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Market Risk Benefits - Balances of and Changes in Market Risk Benefits (Details) - USD ($)
$ in Millions
3 Months Ended 12 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Dec. 31, 2022
Dec. 31, 2021
Market Risk Benefit [Roll Forward]        
Beginning balance $ 1,103 $ 2,901 $ 2,901 $ 4,829
Issuances 4 8 27 45
Interest accrual and time decay (26) (86) (237) (294)
Reserve increase from attributed fees collected 189 199 810 819
Reserve release for benefit payments and derecognition (9) (3) (29) (8)
Effect of changes in interest rates and bond markets 504 (1,454) (4,193) (1,053)
Effect of changes in equity markets and subaccount performance (392) 586 2,258 (1,558)
Effect of changes in equity index volatility (43) 55 205 73
Actual policyholder behavior different from expected behavior 7 20 17 52
Effect of changes in other future expected assumptions 0 0 (139) 123
Effect of changes in the instrument-specific credit risk on market risk benefits (204) (385) (517) (127)
Ending balance 1,133 1,841 1,103 2,901
Reconciliation of the gross balances in an asset or liability position:        
Asset position 990 742 1,015 [1] 539
Liability position (2,123) (2,583) (2,118) [1] (3,440)
Net asset (liability) position $ (1,133) $ (1,841) $ (1,103) $ (2,901)
Weighted average attained age of contractholders 68 years 68 years 68 years 68 years
Changes in unrealized (gains) losses in net income relating to liabilities held at end of period $ 59 $ (868) $ (2,044) $ (2,502)
Changes in unrealized (gains) losses in other comprehensive income relating to liabilities held at end of period (204) (382) (505) (102)
Death benefits        
Reconciliation of the gross balances in an asset or liability position:        
Guaranteed benefit amount in excess of current account balances (net amount at risk) 1,956 714 2,781 251
Living benefits        
Reconciliation of the gross balances in an asset or liability position:        
Guaranteed benefit amount in excess of current account balances (net amount at risk) 2,836 586 3,364 195
Composite (greater of)        
Reconciliation of the gross balances in an asset or liability position:        
Guaranteed benefit amount in excess of current account balances (net amount at risk) $ 4,596 $ 1,274 5,830 441
Previously Reported        
Market Risk Benefit [Roll Forward]        
Beginning balance       3,084
Reconciliation of the gross balances in an asset or liability position:        
Asset position     0 0
Liability position     $ 0 0
Net asset (liability) position        
Effect of shadow reserve adjustments        
Market Risk Benefit [Roll Forward]        
Beginning balance       (3)
Reconciliation of the gross balances in an asset or liability position:        
Net asset (liability) position        
Adjustments for the cumulative effect of the changes in instrument-specific credit risk between the original contract issuance date and the transition date        
Market Risk Benefit [Roll Forward]        
Beginning balance       670
Reconciliation of the gross balances in an asset or liability position:        
Net asset (liability) position        
Adjustments to the host contract for differences between previous carrying amount and fair value measurement for the MRB under the option-based method of valuation        
Market Risk Benefit [Roll Forward]        
Beginning balance       20
Reconciliation of the gross balances in an asset or liability position:        
Net asset (liability) position        
Adjustments for the remaining difference (exclusive of the instrument-specific credit risk change and host contract adjustments) between previous carrying amount and fair value measurements for the MRB        
Market Risk Benefit [Roll Forward]        
Beginning balance       $ 1,058
Reconciliation of the gross balances in an asset or liability position:        
Net asset (liability) position        
[1] Certain prior period amounts have been restated. See Note 3 for more information.