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INVESTMENTS - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2013
investment
Mar. 31, 2012
investment
Dec. 31, 2012
Schedule of Investments [Line Items]      
Reclassified investments from the held-to-maturity portfolio to the available-for-sale portfolio, number of investments 0 1  
Reclassified investments from the held-to-maturity portfolio to the available-for-sale portfolio, amortized cost   $ 122  
Reclassified investments from the held-to-maturity portfolio to the available-for-sale portfolio, aggregate unrealized gain (loss)   (23)  
Total Unrealized Losses 2,683   1,582
Fair value of investments in an unrealized loss position 26,588   40,707
Percentage that the lending policy requires that the fair value of the securities and/or unrestricted cash received as collateral be of the fair value of the loaned securities 102.00%    
Banks/financial Institutions
     
Schedule of Investments [Line Items]      
Total Unrealized Losses 1,500    
Fair value of investments in an unrealized loss position 8,700    
Variable Interest Entity, Not Consolidated
     
Schedule of Investments [Line Items]      
Securities available for sale, fixed maturities, fair value 7,287   8,350
Number of issuers of VIEs not-consolidated 143    
Investment grade | Banks/financial Institutions
     
Schedule of Investments [Line Items]      
Percentage of unrealized losses attributable to securities that were investment grade 83.00%   81.00%
Investment grade | Public Utilities
     
Schedule of Investments [Line Items]      
Percentage of unrealized losses attributable to securities that were investment grade 85.00%   69.00%
Investment grade | Sovereign and Supranational
     
Schedule of Investments [Line Items]      
Percentage of unrealized losses attributable to securities that were investment grade 99.00%   96.00%
Investment grade | Other Corporate
     
Schedule of Investments [Line Items]      
Percentage of unrealized losses attributable to securities that were investment grade 88.00%   72.00%
Investment grade | Parent Company
     
Schedule of Investments [Line Items]      
Available-for-sale fixed-maturity securities, amortized cost 144    
Securities available for sale, fixed maturities, fair value 167    
Below Investment Grade | Banks/financial Institutions
     
Schedule of Investments [Line Items]      
Total Unrealized Losses 255    
Fair value of investments in an unrealized loss position 617    
Number of Issuers 3    
Perpetual Securities
     
Schedule of Investments [Line Items]      
Perpetual securities, interest coupons that were fixed at issuance subsequently change to a floating short-term interest rate floating short-term interest rate of 125 to more than 300 basis points above an appropriate market index    
Maturity date (in years) 25 years    
Total Unrealized Losses 598   170
Fair value of investments in an unrealized loss position 2,063   1,451
Unrealized Gain (Loss) (500)   89
Perpetual Securities | Lower Limit
     
Schedule of Investments [Line Items]      
Perpetual securities, floating short-term interest rate basis point above market index 1.25%    
Perpetual Securities | Minimum Upper Limit
     
Schedule of Investments [Line Items]      
Perpetual securities, floating short-term interest rate basis point above market index 3.00%    
Perpetual Securities | Investment grade
     
Schedule of Investments [Line Items]      
Percentage of unrealized losses attributable to securities that were investment grade 88.00%   100.00%
Tier I | Perpetual Securities
     
Schedule of Investments [Line Items]      
Unrealized Gain (Loss) (152)   (48)
Upper Tier II | Perpetual Securities
     
Schedule of Investments [Line Items]      
Unrealized Gain (Loss) (281)   94
Upper Tier II | Perpetual Securities | A
     
Schedule of Investments [Line Items]      
Unrealized Gain (Loss) $ 17   $ 28