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Fair Value Measurement (Details 5) (USD $)
In Millions, unless otherwise specified
Sep. 30, 2013
Dec. 31, 2012
Assets:    
Short-term investments $ 761 $ 817
Other invested assets 126 212
Credit derivative assets 106 141
FG VIEs' assets, at fair value 2,515 2,688
Liabilities:    
Credit derivative liabilities 2,027 1,934
FG VIEs' liabilities with recourse, at fair value 1,828 2,090
FG VIEs' liabilities without recourse, at fair value 1,047 1,051
Carrying Amount
   
Assets:    
Fixed maturity securities 9,873 10,056
Short-term investments 761 817
Other invested assets 102 177
Credit derivative assets 106 141
FG VIEs' assets, at fair value 2,515 2,688
Other assets 164 166
Liabilities:    
Financial guaranty insurance contracts 3,694 [1] 3,918 [1]
Long-term debt 819 836
Credit derivative liabilities 2,027 1,934
FG VIEs' liabilities with recourse, at fair value 1,828 2,090
FG VIEs' liabilities without recourse, at fair value 1,047 1,051
Other liabilities 42 47
Estimated Fair Value
   
Assets:    
Fixed maturity securities 9,873 10,056
Short-term investments 761 817
Other invested assets 110 182
Credit derivative assets 106 141
FG VIEs' assets, at fair value 2,515 2,688
Other assets 164 166
Liabilities:    
Financial guaranty insurance contracts 5,786 [1] 6,537 [1]
Long-term debt 992 1,091
Credit derivative liabilities 2,027 1,934
FG VIEs' liabilities with recourse, at fair value 1,828 2,090
FG VIEs' liabilities without recourse, at fair value 1,047 1,051
Other liabilities $ 42 $ 47
[1] Carrying amount includes the assets and liabilities related to financial guaranty insurance contract premiums, losses, and salvage and subrogation and other recoverables net of reinsurance.