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Employee Benefit Plans - Investments Measured at NAV (Details) - NAV - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Investments measured at NAV    
Fair value of investment measured at NAV $ 12,653 $ 10,427
Hedge funds and hedge fund-related strategies    
Investments measured at NAV    
Fair value of investment measured at NAV $ 7,563 $ 5,474
Hedge funds and hedge fund-related strategies | Minimum    
Investments measured at NAV    
Redemption notice period 2 days 2 days
Hedge funds and hedge fund-related strategies | Maximum    
Investments measured at NAV    
Redemption notice period 180 days 180 days
Commingled funds, private equity and private equity-related instruments    
Investments measured at NAV    
Fair value of investment measured at NAV $ 2,228 $ 2,136
Unfunded commitments $ 1,000  
Commingled funds, private equity and private equity-related instruments | Minimum    
Investments measured at NAV    
Redemption notice period 3 days 3 days
Commingled funds, private equity and private equity-related instruments | Maximum    
Investments measured at NAV    
Redemption notice period 45 days 30 days
Fixed income and fixed income-related instruments    
Investments measured at NAV    
Fair value of investment measured at NAV $ 877 $ 1,118
Unfunded commitments $ 259  
Fixed income and fixed income-related instruments | Minimum    
Investments measured at NAV    
Redemption notice period 65 days 15 days
Fixed income and fixed income-related instruments | Maximum    
Investments measured at NAV    
Redemption notice period 90 days 90 days
Real assets    
Investments measured at NAV    
Fair value of investment measured at NAV $ 773 $ 671
Unfunded commitments 386  
Other    
Investments measured at NAV    
Fair value of investment measured at NAV $ 1,212 $ 1,028
Other | Minimum    
Investments measured at NAV    
Redemption notice period 2 days 2 days
Other | Maximum    
Investments measured at NAV    
Redemption notice period 10 days 90 days