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Separate Accounts (Summary of Balances and changes in Separate Account Liabilities) (Details) - USD ($)
$ in Millions
6 Months Ended 12 Months Ended
Jun. 30, 2023
Dec. 31, 2022
Separate Account, Liability [Line Items]    
Balance as of beginning-of-year $ 143,536  
Balance as of end-of-period 153,246 $ 143,536
UL and Other [Member]    
Separate Account, Liability [Line Items]    
Balance as of beginning-of-year 20,920 24,785
Gross Deposit 821 1,900
Withdrawal (154) (454)
Policyholder assessments (476) (938)
Change in market performance 2,374 (4,371)
Net transfers from (to) general account (76) (2)
Balance as of end-of-period 23,409 20,920
Cash surrender value 21,080 18,666
Variable Annuities [Member]    
Separate Account, Liability [Line Items]    
Balance as of beginning-of-year 105,573 136,665
Gross Deposit 1,367 3,371
Withdrawal (4,915) (9,238)
Policyholder assessments (1,251) (2,603)
Change in market performance 9,950 (23,194)
Net transfers from (to) general account 274 572
Balance as of end-of-period 110,998 105,573
Cash surrender value 109,501 103,987
Retirement Plan Services Segment [Member]    
Separate Account, Liability [Line Items]    
Balance as of beginning-of-year 16,996 21,068
Gross Deposit 1,078 2,378
Withdrawal (1,123) (2,378)
Policyholder assessments (79) (164)
Change in market performance 1,953 (3,710)
Net transfers from (to) general account (36) (198)
Balance as of end-of-period 18,789 16,996
Cash surrender value $ 18,774 $ 16,982