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Fair Value of Financial Instruments (Details) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
Fixed maturity AFS securities:      
Corporate bonds $ 59,261 $ 51,740  
U.S. Government bonds 494 165  
Foreign government bonds 733 508  
RMBS 8,039 8,838  
State and municipal bonds 4,047 3,155  
Hybrid and redeemable preferred stocks 1,157 1,397  
VIEs' fixed maturity securities 700 584  
CMBS 1,600 2,053  
CDOs 102 174  
Equity AFS securities 139 197  
Trading securities 2,675 2,596  
Derivative investments 3,151 1,076  
Cash and invested cash 4,510 2,741  
Separate account assets 83,477 84,630  
Total assets 170,085 159,854  
Future contract benefits:      
Indexed annuity contracts (399) (497)  
GLB embedded derivative reserves (2,217) (408)  
Long-term debt - interest rate swap agreements (319) (55)  
Reinsurance related embedded derivatives (168) (102)  
Variable interest entities' liabilities - derivatives instruments (291) (209)  
Other liabilities:      
Deferred compensation plans (354) (363)  
Credit default swaps (16) (16)  
Total liabilities (3,764) (1,650)  
Benefit Plans' Assets 1,345 1,269  
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 2,620 3,246 2,043
Items Included in Net Income (1,445) (62) 1,259
Gains (Losses) in OCI and other 446 447 691
Sales, Issuances, Maturities, Settlements, Calls, Net (36) (33) (105)
Transfers In or Out of Level 3, Net 112 (978) (642)
Ending Fair Value 1,697 2,620 3,246
Changes in unrealized gains (losses) within Level 3 financial instruments carried at fair value and still held      
Changes In Unrealized Gains (Losses) Within Level 3 Financial Instruments Carried At Fair Value And Still Held (1,245) 271 1,857
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 653    
Sales (339)    
Maturities (293)    
Settlements 34    
Calls (91)    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net (36)    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 274 (55)  
Transfers Out of Level 3 (162) (923)  
Transfers In or Out of Level 3, Net 112 (978) (642)
Corporate bonds [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 1,816 2,070 2,335
Items Included in Net Income 2 (42) (46)
Gains (Losses) in OCI and other 42 56 321
Sales, Issuances, Maturities, Settlements, Calls, Net (138) (218) (239)
Transfers In or Out of Level 3, Net 166 (50) (301)
Ending Fair Value 1,888 1,816 2,070
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 237    
Sales (216)    
Maturities (16)    
Settlements (54)    
Calls (89)    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net (138)    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 249 147  
Transfers Out of Level 3 (83) (197)  
Transfers In or Out of Level 3, Net 166 (50) (301)
U.S. government bonds [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 2 3 3
Items Included in Net Income 0 0 0
Gains (Losses) in OCI and other 0 0 0
Sales, Issuances, Maturities, Settlements, Calls, Net (1) (4) 0
Transfers In or Out of Level 3, Net 0 3 0
Ending Fair Value 1 2 3
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 0    
Sales 0    
Maturities 0    
Settlements (1)    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net (1)    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 0 3  
Transfers Out of Level 3 0 0  
Transfers In or Out of Level 3, Net 0 3 0
Foreign government bonds [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 113 92 60
Items Included in Net Income 0 0 1
Gains (Losses) in OCI and other 4 8 2
Sales, Issuances, Maturities, Settlements, Calls, Net (3) (4) 10
Transfers In or Out of Level 3, Net (17) 17 19
Ending Fair Value 97 113 92
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 0    
Sales (2)    
Maturities 0    
Settlements 0    
Calls (1)    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net (3)    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 0 17  
Transfers Out of Level 3 (17) 0  
Transfers In or Out of Level 3, Net (17) 17 19
RMBS [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 119 136 179
Items Included in Net Income (3) (5) (8)
Gains (Losses) in OCI and other 7 9 36
Sales, Issuances, Maturities, Settlements, Calls, Net 35 (17) 85
Transfers In or Out of Level 3, Net 0 (4) (156)
Ending Fair Value 158 119 136
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 51    
Sales (1)    
Maturities 0    
Settlements (15)    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net 35    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 0 0  
Transfers Out of Level 3 0 (4)  
Transfers In or Out of Level 3, Net 0 (4) (156)
CDOs [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 172 153 151
Items Included in Net Income 19 1 (35)
Gains (Losses) in OCI and other (17) 30 61
Sales, Issuances, Maturities, Settlements, Calls, Net (72) (12) (22)
Transfers In or Out of Level 3, Net 0 0 (2)
Ending Fair Value 102 172 153
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 0    
Sales (33)    
Maturities 0    
Settlements (39)    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net (72)    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In or Out of Level 3, Net 0 0 (2)
CLNs [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 0 322 50
Items Included in Net Income   0 0
Gains (Losses) in OCI and other   278 272
Sales, Issuances, Maturities, Settlements, Calls, Net   0 0
Transfers In or Out of Level 3, Net 0 (600) 0
Ending Fair Value   0 322
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 0 0  
Transfers Out of Level 3 0 (600)  
Transfers In or Out of Level 3, Net 0 (600) 0
State and municipal bonds [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value     125
Items Included in Net Income     0
Gains (Losses) in OCI and other     0
Sales, Issuances, Maturities, Settlements, Calls, Net     69
Transfers In or Out of Level 3, Net     (194)
Ending Fair Value     0
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In or Out of Level 3, Net     (194)
Hybrid and redeemable preferred securities [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 119 156 117
Items Included in Net Income (1) 3 (21)
Gains (Losses) in OCI and other (6) (26) 49
Sales, Issuances, Maturities, Settlements, Calls, Net (9) (14) 2
Transfers In or Out of Level 3, Net (3) 0 9
Ending Fair Value 100 119 156
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 9    
Sales (18)    
Maturities 0    
Settlements 0    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net (9)    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 18 0  
Transfers Out of Level 3 (21) 0  
Transfers In or Out of Level 3, Net (3) 0 9
Equity AFS securities [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 92 88 94
Items Included in Net Income 8 0 (8)
Gains (Losses) in OCI and other (12) 8 26
Sales, Issuances, Maturities, Settlements, Calls, Net 1 (4) (24)
Transfers In or Out of Level 3, Net (33) 0 0
Ending Fair Value 56 92 88
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 19    
Sales (18)    
Maturities 0    
Settlements 0    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net 1    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 2 0  
Transfers Out of Level 3 (35) 0  
Transfers In or Out of Level 3, Net (33) 0 0
Trading securities [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 76 91 81
Items Included in Net Income 1 3 34
Gains (Losses) in OCI and other 3 (10) 0
Sales, Issuances, Maturities, Settlements, Calls, Net (8) (7) (7)
Transfers In or Out of Level 3, Net (4) (1) (17)
Ending Fair Value 68 76 91
Changes in unrealized gains (losses) within Level 3 financial instruments carried at fair value and still held      
Changes In Unrealized Gains (Losses) Within Level 3 Financial Instruments Carried At Fair Value And Still Held 0 0 32
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 0    
Sales (3)    
Maturities 0    
Settlements (5)    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net (8)    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 1 0  
Transfers Out of Level 3 (5) (1)  
Transfers In or Out of Level 3, Net (4) (1) (17)
Derivative Financial Instruments, Assets [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 1,495 1,368 2,147
Items Included in Net Income 495 (151) (712)
Gains (Losses) in OCI and other 363 7 (135)
Sales, Issuances, Maturities, Settlements, Calls, Net 117 271 68
Transfers In or Out of Level 3, Net 0 0 0
Ending Fair Value 2,470 1,495 1,368
Changes in unrealized gains (losses) within Level 3 financial instruments carried at fair value and still held      
Changes In Unrealized Gains (Losses) Within Level 3 Financial Instruments Carried At Fair Value And Still Held 472 (162) (486)
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 396    
Sales (2)    
Maturities (277)    
Settlements 0    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net 117    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In or Out of Level 3, Net 0 0 0
Indexed Annuity Contracts Embedded Derivatives [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value (497) (419) (252)
Items Included in Net Income 5 (81) (75)
Gains (Losses) in OCI and other 0 0 0
Sales, Issuances, Maturities, Settlements, Calls, Net 93 3 (92)
Transfers In or Out of Level 3, Net 0 0 0
Ending Fair Value (399) (497) (419)
Changes in unrealized gains (losses) within Level 3 financial instruments carried at fair value and still held      
Changes In Unrealized Gains (Losses) Within Level 3 Financial Instruments Carried At Fair Value And Still Held (1) 44 (17)
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances (59)    
Sales 0    
Maturities 0    
Settlements 152    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net 93    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In or Out of Level 3, Net 0 0 0
Guaranteed Living Benefits Embedded Derivative Reserves [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value (408) (676) (2,904)
Items Included in Net Income (1,809) 268 2,228
Gains (Losses) in OCI and other 0 0 0
Sales, Issuances, Maturities, Settlements, Calls, Net 0 0 0
Transfers In or Out of Level 3, Net 0 0 0
Ending Fair Value (2,217) (408) (676)
Changes in unrealized gains (losses) within Level 3 financial instruments carried at fair value and still held      
Changes In Unrealized Gains (Losses) Within Level 3 Financial Instruments Carried At Fair Value And Still Held (1,615) 419 2,405
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In or Out of Level 3, Net 0 0 0
Variable Interest Entities Liabilities - Derivative Instruments [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value (209) 0  
Items Included in Net Income (82) 16  
Gains (Losses) in OCI and other 0 0  
Sales, Issuances, Maturities, Settlements, Calls, Net 0 0  
Transfers In or Out of Level 3, Net 0 (225)  
Ending Fair Value (291) (209) 0
Changes in unrealized gains (losses) within Level 3 financial instruments carried at fair value and still held      
Changes In Unrealized Gains (Losses) Within Level 3 Financial Instruments Carried At Fair Value And Still Held (82) 16 0
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 0 (225)  
Transfers Out of Level 3 0 0  
Transfers In or Out of Level 3, Net 0 (225)  
Deferred Compensation Plans Embedded Derivatives [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value (363) (332) (336)
Items Included in Net Income (11) (34) (63)
Gains (Losses) in OCI and other 0 0 0
Sales, Issuances, Maturities, Settlements, Calls, Net 20 3 67
Transfers In or Out of Level 3, Net 0 0 0
Ending Fair Value (354) (363) (332)
Changes in unrealized gains (losses) within Level 3 financial instruments carried at fair value and still held      
Changes In Unrealized Gains (Losses) Within Level 3 Financial Instruments Carried At Fair Value And Still Held (11) (34) (63)
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 0    
Sales 0    
Maturities 0    
Settlements 20    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net 20    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In or Out of Level 3, Net 0 0 0
Credit default swaps [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value (16) (65) (51)
Items Included in Net Income (7) 7 (37)
Gains (Losses) in OCI and other 0 0 0
Sales, Issuances, Maturities, Settlements, Calls, Net 7 42 23
Transfers In or Out of Level 3, Net 0 0 0
Ending Fair Value (16) (16) (65)
Changes in unrealized gains (losses) within Level 3 financial instruments carried at fair value and still held      
Changes In Unrealized Gains (Losses) Within Level 3 Financial Instruments Carried At Fair Value And Still Held (8) (12) (14)
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 0    
Sales 7    
Maturities 0    
Settlements 0    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net 7    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In or Out of Level 3, Net 0 0 0
U.S. pension plan assets [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 40 3 12
Items Included in Net Income 2 0 0
Gains (Losses) in OCI and other (3) 3 0
Sales, Issuances, Maturities, Settlements, Calls, Net (39) 34 (2)
Transfers In or Out of Level 3, Net 0 0 (7)
Ending Fair Value 0 40 3
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 0    
Sales (22)    
Maturities (17)    
Settlements 0    
Calls 0    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net (39)    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In or Out of Level 3, Net 0 0 (7)
CMBS [Member]
     
Level 3 Unobservable Input Reconciliation      
Beginning Fair Value 109 259 244
Items Included in Net Income (62) (47) 1
Gains (Losses) in OCI and other 62 87 59
Sales, Issuances, Maturities, Settlements, Calls, Net (78) (72) (45)
Transfers In or Out of Level 3, Net 3 (118) 0
Ending Fair Value 34 109 259
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements [Abstract]      
Issuances 0    
Sales (53)    
Maturities 0    
Settlements (24)    
Calls (1)    
Fair Value Investments Entities That Calculate Net Asset Value Per Share Unobservable Input Investment Holdings Movements Net (78)    
Fair Value Assets And Liabilities Measured On Recurring Basis Transfers Into And Out Of Level 3 [Abstract]      
Transfers In to Level 3 4 3  
Transfers Out of Level 3 (1) (121)  
Transfers In or Out of Level 3, Net 3 (118) 0
Quoted Price in Active Markets for Identical Assets (Level 1) [Member]
     
Fixed maturity AFS securities:      
Corporate bonds 63 60  
U.S. Government bonds 475 160  
Foreign government bonds 0 0  
RMBS 0 0  
State and municipal bonds 0 0  
Hybrid and redeemable preferred stocks 15 18  
VIEs' fixed maturity securities 108 0  
CMBS 0 0  
CDOs 0 0  
Equity AFS securities 37 37  
Trading securities 2 2  
Derivative investments 0 0  
Cash and invested cash 0 0  
Separate account assets 0 0  
Total assets 700 277  
Future contract benefits:      
Indexed annuity contracts 0 0  
GLB embedded derivative reserves 0 0  
Long-term debt - interest rate swap agreements 0 0  
Reinsurance related embedded derivatives 0 0  
Variable interest entities' liabilities - derivatives instruments 0 0  
Other liabilities:      
Deferred compensation plans 0 0  
Credit default swaps 0 0  
Total liabilities 0 0  
Benefit Plans' Assets 99 116  
Significant Observable Inputs (Level 2) [Member]
     
Fixed maturity AFS securities:      
Corporate bonds 57,310 49,864  
U.S. Government bonds 18 3  
Foreign government bonds 636 395  
RMBS 7,881 8,719  
State and municipal bonds 4,047 3,155  
Hybrid and redeemable preferred stocks 1,042 1,260  
VIEs' fixed maturity securities 592 584  
CMBS 1,566 1,944  
CDOs 0 2  
Equity AFS securities 46 68  
Trading securities 2,605 2,518  
Derivative investments 681 (419)  
Cash and invested cash 4,510 2,741  
Separate account assets 83,477 84,630  
Total assets 164,411 155,464  
Future contract benefits:      
Indexed annuity contracts 0 0  
GLB embedded derivative reserves 0 0  
Long-term debt - interest rate swap agreements (319) (55)  
Reinsurance related embedded derivatives (168) (102)  
Variable interest entities' liabilities - derivatives instruments 0 0  
Other liabilities:      
Deferred compensation plans 0 0  
Credit default swaps 0 0  
Total liabilities (487) (157)  
Benefit Plans' Assets 1,246 1,113  
Significant Unobservable Inputs (Level 3) [Member]
     
Fixed maturity AFS securities:      
Corporate bonds 1,888 1,816  
U.S. Government bonds 1 2  
Foreign government bonds 97 113  
RMBS 158 119  
State and municipal bonds 0 0  
Hybrid and redeemable preferred stocks 100 119  
VIEs' fixed maturity securities 0 0  
CMBS 34 109  
CDOs 102 172  
Equity AFS securities 56 92  
Trading securities 68 76  
Derivative investments 2,470 1,495  
Cash and invested cash 0 0  
Separate account assets 0 0  
Total assets 4,974 4,113  
Future contract benefits:      
Indexed annuity contracts (399) (497)  
GLB embedded derivative reserves (2,217) (408)  
Long-term debt - interest rate swap agreements 0 0  
Reinsurance related embedded derivatives 0 0  
Variable interest entities' liabilities - derivatives instruments (291) (209)  
Other liabilities:      
Deferred compensation plans (354) (363)  
Credit default swaps (16) (16)  
Total liabilities (3,277) (1,493)  
Benefit Plans' Assets 0 40  
Carrying Value [Member]
     
AFS securities:      
Fixed maturity securities 75,433 68,030  
VIEs' fixed maturity securities 700 584  
Equity securities 139 197  
Trading Securities 2,675 2,596  
Mortgage loans on real estate 6,942 6,752  
Derivative investments 3,151 1,076  
Other investments 1,069 1,038  
Cash and invested cash 4,510 2,741  
Separate account assets 83,477 84,630  
Future contract benefits:      
Indexed annuity contracts (399) (497)  
GLB embedded derivative reserves (2,217) (408)  
Other contract holder funds:      
Remaining guaranteed interest and similar contracts (1,114) (1,108)  
Account value of certain investment contracts (27,468) (26,130)  
Short-term debt (300) (351)  
Long-term debt (5,391) (5,399)  
Reinsurance related embedded derivatives (168) (102)  
Variable interest entities' liabilities - derivative instruments (291) (209)  
Other liabilities:      
Deferred compensation plans embedded derivatives (354) (363)  
Credit default swaps (16) (16)  
Benefit Plans' Assets 1,345 1,269  
Fair Value [Member]
     
AFS securities:      
Fixed maturity securities 75,433 68,030  
VIEs' fixed maturity securities 700 584  
Equity securities 139 197  
Trading Securities 2,675 2,596  
Mortgage loans on real estate 7,608 7,183  
Derivative investments 3,151 1,076  
Other investments 1,069 1,038  
Cash and invested cash 4,510 2,741  
Separate account assets 83,477 84,630  
Future contract benefits:      
Indexed annuity contracts (399) (497)  
GLB embedded derivative reserves (2,217) (408)  
Other contract holder funds:      
Remaining guaranteed interest and similar contracts (1,114) (1,108)  
Account value of certain investment contracts (30,812) (27,142)  
Short-term debt (309) (364)  
Long-term debt (5,025) (5,512)  
Reinsurance related embedded derivatives (168) (102)  
Variable interest entities' liabilities - derivative instruments (291) (209)  
Other liabilities:      
Deferred compensation plans embedded derivatives (354) (363)  
Credit default swaps (16) (16)  
Benefit Plans' Assets $ 1,345 $ 1,269