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Contracts Accounted for as Insurance - BIG Transaction Loss Summary (Details)
$ in Millions
3 Months Ended 12 Months Ended
Mar. 31, 2020
USD ($)
risk
Dec. 31, 2019
USD ($)
risk
Discount    
Total $ (59)  
Reserves (salvage)    
Total $ 226 $ 295
BIG [Member]    
Number of risks    
Total (in contracts) | risk 259 276
Remaining weighted average contract period    
Total (in years) 9 years 6 months 9 years 8 months 12 days
Principal    
Total $ 8,112 $ 8,377
Interest    
Total 3,711 4,049
Total net outstanding exposure    
Total 11,823 12,426
Expected cash outflows (inflows)    
Total 3,833 4,005
Potential recoveries    
Total (3,167) (3,217)
Subtotal    
Total 666 788
Discount    
Total (59) (105)
Present value of expected cash flows    
Net expected loss to be paid 607 683
Deferred premium revenue    
Total 584 603
Reserves (salvage)    
Total $ 224 $ 295
BIG [Member] | BIG 1 [Member]    
Number of risks    
Total (in contracts) | risk 109 121
Principal    
Total $ 2,380 $ 2,600
BIG [Member] | BIG 2 [Member]    
Number of risks    
Total (in contracts) | risk 22 24
Principal    
Total $ 549 $ 561
BIG [Member] | BIG 3 [Member]    
Number of risks    
Total (in contracts) | risk 128 131
Principal    
Total $ 5,183 $ 5,216
BIG [Member] | Consolidated Entity Excluding Variable Interest Entities (VIE) [Member]    
Number of risks    
Total (in contracts) | risk 259 276
Remaining weighted average contract period    
Total (in years) 9 years 6 months 9 years 8 months 12 days
Principal    
Total $ 8,112 $ 8,377
Interest    
Total 3,711 4,049
Total net outstanding exposure    
Total 11,823 12,426
Expected cash outflows (inflows)    
Total 4,093 4,269
Potential recoveries    
Total (3,354) (3,406)
Subtotal    
Total 739 863
Discount    
Total (68) (122)
Present value of expected cash flows    
Net expected loss to be paid 671 741
Deferred premium revenue    
Total 630 651
Reserves (salvage)    
Total $ 259 $ 328
BIG [Member] | Consolidated Entity Excluding Variable Interest Entities (VIE) [Member] | BIG 1 [Member]    
Number of risks    
Total (in contracts) | risk 109 121
Ceded (in contracts) | risk (6) (6)
Remaining weighted average contract period    
Gross (in years) 7 years 8 months 12 days 8 years
Ceded (in years) 5 years 5 years 2 months 12 days
Principal    
Gross $ 2,433 $ 2,654
Ceded (53) (54)
Interest    
Gross 980 1,149
Ceded (15) (15)
Total net outstanding exposure    
Gross 3,413 3,803
Ceded (68) (69)
Expected cash outflows (inflows)    
Gross 163 135
Ceded (3) (3)
Potential recoveries    
Gross (629) (598)
Ceded 21 21
Subtotal    
Gross (466) (463)
Ceded 18 18
Discount    
Gross 21 54
Ceded 0 (1)
Present value of expected cash flows    
Gross (445) (409)
Ceded 18 17
Deferred premium revenue    
Gross 144 142
Ceded (1) (1)
Reserves (salvage)    
Gross (480) (441)
Ceded $ 18 $ 17
BIG [Member] | Consolidated Entity Excluding Variable Interest Entities (VIE) [Member] | BIG 2 [Member]    
Number of risks    
Total (in contracts) | risk 22 24
Ceded (in contracts) | risk 0 0
Remaining weighted average contract period    
Gross (in years) 16 years 10 months 24 days 17 years
Principal    
Gross $ 549 $ 561
Ceded 0 0
Interest    
Gross 459 481
Ceded 0 0
Total net outstanding exposure    
Gross 1,008 1,042
Ceded 0 0
Expected cash outflows (inflows)    
Gross 77 84
Ceded 0 0
Potential recoveries    
Gross (5) (10)
Ceded 0 0
Subtotal    
Gross 72 74
Ceded 0 0
Discount    
Gross (12) (21)
Ceded 0 0
Present value of expected cash flows    
Gross 60 53
Ceded 0 0
Deferred premium revenue    
Gross 25 34
Ceded 0 0
Reserves (salvage)    
Gross 42 35
Ceded $ 0 $ 0
BIG [Member] | Consolidated Entity Excluding Variable Interest Entities (VIE) [Member] | BIG 3 [Member]    
Number of risks    
Total (in contracts) | risk 128 131
Ceded (in contracts) | risk (7) (7)
Remaining weighted average contract period    
Gross (in years) 9 years 6 months 9 years 8 months 12 days
Ceded (in years) 8 years 8 years 3 months 18 days
Principal    
Gross $ 5,353 $ 5,386
Ceded (170) (170)
Interest    
Gross 2,351 2,507
Ceded (64) (73)
Total net outstanding exposure    
Gross 7,704 7,893
Ceded (234) (243)
Expected cash outflows (inflows)    
Gross 3,984 4,185
Ceded (128) (132)
Potential recoveries    
Gross (2,846) (2,926)
Ceded 105 107
Subtotal    
Gross 1,138 1,259
Ceded (23) (25)
Discount    
Gross (76) (151)
Ceded (1) (3)
Present value of expected cash flows    
Gross 1,062 1,108
Ceded (24) (28)
Deferred premium revenue    
Gross 466 480
Ceded (4) (4)
Reserves (salvage)    
Gross 701 742
Ceded (22) (25)
BIG [Member] | Variable Interest Entity, Primary Beneficiary [Member]    
Expected cash outflows (inflows)    
Total (260) (264)
Potential recoveries    
Total 187 189
Subtotal    
Total (73) (75)
Discount    
Total 9 17
Present value of expected cash flows    
Net expected loss to be paid (64) (58)
Deferred premium revenue    
Total (46) (48)
Reserves (salvage)    
Total $ (35) $ (33)