XML 106 R80.htm IDEA: XBRL DOCUMENT v3.24.0.1
Fair Value Measurements - Investments in certain other invested assets (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) $ 11,320 $ 11,809
Private Equity Funds and Hedge Funds    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 9,508 9,822
Unfunded Commitments 3,748 4,064
Private equity funds    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 8,798 8,428
Unfunded Commitments $ 3,748 4,064
Average original expected lives (in years) 10 years  
Private equity funds | Minimum    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Extension period (in years) 1 year  
Private equity funds | Maximum    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Extension period (in years) 2 years  
Leveraged buyout    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) $ 3,617 3,146
Unfunded Commitments 2,313 2,448
Real assets    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 1,814 1,851
Unfunded Commitments 782 840
Venture capital    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 270 272
Unfunded Commitments 141 183
Growth equity    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 680 732
Unfunded Commitments 117 60
Mezzanine    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 292 598
Unfunded Commitments 98 142
Other    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 2,125 1,829
Unfunded Commitments 297 391
Hedge funds    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 710 1,394
Unfunded Commitments 0 0
Event-driven    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 18 92
Unfunded Commitments 0 0
Long-short    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 549 696
Unfunded Commitments 0 0
Macro    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 69 414
Unfunded Commitments 0 0
Other    
INVESTMENTS IN CERTAIN ENTITIES CARRIED AT FAIR VALUE USING NET ASSET VALUE PER SHARE    
Fair Value Using NAV Per Share (or its equivalent) 74 192
Unfunded Commitments $ 0 $ 0