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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
3 Months Ended 9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Sep. 30, 2025
Sep. 30, 2024
Dec. 31, 2024
Assets          
Fixed maturity securities, available-for-sale: $ 53,501   $ 53,501   $ 48,218
Derivative investments 1,228   1,228   794
Market risk benefits asset 242   242   189
Total financial assets at fair value 1,585   1,585   1,433
Derivatives:          
Market risk benefits liability $ 830   $ 830   549
Indexed annuities/indexed universal life insurance ("IUL") embedded derivatives, included in Contractholder funds          
Derivatives:          
Fair Value, Liability, Recurring Basis, Unobservable Input Reconciliation, Gain (Loss), Statement of Income or Comprehensive Income Flag Recognized gains and losses, net Recognized gains and losses, net Recognized gains and losses, net Recognized gains and losses, net  
Level 1          
Assets          
Cash and cash equivalents $ 3,494   $ 3,494   3,479
Derivative investments 1   1   0
Investment in unconsolidated affiliates 0   0   0
Short term investments 1,377   1,377   2,995
Loan receivable, included in Prepaid expenses and other assets 0   0   0
Market risk benefits asset 0   0   0
Total financial assets at fair value 6,515   6,515   7,945
Derivatives:          
Contingent consideration, included in Accounts payable and accrued liabilities 0   0   0
Market risk benefits liability 0   0   0
Total financial liabilities at fair value 0   0   1
Level 2          
Assets          
Cash and cash equivalents 0   0   0
Derivative investments 1,227   1,227   791
Investment in unconsolidated affiliates 0   0   0
Short term investments 279   279   18
Loan receivable, included in Prepaid expenses and other assets 0   0   0
Market risk benefits asset 0   0   0
Total financial assets at fair value 41,320   41,320   37,459
Derivatives:          
Contingent consideration, included in Accounts payable and accrued liabilities 0   0   0
Market risk benefits liability 0   0   0
Total financial liabilities at fair value 45   45   (99)
Level 3          
Assets          
Cash and cash equivalents 0   0   0
Derivative investments 0   0   3
Investment in unconsolidated affiliates 270   270   272
Short term investments 7   7   37
Loan receivable, included in Prepaid expenses and other assets 18   18   11
Market risk benefits asset 242   242   189
Total financial assets at fair value 13,602   13,602   11,734
Derivatives:          
Contingent consideration, included in Accounts payable and accrued liabilities 72   72   74
Market risk benefits liability 830   830   549
Total financial liabilities at fair value 6,991   6,991   5,843
NAV          
Assets          
Total financial assets at fair value 34   34   57
Fair Value          
Assets          
Cash and cash equivalents 3,494   3,494   3,479
Derivative investments 1,228   1,228   794
Investment in unconsolidated affiliates 270   270   272
Short term investments 1,663   1,663   3,050
Loan receivable, included in Prepaid expenses and other assets 18   18   11
Market risk benefits asset 242   242   189
Total financial assets at fair value 61,471   61,471   57,195
Derivatives:          
Contingent consideration, included in Accounts payable and accrued liabilities 72   72   74
Market risk benefits liability 830   830   549
Total financial liabilities at fair value 7,036   7,036   5,745
Indexed annuities/indexed universal life insurance ("IUL") embedded derivatives, included in Contractholder funds | Level 1          
Derivatives:          
Derivative liability 0   0   0
Indexed annuities/indexed universal life insurance ("IUL") embedded derivatives, included in Contractholder funds | Level 2          
Derivatives:          
Derivative liability 0   0   0
Indexed annuities/indexed universal life insurance ("IUL") embedded derivatives, included in Contractholder funds | Level 3          
Derivatives:          
Derivative liability 6,083   6,083   5,220
Indexed annuities/indexed universal life insurance ("IUL") embedded derivatives, included in Contractholder funds | Fair Value          
Derivatives:          
Derivative liability 6,083   6,083   5,220
Interest rate and foreign currency swaps, included in Accounts payable and accrued liabilities | Level 1          
Derivatives:          
Derivative liability 0   0    
Interest rate and foreign currency swaps, included in Accounts payable and accrued liabilities | Level 2          
Derivatives:          
Derivative liability 1   1    
Interest rate and foreign currency swaps, included in Accounts payable and accrued liabilities | Level 3          
Derivatives:          
Derivative liability 6   6    
Interest rate and foreign currency swaps, included in Accounts payable and accrued liabilities | Fair Value          
Derivatives:          
Derivative liability 7   7    
Interest rate swaps, included in Accounts payable and accrued liabilities | Level 1          
Derivatives:          
Derivative liability         0
Interest rate swaps, included in Accounts payable and accrued liabilities | Level 2          
Derivatives:          
Derivative liability         10
Interest rate swaps, included in Accounts payable and accrued liabilities | Level 3          
Derivatives:          
Derivative liability         0
Interest rate swaps, included in Accounts payable and accrued liabilities | Fair Value          
Derivatives:          
Derivative liability         10
Equity options | Level 1          
Derivatives:          
Derivative liability         1
Equity options | Level 2          
Derivatives:          
Derivative liability         0
Equity options | Level 3          
Derivatives:          
Derivative liability         0
Equity options | Fair Value          
Derivatives:          
Derivative liability         1
Reinsurance related embedded derivatives | Level 1          
Derivatives:          
Reinsurance related embedded derivatives, included in Funds withheld for reinsurance liabilities 0   0   0
Reinsurance related embedded derivatives | Level 2          
Derivatives:          
Reinsurance related embedded derivatives, included in Funds withheld for reinsurance liabilities 44   44   (109)
Reinsurance related embedded derivatives | Level 3          
Derivatives:          
Reinsurance related embedded derivatives, included in Funds withheld for reinsurance liabilities 0   0   0
Reinsurance related embedded derivatives | Fair Value          
Derivatives:          
Reinsurance related embedded derivatives, included in Funds withheld for reinsurance liabilities 44   44   (109)
Asset-backed securities ("ABS")          
Assets          
Fixed maturity securities, available-for-sale: 18,265   18,265   15,656
Asset-backed securities ("ABS") | Level 1          
Assets          
Fixed maturity securities, available-for-sale: 0   0   0
Asset-backed securities ("ABS") | Level 2          
Assets          
Fixed maturity securities, available-for-sale: 8,796   8,796   7,513
Asset-backed securities ("ABS") | Level 3          
Assets          
Fixed maturity securities, available-for-sale: 9,469   9,469   8,143
Asset-backed securities ("ABS") | Fair Value          
Assets          
Fixed maturity securities, available-for-sale: 18,265   18,265   15,656
Commercial mortgage-backed securities          
Assets          
Fixed maturity securities, available-for-sale: 5,388   5,388   5,182
Commercial mortgage-backed securities | Level 1          
Assets          
Fixed maturity securities, available-for-sale: 0   0   0
Commercial mortgage-backed securities | Level 2          
Assets          
Fixed maturity securities, available-for-sale: 5,346   5,346   5,182
Commercial mortgage-backed securities | Level 3          
Assets          
Fixed maturity securities, available-for-sale: 43   43   0
Commercial mortgage-backed securities | Fair Value          
Assets          
Fixed maturity securities, available-for-sale: 5,389   5,389   5,182
Corporates          
Assets          
Fixed maturity securities, available-for-sale: 23,636   23,636   21,696
Corporates | Level 1          
Assets          
Fixed maturity securities, available-for-sale: 41   41   41
Corporates | Level 2          
Assets          
Fixed maturity securities, available-for-sale: 20,277   20,277   18,698
Corporates | Level 3          
Assets          
Fixed maturity securities, available-for-sale: 3,318   3,318   2,957
Corporates | Fair Value          
Assets          
Fixed maturity securities, available-for-sale: 23,636   23,636   21,696
Hybrids          
Assets          
Fixed maturity securities, available-for-sale: 582   582   581
Hybrids | Level 1          
Assets          
Fixed maturity securities, available-for-sale: 37   37   35
Hybrids | Level 2          
Assets          
Fixed maturity securities, available-for-sale: 530   530   546
Hybrids | Level 3          
Assets          
Fixed maturity securities, available-for-sale: 15   15   0
Hybrids | Fair Value          
Assets          
Fixed maturity securities, available-for-sale: 582   582   581
Municipals          
Assets          
Fixed maturity securities, available-for-sale: 1,413   1,413   1,386
Municipals | Level 1          
Assets          
Fixed maturity securities, available-for-sale: 0   0   0
Municipals | Level 2          
Assets          
Fixed maturity securities, available-for-sale: 1,410   1,410   1,386
Municipals | Level 3          
Assets          
Fixed maturity securities, available-for-sale: 3   3   0
Municipals | Fair Value          
Assets          
Fixed maturity securities, available-for-sale: 1,413   1,413   1,386
Residential mortgage-backed securities          
Assets          
Fixed maturity securities, available-for-sale: 2,971   2,971   2,796
Residential mortgage-backed securities | Level 1          
Assets          
Fixed maturity securities, available-for-sale: 0   0   0
Residential mortgage-backed securities | Level 2          
Assets          
Fixed maturity securities, available-for-sale: 2,968   2,968   2,793
Residential mortgage-backed securities | Level 3          
Assets          
Fixed maturity securities, available-for-sale: 3   3   3
Residential mortgage-backed securities | Fair Value          
Assets          
Fixed maturity securities, available-for-sale: 2,971   2,971   2,796
U.S. Government          
Assets          
Fixed maturity securities, available-for-sale: 903   903   637
U.S. Government | Level 1          
Assets          
Fixed maturity securities, available-for-sale: 887   887   631
U.S. Government | Level 2          
Assets          
Fixed maturity securities, available-for-sale: 15   15   6
U.S. Government | Level 3          
Assets          
Fixed maturity securities, available-for-sale: 0   0   0
U.S. Government | Fair Value          
Assets          
Fixed maturity securities, available-for-sale: 902   902   637
Foreign Governments          
Assets          
Fixed maturity securities, available-for-sale: 343   343   284
Foreign Governments | Level 1          
Assets          
Fixed maturity securities, available-for-sale: 106   106   0
Foreign Governments | Level 2          
Assets          
Fixed maturity securities, available-for-sale: 213   213   280
Foreign Governments | Level 3          
Assets          
Fixed maturity securities, available-for-sale: 25   25   4
Foreign Governments | Fair Value          
Assets          
Fixed maturity securities, available-for-sale: 344   344   284
Preferred securities          
Assets          
Equity and preferred securities 449   449   443
Preferred securities | Level 1          
Assets          
Equity and preferred securities 182   182   189
Preferred securities | Level 2          
Assets          
Equity and preferred securities 259   259   246
Preferred securities | Level 3          
Assets          
Equity and preferred securities 8   8   8
Preferred securities | Fair Value          
Assets          
Equity and preferred securities 449   449   443
Equity securities | Level 1          
Assets          
Equity and preferred securities 390   390   575
Equity securities | Level 2          
Assets          
Equity and preferred securities 0   0   0
Equity securities | Level 3          
Assets          
Equity and preferred securities 17   17   10
Equity securities | NAV          
Assets          
Equity and preferred securities 34   34   57
Equity securities | Fair Value          
Assets          
Equity and preferred securities 441   441   642
Other long-term investments | Level 1          
Assets          
Other long-term investments 0   0   0
Other long-term investments | Level 2          
Assets          
Other long-term investments 0   0   0
Other long-term investments | Level 3          
Assets          
Other long-term investments 39   39   32
Other long-term investments | Fair Value          
Assets          
Other long-term investments 39   39   32
Mortgage servicing rights ("MSRs") | Level 1          
Assets          
Mortgage servicing rights ("MSRs") 0   0   0
Mortgage servicing rights ("MSRs") | Level 2          
Assets          
Mortgage servicing rights ("MSRs") 0   0   0
Mortgage servicing rights ("MSRs") | Level 3          
Assets          
Mortgage servicing rights ("MSRs") 125   125   65
Mortgage servicing rights ("MSRs") | Fair Value          
Assets          
Mortgage servicing rights ("MSRs") $ 125   $ 125   $ 65