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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
Mar. 31, 2022
Dec. 31, 2021
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Other investments $ 3,960 $ 3,842
Assets:    
Securities held to maturity, fixed maturities, amortized cost 20,680 22,008
Held to maturity, fixed maturity securities, fair value 24,585 26,869
Commercial mortgage and other loans 12,312 11,786
Commercial mortgage and other loans, fair value 12,356 11,996
Other investments carried at amortized cost 25 [1] 22 [2]
Other investments carried at amortized cost, fair value 25 [1] 22 [2]
Total financial instruments assets not carried at fair value 33,009 33,808
Assets fair value disclosure financial instruments carried at cost 36,966 38,887
Liabilities:    
Other policyholders’ funds 6,705 7,072
Other policyholders' funds fair value disclosure 6,595 6,957
Notes payable 7,628 7,839
Notes payable, fair value disclosure 7,846 8,539
Total financial instrument liabilities not carried at fair value 14,333 14,911
Liabilities fair value disclosure financial instruments carried at cost 14,441 15,496
Government and agencies    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 19,814 21,086
Held to maturity, fixed maturity securities, fair value 23,526 25,699
Municipalities    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 315 335
Held to maturity, fixed maturity securities, fair value 398 436
Public utilities    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 40 43
Held to maturity, fixed maturity securities, fair value 50 55
Sovereign and supranational    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 483 514
Held to maturity, fixed maturity securities, fair value 584 650
Other corporate    
Assets:    
Securities held to maturity, fixed maturities, amortized cost 20 22
Held to maturity, fixed maturity securities, fair value 27 29
Policy loans    
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Other investments 224 236
Equity method investments    
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Other investments 1,964 1,858
Level 1    
Assets:    
Held to maturity, fixed maturity securities, fair value 23,315 25,469
Commercial mortgage and other loans, fair value 0 0
Other investments carried at amortized cost, fair value 0 [1] 0 [2]
Assets fair value disclosure financial instruments carried at cost 23,315 25,469
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 | Government and agencies    
Assets:    
Held to maturity, fixed maturity securities, fair value 23,315 25,469
Level 1 | Municipalities    
Assets:    
Held to maturity, fixed maturity securities, fair value 0 0
Level 1 | Public utilities    
Assets:    
Held to maturity, fixed maturity securities, fair value 0 0
Level 1 | Sovereign and supranational    
Assets:    
Held to maturity, fixed maturity securities, fair value 0 0
Level 1 | Other corporate    
Assets:    
Held to maturity, fixed maturity securities, fair value 0 0
Level 2    
Assets:    
Held to maturity, fixed maturity securities, fair value 1,270 1,400
Commercial mortgage and other loans, fair value 0 0
Other investments carried at amortized cost, fair value 25 [1] 22 [2]
Assets fair value disclosure financial instruments carried at cost 1,295 1,422
Liabilities:    
Other policyholders' funds fair value disclosure 0 0
Notes payable, fair value disclosure 7,602 8,280
Liabilities fair value disclosure financial instruments carried at cost 7,602 8,280
Level 2 | Government and agencies    
Assets:    
Held to maturity, fixed maturity securities, fair value 211 230
Level 2 | Municipalities    
Assets:    
Held to maturity, fixed maturity securities, fair value 398 436
Level 2 | Public utilities    
Assets:    
Held to maturity, fixed maturity securities, fair value 50 55
Level 2 | Sovereign and supranational    
Assets:    
Held to maturity, fixed maturity securities, fair value 584 650
Level 2 | Other corporate    
Assets:    
Held to maturity, fixed maturity securities, fair value 27 29
Level 3    
Assets:    
Held to maturity, fixed maturity securities, fair value 0 0
Commercial mortgage and other loans, fair value 12,356 11,996
Other investments carried at amortized cost, fair value 0 [1] 0 [2]
Assets fair value disclosure financial instruments carried at cost 12,356 11,996
Liabilities:    
Other policyholders' funds fair value disclosure 6,595 6,957
Notes payable, fair value disclosure 244 259
Liabilities fair value disclosure financial instruments carried at cost 6,839 7,216
Level 3 | Government and agencies    
Assets:    
Held to maturity, fixed maturity securities, fair value 0 0
Level 3 | Municipalities    
Assets:    
Held to maturity, fixed maturity securities, fair value 0 0
Level 3 | Public utilities    
Assets:    
Held to maturity, fixed maturity securities, fair value 0 0
Level 3 | Sovereign and supranational    
Assets:    
Held to maturity, fixed maturity securities, fair value 0 0
Level 3 | Other corporate    
Assets:    
Held to maturity, fixed maturity securities, fair value $ 0 $ 0
[1] Excludes policy loans of $224 and equity method investments of $1,964, at carrying value
[2] Excludes policy loans of $236 and equity method investments of $1,858, at carrying value