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Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2024
Fair Value Disclosures [Abstract]  
Fair Value Hierarchy for Assets Measured at Fair Value on a Recurring Basis
The following tables illustrate the fair value hierarchy for those assets measured at fair value on a recurring basis at March 31, 2024, and December 31, 2023. We do not have any liabilities carried at fair value.
(Dollars in millions)Level 1Level 2Level 3Total
At March 31, 2024
Fixed maturities, available for sale:    
Corporate $ $7,599 $ $7,599 
States, municipalities and political subdivisions 4,668  4,668 
Government-sponsored enterprises 1,421  1,421 
Asset-backed  189  189 
United States government178   178 
Foreign government 29  29 
Subtotal178 13,906  14,084 
Common equities11,203   11,203 
Nonredeemable preferred equities 354  354 
Separate accounts taxable fixed maturities 866  866 
Top Hat savings plan mutual funds and common
   equity (included in Other assets)
78   78 
Total$11,459 $15,126 $ $26,585 
At December 31, 2023
Fixed maturities, available for sale:    
Corporate $— $7,452 $— $7,452 
States, municipalities and political subdivisions— 4,703 — 4,703 
Government-sponsored enterprises— 1,224 — 1,224 
Asset-backed — 187 — 187 
United States government200 — — 200 
Foreign government— 25 — 25 
Subtotal200 13,591 — 13,791 
Common equities10,641 — — 10,641 
Nonredeemable preferred equities— 348 — 348 
Separate accounts taxable fixed maturities — 854 — 854 
Top Hat savings plan mutual funds and common
  equity (included in Other assets)
67 — — 67 
Total$10,908 $14,793 $— $25,701 
Schedule of Carrying Values and Estimated Fair Values of Debt Instruments [Table Text Block]
This table summarizes the book value and principal amounts of our long-term debt:
(Dollars in millions) Book valuePrincipal amount
Interest
rate
Year of 
issue
 March 31,December 31,March 31,December 31,
 2024202320242023
6.900%1998Senior debentures, due 2028$27 $27 $28 $28 
6.920%2005Senior debentures, due 2028391 391 391 391 
6.125%2004Senior notes, due 2034372 372 374 374 
Total $790 $790 $793 $793 
Fair Values of Deferred Annuities, Structured Settlements and Other Items
The following table shows fair values of our note payable and long-term debt:
(Dollars in millions)Level 1Level 2Level 3Total
At March 31, 2024
Note payable$ $25 $ $25 
6.900% senior debentures, due 2028
 29  29 
6.920% senior debentures, due 2028
 416  416 
6.125% senior notes, due 2034
 399  399 
Total$ $869 $ $869 
At December 31, 2023
Note payable$— $25 $— $25 
6.900% senior debentures, due 2028
— 29 — 29 
6.920% senior debentures, due 2028
— 420 — 420 
6.125% senior notes, due 2034
— 394 — 394 
Total$— $868 $— $868 
Fair Value of Life Policy Loans
The following table shows the fair value of our life policy loans included in other invested assets and the fair values of our deferred annuities and structured settlements included in life policy and investment contract reserves:
(Dollars in millions)Level 1Level 2Level 3Total
At March 31, 2024
Life policy loans$ $ $40 $40 
Deferred annuities  577 577 
Structured settlements 137  137 
Total$ $137 $577 $714 
At December 31, 2023
Life policy loans$— $— $39 $39 
Deferred annuities— — 603 603 
Structured settlements— 141 — 141 
Total$— $141 $603 $744