| Fixed Maturity Securities - at fair value (amortized cost: $36,852.5; $36,546.6) |
46.32B |
| Mortgage Loans |
1.97B |
| Policy Loans |
3.43B |
| Other Long-term Investments |
634.3M |
| Short-term Investments |
755.6M |
| Total Investments |
53.11B |
| Other Assets |
| Cash and Bank Deposits |
87.9M |
| Accounts and Premiums Receivable |
1.63B |
| Reinsurance Recoverable |
4.85B |
| Accrued Investment Income |
694.4M |
| Deferred Acquisition Costs |
2.05B |
| Goodwill |
336.8M |
| Property and Equipment |
509.7M |
| Other Assets |
647.8M |
| Total Assets |
63.91B |
| Policy and Contract Benefits |
1.48B |
| Reserves for Future Policy and Contract Benefits |
45.75B |
| Unearned Premiums |
427.8M |
| Other Policyholders' Funds |
1.62B |
| Income Tax Payable |
0 |
| Deferred Income Tax |
| Short-term Debt |
0 |
| Long-term Debt |
3.02B |
| Other Liabilities |
1.45B |
| Total Liabilities |
54.54B |
| Commitments and Contingent Liabilities - Note 9 |
0 |
| Common Stock, $0.10 par, Authorized: 725,000,000 shares Issued: 358,225,274 and 364,842,919 shares |
30.3M |
| Additional Paid-in Capital |
2.26B |
| Net Unrealized Gain on Securities Not Other-Than-Temporarily Impaired |
| Net Unrealized Gain on Securities Other-Than-Temporarily Impaired |
| Net Gain on Cash Flow Hedges |
| Foreign Currency Translation Adjustment |
| Unrecognized Pension and Postretirement Benefit Costs |
| Retained Earnings |
8.54B |
| Treasury Stock - at cost: 54,838,360 shares and 48,269,467 shares |
-1.93B |
| Total Stockholders' Equity |
9.36B |
| Total Liabilities and Stockholders' Equity |
63.91B |