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Acquisition (Tables)
9 Months Ended
Sep. 30, 2019
Acquisition [Abstract]  
Schedule Of Fair Value Of Net Assets Acquired

Adjusted

Fair Value

Assets

Investments

$

2,493

Mortgage loans on real estate

658

Cash and invested cash

107

Reinsurance recoverables

76

Premiums and fees receivable

83

Accrued investment income

24

Other intangible assets acquired

640

Other assets acquired

142

Separate account assets

99

Total assets acquired

$

4,322

Liabilities

Future contract benefits

$

2,930

Other contract holder funds

46

Other liabilities acquired

140

Separate account liabilities

99

Total liabilities assumed

$

3,215

Net identifiable assets acquired

$

1,107

Goodwill

410

Net assets acquired

$

1,517