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Fair Value of Financial Instruments (Carrying and Estimated Fair Values of Financial Instruments) (Details) - USD ($)
$ in Millions
Jun. 30, 2016
Dec. 31, 2015
AFS securities:    
AFS Fixed Maturity Securities $ 91,461 $ 84,964
Variable interest entities' fixed maturity securities 600 598
AFS Equity securities 277 237
Trading securities 1,812 1,854
Mortgage loans on real estate 9,257 8,678
Derivative investments 2,613 1,537
Other investments 2,039 1,778
Carrying Value [Member]    
AFS securities:    
AFS Equity securities 277 237
Trading securities 1,812 1,854
Mortgage loans on real estate 9,257 8,678
Derivative investments [1] 2,613 1,537
Other investments [2] 2,039 1,778
Cash and invested cash 4,113 3,146
Other assets - reinsurance recoverable 539 268
Separate account assets 125,033 123,619
Future contract benefits:    
Indexed annuity and IUL contracts embedded derivatives (1,102) (1,100)
Other contract holder funds:    
Remaining guaranteed interest and similar contracts (660) (687)
Account values of certain investment contracts (31,068) (30,392)
Short-term debt [3] (250)  
Long-term debt (5,460) (5,553)
Reinsurance related embedded derivatives (134) (87)
VIEs' liabilities - derivative instruments   (4)
Other liabilities - credit default swaps (16) (9)
Other liabilities - derivative liabilities [1] (122) (69)
Other liabilities - GLB reserves embedded derivatives [4] (2,458) (953)
Fair Value [Member]    
AFS securities:    
AFS Equity securities 277 237
Trading securities 1,812 1,854
Mortgage loans on real estate 9,821 8,936
Derivative investments [1] 2,613 1,537
Other investments [2] 2,039 1,778
Cash and invested cash 4,113 3,146
Other assets - reinsurance recoverable 539 268
Separate account assets 125,033 123,619
Future contract benefits:    
Indexed annuity and IUL contracts embedded derivatives (1,102) (1,100)
Other contract holder funds:    
Remaining guaranteed interest and similar contracts (660) (687)
Account values of certain investment contracts (37,486) (34,618)
Short-term debt [3] (249)  
Long-term debt (5,211) (5,505)
Reinsurance related embedded derivatives (134) (87)
VIEs' liabilities - derivative instruments   (4)
Other liabilities - credit default swaps (16) (9)
Other liabilities - derivative liabilities [1] (122) (69)
Other liabilities - GLB reserves embedded derivatives [4] (2,458) (953)
VIEs' fixed maturity securities [Member] | Carrying Value [Member]    
AFS securities:    
Variable interest entities' fixed maturity securities 600 598
VIEs' fixed maturity securities [Member] | Fair Value [Member]    
AFS securities:    
Variable interest entities' fixed maturity securities 600 598
Fixed maturity AFS securities [Member] | Carrying Value [Member]    
AFS securities:    
AFS Fixed Maturity Securities 91,461 84,964
Fixed maturity AFS securities [Member] | Fair Value [Member]    
AFS securities:    
AFS Fixed Maturity Securities $ 91,461 $ 84,964
[1] We have master netting agreements with each of our derivative counterparties, which allow for the netting of our derivative asset and liability positions by counterparty.
[2] Includes credit default swaps in an asset position associated with consolidated VIEs.
[3] The difference between the carrying value and fair value of short-term debt as of June 30, 2016, related to current maturities of long-term debt.
[4] Portions of our GLB reserves embedded derivatives are ceded to third-party reinsurance counterparties. Refer to Note 5 for additional detail.