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Fair Value of Financial Instruments - Schedule of Carrying Amount and Fair Value of Financial Instruments (Details) - USD ($)
$ in Millions
Jun. 30, 2025
Mar. 31, 2025
Dec. 31, 2024
Jun. 30, 2024
Mar. 31, 2024
Dec. 31, 2023
Fair Value, Balance Sheet Grouping, Financial Statement Captions [Line Items]            
Derivative Asset, Statement of Financial Position [Extensible Enumeration] Other invested assets   Other invested assets      
Financial assets:            
Equity securities $ 1,238   $ 1,142      
Policy loans 257   274      
Short-term investments 4,067   4,177      
Derivative assets 1,171   1,346      
Separate account assets 1,322   1,343      
Financial liabilities:            
Market risk benefits 4,227   3,655      
Derivative liabilities 170   5      
Separate account liabilities 1,322 $ 1,253 1,343 $ 1,266 $ 1,285 $ 1,189
Real estate partnerships, equity method investments 1,800   1,800      
Directly held real estate 2,400   2,200      
Investment funds, equity method investment 2,500   2,500      
Securities purchased under agreements to resell 400   400      
Securities purchased under agreements to resell, fair value of collateral 1,000   783      
Other invested assets, equity method investments 994   959      
Separate accounts not subject to fair value hierarchy 30   31      
Fair Value Measured at Net Asset Value Per Share            
Financial assets:            
Investment funds 351   353      
Financial liabilities:            
Investments funds 351   353      
Carrying Amount            
Financial assets:            
Available-for-sale fixed maturity securities 48,931   47,292      
Equity securities 1,238   1,142      
Real estate partnerships 1,712   932      
Investment funds 141   124      
Policy loans 257   274      
Short-term investments 4,067   4,177      
Derivative assets 1,101   1,341      
Collaterals received on derivatives (excluding excess collateral) (1,008)   (1,298)      
Separately managed accounts 61   71      
Other 864   941      
Cash and cash equivalents 12,104   11,330      
Other assets – market risk benefit assets 1,035   857      
Separate account assets 1,322   1,343      
Total financial assets 91,199   86,375      
Financial liabilities:            
Policyholders’ account balances – embedded derivative 6,257   1,123      
Market risk benefits 4,227   3,655      
Derivative liabilities 101   0      
Funds withheld for reinsurance liabilities 63   37      
Notes payable 200   189      
Long term borrowings 2,953   2,957      
Separate account liabilities 1,322   1,343      
Total financial liabilities 15,123   9,304      
Carrying Amount | Mortgage loans on real estate, net of allowance            
Financial assets:            
Mortgage loans on real estate, net of allowance/Private loans, net of allowance 11,254   12,117      
Carrying Amount | Private loans, net of allowance            
Financial assets:            
Mortgage loans on real estate, net of allowance/Private loans, net of allowance 8,120   5,732      
Fair Value            
Financial assets:            
Available-for-sale fixed maturity securities 48,931   47,292      
Equity securities 1,238   1,142      
Real estate partnerships 1,712   932      
Investment funds 141   124      
Policy loans 257   274      
Short-term investments 4,067   4,177      
Derivative assets 1,101   1,341      
Collaterals received on derivatives (excluding excess collateral) (1,008)   (1,298)      
Separately managed accounts 61   71      
Other 865   943      
Cash and cash equivalents 12,104   11,330      
Other assets – market risk benefit assets 1,035   857      
Separate account assets 1,322   1,343      
Total financial assets 91,159   86,245      
Financial liabilities:            
Policyholders’ account balances – embedded derivative 6,257   1,123      
Market risk benefits 4,227   3,655      
Derivative liabilities 101   0      
Funds withheld for reinsurance liabilities 63   37      
Notes payable 200   189      
Long term borrowings 3,017   2,977      
Separate account liabilities 1,322   1,343      
Total financial liabilities 15,187   9,324      
Fair Value | Mortgage loans on real estate, net of allowance            
Financial assets:            
Mortgage loans on real estate, net of allowance/Private loans, net of allowance 11,187   11,928      
Fair Value | Private loans, net of allowance            
Financial assets:            
Mortgage loans on real estate, net of allowance/Private loans, net of allowance $ 8,146   $ 5,790