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Investments (Details) - Fixed Maturities Narrative - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Investment disclosure details      
Fixed maturities, at fair value $ 71,160 $ 77,810  
Securities on loan as part of a tri-party lending agreement 445 253  
Proceeds from sales of fixed maturities classified as available for sale 5,657 3,165 $ 3,057
Gross realized gains on sales of fixed maturities 27 74 70
Gross realized losses on sales of fixed maturities 99 5 $ 3
Insurance subsidiaries' securities on deposit at financial institutions in certain states pursuant to the respective states' insurance regulatory requirements 3,940 4,320  
Fair value of funds deposited with third parties to be used as collateral to secure various liabilities on behalf of insureds, cedants and other creditors 53 58  
Subsidiary [Member]      
Investment disclosure details      
Fair value of owned securities pledged into a Lloyd's trust account to support capital requirements for the Company's operations at Lloyd's 28 33  
TRV [Member]      
Investment disclosure details      
Fixed maturities, at fair value 112 95  
Fair value of owned securities pledged into a Lloyd's trust account to support capital requirements for the Company's operations at Lloyd's 58 34  
Obligations of U.S. states, municipalities and political subdivisions, pre-refunded [Member]      
Investment disclosure details      
Fixed maturities, at fair value 2,339 4,032  
Mortgage-backed securities, collateralized mortgage obligations and pass-through securities [Member]      
Investment disclosure details      
Fixed maturities, at fair value 1,991 1,817  
Residential mortgage-backed pass-through securities classified as available-for-sale, GNMA, FNMA, FHLMC and Canadian Government [Member]      
Investment disclosure details      
Fixed maturities, at fair value 922 846  
Residential collateralized mortgage obligations [Member]      
Investment disclosure details      
Fixed maturities, at fair value $ 1,070 $ 971  
Percent guaranteed by or fully collateralized by securities issued by GNMA, FNMA or FHLMC 40.00% 47.00%  
Non-guaranteed residential collateralized mortgage obligations [Member]      
Investment disclosure details      
Fixed maturities, at fair value $ 647 $ 511  
Commercial mortgage-backed securities [Member]      
Investment disclosure details      
Fixed maturities, at fair value 1,140 1,300  
Commercial mortgage-backed securities, containing guarantees by the U.S. government or a government-sponsored enterprise [Member]      
Investment disclosure details      
Fixed maturities, at fair value 131 207  
Commercial mortgage-backed securities, non-guaranteed securities [Member]      
Investment disclosure details      
Fixed maturities, at fair value $ 1,010 $ 1,090