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Fair Value (Financial Instruments Carried at Other Than Fair Value) (Details) - USD ($)
$ in Millions
Sep. 30, 2022
Dec. 31, 2021
Assets    
Policy loans $ 886 $ 869
Liabilities    
Separate account liabilities 76,067 106,225
Carrying Value    
Assets    
Mortgage loans 22,030 19,787
Policy loans 886 869
Other invested assets 316 85
Premiums, reinsurance and other receivables 4,798 3,075
Liabilities    
Policyholder account balances 29,394 23,507
Short-term debt 125  
Long-term debt 839 841
Other liabilities 1,140 886
Separate account liabilities 989 1,437
Estimated Fair Value    
Assets    
Mortgage loans 19,899 20,591
Policy loans 920 1,038
Other invested assets 316 85
Premiums, reinsurance and other receivables 5,008 3,603
Liabilities    
Policyholder account balances 28,526 23,487
Short-term debt 125  
Long-term debt 707 1,123
Other liabilities 1,140 876
Separate account liabilities 989 1,437
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
Short-term debt 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 470 470
Other invested assets 176 70
Premiums, reinsurance and other receivables 115 20
Liabilities    
Policyholder account balances 0 0
Short-term debt 0  
Long-term debt 29 36
Other liabilities 329 60
Separate account liabilities 989 1,437
Estimated Fair Value | Level 3    
Assets    
Mortgage loans 19,899 20,591
Policy loans 450 568
Other invested assets 140 15
Premiums, reinsurance and other receivables 4,893 3,583
Liabilities    
Policyholder account balances 28,526 23,487
Short-term debt 125  
Long-term debt 678 1,087
Other liabilities 811 816
Separate account liabilities $ 0 $ 0