v3.26.1
Fair Value (Financial Instruments Carried at Other Than Fair Value) (Details) - USD ($)
$ in Millions
Jun. 30, 2026
Dec. 31, 2025
Jun. 30, 2025
Assets      
Policy loans $ 1,455 $ 1,450  
Liabilities      
Separate account liabilities 85,691 85,528 $ 86,085
Carrying Value      
Assets      
Mortgage loans 22,607 22,755  
Policy loans 1,455 1,450  
Other invested assets 241 227  
Premiums, reinsurance and other receivables 7,948 8,145  
Liabilities      
Policyholder account balances 27,619 28,788  
Long-term debt 3,154 3,155  
Other liabilities 1,430 1,291  
Separate account liabilities 1,330 1,263  
Estimated Fair Value      
Assets      
Mortgage loans 21,402 21,732  
Policy loans 1,476 1,551  
Other invested assets 241 227  
Premiums, reinsurance and other receivables 8,023 8,197  
Liabilities      
Policyholder account balances 27,347 28,728  
Long-term debt 2,551 2,633  
Other liabilities 1,430 1,291  
Separate account liabilities 1,330 1,263  
Estimated Fair Value | Level 1      
Assets      
Mortgage loans 0 0  
Policy loans 0 0  
Other invested assets 0 0  
Premiums, reinsurance and other receivables 0 0  
Liabilities      
Policyholder account balances 0 0  
Long-term debt 0 0  
Other liabilities 0 0  
Separate account liabilities 0 0  
Estimated Fair Value | Level 2      
Assets      
Mortgage loans 0 0  
Policy loans 565 557  
Other invested assets 232 217  
Premiums, reinsurance and other receivables 125 152  
Liabilities      
Policyholder account balances 0 0  
Long-term debt 2,551 2,633  
Other liabilities 839 683  
Separate account liabilities 1,330 1,263  
Estimated Fair Value | Level 3      
Assets      
Mortgage loans 21,402 21,732  
Policy loans 911 994  
Other invested assets 9 10  
Premiums, reinsurance and other receivables 7,898 8,045  
Liabilities      
Policyholder account balances 27,347 28,728  
Long-term debt 0 0  
Other liabilities 591 608  
Separate account liabilities $ 0 $ 0