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SUBSIDIARY PUBLIC ISSUERS - Additional Information (Details)
$ in Millions, $ in Millions
Feb. 22, 2024
CAD ($)
Jun. 30, 2024
USD ($)
Jun. 05, 2024
USD ($)
May 31, 2024
USD ($)
Dec. 31, 2023
USD ($)
Medium-term Notes, Maturing April 25, 2034          
Disclosure of information about consolidated structured entities [line items]          
Subsidiary and corporate borrowings   $ 292     $ 302
Subordinated notes, Maturing May 24, 2081          
Disclosure of information about consolidated structured entities [line items]          
Notional amount     $ 8 $ 150  
Medium-term Notes, Maturing November 14, 2027          
Disclosure of information about consolidated structured entities [line items]          
Subsidiary and corporate borrowings   329     340
Medium-Term Notes, Public - Canadian - Maturing February 22, 2024          
Disclosure of information about consolidated structured entities [line items]          
Subsidiary and corporate borrowings   $ 0     $ 302
Repayments of debt $ 700        
Fixed interest rate | Medium-term Notes, Maturing April 25, 2034          
Disclosure of information about consolidated structured entities [line items]          
Borrowings, interest rate   5.40%      
Fixed interest rate | Subordinated notes, Maturing May 24, 2081          
Disclosure of information about consolidated structured entities [line items]          
Borrowings, interest rate     7.25%    
Fixed interest rate | Medium-term Notes, Maturing November 14, 2027          
Disclosure of information about consolidated structured entities [line items]          
Borrowings, interest rate   5.60%      
Fixed interest rate | Medium-Term Notes, Public - Canadian - Maturing February 22, 2024          
Disclosure of information about consolidated structured entities [line items]          
Borrowings, interest rate 3.315% 3.30%