v3.26.1
Fair Value Measurements - Carrying values and estimated fair values of our financial instruments not measured at fair value (Details) - USD ($)
$ in Millions
Mar. 31, 2026
Dec. 31, 2025
Mar. 31, 2025
Assets:      
Mortgage and other loans receivable [1] $ 54,353 $ 54,481  
Other investments [1] 10,350 10,235  
Short-term investments [1] 4,728 5,675  
Cash 373 [1] 447 [1] $ 393
Other assets [1] 5,021 4,435  
Consolidated VIE      
Assets:      
Mortgage and other loans receivable 1,654 1,750  
Short-term investments 111 93  
Cash 35 38  
Other assets 45 50  
Liabilities:      
Other liabilities 38 39  
Estimated Fair Value      
Assets:      
Mortgage and other loans receivable 52,066 52,731  
Other investments 303 306  
Short-term investments 3,014 4,051  
Cash 373 447  
Other assets 2,412 2,190  
Liabilities:      
Policyholder contract deposits associated with investment-type contracts 166,098 159,986  
Fortitude Re funds withheld payable 19,435 19,853  
Other liabilities 6,217 4,495  
Long-term debt 8,960 9,119  
Separate account liabilities - investment contracts 85,879 90,864  
Estimated Fair Value | Consolidated VIE      
Liabilities:      
Debt of consolidated investment entities 1,421 1,394  
Carrying Value      
Assets:      
Mortgage and other loans receivable 54,353 54,481  
Other investments 303 306  
Short-term investments 3,014 4,051  
Cash 373 447  
Other assets 2,688 2,470  
Liabilities:      
Policyholder contract deposits associated with investment-type contracts 165,327 163,638  
Fortitude Re funds withheld payable 19,435 19,853  
Other liabilities 6,212 4,493  
Long-term debt 9,361 9,359  
Separate account liabilities - investment contracts 85,879 90,864  
Carrying Value | Consolidated VIE      
Liabilities:      
Debt of consolidated investment entities 1,563 1,547  
Level 1 | Estimated Fair Value      
Assets:      
Mortgage and other loans receivable 0 0  
Other investments 0 0  
Short-term investments 0 0  
Cash 373 447  
Other assets 0 0  
Liabilities:      
Policyholder contract deposits associated with investment-type contracts 0 0  
Fortitude Re funds withheld payable 0 0  
Other liabilities 0 0  
Long-term debt 0 0  
Separate account liabilities - investment contracts 0 0  
Level 1 | Estimated Fair Value | Consolidated VIE      
Liabilities:      
Debt of consolidated investment entities 0 0  
Level 2 | Estimated Fair Value      
Assets:      
Mortgage and other loans receivable 26 26  
Other investments 303 0  
Short-term investments 3,014 4,051  
Cash 0 0  
Other assets 1 1  
Liabilities:      
Policyholder contract deposits associated with investment-type contracts 46 49  
Fortitude Re funds withheld payable 0 0  
Other liabilities 6,212 4,493  
Long-term debt 8,960 9,119  
Separate account liabilities - investment contracts 85,879 90,864  
Level 2 | Estimated Fair Value | Consolidated VIE      
Liabilities:      
Debt of consolidated investment entities 26 27  
Level 3 | Estimated Fair Value      
Assets:      
Mortgage and other loans receivable 52,040 52,705  
Other investments 0 306  
Short-term investments 0 0  
Cash 0 0  
Other assets 2,411 2,189  
Liabilities:      
Policyholder contract deposits associated with investment-type contracts 166,052 159,937  
Fortitude Re funds withheld payable 19,435 19,853  
Other liabilities 5 2  
Long-term debt 0 0  
Separate account liabilities - investment contracts 0 0  
Level 3 | Estimated Fair Value | Consolidated VIE      
Liabilities:      
Debt of consolidated investment entities $ 1,395 $ 1,367  
[1] See Note 8 for details of balances associated with variable interest entities