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Fair Value of Financial Instruments - Schedule of Fair Value Assets Measured on Recurring Basis (Details) - USD ($)
$ in Millions
Sep. 30, 2024
Dec. 31, 2023
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Policy loans $ 277 $ 390
Other invested assets 1,142 120
Policyholders' account balances – investment contracts, excluding embedded derivative 82,413 17,177
Notes payable 179 174
Level 1    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Total financial assets 15,212 5,096
Total financial liabilities 201 406
Level 2    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Total financial assets 42,707 10,457
Total financial liabilities 1,105 757
Level 3    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Total financial assets 11,998 5,620
Total financial liabilities 5,774 907
Carrying Amount    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Policy loans 277 390
Total financial assets 98,323 27,455
Long term borrowings 2,959 1,493
Total financial liabilities 10,240 3,763
Carrying Amount | Mortgage loans on real estate, at amortized cost    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 11,866 5,658
Carrying Amount | Private loans, net of allowance    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 2,725 194
Fair Value    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Policy loans 277 390
Total financial assets 97,176 27,202
Long term borrowings 2,991 1,493
Total financial liabilities 10,272 3,763
Fair Value | Mortgage loans on real estate, at amortized cost    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 11,783 5,405
Fair Value | Private loans, net of allowance    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 2,725 194
Recurring | Level 1    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Policy loans 0 0
Deposit assets, included in reinsurance recoverables and deposit assets 0 0
Other invested assets 0 0
Policyholders' account balances – investment contracts, excluding embedded derivative 0 0
Long term borrowings 0 0
Notes payable 0 0
Recurring | Level 1 | Mortgage loans on real estate, at amortized cost    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 0 0
Recurring | Level 1 | Private loans, net of allowance    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 0 0
Recurring | Level 2    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Policy loans 1 0
Deposit assets, included in reinsurance recoverables and deposit assets 0 0
Other invested assets 403 0
Policyholders' account balances – investment contracts, excluding embedded derivative 0 0
Long term borrowings 0 0
Notes payable 0 0
Recurring | Level 2 | Mortgage loans on real estate, at amortized cost    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 0 0
Recurring | Level 2 | Private loans, net of allowance    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 0 0
Recurring | Level 3    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Policy loans 276 390
Deposit assets, included in reinsurance recoverables and deposit assets 13,463 0
Other invested assets 24 14
Policyholders' account balances – investment contracts, excluding embedded derivative 78,107 14,097
Long term borrowings 2,991 1,493
Notes payable 179 174
Recurring | Level 3 | Mortgage loans on real estate, at amortized cost    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 11,783 5,405
Recurring | Level 3 | Private loans, net of allowance    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 2,725 194
Recurring | Carrying Amount    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Policy loans 277 390
Deposit assets, included in reinsurance recoverables and deposit assets 14,527 0
Other invested assets 427 14
Total financial assets 29,822 6,256
Policyholders' account balances – investment contracts, excluding embedded derivative 78,107 14,097
Long term borrowings 2,959 1,493
Notes payable 179 174
Total financial liabilities 81,245 15,764
Recurring | Carrying Amount | Mortgage loans on real estate, at amortized cost    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 11,866 5,658
Recurring | Carrying Amount | Private loans, net of allowance    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 2,725 194
Recurring | Fair Value    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Policy loans 277 390
Deposit assets, included in reinsurance recoverables and deposit assets 13,463 0
Other invested assets 427 14
Total financial assets 28,675 6,003
Policyholders' account balances – investment contracts, excluding embedded derivative 78,107 14,097
Long term borrowings 2,991 1,493
Notes payable 179 174
Total financial liabilities 81,277 15,764
Recurring | Fair Value | Mortgage loans on real estate, at amortized cost    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables 11,783 5,405
Recurring | Fair Value | Private loans, net of allowance    
Fair Value Disclosure, Asset and Liability, Not Measured at Fair Value [Line Items]    
Financing receivables $ 2,725 $ 194