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Investments (Tables)
3 Months Ended
Mar. 31, 2015
Investments, Debt and Equity Securities [Abstract]  
Schedule Of Amortized Cost And Fair Value Of Fixed Maturities And Related OTTI Recognized In AOCI
March 31, 2015
Amortized
Cost

 
Gross
Unrealized
Appreciation

 
Gross
Unrealized
Depreciation

 
Fair
Value

 
OTTI Recognized
in AOCI

(in millions of U.S. dollars)
 
 
 
 
Available for sale
 
 
 
 
 
 
 
 
 
U.S. Treasury and agency
$
2,793

 
$
98

 
$
(2
)
 
$
2,889

 
$

Foreign
14,262

 
761

 
(76
)
 
14,947

 

Corporate securities
17,259

 
834

 
(94
)
 
17,999

 
(6
)
Mortgage-backed securities
10,459

 
362

 
(13
)
 
10,808

 
(1
)
States, municipalities, and political subdivisions
3,611

 
160

 
(4
)
 
3,767

 

 
$
48,384

 
$
2,215

 
$
(189
)
 
$
50,410

 
$
(7
)
Held to maturity
 
 
 
 
 
 
 
 
 
U.S. Treasury and agency
$
756

 
$
24

 
$

 
$
780

 
$

Foreign
816

 
57

 

 
873

 

Corporate securities
2,249

 
122

 

 
2,371

 

Mortgage-backed securities
1,907

 
77

 
(1
)
 
1,983

 

States, municipalities, and political subdivisions
1,254

 
47

 
(1
)
 
1,300

 

 
$
6,982

 
$
327

 
$
(2
)
 
$
7,307

 
$


December 31, 2014
Amortized
Cost

 
Gross
Unrealized
Appreciation

 
Gross
Unrealized
Depreciation

 
Fair
Value

 
OTTI Recognized
in AOCI

(in millions of U.S. dollars)
 
 
 
 
Available for sale
 
 
 
 
 
 
 
 
 
U.S. Treasury and agency
$
2,741

 
$
87

 
$
(8
)
 
$
2,820

 
$

Foreign
14,703

 
629

 
(90
)
 
15,242

 

Corporate securities
16,897

 
704

 
(170
)
 
17,431

 
(7
)
Mortgage-backed securities
10,011

 
304

 
(29
)
 
10,286

 
(1
)
States, municipalities, and political subdivisions
3,474

 
147

 
(5
)
 
3,616

 

 
$
47,826

 
$
1,871

 
$
(302
)
 
$
49,395

 
$
(8
)
Held to maturity
 
 
 
 
 
 
 
 
 
U.S. Treasury and agency
$
832

 
$
20

 
$
(2
)
 
$
850

 
$

Foreign
916

 
47

 

 
963

 

Corporate securities
2,323

 
102

 
(2
)
 
2,423

 

Mortgage-backed securities
1,983

 
57

 
(1
)
 
2,039

 

States, municipalities, and political subdivisions
1,277

 
40

 
(3
)
 
1,314

 

 
$
7,331

 
$
266

 
$
(8
)
 
$
7,589

 
$


Schedule Of Fixed Maturities By Contractual Maturity
 
 
 
March 31

 
 
 
December 31

 
 
 
2015

 
 
 
2014

(in millions of U.S. dollars)
Amortized Cost

 
Fair Value

 
Amortized Cost

 
Fair Value

Available for sale
 
 
 
 
 
 
 
Due in 1 year or less
$
2,021

 
$
2,042

 
$
2,187

 
$
2,206

Due after 1 year through 5 years
16,209

 
16,735

 
15,444

 
15,857

Due after 5 years through 10 years
15,047

 
15,649

 
15,663

 
16,089

Due after 10 years
4,648

 
5,176

 
4,521

 
4,957

 
37,925

 
39,602

 
37,815

 
39,109

Mortgage-backed securities
10,459

 
10,808

 
10,011

 
10,286

 
$
48,384

 
$
50,410

 
$
47,826

 
$
49,395

Held to maturity
 
 
 
 
 
 
 
Due in 1 year or less
$
318

 
$
321

 
$
353

 
$
355

Due after 1 year through 5 years
2,594

 
2,706

 
2,603

 
2,693

Due after 5 years through 10 years
1,214

 
1,270

 
1,439

 
1,489

Due after 10 years
949

 
1,027

 
953

 
1,013

 
5,075

 
5,324

 
5,348

 
5,550

Mortgage-backed securities
1,907

 
1,983

 
1,983

 
2,039

 
$
6,982

 
$
7,307

 
$
7,331

 
$
7,589

Schedule Of Cost And Fair Value Of Equity Securities
 
March 31


December 31

(in millions of U.S. dollars)
2015


2014

Cost
$
447

 
$
440

Gross unrealized appreciation
99

 
83

Gross unrealized depreciation
(10
)
 
(13
)
Fair value
$
536

 
$
510

Schedule Of Net Realized Gains (Losses) And The Losses Included In Net Realized Gains (Losses) And OCI
 
Three Months Ended
 
 
March 31
 
(in millions of U.S. dollars)
2015

 
2014

Fixed maturities:
 
 
 
OTTI on fixed maturities, gross
$
(13
)
 
$
(6
)
OTTI on fixed maturities recognized in OCI (pre-tax)

 
1

OTTI on fixed maturities, net
(13
)
 
(5
)
Gross realized gains excluding OTTI
44

 
36

Gross realized losses excluding OTTI
(35
)
 
(20
)
Total fixed maturities
(4
)
 
11

Equity securities:
 
 
 
OTTI on equity securities

 
(6
)
Gross realized gains excluding OTTI
3

 
2

Gross realized losses excluding OTTI
(2
)
 
(1
)
Total equity securities
1

 
(5
)
OTTI on other investments

 

Foreign exchange losses
(31
)
 
(9
)
Investment and embedded derivative instruments
1

 
(25
)
Fair value adjustments on insurance derivative
(45
)
 
(48
)
S&P put options and futures
(12
)
 
(19
)
Other derivative instruments

 
(2
)
Other
1

 
(7
)
Net realized gains (losses)
$
(89
)
 
$
(104
)
Schedule Of Roll-Forward Of Pre-Tax Credit Losses Related To Fixed Maturities For Which A Portion Of OTTI Was Recognized In OCI
 
Three Months Ended
 
 
March 31
 
(in millions of U.S. dollars)
2015

 
2014

Balance of credit losses related to securities still held – beginning of period
$
28

 
$
37

Additions where no OTTI was previously recorded
3

 
2

Additions where an OTTI was previously recorded
1

 
2

Reductions for securities sold during the period
(10
)
 
(6
)
Balance of credit losses related to securities still held – end of period
$
22

 
$
35

Schedule Of Aggregate Fair Value And Gross Unrealized Loss By Length Of Time The Security Has Continuously Been In An Unrealized Loss Position
 
0 – 12 Months
 
 
Over 12 Months
 
 
Total
 
March 31, 2015
Fair Value

 
Gross
Unrealized
Loss

 
Fair Value

 
Gross
Unrealized
Loss

 
Fair Value

 
Gross
Unrealized
Loss

(in millions of U.S. dollars)
 
 
 
 
 
U.S. Treasury and agency
$
443

 
$
(1
)
 
$
141

 
$
(1
)
 
$
584

 
$
(2
)
Foreign
1,747

 
(64
)
 
317

 
(12
)
 
2,064

 
(76
)
Corporate securities
2,140

 
(79
)
 
500

 
(15
)
 
2,640

 
(94
)
Mortgage-backed securities
1,301

 
(6
)
 
560

 
(8
)
 
1,861

 
(14
)
States, municipalities, and political subdivisions
462

 
(3
)
 
89

 
(2
)
 
551

 
(5
)
Total fixed maturities
6,093

 
(153
)
 
1,607

 
(38
)
 
7,700

 
(191
)
Equity securities
68

 
(10
)
 

 

 
68

 
(10
)
Other investments
92

 
(6
)
 

 

 
92

 
(6
)
Total
$
6,253

 
$
(169
)
 
$
1,607

 
$
(38
)
 
$
7,860

 
$
(207
)
 
 
0 – 12 Months
 
 
Over 12 Months
 
 
Total
 
December 31, 2014
Fair Value

 
Gross
Unrealized
Loss

 
Fair Value

 
Gross
Unrealized
Loss

 
Fair Value

 
Gross
Unrealized
Loss

(in millions of U.S. dollars)
 
 
 
 
 
U.S. Treasury and agency
$
350

 
$
(1
)
 
$
666

 
$
(9
)
 
$
1,016

 
$
(10
)
Foreign
2,262

 
(75
)
 
375

 
(15
)
 
2,637

 
(90
)
Corporate securities
4,684

 
(150
)
 
738

 
(22
)
 
5,422

 
(172
)
Mortgage-backed securities
704

 
(2
)
 
1,663

 
(28
)
 
2,367

 
(30
)
States, municipalities, and political subdivisions
458

 
(3
)
 
490

 
(5
)
 
948

 
(8
)
Total fixed maturities
8,458

 
(231
)
 
3,932

 
(79
)
 
12,390

 
(310
)
Equity securities
101

 
(13
)
 

 

 
101

 
(13
)
Total
$
8,559

 
$
(244
)
 
$
3,932

 
$
(79
)
 
$
12,491

 
$
(323
)
Schedule Of Components Of Restricted Assets
 
March 31

 
December 31

(in millions of U.S. dollars)
2015

 
2014

Trust funds
$
11,132

 
$
10,838

Deposits with non-U.S. regulatory authorities
2,296

 
2,305

Assets pledged under repurchase agreements
1,459

 
1,431

Deposits with U.S. regulatory authorities
1,336

 
1,345

Other pledged assets
446

 
457

 
$
16,669

 
$
16,376