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Schedule II - Condensed Financial Information (Details) (USD $)
Share data in Thousands, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
Dec. 31, 2011
Sep. 30, 2011
Jun. 30, 2011
Mar. 31, 2011
Dec. 31, 2010
Sep. 30, 2010
Jun. 30, 2010
Mar. 31, 2010
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2009
Benefits and Expenses                      
Other operating expenses                 $ 6,103,000,000 $ 5,926,000,000 $ 5,450,000,000
Income from Continuing Operations                 1,328,000,000 1,349,000,000 1,304,000,000
Income from discontinued operations, net of taxes                 0 0 (1,000,000)
Shareholders' net income 290,000,000 200,000,000 408,000,000 429,000,000 461,000,000 307,000,000 294,000,000 283,000,000 1,327,000,000 1,345,000,000 1,302,000,000
Assets                      
Other assets, including other intangibles 1,776,000,000       1,238,000,000       1,776,000,000 1,238,000,000  
Total assets 51,047,000,000       45,682,000,000       51,047,000,000 45,682,000,000  
Liabilities Abstract                      
Long-term debt 4,990,000,000       2,288,000,000       4,990,000,000 2,288,000,000  
Nonrecourse obligations 0       0       0 0  
Total liabilities 42,703,000,000       39,019,000,000       42,703,000,000 39,019,000,000  
Shareholders Equity [Abstract]                      
Common stock (par value per share, $0.25; shares issued,366, 351; authorized, 600) 92,000,000       88,000,000       92,000,000 88,000,000  
Additional paid-in capital 3,188,000,000       2,534,000,000       3,188,000,000 2,534,000,000  
Accumulated Other Comprehensive Income Loss Available For Sale Fixed Securities Adjustment Net Of Tax 739,000,000       529,000,000       739,000,000 529,000,000  
Accumulated Other Comprehensive Income Loss Available For Sale Equity Securities Adjustment Net Of Tax 1,000,000       3,000,000       1,000,000 3,000,000  
Net unrealized depreciation, derivatives (23,000,000)       (24,000,000)       (23,000,000) (24,000,000)  
Net translation foreign currencies (3,000,000)       25,000,000       (3,000,000) 25,000,000  
Postretirement benefits liability adjustment 1,507,000,000       1,147,000,000       1,507,000,000 1,147,000,000  
Accumulated other comprehensive loss (BS) (793,000,000)       (614,000,000)       (793,000,000) (614,000,000)  
Retained earnings (BS) 11,143,000,000       9,879,000,000       11,143,000,000 9,879,000,000  
Less treasury stock, at cost 5,286,000,000       5,242,000,000       5,286,000,000 5,242,000,000  
Total Equity 8,344,000,000       6,663,000,000       8,344,000,000 6,663,000,000 5,429,000,000
Total liabilities and equity 51,047,000,000       45,682,000,000       51,047,000,000 45,682,000,000  
Consolidated Statements of Cash Flows                      
Shareholders' net income 290,000,000 200,000,000 408,000,000 429,000,000 461,000,000 307,000,000 294,000,000 283,000,000 1,327,000,000 1,345,000,000 1,302,000,000
Income from discontinued operations, net of taxes                 0 0 (1,000,000)
Cash Dividends Paid to Parent Company by Consolidated Subsidiaries                 1,135,000,000 1,050,000,000 650,000,000
Accounts payable accrued expenses and other liabilities                 344,000,000 (272,000,000) (1,321,000,000)
Other, net                 30,000,000 (5,000,000) (44,000,000)
Net cash provided by operating activities                 1,491,000,000 1,743,000,000 745,000,000
Net change in short-term debt, primarily commercial paper                 (451,000,000) (270,000,000) (200,000,000)
Issuance of Long Term Debt Gross Proceeds                 2,100,000,000    
Issuance of common stock                 734,000,000 64,000,000 30,000,000
Common dividends paid                 11,000,000 11,000,000 11,000,000
Payments For Repurchase Of Common Stock                 225,000,000 201,000,000 0
Net cash provided by financing activities                 2,867,000,000 274,000,000 307,000,000
Net increase in cash and cash equivalents                 3,085,000,000 681,000,000 (418,000,000)
Cash and cash equivalents, January 1,       1,605,000,000       924,000,000 1,605,000,000 924,000,000 1,342,000,000
Cash and cash equivalents, December 31, 4,690,000,000       1,605,000,000       4,690,000,000 1,605,000,000 924,000,000
Debt Details Table [Abstract]                      
Commercial Paper Outstanding 100,000,000       100,000,000       100,000,000 100,000,000  
Current maturities of long-term debt 4,000,000       452,000,000       4,000,000 452,000,000  
Short-term debt 104,000,000       552,000,000       104,000,000 552,000,000  
Long-term debt 4,990,000,000       2,288,000,000       4,990,000,000 2,288,000,000  
Notes To Condensed Statements Details [Abstract]                      
Revolving Credit and Letter of Credit Agreement Term                 5    
Revolving Credit And Letter Of Credit Agreement 1,500,000,000               1,500,000,000    
Lettersof Credit Current Borrowing Capacity 500,000,000               500,000,000    
Number Of Banks Participating In Revolving Credit And Letter Of Credit Agreement 16               16    
Revolving Credit And Letter Of Credit Agreement Remaining Thirteen Banks Percentage Committment 64.00%               64.00%    
Credit Facility Maximum Borrowing Capacity 2,000,000,000               2,000,000,000    
Revolving Credit And Letter Of Credit Agreement Covenants maintain a total debt to adjusted capital ratio at or below 0.50 to 1.00               maintain a total debt to adjusted capital ratio at or below 0.50 to 1.00    
Credit Facility Remaining Borrowing Capacity 4,000,000,000               4,000,000,000    
Short-term and Long-term Debt Outstanding 5,100,000,000               5,100,000,000    
Letters of Credit Outstanding, Amount 118,000,000               118,000,000    
Repayments Of Debt                 449,000,000    
Future Maturities of Debt and Capital Leases in 2012 4,000,000               4,000,000    
Future Maturities of Debt and Capital Leases in 2013 6,000,000               6,000,000    
Future Maturities of Debt and Capital Leases in 2014 23,000,000               23,000,000    
Future Maturities of Debt and Capital Leases in 2015 0               0    
Future Maturities of Debt and Capital Leases in 2016 600,000,000               600,000,000    
Long Term Debt Maturities Repayments Of Principal And Capital Leases After Year Five remainder               remainder    
Interest Expense on Long-term Debt, Short-term Debt and Capital Leases                 202,000,000 182,000,000 166,000,000
Proceeds From Issuance Of Common Stock Net                 629,000,000    
Proceeds From Issuance Of Common Stock Gross                 650,000,000    
Stock Issued During Period, Shares, New Issues                 15,200 0  
Cost of Common Stock Issued Per Share $ 42.75               $ 42.75    
Interest paid                 185,000,000 180,000,000 158,000,000
Notes due 2016 2.75% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 600,000,000       0       600,000,000 0  
Debt Details Table [Abstract]                      
Long-term debt 600,000,000       0       600,000,000 0  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value 600,000,000               600,000,000    
Debt Instrument Interest Rate Stated Percentage 2.75%               2.75%    
Pecentage Redemption Principal Amount Of Note                 100.00%    
Basis Points Added To Treasury Rate                 30    
Debt Instrument Interest Rate Basis Effective Rate 2.936%               2.936%    
Notes due 2017 5.375% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 250,000,000       250,000,000       250,000,000 250,000,000  
Debt Details Table [Abstract]                      
Long-term debt 250,000,000       250,000,000       250,000,000 250,000,000  
Notes due 2018 6.35% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 131,000,000       131,000,000       131,000,000 131,000,000  
Debt Details Table [Abstract]                      
Long-term debt 131,000,000       131,000,000       131,000,000 131,000,000  
Notes To Condensed Statements Details [Abstract]                      
Debt Instrument Interest Rate Stated Percentage         6.35%         6.35%  
Basis Points Added To Treasury Rate                   45  
Repayments Of Debt                   198,000,000  
Debt Tender Pricing Yield                   3.923%  
Amount Of Debt Tendered                   169,000,000  
Payments Of Debt Extinguishment Costs                   18,000,000  
Notes due 2019 8.5% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 251,000,000       251,000,000       251,000,000 251,000,000  
Debt Details Table [Abstract]                      
Long-term debt 251,000,000       251,000,000       251,000,000 251,000,000  
Notes To Condensed Statements Details [Abstract]                      
Debt Instrument Interest Rate Stated Percentage         8.50%         8.50%  
Basis Points Added To Treasury Rate                   100.00  
Repayments Of Debt                   130,000,000  
Debt Tender Pricing Yield                   4.128%  
Amount Of Debt Tendered                   99,000,000  
Payments Of Debt Extinguishment Costs                   21,000,000  
Notes due 2020 4.375% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 249,000,000       249,000,000       249,000,000 249,000,000  
Debt Details Table [Abstract]                      
Long-term debt 249,000,000       249,000,000       249,000,000 249,000,000  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value         250,000,000         250,000,000  
Debt Instrument Interest Rate Stated Percentage         4.375%         4.375%  
Pecentage Redemption Principal Amount Of Note                   100.00%  
Basis Points Added To Treasury Rate                   25  
Debt Instrument Interest Rate Basis Effective Rate         5.10%         5.10%  
Notes due 2020 5.125% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 299,000,000       299,000,000       299,000,000 299,000,000  
Debt Details Table [Abstract]                      
Long-term debt 299,000,000       299,000,000       299,000,000 299,000,000  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value         300,000,000         300,000,000  
Debt Instrument Interest Rate Stated Percentage         5.125%         5.125%  
Pecentage Redemption Principal Amount Of Note                   100.00%  
Basis Points Added To Treasury Rate                   25  
Debt Instrument Interest Rate Basis Effective Rate         5.36%         5.36%  
Notes Due 2021 4.5% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 298,000,000       0       298,000,000 0  
Debt Details Table [Abstract]                      
Long-term debt 298,000,000       0       298,000,000 0  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value 300,000,000               300,000,000    
Debt Instrument Interest Rate Stated Percentage 4.50%               4.50%    
Pecentage Redemption Principal Amount Of Note                 100.00%    
Basis Points Added To Treasury Rate                 20    
Debt Instrument Interest Rate Basis Effective Rate 4.683%               4.683%    
Notes due 2022 4% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 743,000,000       0       743,000,000 0  
Debt Details Table [Abstract]                      
Long-term debt 743,000,000       0       743,000,000 0  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value 750,000,000               750,000,000    
Debt Instrument Interest Rate Stated Percentage 4.00%               4.00%    
Pecentage Redemption Principal Amount Of Note                 100.00%    
Basis Points Added To Treasury Rate                 35    
Debt Instrument Interest Rate Basis Effective Rate 4.346%               4.346%    
Notes due 2023 7.65% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 100,000,000       100,000,000       100,000,000 100,000,000  
Debt Details Table [Abstract]                      
Long-term debt 100,000,000       100,000,000       100,000,000 100,000,000  
Notes due 2023 8.3% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 17,000,000       17,000,000       17,000,000 17,000,000  
Debt Details Table [Abstract]                      
Long-term debt 17,000,000       17,000,000       17,000,000 17,000,000  
Debentures due 2027 7.875% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 300,000,000       300,000,000       300,000,000 300,000,000  
Debt Details Table [Abstract]                      
Long-term debt 300,000,000       300,000,000       300,000,000 300,000,000  
Step Down Notes Due 2033 8.3% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 83,000,000       83,000,000       83,000,000 83,000,000  
Debt Details Table [Abstract]                      
Long-term debt 83,000,000       83,000,000       83,000,000 83,000,000  
Notes due 2036 6.15% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 500,000,000       500,000,000       500,000,000 500,000,000  
Debt Details Table [Abstract]                      
Long-term debt 500,000,000       500,000,000       500,000,000 500,000,000  
Notes Due 2041 5.875% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 298,000,000       0       298,000,000 0  
Debt Details Table [Abstract]                      
Long-term debt 298,000,000       0       298,000,000 0  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value 300,000,000               300,000,000    
Debt Instrument Interest Rate Stated Percentage 5.875%               5.875%    
Pecentage Redemption Principal Amount Of Note                 100.00%    
Basis Points Added To Treasury Rate                 25    
Debt Instrument Interest Rate Basis Effective Rate 6.008%               6.008%    
Notes due 2042 5.375% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 750,000,000       0       750,000,000 0  
Debt Details Table [Abstract]                      
Long-term debt 750,000,000       0       750,000,000 0  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value 750,000,000               750,000,000    
Debt Instrument Interest Rate Stated Percentage 5.375%               5.375%    
Pecentage Redemption Principal Amount Of Note                 100.00%    
Basis Points Added To Treasury Rate                 40    
Debt Instrument Interest Rate Basis Effective Rate 5.542%               5.542%    
Parent Company [Member]
                     
Benefits and Expenses                      
Interest Expense                 195,000,000 176,000,000 160,000,000
Intercompany Interest Expense                 19,000,000 26,000,000 80,000,000
Other operating expenses                 92,000,000 129,000,000 68,000,000
Operating Expenses                 306,000,000 331,000,000 308,000,000
Operating Income (Loss)                 (306,000,000) (331,000,000) (308,000,000)
Total Parent Company Tax Benefit                 (107,000,000) (106,000,000) (118,000,000)
Loss Of Parent Company                 (199,000,000) (225,000,000) (190,000,000)
Equity In Income Of Subsidiaries From Continuing Operations                 1,526,000,000 1,570,000,000 1,491,000,000
Income from Continuing Operations                 1,327,000,000 1,345,000,000 1,301,000,000
Income from discontinued operations, net of taxes                 0 0 (1,000,000)
Shareholders' net income                 1,327,000,000 1,345,000,000 1,302,000,000
Assets                      
Investments in and Advances to Affiliates, Amount of Equity 14,956,000,000       14,384,000,000       14,956,000,000 14,384,000,000  
Other assets, including other intangibles 793,000,000       568,000,000       793,000,000 568,000,000  
Total assets 15,749,000,000       14,952,000,000       15,749,000,000 14,952,000,000  
Liabilities Abstract                      
Due to Affiliate 460,000,000       3,718,000,000       460,000,000 3,718,000,000  
Short-term Debt 100,000,000       548,000,000       100,000,000 548,000,000  
Long-term debt 4,869,000,000       2,180,000,000       4,869,000,000 2,180,000,000  
Nonrecourse obligations 1,976,000,000       1,861,000,000       1,976,000,000 1,861,000,000  
Total liabilities 7,405,000,000       8,307,000,000       7,405,000,000 8,307,000,000  
Shareholders Equity [Abstract]                      
Common stock (par value per share, $0.25; shares issued,366, 351; authorized, 600) 92,000,000       88,000,000       92,000,000 88,000,000  
Additional paid-in capital 3,188,000,000       2,534,000,000       3,188,000,000 2,534,000,000  
Accumulated Other Comprehensive Income Loss Available For Sale Fixed Securities Adjustment Net Of Tax 739,000,000       529,000,000       739,000,000 529,000,000  
Accumulated Other Comprehensive Income Loss Available For Sale Equity Securities Adjustment Net Of Tax 1,000,000       3,000,000       1,000,000 3,000,000  
Net unrealized depreciation, derivatives (23,000,000)       (24,000,000)       (23,000,000) (24,000,000)  
Net translation foreign currencies (3,000,000)       25,000,000       (3,000,000) 25,000,000  
Postretirement benefits liability adjustment (1,507,000,000)       (1,147,000,000)       (1,507,000,000) (1,147,000,000)  
Retained earnings (BS) 11,143,000,000       9,879,000,000       11,143,000,000 9,879,000,000  
Less treasury stock, at cost (5,286,000,000)       (5,242,000,000)       (5,286,000,000) (5,242,000,000)  
Total Equity 8,344,000,000       6,645,000,000       8,344,000,000 6,645,000,000  
Total liabilities and equity 15,749,000,000       14,952,000,000       15,749,000,000 14,952,000,000  
Consolidated Statements of Cash Flows                      
Shareholders' net income                 1,327,000,000 1,345,000,000 1,302,000,000
Equity In Income Of Subsidiaries                 (1,527,000,000) (1,574,000,000) (1,494,000,000)
Income from discontinued operations, net of taxes                 0 0 (1,000,000)
Accounts payable accrued expenses and other liabilities                 (296,000,000) (294,000,000) (401,000,000)
Other, net                 (91,000,000) 162,000,000 356,000,000
Increase (Decrease) in Due to Affiliates                 (3,258,000,000) (816,000,000) (579,000,000)
Issuance of Long Term Debt Gross Proceeds                 2,661,000,000 543,000,000 346,000,000
Repayment of long-term debt                 (449,000,000) (268,000,000) (199,000,000)
Issuance of common stock                 734,000,000 64,000,000 30,000,000
Common dividends paid                 (11,000,000) (11,000,000) (11,000,000)
Payments For Repurchase Of Common Stock                 (225,000,000) (201,000,000) 0
Net increase in cash and cash equivalents                 0 0 (1,000,000)
Cash and cash equivalents, January 1,       0       0 0 0 1,000,000
Cash and cash equivalents, December 31, 0       0       0 0 0
Debt Details Table [Abstract]                      
Commercial Paper Outstanding 100,000,000       100,000,000       100,000,000 100,000,000  
Current maturities of long-term debt 0       448,000,000       0 448,000,000  
Short-term debt 100,000,000       548,000,000       100,000,000 548,000,000  
Long-term debt 4,869,000,000       2,180,000,000       4,869,000,000 2,180,000,000  
Notes To Condensed Statements Details [Abstract]                      
Revolving Credit and Letter of Credit Agreement Term                 5    
Revolving Credit And Letter Of Credit Agreement 1,500,000,000               1,500,000,000    
Lettersof Credit Current Borrowing Capacity 500,000,000               500,000,000    
Number Of Banks Participating In Revolving Credit And Letter Of Credit Agreement 16               16    
Revolving Credit And Letter Of Credit Agreement Remaining Thirteen Banks Percentage Committment 64.00%               64.00%    
Credit Facility Maximum Borrowing Capacity 2,000,000,000               2,000,000,000    
Revolving Credit And Letter Of Credit Agreement Covenants .5 to 1               .5 to 1    
Credit Facility Remaining Borrowing Capacity 4,000,000,000               4,000,000,000    
Short-term and Long-term Debt Outstanding 5,100,000,000               5,100,000,000    
Letters of Credit Outstanding, Amount 118,000,000               118,000,000    
Future Maturities of Debt and Capital Leases in 2012 0               0    
Future Maturities of Debt and Capital Leases in 2013 0               0    
Future Maturities of Debt and Capital Leases in 2014 0               0    
Future Maturities of Debt and Capital Leases in 2015 0               0    
Future Maturities of Debt and Capital Leases in 2016 600,000,000               600,000,000    
Long Term Debt Maturities Repayments Of Principal And Capital Leases After Year Five remainder               remainder    
Interest Expense on Long-term Debt, Short-term Debt and Capital Leases                 195,000,000 176,000,000 160,000,000
Bank letter of credit arranged for reinsurance subsidiary 33,000,000               33,000,000    
Amount of letter of credit issued to provide collateral for subsidiaries 3,000,000               3,000,000    
Payment guarantee on surety bonds obtained by subsidiaries 24,000,000               24,000,000    
Letter of credit required by insurer of high-deductible self-insurance program 27,000,000               27,000,000    
Solvency guarantee required by regulators for Insurance subsidiaries 34,000,000               34,000,000    
Bank letter of credit arranged for subsidiary 55,000,000               55,000,000    
Guarantee on reserve related to assumed reinsurance business of subsidiary 88,000,000               88,000,000    
Proceeds From Issuance Of Common Stock Net                 629,000,000    
Proceeds From Issuance Of Common Stock Gross                 650,000,000    
Stock Issued During Period, Shares, New Issues                 15,200    
Cost of Common Stock Issued Per Share $ 42.75               $ 42.75    
Average Interest Rate On Intercompany Loan                 0.63% 0.61%  
Interest paid                 179,000,000 175,000,000 153,000,000
Parent Company [Member] | Notes due 2016 2.75% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 600,000,000       0       600,000,000 0  
Debt Details Table [Abstract]                      
Long-term debt 600,000,000       0       600,000,000 0  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value 600,000,000               600,000,000    
Debt Instrument Interest Rate Stated Percentage 2.75%               2.75%    
Basis Points Added To Treasury Rate                 30    
Debt Instrument Interest Rate Basis Effective Rate 2.93%               2.93%    
Parent Company [Member] | Notes due 2017 5.375% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 250,000,000       250,000,000       250,000,000 250,000,000  
Debt Details Table [Abstract]                      
Long-term debt 250,000,000       250,000,000       250,000,000 250,000,000  
Parent Company [Member] | Notes due 2018 6.35% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 131,000,000       131,000,000       131,000,000 131,000,000  
Debt Details Table [Abstract]                      
Long-term debt 131,000,000       131,000,000       131,000,000 131,000,000  
Notes To Condensed Statements Details [Abstract]                      
Debt Instrument Interest Rate Stated Percentage         6.35%         6.35%  
Basis Points Added To Treasury Rate                   45  
Repayments Of Debt                   198,000,000  
Debt Tender Pricing Yield                   3.923%  
Amount Of Debt Tendered                   169,000,000  
Payments Of Debt Extinguishment Costs                   18,000,000  
Parent Company [Member] | Notes due 2019 8.5% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 251,000,000       251,000,000       251,000,000 251,000,000  
Debt Details Table [Abstract]                      
Long-term debt 251,000,000       251,000,000       251,000,000 251,000,000  
Notes To Condensed Statements Details [Abstract]                      
Debt Instrument Interest Rate Stated Percentage         8.50%         8.50%  
Basis Points Added To Treasury Rate                   100.00  
Repayments Of Debt                   130,000,000  
Debt Tender Pricing Yield                   4.128%  
Amount Of Debt Tendered                   99,000,000  
Payments Of Debt Extinguishment Costs                   21,000,000  
Parent Company [Member] | Notes due 2020 4.375% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 249,000,000       249,000,000       249,000,000 249,000,000  
Debt Details Table [Abstract]                      
Long-term debt 249,000,000       249,000,000       249,000,000 249,000,000  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value         250,000,000         250,000,000  
Debt Instrument Interest Rate Stated Percentage         4.375%         4.375%  
Debt Instrument Interest Rate Basis Effective Rate         5.10%         5.10%  
Parent Company [Member] | Notes due 2020 5.125% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 299,000,000       299,000,000       299,000,000 299,000,000  
Debt Details Table [Abstract]                      
Long-term debt 299,000,000       299,000,000       299,000,000 299,000,000  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value         300,000,000         300,000,000  
Debt Instrument Interest Rate Stated Percentage         5.125%         5.125%  
Debt Instrument Interest Rate Basis Effective Rate         5.36%         5.36%  
Parent Company [Member] | Notes Due 2021 4.5% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 298,000,000       0       298,000,000 0  
Debt Details Table [Abstract]                      
Long-term debt 298,000,000       0       298,000,000 0  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value 300,000,000               300,000,000    
Debt Instrument Interest Rate Stated Percentage 4.50%               4.50%    
Basis Points Added To Treasury Rate                 20    
Debt Instrument Interest Rate Basis Effective Rate 4.683%               4.683%    
Parent Company [Member] | Notes due 2022 4% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 743,000,000       0       743,000,000 0  
Debt Details Table [Abstract]                      
Long-term debt 743,000,000       0       743,000,000 0  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value 750,000,000               750,000,000    
Debt Instrument Interest Rate Stated Percentage 4.00%               4.00%    
Basis Points Added To Treasury Rate                 35    
Debt Instrument Interest Rate Basis Effective Rate 4.346%               4.346%    
Parent Company [Member] | Notes due 2023 7.65% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 100,000,000       100,000,000       100,000,000 100,000,000  
Debt Details Table [Abstract]                      
Long-term debt 100,000,000       100,000,000       100,000,000 100,000,000  
Parent Company [Member] | Notes due 2023 8.3% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 17,000,000       17,000,000       17,000,000 17,000,000  
Debt Details Table [Abstract]                      
Long-term debt 17,000,000       17,000,000       17,000,000 17,000,000  
Parent Company [Member] | Debentures due 2027 7.875% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 300,000,000       300,000,000       300,000,000 300,000,000  
Debt Details Table [Abstract]                      
Long-term debt 300,000,000       300,000,000       300,000,000 300,000,000  
Parent Company [Member] | Step Down Notes Due 2033 8.3% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 83,000,000       83,000,000       83,000,000 83,000,000  
Debt Details Table [Abstract]                      
Long-term debt 83,000,000       83,000,000       83,000,000 83,000,000  
Parent Company [Member] | Notes due 2036 6.15% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 500,000,000       500,000,000       500,000,000 500,000,000  
Debt Details Table [Abstract]                      
Long-term debt 500,000,000       500,000,000       500,000,000 500,000,000  
Parent Company [Member] | Notes Due 2041 5.875% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 298,000,000       0       298,000,000 0  
Debt Details Table [Abstract]                      
Long-term debt 298,000,000       0       298,000,000 0  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value 300,000,000               300,000,000    
Debt Instrument Interest Rate Stated Percentage 5.875%               5.875%    
Basis Points Added To Treasury Rate                 25    
Debt Instrument Interest Rate Basis Effective Rate 6.008%               6.008%    
Parent Company [Member] | Notes due 2042 5.375% Interest [Member]
                     
Liabilities Abstract                      
Long-term debt 750,000,000       0       750,000,000 0  
Debt Details Table [Abstract]                      
Long-term debt 750,000,000       0       750,000,000 0  
Notes To Condensed Statements Details [Abstract]                      
Long Term Debt Face Value $ 750,000,000               $ 750,000,000    
Debt Instrument Interest Rate Stated Percentage 5.375%               5.375%    
Basis Points Added To Treasury Rate                 40    
Debt Instrument Interest Rate Basis Effective Rate 5.542%               5.542%