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Segment Information (Tables)
6 Months Ended
Jun. 30, 2013
Segment Reporting [Abstract]  
Schedule of Segment Reporting Information
We have reconciled the following table for the three-month periods ended June 30, 2013 and 2012 to the amounts reported in our unaudited Consolidated Financial Statements to adjust for intersegment eliminations.
 
Property and Casualty Insurance
 
Life Insurance
 
Total
Three Months Ended June 30, 2013
 
 
 
 
 
Net premiums earned
$
170,527

 
$
15,963

 
$
186,490

Investment income, net of investment expenses
12,279

 
16,731

 
29,010

Net realized investment gains
3,560

 
591

 
4,151

Other income
72

 
110

 
182

Total reportable segment
$
186,438

 
$
33,395

 
$
219,833

Intersegment eliminations
9

 
(123
)
 
(114
)
Total revenues
$
186,447

 
$
33,272

 
$
219,719

Net income
$
13,195

 
$
2,301

 
$
15,496

Assets
$
1,951,033

 
$
1,749,716

 
$
3,700,749

Invested assets
$
1,379,947

 
$
1,643,356

 
$
3,023,303

Three Months Ended June 30, 2012
 
 
 
 
 
Net premiums earned
$
153,914

 
$
16,287

 
$
170,201

Investment income, net of investment expenses
11,762

 
17,029

 
28,791

Net realized investment gains (losses)
(582
)
 
1,193

 
611

Other income
96

 
147

 
243

Total reportable segment
$
165,190

 
$
34,656

 
$
199,846

Intersegment eliminations
(89
)
 
(111
)
 
(200
)
Total revenues
$
165,101

 
$
34,545

 
$
199,646

Net income
$
13,355

 
$
1,361

 
$
14,716

Assets
$
1,947,895

 
$
1,793,368

 
$
3,741,263

Invested assets
$
1,323,303

 
$
1,707,417

 
$
3,030,720



























We have reconciled the following table for the six-month periods ended June 30, 2013 and 2012 to the amounts reported in our unaudited Consolidated Financial Statements to adjust for intersegment eliminations.

 
Property and Casualty Insurance
 
Life Insurance
 
Total
Six Months Ended June 30, 2013
 
 
 
 
 
Net premiums earned
$
333,228

 
$
30,202

 
$
363,430

Investment income, net of investment expenses
22,700

 
32,710

 
55,410

Net realized investment gains
4,589

 
1,471

 
6,060

Other income
84

 
213

 
297

Total reportable segment
$
360,601

 
$
64,596

 
$
425,197

Intersegment eliminations
73

 
(246
)
 
(173
)
Total revenues
$
360,674

 
$
64,350

 
$
425,024

Net income
$
33,924

 
$
3,965

 
$
37,889

Assets
$
1,951,033

 
$
1,749,716

 
$
3,700,749

Invested assets
$
1,379,947

 
$
1,643,356

 
$
3,023,303

 
 
 
 
 
 
Six Months Ended June 30, 2012
 
 
 
 
 
Net premiums earned
$
300,670

 
$
31,145

 
$
331,815

Investment income, net of investment expenses
22,440

 
35,537

 
57,977

Net realized investment gains
551

 
2,807

 
3,358

Other income
196

 
303

 
499

Total reportable segment
$
323,857

 
$
69,792

 
$
393,649

Intersegment eliminations
(82
)
 
(222
)
 
(304
)
Total revenues
$
323,775

 
$
69,570

 
$
393,345

Net income
$
29,991

 
$
3,909

 
$
33,900

Assets
$
1,947,895

 
$
1,793,368

 
$
3,741,263

Invested assets
$
1,323,303

 
$
1,707,417

 
$
3,030,720