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Investments (Allowance on available-for-sale securities with credit impairments and assets purchased with credit deterioration) (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2020
Jun. 30, 2020
Allowance for credit losses:    
Balance beginning of period $ 49 $ 0
Additions to the allowance for credit losses:    
Balance beginning of period 49 0
For securities for which credit losses were not previously recorded 22 70
For available-for-sale securities accounted for as PCD assets 1 2
Reductions to the allowance for credit losses:    
Securities sold during the period (realized) 1 6
Intent to sell or more likely than not will be required to sell the security before recovery of its amortized cost basis 0 1
Write-offs charged against the allowance 0 0
Recoveries of amounts previously written off 0 0
Additional increases or (decreases) to the allowance for credit losses on securities that had an allowance recorded in a previous period (20) (20)
Balance end of period 51 51
Corporate and other bonds    
Allowance for credit losses:    
Balance beginning of period 49 0
Additions to the allowance for credit losses:    
Balance beginning of period 49 0
For securities for which credit losses were not previously recorded 10 58
For available-for-sale securities accounted for as PCD assets 1 2
Reductions to the allowance for credit losses:    
Securities sold during the period (realized) 1 6
Intent to sell or more likely than not will be required to sell the security before recovery of its amortized cost basis 0 1
Write-offs charged against the allowance 0 0
Recoveries of amounts previously written off 0 0
Additional increases or (decreases) to the allowance for credit losses on securities that had an allowance recorded in a previous period (20) (20)
Balance end of period 39 39
Asset-backed    
Allowance for credit losses:    
Balance beginning of period 0 0
Additions to the allowance for credit losses:    
Balance beginning of period 0 0
For securities for which credit losses were not previously recorded 12 12
For available-for-sale securities accounted for as PCD assets 0 0
Reductions to the allowance for credit losses:    
Securities sold during the period (realized) 0 0
Intent to sell or more likely than not will be required to sell the security before recovery of its amortized cost basis 0 0
Write-offs charged against the allowance 0 0
Recoveries of amounts previously written off 0 0
Additional increases or (decreases) to the allowance for credit losses on securities that had an allowance recorded in a previous period 0 0
Balance end of period $ 12 12
Impact of adopting ASC 326    
Allowance for credit losses:    
Balance beginning of period   6
Additions to the allowance for credit losses:    
Balance beginning of period   6
Impact of adopting ASC 326 | Corporate and other bonds    
Allowance for credit losses:    
Balance beginning of period   6
Additions to the allowance for credit losses:    
Balance beginning of period   6
Impact of adopting ASC 326 | Asset-backed    
Allowance for credit losses:    
Balance beginning of period   0
Additions to the allowance for credit losses:    
Balance beginning of period   $ 0