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FAIR VALUE MEASUREMENTS - Fair Value Hierarchy Levels of Assets and Liabilities Carried at Cost or Amortized Cost (Details) - USD ($)
$ in Millions
Sep. 30, 2015
Dec. 31, 2014
Assets:    
Securities held to maturity, fixed maturities, amortized cost $ 33,729 $ 34,242
Securities held to maturity, fixed maturities, fair value 36,948 38,497
Other investments, carried at amortized cost 66  
Other investments, carried at amortized cost, fair value 66  
Total financial instruments, assets, not carried at fair value 33,795  
Assets, fair value disclosure, financial instruments, carried at cost 37,014  
Liabilities    
Other policyholder funds 6,284 6,031
Other policyholders' funds fair value disclosure 6,156 5,905
Notes Payable 4,993 5,268
Notes Payable, Fair Value Disclosure 5,277 5,835
Total Financial Instrument Liabilities Not Carried At Fair Value 11,277 11,299
Liabilities Fair Value Disclosure Financial Instruments Carried At Cost 11,433 11,740
Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, amortized cost   34,242
Securities held to maturity, fixed maturities, fair value 36,948 38,497
Government and agencies debt securities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 20,115 20,023
Securities held to maturity, fixed maturities, fair value 22,991 23,218
Municipalities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 345 346
Securities held to maturity, fixed maturities, fair value 409 417
Mortgage- and asset-backed securities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 38 43
Securities held to maturity, fixed maturities, fair value 40 46
Public utilities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 3,108 3,342
Securities held to maturity, fixed maturities, fair value 3,128 3,603
Sovereign and supranational | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 2,569 2,556
Securities held to maturity, fixed maturities, fair value 2,686 2,814
Banks/financial institutions | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 4,539 4,932
Securities held to maturity, fixed maturities, fair value 4,544 5,085
Other corporate | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 3,015 3,000
Securities held to maturity, fixed maturities, fair value 3,150 3,314
Level 1    
Assets:    
Other investments, carried at amortized cost, fair value 0  
Assets, fair value disclosure, financial instruments, carried at cost 22,991  
Liabilities    
Other policyholders' funds fair value disclosure 0 0
Notes Payable, Fair Value Disclosure 0 0
Liabilities Fair Value Disclosure Financial Instruments Carried At Cost 0 0
Level 1 | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 22,991 23,218
Level 1 | Government and agencies debt securities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 22,991 23,218
Level 1 | Municipalities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 1 | Mortgage- and asset-backed securities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 1 | Public utilities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 1 | Sovereign and supranational | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 1 | Banks/financial institutions | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 1 | Other corporate | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 2    
Assets:    
Other investments, carried at amortized cost, fair value 0  
Assets, fair value disclosure, financial instruments, carried at cost 13,930  
Liabilities    
Other policyholders' funds fair value disclosure 0 0
Notes Payable, Fair Value Disclosure 0 0
Liabilities Fair Value Disclosure Financial Instruments Carried At Cost 0 0
Level 2 | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 13,930 15,248
Level 2 | Government and agencies debt securities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 2 | Municipalities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 409 417
Level 2 | Mortgage- and asset-backed securities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 13 15
Level 2 | Public utilities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 3,128 3,603
Level 2 | Sovereign and supranational | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 2,686 2,814
Level 2 | Banks/financial institutions | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 4,544 5,085
Level 2 | Other corporate | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 3,150 3,314
Level 3    
Assets:    
Other investments, carried at amortized cost, fair value 66  
Assets, fair value disclosure, financial instruments, carried at cost 93  
Liabilities    
Other policyholders' funds fair value disclosure 6,156 5,905
Notes Payable, Fair Value Disclosure 5,277 5,835
Liabilities Fair Value Disclosure Financial Instruments Carried At Cost 11,433 11,740
Level 3 | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 27 31
Level 3 | Government and agencies debt securities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 3 | Municipalities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 3 | Mortgage- and asset-backed securities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 27 31
Level 3 | Public utilities | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 3 | Sovereign and supranational | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 3 | Banks/financial institutions | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value 0 0
Level 3 | Other corporate | Fixed Maturities    
Assets:    
Securities held to maturity, fixed maturities, fair value $ 0 $ 0