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Fair Value Measurements - Financial Instruments Not Reported at Fair Value (Details) - USD ($)
$ in Millions
Dec. 31, 2024
Dec. 31, 2023
Assets (liabilities)    
Mortgage loans $ 20,484.2 $ 20,142.8
Policy loans 867.5 809.3
Reinsurance deposit receivable 4,897.5 6,078.6
Short-term debt (152.7) (61.1)
Long-term debt (3,955.3) (3,930.9)
Carrying amount    
Assets (liabilities)    
Mortgage loans 20,343.6 20,142.8
Policy loans 867.5 809.3
Other investments 294.9 268.6
Cash and cash equivalents not required to be reported at fair value 1,261.4 936.3
Reinsurance deposit receivable 4,897.5 6,078.6
Cash collateral receivable 3.0 38.7
Investment contracts (34,140.3) (33,937.9)
Short-term debt (152.7) (61.1)
Long-term debt (3,933.5) (3,930.9)
Separate account liabilities (157,939.3) (152,229.2)
Bank deposits (440.4) (399.5)
Cash collateral payable (428.9) (176.9)
Assets (liabilities) measured at fair value    
Assets (liabilities)    
Mortgage loans 18,466.5 18,505.0
Policy loans 879.3 846.3
Other investments 292.4 260.9
Cash and cash equivalents not required to be reported at fair value 1,261.4 936.3
Reinsurance deposit receivable 4,401.9 5,487.7
Cash collateral receivable 3.0 38.7
Investment contracts (32,922.2) (32,166.7)
Short-term debt (152.7) (61.1)
Long-term debt (3,715.7) (3,754.5)
Separate account liabilities (157,010.7) (151,280.9)
Bank deposits (442.1) (385.3)
Cash collateral payable (428.9) (176.9)
Assets (liabilities) measured at fair value | Fair value hierarchy Level 1    
Assets (liabilities)    
Cash and cash equivalents not required to be reported at fair value 1,238.5 913.9
Cash collateral receivable 3.0 38.7
Cash collateral payable (428.9) (176.9)
Assets (liabilities) measured at fair value | Fair value hierarchy Level 2    
Assets (liabilities)    
Other investments 127.5 142.9
Cash and cash equivalents not required to be reported at fair value 22.9 22.4
Investment contracts (8,306.5) (7,828.1)
Short-term debt (152.7) (61.1)
Long-term debt (3,713.2) (3,754.1)
Bank deposits (442.1) (385.3)
Assets (liabilities) measured at fair value | Fair value hierarchy Level 3    
Assets (liabilities)    
Mortgage loans 18,466.5 18,505.0
Policy loans 879.3 846.3
Other investments 164.9 118.0
Reinsurance deposit receivable 4,401.9 5,487.7
Investment contracts (24,615.7) (24,338.6)
Long-term debt (2.5) (0.4)
Separate account liabilities $ (157,010.7) $ (151,280.9)