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AVAILABLE-FOR-SALE FIXED MATURITY SECURITIES - Schedule of Gross Unrealized Losses and Fair Value of Available-for-Sale Fixed Maturity Securities (Details)
$ in Millions
Jun. 30, 2025
USD ($)
position
Dec. 31, 2024
USD ($)
position
Number of Issues    
Less than 12 months | position 1,193 2,257
12 months or more | position 671 867
Total | position 1,864 3,124
Gross Unrealized Losses    
Less than 12 months $ (244) $ (295)
12 months or more (367) (372)
Total (611) (667)
Fair Value    
Less than 12 months 9,083 11,700
12 months or more 5,126 5,488
Total $ 14,209 $ 17,188
U.S. treasury and government    
Number of Issues    
Less than 12 months | position 4 6
12 months or more | position 21 19
Total | position 25 25
Gross Unrealized Losses    
Less than 12 months $ (8) $ (7)
12 months or more (34) (36)
Total (42) (43)
Fair Value    
Less than 12 months 18 54
12 months or more 101 87
Total $ 119 $ 141
U.S. state and municipal    
Number of Issues    
Less than 12 months | position 140 174
12 months or more | position 93 190
Total | position 233 364
Gross Unrealized Losses    
Less than 12 months $ (17) $ (20)
12 months or more (18) (10)
Total (35) (30)
Fair Value    
Less than 12 months 788 851
12 months or more 222 280
Total $ 1,010 $ 1,131
Foreign governments    
Number of Issues    
Less than 12 months | position 37 30
12 months or more | position 28 28
Total | position 65 58
Gross Unrealized Losses    
Less than 12 months $ (16) $ (38)
12 months or more (19) (13)
Total (35) (51)
Fair Value    
Less than 12 months 702 1,520
12 months or more 91 49
Total $ 793 $ 1,569
Corporate debt securities    
Number of Issues    
Less than 12 months | position 803 1,669
12 months or more | position 480 590
Total | position 1,283 2,259
Gross Unrealized Losses    
Less than 12 months $ (149) $ (172)
12 months or more (247) (305)
Total (396) (477)
Fair Value    
Less than 12 months 5,550 7,199
12 months or more 4,053 4,949
Total $ 9,603 $ 12,148
Residential mortgage-backed securities    
Number of Issues    
Less than 12 months | position 38 95
12 months or more | position 4 16
Total | position 42 111
Gross Unrealized Losses    
Less than 12 months $ (1) $ (4)
12 months or more (1) (1)
Total (2) (5)
Fair Value    
Less than 12 months 138 227
12 months or more 21 61
Total $ 159 $ 288
Commercial mortgage-backed securities    
Number of Issues    
Less than 12 months | position 47 104
12 months or more | position 25 9
Total | position 72 113
Gross Unrealized Losses    
Less than 12 months $ (26) $ (25)
12 months or more (13) (5)
Total (39) (30)
Fair Value    
Less than 12 months 481 667
12 months or more 164 27
Total $ 645 $ 694
Collateralized debt securities    
Number of Issues    
Less than 12 months | position 124 179
12 months or more | position 20 15
Total | position 144 194
Gross Unrealized Losses    
Less than 12 months $ (27) $ (29)
12 months or more (35) (2)
Total (62) (31)
Fair Value    
Less than 12 months 1,406 1,182
12 months or more 474 35
Total $ 1,880 $ 1,217