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Fair Value Measurement - Fair Value Level 3 Rollforward Recurring Basis (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2024
Jun. 30, 2023
FG VIEs’ Assets        
Fair Value Level 3 Rollforward        
Fair value at beginning of period $ 167 $ 197 $ 174 $ 204
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) (1) (2) (3) (1)
Other comprehensive income (loss) 0 0 1 0
Purchases 0 0 0 0
Sales 0 0 0 0
Settlements (6) (7) (12) (15)
Transfers into Level 3     0  
Fair value at end of period 160 188 160 188
Change in unrealized gains/(losses) related to financial instruments held (2) (3) (5) (3)
Consolidated Investment Vehicles | Equity Securities        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 89 329 80  
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 4 7 12  
Other comprehensive income (loss) 0 0 0  
Purchases 0 34 0  
Sales 0 (80) (2)  
Settlements 0 0 0  
Transfers into Level 3     3  
Fair value at end of period 93 290 93 290
Change in unrealized gains/(losses) related to financial instruments held 5 (33) 12  
Consolidated Investment Vehicles | Equity securities and warrants        
Fair Value Level 3 Rollforward        
Fair value at beginning of period       297
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss)       40
Other comprehensive income (loss)       0
Purchases       38
Sales       (85)
Settlements       0
Fair value at end of period   290   290
Change in unrealized gains/(losses) related to financial instruments held       (1)
Consolidated Investment Vehicles | Corporate securities        
Fair Value Level 3 Rollforward        
Fair value at beginning of period   93   96
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss)   (1)   (3)
Other comprehensive income (loss)   0   0
Purchases   2   6
Sales   (10)   (15)
Settlements   0   0
Fair value at end of period   84   84
Change in unrealized gains/(losses) related to financial instruments held   0   (3)
Consolidated Investment Vehicles | Structured products        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 220 17 189 46
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) (9) 0 (5) 2
Other comprehensive income (loss) 0 0 0 0
Purchases 22 0 51 0
Sales (8) (17) (20) (48)
Settlements 0 0 0 0
Transfers into Level 3     10  
Fair value at end of period 225 0 225 0
Change in unrealized gains/(losses) related to financial instruments held (8) 0 (2) 0
Other        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 5 34 14 50
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 2 3 (8) (13)
Other comprehensive income (loss) (1) 0 0 0
Purchases 0 0 0 0
Sales 0 0 0 0
Settlements 0 (4) 0 (4)
Transfers into Level 3     0  
Fair value at end of period 6 33 6 33
Change in unrealized gains/(losses) related to financial instruments held 2 3 (8) (13)
Other | Other Comprehensive Income (Loss)        
Total pre-tax realized and unrealized gains (losses) recorded in:        
Change in unrealized gains/(losses) related to financial instruments held (1) 0 0 0
Financial Guaranty Variable Interest Entities        
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation, Calculation [Roll Forward]        
Fair value at start of period (399) (704) (554) (715)
Total Pretax Realized And Unrealized Gains (Losses) Recorded As Liabilities [Abstract]        
Net income (loss) 0 (2) 9 1
Other comprehensive income (loss) 2 2 0 1
Settlements 4 5 152 14
Fair value at end of period (393) (699) (393) (699)
Change in unrealized gains/(losses) included in earnings related to financial instruments 2 4 4 2
Change in unrealized gains/(losses) included in OCI related to financial instruments 2 2 0 1
Liabilities of CIVs (9)        
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation, Calculation [Roll Forward]        
Fair value at start of period   (4,220)   (4,154)
Total Pretax Realized And Unrealized Gains (Losses) Recorded As Liabilities [Abstract]        
Net income (loss)   17   (45)
Other comprehensive income (loss)   (5)   (13)
Settlements   9   13
Fair value at end of period   (4,199)   (4,199)
Change in unrealized gains/(losses) included in earnings related to financial instruments   (2)   (67)
Change in unrealized gains/(losses) included in OCI related to financial instruments   (5)   (13)
Obligations of state and political subdivisions | Fixed-maturity securities, available-for-sale        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 6 47 6 47
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 0 1 0 1
Other comprehensive income (loss) 2 (1) 2 0
Purchases 0 0 0 0
Sales 0 0 0 0
Settlements (1) (1) (1) (2)
Transfers into Level 3     0  
Fair value at end of period 7 46 7 46
Obligations of state and political subdivisions | Fixed-maturity securities, available-for-sale | Other Comprehensive Income (Loss)        
Total pre-tax realized and unrealized gains (losses) recorded in:        
Change in unrealized gains/(losses) related to financial instruments held 2 (1) 2 0
RMBS | Fixed-maturity securities, available-for-sale        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 153 174 154 179
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 4 4 7 7
Other comprehensive income (loss) 1 (7) 2 (8)
Purchases 0 0 0 0
Sales 0 0 0 0
Settlements (8) (9) (13) (16)
Transfers into Level 3     0  
Fair value at end of period 150 162 150 162
RMBS | Fixed-maturity securities, available-for-sale | Other Comprehensive Income (Loss)        
Total pre-tax realized and unrealized gains (losses) recorded in:        
Change in unrealized gains/(losses) related to financial instruments held 1 (7) 2 (8)
Asset-backed securities | Fixed-maturity securities, available-for-sale        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 821 795 803 794
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 1 (3) 17 0
Other comprehensive income (loss) 6 (5) 8 (8)
Purchases 1 18 11 23
Sales 0 (2) 0 (2)
Settlements (34) (3) (64) (7)
Transfers into Level 3     20  
Fair value at end of period 795 800 795 800
Asset-backed securities | Fixed-maturity securities, available-for-sale | Other Comprehensive Income (Loss)        
Total pre-tax realized and unrealized gains (losses) recorded in:        
Change in unrealized gains/(losses) related to financial instruments held 6 (4) 8 (7)
Credit Risk Contract        
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Input Reconciliation [Roll Forward]        
Fair value at start of period (39) (148) (50) (162)
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 6 91 16 106
Other comprehensive income (loss) 0 0 0 0
Settlements (1) 0 0 (1)
Fair value at end of period (34) (57) (34) (57)
Change in unrealized gains/(losses) included in earnings related to financial instruments $ 3 $ 91 $ 7 $ 105