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Investments - Fixed Maturity Securities and Short Term Investments (Details) - USD ($)
$ in Millions
Mar. 31, 2022
Dec. 31, 2021
Mar. 31, 2021
Dec. 31, 2020
Schedule of Investments [Line Items]        
Allowance for Credit Losses $ (47) $ (42) $ (81) $ (78)
Estimated Fair Value $ 8,156 $ 8,202    
Government agency obligations as a percentage of total mortgage backed securities 30.00% 31.00%    
Fixed-maturity securities, available-for-sale        
Schedule of Investments [Line Items]        
Percent of Total 100.00% 100.00%    
Amortized Cost $ 8,227 $ 7,822    
Allowance for Credit Losses (47) (42)    
Gross Unrealized Gains 180 478    
Gross Unrealized Losses (204) (56)    
Estimated Fair Value 8,156 8,202    
AOCI Pre-tax Gain (Loss) on Securities with Credit Loss $ (78) $ (30)    
Fixed-maturity securities, available-for-sale | Obligations of state and political subdivisions        
Schedule of Investments [Line Items]        
Percent of Total 47.00% 43.00%    
Amortized Cost $ 3,893 $ 3,386    
Allowance for Credit Losses (13) (12)    
Gross Unrealized Gains 115 290    
Gross Unrealized Losses (54) (4)    
Estimated Fair Value 3,941 3,660    
AOCI Pre-tax Gain (Loss) on Securities with Credit Loss $ (3) $ 0    
Fixed-maturity securities, available-for-sale | U.S. government and agencies        
Schedule of Investments [Line Items]        
Percent of Total 2.00% 2.00%    
Amortized Cost $ 122 $ 123    
Allowance for Credit Losses 0 0    
Gross Unrealized Gains 5 7    
Gross Unrealized Losses (5) (2)    
Estimated Fair Value 122 128    
AOCI Pre-tax Gain (Loss) on Securities with Credit Loss $ 0 $ 0    
Fixed-maturity securities, available-for-sale | Corporate securities        
Schedule of Investments [Line Items]        
Percent of Total 30.00% 32.00%    
Amortized Cost $ 2,469 $ 2,516    
Allowance for Credit Losses (5) (1)    
Gross Unrealized Gains 26 111    
Gross Unrealized Losses (102) (21)    
Estimated Fair Value 2,388 2,605    
AOCI Pre-tax Gain (Loss) on Securities with Credit Loss $ (44) $ (4)    
Fixed-maturity securities, available-for-sale | RMBS        
Schedule of Investments [Line Items]        
Percent of Total 5.00% 6.00%    
Amortized Cost $ 437 $ 454    
Allowance for Credit Losses (18) (17)    
Gross Unrealized Gains 10 24    
Gross Unrealized Losses (29) (24)    
Estimated Fair Value 400 437    
AOCI Pre-tax Gain (Loss) on Securities with Credit Loss $ (28) $ (24)    
Fixed-maturity securities, available-for-sale | CMBS        
Schedule of Investments [Line Items]        
Percent of Total 4.00% 4.00%    
Amortized Cost $ 321 $ 332    
Allowance for Credit Losses 0 0    
Gross Unrealized Gains 2 14    
Gross Unrealized Losses (1) 0    
Estimated Fair Value 322 346    
AOCI Pre-tax Gain (Loss) on Securities with Credit Loss $ 0 $ 0    
Fixed-maturity securities, available-for-sale | CLOs and CLO warehouse assets:        
Schedule of Investments [Line Items]        
Percent of Total 5.00% 6.00%    
Amortized Cost $ 440 $ 457    
Allowance for Credit Losses 0 0    
Gross Unrealized Gains 0 1    
Gross Unrealized Losses (3) 0    
Estimated Fair Value 437 458    
AOCI Pre-tax Gain (Loss) on Securities with Credit Loss $ 0 $ 0    
Fixed-maturity securities, available-for-sale | Others        
Schedule of Investments [Line Items]        
Percent of Total 5.00% 5.00%    
Amortized Cost $ 422 $ 420    
Allowance for Credit Losses (11) (12)    
Gross Unrealized Gains 22 26    
Gross Unrealized Losses (3) (2)    
Estimated Fair Value 430 432    
AOCI Pre-tax Gain (Loss) on Securities with Credit Loss $ (2) $ (2)    
Fixed-maturity securities, available-for-sale | Non-U.S. government securities        
Schedule of Investments [Line Items]        
Percent of Total 2.00% 2.00%    
Amortized Cost $ 123 $ 134    
Allowance for Credit Losses 0 0    
Gross Unrealized Gains 0 5    
Gross Unrealized Losses (7) (3)    
Estimated Fair Value 116 136    
AOCI Pre-tax Gain (Loss) on Securities with Credit Loss $ (1) $ 0