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Investments - Gross unrealized losses and fair value by the type and length of time held in continuous unrealized loss position (Details)
$ in Millions
Sep. 30, 2019
USD ($)
contract
Dec. 31, 2018
USD ($)
contract
U.S. government and agencies    
Less than 12 months    
Number of issues | contract 8 11
Fair value $ 165 $ 55
Unrealized losses $ (1) $ 0
12 months or more    
Number of issues | contract 17 38
Fair value $ 48 $ 364
Unrealized losses 0 (6)
Total unrealized losses    
Total unrealized losses $ (1) $ (6)
Municipal    
Less than 12 months    
Number of issues | contract 204 943
Fair value $ 373 $ 1,633
Unrealized losses $ (2) $ (10)
12 months or more    
Number of issues | contract 1 1,147
Fair value $ 14 $ 1,554
Unrealized losses (2) (33)
Total unrealized losses    
Total unrealized losses $ (4) $ (43)
Corporate    
Less than 12 months    
Number of issues | contract 206 1,735
Fair value $ 1,671 $ 19,243
Unrealized losses $ (31) $ (543)
12 months or more    
Number of issues | contract 96 645
Fair value $ 973 $ 8,374
Unrealized losses (39) (347)
Total unrealized losses    
Total unrealized losses $ (70) $ (890)
Foreign government    
Less than 12 months    
Number of issues | contract 32 7
Fair value $ 205 $ 20
Unrealized losses $ (2) $ (1)
12 months or more    
Number of issues | contract 6 27
Fair value $ 103 $ 412
Unrealized losses (1) (4)
Total unrealized losses    
Total unrealized losses $ (3) $ (5)
Asset-backed securities (“ABS”)    
Less than 12 months    
Number of issues | contract 33 64
Fair value $ 150 $ 454
Unrealized losses $ (2) $ (5)
12 months or more    
Number of issues | contract 20 28
Fair value $ 122 $ 161
Unrealized losses (4) (5)
Total unrealized losses    
Total unrealized losses $ (6) $ (10)
Residential mortgage-backed securities (“RMBS”)    
Less than 12 months    
Number of issues | contract 26 166
Fair value $ 15 $ 30
Unrealized losses $ 0 $ 0
12 months or more    
Number of issues | contract 145 195
Fair value $ 20 $ 52
Unrealized losses (1) (2)
Total unrealized losses    
Total unrealized losses $ (1) $ (2)
Commercial mortgage-backed securities (“CMBS”)    
Less than 12 months    
Number of issues | contract 1 3
Fair value $ 5 $ 7
Unrealized losses $ 0 $ 0
12 months or more    
Number of issues | contract 1 2
Fair value $ 2 $ 0
Unrealized losses (1) (1)
Total unrealized losses    
Total unrealized losses $ (1) $ (1)
Redeemable preferred stock    
Less than 12 months    
Number of issues | contract 0 1
Fair value $ 0 $ 0
Unrealized losses $ 0 $ 0
12 months or more    
Number of issues | contract 0 0
Fair value $ 0 $ 0
Unrealized losses 0 0
Total unrealized losses    
Total unrealized losses $ 0 $ 0
Fixed income securities    
Less than 12 months    
Number of issues | contract 510 2,930
Fair value $ 2,584 $ 21,442
Unrealized losses $ (38) $ (559)
12 months or more    
Number of issues | contract 286 2,082
Fair value $ 1,282 $ 10,917
Unrealized losses (48) (398)
Total unrealized losses    
Total unrealized losses $ (86) $ (957)
Investment grade fixed income securities    
Less than 12 months    
Number of issues | contract 426 2,348
Fair value $ 2,088 $ 17,485
Unrealized losses $ (13) $ (331)
12 months or more    
Number of issues | contract 237 2,021
Fair value $ 991 $ 10,626
Unrealized losses (23) (360)
Total unrealized losses    
Total unrealized losses $ (36) $ (691)
Below investment grade fixed income securities    
Less than 12 months    
Number of issues | contract 84 582
Fair value $ 496 $ 3,957
Unrealized losses $ (25) $ (228)
12 months or more    
Number of issues | contract 49 61
Fair value $ 291 $ 291
Unrealized losses (25) (38)
Total unrealized losses    
Total unrealized losses $ (50) $ (266)