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VARIABLE INTEREST ENTITIES AND EQUITY METHOD INVESTMENTS - Schedule of Variable Interest Entities (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Jun. 30, 2024
Dec. 31, 2023
Variable Interest Entity [Line Items]        
Available-for-sale fixed maturity securities $ 56,222      
Equity securities 7,530 $ 3,854    
Mortgages on real estate, net of allowance 11,469 12,426    
Private loans, net of allowance 6,752 5,204    
Investment real estate 2,593 2,366    
Investment funds 6,421 6,111    
Short-term investments 4,454 4,400    
Other invested assets 1,062 1,089    
Cash and cash equivalents 13,091 12,243 $ 14,335 $ 4,308
Other assets 2,668 2,461    
Total assets of consolidated VIEs 148,893 139,953    
Notes payable 200 189    
Total liabilities of consolidated VIEs 133,054 126,877    
Carrying Amount        
Variable Interest Entity [Line Items]        
Available-for-sale fixed maturity securities 56,222 53,802    
Equity securities 7,530 3,854    
Mortgages on real estate, net of allowance 11,469 12,426    
Short-term investments 4,454 4,400    
Other assets 1,034 856    
Other liabilities 169 27    
Maximum Exposure to Loss        
Variable Interest Entity [Line Items]        
Available-for-sale fixed maturity securities 56,222 53,802    
Equity securities 7,530 3,854    
Mortgages on real estate, net of allowance 11,392 12,240    
Short-term investments 4,454 4,400    
Other assets 1,034 856    
Other liabilities 169 27    
Consolidated Variable Interest Entities        
Variable Interest Entity [Line Items]        
Available-for-sale fixed maturity securities 347 127    
Equity securities 438 576    
Mortgages on real estate, net of allowance 212 189    
Private loans, net of allowance 1,711 1,384    
Investment real estate 2,277 1,798    
Real estate partnerships 3,715 2,885    
Investment funds 5,619 4,804    
Other invested assets 206 144    
Cash and cash equivalents 165 218    
Other assets 301 404    
Total assets of consolidated VIEs 14,991 12,529    
Notes payable 200 189    
Other liabilities 431 363    
Total liabilities of consolidated VIEs 631 552    
Unconsolidated Variable Interest Entities | Carrying Amount        
Variable Interest Entity [Line Items]        
Available-for-sale fixed maturity securities 1,222 2,142    
Equity securities 862 466    
Mortgages on real estate, net of allowance 615 716    
Private loans, net of allowance 105 0    
Investment real estate 3,410 2,548    
Investment funds 4,363 1,989    
Short-term investments 446 99    
Other assets 175 173    
Total assets of consolidated VIEs 11,198 8,133    
Unconsolidated Variable Interest Entities | Maximum Exposure to Loss        
Variable Interest Entity [Line Items]        
Available-for-sale fixed maturity securities 1,334 3,003    
Equity securities 862 466    
Mortgages on real estate, net of allowance 617 731    
Private loans, net of allowance 105 0    
Investment real estate 3,414 2,579    
Investment funds 5,023 2,153    
Short-term investments 446 99    
Other assets 203 189    
Total assets of consolidated VIEs $ 12,004 $ 9,220