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Reserve for Future Policy Benefits and Contractholder Funds - Contractholder funds activity (Details) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Contractholder funds activity    
Balance, beginning of year $ 879 $ 890
Deposits 33 35
Interest credited 8 8
Benefits (4) (3)
Surrenders and partial withdrawals (5) (5)
Contract charges (30) (28)
Other adjustments (3) (6)
Balance, end of period 878 891
Components of contractholder funds $ 878 $ 891
Weighted-average crediting rate 4.27% 4.29%
Net amount at risk $ 11,780 $ 12,101
Cash surrender value 722 728
Interest- sensitive life    
Contractholder funds activity    
Balance, end of period 830 837
Components of contractholder funds 830 837
Fixed annuities    
Contractholder funds activity    
Balance, end of period 48 54
Components of contractholder funds $ 48 $ 54