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Fair Value Measurements (Details - Assets by level) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2011
Dec. 31, 2010
Fixed maturities:    
Total fixed maturities $ 16,217 $ 14,709
Equity securities 100 127
Short-term investments 225 174
Separate account assets    
Total separate account assets 8,093 7,908
Separate Account Transfers Into Out Of Level 3 [Abstract]    
Transfers into Level 3 4 9
Transfers out of Level 3 (16) (26)
Total transfers into/(out of) Level 3 (12) (17)
Fair Value Inputs Level 1 [Member]
   
Fixed maturities:    
Federal government and agency 217 133
State and local government 0 0
Foreign government 0 0
Corporate 0 0
Federal agency mortgage-backed 0 0
Other mortgage-backed 0 0
Other asset-backed 0 0
Total fixed maturities 217 133
Equity securities 3 6
Subtotal 220 139
Short-term investments 0 0
GMIB assets 0 0
Other derivative assets 0 0
Total financial assets at fair value, excluding separate accounts 220 139
Financial liabilities at fair value:    
GMIB liabilities 0 0
Other derivative liabilities 0 0
Total financial liabilities at fair value 0 0
Separate account assets    
Guaranteed separate accounts (See Note 24) 249 286
Non-guaranteed separate accounts 1,804 1,947
Total separate account assets 2,053 2,233
Fair Value Inputs Level 2 [Member]
   
Fixed maturities:    
Federal government and agency 738 550
State and local government 2,456 2,467
Foreign government 1,251 1,137
Corporate 10,132 9,080
Federal agency mortgage-backed 9 10
Other mortgage-backed 79 85
Other asset-backed 363 348
Total fixed maturities 15,028 13,677
Equity securities 67 87
Subtotal 15,095 13,764
Short-term investments 225 174
GMIB assets 0 0
Other derivative assets 45 19
Total financial assets at fair value, excluding separate accounts 15,365 13,957
Financial liabilities at fair value:    
GMIB liabilities 0 0
Other derivative liabilities 30 32
Total financial liabilities at fair value 30 32
Separate account assets    
Guaranteed separate accounts (See Note 24) 1,439 1,418
Non-guaranteed separate accounts 3,851 3,663
Total separate account assets 5,290 5,081
Fair Value Inputs Level 3 [Member]
   
Fixed maturities:    
Federal government and agency 3 4
State and local government 0 0
Foreign government 23 17
Corporate 381 364
Federal agency mortgage-backed 0 0
Other mortgage-backed 1 3
Other asset-backed 564 511
Total fixed maturities 972 899
Equity securities 30 34
Subtotal 1,002 933
Short-term investments 0 0
GMIB assets 712 480
Other derivative assets 0 0
Total financial assets at fair value, excluding separate accounts 1,714 1,413
Financial liabilities at fair value:    
GMIB liabilities 1,333 903
Other derivative liabilities 0 0
Total financial liabilities at fair value 1,333 903
Level 3 Financial Assets Carried At Fair Value [Abstract]    
Other asset and mortgage-backed securities - valued using pricing models 565 514
Corporate and government bonds - valued using pricing models 355 312
Corporate bonds - valued at transaction price 52 73
Financial Instruments Owned Principal Investments Equity Securities At Fair Value 30 34
Separate account assets    
Guaranteed separate accounts (See Note 24) 0 0
Non-guaranteed separate accounts 750 594
Total separate account assets $ 750 $ 594