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Related Party Transactions - Narrative and Other (Details) - USD ($)
12 Months Ended
Jan. 01, 2017
Dec. 02, 2016
Apr. 26, 2016
Nov. 01, 2015
Apr. 01, 2015
Jan. 01, 2015
Dec. 18, 2009
Jun. 30, 2008
Jun. 30, 2006
Dec. 31, 2017
Dec. 31, 2016
Dec. 31, 2015
Dec. 22, 2016
Dec. 01, 2015
Dec. 31, 2014
Aug. 01, 2005
Related Party Transactions                                
Allocation of operating expenses                   $ 243,000,000 $ 225,000,000 $ 271,000,000        
Disposition of operations       $ 10,000,000   $ 11,000,000       0 0 20,000,000        
Cash                   145,000,000 138,000,000 104,000,000     $ 146,000,000  
Notes due to related parties                   140,000,000 465,000,000          
Interest expense                   5,000,000 113,000          
Reinsurance recoverable                   2,680,000,000 2,791,000,000          
Reserves recorded for annuities                   11,625,000,000 11,322,000,000          
Investment income, before expense                   1,864,000,000 1,730,000,000 1,876,000,000        
Surplus note                   4,698,000,000 7,072,000,000 8,272,000,000        
Liquidity agreement                                
Related Party Transactions                                
Amount of loan outstanding under agreement                   0 0          
Liquidity agreement | Maximum                                
Related Party Transactions                                
Amount available for borrowings under the agreement                   $ 1,000,000,000            
Maturity period of advances                   364 days            
Liquidity agreement | Minimum                                
Related Party Transactions                                
Notice period for payables on demand                   10 days            
Intercompany loan agreement                                
Related Party Transactions                                
Amount of loan outstanding under agreement                   $ 0 0          
Intercompany loan agreement | Maximum                                
Related Party Transactions                                
Amount available for borrowings under the agreement                   1,000,000,000            
Revolving loan credit agreement                                
Related Party Transactions                                
Amount of loan outstanding under agreement                   0 0          
Capital support agreement                                
Related Party Transactions                                
Amount of loan outstanding under agreement                   $ 0 0          
Commitment fee as a percentage of the amount of the capital and surplus maximum that remains available at the beginning of the period                   1.00%            
Capital support agreement | Maximum                                
Related Party Transactions                                
Amount available for borrowings under the agreement                   $ 1,000,000,000            
Capital support agreement | Minimum                                
Related Party Transactions                                
Percentage of risk-based capital ratio                   150.00%            
Minimum risk-based capital ratio at which agreement will be terminated (as a percent)                   300.00%            
Voting stock to be held as per agreement (as a percent)                   50.00%            
Interest-sensitive life insurance                                
Related Party Transactions                                
Reinsurance recoverable         $ 476,000,000                      
Payments to acquire investments         494,000,000                      
Structured settlement annuities | AIC                                
Related Party Transactions                                
Reserves recorded for annuities                   $ 4,630,000,000 4,640,000,000          
Subsidiary of Common Parent | Class A Notes Due March 10, 2034                                
Related Party Transactions                                
Notes due to related parties                   $ 140,000,000            
Notes payable interest rate (as a percent)                   3.25%            
Affiliate                                
Related Party Transactions                                
Commission and other distribution expenses                   $ 9,000,000 9,000,000 9,000,000        
Affiliate | 5.98% Recourse Note due June 1, 2036                                
Related Party Transactions                                
Notes payable interest rate (as a percent)                 5.98%         3.28%    
Recourse notes receivable interest rate reset period                 10 years              
Affiliate | ALIC Re | 6.18% Surplus Note, due 2036                                
Related Party Transactions                                
Notes due to related parties                 $ 100,000,000              
Notes payable interest rate (as a percent)                 6.18%         3.48%    
Notes payable interest rate reset period                 10 years              
Allstate Financial Services, LLC                                
Related Party Transactions                                
Payments of dividends                   600,000,000   103,000,000        
Allstate Finance Company Agency Loans LLC | Beneficial Owner                                
Related Party Transactions                                
Agent loans                   409,000,000 417,000,000          
Cash                   13,000,000 2,000,000          
Notes due to related parties                   140,000,000 140,000,000          
Kennett | 5.93% Surplus Note, due 2038                                
Related Party Transactions                                
Notes due to related parties                   $ 0 50,000,000          
Notes payable interest rate (as a percent)                   5.93%            
Kennett | 6.74% Surplus Note, due 2029                                
Related Party Transactions                                
Notes due to related parties                   $ 0 25,000,000          
Notes payable interest rate (as a percent)                   6.74%            
Kennett | 4.14% Surplus Note, due 2036                                
Related Party Transactions                                
Notes due to related parties                   $ 0 50,000,000          
Notes payable interest rate (as a percent)                   4.14%            
Kennett | Affiliate                                
Related Party Transactions                                
Interest expense                     15,000,000 16,000,000        
Investment income, before expense                     14,000,000 15,000,000        
Kennett | Affiliate | 4.86% Recourse Note due July 1, 2035                                
Related Party Transactions                                
Notes payable interest rate (as a percent)                           3.04%   4.86%
Kennett | Affiliate | 5.73% Recourse Note due June 1, 2038                                
Related Party Transactions                                
Notes payable interest rate (as a percent)               5.73%                
Recourse notes receivable interest rate reset period               10 years                
Kennett | Affiliate | 5.19% Recourse Note due Dec 1, 2029                                
Related Party Transactions                                
Notes payable interest rate (as a percent)             5.19%                  
Recourse notes receivable interest rate reset period             10 years                  
Kennett | Affiliate | 3.14% Recourse Note due Dec 1, 2036                                
Related Party Transactions                                
Notes payable interest rate (as a percent)     3.14%                          
Recourse notes receivable interest rate reset period     10 years                          
Kennett | Affiliate | ALIC Re | 5.06% Surplus Note, due 2035                                
Related Party Transactions                                
Notes due to related parties                               $ 100,000,000
Notes payable interest rate (as a percent)                           3.24%   5.06%
Kennett | Affiliate | ALIC Re | 5.93% Surplus Note, due 2038                                
Related Party Transactions                                
Notes due to related parties               $ 50,000,000                
Notes payable interest rate (as a percent)               5.93%                
Notes payable interest rate reset period               10 years                
Kennett | Affiliate | ALIC Re | 6.74% Surplus Note, due 2029                                
Related Party Transactions                                
Notes due to related parties             $ 25,000,000                  
Notes payable interest rate (as a percent)             6.74%                  
Notes payable interest rate reset period             10 years                  
Kennett | Affiliate | ALIC Re | 4.14% Surplus Note, due 2036                                
Related Party Transactions                                
Notes due to related parties     $ 50,000,000                          
Notes payable interest rate (as a percent)     4.14%                          
Notes payable interest rate reset period     10 years                          
AAC | Subsidiary of Common Parent                                
Related Party Transactions                                
Notes payable interest rate (as a percent)   3.07%                            
Surplus note   $ 40,000,000                            
Interest income, related party                   $ 1,000,000 99,000          
AAC | Affiliate                                
Related Party Transactions                                
Proceeds from coinsurance reinsurance agreement $ 20,000,000                              
DAC, additions 45,000,000                              
Additions to other assets, amount 11,000,000                              
Reinsurance, reserve for life-contingent contract benefits 24,000,000                              
Deferred tax liabilities 18,000,000                              
Collateralized Loan Obligations                                
Related Party Transactions                                
Agent loans, fair value                         $ 419,000,000      
Collateralized Loan Obligations | Affiliate                                
Related Party Transactions                                
Agent loans, fair value                         419,000,000      
Collateralized Loan Obligations | Affiliate | Class A Notes Due March 10, 2034                                
Related Party Transactions                                
Agent loans, fair value                         $ 140,000,000      
Retained income                                
Related Party Transactions                                
Loss on sale of subsidiaries to affiliate       $ 469,000   $ 2,000,000       0 0 2,000,000        
Gain (Loss) on the transaction         $ 12,000,000         0 0 12,000,000        
Additional capital paid-in                                
Related Party Transactions                                
Gain (Loss) on the transaction                   (34,000,000) $ 0 $ 0        
Additional capital paid-in | AAC | Affiliate                                
Related Party Transactions                                
Gain (Loss) on the transaction $ (34,000,000)                              
CMT | Affiliate | 5.98% Recourse Note due June 1, 2036                                
Related Party Transactions                                
Basis spread over reference rate for reset of notes receivable interest rate (as a percent)                 0.94%              
CMT | Affiliate | ALIC Re | 6.18% Surplus Note, due 2036                                
Related Party Transactions                                
Basis spread over reference rate for reset of notes payable interest rate (as a percent)                 1.14%              
CMT | Kennett | Affiliate | 5.73% Recourse Note due June 1, 2038                                
Related Party Transactions                                
Basis spread over reference rate for reset of notes receivable interest rate (as a percent)               1.89%                
CMT | Kennett | Affiliate | 5.19% Recourse Note due Dec 1, 2029                                
Related Party Transactions                                
Basis spread over reference rate for reset of notes receivable interest rate (as a percent)             1.70%                  
CMT | Kennett | Affiliate | 3.14% Recourse Note due Dec 1, 2036                                
Related Party Transactions                                
Basis spread over reference rate for reset of notes receivable interest rate (as a percent)     1.23%                          
CMT | Kennett | Affiliate | ALIC Re | 5.93% Surplus Note, due 2038                                
Related Party Transactions                                
Basis spread over reference rate for reset of notes payable interest rate (as a percent)               2.09%                
CMT | Kennett | Affiliate | ALIC Re | 6.74% Surplus Note, due 2029                                
Related Party Transactions                                
Basis spread over reference rate for reset of notes payable interest rate (as a percent)             3.25%                  
CMT | Kennett | Affiliate | ALIC Re | 4.14% Surplus Note, due 2036                                
Related Party Transactions                                
Basis spread over reference rate for reset of notes payable interest rate (as a percent)     2.23%                          
Hybrid Instrument [Member] | Subsidiary of Common Parent | ALIC Reinsurance Company                                
Related Party Transactions                                
Credit derivative, maximum exposure, undiscounted                   $ 1,750,000,000