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Contracts Accounted for as Insurance - BIG Transaction Loss Summary (Details)
$ in Millions
12 Months Ended
Dec. 31, 2023
USD ($)
risk
Dec. 31, 2022
USD ($)
risk
Discount    
Net $ (19)  
BIG    
Number of risks    
Total (in contracts) | risk 217 247
Remaining weighted average contract period    
Gross (in years) 10 years 9 years 9 months 18 days
Par    
Net $ 5,383 $ 5,835
Interest    
Net 2,836 3,144
Total net outstanding exposure    
Net 8,219 8,979
Expected cash outflows (inflows)    
Net 1,938 2,008
Potential recoveries    
Net (1,659) (1,725)
Subtotal    
Net 279 283
Discount    
Net (19) (82)
Expected losses to be paid (recovered)    
Net expected loss to be paid 260 201
Deferred premium revenue    
Net 305 345
Reserves (salvage)    
Net $ 72 $ 33
BIG | BIG 1    
Number of risks    
Total (in contracts) | risk 95 122
Par    
Net $ 2,394 $ 3,357
BIG | BIG 2    
Number of risks    
Total (in contracts) | risk 13 14
Par    
Net $ 979 $ 171
BIG | BIG 3    
Number of risks    
Total (in contracts) | risk 109 111
Par    
Net $ 2,010 $ 2,307
BIG | Consolidated Entity Excluding Variable Interest Entities (VIE)    
Number of risks    
Total (in contracts) | risk 217 247
Remaining weighted average contract period    
Gross (in years) 9 years 10 months 24 days 9 years 9 months 18 days
Par    
Gross $ 5,398 $ 5,852
Interest    
Gross 2,840 3,148
Total net outstanding exposure    
Gross 8,238 9,000
Expected cash outflows (inflows)    
Gross 1,948 2,020
Potential recoveries    
Gross (1,668) (1,737)
Subtotal    
Gross 280 283
Discount    
Gross (19) (82)
Expected losses to be paid (recovered)    
Gross (261) (201)
Deferred premium revenue    
Gross 305 345
Reserves (salvage)    
Gross $ 73 $ 33
BIG | Consolidated Entity Excluding Variable Interest Entities (VIE) | BIG 1    
Number of risks    
Total (in contracts) | risk 95 122
Remaining weighted average contract period    
Gross (in years) 9 years 7 months 6 days 11 years 3 months 18 days
Par    
Gross $ 2,400 $ 3,363
Interest    
Gross 1,126 2,177
Total net outstanding exposure    
Gross 3,526 5,540
Expected cash outflows (inflows)    
Gross 176 128
Potential recoveries    
Gross (376) (294)
Subtotal    
Gross (200) (166)
Discount    
Gross 56 35
Expected losses to be paid (recovered)    
Gross 144 131
Deferred premium revenue    
Gross 100 170
Reserves (salvage)    
Gross $ (181) $ (174)
BIG | Consolidated Entity Excluding Variable Interest Entities (VIE) | BIG 2    
Number of risks    
Total (in contracts) | risk 13 14
Remaining weighted average contract period    
Gross (in years) 15 years 10 months 24 days 8 years 8 months 12 days
Par    
Gross $ 979 $ 171
Interest    
Gross 896 77
Total net outstanding exposure    
Gross 1,875 248
Expected cash outflows (inflows)    
Gross 187 121
Potential recoveries    
Gross (78) (79)
Subtotal    
Gross 109 42
Discount    
Gross (22) (13)
Expected losses to be paid (recovered)    
Gross (87) (29)
Deferred premium revenue    
Gross 63 15
Reserves (salvage)    
Gross $ 45 $ 21
BIG | Consolidated Entity Excluding Variable Interest Entities (VIE) | BIG 3    
Number of risks    
Total (in contracts) | risk 109 111
Remaining weighted average contract period    
Gross (in years) 7 years 6 months 7 years 7 months 6 days
Par    
Gross $ 2,019 $ 2,318
Interest    
Gross 818 894
Total net outstanding exposure    
Gross 2,837 3,212
Expected cash outflows (inflows)    
Gross 1,585 1,771
Potential recoveries    
Gross (1,214) (1,364)
Subtotal    
Gross 371 407
Discount    
Gross (53) (104)
Expected losses to be paid (recovered)    
Gross (318) (303)
Deferred premium revenue    
Gross 142 160
Reserves (salvage)    
Gross $ 209 $ 186