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Consolidated Investment Entities (Tables)
6 Months Ended
Jun. 30, 2020
Consolidated Investment Entities [Abstract]  
Assets and Liabilities of the Consolidated Investment Entities
The following table summarizes the components of the consolidated investment entities as of the dates indicated:
June 30, 2020December 31, 2019
Assets of Consolidated Investment Entities
VIEs
Cash and cash equivalents
$39  $68  
Corporate loans, at fair value using the fair value option274  513  
Limited partnerships/corporations, at fair value1,459  1,470  
Other assets10  12  
Total VIE assets
1,782  2,063  
VOEs
Limited partnerships/corporations, at fair value—  162  
Other assets—   
Total VOE assets—  163  
Total assets of consolidated investment entities$1,782  $2,226  
Liabilities of Consolidated Investment Entities
VIEs
CLO notes, at fair value using the fair value option$268  $474  
Other liabilities606  650  
Total VIE liabilities874  1,124  
VOEs
Other liabilities—   
Total VOE liabilities—   
Total liabilities of consolidated investment entities$874  $1,126  
Fair Value, by Balance Sheet Grouping
The carrying values and estimated fair values of the Company's financial instruments from continuing operations, including amounts related to businesses to be exited via reinsurance associated with the Individual Life Transaction, as of the dates indicated:
June 30, 2020December 31, 2019
Carrying
Value
Fair
Value
Carrying
Value
Fair
Value
Assets:
Fixed maturities, including securities pledged$45,158  $45,158  $43,778  $43,778  
Equity securities225  225  196  196  
Mortgage loans on real estate6,904  7,178  6,878  7,262  
Policy loans746  746  776  776  
Cash, cash equivalents, short-term investments and short-term investments under securities loan agreements2,842  2,842  2,644  2,644  
Derivatives809  809  316  316  
Other investments286  350  320  456  
Assets held in separate accounts78,521  78,521  81,670  81,670  
Liabilities:
Investment contract liabilities:
Funding agreements without fixed maturities and deferred annuities(2)
$34,696  $44,575  $33,916  $41,035  
Funding agreements with fixed maturities835  833  877  877  
Supplementary contracts, immediate annuities and other811  874  821  872  
Derivatives:
Guaranteed benefit derivatives(2)
210  210  60  60  
Other derivatives
950  950  403  403  
Short-term debt    
Long-term debt3,043  3,400  3,042  3,418  
Embedded derivative on reinsurance132  132  100  100  
(1) Certain amounts included in Funding agreements without fixed maturities and deferred annuities are also reflected within the Guaranteed benefit derivatives section of the table above.
(2) Includes GMWBL, GMWB, FIA, Stabilizer and MCG.
The carrying values and estimated fair values of the Company's financial instruments related to businesses held for sale as of the dates indicated:
June 30, 2020December 31, 2019
Carrying
Value
Fair
Value
Carrying
Value
Fair
Value
Assets:
Fixed maturities, including securities pledged$13,102  $13,102  $12,470  $12,470  
Equity securities  35  35  
Mortgage loans on real estate1,286  1,348  1,319  1,405  
Policy loans996  996  1,005  1,005  
Cash, cash equivalents, short-term investments and short-term investments under securities loan agreements424  424  533  533  
Derivatives258  258  305  305  
Other investments46  46  42  42  
Assets held in separate accounts1,395  1,395  1,485  1,485  
Liabilities:
Investment contract liabilities:
Funding agreements with fixed maturities$1,010  $1,005  $927  $923  
Supplementary contracts, immediate annuities and other106  116  97  104  
Notes Payable219  247  252  320  
Derivatives:
Guaranteed benefit derivatives - IUL177  177  217  217  
Embedded derivative on reinsurance102  102  75  75  
The following table summarizes the fair value hierarchy levels of consolidated investment entities as of June 30, 2020:
Level 1Level 2Level 3NAVTotal
Assets
VIEs
Cash and cash equivalents
$39  $—  $—  $—  $39  
Corporate loans, at fair value using the fair value option
—  274  —  —  274  
Limited partnerships/corporations, at fair value—  —  —  1,459  1,459  
VOEs
Limited partnerships/corporations, at fair value—  —  —  —  —  
Total assets, at fair value$39  $274  $—  $1,459  $1,772  
Liabilities
VIEs
CLO notes, at fair value using the fair value option
$—  $268  $—  $—  $268  
Total liabilities, at fair value$—  $268  $—  $—  $268  

The following table summarizes the fair value hierarchy levels of consolidated investment entities as of December 31, 2019:
Level 1Level 2Level 3NAVTotal
Assets
VIEs
Cash and cash equivalents$68  $—  $—  $—  $68  
Corporate loans, at fair value using the fair value option—  513  —  —  513  
Limited partnerships/corporations, at fair value—  —  —  1,470  1,470  
VOEs
Limited partnerships/corporations, at fair value—  —  —  162  162  
Total assets, at fair value$68  $513  $—  $1,632  $2,213  
Liabilities
VIEs
CLO notes, at fair value using the fair value option$—  $474  $—  $—  $474  
Total liabilities, at fair value$—  $474  $—  $—  $474  
Maximum Exposure to Loss
The following table presents the carrying amounts of the variable interests in VIEs in which the Company concluded that it holds a variable interest, but is not the primary beneficiary as of the dates indicated. The Company determines its maximum exposure to loss to be: (i) the amount invested in the debt or equity of the VIE and (ii) other commitments and guarantees to the VIE.
Variable Interests on the Condensed Consolidated Balance Sheet
June 30, 2020December 31, 2019
 Carrying AmountMaximum exposure to loss Carrying AmountMaximum exposure to loss
Fixed maturities, available-for-sale and fair value option
$396  $396  $377  $377  
Limited partnership/corporations1,376  1,376  1,290  1,290