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Schedule I — Summary of Investments Other than Investments in Related Parties
12 Months Ended
Dec. 31, 2023
SEC Schedule, 12-15, Insurance Companies, Summary of Investments, Other than Investments in Related Parties [Abstract]  
Schedule I — Summary of Investments Other than Investments in Related Parties
Schedule I — Summary of Investments Other than Investments in Related Parties
As of December 31, 2023
($ in millions)Cost/amortized cost, net
Fair value
(if applicable)
Amount shown in the
Balance Sheet
Type of investment
Fixed maturities:
Bonds:
United States government, government agencies and authorities$8,624 $8,619 $8,619 
States, municipalities and political subdivisions6,049 6,006 6,006 
Foreign governments1,286 1,290 1,290 
Public utilities5,330 5,316 5,316 
All other corporate bonds26,621 25,889 25,889 
Asset-backed securities1,739 1,745 1,745 
Total fixed maturities49,649 48,865 48,865 
Equity securities:
Common stocks:
Public utilities44 47 47 
Banks, trusts and insurance companies36 53 53 
Industrial, miscellaneous and all other1,855 1,956 1,956 
Nonredeemable preferred stocks309 355 355 
Total equity securities2,244 2,411 2,411 
Mortgage loans on real estate822 769 822 
Real estate (none acquired in satisfaction of debt)709 709 
Policy loans119 119 
Derivative instruments
Limited partnership interests8,380 8,380 
Other long-term investments226 239 226 
Short-term investments5,145 5,144 5,144 
Total investments$67,295 $66,677