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Derivative Financial Instruments and Off-balance Sheet Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2023
Derivative Financial Instruments and Off-balance sheet Financial Instruments  
Schedule of Volume and Fair Value Positions of Derivative Instruments
Summary of the volume and fair value positions of derivative instruments as of December 31, 2023
Volume (1)
($ in millions, except number of contracts)Balance sheet locationNotional amountNumber of contractsFair value, netGross assetGross liability
Asset derivatives
Derivatives not designated as accounting hedging instruments
Interest rate contracts
FuturesOther assetsn/a20,479 $$$— 
Equity and index contracts
OptionsOther investmentsn/a32 — — — 
FuturesOther assetsn/a1,305 — 
Foreign currency contracts
Foreign currency forwardsOther investments$278 n/a(2)(4)
Contingent considerationOther assets250 n/a118 118 — 
Credit default contracts
Credit default swaps – buying protectionOther investments34 n/a(1)— (1)
Total asset derivatives$562 21,816 $118 $123 $(5)
Liability derivatives
Derivatives not designated as accounting hedging instruments
Interest rate contracts
FuturesOther liabilities & accrued expensesn/a2,175 $(1)$— $(1)
Equity and index contracts
FuturesOther liabilities & accrued expensesn/a980 (1)— (1)
Foreign currency contracts
Foreign currency forwardsOther liabilities & accrued expenses$306 n/a(3)(4)
Credit default contracts
Credit default swaps – buying protectionOther liabilities & accrued expenses19 n/a(1)— (1)
Total liability derivatives325 3,155 (6)$1 $(7)
Total derivatives$887 24,971 $112 
(1)Volume for OTC and cleared derivative contracts is represented by their notional amounts. Volume for exchange traded derivatives is represented by the number of contracts, which is the basis on which they are traded. (n/a = not applicable)
Summary of the volume and fair value positions of derivative instruments as of December 31, 2022
Volume (1)
($ in millions, except number of contracts)Balance sheet locationNotional amountNumber of contractsFair value, netGross assetGross liability
Asset derivatives
Derivatives not designated as accounting hedging instruments
Interest rate contracts
FuturesOther assetsn/a24,380 $$$— 
Equity and index contracts
FuturesOther assetsn/a343 — — — 
Foreign currency contracts
Foreign currency forwardsOther investments$354 n/a14 (13)
Contingent considerationOther assets250 n/a103 103 — 
Credit default contracts
Credit default swaps – buying protectionOther investments24 n/a— (1)
Total asset derivatives$628 24,723 $107 $121 $(14)
Liability derivatives
Derivatives not designated as accounting hedging instruments
Interest rate contracts
FuturesOther liabilities & accrued expensesn/a1,624 $— $— $— 
Equity and index contracts
FuturesOther liabilities & accrued expensesn/a1,229 (1)— (1)
Foreign currency contracts
Foreign currency forwardsOther liabilities & accrued expenses$283 n/a— (7)
Credit default contracts
Credit default swaps – buying protectionOther liabilities & accrued expenses525 n/a(3)(4)
Total liability derivatives808 2,853 (4)$8 $(12)
Total derivatives$1,436 27,576 $103 
(1)Volume for OTC and cleared derivative contracts is represented by their notional amounts. Volume for exchange traded derivatives is represented by the number of contracts, which is the basis on which they are traded. (n/a = not applicable)
Schedule of Gross and Net Amounts for OTC Derivatives
Gross and net amounts for OTC derivatives (1)
Offsets
($ in millions)
Gross
amount
Counter-
party
netting
Cash
collateral
(received)
pledged
Net
amount on
balance sheet
Securities
collateral
(received)
pledged
Net
amount
December 31, 2023
Asset derivatives$$(6)$$$— $
Liability derivatives(10)(2)— (2)
December 31, 2022
Asset derivatives$23 $(22)$— $$— $
Liability derivatives(22)22 (1)(1)— (1)
(1)All OTC derivatives are subject to enforceable master netting agreements.
Schedule of Gains (Losses) from Valuation and Settlements Reported on Derivatives Not Designated as Accounting Hedges
Gains (losses) from valuation and settlements reported on derivatives not designated as accounting hedges
($ in millions)Net gains (losses) on investments and derivativesAccident, health and other policy benefitsOperating costs and expenses(Loss) income from discontinued operationsTotal gain (loss) recognized in net income on derivatives
2023
Interest rate contracts$(8)$— $— $— $(8)
Equity and index contracts(32)— 28 — (4)
Contingent consideration— — 15 — 15 
Foreign currency contracts(14)— — — (14)
Credit default contracts(30)— — — (30)
Other contracts— — (1)— (1)
Total$(84)$ $42 $ $(42)
2022
Interest rate contracts$737 $— $— $— $737 
Equity and index contracts94 — (43)— 51 
Contingent consideration— — 38 — 38 
Foreign currency contracts47 — (6)— 41 
Credit default contracts(4)— — — (4)
Other contracts— — (1)— (1)
Total$874 $ $(12)$ $862 
 
2021
Interest rate contracts$22 $— $— $— $22 
Equity and index contracts(7)27 45 — 65 
Contingent consideration— — — 65 65 
Foreign currency contracts32 — — — 32 
Credit default contracts— — — 
Total return swaps - fixed income— — — 
Total$58 $27 $45 $65 $195 
Schedule of OTC Cash and Securities Collateral Pledged
OTC cash and securities collateral pledged
($ in millions)December 31, 2023
Pledged by the Company$
Pledged to the Company (1)
— 
(1)$5 million of collateral was posted under MNAs for contracts containing credit-risk-contingent provisions that are in a liability provision.
Schedule of OTC Derivatives Counterparty Credit Exposure by Counterparty Credit Rating
OTC derivatives counterparty credit exposure by counterparty credit rating
($ in millions)December 31, 2023December 31, 2022
Rating (1)
Number of counter-parties
Notional amount (2)
Credit exposure (2)
Exposure, net of collateral (2)
Number of counter-parties
Notional amount (2)
Credit exposure (2)
Exposure, net of collateral (2)
A+— $— $— $— $128 $$— 
A— — — — 192 — 
Total $ $ $ 2 $320 $12 $ 
(1)Allstate uses the lower of S&P’s or Moody’s long-term debt issuer ratings.
(2)Only OTC derivatives with a net positive fair value are included for each counterparty.
Schedule of Exchange Traded and Cleared Margin Deposits
Exchange traded and cleared margin deposits
($ in millions)December 31, 2023
Pledged by the Company$66 
Received by the Company
— 
Schedule of Fair Value of Derivative Instruments with Termination, Cross-Default or Collateral Credit-Risk-Contingent
The following table summarizes the fair value of derivative instruments with termination, cross-default or collateral credit-risk-contingent features that are in a liability position, as well as the fair value of assets and collateral that are netted against the liability in accordance with provisions within legally enforceable MNAs.
($ in millions)December 31, 2023December 31, 2022
Gross liability fair value of contracts containing credit-risk-contingent features$10 $21 
Gross asset fair value of contracts containing credit-risk-contingent features and subject to MNAs(3)(11)
Collateral posted under MNAs for contracts containing credit-risk-contingent features(5)(10)
Maximum amount of additional exposure for contracts with credit-risk-contingent features if all features were triggered concurrently$2 $ 
Schedule of Contractual Amounts of Off-Balance Sheet Financial Instruments
Contractual amounts of off-balance sheet financial instruments
As of December 31,
($ in millions)20232022
Commitments to invest in limited partnership interests$2,941 $2,778 
Private placement commitments62 114 
Other loan commitments18 10