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Total Invested Assets and Related Net Investment Income - Reconciliation of Assets and Liabilities Categorized in Level 3 (Details) - CAD ($)
$ in Millions
12 Months Ended
Dec. 31, 2019
Dec. 31, 2018
Changes in fair value measurement, assets [abstract]    
Beginning balance $ 143,061  
Ending balance 152,785 $ 143,061
Changes in fair value measurement, liabilities [abstract]    
Fair value and foreign currency changes on assets and liabilities 7,118 (3,373)
Fair value changes on investment properties 305 529
Other invested assets    
Changes in fair value measurement, assets [abstract]    
Transfers (out) of Level 3 (110)  
Investments for account of segregated fund holders    
Changes in fair value measurement, assets [abstract]    
Transfers (out) of Level 3 (1,178)  
Recurring fair value measurement | Level 3    
Changes in fair value measurement, assets [abstract]    
Beginning balance 11,648 10,700
Acquisitions 13  
Included in net income 206 544
Included in OCI 19 (22)
Purchases 1,509 2,022
Sales / Payments (940) (1,427)
Settlements (41) (27)
Transfers into Level 3 15 18
Transfers (out) of Level 3 (1,482) (385)
Foreign currency translation (126) 225
Ending balance 10,821 11,648
Changes in fair value measurement, liabilities [abstract]    
Fair value and foreign currency changes on assets and liabilities 220 441
Recurring fair value measurement | Other invested assets | Level 3    
Changes in fair value measurement, assets [abstract]    
Beginning balance 2,241 1,721
Acquisitions 13  
Included in net income (80) 69
Included in OCI 13 (9)
Purchases 521 644
Sales / Payments (122) (227)
Settlements 0 0
Transfers into Level 3 0 0
Transfers (out) of Level 3 (110) 0
Foreign currency translation (31) 43
Ending balance 2,445 2,241
Changes in fair value measurement, liabilities [abstract]    
Fair value and foreign currency changes on assets and liabilities (78) 69
Recurring fair value measurement | Investment properties | Level 3    
Changes in fair value measurement, assets [abstract]    
Beginning balance 7,157 7,067
Acquisitions 0  
Included in net income 238 441
Included in OCI 0 0
Purchases 689 621
Sales / Payments (701) (1,113)
Settlements 0 0
Transfers into Level 3 0 0
Transfers (out) of Level 3 0 0
Foreign currency translation (77) 141
Ending balance 7,306 7,157
Changes in fair value measurement, liabilities [abstract]    
Fair value and foreign currency changes on assets and liabilities 272 331
Recurring fair value measurement | Total invested assets measured at fair value | Level 3    
Changes in fair value measurement, assets [abstract]    
Beginning balance 10,052 9,546
Acquisitions 13  
Included in net income 161 515
Included in OCI 19 (22)
Purchases 1,357 1,592
Sales / Payments (881) (1,396)
Settlements (40) (26)
Transfers into Level 3 15 14
Transfers (out) of Level 3 (304) (380)
Foreign currency translation (120) 209
Ending balance 10,272 10,052
Changes in fair value measurement, liabilities [abstract]    
Fair value and foreign currency changes on assets and liabilities 195 414
Recurring fair value measurement | Investments for account of segregated fund holders | Level 3    
Changes in fair value measurement, assets [abstract]    
Beginning balance 1,596 1,154
Acquisitions 0  
Included in net income 45 29
Included in OCI 0 0
Purchases 152 430
Sales / Payments (59) (31)
Settlements (1) (1)
Transfers into Level 3 0 4
Transfers (out) of Level 3 (1,178) (5)
Foreign currency translation (6) 16
Ending balance 549 1,596
Changes in fair value measurement, liabilities [abstract]    
Fair value and foreign currency changes on assets and liabilities 25 27
Fair value through profit or loss | Recurring fair value measurement | Debt securities | Level 3    
Changes in fair value measurement, assets [abstract]    
Beginning balance 373 417
Acquisitions 0  
Included in net income 28 (4)
Included in OCI 0 0
Purchases 85 164
Sales / Payments (49) (49)
Settlements (40) (21)
Transfers into Level 3 15 12
Transfers (out) of Level 3 (159) (159)
Foreign currency translation (5) 13
Ending balance 248 373
Changes in fair value measurement, liabilities [abstract]    
Fair value and foreign currency changes on assets and liabilities 4 5
Fair value through profit or loss | Recurring fair value measurement | Equity securities | Level 3    
Changes in fair value measurement, assets [abstract]    
Beginning balance 202 167
Acquisitions 0  
Included in net income (2) 9
Included in OCI 0 0
Purchases 5 19
Sales / Payments (9) 0
Settlements 0 0
Transfers into Level 3 0 0
Transfers (out) of Level 3 (4) 0
Foreign currency translation (4) 7
Ending balance 188 202
Changes in fair value measurement, liabilities [abstract]    
Fair value and foreign currency changes on assets and liabilities (3) 9
Available-for-sale | Recurring fair value measurement | Debt securities | Level 3    
Changes in fair value measurement, assets [abstract]    
Beginning balance 43 136
Acquisitions 0  
Included in net income 0 0
Included in OCI 4 (5)
Purchases 35 140
Sales / Payments 0 (6)
Settlements 0 (4)
Transfers into Level 3 0 1
Transfers (out) of Level 3 (31) (221)
Foreign currency translation (1) 2
Ending balance 50 43
Changes in fair value measurement, liabilities [abstract]    
Fair value and foreign currency changes on assets and liabilities 0 0
Available-for-sale | Recurring fair value measurement | Equity securities | Level 3    
Changes in fair value measurement, assets [abstract]    
Beginning balance 36 38
Acquisitions 0  
Included in net income (23) 0
Included in OCI 2 (8)
Purchases 22 4
Sales / Payments 0 (1)
Settlements 0 (1)
Transfers into Level 3 0 1
Transfers (out) of Level 3 0 0
Foreign currency translation (2) 3
Ending balance 35 36
Changes in fair value measurement, liabilities [abstract]    
Fair value and foreign currency changes on assets and liabilities 0 0
Leasing commissions and tenant inducements    
Changes in fair value measurement, liabilities [abstract]    
Fair value changes on investment properties 67 88
Put option liability | Recurring fair value measurement | Level 3    
Changes in fair value measurement, liabilities [abstract]    
Beginning balance 0 0
Acquisitions 951  
Included in net income 11 0
Included in OCI 0 0
Purchases 0 0
Sales / Payments 0 0
Settlements 0 0
Transfers into Level 3 0 0
Transfers (out) of Level 3 0 0
Foreign currency translation (6) 0
Ending balance 956 0
Gains (losses) recognised in profit or loss attributable to change in unrealised gains or losses for liabilities held at end of period, fair value measurement $ 0 $ 0