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FAIR VALUE DISCLOSURES (Carrying Values and Fair Values of Financial Instruments) (Details) - USD ($)
$ in Millions
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Consolidated Amounts [Abstract]      
Mortgage loans on real estate (net of valuation allowances of $6 and $37) $ 7,171 $ 6,463  
Loans to affiliates 1,087 1,087  
Policyholders liabilities: Investment contracts 33,033 31,848 $ 30,340
Policy loans 3,393 3,408  
Short-term debt 584 689  
Separate Accounts’ liabilities 107,497 111,059  
Carrying Value      
Consolidated Amounts [Abstract]      
Mortgage loans on real estate (net of valuation allowances of $6 and $37) 7,171 6,463  
Loans to affiliates 1,087 1,087  
Policyholders liabilities: Investment contracts 7,825 2,799  
Policy loans 3,393 3,408  
Short-term debt 584 688  
Separate Accounts’ liabilities 5,124 5,019  
Measured at Fair Value      
Consolidated Amounts [Abstract]      
Mortgage loans on real estate (net of valuation allowances of $6 and $37) 7,257 6,617  
Loans to affiliates 1,185 1,203  
Policyholders liabilities: Investment contracts 7,930 2,941  
Policy loans 4,343 4,406  
Short-term debt 584 700  
Separate Accounts’ liabilities 5,124 5,019  
Measured at Fair Value | Level 1      
Consolidated Amounts [Abstract]      
Short-term debt 0 0  
Measured at Fair Value | Level 2      
Consolidated Amounts [Abstract]      
Loans to affiliates 795 1,203  
Short-term debt 584 700  
Measured at Fair Value | Level 3      
Consolidated Amounts [Abstract]      
Mortgage loans on real estate (net of valuation allowances of $6 and $37) 7,257 6,617  
Loans to affiliates 390 0  
Policyholders liabilities: Investment contracts 7,930 2,941  
Policy loans 4,343 4,406  
Separate Accounts’ liabilities $ 5,124 $ 5,019