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Investments (Tables)
6 Months Ended
Jun. 30, 2015
Text Block [Abstract]  
Amortized Cost And Fair Value Of Available-For-Sale And Held-To-Maturity Investment Portfolios
June 30, 2015
GrossGrossOther-Than-
AmortizedUnrealizedUnrealizedFairTemporary
In millionsCostGainsLossesValueImpairments(1)
AFS Investments
Fixed-maturity investments:
U.S. Treasury and government agency$784$31$(2)$813$-
State and municipal bonds1,64262(16)1,688-
Foreign governments3006(1)305-
Corporate obligations1,89930(106)1,823(90)
Mortgage-backed securities:
Residential mortgage-backed agency1,05511(10)1,056-
Residential mortgage-backed non-agency474(4)47(4)
Commercial mortgage-backed22--22-
Asset-backed securities:
Collateralized debt obligations87-(21)66-
Other asset-backed3722(11)363-
Total fixed-maturity investments6,208146(171)6,183(94)
Money market securities217--217-
Perpetual debt and equity securities121-13-
Total AFS investments$6,437$147$(171)$6,413$(94)
HTM Investments
Assets of consolidated VIEs:
Corporate obligations$2,724$47$(191)$2,580$-
Total HTM investments$2,724$47$(191)$2,580$-
_______________
(1) - Represents unrealized gains or losses on OTTI securities recognized in AOCI, which includes the non-credit component of impairments, as well as all subsequent changes in fair value of such impaired securities reported in AOCI.

December 31, 2014
GrossGrossOther-Than-
AmortizedUnrealizedUnrealizedFairTemporary
In millionsCostGainsLossesValueImpairments(1)
AFS Investments
Fixed-maturity investments:
U.S. Treasury and government agency$631$39$(3)$667$-
State and municipal bonds1,64494(8)1,730-
Foreign governments2837-290-
Corporate obligations1,98444(92)1,936(86)
Mortgage-backed securities:
Residential mortgage-backed agency1,11617(7)1,126-
Residential mortgage-backed non-agency543(4)53(4)
Commercial mortgage-backed191-20-
Asset-backed securities:
Collateralized debt obligations113-(21)92-
Other asset-backed2313(12)222-
Total fixed-maturity investments6,075208(147)6,136(90)
Money market securities422--422-
Perpetual debt and equity securities 121-13-
Total AFS investments$6,509$209$(147)$6,571$(90)
HTM Investments
Assets of consolidated VIEs:
Corporate obligations$2,757$77$(202)$2,632$-
Total HTM investments$2,757$77$(202)$2,632$-
_______________
(1) - Represents unrealized gains or losses on OTTI securities recognized in AOCI, which includes the non-credit component of impairments, as well as all subsequent changes in fair value of such impaired securities reported in AOCI.
Distribution By Contractual Maturity Of Available-For-Sale and Held-To-Maturity Investments
AFS SecuritiesHTM Securities
Consolidated VIEs
Amortized Amortized
In millionsCostFair ValueCostFair Value
Due in one year or less$809$812$-$-
Due after one year through five years1,4331,453--
Due after five years through ten years919937--
Due after ten years1,4641,4272,7242,580
Mortgage-backed and asset-backed1,5831,554--
Total fixed-maturity investments$6,208$6,183$2,724$2,580
Gross Unrealized Losses Related To Available-For-Sale And Held-To-Maturity Investments
June 30, 2015
Less than 12 Months12 Months or LongerTotal
FairUnrealizedFairUnrealizedFairUnrealized
In millionsValueLossesValueLossesValueLosses
AFS Investments
Fixed-maturity investments:
U.S. Treasury and government agency$109$(1)$50$(1)$159$(2)
State and municipal bonds412(11)60(5)472(16)
Foreign governments68(1)--68(1)
Corporate obligations482(12)79(94)561(106)
Mortgage-backed securities:
Residential mortgage-backed agency323(4)191(6)514(10)
Residential mortgage-backed non-agency7-17(4)24(4)
Commercial mortgage-backed10-1-11-
Asset-backed securities:
Collateralized debt obligations--63(21)63(21)
Other asset-backed157(1)34(10)191(11)
Total fixed-maturity investments1,568(30)495(141)2,063(171)
Perpetual debt and equity securities4---4-
Total AFS investments$1,572$(30)$495$(141)$2,067$(171)
HTM Investments
Assets of consolidated VIEs:
Corporate obligations$-$-$384$(191)$384$(191)
Total HTM investments$-$-$384$(191)$384$(191)

December 31, 2014
Less than 12 Months12 Months or LongerTotal
FairUnrealizedFairUnrealizedFairUnrealized
In millionsValueLossesValueLossesValueLosses
AFS Investments
Fixed-maturity investments:
U.S. Treasury and government agency$197$-$175$(3)$372$(3)
State and municipal bonds60(1)257(7)317(8)
Foreign governments20---20-
Corporate obligations468(1)251(91)719(92)
Mortgage-backed securities:
Residential mortgage-backed agency16-387(7)403(7)
Residential mortgage-backed non-agency10-19(4)29(4)
Commercial mortgage-backed4-6-10-
Asset-backed securities:
Collateralized debt obligations1-81(21)82(21)
Other asset-backed69-44(12)113(12)
Total fixed-maturity investments845(2)1,220(145)2,065(147)
Perpetual debt and equity securities6---6-
Total AFS investments$851$(2)$1,220$(145)$2,071$(147)
HTM Investments
Assets of consolidated VIEs:
Corporate obligations$-$-$373$(202)$373$(202)
Total HTM investments$-$-$373$(202)$373$(202)
Distribution Of Securities By Percentage Of Fair Value Below Book Value By More Than 5%
AFS SecuritiesHTM Securities
Percentage of Fair ValueNumber ofBook ValueFair ValueNumber ofBook ValueFair Value
Below Book ValueSecurities (in millions) (in millions)Securities (in millions) (in millions)
> 5% to 15%8$59$55-$-$-
> 15% to 25%68062---
> 25% to 50%3111575384
> 50%312417---
Total20$264$1351$575$384
Fair Values And Gross Unrealized Losses By Credit Rating Category Of ABS, MBS and Corporate Obligations
Below
In millionsAaaAaABaaInvestment GradeNot RatedTotal
FairUnrealizedFairUnrealizedFairUnrealizedFairUnrealizedFairUnrealizedFairUnrealizedFairUnrealized
Asset TypeValueLossValueLossValueLossValueLossValueLossValueLossValueLoss
ABS $111$-$69$(1)$1$-$4$-$69$(31)$-$-$254$(32)
MBS499(10)16---9-11(1)14(3)549(14)
Corporate obligations69(2)131(5)279(6)65(3)3-14(90)561(106)
Total$679$(12)$216$(6)$280$(6)$78$(3)$83$(32)$28$(93)$1,364$(152)
Average Credit Ratings and Fair Value and Percentage Of Guaranteed ABS MBS and Corporate Obligations Below Investment Grade
Insured Securities Rated Below
Investment Grade without the
Effect of Guarantee
Average Credit Rating with theAverage Credit Rating without the(in millions)
Asset TypeEffect of GuaranteeEffect of GuaranteeFair ValuePercentage
ABSBelow Investment GradeBelow Investment Grade$6865%
MBSBelow Investment GradeBelow Investment Grade$7100%
Corporate obligationsA Below Investment Grade$6100%
Securities Held In Unrealized Loss Position And Insured By Financial Guarantor and The Related Insurance Loss Reserve On Company Insured Investments
UnrealizedInsurance Loss
In millionsFair ValueLossReserve (2)
Asset-backed:
MBIA(1)$104$(31)$67
Mortgage-backed:
MBIA(1)7-9
Corporate obligations:
MBIA(1)6--
Other:
MBIA(1)23(5)-
Other1--
Total other24(5)-
Total$141$(36)$76
_______________
(1) - Includes investments insured by MBIA Corp. and National.
(2) - Insurance loss reserve estimates are based on the proportion of par value owned to the total amount of par value insured.
Credit Losses Recognized In Earnings Related To OTTI Losses Recognized In Accumulated Other Comprehensive Income (Loss)
In millionsThree Months Ended June 30,Six Months Ended June 30,
Credit Losses Recognized in Earnings Related to Other-Than-Temporary Impairments2015201420152014
Beginning balance$16$173$16$175
Additions for credit loss impairments recognized in the current period on securities
previously impaired6-6-
Reductions for credit loss impairments previously recognized on securities sold during
the period-(173)-(174)
Reductions for increases in cash flows expected to be collected over the remaining
life of the security---(1)
Ending balance$22$-$22$-
Gross Realized Gains and Losses From Sales Of Available-For-Sale Securities
Three Months Ended June 30,Six Months Ended June 30,
In millions2015201420152014
Proceeds from sales $187$439$379$463
Gross realized gains$3$55$8$57
Gross realized losses$(2)$(13)$(9)$(13)