| Net income | |
| Amortization of investment premium | 3.19M |
| Depreciation | 4.08M |
| Acquisition costs capitalized | |
| Amortization of deferred acquisition costs | 19.59M |
| Realized investment (gains) losses | -4.36M |
| Reinsurance receivables | -6.07M |
| Future policy benefits | 1.7M |
| Policyholder account balances | -16.21M |
| Income taxes payable and deferred | |
| Other, net | 8.51M |
| Net cash provided | |
| Fixed maturity securities | -202.07M |
| Equity securities | -38K |
| Mortgage loans | -100.37M |
| Real estate | -1.85M |
| Policy loans | |
| Other investments | -134K |
| Fixed maturity securities | |
| Equity securities | 33K |
| Other investments | 387K |
| Net sales (purchases) of short-term investments | 16.04M |
| Fixed maturity securities | |
| Equity securities | |
| Mortgage loans | 72.01M |
| Policy loans | |
| Net disposition of property and equipment | |
| Net cash used | |
| Proceeds from borrowings | 1M |
| Repayment of borrowings | -1M |
| Deposits on policyholder account balances | |
| Withdrawals from policyholder account balances | |
| Net transfers from separate accounts | |
| Change in other deposits | 3.48M |
| Cash dividends to stockholders | |
| Net acquisition of treasury stock | -9.87M |
| Net cash provided | |
| Increase in cash | -1.31M |
| Cash at beginning of year | 11.01M |
| Cash at end of period | 9.7M |