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Investment Contract Liabilities (Tables)
12 Months Ended
Dec. 31, 2022
Text block [abstract]  
Summary of Movement in Investment Contract Liabilities Measured at Fair Value The following table presents the movement in investment contract liabilities measured at fair value.
 
For the years ended December 31,
 
2022
    2021  
Balance, January 1
 
$
  802
 
  $ 932  
New policies
 
 
93
 
    54  
Changes in market conditions
 
 
(39
    (38
Redemptions, surrenders and maturities
 
 
(106
    (138
Impact of changes in foreign exchange rates
 
 
46
 
    (8
Balance, December 31
 
$
  796
 
  $   802  
 
 
Summary of Investment Contract Liabilities Measured at Amortized Cost and Fair Value Associated with these Contracts
The following table presents carrying and fair values of investment contract liabilities measured at amortized cost.
 
   
2022
          2021  
As at December 31,
 
Amortized
cost, gross of
reinsurance
ceded
(1)
    Fair value          
Amortized
cost, gross of
reinsurance
ceded
(1)
    Fair value  
U.S. fixed annuity products
 
$
1,575
 
 
$
1,547
 
              $ 1,380     $ 1,602  
Canadian fixed annuity products
 
 
877
 
 
 
956
 
            935       1,016  
Investment contract liabilities
 
$
  2,452
 
 
$
  2,503
 
              $   2,315     $   2,618  
 
(1)
As at December 31, 2022, investment contract liabilities with the carrying value and fair value of $38 and $38, respectively (2021 – $48 and $52, respectively), were reinsured by the Company. The net carrying value and fair value of investment contract liabilities were $2,414 and $2,465 (2021 – $2,267 and $2,566), respectively.
Summary of Changes in Investment Contract Liabilities Measured at Amortized Cost
The changes in investment contract liabilities measured at amortized cost was a result of the following business activities.
 
For the years ended December 31,
 
2022
    2021  
Balance, January 1
 
$
2,315
 
  $ 2,356  
Policy deposits
 
 
200
 
    92  
Interest
 
 
67
 
    71  
Withdrawals
 
 
(236
    (191
Fees
 
 
(1
    (1
Other
 
 
 
    (5
Impact of changes in foreign exchange rates
 
 
107
 
    (7
Balance, December 31
 
$
  2,452
 
  $   2,315  
Summary of Contractual Obligations and Commitments Relating to Investment Contracts
As at December 31, 2022, the Company’s contractual obligations and commitments relating to the investment contracts are as follows.
 
Payments due by period
   Less than
1 year
    
1 to 3
years
    
3 to 5
years
     Over 5
years
     Total  
Investment contract liabilities
(1)
  
$
  300
 
  
$
  511
 
  
$
  514
 
  
$
  3,365
 
  
$
  4,690
 
 
(1)
Due to the nature of the products, the timing of net cash flows may be before contract maturity. Cash flows are undiscounted.