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INVESTMENTS (Details - Rollforward of changes in allowance for credit losses on available for sale fixed maturity securities by major ivnvestment category) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Schedule of Available-for-sale Securities [Line Items]    
Securities available for sale, balance, beginning of period $ 186  
Securities for which allowance for credit losses were not previously recorded 65 $ 328
Purchases of available for sale debt securities accounted for as PCD assets 0 26
Accretion of available for sale debt securities accounted for as purchased credit deteriorated assets 0 1
Securities sold during the period (33) (31)
Additional net increases or decreases to the allowance for credit losses on securities that had an allowance recorded in a previous period, for which there was no intention to sell before recovery amortized cost basis (91) (17)
Write-offs charged against the allowance (29) (128)
Securities available for sale, balance, end of period 98 186
Adjusted balance    
Schedule of Available-for-sale Securities [Line Items]    
Securities available for sale, balance, beginning of period   7
Structured    
Schedule of Available-for-sale Securities [Line Items]    
Securities available for sale, balance, beginning of period 17 7
Securities for which allowance for credit losses were not previously recorded 9 38
Purchases of available for sale debt securities accounted for as PCD assets 0 26
Accretion of available for sale debt securities accounted for as purchased credit deteriorated assets 0 1
Securities sold during the period (4) (5)
Additional net increases or decreases to the allowance for credit losses on securities that had an allowance recorded in a previous period, for which there was no intention to sell before recovery amortized cost basis (14) (50)
Write-offs charged against the allowance 0 0
Securities available for sale, balance, end of period 8 17
Non-structured    
Schedule of Available-for-sale Securities [Line Items]    
Securities available for sale, balance, beginning of period 169 0
Securities for which allowance for credit losses were not previously recorded 56 290
Purchases of available for sale debt securities accounted for as PCD assets 0 0
Accretion of available for sale debt securities accounted for as purchased credit deteriorated assets 0 0
Securities sold during the period (29) (26)
Additional net increases or decreases to the allowance for credit losses on securities that had an allowance recorded in a previous period, for which there was no intention to sell before recovery amortized cost basis (77) 33
Write-offs charged against the allowance (29) (128)
Securities available for sale, balance, end of period $ 90 $ 169