirement Plans. In this business, revenues increased from higher assets under administration driven by market performance and by growth in Individual Retirement Accounts and General Account Stable Value assets. Margin expansion from higher Stable Value spreads contributed to the operating result growth.

The operating result of the Protection Solutions business segment decreased by 2%. Portfolio growth resulted in a higher release of CSM and risk adjustment. Similar to the prior year reporting period, experience variances on claims, expenses, and other items from non-onerous contracts were favorable in this period, partly driven by favorable mortality in IUL and Variable Universal Life. These benefits were largely offset by unfavorable experience from onerous contracts, mainly reflecting policyholder behavior in Traditional Life.

The operating result of the Financial Assets segment increased by 42% to USD 135 million, as the experience variance on claims, premiums, and other items was slightly favorable compared with expectations, an improvement compared with last year. At the same time, the CSM release is lower due to the portfolio run-off.

Interest accretion for onerous Variable Annuities contracts, onerous new business, and expense experience variance for Financial Assets are considered recurring and are in aggregate similar to the prior year period.

As Transamerica continues to grow the business, it aims to grow the operating result by about 5% per year over the 2026-2027 period from a pro forma USD 1.35 – 1.55 billion operating result run-rate in 2025. The financial ambition is updated to reflect the transfer of TAM to AAM.

International

The operating result of the International segment increased by 24% to EUR 123 million in the first half of 2026 mainly driven by Brazil and TLB. In Brazil, the operating result benefited from business growth and higher investment income. TLB’s operating result benefited from favorable persistency experience partially offset by a lower net investment result from a lower asset balance because of remittances following the reinsurance arrangement between TLB and Transamerica. In Spain & Portugal, the operating result was stable as the impact of business growth was largely offset

 

 

 

 

    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 9   

 


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by adverse claims in household insurance from the storms in early 2026. China’s operating result increased driven by the local implementation of IFRS 17 which resulted in a higher operating result compared with the prior year, which was reported on a simplified IFRS 17 basis.

Asset Management

The operating result of AAM amounted to EUR 150 million in the first half of 2026. This includes the operating result of TAM of EUR 20 million. Excluding the impact of TAM, AAM’s operating result increased by 25% driven by strong performance of Global Platforms and Strategic Partnerships. In Global Platforms, the increase in operating result was mainly driven by lower expenses from ongoing expense management and higher revenues from favorable markets, enabling an increase in operating margin from 15.5% in the first half of 2025 to 20.2% in the reporting period. In Strategic Partnerships, the operating result increased, driven by AIFMC, which benefited from favorable markets resulting in both higher performance and management fees, and strong net flows in high margin funds.

Holding

The operating result of the Holding was a loss of EUR 118 million. The result from the Holding was lower compared with the prior year period mainly driven by a lower benefit from the internal reinsurance arrangement between TLB and Transamerica. In addition, the operating result was impacted by lower returns on Cash Capital at Holding due to lower short-term yields and a lower cash balance.

Non-operating items

 

Amounts in EUR millions (unaudited)

   1H 2026     1H 20251       %  
Operating result      804       741       9  
Fair value items      (7     158       n.m.  
Realized gains / (losses) on investments      57       (54     n.m.  
Net impairments      21       (5     n.m.  
Non-operating items      71       98       (28
Other income / (charges)2      (160     (128     (26
Result before tax      715       711       -  
Income tax      (107     (106     (1
Net result      608       606       -  
Interest on financial leverage classified as equity after tax      (37     (19     (93
Net result after interest on financial leverage classified as equity      571       586       (3
Average common shareholders’ equity      7,310       7,329       -  
Return on Equity3      16.7%       15.4%          

 

1 

1H 2025 figures are restated as Aegon UK is classified as discontinued operations.

2 

Includes income tax chargeable to policyholders in the United Kingdom.

3 

Operating result after tax and interest on financial leverage classified as equity / average common shareholders’ equity.

*

n.m. – not measured.

The gain from non-operating items amounted to EUR 71 million in the first half of 2026, mainly driven by realized gains and net recoveries in the Americas.

Fair value items

Fair value items constituted a loss of EUR 7 million, mainly driven by the Holdings with an offset from the Americas. In the Holdings, fair value losses reflected interest rate hedge impacts related to debt instruments and mark-to-market revaluations related to TLB, including from the annual assumption updates. In the Americas, fair value items of EUR 25 million resulted from hedging gains of indexed products which were partly offset by the underperformance of private equity investments and lower property valuations of multi-family real estate assets.

Realized gains on investments

Realized gains on investments amounted to EUR 57 million driven by the Americas. Asset dispositions as part of normal trading activity and the full repayment of the mortgage loans related to the Transamerica Pyramid complex in San Francisco resulted in gains from expected credit loss (ECL) reversals.

Net impairments

Net impairments reflected a recovery in the first half of 2026 of EUR 21 million driven by the Americas. Improved macroeconomic and market conditions resulted in favorable releases from the ECL reserve, which were only partly offset by additions to the ECL reserve from purchases of new assets.

Other charges

Other charges in the first half of 2026 amounted to EUR 160 million largely driven by the Americas, and were partially offset by the positive result from Aegon’s stake in a.s.r. of EUR 201 million and positive result of EUR 10 million from the Aegon UK business which is held for sale.

The annual model and assumption review in the Americas resulted in EUR 294 million charges, mainly addressing policyholder behavior experience variances which resulted in higher-than-expected premium persistency in older Universal Life policies and lower-than-expected lapses of Traditional Life policies. In addition, mortality assumptions were updated, also to reflect lower mortality improvement, leading to Other charges mainly for onerous, older life policies with some favorable offsets from annuities.

Other charges also included investments and restructuring charges related to the transformation of our businesses and the relocation of our head office and legal seat to the US, including US GAAP implementation expenses.

 

 

 

 

 10 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  

 


 

Our performance 

   
   

 

 

Balance sheet items

 

Amounts in EUR millions (unaudited)    June 30,
2026
    December
31, 2025
      %  
Shareholders’ equity      7,328       7,432       (1
Shareholders’ equity per share (in EUR)      4.94       4.91       -  
Americas      6,731       6,359       6  
United Kingdom      -       1,555       n.m.  
International      312       262       19  
Eliminations      (102     (111     8  
Contractual Service Margin1      6,941       8,066       (14
Pro-forma tax      (1,492     (1,789     17  
CSM after tax      5,449       6,277       (13
CSM after tax per share (in EUR)      3.67       4.15       (12
Estimated equity accretion AUK sale      1,214       -       n.m.  
Valuation equity      13,991       13,709       2  
Valuation equity per share (in EUR)      9.42       9.06       4  
Gross financial leverage      4,967       4,850       2  
Gross financial leverage ratio (%)      26.0%       25.9%          

 

1 

On IFRS basis, i.e. excluding joint ventures & associates.

*

n.m. – not measured.

Shareholders’ equity

As of June 30, 2026, shareholders’ equity amounted to EUR 7.3 billion, a decrease compared with December 31, 2025. Capital distributions to shareholders (which include both the EUR 227 million share buyback and EUR 313 million corresponding to the 2025 final dividend paid in July 2026) and the impact of revaluations were partly offset by the positive net result and favorable currency movements.

On a per share basis, shareholders’ equity increased to EUR 4.94.

Valuation equity

Valuation equity is a non-IFRS financial measure that represents the sum of shareholders’ equity and CSM after tax (embedded value of unearned profits in insurance contracts). This measure is intended to provide a more comprehensive view of the Group’s economic value. The reconciliation from shareholders’ equity, being the most directly comparable IFRS measure, to valuation equity is presented in the above table.

As of June 30, 2026, valuation equity includes EUR 1,214 million estimated shareholders’ equity accretion resulting from the announced sale of Aegon UK to Standard Life. This reflects the expected economic value impact of the transaction and more than offsets the exclusion of the Aegon UK CSM after tax subsequent to the announcement of the sale.

Valuation equity increased to EUR 14.0 billion in the reporting period, mainly driven by the positive net result and favorable currency movements. These were largely offset by EUR 540 million capital distributions to shareholders and the unfavorable impact of EUR 231 million from the annual assumption review in aggregate, split across different P&L and balance sheet items.

On a per share basis, valuation equity increased by 4% to EUR 9.42.

Gross financial leverage

Gross financial leverage increased by EUR 0.1 billion in the first half of 2026. This increase was driven by the new issuance of USD 500 million senior debt exceeding the tender offer on subordinated notes.

Contractual Service Margin (CSM)

 

Amounts in EUR millions (unaudited)    1H 2026     1H 2025       %  
CSM at beginning of period      8,572       8,990       (5
New business      413       337       22  
CSM release      (450     (492     9  
Accretion of interest      139       125       11  
Claims and policyholder experience variance      (108     (240     55  
Non-financial assumption changes      3       (336     n.m.  
Non-disaggregated risk adjustment      94       65       44  
Market impact on unhedged risk of VFA products      57       248       (77
Net exchange differences      222       (912     n.m.  
Transfer to disposal groups      (1,457     -       n.m.  
Other movements      (3     -       n.m.  
       
CSM at end of period      7,484       7,786       (4

 

*

n.m. – not measured.

During the reporting period, the CSM balance decreased to EUR 7.5 billion, mainly driven by the exclusion of Aegon UK which is held for sale. On a comparable basis, adjusted for the sale of Aegon UK, the CSM balance increased from EUR 7.0 billion to EUR 7.5 billion over the first half of 2026.

New business contributed EUR 413 million to the CSM and together with interest accretion of EUR 139 million more than offset the CSM release of EUR 450 million.

Claims and policyholder experience variance negatively impacted the CSM, mainly driven by US Financial Assets, partly offset by favorable experience in US Strategic Assets. Favorable currency movements – predominantly the appreciation of the US Dollar versus the Euro – increased the CSM balance in addition to non-disaggregated risk adjustment and favorable market movements.

Americas

In the Americas, the CSM balance grew to EUR 6.7 billion, or USD 7.7 billion, at June 30, 2026. This was driven by a growth of 30% of the CSM balance in Strategic Assets (Protection Solutions) compared with a year ago and was only partly offset by the run-off of Financial Assets, where the CSM decreased by 13% over the year. The CSM balance of Protection Solutions now accounts for 61% of the total Americas CSM. For the first time since the introduction of IFRS 17, the addition to CSM from new business was larger than the release of CSM, demonstrating the success of Transamerica’s strategy to grow its Strategic Assets and reduce its exposure to Financial Assets.

 

 

 

 

 

    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 11   

 


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In the first half of 2026, the increase of the CSM balance of Protection Solutions was mainly driven by new business, which, in addition to the accretion of interest, largely reflects growth of the IUL and Traditional Life portfolios; this is also reflected in the increase of the release of CSM. Favorable non-financial assumption changes mainly reflected lower future mortality in younger life insurance policies and improved spread and profitability assumptions in the IUL product. This was partly offset by unfavorable higher-than-expected usage of accelerated living benefits and adverse lapse experience on Traditional Life products.

The Financial Assets CSM balance decreased in the period from the gradual run-off of the portfolios, only partly offset by the accretion of interest and new business. Also, in Variable Annuities, decrements and withdrawal variances were unfavorable to the CSM, but were partly offset by favorable impacts from positive equity markets. In addition, non-financial assumption changes had an unfavorable impact reflecting the more efficient use of withdrawals and surrenders of Variable Annuities policyholders, which was partly offset by the favorable impact of lower mortality rate assumptions in annuities. The non-disaggregated risk adjustment provided an offset improving the CSM.

 

 

Capital highlights

 

Capital ratios

 

Amounts in millions (unaudited)    June 30,
2026
    December
31, 2025
      %  
Group solvency ratio (EUR)       
Available own funds      11,653       12,149       (4
Non-eligible own funds      (275     (248     (11
Eligible own funds      11,378       11,901       (4
Consolidated Group SCR      6,715       6,464       4  
Group Solvency ratio      169%       184%          
Americas (USD)       
Total adjusted capital (TAC)      6,988       7,276       (4
RBC required capital (100% CAL)      1,665       1,715       (3
US RBC ratio      420%       424%          
Scottish Equitable plc (GBP)       
Own funds      2,308       2,128       8  
SCR      1,224       1,163       5  
Solvency UK ratio      189%       183%          

Group solvency ratio

The estimated Group solvency ratio decreased to 169% on June 30, 2026, compared with December 31, 2025. This was mainly driven by the loss of capital eligibility of the Perpetual Capital Subordinated Bonds (PCSBs) and the impact of the tender offer on subordinated notes (-9%- points), the EUR 350 million share buyback program for the second half of 2026 and the announced 2026 interim dividend (-10%-points). Total capital generation amounted to EUR 211 million (+4%-points). This included market movements with a negative impact of EUR 146 million, mostly driven by the US. Furthermore, one-time items were unfavorable at EUR 59 million, reflecting the adverse impact of model and assumption changes, mainly in the US, which were partially offset by the contribution from Aegon UK and the a.s.r. stake.

Aegon is accelerating the implementation of Group regulatory reporting under the Bermuda solvency framework from full-year 2027 to full-year 2026, with the Group solvency ratio expected to remain broadly in line with current levels and no impact on Aegon’s capital management framework.

Under the new aggregation approach for Group solvency, on a pro forma basis, the completion of the sale of Aegon UK is expected to have a positive impact of around 10%-points on the Group solvency ratio.

US RBC ratio

The estimated RBC ratio amounted to 420% on June 30, 2026, remaining above the operating level of 400%. OCG from the operating entities applying the RBC framework benefited the ratio by 31%-points in the first half of 2026 and was partially offset by a 12%-points unfavorable impact from remittances in the period (as part of the remittances to the Holding was funded by entities outside the RBC framework). One-time items and management actions negatively impacted the RBC ratio by 11%-points in the first half of 2026, mostly due to the unfavorable impact of the annual actuarial assumption and model updates and, to a lesser extent, negative impacts from restructuring expenses, and various other items. Market movements had a 12%-points negative impact on the ratio in the reporting period. This was driven by the underperformance of private equity investments and non-economic losses on energy-related assets under the statutory framework, as well as fund basis risk impacts and cross effects between asset classes in the Variable Annuities portfolio.

Solvency UK ratio

The estimated Solvency UK ratio for Scottish Equitable plc increased to 189% as of June 30, 2026, and remained above the operating level of 150%. The increase was mainly driven by the impact of OCG and favorable market movements. This was partly offset by remittances to the Holding and investments to strengthen the business.

 

 

 

 

 

 12 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  

 


 

Our performance 

   
   

 

 

Cash capital at Holding and free cash flow

 

Amounts in EUR millions (unaudited)    1H 2026     1H 2025       %  
Beginning of period      1,311       1,725       (24
Americas      308       259       19  
United Kingdom      11       61       (83
International      21       40       (49
Asset Management      46       71       (35

a.s.r. dividends

     104       121       (14

a.s.r. share buybacks

     42       38       13  
Cash flows from a.s.r.      146       159       (8
Gross remittances      531       590       (10
Funding and operating expenses      (139     (148     6  
Free cash flow      392       442       (11
Capital injections      (1     (34     98  
Divestitures and acquisitions      59       26       127  
Share buybacks and other flows from / (to) shareholders      (200     (110     (82
Net change in gross financial leverage      107       (9     n.m.  
Other      (11     (28     58  
End of period      1,656       2,011       (18

 

*

n.m. – not measured.

Aegon’s Cash Capital at Holding increased during the first half of 2026, largely driven by remittances from the business units, partly offset by capital returns to shareholders in the form of share buybacks. Free cash flow included the 2025 final dividend from a.s.r. and Aegon’s participation in a share buyback program by a.s.r. Following the announcement of the sale of Aegon UK to Standard Life, Aegon UK remittances are reflected in divestitures and acquisitions in the first half of 2026. Except for a dividend from Cornerstone - a small entity outside the transaction perimeter which is being wound down - with the liquidation proceeds reported in free cash flow. Remittances from International only reflected the contribution from Portugal as the full remittances from Spain and TLB are expected to be received during the second half of 2026. As a result, and excluding the contribution from Aegon UK, free cash flow was flat compared to the prior year period. The Cash Capital at Holding also reflects the net cash proceeds from the senior bond issuance and the tender offer in the second quarter, partly offset by other items, which include the EUR 27 million share buyback to meet Aegon’s obligations related to share-based compensation plans for senior management.

Over the 2026-2027 period, Aegon aims to grow its free cash flow – excluding remittances from Aegon UK or dividends from Standard Life – by around 5% per year, from around EUR 0.68 billion run-rate in 2025 (taking into account the divestment of Aegon UK and an assumed EUR/USD exchange rate of 1.20).

2026 interim dividend

Aegon aims to pay a sustainable dividend to allow equity investors to participate in the company’s performance, which can grow over time if Aegon’s performance allows. At our 2025 CMD, Aegon set a financial ambition for dividend growth of more than 5% per annum. Aegon today announces an interim dividend for 2026 of EUR 0.21 per common share, which represents an increase of EUR 0.02 or 11% compared with the interim dividend for 2025.

Aegon’s shares will be quoted ex-dividend on September 2, 2026. The record date for the dividend will be September 3, 2026, and the dividend will be payable as of September 24, 2026.

Share buyback programs

At our 2025 CMD, we announced a new EUR 400 million share buyback program to be split evenly between the first and the second half of 2026. On January 12, 2026, Aegon announced a EUR 227 million share buyback, which reflected both the first half of the EUR 400 million share buyback program and EUR 27 million to meet Aegon’s obligations related to share-based compensation plans for senior management. This EUR 227 million share buyback program was completed on June 30, 2026.

On July 1, 2026, Aegon announced the beginning of a EUR 200 million share buyback program, which reflects the second half of the EUR 400 million share buyback program. Aegon today announces that it will be increasing this ongoing EUR 200 million share buyback program by an additional EUR 150 million to a total amount of EUR 350 million, consistent with its objective to reduce Cash Capital at Holding to around EUR 1.0 billion by the end of 2026. Barring unforeseen circumstances, this EUR 350 million share buyback is expected to be completed on or before December 23, 2026.

Exchange rates

 

     Weighted average rate        Closing rate  

Per 1 EUR

      1H 2026         1H 2025       
 June 30,
2026
 
 
    
December
31, 2025
 
 

USD

     1.1667        1.0934        1.1417        1.1733  

GBP

     0.8673        0.8424        0.8612        0.8727  
 

 

 

 

    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 13   

 


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Condensed consolidated income statement 
 
Amounts in EUR millions (except per share data)   
Note
    
    1H 2026
        1H 2025 
1
Continuing operations
       
Insurance revenue
        4,247     4,558  
Insurance service expenses
  
 
7
 
     (4,565   (5,033) 
Net income / (expenses) on reinsurance held
              372     588  
Insurance service result
  
 
4
 
  
 
54
 
 
113  
Interest revenue on financial instruments calculated using the effective interest method
        1,231     1,364  
Interest income from instruments measured at FVPL
        105     111  
Other investment income
        6     7  
Results from financial transactions
  
 
5.2
 
     5,318     3,814  
Impairment (losses) / reversals
        16     (1) 
Insurance finance income / (expenses)
        (6,657   (5,097) 
Net reinsurance finance income / (expenses) on reinsurance held
        332     267  
Interest expenses
              (39   (73) 
Insurance net investment result
  
 
5.1
 
  
 
313
 
 
393  
Interest revenue on financial instruments calculated using the effective interest method
        311     294  
Interest income from instruments measured at FVPL
        40     43  
Other investment income
        2     3  
Results from financial transactions
  
 
5.2
 
     2,252     1,987  
Impairment (losses) / reversals
        -     (7) 
Investment contract income / (expenses)
        (2,473   (2,146) 
Interest expenses
              (7   (10) 
Other net investment result
     
 
125
 
 
163  
Interest charges
        (92   (91) 
Financing net investment result
           
 
(92
 
(91) 
Total net investment result
  
 
5
 
  
 
346
 
 
465  
Fees and commission income
  
 
6
 
     1,008     1,030  
Other operating expenses
  
 
7
 
     (1,197   (1,220) 
Other income / (charges)
              24     3  
Other result
     
 
(165
 
(187) 
Result before share in profit / (loss) of joint ventures, associates and tax
        235     392  
Share in profit / (loss) of joint ventures
        155     118  
Share in profit / (loss) of associates
              211     60  
Result before tax from continuing operations
     
 
601
 
 
570  
Income tax (expense) / benefit
  
 
8
 
     (45   (50) 
Net result from continuing operations
     
 
556
 
 
520  
Discontinued operations
       
Net result from discontinued operations
  
 
19
 
     52     86  
Net result from continuing and discontinued operations
     
 
608
 
 
606  
Net income/ (loss) attributable to:
       
Owners of Aegon Ltd.
        614     584  
Non-controlling
interests
        (6   21  
Earnings per share from continuing and discontinued operations
  
 
11.3
 
    
Basic earnings per common share
        0.39     0.36  
Basic earnings per common share B
        0.01     0.01  
Diluted earnings per common share
        0.39     0.36  
Diluted earnings per common share B
        0.01     0.01  
Earnings per share from continuing operations
       
Basic earnings per common share from continuing operations
        0.35     0.30  
Basic earnings per common share B from continuing operations
        0.01     0.01  
Diluted earnings per common share from continuing operations
        0.35     0.30  
Diluted earnings per common share B from continuing operations
              0.01     0.01  
 
1
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
 
 
 14 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Condensed consolidated interim financial statements of Aegon Ltd.  
   
   
 
Condensed consolidated statement of comprehensive income
 
Amounts in EUR millions   
Note
    
    1H 2026
        1H 2025 
1
  
Net result from continuing and discontinued operations
     
 
608
 
 
606
Items that will not be reclassified to profit or loss:
       
Gains/ (losses) on investments in equity instruments (FVOCI)
        -     (1) 
Remeasurements of defined benefit plans
        (8   (2) 
Income tax relating to items that will not be reclassified
        1     2  
Discontinued operations that will not be reclassified
  
 
19
 
     (27   6  
Insurance items that may be reclassified subsequently to profit or loss:
       
Unrealized gains / (losses) on financial assets (FVOCI)
  
 
5
 
     (565   745  
Realized gains / (losses) on disposal of financial assets (FVOCI)
  
 
5
 
     (5   76  
Insurance finance income / (expenses)
  
 
5
 
     398     (433) 
Reinsurance finance income / (expenses)
  
 
5
 
     (169   62  
Changes in cash flow hedging reserve
        14     (145) 
Income tax relating to items that may be reclassified
        40     (64) 
Items that may be reclassified subsequently to profit or loss:
       
Unrealized gains / (losses) on financial assets (FVOCI)
        (118   166  
Realized gains / (losses) on disposal of financial assets (FVOCI)
        (8   27  
Changes in cash flow hedging reserve
        10     (26) 
Movements in foreign currency translation and net foreign investment hedging reserves
        151     (420) 
Equity movements of joint ventures
        (6   21  
Equity movements of associates
        54     6  
Disposal
        (1   (1) 
Income tax relating to items that may be reclassified
        18     (36) 
Discontinued operations that may be reclassified
  
 
19
 
     16     (52) 
Other
              (3   (1) 
Total other comprehensive income / (loss)
           
 
(207
 
(67) 
Total comprehensive income / (loss)
     
 
401
 
 
538  
Total comprehensive income/ (loss) attributable to:
       
Owners of Aegon Ltd.
        405     534  
Non-controlling
interests
              (4   5  
 
1
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 15   
 

Table of Contents
LOGO  
   
   
 
Condensed consolidated statement of financial position
 
Amounts in EUR millions   
Note
    
 June 30, 2026
    December 31, 2025  
Assets
       
Cash and cash equivalents
        3,515     2,733  
Assets held for sale
  
 
19
 
     138,246     -  
Investments
  
 
9
 
     167,187     285,141  
Derivatives
        681     485  
Investments in joint ventures
        1,702     1,566  
Investments in associates
        2,761     2,638  
Reinsurance contract assets
  
 
12
 
     17,374     17,153  
Insurance contract assets
  
 
12
 
     16     18  
Deferred tax assets
        1,860     1,894  
Deferred expenses
        457     452  
Other assets and receivables
        3,538     4,632  
Intangible assets
              387     519  
Total assets
           
 
337,725
 
 
317,233  
Equity and liabilities
       
Shareholders’ equity
  
 
11
 
     7,328     7,432  
Other equity instruments
  
 
11.6
 
     1,587     1,978  
Issued capital and reserves attributable to owners of Aegon Ltd.
     
 
8,915
 
 
9,410  
Non-controlling
interests
              72     85  
Group equity
     
 
8,987
 
 
9,495  
Subordinated borrowings
        1,503     1,461  
Trust pass-through securities
        102     99  
Reinsurance contract liabilities
  
 
12
 
     201     195  
Insurance contract liabilities
  
 
12
 
     137,407     176,067  
Investment contract liabilities with discretionary participation features
  
 
12
 
     20     21,281  
Investment contracts without discretionary participation features
  
 
13
 
     41,839     97,814  
Derivatives
        1,269     1,469  
Borrowings
  
 
14
 
     2,230     1,982  
Liabilities held for sale
  
 
19
 
     137,070     -  
Other liabilities
              7,098     7,369  
Total liabilities
           
 
328,739
 
 
307,738  
Total equity and liabilities
           
 
337,725
 
 
317,233  
 
 
 16 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Condensed consolidated interim financial statements of Aegon Ltd.  
   
   
 
Condensed consolidated statement of changes in equity
 
Amounts in EUR millions   
Share
capital
    
Retained
earnings
    
Revaluation
reserves
    
 
Remeasurement
of defined
benefit plans
    
Other
reserves
    
Other
equity
instruments
    
Reserve of
discontinued
operations
held for sale
    
Issued
capital and
reserves
1
    
Non-
controlling
interests
     Total  
On January 1, 2026
  
 
7,082
 
  
 
3,792
 
  
 
(2,519
  
 
(966
  
 
43
 
  
 
1,978
 
  
 
-
 
  
 
9,410
 
  
 
85
 
  
 
9,495
 
Net result recognized in the income statement      -        614        -        -        -        -        -        614        (6      608  
Other comprehensive income:
                             
Items that will not be reclassified to profit or loss:
                             
Remeasurements of defined benefit plans      -        -        -        (8      -        -        -        (8      -        (8
Income tax relating to items that will not be reclassified      -        -        -        1        -        -        -        1        -        1  
Discontinued operations that will not be reclassified      -        -        -        372        -        -        (399      (27      -        (27
Insurance items that may be reclassified subsequently to profit or loss:
                             
Unrealized gains / (losses) on financial assets (FVOCI)      -        -        (565      -        -        -        -        (565      -        (565
Realized gains / (losses) on disposal of financial assets (FVOCI)      -        -        (5      -        -        -        -        (5      -        (5
Insurance finance income / (expenses)      -        -        398        -        -        -        -        398        -        398  
Reinsurance finance income / (expenses)      -        -        (169      -        -        -        -        (169      -        (169
Changes in cash flow hedging reserve      -        -        14        -        -        -        -        14        -        14  
Income tax relating to items that may be reclassified      -        -        40        -        -        -        -        40        -        40  
Items that may be reclassified subsequently to profit or loss:
                             
Unrealized gains / (losses) on financial assets (FVOCI)      -        -        (118      -        -        -        -        (118      -        (118
Realized gains / (losses) on disposal of financial assets (FVOCI)      -        -        (8      -        -        -        -        (8      -        (8
Changes in cash flow hedging reserve      -        -        10        -        -        -        -        10        -        10  
Movements in foreign currency translation and net foreign investment hedging reserves      -        -        (79      (17      245        -        -        149        2        151  
Equity movements of joint ventures      -        -        -        -        (6      -        -        (6      -        (6
Equity movements of associates      -        -        -        -        54        -        -        54        -        54  
Disposal      -        -        -        -        (1      -        -        (1      -        (1
Income tax relating to items that may be reclassified      -        -        18        -        -        -        -        18        -        18  
Discontinued operations that may be reclassified      -        -        -        -        502        -        (486      16        -        16  
Other      -        (3      -        -        -        -        -        (3      -        (3
Total other comprehensive income / (loss)
  
 
-
 
  
 
(3
  
 
(465
  
 
349
 
  
 
794
 
  
 
-
 
  
 
(885
  
 
(209
  
 
2
 
  
 
(207
Total comprehensive income / (loss)
  
 
-
 
  
 
611
 
  
 
(465
  
 
349
 
  
 
794
 
  
 
-
 
  
 
(885
  
 
405
 
  
 
(4
  
 
401
 
Issuance and purchase of treasury shares      -        (188      -        -        -        -        -        (188      -        (188
Repayment of perpetuals securities      -        50        -        -        -        (374      -        (323      -        (323
Dividends paid on common shares      -        (313      -        -        -        -        -        (313      -        (313
Coupons on perpetual securities      -        (37      -        -        -        -        -        (37      -        (37
Incentive plans      -        (21      -        -        -        (18      -        (39      -        (39
Change in ownership
non-controlling
interest
     -        -        -        -        -        -        -        -        (9      (9
On June 30, 2026
  
 
7,082
 
  
 
3,894
 
  
 
(2,984
  
 
(617
  
 
838
 
  
 
1,587
 
  
 
(885
  
 
8,915
 
  
 
72
 
  
 
8,987
 
 
1
 
Issued capital and reserves attributable to owners of Aegon Ltd.
 
Amounts in EUR millions   
Share
capital
    
 Retained
earnings
    
 Revaluation
reserves
    
 Remeasurement
of defined
benefit plans
    
Other
 reserves
    
Other
equity
 instruments
    
Issued
 capital and
reserves 
1
    
Non-
 controlling
interests
     Total  
On January 1, 2025
  
 
7,094
 
  
 
3,949
 
  
 
(3,706
  
 
(1,072
  
 
951
 
  
 
1,972
 
  
 
9,187
 
  
 
126
 
  
 
9,313
 
Net result recognized in the income statement      -        584        -        -        -        -        584        21        606  
Other comprehensive income:
                          
Items that will not be reclassified to profit or loss:
                          
Gains/ (losses) on investments in equity instruments (FVOCI)      -        -        (1      -        -        -        (1      -        (1
Remeasurements of defined benefit plans      -        -        -        5        -        -        5        -        5  
Income tax relating to items that will not be reclassified      -        -        -        1        -        -        2        -        2  
Insurance items that may be reclassified subsequently to profit or loss:
                          
Unrealized gains / (losses) on financial assets (FVOCI)      -        -        745        -        -        -        745        -        745  
Realized gains / (losses) on disposal of financial assets (FVOCI)      -        -        76        -        -        -        76        -        76  
Insurance finance income / (expenses)      -        -        (433      -        -        -        (433      -        (433
Reinsurance finance income / (expenses)      -        -        62        -        -        -        62        -        62  
Changes in cash flow hedging reserve      -        -        (145      -        -        -        (145      -        (145
Income tax relating to items that may be reclassified      -        -        (64      -        -        -        (64      -        (64
Items that may be reclassified subsequently to profit or loss:
                          
Unrealized gains / (losses) on financial assets (FVOCI)      -        -        166        -        -        -        166        -        166  
Realized gains / (losses) on disposal of financial assets (FVOCI)      -        -        27        -        -        -        27        -        27  
Changes in cash flow hedging reserve      -        -        (26      -        -        -        (26      -        (26
Movements in foreign currency translation and net foreign investment hedging reserves      -        -        425        97        (976      -        (455      (17      (472
Equity movements of joint ventures      -        -        -        -        21        -        21        -        21  
Equity movements of associates      -        -        -        -        6        -        6        -        6  
Disposal      -        -        -        -        (1      -        (1      -        (1
Income tax relating to items that may be reclassified      -        -        (36      -        -        -        (36      -        (36
Other      -        (1      -        -        -        -        (1      -        (1
Total other comprehensive income / (loss)
  
 
-
 
  
 
(1
  
 
797
 
  
 
103
 
  
 
(950
  
 
-
 
  
 
(51
  
 
(17
  
 
(67
Total comprehensive income / (loss)
  
 
-
 
  
 
583
 
  
 
797
 
  
 
103
 
  
 
(950
  
 
-
 
  
 
534
 
  
 
5
 
  
 
538
 
Issuance and purchase of treasury shares      -        (107      -        -        -        -        (107      -        (107
Dividends paid on common shares      -        (300      -        -        -        -        (300      -        (300
Coupons on perpetual securities      -        (19      -        -        -        -        (19      -        (19
Incentive plans      -        (23      -        -        -        (13      (36      -        (36
On June 30, 2025
  
 
7,094
 
  
 
4,083
 
  
 
(2,909
  
 
(969
  
 
1
 
  
 
1,958
 
  
 
9,258
 
  
 
130
 
  
 
9,389
 
 
1
 
Issued capital and reserves attributable to owners of Aegon Ltd.
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 17   
 

Table of Contents
LOGO  
   
   
 
Condensed consolidated cash flow statement
 
Amounts in EUR millions   
    1H 2026
         1H 2025 
3
 
Result before tax from continuing operations
  
 
601
 
  
 
570
 
Result before tax from discontinued operations
     69        107  
Result before tax from continuing and discontinued operations
  
 
670
 
  
 
677
 
Results from financial transactions
     (17,203      (7,119
Amortization and depreciation
     (58      (73
Impairment losses
     (16      8  
Results from (re)insurance contracts and investment contracts with discretionary participation features
     11,275        6,617  
Income from joint ventures
     (155      (118
Income from associates
     (211      (60
Release of cash flow hedging reserve
     (42      (73
Other
     94        184  
Adjustments of
non-cash
items
  
 
(6,315
  
 
(635
Investment contracts without discretionary participation features
     9,088        5,946  
Accrued expenses and other liabilities
     258        4,078  
Accrued income and prepayments
     (20      (4,177
Changes in accruals
  
 
9,327
 
  
 
5,846
 
Insurance contracts
     (6,015      (5,707
Investment contracts with discretionary participation features
     (1,412      (1,194
Reinsurance contracts held
     785        795  
Purchase of investments (other than money market investments)
     (28,733      (28,687
Purchase of derivatives
     (27      75  
Disposal of investments (other than money market investments)
     32,023        29,837  
Disposal of derivatives
     203        (517
Net change in cash collateral
     (143      444  
Net purchase of money market investments
     821        (1,170
Cash flow movements on operating items not reflected in income
  
 
(2,498
  
 
(6,125
Tax (paid)/ received
     (19      66  
Other
     2        (6
Net cash flows from operating activities
  
 
1,166
 
  
 
(176
Purchase of intangible assets (other than future servicing rights)
     (7      (5
Purchase of equipment and real estate for own use
     (20      (26
Acquisition of subsidiaries, net of cash
     -        (12
Acquisition/capital contributions joint ventures and associates
     (4      (1
Disposal of equipment
     -        2  
Disposal joint ventures and associates
     46        56  
Dividend received from joint ventures and associates
     201        245  
Net cash flows from investing activities
  
 
217
 
  
 
259
 
Purchase of treasury shares
     (226      (150
Proceeds from TRUPS
1
, Subordinated borrowings and borrowings
     981        -  
Repayment of TRUPS
1
, subordinated loans and borrowings
     (781      (10
Repayment of perpetuals securities
     (305      -  
Coupons on perpetual securities
     (37      (34
Payment of lease liabilities
     (13      (17
Change in ownership
non-controlling
interests
     (9      -  
Net cash flows from financing activities
  
 
(391
  
 
(211
Net increase / (decrease) in cash and cash equivalents
2
  
 
992
 
  
 
(129
Net cash and cash equivalents at the beginning of the year
     2,733        3,469  
Effects of changes in exchange rate
     40        (140
Net cash and cash equivalents at the end of the period
  
 
3,765
 
  
 
3,200
 
Cash classified as Assets held for sale
     250        -  
Cash and cash equivalents in balance sheet
  
 
3,515
 
  
 
3,200
 
 
1
 
Trust pass-through securities.
2
 
Included in net increase / (decrease) in cash and cash equivalents are interest received EUR 1,742 million (2025: EUR 1,941 million), dividends received EUR 1,480 million (2025: EUR 1,649 million) and interest paid EUR 126 million (2025: EUR 159 million). All included in operating activities except for dividend received from joint ventures and associates EUR 201 million (2025: EUR 245 million).
3
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
The cash flow statement is prepared according to the indirect method.
 
 
 18 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Notes to condensed consolidated interim financial statements  
   
   
 
Notes to condensed consolidated interim financial statements
1 General information
Aegon Ltd. is an exempted company with liability limited by shares organized under the laws of Bermuda and registered with the Bermuda Registrar of Companies under number 202302830 and recorded in the Dutch Commercial Register registered under number 27076669 and with its registered address at Canon’s Court, 22 Victoria Street, Hamilton HM 12, Bermuda. The Bermuda Monetary Authority is Aegon’s group supervisor.
Aegon Ltd. has its headquarters in the Netherlands at World Trade Center Schiphol, Schiphol Boulevard 223, 1118 BH Schiphol. As Aegon Ltd. currently qualifies as a
non-resident
company under Dutch law, certain Dutch law provisions remain applicable to it, including certain provisions of title 9 Book 2 of the Dutch Civil Code regarding the preparation and publication of its annual accounts.
Aegon Ltd. serves as the holding company for the Aegon Group and has listings of its common shares on Euronext Amsterdam and on the New York Stock Exchange (NYSE).
Aegon Ltd. (or “the Company”) and its subsidiaries (“Aegon” or “the Group”) have life insurance and pensions operations and are also active in savings and asset management operations, accident and health insurance and general insurance. Aegon operates fully owned businesses in the United States and Spain, as well as operating the fully owned asset management and Transamerica Life (Bermuda) businesses. Aegon also operates partnerships in Spain & Portugal, China, and Brazil. In addition, it holds a shareholding in a leading Dutch insurance and pensions company and, following completion of the announced sale of Aegon UK which is expected around the end of 2026, will retain a minority shareholding in a leading UK long-term savings and retirement business. Excluding Aegon UK, the Group employs around 12,100 people worldwide (2025: around 12,500).
2 Material accounting policies information and estimates
2.1 Basis of presentation
The condensed consolidated interim financial statements as at, and for the
six-month
period ended, June 30, 2026 (‘first half year 2026’ or ‘1H 2026’), have been prepared in accordance with IAS 34 ‘Interim Financial Reporting’, as issued by International Accounting Standards Board (hereafter ‘IFRS’). They do not include all of the information required for a full set of financial statements prepared in accordance with IFRS and should therefore be read together with the 2025 consolidated financial statements of Aegon Ltd. as included in the Annual Report on Form
20-F
2025 (Annual Report 2025), which is available on its website
www.aegon.com
.
Certain income statement related amounts in prior period have been reclassified due to the discontinued operations presentation for Aegon UK. These reclassifications had no effect on net income or shareholders’ equity.
The condensed consolidated interim financial statements are presented in euros (EUR) and all values are rounded to the nearest million unless otherwise stated. The consequence is that the rounded amounts may not add up to the rounded total in all cases.
2.2 New accounting policies
The accounting policies and methods of computation applied in the condensed consolidated interim financial statements are the same as those applied in the 2025 consolidated financial statements, except for the following IFRS standards and amendments that became effective for Aegon from January 1, 2026:
 
  Annual Improvements Volume 11 (issued on July 18, 2024)
  Amendments to IFRS 9 and IFRS 7: Classification and Measurement of Financial Instruments (issued on May 30, 2024)
  Amendments to IFRS 9 and IFRS 7: Contracts Referencing Nature-dependent Electricity (issued on December 18, 2024)
These amendments did not have a material impact on the financial statements of Aegon.
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 19   
 

Table of Contents
LOGO  
   
   
 
2.3 Judgements and critical accounting estimates
In preparing these consolidated financial statements, Aegon has made judgements, estimates and assumptions that affect the application of the Group’s accounting policies and the reported amount of assets, liabilities, income, and expenses. Actual outcomes may differ from these estimates.
Included among the material (or potentially material) reported amounts and disclosures that require extensive use of estimates are the fair value of certain investments and derivatives (please refer to note
10 Fair value
), the measurement of (re)insurance contracts and investment contracts with discretionary participation features, furthermore
non-financial
assumptions (please refer to note
12 (Re)Insurance contracts and investment contracts with discretionary participation features
), and the measurement of the expected credit loss (or “ECL”) allowance and economic variable assumptions (please refer to note
15 Financial risks
).
Estimates and underlying assumptions are reviewed on an ongoing basis. Revisions to estimates are recognized prospectively.
3 Segment information
Aegon’s operating segments are based on the businesses as presented in internal reports that are regularly reviewed by the Executive Director, who is regarded as the chief operating decision maker. The segment information is prepared by consolidating on a proportionate basis Aegon’s joint ventures (JVs) and associated companies except for its approximate 24% stake in a.s.r. The result of associate a.s.r. is included in Other income / (charges).
3.1 Segment results
The following table presents Aegon’s segment results. As from the date of the agreement of the sale, United Kingdom segment is classified as discontinued operations and its results are presented in Other income/(charges).
 
1H 2026
  Americas    
United
 Kingdom
   
Interna-
tional
   
Asset
Manage-
ment
   
Holding
and other
activities
   
Elimi-
nations
   
Segment
total
   
JVs and
associates
elimi-
nations
   
Consoli-
dated
 
Operating result
 
 
648
 
 
 
-
 
 
 
123
 
 
 
150
 
 
 
(117
 
 
(1
 
 
804
 
 
 
166
 
 
 
970
 
Fair value items     25       -       10       (5     (16     (22     (7     (22     (29
Realized gains / (losses) on investments     56       -       1       -       -       -       57       (1     56  
Impairment (losses) / reversals     19       -       1       -       -       -       21       (1     20  
Non-operating
items
 
 
101
 
 
 
-
 
 
 
13
 
 
 
(5
 
 
(16
 
 
(22
 
 
71
 
 
 
(23
 
 
48
 
Other income / (charges)     (343     10       11       (6     212       (44     (160     (204     (364
Result before tax
 
 
406
 
 
 
10
 
 
 
147
 
 
 
140
 
 
 
79
 
 
 
(67
 
 
715
 
 
 
(62
 
 
653
 
Income tax (expense) / benefit     (67     -       (44     (35     25       14       (107     62       (45
Net result
 
 
339
 
 
 
10
 
 
 
103
 
 
 
104
 
 
 
104
 
 
 
(53
 
 
608
 
 
 
-
 
 
 
608
 
Inter-segment result
 
 
(61
 
 
(41
 
 
124
 
 
 
2
 
 
 
29
 
 
 
(53
     
Revenues
                 
Insurance contracts: direct part.     463       -       2       -       -       -       465       -       464  
Insurance contracts: without direct part.     3,687       -       696       -       -       (19     4,365       (582     3,783  
Investment contracts with DPF: direct part.     -       -       4       -       -       -       4       (4     -  
Investment contracts with DPF: without direct part.     -       -       1       -       -       -       1       (1     -  
Insurance revenue
 
 
4,150
 
 
 
-
 
 
 
703
 
 
 
-
 
 
 
-
 
 
 
(19
 
 
4,835
 
 
 
(587
 
 
4,247
 
Interest revenue on financial instruments calculated using the effective interest method     1,504       -       52       1       15       (2     1,570       (28     1,542  
Interest income from instruments measured at FVPL     141       -       2       4       -       -       147       (2     145  
Other investment income     6       -       71       9       103       (103     87       (78     8  
Fee and commission income     723       -       15       498       -       (121     1,115       (107     1,008  
Other revenues     -       -       13       5       -       -       19       (19     -  
Total revenues
 
 
6,524
 
 
 
-
 
 
 
857
 
 
 
517
 
 
 
118
 
 
 
(244
 
 
7,772
 
 
 
(821
 
 
6,950
 
Inter-segment revenues
 
 
73
 
 
 
-
 
 
 
-
 
 
 
68
 
 
 
103
 
                               
 
1H 2025   Americas     United
Kingdom 
1
    Interna-
tional
   
Asset
Manage-
ment
   
Holding
and other
activities
    Elimi-
nations
   
Segment
total
   
JVs and
associates
elimi-
nations
    Consoli-
dated
 
Operating result
 
 
627
 
 
 
-
 
 
 
99
 
 
 
104
 
 
 
(117
 
 
28
 
 
 
741
 
 
 
12
 
 
 
753
 
Fair value items     40       -       (38     (2     31       126       158       (2     156  
Realized gains / (losses) on investments     (73     -       19       -       -       -       (54     (20     (74
Impairment (losses) / reversals     (1     -       (2     (2     -       -       (5     3       (2
Non-operating
items
 
 
(34
 
 
-
 
 
 
(21
 
 
(4
 
 
31
 
 
 
126
 
 
 
98
 
 
 
(18
 
 
80
 
Other income / (charges)     (326     45       (1     (13     48       119       (128     (50     (177
Result before tax
 
 
267
 
 
 
45
 
 
 
77
 
 
 
86
 
 
 
(38
 
 
273
 
 
 
711
 
 
 
(56
 
 
656
 
Income tax (expense) / benefit     (7     -       (31     (24     16       (59     (106     56       (50
Net result
 
 
260
 
 
 
45
 
 
 
46
 
 
 
63
 
 
 
(22
 
 
214
 
 
 
606
 
 
 
-
 
 
 
606
 
Inter-segment result
 
 
(423
 
 
(40
 
 
56
 
 
 
62
 
 
 
132
 
 
 
214
 
     
Revenues
                 
Insurance contracts: direct part.     521       -       1       -       -       -       522       -       522  
Insurance contracts: without direct part.     3,935       -       942       -       -       (20     4,857       (821     4,036  
Insurance revenue
 
 
4,456
 
 
 
-
 
 
 
943
 
 
 
-
 
 
 
-
 
 
 
(20
 
 
5,379
 
 
 
(821
 
 
4,558
 
Interest revenue on financial instruments calculated using the effective interest method     1,608       -       31       1       25       (4     1,660       (2     1,658  
Interest income from instruments measured at FVPL     143       -       1       10       -       -       154       -       154  
Other investment income     9       -       65       15       496       (496     89       (79     10  
Fee and commission income     859       -       13       322       -       (75     1,119       (89     1,030  
Other revenues     -       -       18       1       -       -       19       (19     -  
Total revenues
 
 
7,076
 
 
 
-
 
 
 
1,070
 
 
 
348
 
 
 
521
 
 
 
(595
 
 
8,420
 
 
 
(1,009
 
 
7,410
 
Inter-segment revenues
 
 
21
 
 
 
-
 
 
 
-
 
 
 
76
 
 
 
498
 
                               
 
1
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
 
 
 20 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

 
Notes to condensed consolidated interim financial statements
Note 3  
   
   
 
Operating result reconciliation
The reconciliation from Operating result to Result before tax from continuing operations, being the most comparable IFRS measure, is presented in the table below. For items that cannot be directly reconciled to the notes, the explanation appears below the table.
 
     
Note
    
  1H 2026
      1H 2025 
2
 
Result before tax from continuing operations
     
 
601
 
 
 
570
 
Elimination of share in earnings of joint ventures and associates
        (166     (12
Insurance service expenses
  
 
4
 
     531       274  
Net income / (expenses) on reinsurance held
  
 
4
 
     (192     (14
Net fair value change of financial investments at FVPL, other than derivatives
  
 
5
 
     (545     (425
Net fair value change of derivatives
  
 
5
 
     -       (5
Realized gains and losses on financial investments
  
 
5
 
     (40     30  
Net fair value change on investments in real estate
  
 
5
 
     1       (12
Impairment (losses) / reversals
  
 
5
 
     (20     2  
Insurance finance income / (expenses)
  
 
5
 
     552       239  
Net reinsurance finance income / (expenses) on reinsurance held
  
 
5
 
     -       13  
Fee and commission income
  
 
6
 
     -       (6
Commissions and expenses
  
 
7
 
     63       48  
Other income
        (26     -  
Other charges
        1       (3
Effects related to discontinued operations
              41       40  
Operating result
     
 
804
 
 
 
741
 
Tax effect
1
        (157     (158
       
Operating result after tax
           
 
646
 
 
 
583
 
 
1
 
Tax effect was calculated using the respective operating segment’s statutory rate and presented on consolidated basis.
2
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
 
  Insurance service expenses are mainly driven by two items:
 
°
 
  Assumption changes on onerous contracts amounting to a loss of EUR 511 million (2025: loss of EUR 181 million), which is included in Other income / (charges).
 
°
 
  Change in value of VFA products that result in (a reversal of) onerous contracts, amounting to a gain of EUR 2 million (2025: loss of EUR 41 million), which is included in Fair value items.
  Net income / (expenses) on reinsurance held mainly consist of assumption changes that relate to (a reversal of) underlying onerous contracts, amounting to a gain of EUR 185 million (2025: gain of EUR 14 million), which is included in Other income / (charges).
  Net fair value change of financial investments at fair value through profit or loss, other than derivatives reflects the over- or underperformance of investments and guarantees held at fair value for which the expected long-term return is included in the operating result.
 
Insurance finance income / (expenses) mainly relates to changes in the fair value of VFA products, amounting to a loss of EUR
552 million (2025: loss of EUR 239
million), which is included in Fair value items.
  Net reinsurance finance income / (expenses) on reinsurance held relate to changes in discount rates and is included in Fair value items.
  Commissions and expenses, which are included in Other income / (charges), relate to items that cannot be directly allocated to a specific line of business and restructuring charges.
3.2 Investments
Amounts included in the table below are presented on an IFRS basis, which means that investments in joint ventures and associates are not consolidated on a proportionate basis. Instead, these investments are included on a single line using the equity method of accounting.
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 21   
 

LOGO  
   
   
 
June 30, 2026
     Americas       
United
Kingdom
 
 
     International       
Asset
Management
 
 
    
Holding
and other
activities
 
 
 
       Total  
 Shares      212        -        60        10        -        282  
 Debt securities      51,233        -        1,162        96        -        52,491  
 Unconsolidated investment funds      97,254        -        241        -        -        97,495  
 Loans      9,557        -        3        -        11        9,571  
 Other financial assets      6,937        -        75        283        -        7,294  
 Investments in real estate      35        -        18        -        -        53  
 Total investments on balance sheet
  
 
165,228
 
  
 
-
 
  
 
1,559
 
  
 
389
 
  
 
11
 
  
 
167,187
 
 Off-balance
sheet investments third parties
     218,372        -        8,444        286,659        -        513,475  
Total revenue-generating investments
  
 
383,599
 
  
 
-
 
  
 
10,003
 
  
 
287,048
 
  
 
11
 
  
 
680,662
 
Investments
                 
Financial assets measured at FVOCI
                 
 - Backing insurance contracts without direct part.      42,305        -        1,202        -        -        43,506  
 -
Non-insurance
related assets
     8,955        -        1        79        -        9,034  
Financial assets measured at FVPL
                 
 - Backing direct part. insurance contracts      68,985        -        273        -        -        69,258  
 - Backing insurance contracts without direct part.      6,376        -        43        -        -        6,419  
 -
Non-insurance
related assets
     29,099        -        20        275        -        29,394  
Financial assets measured at amortized cost
     9,474        -        1        36        11        9,522  
 Investments in real estate      35        -        18        -        -        53  
 Total investments on balance sheet
  
 
165,228
 
  
 
-
 
  
 
1,559
 
  
 
389
 
  
 
11
 
  
 
167,187
 
 Investments in joint ventures      -        -        1,140        562        -        1,702  
 Investments in associates      80        -        -        284        2,397        2,761  
 Other assets
1
     25,072        14        4,406        561        10,759        27,830  
 Assets held for sale      -        138,246        -        -        -        138,246  
Consolidated total assets
  
 
190,380
 
  
 
138,260
 
  
 
7,106
 
  
 
1,796
 
  
 
13,168
 
  
 
337,725
 
 
1
 
Other assets total eliminates intercompany transactions of EUR 12,984 million.
 
December 31, 2025
     Americas       
United
Kingdom
 
 
     International       
Asset
Management
 
 
    
Holding
and other
activities
 
 
 
       Total  
 Shares
     211        15,315        60        9        -        15,595  
 Debt securities      48,104        6,871        1,125        102        -        56,202  
 Unconsolidated investment funds      92,292        98,164        215        -        -        190,671  
 Loans      9,753        1,714        3        -        11        11,481  
 Other financial assets      7,900        2,627        67        119        -        10,713  
 Investments in real estate      24        437        19        -        -        479  
 Total investments on balance sheet
  
 
158,284
 
  
 
125,128
 
  
 
1,487
 
  
 
230
 
  
 
11
 
  
 
285,141
 
 Off-balance
sheet investments third parties
     220,501        158,105        4,602        223,228        -        606,437  
Total revenue-generating investments
  
 
378,786
 
  
 
283,233
 
  
 
6,089
 
  
 
223,459
 
  
 
11
 
  
 
891,578
 
Investments
                 
Financial assets measured at FVOCI
                 
 - Backing insurance contracts without direct part.      39,952        -        1,158        -        -        41,109  
 -
Non-insurance
related assets
     8,540        -        7        100        -        8,648  
Financial assets measured at FVPL
                 
 - Backing direct part. insurance contracts      65,746        43,592        243        -        -        109,580  
 - Backing insurance contracts without direct part.      6,811        990        43        -        -        7,845  
 - Backing direct part. investment contracts      -        21,441        -        -        -        21,441  
 -
Non-insurance
related assets
     27,540        58,668        18        94        -        86,320  
Financial assets measured at amortized cost
     9,671        -        1        36        11        9,719  
 Investments in real estate      24        437        19        -        -        479  
 Total investments on balance sheet
  
 
158,284
 
  
 
125,128
 
  
 
1,487
 
  
 
230
 
  
 
11
 
  
 
285,141
 
 Investments in joint ventures      -        -        1,065        502        -        1,566  
 Investments in associates      78        -        -        296        2,264        2,638  
 Other assets
1
     23,859        1,795        4,416        523        10,485        27,888  
Consolidated total assets
  
 
182,221
 
  
 
126,923
 
  
 
6,968
 
  
 
1,551
 
  
 
12,760
 
  
 
317,233
 
 
1
 
Other assets total eliminates intercompany transactions of EUR 13,190 million.
 
 
 22 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

 
Notes to condensed consolidated interim financial statements
Note 4  
   
   
 
3.3 (Re)Insurance contracts and investment contracts with discretionary participation feature (DPF)
 
       Americas     
United
 Kingdom
    International      Eliminations        Total  
June 30, 2026
            
Insurance contracts
            
Direct participation contracts
     70,145        -       274        -       70,419  
Without direct participation contracts
     66,233        -       4,907        (4,218     66,922  
Contracts measured under the PAA
     -        -       50        -       50  
Investment contracts with DPF
            
Without direct participation contracts
     -        -       20        -       20  
           
Insurance contracts and investment contracts with DPF
  
 
136,378
 
  
 
-
 
 
 
5,250
 
  
 
(4,218
 
 
137,410
 
Reinsurance contracts held
     17,298        -       3,967        (4,091     17,173  
December 31, 2025
            
Insurance contracts
            
Direct participation contracts
     67,074        44,188       246        -       111,508  
Without direct participation contracts
     63,355        517       4,918        (4,292     64,497  
Contracts measured under the PAA
     -        -       44        -       44  
Investment contracts with DPF
            
Direct participation contracts
     -        21,269       -        -       21,269  
Without direct participation contracts
     -        -       12        -       12  
           
Insurance contracts and investment contracts with DPF
  
 
130,429
 
  
 
65,974
 
 
 
5,220
 
  
 
(4,292
 
 
197,331
 
Reinsurance contracts held
     17,086        (3     3,981        (4,106     16,958  
4 Insurance service result
 
    
 
    1H 2026
 
        1H 2025 
1
 
Insurance revenue
    
Expected insurance claims and expenses
     3,396       3,698  
Earnings released from CSM
     391       387  
Release of risk adjustment
     118       127  
Recovery of acquisition cash flows
     275       273  
Other
     6       18  
Contracts measured under
Non-PAA
  
 
4,186
 
 
 
4,503
 
Contracts measured under the PAA
     61       56  
Total Insurance revenue
  
 
4,247
 
 
 
4,558
 
Insurance service expenses
    
Incurred claims and expenses
     (3,344     (4,074
Onerous contract losses (and reversals)
     (880     (624
Amortization of acquisition cash flows
     (275     (273
Contracts measured under
Non-PAA
  
 
(4,499
 
 
(4,972
Contracts measured under PAA
     (66     (61
Total Insurance service expenses
  
 
(4,565
 
 
(5,033
Net income / (expenses) on reinsurance held
    
Assumption changes that adjust underlying onerous contracts
     185       14  
Experience adjustments that adjust underlying onerous contracts
     265       259  
CSM recognized for service received
     (18     (3
Release of risk adjustment
     (35     (38
Experience adjustments on current service
     (26     355  
Gain on retrospective reinsurance for incurred claims
     1       1  
Reversals of loss recovery component from onerous underlying contracts
     1       -  
Contracts measured under
Non-PAA
  
 
372
 
 
 
588
 
Contracts measured under PAA
     -       -  
Net income / (expenses) on reinsurance held
  
 
372
 
 
 
588
 
Insurance service result
  
 
54
 
 
 
113
 
 
1
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
The following table shows the revenue recognized on insurance contracts by transition method. Other contracts comprise contracts transitioned under the full retrospective approach and contracts issued after the transition to IFRS 17.
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 23   
 

Table of Contents
LOGO  
   
   
 
Revenue recognized on insurance contracts in-force
  
    1H 2026
        1H 2025 
1
 
Transitioned under the modified retrospective approach
     191       234  
Transitioned under the fair value approach
     3,451       3,814  
Other contracts
     605        510   
Total revenue recognized on insurance contracts
  
 
4,247
 
 
 
4,558
 
 
1
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
5 Total net investment result
 
     
    1H 2026
        1H 2025 
1
 
Insurance net investment result
     313       393  
Other net investment result
     125       163  
Financing net investment result
     (92     (91
Total net investment result
  
 
  346
 
 
 
  465
 
 
1
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
5.1 Insurance net investment result
 
     Insurance contracts    
  1H 2026
 
        Direct part.        Without direct part.       Total 
1
 
Insurance investment return
      
Interest revenue on financial instruments calculated using the effective interest method      -       1,231       1,231  
Interest income from instruments measured at FVPL
     -       105       105  
Other investment income
     -       5       6  
Results from financial transactions
     4,610       708       5,318  
Impairment (losses) / reversals
     -       16       16  
Interest expenses      -       (39     (39
Profit or loss impacts
  
 
4,611
 
 
 
2,027
 
 
 
6,637
 
Unrealized gains / (losses) on financial assets (FVOCI)
     -       (565     (565
Realized gains / (losses) on disposal of financial assets (FVOCI)      -       (5     (5
OCI impacts
  
 
-
 
 
 
(570
 
 
(570
Total insurance investment return
  
 
4,611
 
 
 
1,457
 
 
 
6,067
 
Insurance finance income / (expenses) – General model
      
Interest accreted to insurance contracts
     -       (1,488     (1,488
Interest rate and other financial assumption changes
     -       (207     (208
Revaluation of changes in
non-financial
assumptions and experience adjustments to current interest rates
     -       50       50  
Insurance finance income / (expenses) – Variable fee approach
      
Change in fair value of underlying assets      (5,228     -       (5,228
Change in fulfillment value - risk mitigation option      615       -       615  
Total insurance finance income / (expenses)
  
 
(4,613
 
 
(1,645
 
 
(6,259
Represented by:
      
Amounts recognized in profit or loss
     (4,616     (2,041     (6,657
Amounts recognized in OCI
     3       396       398  
Reinsurance finance income / (expenses) on reinsurance held
      
Interest accreted to reinsurance contracts
     -       339       339  
Interest rate and other financial assumption changes
     -       (134     (134
Revaluation of changes in
non-financial
assumptions and experience adjustments to current interest rates
     -       (35     (35
Changes in risk of
non-performance
of reinsurers
     -       (7     (7
Total reinsurance finance income / (expenses) on reinsurance held
  
 
-
 
 
 
163
 
 
 
163
 
Represented by:
      
Amounts recognized in profit or loss
     -       332       332  
Amounts recognized in OCI
     -       (169     (169
Insurance net investment result
  
 
(2
 
 
(25
 
 
(29
Represented by:
      
Amounts recognized in profit or loss
     (5     318       313  
Amounts recognized in OCI
     3       (343     (341
 
1
 
Investment contracts with DPF - Without direct part. includes EUR (2) million in line Total insurance finance income / (expenses) and Insurance net investment result.
 
 
 24 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

 
Notes to condensed consolidated interim financial statements
Note 6  
   
   
 
     Insurance contracts    
   
1H 2025
 1
 
        Direct part.        Without direct part.       Total  
Insurance investment return
      
Interest revenue on financial instruments calculated using the effective interest method      -       1,364       1,364  
Interest income from instruments measured at FVPL
     -       111       111  
Other investment income
     -       7       7  
Results from financial transactions
     3,705       110       3,814  
Impairment (losses) / reversals
     -       (1     (1
Interest expenses      -       (73     (73
Profit or loss impacts
  
 
3,705
 
 
 
1,517
 
 
 
5,223
 
Gains / (losses) on investments in equity instruments (FVOCI)
     -       (1     (1
Unrealized gains / (losses) on financial assets (FVOCI)
     -       745       745  
Realized gains / (losses) on disposal of financial assets (FVOCI)      -       76       76  
OCI impacts
  
 
-
 
 
 
821
 
 
 
821
 
Total insurance investment return
  
 
3,705
 
 
 
2,338
 
 
 
6,044
 
Insurance finance income / (expenses) – General model
      
Interest accreted to insurance contracts
     -       (1,533     (1,533
Interest rate and other financial assumption changes
     -       (827     (827
Revaluation of changes in
non-financial
assumptions and experience adjustments to current interest rates
     -       150       150  
Insurance finance income / (expenses) – Variable fee approach
      
Change in fair value of underlying assets      (3,637     -       (3,637
Change in fulfillment value - risk mitigation option      318       -       318  
Total insurance finance income / (expenses)
  
 
(3,320
 
 
(2,210
 
 
(5,530
Represented by:
      
Amounts recognized in profit or loss
     (3,324     (1,773     (5,097
Amounts recognized in OCI
     4       (437     (433
Reinsurance finance income / (expenses) on reinsurance held
      
Interest accreted to reinsurance contracts
     -       280       280  
Interest rate and other financial assumption changes
     -       102       102  
Revaluation of changes in
non-financial
assumptions and experience adjustments to current interest rates
     -       (54     (54
Changes in risk of
non-performance
of reinsurers
     -       1       1  
Total reinsurance finance income / (expenses) on reinsurance held
  
 
-
 
 
 
329
 
 
 
329
 
Represented by:
      
Amounts recognized in profit or loss
     -       267       267  
Amounts recognized in OCI
     -       62       62  
Insurance net investment result
  
 
385
 
 
 
457
 
 
 
843
 
Represented by:
      
Amounts recognized in profit or loss
     381       12       393  
Amounts recognized in OCI
     4       446       450  
 
1
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
5.2 Results from financial transactions
 
    
1H 2026
    1H 2025 
1
 
        Insurance     
Non-insurance
      Insurance    
Non-insurance
 
Fair value gains and losses derivatives
     154        (3     79       1  
Fair value changes of financial assets at FVPL
     5,121        2,259       3,760       1,980  
Other
     43        (4     (24     6  
Results from financial transactions
  
 
5,318
 
  
 
2,252
 
 
 
3,814
 
 
 
1,987
 
 
1
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
6 Fees and commission income
 
     
1H 2026
     1H 2025 
1
 
Fee from asset management and insurance distribution
     969        987  
Other fee and commission income
     39        43  
Fee and commission income
  
 
     1,008
 
  
 
     1,030
 
 
1
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 25   
 

Table of Contents
LOGO  
   
   
 
7 Other operating expenses
Other operating expenses reflect the expenses related to the
non-insurance
business. The table below also includes the insurance related expenses which are presented as insurance service expenses in the income statement.
 
    
1H 2026
    1H 2025 
1
 
        Insurance    
Non-Insurance
      Insurance    
Non-Insurance
 
Policyholder claims and benefits
     (2,769     -       (3,450     -  
Onerous contract losses (and reversals)
     (878     -       (626     -  
Commissions
     (814     (444     (737     (470
Handling and clearing fees
     -       (8     -       (13
Right-of-use
assets – interest expense
     -       (1     -       (1
Employee expenses
     (283     (459     (219     (522
Administration expenses
     (188     (283     (263     (217
Deferred transaction expenses
     -       17       -       20  
Amortization of deferred expenses
     -       (11     -       (10
Amortization of other intangibles
     -       (8     -       (8
Total
  
 
(4,932
 
 
(1,197
 
 
(5,296
 
 
(1,220
Amounts attributed to acquisition cash flows
     654       -       547       -  
Amortization of acquisition cash flows
     (275     -       (273     -  
Amortization of acquisition cash flows PAA
     (12     -       (11     -  
Total other operating expenses
  
 
(4,565
 
 
(1,197
 
 
(5,033)
 
 
 
(1,220)
 
 
1
 
1H 2025 figures are restated as Aegon UK is classified as discontinued operations.
8 Income tax
The income tax for 1H 2026 includes recurring
non-taxable
income such as the dividend received deduction in the United States and income on the stake of a.s.r. and tax credits in the United States from investments that provide affordable housing to individuals and families that meet median household income requirement. These beneficial tax impacts are offset by valuation allowance for tax losses.
9 Investments 
 
     Insurance contracts      Investment contracts
with DPF
    
Non-Insurance
related
    
Total
 
June 30, 2026
    Direct part.      Without direct
part.
     Direct part.                  
FVOCI – with recycling
     -        43,497        -        9,033        52,531  
FVOCI – no recycling
     -        9        -        1        10  
Amortized cost
     -        7,170        -        2,352        9,522  
FVPL – designated
     69,258        641        -        28,287        98,187  
FVPL – mandatory
     -        5,778        -        1,107        6,884  
Total financial assets (excl. derivatives)
  
 
69,258
 
  
 
57,095
 
  
 
-
 
  
 
40,781
 
  
 
167,134
 
Investments in real estate
     -        53        -        -        53  
Total investments
  
 
69,258
 
  
 
57,148
 
  
 
-
 
  
 
40,781
 
  
 
167,187
 
December 31, 2025
                                            
FVOCI – with recycling      -        41,100        -        8,647        49,747  
FVOCI – no recycling
     -        9        -        1        10  
Amortized cost
     -        7,443        -        2,276        9,719  
FVPL – designated
     109,580        1,637        21,441        85,222        217,880  
FVPL – mandatory
     -        6,207        -        1,098        7,306  
Total financial assets (excl. derivatives)
  
 
109,580
 
  
 
56,397
 
  
 
21,441
 
  
 
97,244
 
  
 
284,662
 
Investments in real estate      217        42        132        87        479  
Total investments
  
 
109,798
 
  
 
56,439
 
  
 
21,573
 
  
 
97,331
 
  
 
285,141
 
Following the announcement of the agreement with Standard Life Plc., Aegon UK was classified as held for sale which led to a material decrease in Aegon’s investments as of June 30, 2026. Please refer to note
19 Discontinued operations
.
 
 
 26 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Notes to condensed consolidated interim financial statements
Note 10 
   
   
 
Financial assets, excluding derivatives, by measurement category 
 
Investments - Aegon risk
June 30, 2026
  
FVOCI
(recycling)
    
FVOCI
(no recycling)
    
Amortized
cost
    
FVPL
(designated)
    
FVPL
(mandatory)
    
Total
     Fair value  
Shares
     -        10        -        -        247        257        257  
Debt securities
     50,293        -        36        554        1,604        52,486        52,486  
Money market and other short-term investments
     2,209        -        -        21        1,068        3,299        3,299  
Deposits with financial institutions
     -        -        11        -        -        11        11  
Loans
     -        -        9,475        84        -        9,558        8,694  
Other
     29        -        -        1        3,966        3,996        3,996  
Total
  
 
52,531
 
  
 
10
 
  
 
9,522
 
  
 
659
 
  
 
6,884
 
  
 
69,606
 
  
 
68,742
 
December 31, 2025
                                                              
Shares
     -        10        -        -        263        273        273  
Debt securities
     47,411        -        36        1,123        1,315        49,884        49,884  
Money market and other short-term investments
     2,308        -        -        146        1,722        4,176        4,176  
Deposits with financial institutions
     -        -        11        -        -        11        11  
Loans
     -        -        9,672        82        -        9,754        8,985  
Other
     28        -        -        716        4,005        4,749        4,749  
Total
  
 
     49,747
 
  
 
         10
 
  
 
      9,719
 
  
 
      2,066
 
  
 
     7,306
 
  
 
     68,848
 
  
 
     68,078
 
 
Investments - Policyholder risk
  
   June 30, 2026
      December 31, 2025  
Shares
     25        15,321  
Debt securities
     6        6,318  
Money market and other short-term investments
     -        1,788  
Unconsolidated investment funds
     97,495        190,671  
Deposits with financial institutions
     2        1,716  
Total
  
 
97,527
 
  
 
215,814
 
10 Fair value
The following tables provide an analysis of financial instruments recorded at fair value on a recurring basis by level of the fair value hierarchy.
 
     Fair value hierarchy  
June 30, 2026
   Level I      Level II      Level III      Total  
Shares
     5        -        5        10  
Debt securities
     4,350        45,248        695        50,293  
Money market and other short-term investments
     1,812        396        1        2,209  
Other investments at fair value
     -        29        -        29  
         
Total financial assets measured at FVOCI
  
 
6,167
 
  
 
45,673
 
  
 
701
 
  
 
52,541
 
Shares
     185        13        49        247  
Debt securities
     12        2,019        127        2,158  
Money market and other short-term investments
     1,089        -              -        1,089  
Loans
           -              -        84             84  
Other investments at fair value
     21        2        3,944        3,967  
Derivatives
     60        621        -        681  
Investments - Policyholder risk
     76,213        21,218        96        97,527  
Total financial assets measured at FVPL
  
 
77,579
 
  
 
23,873
 
  
 
4,299
 
  
 
105,752
 
Total financial assets measured at fair value
  
 
83,746
 
  
 
69,546
 
  
 
5,000
 
  
 
158,293
 
Investment contracts without DPF - Policyholder risk
     -        28,269        -        28,269  
Derivatives
     8        1,262        -        1,269  
Total financial liabilities measured at fair value
  
 
8
 
  
 
29,531
 
  
 
-
 
  
 
29,538
 
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 27   
 

LOGO  
   
   
 
     Fair value hierarchy  
December 31, 2025    Level I      Level II      Level III      Total  
Shares
     5        -        5        10  
Debt securities
     4,165        42,717        528        47,411  
Money market and other short-term investments
     2,102        207        -        2,308  
Other investments at fair value
     -        27        1        28  
         
Total financial assets measured at FVOCI
  
 
6,272
 
  
 
   42,951
 
  
 
533
 
  
 
   49,757
 
Shares
     179        30        54        263  
Debt securities
     253        2,075        110        2,438  
Money market and other short-term investments
     1,708        160        -        1,868  
Loans
     -        -        82        82  
Other investments at fair value
     18        716            3,987        4,721  
Derivatives
     14        464        8        485  
Investments - Policyholder risk
        89,715        125,710        389        215,814  
         
Total financial assets measured at FVPL
  
 
91,886
 
  
 
129,156
 
  
 
4,630
 
  
 
225,671
 
Total financial assets measured at fair value
  
 
98,158
 
  
 
172,107
 
  
 
5,163
 
  
 
275,428
 
Investment contracts without DPF - Policyholder risk
     -        85,161        -        85,161  
Derivatives
     50        1,419        -        1,469  
Total financial liabilities measured at fair value
  
 
50
 
  
 
86,580
 
  
 
-
 
  
 
86,630
 
There have been no changes in fair value valuation methods compared to Annual Report 2025.
Significant transfers between Level I, Level II, and Level III
There were significant transfers between Level II and Level III during 1H 2026. Several ABS investments in the Americas were reported in Level II as they were being priced using the trade price. As of June 30, 2026, these debt securities are priced using uncorroborated broker pricing so moved to Level III. Aegon’s policy is to record transfers of assets and liabilities between Level I, Level II and Level III at their fair values from the beginning of each reporting period.
Movements in Level III financial instruments measured at fair value
The following table summarizes the change of all assets and liabilities measured at estimated fair value on a recurring basis using significant unobservable inputs (Level III), including realized and unrealized gains (losses) of all assets and liabilities and unrealized gains (losses) of all assets and liabilities still held at the end of the respective period.
 
    
On January
1, 2026
   
Total gains /
(losses) in
income
statement 
1
   
Total gains /
(losses) in
OCI 
2
   
 Purch-
ases
   
Sales
   
Settle-
ments
   
Net ex-
change
difference
   
Trans-
fers
from
levels
I and II
   
Transfers to
levels
I and II
   
Transfers
to disposal
groups
   
On
June 30,
2026
   
Total URGL
for the
period 
3
 
Shares
    5       -       -       -       -       -       -       -       -       -       5       -  
Debt securities
    528       4       5       78       (46     (51     17       162       (3     -       695       -  
Money markets and other short-term investments     -       -       -       1       -       -       -       -       -       -       1       -  
Other investments at fair value     1       -       -       -       -       -       -       -       -       -       -       -  
Total FVOCI
 
 
533
 
 
 
4
 
 
 
5
 
 
 
79
 
 
 
(46
 
 
(51
 
 
17
 
 
 
162
 
 
 
(3
 
 
-
 
 
 
701
 
 
 
-
 
Shares
    54       (2     -       4       (10     -       1       1       -       -       49       (2
Debt securities
    110       1       -       13       (22     (3     3       24       -       -       127       (1
Loans
    82       (1     -       1       -       -       2       -       -       -       84       (1
Other investments
    3,987       (156     -       147       (141     -       107       -       -       -       3,944       (90
Derivatives
    8       2       -       -       -       -       -       -       -       (10     -       -  
Investments -
                       
Policyholder risk     389       4       -       14       (10     -       4       -       -       (307     96       -  
Total FVPL
 
 
4,630
 
 
 
(151
 
 
-
 
 
 
178
 
 
 
(183
 
 
(3
 
 
118
 
 
 
25
 
 
 
-
 
 
 
(316
 
 
4,299
 
 
 
(94
Total financial assets
 
 
5,163
 
 
 
(147
 
 
5
 
 
 
257
 
 
 
(229
 
 
(53
 
 
136
 
 
 
188
 
 
 
(3
 
 
(316
 
 
5,000
 
 
 
(94
 
     
On
  January 1,
2025
    
Disposal of
a business
   
Total gains /
(losses) in
income
statement 
1
   
Total gains /
(losses) in
OCI 
2
   
Purch-
ases
     Sales    
Settle-
ments
   
Net ex-
change
differ-
ence
   
Trans-
fers
from
levels
I and II
    
Trans-
fers
to
levels
I and II
   
On
December
31, 2025
    
Total
URGL for
the
period 
3
 
Shares      4        -       -       -       -        -       -       -       -        -       5        -  
Debt securities      799        -       7       5       124        (82     (86     (84     71        (226     528        -  
Other      -        -       -       (1     1        -       -       -       -        -       1        -  
Total FVOCI
  
 
803
 
  
 
-
 
 
 
7
 
 
 
5
 
 
 
125
 
  
 
(83
 
 
(86
 
 
(84
 
 
71
 
  
 
(226
 
 
533
 
  
 
-
 
Shares      86        -       7       -       17        (46     -       (9     -        -       54        7  
Debt securities      107        -       -       -       2        (1     (5     (13     23        (2     110        -  
Loans      82        -       4       -       12        (5     -       (10     -        -       82        3  
Other investments      4,457        -       (9     -       463        (400     -       (525     -        -       3,987        16  
Derivatives      9        -       -       -       -        (1     -       -       -        -       8        (1
Investments - Policyholder risk      312        (14     (36     -       320        (38     -       (28     -        (127     389        1  
Total FVPL
  
 
5,053
 
  
 
(14
 
 
(35
 
 
-
 
 
 
815
 
  
 
(491
 
 
(5
 
 
(585
 
 
23
 
  
 
(129
 
 
4,630
 
  
 
26
 
Total financial assets
  
 
5,856
 
  
 
(14
 
 
(28
 
 
5
 
 
 
940
 
  
 
(573
 
 
(90
 
 
(670
 
 
93
 
  
 
(355
 
 
5,163
 
  
 
26
 
 
1
 
Includes impairments and movements related to fair value hedges. Gains and losses are recorded in the line item Results from financial transactions of the income statement.
2
 
Total gains and losses are recorded in line items Unrealized gains / (losses) on financial assets measured at FVOCI and Realized gains / (losses) on disposal of financial assets measured at FVOCI of the statement of comprehensive income.
3
 
Total unrealized gains / (losses) for the period recorded in the P&L during which the financial instrument was in Level III.
 
 
 28 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Notes to condensed consolidated interim financial statements
Note 11 
   
   
 
Fair value information about assets and liabilities not measured at fair value
The following table presents the carrying values and estimated fair values of assets and liabilities, excluding assets and liabilities that are carried at fair value on a recurring basis.
 
    
On June 30, 2026 
     On December 31, 2025   
          Carrying
amount
      Total estimated 
fair value 
         Carrying
amount
     Total estimated 
fair value 
 
Assets
           
Debt securities - held at amortized cost
     36        36        36        36  
Loans - held at amortized cost
     9,475        8,611        9,672        8,902  
Deposits with financial institutions - held at amortized cost
     11        11        11        11  
Liabilities
           
Subordinated borrowings - held at amortized cost
     1,503        1,317        1,461        1,312  
Trust pass-through securities - held at amortized cost
     102        119        99        118  
Borrowings - held at amortized cost
     2,230        2,295        1,982        2,059  
Investment contracts - held at amortized cost
     13,570        10,152        12,652        9,473  
Financial instruments for which carrying value approximates fair value
Certain financial instruments that are not carried at fair value are carried at amounts that approximate fair value, due to their short-term nature and generally negligible credit risk. These instruments include cash and cash equivalents, short-term receivables and accrued interest receivable, short-term liabilities, and accrued liabilities. These instruments are not included in the table above.
11 Shareholders’ equity and other equity instruments 
Issued share capital attributable to shareholders of Aegon Ltd. 
11.1 Share capital 
 
     
    June 30, 2026
      December 31, 2025  
Share capital - par value
     229        229  
Share premium
     6,853        6,853  
Total share capital
  
 
7,082
 
  
 
7,082
 
Share capital - par value
                 
Balance on January 1
  
 
229
 
  
 
241
 
Shares withdrawn
     -        (12
Closing balance
  
 
229
 
  
 
229
 
No shares were withdrawn or cancelled in the 1H 2026. In December 2025, 79,677,562 common shares were cancelled, and 17,557,160 common shares B were cancelled.
11.2 Treasury shares
On the reporting date, Aegon Ltd. held 96,422,384 (2025: 68,791,547) of its own treasury common shares and 7,945,440 (2025: 7,945,440) own treasury common shares B with a par value of EUR 0.12 each.
2026
On June 30, 2026, Aegon completed its share buyback program which began on January 12, 2026, returning EUR 227 million to shareholders. Between January 12, 2026, and June 30, 2026, a total of 33,909,553 common shares were repurchased at an average price of EUR 6.6786 per share. Vereniging Aegon participated in this buyback for EUR 37 million. Aegon will use 4,033,295 common shares, equal to a share buyback amount of EUR 27 million, to meet its obligations resulting from share-based compensation plans for senior management and cancel the remainder of the repurchased shares in the second half of 2026.
2025
On December 15, 2025, Aegon completed its share buyback program, which initially began on July 1, 2025, as a EUR 200 million initiative and was later expanded, on August 25, 2025, by an additional EUR 200 million, bringing the total to EUR 400 million. Between July 1, 2025, and December 15, 2025, 61,197,437 common shares were repurchased at an average price of EUR 6.4772 per share. Vereniging Aegon participated in this program for EUR 71 million.
 
 
    Interim fi
nan
cial information
for
the six-
mo
nth period ended Ju
ne
30, 2026 - Unaudited | 29 
 
 

Table of Contents
LOGO  
   
   
 
On June 30, 2025, Aegon completed its share buyback program, as announced on November 15, 2024, returning EUR 150 million to shareholders. Between January 13, 2025, and June 30, 2025, a total of 25,200,170 common shares were repurchased at an average price of EUR 5.9641 per share. The EUR 150 million share buyback program included approximately EUR 40 million to meet Aegon’s obligations arising from share-based compensation plans for senior management. Vereniging Aegon participated in this buyback for EUR 20 million.
In 2025, in total 6,862,976 common shares were sold at an average price of EUR 5.7516 per share, in connection with Aegon’s obligations resulting from the share-based compensation plans for senior management.
In December 2025, 79,677,562 common shares were cancelled at an average price of EUR 5.8066, and 17,557,160 common shares B were repurchased and cancelled at an average price of EUR 0.16.
11.3 Earnings per share
Basic earnings per share is calculated by dividing the net result attributable to owners, after the deduction of coupons on perpetual securities, by the weighted average number of common shares, excluding common shares purchased by the Company and held as treasury shares.
 
Continuing and discontinued operations
  
     1H 2026
         1H 2025  
Net result attributable to owners of Aegon Ltd.
     614       584  
Coupons on perpetual securities
     (37     (19
Net result attributable to owners for basic earnings per share calculation
  
 
577
 
 
 
565
 
Net result attributable to common shareholders
     574       562  
Net result attributable to common shareholders B
     3       3  
Weighted average number of common shares outstanding (in millions)
     1,489       1,573  
Weighted average number of common shares B outstanding (in millions)
     328       345  
Basic earnings per common share (EUR per share)
     0.39       0.36  
Basic earnings per common share B (EUR per share)
     0.01       0.01  
The diluted earnings per share equaled the basic earnings per share for all years disclosed, as there were no long-term incentive plans that were considered dilutive.
Earnings per share from discontinued operations is presented in note
19 Discontinued operations
.
11.4 Dividend per share
Aegon declared final and interim dividends on common share and common share B for the year 2025 and 1H 2026, respectively. The dividend per share on common share are presented in the following table. The interim and final dividends on common share B, based on its financial rights, are 1/40th of a common share. Aegon distributes dividends in cash.
 
    
EUR per common share
Year    Interim    Final             Total 
2026
   0.21 
1
   n.a.    n.a.
2025
   0.19    0.21
2
   0.40
 
1
 
Proposed.
2
 
Approved by AGM on June 10, 2026.
 
 
 30 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Notes to condensed consolidated interim financial statements
Note 12 
   
   
 
11.5 Revaluation reserves 
 
     
 Investments
FVOCI
   
 Real estate
held for own
use
   
 Cash flow
hedging
reserve
   
 Insurance
contracts
   
Investment
contracts
with DPF
   
 Reinsurance
contracts
held
      Total  
On January 1, 2026
  
 
(2,434
 
 
8
 
 
 
469
 
 
 
1,821
 
 
 
-
 
 
 
(2,384
 
 
(2,519
Gross revaluation
     (683     -       65       399       (1     (169     (388
Net (gains) / losses transferred to income statement      (13     -       (42     -       -       -       (55
Movements in foreign currency translation and net foreign investment hedging reserves      (80     -       13       56       -       (69     (79
Tax effect
     113       -       (5     (86     -       36       59  
On June 30, 2026
  
 
(3,097
 
 
8
 
 
 
501
 
 
 
2,191
 
 
 
(1
 
 
(2,586
 
 
(2,984
On January 1, 2025
  
 
(4,426
 
 
9
 
 
 
724
 
 
 
2,795
 
 
 
-
 
 
 
(2,808
 
 
(3,706
Gross revaluation
     1,605       1       (97     (833     -       119       795  
Net (gains) / losses transferred to income statement      342       -       (127     -       -       -       215  
Movements in foreign currency translation and net foreign investment hedging reserves      464       (1     (79     (297     -       326       413  
Tax effect
     (419     -       49       174       -       (22     (218
Disposal of group assets
     -       (1     -       -       -       -       (1
Other
     -       -       -       (17     -       -       (17
On December 31, 2025
  
 
(2,434
 
 
8
 
 
 
469
 
 
 
1,821
 
 
 
-
 
 
 
(2,384
 
 
(2,519
In 1H 2026, the movements in foreign currency translation were mainly driven by the strengthening of the USD exchange rate against the EURO.
The revaluation accounts for both investments measured at FVOCI and for real estate held for own use include unrealized gains and losses on these investments, net of tax. Upon sale, the amounts realized are recognized in the income statement (for FVOCI investments with recycling) or transferred to retained earnings (for real estate held for own use). The revaluation reserve also includes the loss allowance recognized for financial assets measured at FVOCI. In 1H 2026, the movement is mainly driven by the increase in interest rates.
The closing balances of the revaluation reserve for investments measured at FVOCI relate to the following instruments:
 
     
   June 30, 2026
    December 31, 2025  
Shares
     3       3  
Debt securities
     (3,094     (2,431
Money market and other short-term investments
     (6     (6
Revaluation reserve for investments measured at FVOCI
  
 
(3,097
 
 
(2,434
11.6 Other equity instruments
During 1H 2026, Aegon completed tender offers for five series of subordinated notes, which resulted in the reduction of outstanding Junior perpetual capital securities by EUR 217 million and Perpetual cumulative subordinated bonds by EUR 157 million. As of June 30, 2026, their combined balance amounted to EUR 1,003 million (December 31, 2025: EUR 1,377 million).
12 (Re)Insurance contracts and investment contracts with discretionary participation features
12.1 Contracts by measurement model
Below table presents the assets and liabilities balances of insurance contracts and reinsurance contracts held, by measurement model. This includes contracts measured under Premium allocation approach (PAA) and contracts measured under the General model and Variable fee approach (i.e.
Non-PAA).
 
    
June 30, 2026 
     December 31, 2025  
By measurement model
    Non-PAA         PAA         Total        Non-PAA         PAA      Total  
Insurance contract assets
     16        -        16        18        -        18  
Insurance contract liabilities
     137,357        50        137,407        176,024        44        176,067  
Insurance contracts net balance
  
 
137,341
 
  
 
50
 
  
 
137,391
 
  
 
176,006
 
  
 
44
 
  
 
176,049
 
Reinsurance contract assets
     17,365        9        17,374        17,146        8        17,153  
Reinsurance contract liabilities
     201        -        201        195        -        195  
Reinsurance contracts net balance
  
 
17,164
 
  
 
9
 
  
 
17,173
 
  
 
16,950
 
  
 
8
 
  
 
16,958
 
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 31   
 

Table of Contents
LOGO  
   
   
 
All groups of investment contracts with discretionary participation features (DPF) were measured under
Non-PAA
and were in a liability position at the reporting date and comparative period.
12.2 Movements in carrying amounts on (re)insurance contracts and investment contracts with DPF
The following tables presents the reconciliation of the net carrying amounts of insurance contracts, reinsurance contracts held and investment contracts with DPF.
12.2.1 Movement schedules by type of liability (or asset)
  For insurance contracts and investment contracts with DPF - Liability for remaining coverage excluding loss component (LFRC), Loss component (LC) and Liability for incurred claims (LFIC)
  For reinsurance contracts held - Asset for remaining coverage excluding loss recovery component (AFRC), Loss recovery component (LRC) and Asset for incurred claims (AFIC).
 
$                 $                 $                 $                 $                 $                 $                 $                
                         
1H 2026
                        
FY 2025
 
Insurance contracts
(Non-PAA)
- by type
  
LFRC
   
LC
   
LFIC
   
Total
   
LFRC
   
LC
   
LFIC
   
Total
 
Opening assets
  
 
59
 
 
 
(27
 
 
(14
 
 
18
 
 
 
1,886
 
 
 
(1,373
 
 
(387
 
 
125
 
Opening liabilities
  
141,597
   
2,829
   
31,597
   
176,024
   
159,857
   
1,252
   
27,209
   
188,318
 
Net opening balance
  
 
141,539
 
 
 
2,856
 
 
 
31,611
 
 
 
176,006
 
 
 
157,971
 
 
 
2,625
 
 
 
27,596
 
 
 
188,193
 
Insurance revenue
  
 
(4,265
 
 
-
 
 
 
-
 
 
 
(4,265
 
 
(8,906
 
 
-
 
 
 
-
 
 
 
(8,906
Incurred claims and expenses
  
 
-
 
 
 
(222
 
 
3,592
 
 
 
3,370
 
 
 
-
 
 
 
(378
 
 
7,967
 
 
 
7,589
 
Amortization of acquisition cash flows
  
 
276
 
 
 
-
 
 
 
-
 
 
 
276
 
 
 
538
 
 
 
-
 
 
 
-
 
 
 
538
 
Onerous contract losses (and reversals)
  
 
-
 
 
 
888
 
 
 
-
 
 
 
888
 
 
 
-
 
 
 
1,139
 
 
 
-
 
 
 
1,139
 
Adjustments for incurred claims
  
-
   
-
   
-
   
-
   
-
   
-
   
1
   
1
 
Insurance service expenses
  
 
276
 
 
 
666
 
 
 
3,593
 
 
 
4,535
 
 
 
538
 
 
 
762
 
 
 
7,967
 
 
 
9,267
 
Investment components
  
 
(2,106
 
 
-
 
 
 
2,106
 
 
 
-
 
 
 
(5,809
 
 
-
 
 
 
5,809
 
 
 
-
 
Insurance service result
  
 
(6,095
 
 
666
 
 
 
5,699
 
 
 
270
 
 
 
(14,177
 
 
762
 
 
 
13,776
 
 
 
361
 
Insurance finance (income) / expenses
  
 
5,285
 
 
 
49
 
 
 
-
 
 
 
5,334
 
 
 
18,005
 
 
 
138
 
 
 
-
 
 
 
18,143
 
Cash flows
  
 
(2,985
 
 
(206
 
 
(2,047
 
 
(5,238
 
 
(4,721
 
 
(353
 
 
(6,252
 
 
(11,326
Disposal of a business
  
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
(7
 
 
-
 
 
 
-
 
 
 
(7
Transfers to disposal groups
  
 
(42,936
 
 
(11
 
 
(29
 
 
(42,977
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
Transfer (to)/from other headings
  
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
(10
 
 
10
 
 
 
-
 
 
 
-
 
Net exchange differences
  
 
2,902
 
 
 
90
 
 
 
954
 
 
 
3,946
 
 
 
(15,522
 
 
(326
 
 
(3,510
 
 
(19,358
Net closing balance
  
 
97,710
 
 
 
3,445
 
 
 
36,187
 
 
 
137,341
 
 
 
141,539
 
 
 
2,856
 
 
 
31,611
 
 
 
176,006
 
Closing assets
  
 
62
 
 
 
(29
 
 
(17
 
 
16
 
 
 
59
 
 
 
(27
 
 
(14
 
 
18
 
Closing liabilities
  
 
97,772
 
 
 
3,416
 
 
 
36,170
 
 
 
137,357
 
 
 
141,597
 
 
 
2,829
 
 
 
31,597
 
 
 
176,024
 
                
                         
1H 2026
                        
FY 2025
 
Reinsurance contracts
(Non-PAA)
- by type
  
AFRC
   
LRC
   
AFIC
   
Total
   
AFRC
   
LRC
   
AFIC
   
Total
 
Opening assets
  
 
15,749
 
 
 
1,693
 
 
 
(296
 
 
17,146
 
 
 
15,965
 
 
 
475
 
 
 
(426
 
 
16,015
 
Opening liabilities
  
 
191
 
 
 
2
 
 
 
2
 
 
 
195
 
 
 
2,011
 
 
 
(1,270
 
 
(439
 
 
303
 
Net opening balance
  
 
15,558
 
 
 
1,690
 
 
 
(298
 
 
16,950
 
 
 
13,954
 
 
 
1,745
 
 
 
13
 
 
 
15,712
 
Net expenses from reinsurance contracts
  
 
(48
 
 
450
 
 
 
(29
 
 
372
 
 
 
308
 
 
 
254
 
 
 
275
 
 
 
837
 
Other reinsurance finance income / (expenses)
  
 
137
 
 
 
31
 
 
 
-
 
 
 
168
 
 
 
613
 
 
 
69
 
 
 
-
 
 
 
681
 
Effect of reinsurer default risk changes
  
 
(7
 
 
-
 
 
 
-
 
 
 
(7
 
 
2
 
 
 
-
 
 
 
-
 
 
 
2
 
Total changes in the profit or loss and OCI
  
 
82
 
 
 
481
 
 
 
(29
 
 
534
 
 
 
922
 
 
 
322
 
 
 
275
 
 
 
1,520
 
Cash flows
  
 
(654
 
 
(104
 
 
(29
 
 
(788
 
 
2,443
 
 
 
(166
 
 
(597
 
 
1,680
 
Transfers to disposal groups
  
 
4
 
 
 
-
 
 
 
-
 
 
 
4
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
Net exchange differences
  
 
418
 
 
 
55
 
 
 
(10
 
 
464
 
 
 
(1,761
 
 
(211
 
 
10
 
 
 
(1,961
Net closing balance
  
 
15,408
 
 
 
2,122
 
 
 
(366
 
 
17,164
 
 
 
15,558
 
 
 
1,690
 
 
 
(298
 
 
16,950
 
Closing assets
  
 
15,603
 
 
 
2,125
 
 
 
(363
 
 
17,365
 
 
 
15,749
 
 
 
1,693
 
 
 
(296
 
 
17,146
 
Closing liabilities
  
 
195
 
 
 
2
 
 
 
4
 
 
 
201
 
 
 
191
 
 
 
2
 
 
 
2
 
 
 
195
 
 
 
 32 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Notes to condensed consolidated interim financial statements
 Note 12 
   
   
 
$                 $                 $                 $                 $                 $                 $                 $                
                         
1H 2026
                         
FY 2025
 
Investment contracts with DPF - by type
  
LFRC
   
LC
   
LFIC
   
Total
   
LFRC
   
LC
    
LFIC
   
Total
 
Opening assets
  
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
  
 
-
 
 
 
-
 
Opening liabilities
  
21,278
   
2
   
1
   
21,281
   
22,332
   
-
    
-
   
22,332
 
Net opening balance
  
 
21,278
 
 
 
2
 
 
 
1
 
 
 
21,281
 
 
 
22,332
 
 
 
-
 
  
 
-
 
 
 
22,332
 
Insurance revenue
  
 
(19
 
 
-
 
 
 
-
 
 
 
(19
 
 
(77
 
 
-
 
  
 
-
 
 
 
(77
Incurred claims and expenses
  
 
-
 
 
 
-
 
 
 
7
 
 
 
6
 
 
 
-
 
 
 
-
 
  
 
30
 
 
 
30
 
Onerous contract losses (and reversals)
  
 
-
 
 
 
(1
 
 
-
 
 
 
(1
 
 
-
 
 
 
2
 
  
 
-
 
 
 
2
 
Insurance service expenses
  
 
-
 
 
 
(1
 
 
7
 
 
 
6
 
 
 
-
 
 
 
2
 
  
 
30
 
 
 
32
 
Investment components
  
 
(838
 
 
-
 
 
 
838
 
 
 
-
 
 
 
(3,109
 
 
-
 
  
 
3,109
 
 
 
-
 
Insurance service result
  
 
(857
 
 
(1
 
 
844
 
 
 
(13
 
 
(3,186
 
 
2
 
  
 
3,139
 
 
 
(45
Insurance finance (income) / expenses
  
 
(440
 
 
-
 
 
 
-
 
 
 
(440
 
 
2,916
 
 
 
-
 
  
 
-
 
 
 
2,916
 
Cash flows
  
 
99
 
 
 
-
 
 
 
(845
 
 
(746
 
 
394
 
 
 
-
 
  
 
(3,138
 
 
(2,744
Transfers to disposal groups
  
 
(20,194
 
 
(1
 
 
-
 
 
 
(20,196
 
 
-
 
 
 
-
 
  
 
-
 
 
 
-
 
Net exchange differences
  
 
133
 
 
 
-
 
 
 
-
 
 
 
133
 
 
 
(1,177
 
 
-
 
  
 
-
 
 
 
(1,177
Net closing balance
  
 
20
 
 
 
-
 
 
 
-
 
 
 
20
 
 
 
21,278
 
 
 
2
 
  
 
1
 
 
 
21,281
 
Closing assets
  
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
  
 
-
 
 
 
-
 
Closing liabilities
  
 
20
 
 
 
-
 
 
 
-
 
 
 
20
 
 
 
21,278
 
 
 
2
 
  
 
1
 
 
 
21,281
 
12.2.2 Movement schedules by measurement component
Measurement components comprise Best estimate liability (BEL), Risk adjustment (RA), and Contractual service margin (CSM).
 
$                 $                 $                 $                 $                 $                 $                 $                
                         
1H 2026
                        
FY 2025
 
Insurance contracts
(Non-PAA)
- by component
  
BEL
   
RA
   
CSM
   
Total
   
BEL
   
RA
   
CSM
   
Total
 
Opening assets
  
 
100
 
 
 
(35
 
 
(47
 
 
18
 
 
 
452
 
 
 
(323
 
 
(5
 
 
125
 
Opening liabilities
  
164,531
   
3,134
   
8,359
   
176,024
   
176,063
   
3,295
   
8,959
   
188,318
 
Net opening balance
  
 
164,430
 
 
 
3,169
 
 
 
8,406
 
 
 
176,006
 
 
 
175,611
 
 
 
3,618
 
 
 
8,964
 
 
 
188,193
 
Changes in estimates that adjust CSM
  
 
(27
 
 
(70
 
 
96
 
 
 
-
 
 
 
(371
 
 
(78
 
 
449
 
 
 
-
 
Changes in estimates that adjust onerous contracts
  
 
717
 
 
 
143
 
 
 
-
 
 
 
859
 
 
 
1,069
 
 
 
29
 
 
 
-
 
 
 
1,098
 
New contracts issued –
non-onerous
  
 
(468
 
 
79
 
 
 
390
 
 
 
-
 
 
 
(788
 
 
118
 
 
 
669
 
 
 
-
 
New contracts issued – onerous
  
 
19
 
 
 
10
 
 
 
-
 
 
 
29
 
 
 
25
 
 
 
17
 
 
 
-
 
 
 
42
 
Changes that relate to future service
  
 
241
 
 
 
162
 
 
 
486
 
 
 
888
 
 
 
(65
 
 
86
 
 
 
1,118
 
 
 
1,139
 
Earnings released from CSM
  
 
-
 
 
 
-
 
 
 
(431
 
 
(431
 
 
-
 
 
 
-
 
 
 
(930
 
 
(930
Release of risk adjustment
  
 
-
 
 
 
(132
 
 
-
 
 
 
(132
 
 
-
 
 
 
(278
 
 
-
 
 
 
(278
Experience adjustments on current service
  
 
(58
 
 
-
 
 
 
-
 
 
 
(58
 
 
439
 
 
 
-
 
 
 
-
 
 
 
439
 
Revenue from policyholder tax expenses incurred
  
 
3
 
 
 
-
 
 
 
-
 
 
 
3
 
 
 
(11
 
 
-
 
 
 
-
 
 
 
(11
Changes that relate to current service
  
 
(55
 
 
(132
 
 
(431
 
 
(618
 
 
428
 
 
 
(278
 
 
(930
 
 
(780
Experience adjustments on incurred claims
  
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
1
 
 
 
-
 
 
 
-
 
 
 
1
 
Changes that relate to past service
  
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
1
 
 
 
-
 
 
 
-
 
 
 
1
 
Insurance service result
  
 
186
 
 
 
30
 
 
 
54
 
 
 
270
 
 
 
364
 
 
 
(191
 
 
189
 
 
 
361
 
General model
                
Interest accreted to insurance contracts
  
 
1,301
 
 
 
62
 
 
 
130
 
 
 
1,493
 
 
 
2,654
 
 
 
141
 
 
 
226
 
 
 
3,021
 
Interest rate and other financial assumption changes
  
 
196
 
 
 
1
 
 
 
-
 
 
 
198
 
 
 
1,775
 
 
 
(4
 
 
-
 
 
 
1,771
 
Revaluation of changes in
non-financial
assumptions and experience adjustments to current interest rates
  
 
(45
 
 
(4
 
 
-
 
 
 
(49
 
 
(138
 
 
10
 
 
 
-
 
 
 
(128
Variable fee approach
                
Change in fair value of the underlying assets
  
 
4,309
 
 
 
-
 
 
 
-
 
 
 
4,309
 
 
 
14,316
 
 
 
-
 
 
 
-
 
 
 
14,316
 
Change in fulfilment value - risk mitigation option
  
 
(616
 
 
-
 
 
 
-
 
 
 
(616
 
 
(836
 
 
-
 
 
 
-
 
 
 
(836
Insurance finance (income) / expenses
  
 
5,145
 
 
 
59
 
 
 
130
 
 
 
5,334
 
 
 
17,770
 
 
 
148
 
 
 
226
 
 
 
18,143
 
Premiums received
  
 
6,651
 
 
 
-
 
 
 
-
 
 
 
6,651
 
 
 
14,405
 
 
 
-
 
 
 
-
 
 
 
14,405
 
Claims, benefits and expenses paid
  
 
(11,240
 
 
-
 
 
 
-
 
 
 
(11,240
 
 
(24,576
 
 
-
 
 
 
-
 
 
 
(24,576
Acquisition costs paid
  
 
(638
 
 
-
 
 
 
-
 
 
 
(638
 
 
(1,126
 
 
-
 
 
 
-
 
 
 
(1,126
Other
  
 
(11
 
 
-
 
 
 
-
 
 
 
(11
 
 
(30
 
 
-
 
 
 
-
 
 
 
(30
Cash flows
  
 
(5,238
 
 
-
 
 
 
-
 
 
 
(5,238
 
 
(11,326
 
 
-
 
 
 
-
 
 
 
(11,326
Disposal of a business
  
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
(7
 
 
-
 
 
 
-
 
 
 
(7
Transfers to disposal groups
  
 
(41,515
 
 
(218
 
 
(1,244
 
 
(42,977
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
Other movements
  
 
(41,515
 
 
(218
 
 
(1,244
 
 
(42,977
 
 
(7
 
 
-
 
 
 
-
 
 
 
(7
Net exchange differences
  
 
3,651
 
 
 
85
 
 
 
210
 
 
 
3,946
 
 
 
(17,981
 
 
(405
 
 
(972
 
 
(19,358
Net closing balance
  
 
126,659
 
 
 
3,126
 
 
 
7,556
 
 
 
137,341
 
 
 
164,430
 
 
 
3,169
 
 
 
8,406
 
 
 
176,006
 
Closing assets
  
 
104
 
 
 
(38
 
 
(49
 
 
16
 
 
 
100
 
 
 
(35
 
 
(47
 
 
18
 
Closing liabilities
  
 
126,764
 
 
 
3,087
 
 
 
7,507
 
 
 
137,357
 
 
 
164,531
 
 
 
3,134
 
 
 
8,359
 
 
 
176,024
 
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 33   
 

Table of Contents
LOGO  
   
   
 
$                 $                 $                 $                 $                 $                 $                 $                
                        
1H 2026
                        
FY 2025
 
Reinsurance contracts
(Non-PAA)
- by component
 
BEL
   
RA
   
CSM
   
Total
   
BEL
   
RA
   
CSM
   
Total
 
Opening assets
 
 
15,816
 
 
 
691
 
 
 
639
 
 
 
17,146
 
 
 
15,374
 
 
 
433
 
 
 
208
 
 
 
16,015
 
Opening liabilities
 
 
172
 
 
 
(30
 
 
54
 
 
 
195
 
 
 
693
 
 
 
(361
 
 
(29
 
 
303
 
Net opening balance
 
 
15,644
 
 
 
721
 
 
 
585
 
 
 
16,950
 
 
 
14,681
 
 
 
794
 
 
 
237
 
 
 
15,712
 
Changes in estimates that adjust CSM
 
 
(53
 
 
13
 
 
 
41
 
 
 
-
 
 
 
(234
 
 
(20
 
 
254
 
 
 
-
 
Changes in estimates that adjust underlying onerous contracts
 
 
476
 
 
 
(13
 
 
(12
 
 
450
 
 
 
591
 
 
 
9
 
 
 
18
 
 
 
618
 
New reinsurance contracts recognized
 
 
(11
 
 
3
 
 
 
9
 
 
 
1
 
 
 
(200
 
 
60
 
 
 
141
 
 
 
1
 
Reversals of loss recovery component
 
 
-
 
 
 
-
 
 
 
1
 
 
 
1
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
Changes that relate to future service
 
 
411
 
 
 
2
 
 
 
37
 
 
 
451
 
 
 
157
 
 
 
50
 
 
 
413
 
 
 
620
 
CSM recognized for service received
 
 
-
 
 
 
-
 
 
 
(18
 
 
(18
 
 
-
 
 
 
-
 
 
 
(11
 
 
(11
Release of risk adjustment
 
 
-
 
 
 
(35
 
 
-
 
 
 
(35
 
 
-
 
 
 
(72
 
 
-
 
 
 
(72
Experience adjustment on current service
 
 
(26
 
 
-
 
 
 
-
 
 
 
(26
 
 
300
 
 
 
-
 
 
 
-
 
 
 
300
 
Changes that relate to current service
 
 
(26
 
 
(35
 
 
(18
 
 
(79
 
 
300
 
 
 
(72
 
 
(11
 
 
217
 
Net income/ (expenses) on reinsurance held
 
 
386
 
 
 
(32
 
 
19
 
 
 
372
 
 
 
457
 
 
 
(22
 
 
402
 
 
 
837
 
Reinsurance finance income / (expenses)
 
 
144
 
 
 
18
 
 
 
-
 
 
 
162
 
 
 
652
 
 
 
43
 
 
 
(12
 
 
683
 
Premiums paid (net of commission)
 
 
628
 
 
 
-
 
 
 
-
 
 
 
628
 
 
 
4,950
 
 
 
-
 
 
 
-
 
 
 
4,950
 
Amounts received
 
 
(1,415
 
 
-
 
 
 
-
 
 
 
(1,415
 
 
(3,270
 
 
-
 
 
 
-
 
 
 
(3,270
Other
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
(1
 
 
-
 
 
 
-
 
 
 
(1
Cash flows
 
 
(788
 
 
-
 
 
 
-
 
 
 
(788
 
 
1,680
 
 
 
-
 
 
 
-
 
 
 
1,680
 
Transfers to disposal groups
 
 
6
 
 
 
-
 
 
 
(2
 
 
4
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
Net exchange difference
 
 
427
 
 
 
20
 
 
 
17
 
 
 
464
 
 
 
(1,826
 
 
(94
 
 
(42
 
 
(1,961
Net closing balance
 
 
15,819
 
 
 
726
 
 
 
619
 
 
 
17,164
 
 
 
15,644
 
 
 
721
 
 
 
585
 
 
 
16,950
 
Closing assets
 
 
15,998
 
 
 
685
 
 
 
682
 
 
 
17,365
 
 
 
15,816
 
 
 
691
 
 
 
639
 
 
 
17,146
 
Closing liabilities
 
 
179
 
 
 
(41
 
 
62
 
 
 
201
 
 
 
172
 
 
 
(30
 
 
54
 
 
 
195
 
 
$                 $                 $                 $                 $                 $                 $                 $                
                        
1H 2026
                        
FY 2025
 
Investment contracts with DPF - by component
 
BEL
   
RA
   
CSM
   
Total
   
BEL
   
RA
   
CSM
   
Total
 
Opening assets
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
Opening liabilities
 
20,940
   
97
   
245
   
21,281
   
21,987
   
112
   
233
   
22,332
 
Net opening balance
 
 
20,940
 
 
 
97
 
 
 
245
 
 
 
21,281
 
 
 
21,987
 
 
 
112
 
 
 
233
 
 
 
22,332
 
Changes in estimates that adjust CSM
 
 
24
 
 
 
(4
 
 
(20
 
 
-
 
 
 
(66
 
 
5
 
 
 
61
 
 
 
-
 
Changes in estimates that adjust onerous contracts
 
 
(1
 
 
-
 
 
 
-
 
 
 
(1
 
 
2
 
 
 
-
 
 
 
-
 
 
 
2
 
New contracts issued –
non-onerous
 
 
(2
 
 
-
 
 
 
1
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
Changes that relate to future service
 
 
22
 
 
 
(4
 
 
(19
 
 
(1
 
 
(64
 
 
5
 
 
 
61
 
 
 
2
 
Earnings released from CSM
 
 
-
 
 
 
-
 
 
 
(9
 
 
(9
 
 
-
 
 
 
-
 
 
 
(37
 
 
(37
Release of risk adjustment
 
 
-
 
 
 
(4
 
 
-
 
 
 
(4
 
 
-
 
 
 
(14
 
 
-
 
 
 
(14
Experience adjustments on current service
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
4
 
 
 
-
 
 
 
-
 
 
 
4
 
Changes that relate to current service
 
 
-
 
 
 
(4
 
 
(9
 
 
(13
 
 
4
 
 
 
(14
 
 
(37
 
 
(47
Insurance service result
 
 
22
 
 
 
(7
 
 
(28
 
 
(13
 
 
(60
 
 
(10
 
 
25
 
 
 
(45
General model
               
Changes in interest rates and other financial assumptions
 
 
1
 
 
 
-
 
 
 
-
 
 
 
1
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
Variable fee approach
               
Change in fair value of the underlying assets
 
 
(441
 
 
-
 
 
 
-
 
 
 
(441
 
 
2,916
 
 
 
-
 
 
 
-
 
 
 
2,916
 
Insurance finance (income) / expenses
 
 
(440
 
 
-
 
 
 
-
 
 
 
(440
 
 
2,916
 
 
 
-
 
 
 
-
 
 
 
2,916
 
Premiums received
 
 
106
 
 
 
-
 
 
 
-
 
 
 
106
 
 
 
413
 
 
 
-
 
 
 
-
 
 
 
413
 
Claims, benefits and expenses paid
 
 
(848
 
 
-
 
 
 
-
 
 
 
(848
 
 
(3,157
 
 
-
 
 
 
-
 
 
 
(3,157
Acquisition costs paid
 
 
(2
 
 
-
 
 
 
-
 
 
 
(2
 
 
(2
 
 
-
 
 
 
-
 
 
 
(2
Other
 
 
(1
 
 
-
 
 
 
-
 
 
 
(1
 
 
1
 
 
 
-
 
 
 
-
 
 
 
1
 
Cash flows
 
 
(746
 
 
-
 
 
 
-
 
 
 
(746
 
 
(2,744
 
 
-
 
 
 
-
 
 
 
(2,744
Transfers to disposal groups
 
 
(19,891
 
 
(90
 
 
(214
 
 
(20,196
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
Net exchange differences
 
 
131
 
 
 
1
 
 
 
2
 
 
 
133
 
 
 
(1,159
 
 
(6
 
 
(13
 
 
(1,177
Net closing balance
 
 
15
 
 
 
-
 
 
 
4
 
 
 
20
 
 
 
20,940
 
 
 
97
 
 
 
245
 
 
 
21,281
 
Closing assets
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
Closing liabilities
 
 
15
 
 
 
-
 
 
 
4
 
 
 
20
 
 
 
20,940
 
 
 
97
 
 
 
245
 
 
 
21,281
 
 
 
 34 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Notes to condensed consolidated interim financial statements
 Note 12 
   
   
 
12.2.3 Movement schedules of contractual service margin by transition method
The table below presents the reconciliation of the contractual service margin recognized for contracts in force as of the transition date. The transition methods applied to these contracts include the Modified retrospective approach (MRA), Fair value approach (FVA) and Other applicable method.
 
   
     Insurance contracts     Reinsurance contracts held     Investment contracts with DPF  
   
      MRA     FVA     Other     Total     MRA      FVA     Other     Total     MRA      FVA     Other      Total  
   
On January 1, 2026
  
 
879
 
 
 
4,192
 
 
 
3,335
 
 
 
8,406
 
 
 
-
 
  
 
245
 
 
 
340
 
 
 
585
 
 
 
-
 
  
 
244
 
 
 
-
 
  
 
245
 
   
Changes in estimates that adjust CSM
     (167     355       (92     96       -        -       40       41       -        (23     2        (20
   
Changes in estimates that adjust onerous contracts      -       -       -       -       -        (9     (3     (12     -        -       -        -  
   
New contracts recognized
     -       -       390       390       -        -       9       9       -        -       1        1  
   
Earnings released from CSM
     (49     (234     (148     (431     -        (1     (17     (18     -        (9     -        (9
   
Insurance finance (income) / expenses
     1       72       57       130       -        (7     7       -       -        -       -        -  
   
Net exchange differences
     20       114       76       210       -        6       10       17       -        2       -        2  
   
Transfers to disposal groups
     -       (275     (969     (1,244     -        (2     -       (2     -        (214     -        (214
   
On June 30, 2026
  
 
684
 
 
 
4,223
 
 
 
2,649
 
 
 
7,556
 
 
 
-
 
  
 
232
 
 
 
387
 
 
 
619
 
 
 
-
 
  
 
-
 
 
 
4
 
  
 
4
 
On January 1, 2025
  
 
1,457
 
 
 
4,494
 
 
 
3,013
 
 
 
8,964
 
 
 
-
 
  
 
28
 
 
 
208
 
 
 
237
 
 
 
-
 
  
 
233
 
 
 
-
 
  
 
233
 
Changes in estimates that adjust CSM
     (296     563       181       449       -        224       30       254       -        61       -        61  
Changes in estimates that adjust onerous contracts      -       -       -       -       -        18       -       18       -        -       -        -  
New contracts recognized
     -       -       669       669       -        -       141       141       -        -       -        -  
Earnings released from CSM
     (130     (483     (317     (930     -        9       (20     (11     -        (37     -        (37
Insurance finance (income) / expenses
     3       129       93       226       -        (23     11       (12     -        -       -        -  
   
Net exchange differences
     (156     (511     (305     (972     -        (11     (30     (42     -        (13     -        (13
On December 31, 2025
  
 
879
 
 
 
4,192
 
 
 
3,335
 
 
 
8,406
 
 
 
-
 
  
 
245
 
 
 
340
 
 
 
585
 
 
 
-
 
  
 
244
 
 
 
-
 
  
 
245
 
12.3 Critical judgments and estimates
Compared to the insurance contracts related critical judgements and estimates (valuation methods, actuarial assumptions) applied in the Annual Report 2025, material changes were processed in 1H 2026 related to risk-free yield curves, illiquidity premium curves and changes in methods and inputs used to measure fulfilment cash flows.
12.3.1 Risk-free yield curve
Aegon has identified various rates available in the EUR, GBP and USD markets that can be used as a basis for the risk-free yield curve, including EURIBOR swap rates for EUR, reformed Sterling Overnight Index Average (SONIA) for GBP, and Secured Overnight Funding Rates (SOFR) and US Treasury rates for USD. EURIBOR rates are adjusted for credit risk by subtracting a credit risk allowance. No adjustment is made to overnight swap rates and US Treasury rates, as the credit risk of these instruments is deemed negligible.
A full risk-free yield curve is derived by first interpolating between tenors for which market data are available, and then extrapolating the yield curve beyond market-observable maturities. Discount rates converge to an ultimate forward rate (linear grading over a
10-year
period is assumed for the USD and EUR). A uniform last liquid point for EUR and USD is set at 30 years, while GBP is set at 50 years. The ultimate forward rates reflect a long-term view on nominal interest rates and are set by management for each currency, taking into account expected real interest rates and long-term inflation, together with the current market environment. The current ultimate forward rate assumption is 3.40% (December 31, 2025: 3.40%).
Aegon reviews the risk-free last liquid point and ultimate forward rates at least annually which, although expected to be infrequent, may lead to assumption updates if there are significant changes in market conditions.
 
    
June 30, 2026
     December 31, 2025  
Risk-free yield curves (%)
  
1
year
    
5
years
    
10
years
    
15
years
    
20
years
    
30
years
     1
year
     5
years
     10
years
     15
years
     20
years
     30
years
 
GBP
     3.99        4.07        4.38        4.68        4.86        4.90        3.54        3.67        4.04        4.36        4.54        4.59  
USD
     4.07        4.25        4.53        4.98        5.22        5.00        3.48        3.77        4.28        4.84        5.16        5.00  
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 35   
 

LOGO  
   
   
 
Illiquidity premium (ILP)
Aegon updates the reference portfolio quarterly, and
the
ILP last liquid point and ILP ultimate forward rate are revised accordingly. The ILP curves of Aegon’s significant portfolios are presented below. These ILP curves are added to the risk-free yields of the currency in which the cash flows of the products are denominated.
 
         
June 30, 2026
     December 31, 2025  
ILP per portfolio (%)
    Country     1
 year
     5
years
     10
years
     15
years
     20
years
     30
years
     1
 year
     5
years
     10
years
     15
years
     20
years
     30
years
 
Fixed Deferred Annuity
   US      0.90        0.98        1.07        1.16        1.16        1.17        0.92        0.99        1.06        1.15        1.16        1.16  
Indexed Universal Life
   US      1.08        1.12        1.15        1.20        1.20        1.21        1.01        1.07        1.13        1.19        1.19        1.20  
Long-Term Care
   US      0.83        0.84        0.85        1.06        1.15        1.32        0.82        0.83        0.84        1.06        1.14        1.31  
Traditional Life
   US      0.93        0.95        0.97        1.13        1.19        1.31        0.91        0.94        0.96        1.11        1.17        1.28  
Universal Life
   US      0.85        0.87        0.90        1.12        1.17        1.29        0.85        0.88        0.91        1.07        1.13        1.27  
Variable Annuities
   US      0.55        0.63        0.64        0.64        0.62        0.65        0.36        0.51        0.64        0.64        0.63        0.65  
Annuities
   UK      0.90        0.90        0.90        0.90        0.90        0.89        0.76        0.76        0.76        0.76        0.76        0.72  
Individual Protection
   UK      0.43        0.43        0.43        0.43        0.43        0.42        0.45        0.45        0.45        0.45        0.45        0.44  
12.3.2 Changes in methods and inputs used to measure fulfillment cash flows
During 1H 2026, Aegon conducted its annual review of assumptions and model updates for the Americas and TLB.
Non-financial
assumption changes resulted in an unfavorable impact of EUR 304 
million, mainly reflecting the more efficient use of withdrawals and surrenders of Variable Annuities policyholders together with addressing other policyholder behavior experience variances which resulted in higher-than-expected premium persistency in older Universal Life policies, higher- than-expected usage of accelerated living benefits and adverse lapse experience on Traditional Life policies. Further, mortality assumptions updates resulting in lower mortality improvement mainly for onerous, older Life policies also had an adverse impact.
However, these were partly offset by mortality assumption updates to lower future mortality in younger life insurance policies together with favorable mortality updates in annuities and from improved spread and profitability assumptions on the IUL product. 
Of the total impact, EUR 333 million was recognized in the income statement and EUR 42 million was recognized in the OCI and, EUR 71 million increased the CSM.
12.4 Risk mitigation
Aegon has chosen to apply the risk mitigation option and recognize changes in the fulfillment value of products with direct participation in the profit or loss and OCI, rather than adjusting the CSM. The adjustment to the CSM that would otherwise have been made in 1H 2026 is EUR 615 million (1H 2025: EUR 318 million).
13 Investment contracts without discretionary participation features
 
     
  June 30, 2026
     December 31, 2025  
Investment contracts without DPF - Aegon risk
     13,570        12,652  
Investment contracts without DPF - Policyholder risk
     28,269        85,161  
Total investment contracts without DPF
  
 
41,839
 
  
 
97,814
 
 
     Aegon risk     Policyholder risk  
Movement schedule
  
  1H 2026
      FY 2025    
  1H 2026
      FY 2025  
Opening balance
  
 
12,652
 
 
 
12,592
 
 
 
85,161
 
 
 
79,078
 
Deposits
     816       1,798       4,875       15,135  
Withdrawals
     (840     (1,653     (4,279     (12,788
Interest credited
     180       354       1,033       11,004  
Fund charges released
     (30     (15     (154     (384
Net exchange differences
     362       (1,535     1,121       (6,241
Transfer to / from other headings
     461       1,113       (453     (647
Transfers to disposal groups
     (31     -       (59,035     -  
Other movements
     (2     (2     -       4  
Closing balance
  
 
13,570
 
 
 
12,652
 
 
 
28,269
 
 
 
85,161
 
 
 
 36 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Notes to condensed consolidated interim financial statements
Note 14  
   
   
 
14 Borrowings
 
    
 
  June 30, 2026
 
     December 31, 2025  
Capital funding
     1,849        1,396  
Operational funding
     382        586  
Total borrowings
  
 
2,230
 
  
 
1,982
 
Capital funding increased by EUR 453 million mainly due to issuance of USD 500 million senior unsecured notes with a fixed coupon of 5.625% and a tenor of ten years. The notes were issued by Aegon Funding Company LLC and guaranteed on a senior unsecured basis by Aegon Ltd. The maturity date is May 7, 2036.
In 2026, the operational funding decreased mainly due to the
paydown
of
Federal
Home Loan Bank (FHLB) borrowings. This borrowing program is part of Aegon’s asset–liability management strategy.
15 Financial risks
There have been no material changes in financial risks as reported in Annual Report 2025, except for the economic variable assumptions and ECL information.
15.1 Economic variable assumptions
The most significant
period-end
assumptions used for the ECL estimate are set out below. The scenarios “base”, “upside” and “downside” were used for all portfolios.
 
June 30, 2026
     Scenarios        2027        2028        2029        2030      Units
Interest rates
     Base       4.36       4.42       4.48       4.47      Interest Rates:
10-Year
Treasury Constant Maturities, (% p.a., NSA
1
)
Interest rates
     Upside       4.44       4.42       4.47       4.47      Interest Rates:
10-Year
Treasury Constant Maturities, (% p.a., NSA
1
)
Interest rates
     Downside       3.50       4.00       4.27       4.40      Interest Rates:
10-Year
Treasury Constant Maturities, (% p.a., NSA
1
)
Unemployment rate
     Base       4.66       4.55       4.50       4.57      (%, SA)
Unemployment rate
     Upside       3.78       3.96       3.86       4.02      (%, SA)
Unemployment rate
     Downside       8.40       6.99       5.87       5.04      (%, SA)
House Price Index
     Base       428.56       443.35       458.07       473.14      Existing Single-Family Home Price: Median, (Ths. USD, SA)
House Price Index
     Upside       460.16       476.97       498.41       517.39      Existing Single-Family Home Price: Median, (Ths. USD, SA)
House Price Index
     Downside       366.03       390.94       408.61       421.48      Existing Single-Family Home Price: Median, (Ths. USD, SA)
Domestic GDP
     Base       25,024.30       25,583.91       26,262.97       26,971.68      Bil. Ch. 2012 USD, SAAR
2
Domestic GDP
     Upside       25,406.74       26,029.13       26,745.05       27,453.89      Bil. Ch. 2012 USD, SAAR
2
Domestic GDP
     Downside       23,846.24       24,371.64       25,277.17       26,086.79      Bil. Ch. 2012 USD, SAAR
2
Equity
     Base       6,961.56       7,398.77       8,012.41       8,622.30      Standard & Poor’s (S&P); Moody’s Analytics Forecasted
Equity
     Upside       7,413.18       7,927.83       8,354.24       8,935.02      Standard & Poor’s (S&P); Moody’s Analytics Forecasted
Equity
     Downside       4,985.49       5,672.73       6,935.66       7,861.56      Standard & Poor’s (S&P); Moody’s Analytics Forecasted
 
December 31, 2025
     Scenarios        2026        2027        2028        2029      Units
Interest rates
     Base       4.29       4.32       4.33       4.30      Interest Rates:
10-Year
Treasury Constant Maturities, (% p.a., NSA
1
)
Interest rates
     Upside       4.39       4.41       4.33       4.30      Interest Rates:
10-Year
Treasury Constant Maturities, (% p.a., NSA
1
)
Interest rates
     Downside       3.05       3.76       4.02       4.16      Interest Rates:
10-Year
Treasury Constant Maturities, (% p.a., NSA
1
)
Unemployment rate
     Base       4.78       4.59       4.29       4.05      (%, SA)
Unemployment rate
     Upside       3.83       3.94       3.66       3.47      (%, SA)
Unemployment rate
     Downside       8.34       7.60       6.16       4.94      (%, SA)
House Price Index
     Base       429.08       438.87       455.20       471.22      Existing Single-Family Home Price: Median, (Ths. USD, SA)
House Price Index
     Upside       450.23       472.07       494.28       513.52      Existing Single-Family Home Price: Median, (Ths. USD, SA)
House Price Index
     Downside       362.72       383.66       404.10       420.99      Existing Single-Family Home Price: Median, (Ths. USD, SA)
Domestic GDP
     Base       24,484.94       24,932.78       25,485.10       26,129.71      Bil. Ch. 2012 USD, SAAR
2
Domestic GDP
     Upside       24,887.20       25,401.41       26,012.56       26,724.26      Bil. Ch. 2012 USD, SAAR
2
Domestic GDP
     Downside       23,372.80       23,689.06       24,425.29       25,270.54      Bil. Ch. 2012 USD, SAAR
2
Equity
     Base       6,363.30       6,460.73       6,953.76       7,485.28      Standard & Poor’s (S&P); Moody’s Analytics Forecasted
Equity
     Upside       6,831.53       6,904.30       7,343.79       7,756.76      Standard & Poor’s (S&P); Moody’s Analytics Forecasted
Equity
     Downside       4,423.87       4,764.13       5,780.16       6,786.08      Standard & Poor’s (S&P); Moody’s Analytics Forecasted
 
1
 
NSA: Not seasonally adjusted.
2
 
SAAR: Seasonally adjusted annual rate.
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 37   
 

LOGO  
   
   
 
The weightings assigned to each economic scenario
were
as follows:
 
Weightings
     Base          Upside          Downside  
On June 30, 2026
     40        30        30  
On December 31, 2025
     40        30        30  
Other forward-looking considerations not otherwise incorporated within the above scenarios, such as the impact of any regulatory, legislative, or political changes, have also been considered, but are not deemed to have a material impact, and therefore, no adjustment has been made to the ECL for such factors. This process is reviewed and monitored for appropriateness on a quarterly basis.
15.2 Information about amounts arising from ECL
Aegon regularly monitors industry sectors and individual debt securities for factors influencing the ECL allowance. These include credit risk-driven stage transfers, recognition or derecognition of financial instruments, and updates to model inputs such as probability of default (PD), exposure at default (EAD), and loss given default (LGD). Changes in models or assumptions, time-based discount unwinds, foreign exchange effects, and asset write-offs also impact ECL. For asset-backed securities, Aegon assesses cash flow trends and collateral levels. Investment portfolio ratings are based on a composite of S&P, Moody’s, Fitch, and internal assessments. The following tables detail changes in the loss allowance over the reporting period.
 
     Gross amount               ECL          
Debt securities
     Stage 1       Stage 2       Stage 3    
 
Total
 
    Stage 1       Stage 2       Stage 3    
1H 2026
    
(12-month

ECL)
 
 
    (Lifetime
ECL)
 
 
    (Lifetime
ECL) ¹
 
 
 
 
gross
amount
 
 
   
(12-month

ECL)
 
 
    (Lifetime
ECL)
 
 
    (Lifetime
ECL) ¹
 
 
 
 
Total ECL
 
Opening balance
  
 
46,782
 
 
 
358
 
 
 
306
 
 
 
47,446
 
 
 
(188
 
 
(27
 
 
(131
 
 
(347
Acquisition
     5,100       4       3    
 
5,107
 
    (18     (1     (1  
 
(19
Disposal
     (2,842     (43     (44  
 
(2,928
    10       1       29    
 
40
 
ECL transfer from stage 1 to stage 2
     (194     194       -    
 
-
 
    1       (1     -    
 
-
 
ECL transfer from stage 2 to stage 1
     12       (12     -    
 
-
 
    (1     1       -    
 
-
 
ECL transfer from stage 2 to stage 3
     -       (5     5    
 
-
 
    -       6       (6  
 
-
 
ECL transfer from stage 3 to stage 2
     -       14       (14  
 
-
 
    -       (7     7    
 
-
 
ECL transfer from stage 3 to stage 1
     13       -       (13  
 
-
 
    (2     -       2    
 
-
 
Impact on
year-end
ECL
     -       -       -    
 
-
 
    3       (5     (2  
 
(4
Amortizations through income statement
     70       1       20    
 
91
 
    -       -       -    
 
-
 
Unrealized gains/losses through equity
     (659     (3     3    
 
(659
    -       -       -    
 
-
 
Movements related to fair value hedges
     (1     -       -    
 
(1
    -       -       -    
 
-
 
Change in models
     -       -       -    
 
-
 
    45       (3     4    
 
46
 
Other movements
     (1     -       -    
 
(1
    -       -       -    
 
-
 
Transfer to/from other headings
     (60     -       -    
 
(60
    -       -       -    
 
-
 
Net exchange differences
     1,312       13       8    
 
1,332
 
    (4     (1     (3  
 
(8
Closing balance
  
 
49,532
 
 
 
522
 
 
 
274
 
 
 
50,328
 
 
 
(154
 
 
(38
 
 
(100
 
 
(292
 
1
 
Including purchased credit impaired.
 
 
 38 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

 
Notes to condensed consolidated interim financial statements
Note 16  
   
   
 
     Gross amount               ECL          
Debt securities
     Stage 1       Stage 2       Stage 3    
 
Total
 
    Stage 1       Stage 2       Stage 3    
FY 2025
    
(12-month

ECL)
 
 
    (Lifetime
ECL)
 
 
    (Lifetime
ECL) ¹
 
 
 
 
gross
amount
 
 
   
(12-month

ECL)
 
 
    (Lifetime
ECL)
 
 
    (Lifetime
ECL) ¹
 
 
 
 
Total ECL
 
Opening balance
  
 
51,529
 
 
 
335
 
 
 
383
 
 
 
52,247
 
 
 
(187
 
 
(41
 
 
(112
 
 
(341
Acquisition
     8,632       4       27    
 
8,663
 
    (29     -       (14  
 
(43
Disposal
     (8,729     (146     (88  
 
(8,963
    30       15       28    
 
73
 
ECL transfer from stage 1 to stage 2
     (269     269       -    
 
-
 
    2       (2     -    
 
-
 
ECL transfer from stage 1 to stage 3
     (12     -       12    
 
-
 
    -       -       -    
 
-
 
ECL transfer from stage 2 to stage 1
     24       (24     -    
 
-
 
    (1     1       -    
 
-
 
ECL transfer from stage 2 to stage 3
     -       (36     36    
 
-
 
    -       4       (4  
 
-
 
ECL transfer from stage 3 to stage 2
     -       1       (1  
 
-
 
    -       (1     1    
 
-
 
ECL transfer from stage 3 to stage 1
     12       -       (12  
 
-
 
    (9     -       9    
 
-
 
Impact on
year-end
ECL
     -       -       -    
 
-
 
    9       (10     (51  
 
(52
Amortizations through income statement
     115       1       46    
 
162
 
    -       -       -    
 
-
 
Unrealized gains/losses through equity
     1,528       18       (58  
 
1,488
 
    -       -       -    
 
-
 
Change in models
     -       -       -    
 
-
 
    (26     3       (1  
 
(24
Other movements
     7       (23     14    
 
(2
    -       -       -    
 
-
 
Transfer to/from other headings
     (21     -       (7  
 
(28
    -       -       -    
 
-
 
Net exchange differences
     (6,035     (42     (44  
 
(6,120
    23       5       14    
 
42
 
Closing balance
  
 
46,782
 
 
 
358
 
 
 
306
 
 
 
47,446
 
 
 
(188
 
 
(27
 
 
(131
 
 
(347
 
1
Including purchased credit impaired.
The total amount of undiscounted ECL on June 30, 2026, for purchased or originated credit-
impaired
financial assets recognized during the period was EUR 1 million (December 31, 2025: EUR 1 million).
16 Capital management and solvency
Aegon’s group solvency ratio and surplus under the Bermuda solvency framework is broadly in line with that under the Solvency II framework during a transition period. The method to translate Transamerica’s capital position into the group solvency position is also similar to the methodology previously applied under Solvency II. Aegon’s UK insurance subsidiaries have been included in the Aegon’s Solvency calculation in accordance with UK Solvency II standards, including Aegon UK’s approved Partial Internal Model.
Aegon agreed to adopt the Bermuda solvency framework after the transition period. Aegon announced on May 16, 2025 that it will apply an aggregation approach to calculate its group solvency under the Bermuda solvency framework after the transition period. Implementation of Group regulatory reporting under the Bermuda solvency framework has been accelerated from 2027 to 2026, with the Group solvency ratio expected to remain broadly in line with current levels and no impact on Aegon’s capital management framework.
Aegon’s debt structure and funding decisions remain driven by economic considerations, while also taking into account market circumstances, regulatory requirements, and rating agency considerations.
The Group solvency ratio is calculated as the ratio between the Eligible Own Funds and the Solvency Capital Requirement (SCR). The Eligible Own Funds equal to the Available Own Funds after applying any Own Funds eligibility restrictions.
 
    
 
June 30, 2026 
1
 
    December 31, 2025  
Group Eligible Own Funds
            11,378              11,901  
Group SCR
     6,715       6,464  
Group Solvency ratio
2
  
 
169%
 
    184%  
 
1
 
The solvency ratios are estimates and are not final until filed with the respective supervisory authority
2
 
Including our share of a.s.r. Excess of Assets over Liabilities (minus own shares and minus minority interests) and SCR in our Group Solvency numbers.
The Group Solvency ratio decreased with 15%-points. This decrease is mainly driven by the Perpetual Capital Subordinated Bonds (restricted Tier 1) losing eligibility per January 1, 2026, because the
10-year
period of grandfathering of these instruments ended after December 31, 2025; the debt tender offer; the foreseeable interim 2026 dividend; the Share buyback announced for 2H 2026; and negative impact from markets and assumption updates; partly offset by the impact from operating capital generation.
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 39   
 

Table of Contents
LOGO  
   
   
 
Liquidity
During the first half year of 2026, the Revolving Credit Facility (RCF) of USD 1,375 billion has been extended from 2030 to 2031.
17 Commitments and contingencies
The information given in this section is limited to the material changes that have taken place on the proceedings in which Aegon is involved as listed in note 39.5 Commitments and contingencies of the Annual Report 2025, and any new material proceedings that have commenced after the Annual Report 2025 was published.
In August 2026, the court granted preliminary settlement approval in a putative class action alleging that a US based Aegon subsidiary improperly failed to pay bonuses to policy owners on a certain block of universal life policies. The settlement remains subject to final court approval. The matter is fully provisioned.
In March 2026, the court granted preliminary settlement a
pp
roval in litigation regarding several US based Aegon subsidiaries over increases in monthly deduction rates (MDR) on universal life products. The fully provisioned settlement amount has been paid to the class administrator, and the related provision has been released. The settlement remains subject to final court approval.
No new material proceedings have been initiated since the publication of the Annual Report 2025.
18 Companies and businesses acquired and divested
There were no significant acquisitions or divestments in 1H 2026.
19 Discontinued operations
On April 15, 2026, Aegon announced it has reached an agreement on the sale of Aegon UK plc (’’Aegon UK”), containing Aegon’s UK insurance and pensions operations, to Standard Life Plc (’’Standard Life”), a publicly traded company on the London stock exchange. In connection with such sale, Aegon will receive GBP 750 million in gross cash proceeds and a 15.3% shareholding in Standard Life ordinary shares, with associated governance rights. Any remittances taken out of Aegon UK between the signing and closing of the transaction will be deducted from the GBP 750 million cash amount. The transaction is expected to close around the end of 2026, subject to customary conditions, including regulatory approvals.
Aegon’s asset management activities in the UK will remain part of Aegon’s global asset manager and will be an important asset management partner for the new combined business.
This note presents the disclosures related to Aegon UK, which is reported as United Kingdom segment in note
3 Segment information
, qualified as held for sale and discontinued operations as from the date of the agreement of the sale. In addition, the impact of this transaction on Aegon’s risk profile and capital position can be referred to note
15 Financial risks
and note
16 Capital management and solvency
. Risk free yield curves in GBP and illiquidity premiums for Aegon UK’s significant portfolios can be referred to note
12.3
Critical judgements and estimates
.
 
 
 40 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Notes to condensed consolidated interim financial statements
Note 19  
   
   
 
19.1 Condensed income statement
 
 Amounts in EUR millions (except per share data)
  
     1H 2026
         1H 2025  
Discontinued operations
    
Insurance revenue
     212       211  
Insurance service expenses
     (78     (86
Insurance service result
  
 
134
 
 
 
125
 
Interest revenue on financial instruments calculated using the effective interest method
     13       14  
Interest income from instruments measured at FVPL
     117       173  
Other investment income
     732       820  
Results from financial transactions
     4,224       1,011  
Insurance finance income / (expenses)
     (5,136     (2,024
Net reinsurance finance income / (expenses) on reinsurance held
     (2     (1
Insurance net investment result
  
 
(52
 
 
(7
Interest revenue on financial instruments calculated using the effective interest method
     17       19  
Interest income from instruments measured at FVPL
     31       58  
Other investment income
     560       600  
Results from financial transactions
     5,029       366  
Investment contract income / (expenses)
     (5,633     (1,028
Interest expenses
     -       1  
Other net investment result
  
 
4
 
 
 
15
 
Total net investment result
  
 
(48
 
 
8
 
Fees and commission income
     167       149  
Other operating expenses
     (187     (179
Other income / (charges)
     4       5  
Other result
  
 
(17
 
 
(26
Result before tax from discontinued operations
  
 
69
 
 
 
107
 
Income tax (expense) / benefit
     (17     (22
Result after tax from discontinued operations
  
 
52
 
 
 
86
 
Impairment loss on remeasurement of the disposal group
     -       -  
Net result from discontinued operations
1
  
 
52
 
 
 
86
 
Earnings per share from discontinued operations
    
Basic earnings per common share
     0.03       0.05  
Basic earnings per common share B
     0.00       0.00  
Diluted earnings per common share
     0.03       0.05  
Diluted earnings per common share B
     0.00       0.00  
 
1
 
Net result from discontinued operations equals to the sum of Net result of Aegon UK (third party result) and the Inter-segment result (
intercompany
result), both under
3.1 Segment results
.
19.2 Condensed statement of comprehensive income
 
     
     1H 2026
         1H 2025  
Net result from discontinued operations
  
 
52
 
 
 
86
 
Items that will not be reclassified to profit or loss:
    
Remeasurements of defined benefit plans
     (27     6  
Items that may be reclassified subsequently to profit or loss:
    
Movement in foreign currency translation and net foreign investment hedging reserves
     16       (52
Total other comprehensive income / (loss) from discontinued operations
  
 
(11
 
 
(45
Total comprehensive income / (loss) from discontinued operations
  
 
41
 
 
 
40
 
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 41   
 

Table of Contents
LOGO  
   
   
 
19.3 Condensed held for sale assets and liabilities 
 
     
   June 30, 2026
 
Assets
  
Cash and cash equivalents
     250  
Investments
     136,640  
Derivatives
     53  
Reinsurance contract assets
     1  
Deferred tax assets
     74  
Deferred expenses
     13  
Other assets and receivables
     1,084  
Intangible assets
     131  
Total assets held for sale
  
 
138,246
 
Liabilities
  
Reinsurance contract liabilities
     5  
Insurance contract liabilities
     46,857  
Investment contract liabilities with discretionary participation features
     21,777  
Investment contracts without discretionary participation features
     67,438  
Derivatives
     196  
Other liabilities
     797  
Total liabilities held for sale
  
 
137,070
 
19.4 Condensed cash flow statement 
 
     
     1H 2026
         1H 2025  
Net cash inflow (outflow) from operating activities
     114       81  
Net cash inflow (outflow) from investing activities
     (2     (6
Net cash inflow (outflow) from financing activities
     (76     (69
Net cash inflow (outflow) from discontinued operations
  
 
35
 
 
 
5
 
19.5 Impairment assessment
Upon classification as held for sale, as per June 30, 2026, the carrying amount of Aegon UK has been compared to the fair value less cost to sell, which is estimated by reference to the fair value of the consideration to which Aegon Ltd. is entitled under the terms and conditions of the sales agreement. The fair value less cost to sell is higher than the carrying value and thus an impairment loss is not applicable.
 
Proceeds
    Number       Share price         GBP         EUR  
Cash (in million)
           750        871  
Shares
     181,080,690        8.33        1,508        1,752  
Total consideration
        
 
2,258
 
  
 
2,622
 
Cost to sell
              (44
Dividend
                                (59
Fair value less cost to sell
           
 
2,519
 
Carrying amount of Aegon UK
                             
 
1,183
 
The impairment assessment takes into account contingent payables and receivables between Aegon Ltd. and Aegon UK that
are
recognized prior to the closing date. These are included in the carrying amount of Aegon UK.
The fair value less cost to sell is level I of the fair value hierarchy, as it includes the share price of Standard Life, which is quoted on the London Stock Exchange and the cash consideration.
 
 
 42 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 

Table of Contents
 
Notes to condensed consolidated interim financial statements
Note 19  
   
   
 
19.6 Fair value
The following table sets out the fair values of financial instruments by the level of the fair value hierarchy into which each fair value measurement is categorized. It does not include fair value information for cash and cash equivalents, receivables, and payables, whose carrying amounts are a reasonable approximation of fair value, or for lease liabilities.
 
     Fair value hierarchy  
June 30, 2026
        Level I           Level II           Level III           Total  
Shares
     -        13        -        13  
Debt securities
     255        308        -        563  
Money market and other short-term investments
     -        126        -        126  
Other investments at fair value
     -        659        -        659  
Derivatives
     10        35        8        53  
Investments - Policyholder risk
     16,743        117,758        332        134,832  
Total financial assets measured at FVPL
  
 
17,008
 
  
 
118,899
 
  
 
340
 
  
 
136,248
 
Investment contracts without DPF - Policyholder risk
     -        67,408        -        67,408  
Derivatives
     15        180        -        196  
Total financial liabilities measured at fair value
  
 
15
 
  
 
67,588
 
  
 
-
 
  
 
67,603
 
Movements in Level III financial instruments measured at fair value
The following table summarizes the change of all assets and liabilities measured at estimated fair value on a recurring basis using significant unobservable inputs (Level III), including realized and unrealized gains (losses) of all assets and liabilities and unrealized gains (losses) of all assets and liabilities still held at the end of the respective period.
 
      Transfers
to disposal
groups
      
Total gains /
(losses) in
income
statement
1
     Purch-
ases
     Sales      Settle-
ments
    
Net ex-
change
difference
    
On

June 30,

2026
    
Total URGL
for the
period 
2
 
Derivatives
     10          (1)        -        (1)        -        -        8        1  
Investments - Policyholder risk
     307          3        38        (17)        -        2        332        2  
Total financial assets (FVPL)
  
 
316
 
    
 
2
 
  
 
38
 
  
 
(18)
 
  
 
-
 
  
 
2
 
  
 
340
 
  
 
2
 
 
1
 
Includes impairments and movements related to fair value hedges. Gains and losses are recorded in the line item Results from financial transactions of the income statement.
2
 
Total unrealized gains / (losses) for the period recorded in the P&L during which the financial instrument was in Level III.
There were no transfers to or from level I and level II in the first half year of 2026.
19.7 Insurance contracts and investment contracts with discretionary participation features
 
1H 2026
  
Insurance contracts (Non-PAA)
    Investment contracts with DPF  
 
Movement schedules by type of liability
     LFRC       LC       LFIC       Total       LFRC       LC       LFIC       Total  
 
Net opening balance
  
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
Transfers to disposal groups
  
 
42,936
 
 
 
11
 
 
 
29
 
 
 
42,977
 
 
 
20,194
 
 
 
1
 
 
 
-
 
 
 
20,196
 
 
Insurance revenue
  
 
(94
 
 
-
 
 
 
-
 
 
 
(94
 
 
(21
 
 
-
 
 
 
-
 
 
 
(21
 
Incurred claims and expenses
     -       -       35       35       -       -       6       6  
 
Onerous contract losses (and reversals)
     -       (4     -       (4     -       (1     -       (1
 
Insurance service expenses
  
 
-
 
 
 
(4
 
 
35
 
 
 
31
 
 
 
-
 
 
 
(1
 
 
6
 
 
 
5
 
 
Investment components
     (1,362     -       1,362       -       (746     -       746       -  
 
Insurance service result
  
 
(1,456
 
 
(4
 
 
1,397
 
 
 
(62
 
 
(767
 
 
(1
 
 
752
 
 
 
(16
 
Insurance finance (income) / expenses
     4,390       -       -       4,390       2,110       -       -       2,110  
 
Cash flows
     621       -       (1,398     (777     86       -       (752     (666
 
Net exchange differences
     329       -       -       330       153       -       -       153  
 
Net closing balance
  
 
46,821
 
 
 
7
 
 
 
29
 
 
 
46,857
 
 
 
21,776
 
 
 
-
 
 
 
-
 
 
 
21,777
 
 
 
    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 43   
 

Table of Contents
LOGO  
   
   
 
1H 2026
   Insurance contracts (Non-PAA)     Investment contracts with DPF  
 
Movement schedules by measurement component
      BEL       RA       CSM       Total        BEL       RA       CSM       Total  
 
Net opening balance
  
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
 
-
 
 
Transfers to disposal groups
  
 
41,515
 
 
 
218
 
 
 
1,244
 
 
 
42,977
 
 
 
19,891
 
 
 
90
 
 
 
214
 
 
 
20,196
 
 
Changes in estimates that adjust CSM
     (171     23       149       -       (92     11       81       -  
 
Changes in estimates that adjust onerous contracts
     (4     -       -       (4     (1     -       -       (1
 
Changes that relate to future service
  
 
(176
 
 
23
 
 
 
149
 
 
 
(4
 
 
(93
 
 
11
 
 
 
81
 
 
 
(1
 
Earnings released from CSM
     -       -       (43     (43     -       -       (12     (12
 
Release of risk adjustment
     -       (6     -       (6     -       (3     -       (3
 
Revenue from policyholder tax expenses incurred
     (10     -       -       (10     -       -       -       -  
 
Changes that relate to current service
  
 
(10
 
 
(6
 
 
(43
 
 
(59
 
 
-
 
 
 
(3
 
 
(12
 
 
(15
 
Insurance service result
  
 
(185
 
 
17
 
 
 
105
 
 
 
(62
 
 
(93
 
 
8
 
 
 
70
 
 
 
(16
 
General model
                  
 
Interest accreted to insurance contracts
     4       -       1       6       -       -       -       -  
 
Variable fee approach
                  
 
Change in fair value of the underlying assets
     4,385       -       -       4,385       2,110       -       -       2,110  
 
Change in fulfilment value - risk mitigation option
     (1     -       -       (1     -       -       -       -  
 
Insurance finance (income) / expenses
  
 
4,389
 
 
 
-
 
 
 
1
 
 
 
4,390
 
 
 
2,110
 
 
 
-
 
 
 
-
 
 
 
2,110
 
 
Premiums received
     620       -       -       620       90       -       -       90  
 
Claims, benefits and expenses paid
     (1,397     -       -       (1,397     (756     -       -       (756
 
Cash flows
  
 
(777
 
 
-
 
 
 
-
 
 
 
(777
 
 
(666
 
 
-
 
 
 
-
 
 
 
(666
 
Net exchange differences
     318       2       10       330       150       1       2       153  
 
Net closing balance
  
 
45,260
 
 
 
237
 
 
 
1,361
 
 
 
46,857
 
 
 
21,393
 
 
 
98
 
 
 
286
 
 
 
21,777
 
19.8 Investment contracts without discretionary participation features
 
    
1H 2026
 
Movement schedule
      Aegon risk      Policyholder risk  
Opening balance
  
 
-
 
 
 
-
 
Transfers to disposal groups
     31       59,035  
Deposits
     1       2,637  
Withdrawals
     (2     (1,572
Interest credited
     -       6,882  
Fund charges released
     -       (48
Net exchange differences
     -       474  
Closing balance
  
 
31
 
 
 
67,408
 
20 Post reporting date events
On July 1, 2026, Aegon began a EUR 200 million share buyback that was announced during the Capital Markets Day on December 10, 2025. This share buyback is expected to be completed by December 23, 2026.
Aegon has entered into an agreement with its largest shareholder, Vereniging Aegon, to participate
pro-rata
in this new EUR
200
 million share buyback program based on its combined common shares and common shares B which represent about 18.4% of the total shareholders’ voting rights. For Vereniging Aegon, this results in a buyback amount of EUR 37 million. The number of common shares that Aegon will repurchase from Vereniging Aegon will be determined based on the daily volume-weighted average price per common share on Euronext Amsterdam.
Aegon decided to increase the ongoing EUR 200 million share buyback program by an additional EUR 150 million share buyback to a total amount of EUR 350 million. This share buyback is expected to be completed by December 23, 2026.
 
 
 44 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  
 


 

Disclaimer 

   
   

 

Disclaimer

 

Cautionary note regarding non-IFRS measures

This document includes the following non-IFRS financial measures: operating result and valuation equity. Operating result is calculated by consolidating, on a proportionate basis, Aegon’s joint ventures and associated companies, except for its associate, ASR Nederland N.V. Operating result reflects Aegon’s profit before tax from underlying business operations and mainly excludes components that relate to accounting mismatches that are dependent on market volatility or relate to events that are considered outside of the normal course of business. Valuation equity represents the sum of shareholders’ equity and the Contractual Service Margin (CSM) after-tax (embedded value of unearned profits in insurance contracts). This measure is intended to provide a more comprehensive view of the Group’s economic value. Aegon believes that these non-IFRS measures, together with the IFRS information, provide meaningful supplemental information about the operating results of Aegon’s business, including insight into the financial measures that senior management uses in managing the business.

Local currencies

This document contains certain information about Aegon’s results, financial condition and revenue generating investments presented in USD for the Americas and in GBP for the United Kingdom, because those businesses operate and are managed primarily in those currencies. None of this information is a substitute for or superior to financial information about Aegon presented in EUR, which is the currency of Aegon’s primary financial statements.

Important information for investors and securityholders

This communication is not intended to and does not constitute an offer to sell, buy, or exchange or the solicitation of an offer to sell, buy, or exchange any securities or the solicitation of any vote or approval in any jurisdiction, nor shall there be any sale, purchase, or exchange of securities or solicitation of any vote or approval in any jurisdiction in contravention of applicable law. In connection with the proposed corporate reorganization that includes, among other things, the domestication and continuation of Aegon as a Delaware corporation (the “Redomiciliation”), Aegon will file a registration statement on a Form F-4, which includes a U.S. Shareholder Circular (the “Proxy Statement/Prospectus”), with the U.S. Securities and Exchange Commission (the “SEC”). Aegon plans to mail the definitive Proxy Statement/Prospectus to its shareholders in connection with the proposed Redomiciliation ahead of calling an extraordinary general meeting of shareholders contemplated in Q4 2026. INVESTORS AND SECURITYHOLDERS OF AEGON ARE URGED TO READ THE PROXY STATEMENT/PROSPECTUS AND ALL OTHER RELEVANT DOCUMENTS FILED OR TO BE FILED WITH THE SEC CAREFULLY WHEN THEY BECOME AVAILABLE BECAUSE THEY WILL CONTAIN IMPORTANT INFORMATION ABOUT AEGON, ITS PROPOSED REDOMICILIATION AND RELATED MATTERS. Investors and securityholders will be able to obtain free copies of the definitive Proxy Statement/ Prospectus (when available) and other documents filed with the SEC by Aegon through the website maintained by the SEC at www.sec.gov. In addition, investors and securityholders will be able to obtain free copies of the documents filed with the SEC on Aegon’s website at www.aegon.com or by contacting Aegon’s Investor Relations, World Trade Center, Schiphol Boulevard 223,1118 BH Schiphol, The Netherlands, Tel: + 3120-259-2500, E-mail: ir@aegon.com.

Participants in the solicitation

Aegon, its directors and executive officers and other members of management and employees may be deemed to be participants in the solicitation of proxies from Aegon’s securityholders in respect of the proposed transactions under the rules of the SEC. Information regarding the persons who may, under the rules of the SEC, be deemed participants in the solicitation of Aegon’s securityholders. in connection with the proposed Redomiciliation, including a description of their respective direct or indirect interests, by security holdings or otherwise, is included in the Proxy Statement/Prospectus described above. Additional information regarding Aegon’s directors and executive officers regarding the interests of such potential participants is also included in Aegon’s 20-F, which was filed with the SEC on March 26, 2026. This document is available free of charge as described from the SEC’s website at www.sec.gov.

Forward-looking statements

The statements contained in this document that are not historical facts are forward-looking statements as defined in the US Private Securities Litigation Reform Act of 1995. The following are words that identify such forward-looking statements: aim, believe, estimate, target, focus, intend, may, expect, anticipate, predict, project, counting on, plan, continue, want, forecast, goal, should, would, could, is confident, will, and similar expressions as they relate to Aegon. These statements may contain information about financial prospects, economic conditions and trends and involve risks and uncertainties. In addition, any statements that refer to sustainability, environmental and social targets, commitments, goals, efforts and expectations and other events or circumstances that are partially dependent on future events are forward-looking statements. These statements are not guarantees of future performance and involve risks, uncertainties and assumptions that are difficult to predict. Aegon undertakes no obligation, and expressly disclaims any duty, to publicly update or revise any forward-looking statements. Readers are cautioned not to place undue reliance on these forward-looking statements, which merely reflect the company’s expectations at the time of writing. Actual results may differ materially and adversely from expectations conveyed in forward-looking statements due to changes caused by various risks and uncertainties. Such risks and uncertainties include, but are not limited to, the following:

  Changes in general economic and/or governmental conditions, particularly in Bermuda, the United States, the United Kingdom and, in relation to Aegon’s shareholding in ASR Nederland N.V., and Aegon’s asset management business, the Netherlands.
  Civil unrest, (geo-) political tensions, military action or other instability in countries or geographic regions that affect our operations or that affect global markets.
  Changes in the performance of financial markets, including emerging markets, such as:
  °    The frequency and severity of defaults by issuers in Aegon’s fixed income investment portfolios.
  °    The effects of corporate bankruptcies and/or accounting restatements on the financial markets and the resulting decline in the value of equity and debt securities Aegon holds.
  °    The effects of declining creditworthiness of certain public sector securities and the resulting decline in the value of government exposure that Aegon holds.
  °    The impact from volatility in credit, equity, and interest rates.
  Changes in the performance of Aegon’s investment portfolio and a decline in the ratings of Aegon’s counterparties.
  The effect of tariffs and potential trade wars on trading markets and on economic growth, both globally and in the markets where Aegon operates.
  The lowering of one or more of Aegon’s debt ratings issued by recognized rating organizations and the adverse impact such action may have on Aegon’s ability to raise capital and on its liquidity and financial condition.
  The lowering of one or more insurer financial strength ratings of Aegon’s insurance subsidiaries and the adverse impact such action may have on the written premium, policy retention, profitability and liquidity of its insurance subsidiaries.
  The effect of applicable Bermuda solvency requirements, the European Union’s Solvency II requirements, and applicable equivalent solvency requirements and other regulations in other jurisdictions, in particular the United States, affecting the capital Aegon is required to maintain and our ability to pay dividends.
  Changes in the European Commission’s or European regulator’s position on the equivalence of the supervisory regime for insurance and reinsurance undertakings in force in Bermuda.
  Changes affecting interest rate levels and low or rapidly changing interest rate levels.
  Changes affecting currency exchange rates, in particular the EUR/USD and EUR/GBP exchange rates.
 

 

 

 

    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 45   

 


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  The effects of global inflation, or inflation in the markets where Aegon operates.
  Changes in the availability of, and costs associated with, liquidity sources, such as bank and capital markets funding, as well as conditions in the credit markets in general, such as changes in borrower and counterparty creditworthiness.
  Increasing levels of competition, particularly in the United States, the United Kingdom, emerging markets and, in relation to Aegon’s shareholding in ASR Nederland N.V. and Aegon’s asset management business, the Netherlands.
  Catastrophic events, either manmade or by nature including, for example, acts of God, acts of terrorism, acts of war and pandemics could result in material losses and significantly interrupt Aegon’s business.
  The frequency and severity of insured loss events.
  Changes affecting longevity, mortality, morbidity, persistence and other factors that may impact the profitability of Aegon’s insurance products and management of derivatives.
  Aegon’s projected results, which are highly sensitive to complex mathematical models of financial markets, mortality, longevity, and other dynamic systems that are subject to shocks and unpredictable volatility. Should assumptions to these models later prove incorrect or should errors in those models escape the controls in place to detect them, future performance will vary from projected results.
  Reinsurers to whom Aegon has ceded significant underwriting risks may fail to meet their obligations.
  Changes in customer behavior and public opinion in general related to, among other things, the type of products Aegon sells, including legal, regulatory or commercial necessity to meet changing customer expectations.
  Customer responsiveness to both new products and distribution channels.
  Third-party information used by Aegon, which may prove to be inaccurate and/or change over time (as methodologies and data availability and quality continue to evolve) and therefore impact our results and disclosures.
  Operational risks (such as system disruptions or failures, security or data privacy breaches, cyberattacks, human error, failure to safeguard personally identifiable information, changes in operational practices or inadequate controls including with respect to third parties with which Aegon does business) which may disrupt Aegon’s business, damage its reputation and adversely affect its results of operations, financial condition and cash flows.
  Aegon’s failure to swiftly, effectively, and securely adapt and integrate emerging technologies.
  The impact of acquisitions and divestitures, restructurings, product withdrawals and other unusual items, including Aegon’s ability to complete, or obtain regulatory approval for, acquisitions and divestitures, integrate acquisitions, and realize anticipated results from such transactions, and its ability to separate businesses as part of divestitures. In particular, in relation to the Proposed Redomiciliation, (i) the proposed Redomiciliation may not be completed in a timely manner or at all; (ii) the failure to realize the anticipated benefits of the proposed Redomiciliation; (iii) the possibility that any or all of the various conditions to the consummation of the proposed Redomiciliation may not be satisfied or waived; (iv) the effect of the pendency of the proposed Redomiciliation on our ability to retain and hire key
   

personnel, or its operating results and business generally and (v) the effects of the proposed Redomiciliation on trading, liquidity and the price of Aegon’s securities.

  Aegon’s failure to achieve anticipated levels of earnings or operational efficiencies, as well as other management initiatives related to cost savings, Cash Capital at Holding, gross financial leverage and free cash flow.
  Changes in the policies of central banks and/or governments.
  Litigation or regulatory action that could require Aegon to pay significant damages or change the way Aegon does business.
  Competitive, legal, regulatory, or tax changes that affect profitability, the distribution cost of, or demand for, Aegon’s products.
  The consequences of an actual or potential break-up of the European Monetary Union in whole or in part and the potential consequences of European Union countries leaving the European Union.
  Changes in laws and regulations, or the interpretation thereof by regulators and courts, including as a result of comprehensive reform or shifts away from multilateral approaches to regulation of global or national operations, particularly regarding those laws and regulations related to ESG matters, those affecting, for example, the ability of Aegon’s operations to hire and retain key personnel, the taxation of Aegon companies, the products Aegon sells, the attractiveness of certain products to its consumers and Aegon’s intellectual property.
  Regulatory changes relating to the pensions, investment, insurance industries and enforcing adjustments in the jurisdictions in which Aegon operates.
  Standard setting initiatives of supranational standard setting bodies, such as the Financial Stability Board and the International Association of Insurance Supervisors, or changes to such standards that may have an impact on regional (such as EU), national (such as Bermuda) or US federal or state level financial regulation or the application thereof to Aegon.
  Changes in accounting regulations and policies or a change by Aegon in applying such regulations and policies, voluntarily or otherwise, which may affect Aegon’s reported results, shareholders’ equity or regulatory capital adequacy levels.
  Rapid changes in the landscape for ESG responsibilities, which lead to potential challenges by private parties and governmental authorities, and/or changes in ESG standards and requirements, including assumptions, methodology and materiality, or a change by Aegon in applying such standards and requirements, voluntarily or otherwise, that may affect Aegon’s ability to meet evolving
 

 

 

 

 46 |   Interim financial information for the six-month period ended June 30, 2026 - Unaudited  

 


 

Disclaimer 

   
   

 

 

standards and requirements, or Aegon’s ability to meet its sustainability and ESG-related goals, or related public expectations, which may also negatively affect Aegon’s reputation or the reputation of its board of directors or its management.

  Unexpected delays, difficulties, and expenses in executing against Aegon’s environmental, climate, or other ESG targets, goals and commitments, and changes in laws or regulations affecting us, such as changes in data privacy, environmental, health and safety laws.
  Reliance on third-party information in certain of Aegon’s disclosures, which may change over time as methodologies and data availability and quality continue to evolve. These factors, as well as any inaccuracies in third-party information used by Aegon, including in estimates or assumptions, may cause results to differ materially and adversely from statements, estimates, and beliefs made by Aegon or third parties. Moreover, Aegon’s disclosures based on any standards may change due to revisions in framework requirements, availability of information, changes in its business or applicable governmental policies, or other factors, some of which may be beyond Aegon’s control. Additionally, Aegon’s discussion of various ESG and other sustainability issues in this document or in other locations, including on our corporate website, may be informed by the interests of various stakeholders, as well as various ESG standards, frameworks, and regulations (including for the measurement and assessment of underlying data). As

such, our disclosures on such issues, including climate-related disclosures, may include information that is not necessarily “material” under US securities laws for SEC reporting purposes, even if we use words such as “material” or “materiality” in relation to those statements. ESG expectations continue to evolve, often quickly, including for matters outside of our control; our disclosures are inherently dependent on the methodology (including any related assumptions or estimates) and data used, and there can be no guarantee that such disclosures will necessarily reflect or be consistent with the preferred practices or interpretations of particular stakeholders, either currently or in future.

This document contains information that qualifies, or may qualify, as inside information within the meaning of Article 7(1) of the EU Market Abuse Regulation (596/2014). Further details of potential risks and uncertainties affecting Aegon are included in its filings with the Netherlands Authority for the Financial Markets and the US Securities and Exchange Commission, including the Annual Report. These forward-looking statements speak only as of the date of this document. Except as required by any applicable law or regulation, Aegon expressly disclaims any obligation or undertaking to release publicly any updates or revisions to any forward-looking statements contained herein to reflect any change in Aegon’s expectations with regard thereto or any change in events, conditions or circumstances on which any such statement is based.

 

 

 

 

    Interim financial information for the six-month period ended June 30, 2026 - Unaudited | 47   

 


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