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Changes in and Reclassifications from Accumulated Other Comprehensive Income (Loss)
6 Months Ended
Jun. 30, 2020
Accumulated Other Comprehensive Income (Loss), Net of Tax [Abstract]  
Changes in and Reclassifications from Accumulated Other Comprehensive Income (Loss)
16. CHANGES IN AND RECLASSIFICATIONS FROM ACCUMULATED OTHER COMPREHENSIVE INCOME (LOSS)
Changes in AOCI, Net of Tax for the Three Months Ended June 30, 2020
 
Changes in
 
Net Unrealized Gain on Fixed Maturities
Unrealized Loss on Fixed Maturities with ACL
Net Gain on Cash Flow Hedging Instruments
Foreign Currency Translation Adjustments
Pension and Other Postretirement Plan Adjustments
AOCI,
net of tax
Beginning balance
$
627

$
(2
)
$
53

$
26

$
(1,661
)
$
(957
)
OCI before reclassifications
1,469



1


1,470

Amounts reclassified from AOCI
(41
)

(5
)

12

(34
)
     OCI, net of tax
1,428


(5
)
1

12

1,436

Ending balance
$
2,055

$
(2
)
$
48

$
27

$
(1,649
)
$
479

Changes in AOCI, Net of Tax for the Six Months Ended June 30, 2020
 
Changes in
 
Net Unrealized Gain on Fixed Maturities
Unrealized Loss on Fixed Maturities with ACL
Net Gain on Cash Flow Hedging Instruments
Foreign Currency Translation Adjustments
Pension and Other Postretirement Plan Adjustments
AOCI,
net of tax
Beginning balance
$
1,684

$
(3
)
$
9

$
34

$
(1,672
)
$
52

OCI before reclassifications
454

1

47

(7
)
(1
)
494

Amounts reclassified from AOCI
(83
)

(8
)

24

(67
)
     OCI, net of tax
371

1

39

(7
)
23

427

Ending balance
$
2,055

$
(2
)
$
48

$
27

$
(1,649
)
$
479


Reclassifications from AOCI
 
Three Months Ended June 30, 2020
Six Months Ended June 30, 2020
Affected Line Item in the Condensed Consolidated Statement of Operations
Net Unrealized Gain on Fixed Maturities
 
 
 
Available-for-sale fixed maturities
$
52

$
105

Net realized capital gains (losses)
 
52

105

Total before tax
 
11

22

 Income tax expense
 
$
41

$
83

Net income
Net Gains on Cash Flow Hedging Instruments
 
 
 
Interest rate swaps
$
7

10

Net investment income
Interest rate swaps
(2
)
(2
)
Interest expense
Foreign currency swaps
1

2

Net investment income
 
6

10

Total before tax
 
1

2

 Income tax expense
 
$
5

$
8

Net income
Pension and Other Postretirement Plan Adjustments
 
 
 
Amortization of prior service credit
$
1

$
3

Insurance operating costs and other expenses
Amortization of actuarial loss
(16
)
(33
)
Insurance operating costs and other expenses
 
(15
)
(30
)
Total before tax
 
(3
)
(6
)
 Income tax expense
 
$
(12
)
$
(24
)
Net income
Total amounts reclassified from AOCI
$
34

$
67

Net income

Changes in AOCI, Net of Tax for the Three Months Ended June 30, 2019
 
Changes in
 
Net Unrealized Gain on Securities
OTTI Losses in OCI
Net Gain on Cash Flow Hedging Instruments
Foreign Currency Translation Adjustments
Pension and Other Postretirement Plan Adjustments
AOCI,
net of tax
Beginning balance
$
703

$
(3
)
$

$
31

$
(1,616
)
$
(885
)
OCI before reclassifications
703


13

3


719

Amounts reclassified from AOCI
(39
)

(2
)

9

(32
)
     OCI, net of tax
664


11

3

9

687

Ending balance
$
1,367

$
(3
)
$
11

$
34

$
(1,607
)
$
(198
)

Changes in AOCI, Net of Tax for the Six Months Ended June 30, 2019
 
Changes in
 
Net Unrealized Gain on Securities
OTTI Losses in OCI
Net Gain on Cash Flow Hedging Instruments
Foreign Currency Translation Adjustments
Pension and Other Postretirement Plan Adjustments
AOCI,
net of tax
Beginning balance
$
24

$
(4
)
$
(5
)
$
30

$
(1,624
)
$
(1,579
)
OCI before reclassifications
1,399

1

19

4


1,423

Amounts reclassified from AOCI
(56
)

(3
)

17

(42
)
     OCI, net of tax
1,343

1

16

4

17

1,381

Ending balance
$
1,367

$
(3
)
$
11

$
34

$
(1,607
)
$
(198
)

Reclassifications from AOCI
 
Three Months Ended June 30, 2019
Six Months Ended June 30, 2019
Affected Line Item in the Condensed Consolidated Statement of Operations
Net Unrealized Gain on Securities
 
 
 
Available-for-sale securities
$
50

$
71

Net realized capital gains (losses)
 
50

71

Total before tax
 
11

15

 Income tax expense
 
$
39

$
56

Net income
Net Gains on Cash Flow Hedging Instruments
 
 
 
Interest rate swaps
$
2

$
2

Net realized capital gains (losses)
Interest rate swaps
1

1

Interest expense
Foreign currency swaps

1

Net investment income
 
3

4

Total before tax
 
1

1

 Income tax expense
 
$
2

$
3

Net income
Pension and Other Postretirement Plan Adjustments
 
 
 
Amortization of prior service credit
$
2

$
3

Insurance operating costs and other expenses
Amortization of actuarial loss
(13
)
(25
)
Insurance operating costs and other expenses
 
(11
)
(22
)
Total before tax
 
(2
)
(5
)
 Income tax expense
 
$
(9
)
$
(17
)
Net income
Total amounts reclassified from AOCI
$
32

$
42

Net income