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Contracts Accounted for as Insurance - BIG Transaction Loss Summary (Details)
$ in Millions
12 Months Ended
Dec. 31, 2022
USD ($)
risk
Dec. 31, 2021
USD ($)
risk
Discount    
Net $ (82)  
Reserves (salvage)    
Net $ 37 $ 79
BIG    
Number of risks    
Total (in contracts) | risk 247 262
Remaining weighted average contract period    
Gross (in years) 9 years 9 months 18 days 8 years 6 months
Par    
Net $ 5,835 $ 7,293
Interest    
Net 3,144 2,962
Total net outstanding exposure    
Net 8,979 10,255
Expected cash outflows (inflows)    
Net 2,008 4,918
Potential recoveries    
Net (1,725) (4,430)
Subtotal    
Net 283 488
Discount    
Net (82) (129)
Expected losses to be paid (recovered)    
Net expected loss to be paid 201 359
Deferred premium revenue    
Net 345 435
Reserves (salvage)    
Net $ 33 $ 74
BIG | BIG 1    
Number of risks    
Total (in contracts) | risk 122 117
Par    
Net $ 3,357 $ 2,429
BIG | BIG 2    
Number of risks    
Total (in contracts) | risk 14 16
Par    
Net $ 171 $ 177
BIG | BIG 3    
Number of risks    
Total (in contracts) | risk 111 129
Par    
Net $ 2,307 $ 4,687
BIG | Consolidated Entity Excluding Variable Interest Entities (VIE)    
Number of risks    
Total (in contracts) | risk 247 262
Remaining weighted average contract period    
Gross (in years) 9 years 9 months 18 days 8 years 6 months
Par    
Gross $ 5,852 $ 7,359
Interest    
Gross 3,148 2,978
Total net outstanding exposure    
Gross 9,000 10,337
Expected cash outflows (inflows)    
Gross 2,020 4,971
Potential recoveries    
Gross (1,737) (4,495)
Subtotal    
Gross 283 476
Discount    
Gross (82) (129)
Expected losses to be paid (recovered)    
Gross (201) (347)
Deferred premium revenue    
Gross 345 437
Reserves (salvage)    
Gross $ 33 $ 60
BIG | Consolidated Entity Excluding Variable Interest Entities (VIE) | BIG 1    
Number of risks    
Total (in contracts) | risk 122 117
Remaining weighted average contract period    
Gross (in years) 11 years 3 months 18 days 7 years 7 months 6 days
Par    
Gross $ 3,363 $ 2,437
Interest    
Gross 2,177 1,000
Total net outstanding exposure    
Gross 5,540 3,437
Expected cash outflows (inflows)    
Gross 128 111
Potential recoveries    
Gross (294) (656)
Subtotal    
Gross (166) (545)
Discount    
Gross 35 19
Expected losses to be paid (recovered)    
Gross 131 526
Deferred premium revenue    
Gross 170 85
Reserves (salvage)    
Gross $ (174) $ (549)
BIG | Consolidated Entity Excluding Variable Interest Entities (VIE) | BIG 2    
Number of risks    
Total (in contracts) | risk 14 16
Remaining weighted average contract period    
Gross (in years) 8 years 8 months 12 days 8 years 10 months 24 days
Par    
Gross $ 171 $ 177
Interest    
Gross 77 36
Total net outstanding exposure    
Gross 248 213
Expected cash outflows (inflows)    
Gross 121 40
Potential recoveries    
Gross (79) (10)
Subtotal    
Gross 42 30
Discount    
Gross (13) (3)
Expected losses to be paid (recovered)    
Gross (29) (27)
Deferred premium revenue    
Gross 15 2
Reserves (salvage)    
Gross $ 21 $ 25
BIG | Consolidated Entity Excluding Variable Interest Entities (VIE) | BIG 3    
Number of risks    
Total (in contracts) | risk 111 129
Remaining weighted average contract period    
Gross (in years) 7 years 7 months 6 days 8 years 10 months 24 days
Par    
Gross $ 2,318 $ 4,745
Interest    
Gross 894 1,942
Total net outstanding exposure    
Gross 3,212 6,687
Expected cash outflows (inflows)    
Gross 1,771 4,820
Potential recoveries    
Gross (1,364) (3,829)
Subtotal    
Gross 407 991
Discount    
Gross (104) (145)
Expected losses to be paid (recovered)    
Gross (303) (846)
Deferred premium revenue    
Gross 160 350
Reserves (salvage)    
Gross $ 186 $ 584