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FAIR VALUE OF FINANCIAL INSTRUMENTS - Schedule of Carrying Amount and Fair Value of Financial Instruments (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Dec. 31, 2024
Jun. 30, 2024
Dec. 31, 2023
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]        
Derivative Asset, Statement of Financial Position [Extensible Enumeration] Other invested assets Other invested assets    
Assets, Fair Value Disclosure [Abstract]        
Available-for-sale fixed maturity securities $ 56,222      
Equity securities 7,530 $ 3,854    
Mortgage loans on real estate, net of allowance 11,469 12,426    
Real estate partnerships 4,205 3,438    
Policy loans 257 276    
Short-term investments 4,454 4,400    
Cash and cash equivalents 13,091 12,243    
Other assets – market risk benefit assets 2,668 2,461    
Separate account assets 1,322 1,343    
Financial liabilities        
Policyholders’ account balances – embedded derivative 6,320 1,160    
Market risk benefits 4,227 3,655    
Separate account liabilities 1,322 1,343 $ 1,266 $ 1,189
Amounts loaned under reverse repurchase agreements 400 400    
Fair value        
Financial liabilities        
Amounts loaned under reverse repurchase agreements 1,000 783    
Carrying Amount        
Assets, Fair Value Disclosure [Abstract]        
Available-for-sale fixed maturity securities 56,222 53,802    
Equity securities 7,530 3,854    
Mortgage loans on real estate, net of allowance 11,469 12,426    
Private loans, net of allowance 6,752 5,204    
Real estate partnerships 2,295 1,487    
Policy loans 257 276    
Short-term investments 4,454 4,400    
Derivative assets 1,160 1,361    
Separately managed accounts 61 71    
Other 846 956    
Cash and cash equivalents 13,091 12,243    
Reinsurance funds withheld – embedded derivative 6 18    
Other assets – market risk benefit assets 1,034 856    
Separate account assets 1,322 1,343    
Total financial assets 106,499 98,297    
Financial liabilities        
Policyholders’ account balances – embedded derivative 6,257 1,123    
Market risk benefits 4,227 3,655    
Notes payable 200 189    
Corporate and subsidiary borrowings 4,511 4,351    
Funds withheld for reinsurance liabilities – embedded derivative 63 37    
Other liabilities – derivative liabilities 169 27    
Separate account liabilities 1,322 1,343    
Total financial liabilities 16,749 10,725    
Fair Value        
Assets, Fair Value Disclosure [Abstract]        
Available-for-sale fixed maturity securities 56,222 53,802    
Equity securities 7,530 3,854    
Mortgage loans on real estate, net of allowance 11,392 12,240    
Private loans, net of allowance 6,767 5,320    
Real estate partnerships 2,295 1,487    
Policy loans 257 276    
Short-term investments 4,454 4,400    
Derivative assets 1,160 1,361    
Separately managed accounts 61 71    
Other 846 958    
Cash and cash equivalents 13,091 12,243    
Reinsurance funds withheld – embedded derivative 6 18    
Other assets – market risk benefit assets 1,034 856    
Separate account assets 1,322 1,343    
Total financial assets 106,437 98,229    
Financial liabilities        
Policyholders’ account balances – embedded derivative 6,257 1,123    
Market risk benefits 4,227 3,655    
Notes payable 200 189    
Corporate and subsidiary borrowings 4,566 4,371    
Funds withheld for reinsurance liabilities – embedded derivative 63 37    
Other liabilities – derivative liabilities 169 27    
Separate account liabilities 1,322 1,343    
Total financial liabilities 16,804 10,745    
Not subject to fair value hierarchy        
Assets, Fair Value Disclosure [Abstract]        
Other 649 637    
Separate account assets 30 31    
Financial liabilities        
Derivative cash collaterals $ 1,000 $ 1,300