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Fair Value Measurements (tables)
12 Months Ended
Dec. 31, 2013
Fair Value Measurements disclosure  
Level within the fair value hierarchy at which the Company's financial assets and financial liabilities reported at fair value are measured [Table Text Block]

 

(at December 31, 2013, in millions)
  Total   Level 1   Level 2   Level 3  

Invested assets:

                         

Fixed maturities

                         

U.S. Treasury securities and obligations of U.S. government and government agencies and authorities

  $ 2,315   $ 2,298   $ 17   $  

Obligations of states, municipalities and political subdivisions

    35,562     1     35,538     23  

Debt securities issued by foreign governments

    2,577         2,577      

Mortgage-backed securities, collateralized mortgage obligations and pass-through securities

    2,424         2,415     9  

All other corporate bonds

    20,940         20,726     214  

Redeemable preferred stock

    138         129     9  
                   

Total fixed maturities

    63,956     2,299     61,402     255  
                   

Equity securities

                         

Common stock

    610     610          

Non-redeemable preferred stock

    333     138     195      
                   

Total equity securities

    943     748     195      
                   

Other investments

    53     19         34  
                   

Total

  $ 64,952   $ 3,066   $ 61,597   $ 289  
                   
                   

 

(at December 31, 2012, in millions)
  Total   Level 1   Level 2   Level 3  

Invested assets:

                         

Fixed maturities

                         

U.S. Treasury securities and obligations of U.S. government and government agencies and authorities

  $ 2,222   $ 2,205   $ 17   $  

Obligations of states, municipalities and political subdivisions

    38,681         38,653     28  

Debt securities issued by foreign governments

    2,257         2,257      

Mortgage-backed securities, collateralized mortgage obligations and pass-through securities

    2,997         2,992     5  

All other corporate bonds

    19,203         19,006     197  

Redeemable preferred stock

    33     32     1      
                   

Total fixed maturities

    65,393     2,237     62,926     230  
                   

Equity securities

                         

Common stock

    510     510          

Non-redeemable preferred stock

    135     92     43      
                   

Total equity securities

    645     602     43      
                   

Other investments

    100     46         54  
                   

Total

  $ 66,138   $ 2,885   $ 62,969   $ 284  
                   
                   
Changes in the Level 3 fair value category [Table Text Block]

 

 

(in millions)
  Fixed
Maturities
  Other
Investments
  Total  

Balance at December 31, 2012

  $ 230   $ 54   $ 284  

Total realized and unrealized investment gains (losses):

                   

Reported in net realized investment gains(1)

    4     12     16  

Reported in increases (decreases) in other comprehensive income

    (2 )   1     (1 )

Purchases, sales and settlements/maturities:

                   

Purchases

    180         180  

Sales

    (25 )   (33 )   (58 )

Settlements/maturities

    (83 )       (83 )

Gross transfers into Level 3

    15         15  

Gross transfers out of Level 3

    (64 )       (64 )
               

Balance at December 31, 2013

  $ 255   $ 34   $ 289  
               
               

Amount of total realized investment gains (losses) for the period included in the consolidated statement of income attributable to changes in the fair value of assets still held at the reporting date

  $   $   $  
               
               

(1)
Includes impairments on investments held at the end of the period as well as amortization on fixed maturities.

(in millions)
  Fixed
Maturities
  Other
Investments
  Total  

Balance at December 31, 2011

  $ 250   $ 44   $ 294  

Total realized and unrealized investment gains (losses):

                   

Reported in net realized investment gains(1)

    4     5     9  

Reported in increases (decreases) in other comprehensive income

    5     2     7  

Purchases, sales and settlements/maturities:

                   

Purchases

    79     3     82  

Sales

             

Settlements/maturities

    (94 )       (94 )

Gross transfers into Level 3

    10         10  

Gross transfers out of Level 3

    (24 )       (24 )
               

Balance at December 31, 2012

  $ 230   $ 54   $ 284  
               
               

Amount of total realized investment gains (losses) for the period included in the consolidated statement of income attributable to changes in the fair value of assets still held at the reporting date

  $   $   $  
               
               

(1)
Includes impairments on investments held at the end of the period as well as amortization on fixed maturities.
Carrying value and fair value of financial instruments disclosed, but not carried, at fair value and the level within the fair value hierarchy at which such financial instruments are measured on a recurring basis [Table Text Block]

 

(at December 31, 2013, in millions)
  Carrying
Value
  Fair
Value
  Level 1   Level 2   Level 3  

Financial assets:

                               

Short-term securities

  $ 3,882   $ 3,882   $ 1,608   $ 2,215   $ 59  

Financial liabilities:

   
 
   
 
   
 
   
 
   
 
 

Debt

  $ 6,246   $ 7,123   $   $ 7,123   $  

Commercial paper

    100     100         100      

 

(at December 31, 2012, in millions)
  Carrying
Value
  Fair
Value
  Level 1   Level 2   Level 3  

Financial assets:

                               

Short-term securities

  $ 3,483   $ 3,483   $ 1,448   $ 1,957   $ 78  

Financial liabilities:

   
 
   
 
   
 
   
 
   
 
 

Debt

  $ 6,250   $ 7,715   $   $ 7,715   $  

Commercial paper

    100     100         100