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FAIR VALUE DISCLOSURES (CARRYING VALUES AND FAIR VALUES OF FINANCIAL INSTRUMENTS) (Details) - USD ($)
$ in Millions
Jun. 30, 2017
Dec. 31, 2016
Dec. 31, 2015
Consolidated Amounts [Abstract]      
Mortgage loans on real estate $ 10,403 $ 9,757  
Loans to affiliates 703 703  
Policyholders' account balances, Investment contracts 41,531 38,842 $ 32,913
Policy loans 3,322 3,361  
Short-term debt 512 513  
Separate Accounts’ liabilities 116,737 111,403  
Estimate of Fair Value      
Consolidated Amounts [Abstract]      
Mortgage loans on real estate 10,493 9,608  
Loans to affiliates 774 775  
Policyholders' account balances, Investment contracts 2,260 2,337  
Funding Agreements 2,624 2,202  
Policy loans 4,224 4,257  
Short-term debt 512 513  
Separate Accounts’ liabilities 6,846 6,194  
Estimate of Fair Value | Level 2      
Consolidated Amounts [Abstract]      
Loans to affiliates 774 775  
Funding Agreements 2,624 2,202  
Short-term debt 512 513  
Estimate of Fair Value | Level 3      
Consolidated Amounts [Abstract]      
Mortgage loans on real estate 10,493 9,608  
Loans to affiliates 0 0  
Policyholders' account balances, Investment contracts 2,260 2,337  
Policy loans 4,224 4,257  
Short-term debt 0 0  
Separate Accounts’ liabilities 6,846 6,194  
Carrying Value      
Consolidated Amounts [Abstract]      
Mortgage loans on real estate 10,403 9,757  
Loans to affiliates 703 703  
Policyholders' account balances, Investment contracts 2,146 2,226  
Funding Agreements 2,637 2,255  
Policy loans 3,322 3,361  
Short-term debt 512 513  
Separate Accounts’ liabilities $ 6,846 $ 6,194