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Fair Value Measurement - Fair Value Level 3 Rollforward Recurring Basis (Details) - USD ($)
$ in Millions
3 Months Ended 9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Sep. 30, 2025
Sep. 30, 2024
Credit Risk Contract        
Fair Value, Net Derivative Asset (Liability) Measured on Recurring Basis, Unobservable Input Reconciliation [Roll Forward]        
Fair value at start of period $ (29) $ (34) $ (29) $ (50)
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 5 3 110 19
Other comprehensive income (loss) 0 0 0 0
Issuances   (2)   (2)
Settlements (2) (1) (107) (1)
Fair value at end of period (26) (34) (26) (34)
Change in unrealized gains/(losses) included in earnings related to financial instruments 3 1 3 9
Total pre-tax realized and unrealized gains (losses) recorded in:        
Issuances   (2)   (2)
FG VIEs’ Assets        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 153   147 174
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 7   14 (1)
Other comprehensive income (loss) 0   0 1
Purchases 0   0 0
Sales 0   0 0
Settlements (6)   (16) (18)
Deconsolidations (9)   (9)  
Reclassifications       0
Consolidations     9  
Transfers into Level 3       0
Transfers out of Level 3       0
Fair value at end of period 145 156 145 156
Change in unrealized gains/(losses) related to financial instruments held 6   11 (5)
FG VIEs’ Assets | 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
FG VIEs’ Assets | Assets of CIVs, Equity Securities        
Fair Value Level 3 Rollforward        
Fair value at beginning of period   93    
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss)   9    
Other comprehensive income (loss)   0    
Purchases   0    
Sales   (3)    
Settlements   0    
Reclassifications   0    
Transfers out of Level 3   (2)    
Fair value at end of period   97   97
Change in unrealized gains/(losses) related to financial instruments held   9    
Consolidated Investment Vehicles | Assets of CIVs, Equity Securities        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 121   99 80
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 11   33 21
Other comprehensive income (loss) 0   0 0
Purchases 0   0 0
Sales 0   0 (5)
Settlements 0   0 0
Deconsolidations 0   0  
Reclassifications       0
Consolidations     0  
Transfers into Level 3       3
Transfers out of Level 3       (2)
Fair value at end of period 132 97 132 97
Change in unrealized gains/(losses) related to financial instruments held 11   33 21
Consolidated Investment Vehicles | Structured Products        
Fair Value Level 3 Rollforward        
Fair value at beginning of period   225   189
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss)   (5)   (10)
Other comprehensive income (loss)   0   0
Purchases   25   76
Sales   0   (20)
Settlements   0   0
Reclassifications   (8)   (8)
Transfers into Level 3       10
Transfers out of Level 3   0   0
Fair value at end of period   237   237
Change in unrealized gains/(losses) related to financial instruments held   (1)   (3)
Other        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 5 6 5 14
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 9 (4) 10 (12)
Other comprehensive income (loss) 1 1 0 1
Purchases 0 1 0 1
Sales 0 0 0 0
Settlements 0 0 0 0
Deconsolidations 0   0  
Reclassifications   0   0
Consolidations     0  
Transfers into Level 3       0
Transfers out of Level 3   0   0
Fair value at end of period 15 4 15 4
Change in unrealized gains/(losses) related to financial instruments held 9 (4) 10 (12)
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 (1) 0 1
Financial Guaranty Variable Interest Entities        
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation, Calculation [Roll Forward]        
Fair value at start of period (161) (393) (164) (554)
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) (4) (3) (9) 6
Other comprehensive income (loss) 1 (1) 1 (1)
Issuances   0   0
Settlements 5 5 13 157
Fair value at end of period (159) (392) (159) (392)
Change in unrealized gains/(losses) included in earnings related to financial instruments (4) (4) (8) 0
Change in unrealized gains/(losses) included in OCI related to financial instruments 1 (1) 1 (1)
Obligations of state and political subdivisions | Fixed-maturity securities, available-for-sale        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 10 7 10 6
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 0 0 2 0
Other comprehensive income (loss) 0 0 0 2
Purchases 0 0 0 0
Sales 0 0 0 0
Settlements 0 0 (2) (1)
Deconsolidations 0   0  
Reclassifications   0   0
Consolidations     0  
Transfers into Level 3       0
Transfers out of Level 3   0   0
Fair value at end of period 10 7 10 7
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 0 0 0 2
Corporate securities | Fixed-maturity securities, available-for-sale        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 84   0  
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 1   1  
Other comprehensive income (loss) 10   20  
Purchases 73   147  
Sales 0   0  
Settlements 0   0  
Deconsolidations 0   0  
Consolidations     0  
Fair value at end of period 168   168  
Corporate 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 10   20  
RMBS | Fixed-maturity securities, available-for-sale        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 142 150 145 154
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 3 5 7 12
Other comprehensive income (loss) 6 3 12 5
Purchases 0 0 0 0
Sales 0 0 0 0
Settlements (6) (6) (19) (19)
Deconsolidations 0   0  
Reclassifications   0   0
Consolidations     0  
Transfers into Level 3       0
Transfers out of Level 3   0   0
Fair value at end of period 145 152 145 152
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 6 3 12 5
Asset-backed securities | Fixed-maturity securities, available-for-sale        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 977 795 1,031 803
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 3 7 21 24
Other comprehensive income (loss) (3) (3) 8 5
Purchases 40 19 40 30
Sales 0 0 (12) 0
Settlements (496) (31) (567) (95)
Deconsolidations 0   0  
Reclassifications   0   0
Consolidations     0  
Transfers into Level 3       20
Transfers out of Level 3   0   0
Fair value at end of period 521 787 521 787
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 (2) (3) (20) 3
Fixed-Maturity Securities, Trading | Fixed-maturity securities, available-for-sale        
Fair Value Level 3 Rollforward        
Fair value at beginning of period 4 0 5 0
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss) 1 0 1 0
Other comprehensive income (loss) 0 0 0 0
Purchases 0 0 0 0
Sales 0 0 0 0
Settlements (1) (2) (2) (2)
Deconsolidations 0   0  
Reclassifications   8   8
Consolidations     0  
Transfers into Level 3       0
Transfers out of Level 3   0   0
Fair value at end of period 4 6 4 6
Change in unrealized gains/(losses) related to financial instruments held $ 0 0 $ 0 0
Fixed-Maturity Securities, Trading | FG VIEs’ Assets        
Fair Value Level 3 Rollforward        
Fair value at beginning of period   160    
Total pre-tax realized and unrealized gains (losses) recorded in:        
Net income (loss)   2    
Other comprehensive income (loss)   0    
Purchases   0    
Sales   0    
Settlements   (6)    
Reclassifications   0    
Transfers out of Level 3   0    
Fair value at end of period   156   $ 156
Change in unrealized gains/(losses) related to financial instruments held   $ 0