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Fair Value of Assets and Liabilities Fair Value of Assets and Liabilities - Narrative (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Jun. 30, 2019
Jun. 30, 2018
Dec. 31, 2018
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Fixed income securities $ 21,843   $ 21,843   $ 21,400
Fair value, assets and liabilities gain (loss) included in earnings (7) $ 6 (19) $ 30  
Total gains (losses) included in: Net income 4 4 17 5  
Significant unobservable inputs (Level 3)          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Assets, fair value disclosure 328   328   321
Fixed Income Securities Valued Based on Nonbinding Broker Quotes | Significant unobservable inputs (Level 3)          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Assets, fair value disclosure 54   54   80
Recurring basis | Significant unobservable inputs (Level 3)          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Fixed income securities 204   204   $ 191
Assets, fair value disclosure 323   323    
Realized capital gains and losses          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Total gains (losses) included in: Net income 2 4 15 5  
Gains (losses) for Level 3 assets and liabilities still held at the balance sheet date 2 6 4 7  
Net Investment Income          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Total gains (losses) included in: Net income 2   2    
Interest credited to contractholder funds          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Total gains (losses) included in: Net income (6) 1 (39) 20  
Gains (losses) for Level 3 assets and liabilities still held at the balance sheet date (6) 1 (39) 20  
Contract benefits          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Gains (losses) for Level 3 assets and liabilities still held at the balance sheet date (5) 1 3 5  
Total          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Fair value, assets and liabilities gain (loss) included in earnings (7) $ 8 (30) $ 32  
Limited partnership interests          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Commitments to invest in limited partnership interests $ 241   $ 241    
Minimum | Limited partnership interests          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Investment assets, contract liquidation period     4 years    
Investment assets, useful life     10 years    
Maximum | Limited partnership interests          
Fair value of assets and liabilities measured on recurring and non-recurring basis          
Investment assets, contract liquidation period     9 years    
Investment assets, useful life     12 years