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SEGMENT INFORMATION (Details - Schedule of continuing operations by operating segment, reconciling items) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2022
Mar. 31, 2021
Reconciling items to pre-tax income (loss):    
Gain on extinguishment of debt $ 0 $ 8
Net Investment Income 3,237 3,657
Net realized gains (losses) 4,419 3,250
Net gain on divestitures 40 7
Net loss reserve discount benefit (charge) 20 32
Revenues 15,808 14,454
Adjusted Pre-tax Income (Loss) 5,835 4,728
Excluding Fortitude Re funds withheld assets    
Reconciling items to pre-tax income (loss):    
Net Investment Income 2,946 3,171
Net realized gains (losses) 1,241 695
Fortitude Re funds withheld assets    
Reconciling items to pre-tax income (loss):    
Net Investment Income 291 486
Net realized gains (losses) (140) 173
Fortitude Re funds withheld embedded derivative    
Reconciling items to pre-tax income (loss):    
Net realized gains (losses) 3,318 2,382
Total Revenues    
Reconciling items to pre-tax income (loss):    
Changes in fair values of securities used to hedge guaranteed living benefits 14 18
Changes in benefit reserves and DAC, VOBA and SIA related to net realized capital gains (losses) 0 0
Changes in fair value of equity securities (27) 22
Other income (expense) - net (7) (6)
Gain on extinguishment of debt 0 0
Net realized gains (losses) 1,181 617
Net gain on divestitures 0 0
Non-operating litigation reserves and settlements 34 0
Favorable prior year development and related amortization changes ceded under retroactive reinsurance agreements 0 0
Net loss reserve discount benefit (charge) 0 0
Integration and transaction costs associated with acquiring or divesting businesses 0 0
Restructuring and other costs 0 0
Non-recurring costs related to regulatory or accounting changes 0 0
Total Revenues | Fortitude Re funds withheld assets    
Reconciling items to pre-tax income (loss):    
Net Investment Income 291 486
Net realized gains (losses) (140) 173
Total Revenues | Fortitude Re funds withheld embedded derivative    
Reconciling items to pre-tax income (loss):    
Net realized gains (losses) 3,318 2,382
Adjusted Pre-tax Income (Loss)    
Reconciling items to pre-tax income (loss):    
Changes in fair values of securities used to hedge guaranteed living benefits 13 22
Changes in benefit reserves and DAC, VOBA and SIA related to net realized capital gains (losses) (273) (203)
Changes in fair value of equity securities (27) 22
Other income (expense) - net 0 0
Gain on extinguishment of debt 0 8
Net realized gains (losses) 1,188 627
Net gain on divestitures 40 7
Non-operating litigation reserves and settlements 34 0
Favorable prior year development and related amortization changes ceded under retroactive reinsurance agreements 0 19
Net loss reserve discount benefit (charge) 20 32
Integration and transaction costs associated with acquiring or divesting businesses (46) (9)
Restructuring and other costs (93) (74)
Non-recurring costs related to regulatory or accounting changes (4) (20)
Adjusted Pre-tax Income (Loss) | Fortitude Re funds withheld assets    
Reconciling items to pre-tax income (loss):    
Net Investment Income 291 486
Net realized gains (losses) (140) 173
Adjusted Pre-tax Income (Loss) | Fortitude Re funds withheld embedded derivative    
Reconciling items to pre-tax income (loss):    
Net realized gains (losses) $ 3,318 $ 2,382