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Investments (details) - OTTI Rollforward (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Roll-forward of the credit component of other-than-temporary impairments on fixed maturities recognized in the consolidated statement of income for which a portion of the other-than-temporary impairment was recognized in other comprehensive income [Roll Forward]    
Cumulative OTTI credit losses recognized for securities held, beginning of period $ 127 $ 126
Additions for OTTI securities where no credit losses were previously recognized 3  
Additions for OTTI securities where credit losses have been previously recognized 2 8
Reductions due to sales/defaults of credit-impaired securities (7) (1)
Adjustments to book value of credit-impaired securities due to changes in cash flows (7) (6)
Cumulative OTTI credit losses recognized for securities still held, end of period 118 127
Mortgage-backed securities, collateralized mortgage obligations and pass-through securities [Member]
   
Roll-forward of the credit component of other-than-temporary impairments on fixed maturities recognized in the consolidated statement of income for which a portion of the other-than-temporary impairment was recognized in other comprehensive income [Roll Forward]    
Cumulative OTTI credit losses recognized for securities held, beginning of period 55 54
Additions for OTTI securities where credit losses have been previously recognized 2 4
Reductions due to sales/defaults of credit-impaired securities   (1)
Adjustments to book value of credit-impaired securities due to changes in cash flows (4) (2)
Cumulative OTTI credit losses recognized for securities still held, end of period 53 55
All other corporate bonds [Member]
   
Roll-forward of the credit component of other-than-temporary impairments on fixed maturities recognized in the consolidated statement of income for which a portion of the other-than-temporary impairment was recognized in other comprehensive income [Roll Forward]    
Cumulative OTTI credit losses recognized for securities held, beginning of period 72 72
Additions for OTTI securities where no credit losses were previously recognized 3  
Additions for OTTI securities where credit losses have been previously recognized   4
Reductions due to sales/defaults of credit-impaired securities (7)  
Adjustments to book value of credit-impaired securities due to changes in cash flows (3) (4)
Cumulative OTTI credit losses recognized for securities still held, end of period $ 65 $ 72