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FAIR VALUE MEASUREMENTS - Breakout of Liability Issuances and Settlements (Details) - Level III - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Liabilities    
Issuances $ 747,516 $ 339,496
Settlements (37,294) (71,938)
Net Issuances/Settlements 710,222 267,558
Asset Management    
Liabilities    
Issuances 19,141 12,169
Settlements (17,392) (11,858)
Net Issuances/Settlements 1,749 311
Asset Management | Unfunded Revolver Commitments    
Liabilities    
Issuances 19,141 12,169
Settlements (17,392) (11,858)
Net Issuances/Settlements 1,749 311
Insurance    
Liabilities    
Issuances 728,375 327,327
Settlements (19,902) (60,080)
Net Issuances/Settlements 708,473 267,247
Insurance | Policy liabilities    
Liabilities    
Net Issuances/Settlements 0 0
Insurance | Closed blocks    
Liabilities    
Issuances 0 0
Settlements (3,479) (41,829)
Net Issuances/Settlements (3,479) (41,829)
Insurance | Income ceded to funds withheld payable at interest    
Liabilities    
Issuances 10,435  
Settlements 0  
Net Issuances/Settlements 10,435 0
Insurance | Embedded derivative | Indexed universal life    
Liabilities    
Issuances 29,068 15,549
Settlements (16,423) (18,251)
Net Issuances/Settlements 12,645 (2,702)
Insurance | Embedded derivative | Fixed-indexed annuity    
Liabilities    
Issuances 688,872 311,778
Settlements 0 0
Net Issuances/Settlements $ 688,872 $ 311,778