XML 84 R71.htm IDEA: XBRL DOCUMENT v3.25.1
FAIR VALUE DISCLOSURES - Assets and Liabilities Measured on Recurring Basis (Details) - USD ($)
$ in Millions
Mar. 31, 2025
Dec. 31, 2024
Jun. 30, 2024
Mar. 31, 2024
Dec. 31, 2023
Investments          
Fixed maturities, AFS: $ 77,997 $ 76,641      
Fixed maturities, at fair value using the fair value option [1] 2,105 2,053      
Liabilities:          
Notes issued by consolidated VIE's, at fair value using the fair value option [1] 2,110 2,116      
Liability for market risk benefits 10,864 11,810 $ 12,612 $ 12,833 $ 14,630
Accrued interest payable for notes issued by consolidated variable interest entity 11 11      
Carrying Value | Other liabilities          
Investments          
Other equity investments 21 20      
U.S. Treasury, government and agency          
Investments          
Fixed maturities, AFS: 4,754 4,288      
States and political subdivisions          
Investments          
Fixed maturities, AFS: 389 386      
Foreign governments          
Investments          
Fixed maturities, AFS: 559 554      
Residential mortgage-backed          
Investments          
Fixed maturities, AFS: 5,260 4,383      
Asset-backed          
Investments          
Fixed maturities, AFS: 13,885 13,699      
Commercial mortgage-backed          
Investments          
Fixed maturities, AFS: 4,156 3,921      
Redeemable preferred stock          
Investments          
Fixed maturities, AFS: 57 59      
Recurring          
Investments          
Fixed maturities, AFS: 77,997 76,641      
Fixed maturities, at fair value using the fair value option 2,105 2,053      
Other equity investments 587 623      
Trading securities 1,203 1,089      
Other invested assets: 13,738 16,265      
Cash equivalents 5,992 5,401      
Segregated securities 772 500      
Purchased market risk benefits 5,976 7,376      
Assets for market risk benefits 644 863      
Separate Accounts assets 124,062 134,203      
Total Assets 233,076 245,014      
Liabilities:          
Notes issued by consolidated VIE's, at fair value using the fair value option 2,099 2,105      
Liability for market risk benefits 10,864 11,810      
Contingent payment arrangements 8 9      
Total Liabilities 26,933 31,136      
Recurring | Corporate          
Investments          
Fixed maturities, AFS: 48,937 49,351      
Recurring | U.S. Treasury, government and agency          
Investments          
Fixed maturities, AFS: 4,754 4,288      
Recurring | States and political subdivisions          
Investments          
Fixed maturities, AFS: 389 386      
Recurring | Foreign governments          
Investments          
Fixed maturities, AFS: 559 554      
Recurring | Residential mortgage-backed          
Investments          
Fixed maturities, AFS: 5,260 4,383      
Recurring | Asset-backed          
Investments          
Fixed maturities, AFS: 13,885 13,699      
Recurring | Commercial mortgage-backed          
Investments          
Fixed maturities, AFS: 4,156 3,921      
Recurring | Redeemable preferred stock          
Investments          
Fixed maturities, AFS: 57 59      
Recurring | Short-term investments          
Investments          
Other invested assets: 50 36      
Recurring | Assets of consolidated VIEs/VOEs          
Investments          
Other invested assets: 344 155      
Recurring | Swaps          
Investments          
Other invested assets: (283) (259)      
Recurring | Credit default swaps          
Investments          
Other invested assets: (5) 2      
Recurring | Futures          
Investments          
Other invested assets: 1 3      
Recurring | Options          
Investments          
Other invested assets: 13,631 16,328      
Recurring | SCS, SIO, MSO and IUL indexed features’ liability          
Liabilities:          
Guarantees 13,962 17,212      
Recurring | Level 1          
Investments          
Fixed maturities, AFS: 0 0      
Fixed maturities, at fair value using the fair value option 0 0      
Other equity investments 311 319      
Trading securities 406 433      
Other invested assets: 19 19      
Cash equivalents 5,462 5,356      
Segregated securities 0 2      
Purchased market risk benefits 0 0      
Assets for market risk benefits 0 0      
Separate Accounts assets 121,586 131,714      
Total Assets 127,784 137,843      
Liabilities:          
Notes issued by consolidated VIE's, at fair value using the fair value option 0 0      
Liability for market risk benefits 0 0      
Contingent payment arrangements 0 0      
Total Liabilities 0 0      
Recurring | Level 1 | Corporate          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 1 | U.S. Treasury, government and agency          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 1 | States and political subdivisions          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 1 | Foreign governments          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 1 | Residential mortgage-backed          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 1 | Asset-backed          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 1 | Commercial mortgage-backed          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 1 | Redeemable preferred stock          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 1 | Short-term investments          
Investments          
Other invested assets: 0 0      
Recurring | Level 1 | Assets of consolidated VIEs/VOEs          
Investments          
Other invested assets: 18 16      
Recurring | Level 1 | Swaps          
Investments          
Other invested assets: 0 0      
Recurring | Level 1 | Credit default swaps          
Investments          
Other invested assets: 0 0      
Recurring | Level 1 | Futures          
Investments          
Other invested assets: 1 3      
Recurring | Level 1 | Options          
Investments          
Other invested assets: 0 0      
Recurring | Level 1 | SCS, SIO, MSO and IUL indexed features’ liability          
Liabilities:          
Guarantees 0 0      
Recurring | Level 2          
Investments          
Fixed maturities, AFS: 75,510 73,929      
Fixed maturities, at fair value using the fair value option 1,842 1,778      
Other equity investments 260 251      
Trading securities 688 576      
Other invested assets: 13,717 16,244      
Cash equivalents 530 45      
Segregated securities 772 498      
Purchased market risk benefits 0 0      
Assets for market risk benefits 0 0      
Separate Accounts assets 2,476 2,489      
Total Assets 95,795 95,810      
Liabilities:          
Notes issued by consolidated VIE's, at fair value using the fair value option 1,931 1,933      
Liability for market risk benefits 0 0      
Contingent payment arrangements 0 0      
Total Liabilities 15,893 19,145      
Recurring | Level 2 | Corporate          
Investments          
Fixed maturities, AFS: 47,106 46,879      
Recurring | Level 2 | U.S. Treasury, government and agency          
Investments          
Fixed maturities, AFS: 4,754 4,288      
Recurring | Level 2 | States and political subdivisions          
Investments          
Fixed maturities, AFS: 389 386      
Recurring | Level 2 | Foreign governments          
Investments          
Fixed maturities, AFS: 559 554      
Recurring | Level 2 | Residential mortgage-backed          
Investments          
Fixed maturities, AFS: 5,260 4,383      
Recurring | Level 2 | Asset-backed          
Investments          
Fixed maturities, AFS: 13,237 13,467      
Recurring | Level 2 | Commercial mortgage-backed          
Investments          
Fixed maturities, AFS: 4,148 3,913      
Recurring | Level 2 | Redeemable preferred stock          
Investments          
Fixed maturities, AFS: 57 59      
Recurring | Level 2 | Short-term investments          
Investments          
Other invested assets: 50 36      
Recurring | Level 2 | Assets of consolidated VIEs/VOEs          
Investments          
Other invested assets: 324 137      
Recurring | Level 2 | Swaps          
Investments          
Other invested assets: (283) (259)      
Recurring | Level 2 | Credit default swaps          
Investments          
Other invested assets: (5) 2      
Recurring | Level 2 | Futures          
Investments          
Other invested assets: 0 0      
Recurring | Level 2 | Options          
Investments          
Other invested assets: 13,631 16,328      
Recurring | Level 2 | SCS, SIO, MSO and IUL indexed features’ liability          
Liabilities:          
Guarantees 13,962 17,212      
Recurring | Level 3          
Investments          
Fixed maturities, AFS: 2,487 2,712      
Fixed maturities, at fair value using the fair value option 263 275      
Other equity investments 16 53      
Trading securities 109 80      
Other invested assets: 2 2      
Cash equivalents 0 0      
Segregated securities 0 0      
Purchased market risk benefits 5,976 7,376      
Assets for market risk benefits 644 863      
Separate Accounts assets 0 0      
Total Assets 9,497 11,361      
Liabilities:          
Notes issued by consolidated VIE's, at fair value using the fair value option 168 172      
Liability for market risk benefits 10,864 11,810      
Contingent payment arrangements 8 9      
Total Liabilities 11,040 11,991      
Recurring | Level 3 | Corporate          
Investments          
Fixed maturities, AFS: 1,831 2,472      
Recurring | Level 3 | U.S. Treasury, government and agency          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 3 | States and political subdivisions          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 3 | Foreign governments          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 3 | Residential mortgage-backed          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 3 | Asset-backed          
Investments          
Fixed maturities, AFS: 648 232      
Recurring | Level 3 | Commercial mortgage-backed          
Investments          
Fixed maturities, AFS: 8 8      
Recurring | Level 3 | Redeemable preferred stock          
Investments          
Fixed maturities, AFS: 0 0      
Recurring | Level 3 | Short-term investments          
Investments          
Other invested assets: 0 0      
Recurring | Level 3 | Assets of consolidated VIEs/VOEs          
Investments          
Other invested assets: 2 2      
Recurring | Level 3 | Swaps          
Investments          
Other invested assets: 0 0      
Recurring | Level 3 | Credit default swaps          
Investments          
Other invested assets: 0 0      
Recurring | Level 3 | Futures          
Investments          
Other invested assets: 0 0      
Recurring | Level 3 | Options          
Investments          
Other invested assets: 0 0      
Recurring | Level 3 | SCS, SIO, MSO and IUL indexed features’ liability          
Liabilities:          
Guarantees 0 0      
Recurring | NAV          
Investments          
Separate Accounts assets $ 302 $ 320      
[1] See Note 2 of the Notes to these Consolidated Financial Statements for details of balances with VIEs.