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Capital Instruments - Schedule of Carrying Value of Capital Instruments (Detail)
12 Months Ended
Dec. 31, 2021
CAD ($)
Dec. 31, 2021
USD ($)
Dec. 31, 2021
SGD ($)
Dec. 31, 2020
CAD ($)
Carrying value of capital instruments [line items]        
Total $ 6,980,000,000     $ 7,829,000,000
JHFC subordinated notes [member]        
Carrying value of capital instruments [line items]        
Issuance date Dec. 14, 2006      
Maturity date Dec. 15, 2036      
Par value $ 650      
Total $ 647,000,000     647,000,000
2.818% MFC Subordinated debentures [member]        
Carrying value of capital instruments [line items]        
Capital instruments interest rate 2.818% 2.818% 2.818%  
Issuance date May 12, 2020      
Earliest par redemption date May 13, 2030      
Maturity date May 13, 2035      
Par value $ 1,000      
Total $ 995,000,000     995,000,000
4.061% MFC subordinated notes [member]        
Carrying value of capital instruments [line items]        
Capital instruments interest rate 4.061% 4.061% 4.061%  
Issuance date Feb. 24, 2017      
Earliest par redemption date Feb. 24, 2027      
Maturity date Feb. 24, 2032      
Par value   $ 750    
Total $ 947,000,000     951,000,000
2.237% MFC Subordinated debentures [member]        
Carrying value of capital instruments [line items]        
Capital instruments interest rate 2.237% 2.237% 2.237%  
Issuance date May 12, 2020      
Earliest par redemption date May 12, 2025      
Maturity date May 12, 2030      
Par value $ 1,000      
Total $ 997,000,000     996,000,000
7.375% JHUSA Surplus notes [Member]        
Carrying value of capital instruments [line items]        
Capital instruments interest rate 7.375% 7.375% 7.375%  
Issuance date Feb. 25, 1994      
Maturity date Feb. 15, 2024      
Par value   $ 450    
Total $ 579,000,000     584,000,000
3.00% MFC subordinated notes [member]        
Carrying value of capital instruments [line items]        
Capital instruments interest rate 3.00% 3.00% 3.00%  
Issuance date Nov. 21, 2017      
Earliest par redemption date Nov. 21, 2024      
Maturity date Nov. 21, 2029      
Par value     $ 500  
Total $ 469,000,000     480,000,000
3.049% MFC Subordinated debentures [member]        
Carrying value of capital instruments [line items]        
Capital instruments interest rate 3.049% 3.049% 3.049%  
Issuance date Aug. 18, 2017      
Earliest par redemption date Aug. 20, 2024      
Maturity date Aug. 20, 2029      
Par value $ 750      
Total $ 748,000,000     748,000,000
3.317% MFC Subordinated debentures [member]        
Carrying value of capital instruments [line items]        
Capital instruments interest rate 3.317% 3.317% 3.317%  
Issuance date May 09, 2018      
Earliest par redemption date May 09, 2023      
Maturity date May 09, 2028      
Par value $ 600      
Total $ 599,000,000     598,000,000
3.181% MLI Subordinated debentures [Member]        
Carrying value of capital instruments [line items]        
Capital instruments interest rate 3.181% 3.181% 3.181%  
Issuance date Nov. 20, 2015      
Earliest par redemption date Nov. 22, 2022      
Maturity date Nov. 22, 2027      
Par value $ 1,000      
Total $ 999,000,000     999,000,000
3.85% MFC Subordinated notes [Member]        
Carrying value of capital instruments [line items]        
Capital instruments interest rate 3.85% 3.85% 3.85%  
Issuance date May 25, 2016      
Earliest par redemption date May 25, 2021      
Maturity date May 25, 2026      
Par value     $ 500  
Total       481,000,000
2.389% MLI Subordinated debentures [Member]        
Carrying value of capital instruments [line items]        
Capital instruments interest rate 2.389% 2.389% 2.389%  
Issuance date Jun. 01, 2015      
Earliest par redemption date Jan. 05, 2021      
Maturity date Jan. 05, 2026      
Par value $ 350      
Total       $ 350,000,000