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Variable Interest Entities (Tables)
12 Months Ended
Dec. 31, 2024
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Variable Interest Entities The following table presents the total assets and total liabilities associated with our variable interests in consolidated VIEs, as classified in the Consolidated Balance Sheets:
At December 31, 2024, there were no assets and liabilities associated with our variable interests in consolidated VIEs.
(in millions)December 31, 2023
Assets:
Bonds available for sale$72 
Mortgage and other loans receivable
122 
Short-term investments
Accrued investment income
Other assets
Total*$202 
Liabilities:
Debt of consolidated investment entities$38 
Total$38 
*The assets of each VIE can be used only to settle specific obligations of that VIE.
The following table presents total assets of unconsolidated VIEs in which we hold a variable interest, as well as our maximum exposure to loss associated with these VIEs:
Maximum Exposure to Loss
(in millions)Total VIE
Assets
On-Balance
Sheet
(c)
Off-Balance
Sheet
Total
December 31, 2024
Real estate and investment entities(a)
$367,661 $2,723 $839 
(d)
$3,562 
Other(b)
4,639 255 754 
(e)
1,009 
Total$372,300 $2,978 $1,593 $4,571 
December 31, 2023
Real estate and investment entities(a)
$355,003 $4,107 $1,492 
(d)
$5,599 
Other(b)
1,027 — 748 
(e)
748 
Total$356,030 $4,107 $2,240 $6,347 
(a)Comprised primarily of hedge funds and private equity funds.
(b)At December 31, 2024 and 2023, excludes approximately $1,925 million and $1,971 million, respectively, of VIE assets related to AIGFP and its consolidated subsidiaries, with maximum off-balance sheet exposure to loss of $1,894 million and $1,941 million, respectively. For additional information, see Note 1.
(c)At December 31, 2024 and 2023, $2.9 billion and $4.1 billion, respectively, of our total unconsolidated VIE assets were recorded as Other invested assets.
(d)These amounts represent our unfunded commitments to invest in private equity funds.
(e)These amounts represent our estimate of the maximum exposure to loss under certain insurance policies issued to VIEs if a hypothetical loss occurred to the extent of the full amount of the insured value. Our insurance policies cover defined risks and our estimate of liability is included in our insurance reserves on the balance sheet.