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Fair Value Measurements (details) (USD $)
6 Months Ended
Jun. 30, 2011
Dec. 31, 2010
Fair Value Measurements disclosure    
Percent of fixed maturities for which a pricing service estimates fair value 99.00%  
Investment in non-public common and preferred equity securities where the fair value estimate is determined either internally or by an external fund manager $ 71,000,000 $ 57,000,000
Convertible bonds held containing embedded conversion options that are valued separately from the host bond contract 30,000,000 37,000,000
Carrying value of financial instruments classified as other assets 534,000,000 647,000,000
Carrying value of financial instruments classified as other liabilities 3,710,000,000 3,750,000,000
Debt, carrying value 6,604,000,000 6,611,000,000
Debt, fair value 7,150,000,000 7,210,000,000
Percent of debt, other than commercial paper, for which a pricing service estimates fair value 96.00% 94.00%
Municipal fixed maturity securities valued using observable market data $ 81,000,000