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Fair Value of Financial Instruments - Schedule of Carrying Amounts of Assets and Liabilities at Estimated Fair Value Measured on a Recurring Basis (Details) - USD ($)
$ in Millions
Sep. 30, 2024
Dec. 31, 2023
Assets    
Fixed maturity securities available for sale $ 48,940 $ 42,373
Derivative investments and reinsurance related embedded derivative, included in other assets 1,401 797
Market risk benefits asset 134 88
Total financial assets at fair value 1,355 1,312
Derivatives:    
Market risk benefits liability 603 403
Level 1    
Assets    
Cash and cash equivalents 4,970 2,767
Short term investments 1,013 2,111
Derivative investments and reinsurance related embedded derivative, included in other assets 0 0
Investment in unconsolidated affiliates 0 0
Market risk benefits asset 0 0
Other assets 0  
Total financial assets at fair value 7,751 6,566
Derivatives:    
Contingent consideration obligation 0  
Market risk benefits liability 0 0
Total financial liabilities at fair value 5 1
Level 2    
Assets    
Cash and cash equivalents 0 0
Short term investments 8 8
Derivative investments and reinsurance related embedded derivative, included in other assets 1,401 740
Investment in unconsolidated affiliates 0 0
Market risk benefits asset 0 0
Other assets 0  
Total financial assets at fair value 38,770 33,703
Derivatives:    
Contingent consideration obligation 0  
Market risk benefits liability 0 0
Total financial liabilities at fair value 34 0
Level 3    
Assets    
Cash and cash equivalents 0 0
Short term investments 156 0
Derivative investments and reinsurance related embedded derivative, included in other assets 0 57
Investment in unconsolidated affiliates 272 285
Market risk benefits asset 134 88
Other assets 55  
Total financial assets at fair value 11,596 9,677
Derivatives:    
Contingent consideration obligation 69  
Market risk benefits liability 603 403
Total financial liabilities at fair value 6,083 4,661
NAV    
Assets    
Total financial assets at fair value 59 59
Fair Value    
Assets    
Cash and cash equivalents 4,970 2,767
Short term investments 1,177 2,119
Derivative investments and reinsurance related embedded derivative, included in other assets 1,401 797
Investment in unconsolidated affiliates 272 285
Market risk benefits asset 134 88
Other assets 55  
Total financial assets at fair value 58,176 50,005
Derivatives:    
Contingent consideration obligation 69  
Market risk benefits liability 603 403
Total financial liabilities at fair value 6,122 4,662
Reinsurance related embedded derivative, included in other assets | Level 1    
Assets    
Derivative investments and reinsurance related embedded derivative, included in other assets   0
Reinsurance related embedded derivative, included in other assets | Level 2    
Assets    
Derivative investments and reinsurance related embedded derivative, included in other assets   152
Reinsurance related embedded derivative, included in other assets | Level 3    
Assets    
Derivative investments and reinsurance related embedded derivative, included in other assets   0
Reinsurance related embedded derivative, included in other assets | Fair Value    
Assets    
Derivative investments and reinsurance related embedded derivative, included in other assets   152
Indexed annuities/indexed universal life insurance ("IUL") embedded derivatives, included in contractholder funds | Level 1    
Derivatives:    
Derivative liability 0 0
Indexed annuities/indexed universal life insurance ("IUL") embedded derivatives, included in contractholder funds | Level 2    
Derivatives:    
Derivative liability 0 0
Indexed annuities/indexed universal life insurance ("IUL") embedded derivatives, included in contractholder funds | Level 3    
Derivatives:    
Derivative liability 5,411 4,258
Indexed annuities/indexed universal life insurance ("IUL") embedded derivatives, included in contractholder funds | Fair Value    
Derivatives:    
Derivative liability 5,411 4,258
Reinsurance related embedded derivative | Level 1    
Derivatives:    
Derivative liability 0  
Reinsurance related embedded derivative | Level 2    
Derivatives:    
Derivative liability 34  
Reinsurance related embedded derivative | Level 3    
Derivatives:    
Derivative liability 0  
Reinsurance related embedded derivative | Fair Value    
Derivatives:    
Derivative liability 34  
Equity options | Level 1    
Derivatives:    
Derivative liability 5 1
Equity options | Level 2    
Derivatives:    
Derivative liability 0 0
Equity options | Level 3    
Derivatives:    
Derivative liability 0 0
Equity options | Fair Value    
Derivatives:    
Derivative liability 5 1
Asset-backed securities ("ABS")    
Assets    
Fixed maturity securities available for sale 15,963 14,342
Asset-backed securities ("ABS") | Level 1    
Assets    
Fixed maturity securities available for sale 0 0
Asset-backed securities ("ABS") | Level 2    
Assets    
Fixed maturity securities available for sale 7,779 7,220
Asset-backed securities ("ABS") | Level 3    
Assets    
Fixed maturity securities available for sale 8,184 7,122
Asset-backed securities ("ABS") | Fair Value    
Assets    
Fixed maturity securities available for sale 15,963 14,342
Commercial mortgage-backed securities    
Assets    
Fixed maturity securities available for sale 5,179 4,475
Commercial mortgage-backed securities | Level 1    
Assets    
Fixed maturity securities available for sale 0 0
Commercial mortgage-backed securities | Level 2    
Assets    
Fixed maturity securities available for sale 5,179 4,457
Commercial mortgage-backed securities | Level 3    
Assets    
Fixed maturity securities available for sale 0 18
Commercial mortgage-backed securities | Fair Value    
Assets    
Fixed maturity securities available for sale 5,179 4,475
Corporates    
Assets    
Fixed maturity securities available for sale 21,972 17,896
Corporates | Level 1    
Assets    
Fixed maturity securities available for sale 78 25
Corporates | Level 2    
Assets    
Fixed maturity securities available for sale 19,166 15,892
Corporates | Level 3    
Assets    
Fixed maturity securities available for sale 2,728 1,979
Corporates | Fair Value    
Assets    
Fixed maturity securities available for sale 21,972 17,896
Hybrids    
Assets    
Fixed maturity securities available for sale 596 618
Hybrids | Level 1    
Assets    
Fixed maturity securities available for sale 37 95
Hybrids | Level 2    
Assets    
Fixed maturity securities available for sale 559 523
Hybrids | Level 3    
Assets    
Fixed maturity securities available for sale 0 0
Hybrids | Fair Value    
Assets    
Fixed maturity securities available for sale 596 618
Municipals    
Assets    
Fixed maturity securities available for sale 1,515 1,611
Municipals | Level 1    
Assets    
Fixed maturity securities available for sale 0 0
Municipals | Level 2    
Assets    
Fixed maturity securities available for sale 1,515 1,562
Municipals | Level 3    
Assets    
Fixed maturity securities available for sale 0 49
Municipals | Fair Value    
Assets    
Fixed maturity securities available for sale 1,515 1,611
Residential mortgage-backed securities    
Assets    
Fixed maturity securities available for sale 2,600 2,429
Residential mortgage-backed securities | Level 1    
Assets    
Fixed maturity securities available for sale 0 0
Residential mortgage-backed securities | Level 2    
Assets    
Fixed maturity securities available for sale 2,597 2,426
Residential mortgage-backed securities | Level 3    
Assets    
Fixed maturity securities available for sale 3 3
Residential mortgage-backed securities | Fair Value    
Assets    
Fixed maturity securities available for sale 2,600 2,429
U.S. Government    
Assets    
Fixed maturity securities available for sale 803 678
U.S. Government | Level 1    
Assets    
Fixed maturity securities available for sale 797 662
U.S. Government | Level 2    
Assets    
Fixed maturity securities available for sale 6 16
U.S. Government | Level 3    
Assets    
Fixed maturity securities available for sale 0 0
U.S. Government | Fair Value    
Assets    
Fixed maturity securities available for sale 803 678
Foreign Governments    
Assets    
Fixed maturity securities available for sale 312 324
Foreign Governments | Level 1    
Assets    
Fixed maturity securities available for sale 0 0
Foreign Governments | Level 2    
Assets    
Fixed maturity securities available for sale 307 308
Foreign Governments | Level 3    
Assets    
Fixed maturity securities available for sale 5 16
Foreign Governments | Fair Value    
Assets    
Fixed maturity securities available for sale 312 324
Preferred securities    
Assets    
Equity and preferred securities 460 621
Preferred securities | Level 1    
Assets    
Equity and preferred securities 199 214
Preferred securities | Level 2    
Assets    
Equity and preferred securities 253 399
Preferred securities | Level 3    
Assets    
Equity and preferred securities 8 8
Preferred securities | Fair Value    
Assets    
Equity and preferred securities 460 621
Equity securities | Level 1    
Assets    
Equity and preferred securities 657 692
Equity securities | Level 2    
Assets    
Equity and preferred securities 0 0
Equity securities | Level 3    
Assets    
Equity and preferred securities 13 15
Equity securities | NAV    
Assets    
Equity and preferred securities 59 59
Equity securities | Fair Value    
Assets    
Equity and preferred securities 729 766
Other long-term investments | Level 1    
Assets    
Other long-term investments 0 0
Other long-term investments | Level 2    
Assets    
Other long-term investments 0 0
Other long-term investments | Level 3    
Assets    
Other long-term investments 38 37
Other long-term investments | Fair Value    
Assets    
Other long-term investments $ 38 $ 37