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FAIR VALUE DISCLOSURES - Carrying Values and Fair Values of Financial Instruments (Details) - USD ($)
$ in Millions
Jun. 30, 2020
Dec. 31, 2019
Consolidated Amounts [Abstract]    
Mortgage loans on real estate $ 12,523 $ 12,107
Policy loans 3,689 3,735
Policyholders liabilities: Investment contracts 59,272 58,879
Separate Accounts liabilities 118,915 126,910
Carrying Value    
Consolidated Amounts [Abstract]    
Mortgage loans on real estate 12,523 12,107
Policy loans 3,689 3,735
Policyholders liabilities: Investment contracts 2,177 2,056
Funding Agreements 6,700 6,909
Short-term debt 4,113 4,111
Separate Accounts liabilities 8,445 9,041
Measured at Fair Value    
Consolidated Amounts [Abstract]    
Mortgage loans on real estate 12,589 12,334
Policy loans 4,890 4,707
Policyholders liabilities: Investment contracts 2,439 2,167
Funding Agreements 6,793 6,957
Short-term debt 4,656 4,476
Separate Accounts liabilities 8,445 9,041
Measured at Fair Value | Level 1    
Consolidated Amounts [Abstract]    
Mortgage loans on real estate 0 0
Policy loans 0 0
Policyholders liabilities: Investment contracts 0 0
Funding Agreements 0 0
Short-term debt 0 0
Separate Accounts liabilities 0 0
Measured at Fair Value | Level 2    
Consolidated Amounts [Abstract]    
Mortgage loans on real estate 0 0
Policy loans 0 0
Policyholders liabilities: Investment contracts 0 0
Funding Agreements 6,793 6,957
Short-term debt 4,656 4,476
Separate Accounts liabilities 0 0
Measured at Fair Value | Level 3    
Consolidated Amounts [Abstract]    
Mortgage loans on real estate 12,589 12,334
Policy loans 4,890 4,707
Policyholders liabilities: Investment contracts 2,439 2,167
Funding Agreements 0 0
Short-term debt 0 0
Separate Accounts liabilities $ 8,445 $ 9,041