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FAIR VALUE OF FINANCIAL INSTRUMENTS - Schedule of Fair Value Assets Measured on Recurring Basis (Details) - USD ($)
$ in Millions
Jun. 30, 2024
Dec. 31, 2023
Jun. 30, 2023
Dec. 31, 2022
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Mortgage loans on real estate, net of allowance $ 12,444 $ 5,962    
Policy loans 401 390    
Other invested assets, excluding derivatives and separately managed accounts 1,022 279    
Policyholders’ account balance, total 80,489 24,939    
Policy and contract claims – FHLB 7,397 7,288 $ 1,868 $ 1,786
Notes payable 657 174    
Level 1        
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Total financial assets 18,716 9,778    
Total financial liabilities 200 413    
Level 2        
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Total financial assets 49,478 16,643    
Total financial liabilities 1,048 994    
Level 3        
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Total financial assets 10,013 4,662    
Total financial liabilities 4,506 961    
Carrying Amount        
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Mortgage loans on real estate, net of allowance 12,444 5,962    
Private loans, net of allowance 2,871 1,198    
Policy loans 401 390    
Total financial assets 94,514 46,389    
Corporate and subsidiary borrowings 4,461 3,569    
Total financial liabilities 10,870 6,137    
Fair Value        
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Mortgage loans on real estate, net of allowance 12,228 5,683    
Private loans, net of allowance 2,871 855    
Policy loans 401 390    
Total financial assets 94,281 45,767    
Corporate and subsidiary borrowings 4,444 3,567    
Total financial liabilities 10,853 6,135    
Recurring | Level 1        
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Mortgage loans on real estate, net of allowance 0 0    
Private loans, net of allowance 0 0    
Policy loans 0 0    
Deposit assets 0      
Other invested assets, excluding derivatives and separately managed accounts 0 0    
Policyholders’ account balance, total 0 0    
Policy and contract claims – FHLB 0      
Corporate and subsidiary borrowings 0 133    
Notes payable 0 0    
Recurring | Level 2        
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Mortgage loans on real estate, net of allowance 0 0    
Private loans, net of allowance 1,056 0    
Policy loans 0 0    
Deposit assets 0      
Other invested assets, excluding derivatives and separately managed accounts 403 0    
Policyholders’ account balance, total 0 6,001    
Policy and contract claims – FHLB 0      
Corporate and subsidiary borrowings 80 249    
Notes payable 0 0    
Recurring | Level 3        
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Mortgage loans on real estate, net of allowance 12,228 5,683    
Private loans, net of allowance 1,815 855    
Policy loans 401 390    
Deposit assets 14,196      
Other invested assets, excluding derivatives and separately managed accounts 51 12    
Policyholders’ account balance, total 76,797 14,097    
Policy and contract claims – FHLB 1,880      
Corporate and subsidiary borrowings 4,364 3,185    
Notes payable 657 174    
Recurring | Carrying Amount        
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Mortgage loans on real estate, net of allowance 12,444 5,962    
Private loans, net of allowance 2,871 1,198    
Policy loans 401 390    
Deposit assets 15,261      
Other invested assets, excluding derivatives and separately managed accounts 471 12    
Total financial assets 31,448 7,562    
Policyholders’ account balance, total 76,797 21,627    
Policy and contract claims – FHLB 1,880      
Corporate and subsidiary borrowings 4,461 3,569    
Notes payable 657 174    
Total financial liabilities 83,795 25,370    
Recurring | Fair Value        
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]        
Mortgage loans on real estate, net of allowance 12,228 5,683    
Private loans, net of allowance 2,871 855    
Policy loans 401 390    
Deposit assets 14,196      
Other invested assets, excluding derivatives and separately managed accounts 454 12    
Total financial assets 30,150 6,940    
Policyholders’ account balance, total 76,797 20,098    
Policy and contract claims – FHLB 1,880      
Corporate and subsidiary borrowings 4,444 3,567    
Notes payable 657 174    
Total financial liabilities $ 83,778 $ 23,839