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Fair Value (Financial Instruments Carried at Other Than Fair Value) (Details) - USD ($)
$ in Millions
Sep. 30, 2020
Dec. 31, 2019
Assets    
Policy loans $ 879 $ 875
Liabilities    
Separate account liabilities 95,955 99,668
Carrying Value    
Assets    
Mortgage loans 15,659 15,664
Policy loans 879 875
Other invested assets 96 51
Premiums, reinsurance and other receivables 2,923 2,053
Liabilities    
Policyholder account balances 17,514 15,474
Long-term debt 843 844
Other liabilities 1,154 943
Separate account liabilities 1,204 1,186
Estimated Fair Value    
Assets    
Mortgage loans 16,628 16,291
Policy loans 1,409 983
Other invested assets 96 51
Premiums, reinsurance and other receivables 3,602 2,468
Liabilities    
Policyholder account balances 18,707 15,576
Long-term debt 953 942
Other liabilities 1,165 946
Separate account liabilities 1,204 1,186
Estimated Fair Value | Level 1    
Assets    
Mortgage loans 0 0
Policy loans 0 0
Other invested assets 0 0
Premiums, reinsurance and other receivables 0 0
Liabilities    
Policyholder account balances 0 0
Long-term debt 0 0
Other liabilities 0 0
Separate account liabilities 0 0
Estimated Fair Value | Level 2    
Assets    
Mortgage loans 0 0
Policy loans 469 479
Other invested assets 81 39
Premiums, reinsurance and other receivables 63 41
Liabilities    
Policyholder account balances 0 0
Long-term debt 39 39
Other liabilities 372 169
Separate account liabilities 1,204 1,186
Estimated Fair Value | Level 3    
Assets    
Mortgage loans 16,628 16,291
Policy loans 940 504
Other invested assets 15 12
Premiums, reinsurance and other receivables 3,539 2,427
Liabilities    
Policyholder account balances 18,707 15,576
Long-term debt 914 903
Other liabilities 793 777
Separate account liabilities $ 0 $ 0