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FAIR VALUE MEASUREMENTS (Details - financial instruments not measured at fair value and indicates the level in the fair value hierarchy of the estimated fair value measurement based on the observability of the inputs used) (USD $)
In Millions, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
Mar. 31, 2013
Dec. 31, 2012
Assets:        
Mortgage and other loans receivable $ 21,569 $ 20,765    
Short-term investments 17,658 21,617    
Cash 2,490 2,241 1,227 1,151
Liabilities:        
Other liabilities 28,138 29,155    
Total Fair Value
       
Assets:        
Mortgage and other loans receivable 22,500 21,637    
Other invested assets 3,300 3,234    
Short-term investments 13,905 15,304    
Cash 2,490 2,241    
Liabilities:        
Policyholder contract deposits associated with investment-type contracts 115,665 114,560    
Other liabilities 3,418 4,870    
Long-term debt 37,692 38,633    
Level 1
       
Assets:        
Mortgage and other loans receivable 0 0    
Other invested assets 0 0    
Short-term investments 0 0    
Cash 2,490 2,241    
Liabilities:        
Policyholder contract deposits associated with investment-type contracts 0 0    
Other liabilities 0 0    
Long-term debt 0 0    
Level 2
       
Assets:        
Mortgage and other loans receivable 171 219    
Other invested assets 573 529    
Short-term investments 13,905 15,304    
Cash 0 0    
Liabilities:        
Policyholder contract deposits associated with investment-type contracts 198 199    
Other liabilities 3,418 4,869    
Long-term debt 34,510 36,239    
Level 3
       
Assets:        
Mortgage and other loans receivable 22,329 21,418    
Other invested assets 2,727 2,705    
Short-term investments 0 0    
Cash 0 0    
Liabilities:        
Policyholder contract deposits associated with investment-type contracts 115,467 114,361    
Other liabilities 0 1    
Long-term debt 3,182 2,394    
Carrying Value
       
Assets:        
Mortgage and other loans receivable 21,569 20,765    
Other invested assets 4,245 4,194    
Short-term investments 13,905 15,304    
Cash 2,490 2,241    
Liabilities:        
Policyholder contract deposits associated with investment-type contracts 105,229 105,093    
Other liabilities 3,418 4,869    
Long-term debt $ 33,489 $ 34,946