0001012771-20-000042.txt : 20201105 0001012771-20-000042.hdr.sgml : 20201105 20201105162039 ACCESSION NUMBER: 0001012771-20-000042 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 19 CONFORMED PERIOD OF REPORT: 20201105 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20201105 DATE AS OF CHANGE: 20201105 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FBL FINANCIAL GROUP INC CENTRAL INDEX KEY: 0001012771 STANDARD INDUSTRIAL CLASSIFICATION: LIFE INSURANCE [6311] IRS NUMBER: 421411715 STATE OF INCORPORATION: IA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-11917 FILM NUMBER: 201290762 BUSINESS ADDRESS: STREET 1: 5400 UNIVERSITY AVE CITY: WEST DES MOINES STATE: IA ZIP: 50266 BUSINESS PHONE: 5152255400 8-K 1 fbl-20201105.htm 8-K fbl-20201105
0001012771false00010127712020-11-052020-11-05

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D. C. 20549
FORM 8-K

CURRENT REPORT
Pursuant to Section 13 or 15(d) of the Securities Exchange Act of 1934

Date of report (date of earliest event reported): November 5, 2020

Commission File Number: 1-11917

fbl-20201105_g1.jpg
FBL Financial Group, Inc.
(Exact name of registrant as specified in its charter)
Iowa42-1411715
(State or other jurisdiction of incorporation or organization)(I.R.S. Employer Identification No.)
5400 University Avenue,West Des Moines,Iowa50266-5997
(Address of principal executive offices)(Zip Code)
(515)225-5400
(Registrant's telephone number, including area code)

Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of registrant under any of the following provisions:

Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))

Securities registered pursuant to Section 12(b) of the Securities Exchange Act of 1934:
Title of each classTrading Symbol(s)Name of each exchange on which registered
Class A Common Stock, without par valueFFGNew York Stock Exchange

Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).

                                        Emerging growth company

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.







Item 2.02. Results of Operations and Financial Condition

On November 5, 2020, FBL Financial Group, Inc. issued a news release reporting its financial results for the three months ended September 30, 2020 and a related financial supplement. The news release is furnished as Exhibit 99.1 hereto and the Financial Supplement is furnished as Exhibit 99.2 hereto.

The information contained in this Form 8-K including the exhibits attached hereto, shall not be deemed "filed" for purposes of Section 18 of the Securities Exchange Act of 1934, as amended, or incorporated by reference in any filing under the Securities Act of 1933, as amended, except as shall be expressly set forth by specific reference in such filing.

Item 9.01. Financial Statements and Exhibits

(d) Exhibits.
    
Exhibit No.Description
99.1News release of FBL Financial Group, Inc. dated November 5, 2020
99.2Financial Supplement of FBL Financial Group, Inc. for the quarter ended September 30, 2020
104Cover page Interactive Data File formatted as iXBRL (Inline eXtensible Business Reporting Language) and contained in Exhibit 101.

SIGNATURE

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.

Date: November 5, 2020                    FBL FINANCIAL GROUP, INC.

                            By    /s/ Donald J. Seibel
Donald J. Seibel
Chief Financial Officer


EXHIBIT INDEX

Exhibit No:    Description


EX-99.1 2 exh991newsrelease2020q3.htm EX-99.1 Document













FBL Financial Group Reports Third Quarter 2020 Results

Company Highlights
Third quarter 2020 net income attributable to FBL Financial Group of $21.0 million, or $0.85 per common diluted share.
Third quarter 2020 adjusted operating income(1) of $19.8 million, or $0.80 per diluted common share.

West Des Moines, Iowa - November 5, 2020 - FBL Financial Group, Inc. (NYSE: FFG) today reported net income attributable to FBL Financial Group for the third quarter of 2020 of $21.0 million, or $0.85 per diluted common share, compared to net income of $25.1 million, or $1.01 per diluted common share, for the third quarter of 2019. Adjusted operating income(1) totaled $19.8 million, or $0.80 per common share, for the third quarter of 2020, compared to $25.2 million, or $1.02 per common share, for the third quarter of 2019. Third quarter 2020 earnings reflect:
A negative impact of $0.22 per share from unlocking actuarial assumptions used in the calculation of deferred acquisition costs, unearned revenue reserves and certain reserves on interest sensitive products
Unfavorable mortality results primarily in the Life segment
Favorable market performance resulting in lower amortization of acquisition costs in the Corporate and Other segment and a lower increase in reserves associated with Guaranteed Living Withdrawal Benefits (GLWB) in the Annuity segment
A focus on expense control
Continued investment in the Wealth Management business

Adjusted operating income differs from the GAAP measure, net income attributable to FBL Financial Group, in that it excludes realized gains and losses on investments, which includes the change in fair value of equity securities and the change in allowances for credit losses on investments, and the change in fair value of derivatives. For further information on this non-GAAP financial measure, please refer to Note (1) and the reconciliation provided within this release.
"FBL Financial Group’s third quarter financial results exhibit several positives including growth in life insurance sales, actions to lower expenses, and an excellent capital position," said Daniel D. Pitcher, Chief Executive Officer. "These positives were offset by the impact of unlocking actuarial assumptions, increased death benefits and pressure on spread income from the decline in investment yields. In the final stretch of 2020, our exclusive Farm Bureau Financial Services agents' and FBL employees’ highest priority is to serve the Farm Bureau niche market to fulfill our purpose to protect livelihoods and futures."

Product Revenues
Premiums and product charges for the third quarter of 2020 totaled $83.2 million compared to $78.1 million in the third quarter of 2019. Interest sensitive product charges increased 14 percent while traditional life insurance premiums increased two percent during the quarter. Premiums collected(2) in the third quarter of 2020 totaled $133.2 million compared to $142.1 million in the third quarter of 2019. Total life insurance premiums collected increased three percent while annuity premiums collected decreased 19 percent, reflecting the impact of lower market interest rates.






Investment Income
Net investment income in the third quarter of 2020 totaled $105.9 million, compared to $101.5 million in the third quarter of 2019. This increase reflects a change in the fair value of derivatives and an increase in average invested assets partially offset by a lower investment yield. The annualized yield earned on average invested assets, with securities at amortized cost, including investments held as securities and indebtedness of related parties, was 4.64 percent for the nine months ended September 30, 2020 compared to 4.97 percent for the nine months ended September 30, 2019. At September 30, 2020, 96 percent of the fixed maturity securities in FBL Financial Group's investment portfolio were investment grade debt securities.

Benefits and Expenses
Benefits and expenses totaled $174.3 million in the third quarter of 2020, compared to $158.6 million in the third quarter of 2019.
The change in fair value of the embedded derivatives on our index products is included in interest sensitive product benefits. This change increased benefits by $9.9 million in the third quarter of 2020 compared to an increase of $5.8 million in the third quarter of 2019. These benefits are partially offset by an increase in the value of the associated call options included in net investment income.
Death benefits, net of reinsurance and reserves released, totaled $33.9 million in the third quarter of 2020, compared to $30.2 million in the third quarter of 2019. By its nature, mortality experience can fluctuate from quarter to quarter.
During the third quarter of 2020, FBL Financial Group unlocked the assumptions used in the calculation of deferred acquisition costs, unearned revenue reserves and certain reserves on interest sensitive products. This unlocking resulted in a pre-tax unfavorable impact of $6.7 million, or $0.22 per share after-tax. This compares to a pre-tax unfavorable impact of unlocking in the third quarter of 2019 of $2.7 million, or $0.09 per share after-tax.

Net Realized Gains
In the third quarter of 2020, FBL Financial Group recognized net realized gains on investments of $2.0 million. This is attributable to realized gains on sales of $0.2 million and a net gain from equity securities held at quarter end of $1.8 million. In addition, in the third quarter of 2020, $1.9 million was recorded as a decrease to the allowance for credit losses.

Stock Repurchases
During the third quarter of 2020, FBL Financial Group repurchased 160,556 shares of its Class A common stock. FBL Financial Group has $26.3 million remaining under its current stock repurchase program.

Capital and Book Value
As of September 30, 2020, the book value per share of FBL Financial Group common stock totaled $66.21, compared to $60.12 at December 31, 2019. Book value per share, excluding accumulated other comprehensive income(3), totaled $44.52 at September 30, 2020, compared to $45.73 at December 31, 2019. The September 30, 2020 company action level risk based capital ratio of FBL Financial Group's wholly owned subsidiary, Farm Bureau Life Insurance Company, was approximately 525 percent.

Further Financial Information
Further information on FBL Financial Group's financial results, including results by segment, may be found in FBL Financial Group's financial supplement, available on its website, www.fblfinancial.com.

Conference Call
FBL Financial Group will hold a conference call with investors tomorrow, November 6, 2020, at 11:00 a.m. Eastern Time. The call will consist only of prepared comments by management; there will not be a question and answer session. The call will be webcast and a replay will be available on FBL Financial Group's website.












Forward-Looking Statements
Certain statements in this release concerning FBL Financial Group's prospects for the future are forward-looking statements intended to qualify for the “safe harbor” from liability established by the Private Securities Litigation Reform Act. These statements generally can be identified by their context, including terms such as “believes,” “anticipates,” “expects,” or similar words. These statements involve certain risks and uncertainties that could cause actual results to differ materially from those expressed or implied in the forward-looking statement. These risks and uncertainties are detailed in FBL Financial Group's reports filed with the Securities and Exchange Commission and include, but are not limited to, changes in interest rates, difficult conditions in financial markets and the economy, lack of liquidity and access to capital, investment valuations, competitive factors, a decrease in ratings, changes in laws and regulations, differences between actual claims experience and underwriting assumptions, relationships with Farm Bureau organizations, the ability to attract and retain sales agents, adverse results from litigation and the impact of the COVID-19 pandemic and any future pandemics. These forward-looking statements are based on assumptions which FBL Financial Group believes to be reasonable; however, no assurance can be given that the assumptions will prove to be correct. FBL Financial Group undertakes no obligation to update any forward-looking statements.

Investor Relations Contact
Kathleen Till Stange, Vice President Corporate & Investor Relations
(515) 226-6780, Kathleen.TillStange@FBLFinancial.com

About FBL Financial Group
FBL Financial Group is a holding company with the purpose to protect livelihoods and futures. Operating under the consumer brand name Farm Bureau Financial Services, its affiliates offer a broad range of life insurance, annuity and investment products distributed by multiline exclusive Farm Bureau agents. Helping complete the financial services offering, advisors offer wealth management and financial planning services. In addition, FBL Financial Group manages all aspects of two Farm Bureau affiliated property-casualty insurance companies for a management fee. Headquartered in West Des Moines, Iowa, FBL Financial Group is traded on the New York Stock Exchange under the symbol FFG. For more information, please visit www.fblfinancial.com and www.fbfs.com.

- FINANCIAL INFORMATION AND NOTES FOLLOW -



FBL Financial Group, Inc.
Consolidated Statements of Operations (Unaudited)
(Dollars in thousands, except per share data)
Three months endedNine months ended
September 30,September 30,
2020201920202019
Revenues:
Interest sensitive product charges$35,420 $31,135 $100,049 $94,935 
Traditional life insurance premiums47,792 46,982 147,429 147,361 
Net investment income105,856 101,478 291,208 316,012 
Net realized capital gains (losses)1,991 696 (8,657)11,230 
Change in allowance for credit losses on investments1,903 — (10,855)— 
Other-than-temporary impairment losses— (50)— (919)
Other income4,883 4,417 14,647 12,501 
Total revenues197,845 184,658 533,821 581,120 
Benefits and expenses:
Interest sensitive product benefits79,803 67,147 203,257 202,966 
Traditional life insurance benefits45,529 42,877 136,849 131,512 
Policyholder dividends1,733 2,441 5,879 7,539 
Underwriting, acquisition and insurance expenses38,131 39,197 111,044 114,334 
Interest expense1,212 1,213 3,638 3,637 
Other expenses7,878 5,764 22,524 18,649 
Total benefits and expenses174,286 158,639 483,191 478,637 
23,559 26,019 50,630 102,483 
Income tax(2,883)(1,642)(5,887)(13,429)
Equity income (loss), net of related income taxes277 799 (238)2,423 
Net income 20,953 25,176 44,505 91,477 
Net (income) loss attributable to noncontrolling interest21 (47)165 (7)
Net income attributable to FBL Financial Group, Inc.$20,974 $25,129 $44,670 $91,470 
Earnings per common share $0.85 $1.01 $1.81 $3.69 
Weighted average shares - basic24,497,140 24,758,639 24,660,576 24,760,311 
Effect of dilutive securities - stock-based compensation3,171 10,035 3,862 10,773 
Weighted average shares - diluted24,500,311 24,768,674 24,664,438 24,771,084 




(1) Reconciliation of Net Income Attributable to FBL Financial Group to Adjusted Operating Income - Unaudited

FBL Financial Group consistently utilizes adjusted operating income, a financial measure common in the life insurance industry that is not prepared in accordance with U.S. generally accepted accounting principles (GAAP), as a primary economic measure to evaluate its financial performance. Adjusted operating income consists of net income attributable to FBL Financial Group adjusted to exclude realized gains and losses on investments, which includes the change in fair value of equity securities and the change in allowances for credit losses on investments, and the change in fair value of derivatives, which can fluctuate greatly from period to period. These fluctuations make it difficult to analyze core operating trends. In addition, for derivatives not designated as hedges, there is a mismatch between the valuation of the asset and liability when deriving net income. For example, call options relating to indexed business are one-year assets while the embedded derivatives in the indexed contracts represent the rights of the contract holder to receive index credits over the entire period the indexed products are expected to be in force. This non-GAAP measure is used for goal setting, determining short-term incentive compensation and evaluating performance on a basis comparable to that used by many in the investment community. FBL Financial Group believes the presentation and evaluation of adjusted operating income provides information that may enhance an investor's understanding of FBL Financial Group's underlying results and profitability. A reconciliation is provided in the following table:
Three months endedNine months ended
September 30,September 30,
2020201920202019
(Dollars in thousands,
except per share data)
Net income attributable to FBL Financial Group$20,974 $25,129 $44,670 $91,470 
Adjustments:
Net realized gains/losses on investments(a)
(3,300)(440)15,103 (7,960)
Change in fair value of derivatives(a)
2,079 526 4,867 (657)
Adjusted operating income $19,753 $25,215 $64,640 $82,853 
Adjusted operating income per common share - assuming dilution $0.80 $1.02 $2.62 $3.34 
(a) Net of adjustments, as applicable, to amortization of unearned revenue reserves, deferred acquisition costs, interest sensitive policy reserves and income taxes attributable to these items.

(2) Premiums Collected - Net statutory premiums collected is a non-GAAP measure and includes premiums collected from annuities and universal life-type products. It is a useful metric for investors as it is a measure of sales production.
For GAAP reporting, these premiums received are not reported as revenues.

(3) Reconciliation of Book Value Per Share Excluding Accumulated Other Comprehensive Income - Unaudited
September 30,
2020
December 31,
2019
Book value per share$66.21 $60.12 
Less: Per share impact of accumulated other comprehensive income21.69 14.39 
Book value per share, excluding accumulated other comprehensive income $44.52 $45.73 

Book value per share excluding accumulated other comprehensive income is a non-GAAP financial measure. Accumulated other comprehensive income totaled $529.1 million at September 30, 2020 and $354.8 million at December 31, 2019. Since accumulated other comprehensive income fluctuates from quarter to quarter due to unrealized changes in the fair value of investments caused principally by changes in market interest rates, FBL Financial Group believes this non-GAAP financial measure provides useful supplemental information.



FBL Financial Group, Inc.
Condensed Consolidated Balance Sheets (Unaudited)
(Dollars in thousands)
September 30,
2020
December 31,
2019
Assets
Investments$9,581,993 $9,091,623 
Cash and cash equivalents15,030 17,277 
Deferred acquisition costs201,022 289,456 
Other assets438,455 435,969 
Assets held in separate accounts616,381 645,881 
Total assets$10,852,881 $10,480,206 
Liabilities and stockholders' equity
Liabilities
Future policy benefits$7,629,442 $7,393,549 
Other policy funds, claims and benefits590,289 597,256 
Debt97,000 97,000 
Other liabilities301,514 260,604 
Liabilities related to separate accounts616,381 645,881 
Total liabilities9,234,626 8,994,290 
Stockholders' equity
FBL Financial Group, Inc. stockholders' equity:
Preferred stock3,000 3,000 
Class A common stock150,990 152,661 
Class B common stock72 72 
Accumulated other comprehensive income529,087 354,764 
Retained earnings935,080 975,260 
Total FBL Financial Group, Inc. stockholders' equity1,618,229 1,485,757 
Noncontrolling interest26 159 
Total stockholders' equity1,618,255 1,485,916 
Total liabilities and stockholders' equity$10,852,881 $10,480,206 
Common shares outstanding24,394,523 24,664,215 

####





EX-99.2 3 invsupp2020q3.htm EX-99.2 Document



FBL FINANCIAL GROUP, INC.
INVESTOR SUPPLEMENT
2020 Third Quarter



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Corporate HeadquartersFBL Financial Group, Inc.
5400 University Avenue
West Des Moines, Iowa 50266-5997
(515) 225-5400
Financial InquiriesFor more information contact:
Kathleen Till Stange
Vice President Corporate & Investor Relations
Kathleen.TillStange@FBLFinancial.com
(515) 226-6780
Internet InformationFBL Financial Group, Inc.
www.fblfinancial.com
Stock SymbolNYSE: FFG
Transfer AgentAmerican Stock Transfer & Trust Company, LLC
6201 15th Avenue
Brooklyn, NY 11219
http://www.astfinancial.com

















FBL Financial Group, Inc.
Financial Supplement (Unaudited)
September 30, 2020
Table of Contents/Notes
Consolidated Financial Statements:
Consolidated Balance Sheets
Consolidated Statements of Comprehensive Income
Consolidated Statements of Comprehensive Income (Loss), last five quarters
Net Income (Loss) to Adjusted Operating Income Reconciliation and Pre-tax Adjusted Operating Income by Segment, last five quarters
Financial Information by Segment:
Segment Information
Statements of Pre-tax Adjusted Operating Income, last five quarters:
Annuity Segment
Life Insurance Segment
Corporate and Other Segment
Deferred Acquisition Costs by Segment
Impact of Unlocking on Pre-tax Adjusted Operating Income
Collected Premiums, last five quarters
Other Information

NOTE 1: In addition to net income as determined using U.S. Generally Accepted Accounting Principles (GAAP), we have consistently used adjusted operating income (a measure of earnings not recognized under GAAP), a financial measure common in the life insurance industry, as a primary economic measure to evaluate our financial performance. Adjusted operating income for the periods presented consists of net income adjusted primarily to exclude realized gains and losses on investments, which includes the change in fair value of equity securities and the change in allowances on investments, and the change in fair value of derivatives.

We use adjusted operating income, in addition to net income, to measure our performance since realized gains and losses on investments and the change in fair value of derivatives and equities can fluctuate greatly from quarter to quarter. These fluctuations make it difficult to analyze core operating trends. A view of our adjusted operating performance without the impact of these items enhances the analysis of our results. We use adjusted operating income for goal setting, determining short-term incentive compensation and evaluating performance on a basis comparable to that used by many in the investment community.

We analyze our segment results based on pre-tax adjusted operating income, which excludes the impact of certain items that are included in pre-tax net income. Pre-tax adjusted operating income is a basis allowed for segment reporting under GAAP. See Note 8 to our consolidated financial statements in Form 10-Q for the period ended September, 30, 2020 for further information regarding how we define our segments and pre-tax adjusted operating income.
NOTE 2: Certain financial information presented herein may not add due to rounding.
1



FBL Financial Group, Inc.
Consolidated Balance Sheets (Unaudited)
(Dollars in thousands)
September 30,
2020
December 31,
2019
Assets
Investments:
Fixed maturities - available for sale, at fair value (amortized cost 2020 - $7,256,832; 2019 - $7,015,269; and allowance for credit losses 2020 - $12,095, 2019 - $0)$8,244,477 $7,702,628 
Equity securities at fair value (cost: 2020 - $95,409; 2019 - $95,269)93,269 100,228 
Mortgage loans (net of allowance for credit losses 2020 - $1,924, 2019 - $0)972,210 1,011,678 
Real estate955 955 
Policy loans197,009 201,589 
Short-term investments18,434 11,865 
Other investments55,639 62,680 
Total investments9,581,993 9,091,623 
Cash and cash equivalents15,030 17,277 
Securities and indebtedness of related parties80,494 74,791 
Accrued investment income76,164 72,332 
Amounts receivable from affiliates2,421 4,357 
Reinsurance recoverable 112,382 107,498 
Deferred acquisition costs201,022 289,456 
Value of insurance in force acquired2,384 2,624 
Current income taxes recoverable4,786 6,427 
Other assets159,824 167,940 
Assets held in separate accounts616,381 645,881 
Total assets$10,852,881 $10,480,206 


2



FBL Financial Group, Inc.
Consolidated Balance Sheets (Continued)
(Dollars in thousands)
September 30,
2020
December 31,
2019
Liabilities and stockholders' equity
Liabilities:
Future policy benefits:
Interest sensitive products$5,747,604 $5,548,212 
Traditional life insurance and accident and health products1,881,838 1,845,337 
Other policy claims and benefits49,409 46,883 
Supplementary contracts without life contingencies282,715 296,915 
Advance premiums and other deposits258,165 253,458 
Amounts payable to affiliates609 1,218 
Long-term debt97,000 97,000 
Deferred income taxes187,161 152,373 
Other liabilities113,744 107,013 
Liabilities related to separate accounts616,381 645,881 
Total liabilities9,234,626 8,994,290 
Stockholders' equity:
FBL Financial Group, Inc. stockholders' equity:
Preferred stock, without par value, at liquidation value - authorized 10,000,000 shares, issued and outstanding 5,000,000 Series B shares3,000 3,000 
Class A common stock, without par value - authorized 88,500,000 shares, issued and outstanding 24,383,110 in 2020 and 24,652,802 shares in 2019150,990 152,661 
Class B common stock, without par value - authorized 1,500,000 shares, issued and outstanding 11,413 shares in 2020 and 201972 72 
Accumulated other comprehensive income529,087 354,764 
Retained earnings935,080 975,260 
Total FBL Financial Group, Inc. stockholders' equity1,618,229 1,485,757 
Noncontrolling interest26 159 
Total stockholders' equity1,618,255 1,485,916 
Total liabilities and stockholders' equity$10,852,881 $10,480,206 


3



FBL Financial Group, Inc.
Consolidated Statements of Comprehensive Income (Unaudited)
(Dollars in thousands, except per share data)
Three months ended September 30,Nine months ended September 30,
2020201920202019
Revenues:
Interest sensitive product charges$35,420 $31,135 $100,049 $94,935 
Traditional life insurance premiums47,792 46,982 147,429 147,361 
Net investment income105,856 101,478 291,208 316,012 
Net realized capital gains (losses)1,991 696 (8,657)11,230 
Change in allowance for credit losses on investments1,903 — (10,855)— 
Other-than-temporary impairment losses— (50)— (919)
Other income4,883 4,417 14,647 12,501 
Total revenues197,845 184,658 533,821 581,120 
Benefits and expenses:
Interest sensitive product benefits79,803 67,147 203,257 202,966 
Traditional life insurance benefits45,529 42,877 136,849 131,512 
Policyholder dividends1,733 2,441 5,879 7,539 
Underwriting, acquisition and insurance expenses38,131 39,197 111,044 114,334 
Interest expense1,212 1,213 3,638 3,637 
Other expenses7,878 5,764 22,524 18,649 
Total benefits and expenses174,286 158,639 483,191 478,637 
23,559 26,019 50,630 102,483 
Income tax (2,883)(1,642)(5,887)(13,429)
Equity income (loss), net of related income taxes277 799 (238)2,423 
Net income 20,953 25,176 44,505 91,477 
Net (income) loss attributable to noncontrolling interest21 (47)165 (7)
Net income attributable to FBL Financial Group, Inc.$20,974 $25,129 $44,670 $91,470 
Comprehensive income attributable to FBL Financial Group, Inc.$68,435 $128,511 $218,993 $406,327 
Earnings per common share$0.85 $1.01 $1.81 $3.69 
Earnings per common share - assuming dilution$0.85 $1.01 $1.81 $3.69 
Cash dividends per common share$0.50 $0.48 $1.50 $1.44 
Special cash dividend per common share$— $— $1.50 $1.50 

4



FBL Financial Group, Inc.
Consolidated Statements of Comprehensive Income (Loss) (Unaudited) - Quarterly
(Dollars in thousands, except per share data)
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
Revenues:
Interest sensitive product charges$31,135 $32,178 $31,720 $32,909 $35,420 
Traditional life insurance premiums46,982 50,502 49,308 50,329 47,792 
Net investment income101,478 108,986 74,917 110,435 105,856 
Net realized capital gains (losses)696 (2,707)(13,401)2,753 1,991 
Change in allowance for credit losses on investments— — (12,261)(497)1,903 
Other-than-temporary impairment losses(50)— — —  
Other income4,417 4,602 4,980 4,784 4,883 
Total revenues184,658 193,561 135,263 200,713 197,845 
Benefits and expenses:
Interest sensitive product benefits67,147 73,507 44,351 79,103 79,803 
Traditional life insurance benefits42,877 43,142 46,208 45,112 45,529 
Policyholder dividends2,441 2,514 2,529 1,617 1,733 
Underwriting, acquisition and insurance expenses39,197 26,290 39,421 33,492 38,131 
Interest expense1,213 1,213 1,213 1,213 1,212 
Other expenses5,764 6,597 7,421 7,225 7,878 
Total benefits and expenses158,639 153,263 141,143 167,762 174,286 
26,019 40,298 (5,880)32,951 23,559 
Income tax benefit (expense)(1,642)(6,500)3,081 (6,085)(2,883)
Equity income (loss), net of related income taxes799 1,033 228 (743)277 
Net income (loss)25,176 34,831 (2,571)26,123 20,953 
Net (income) loss attributable to noncontrolling interest(47)(92)56 88 21 
Net income (loss) attributable to FBL Financial Group, Inc.$25,129 $34,739 $(2,515)$26,211 $20,974 
Comprehensive income (loss) attributable to FBL Financial Group, Inc.$128,511 $(16,672)$(98,857)$249,415 $68,435 
Earnings (loss) per common share$1.01 $1.40 $(0.10)$1.06 $0.85 
Earnings (loss) per common share - assuming dilution$1.01 $1.40 $(0.10)$1.06 $0.85 
Cash dividends per common share$0.48 $0.48 $0.50 $0.50 $0.50 
Special cash dividend per common share$— $— $1.50 $— $ 
Weighted average common shares outstanding (in thousands):
Basic24,759 24,761 24,763 24,724 24,497 
Effect of dilutive securities10 — 3 
Diluted24,769 24,769 24,763 24,728 24,500 

5



FBL Financial Group, Inc.
Net Income (Loss) to Adjusted Operating Income Reconciliation and Pre-tax Adjusted Operating Income by Segment
(Dollars in thousands, except per share data)
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
Net income (loss) attributable to FBL Financial Group, Inc.$25,129 $34,739 $(2,515)$26,211 $20,974 
Net income adjustments:
Realized gains/losses on investments (1)(440)2,147 20,112 (1,709)(3,300)
Change in net unrealized gains/losses on derivatives (1)526 (2,047)2,039 748 2,079 
Adjusted operating income (2)$25,215 $34,839 $19,636 $25,250 $19,753 
Adjusted operating income per common share - assuming dilution (2)$1.02$1.41$0.79$1.02$0.80
Adjusted operating return on equity, excluding AOCI - last twelve months9.3%10.7%10.2%9.6%9.1%
Adjusted operating return on equity, including AOCI - last twelve months7.8%8.6%8.0%7.2%6.6%
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
Impact of Adjustments on FBL Net Income
Realized gains (losses) on investments and change in fair value of equity securities and derivatives$(198)$70 $(28,069)$426 $780 
Offsets: (3)
Change in amortization(343)61 (176)134 639 
Reserve change on interest sensitive products432 (258)205 656 126 
Income tax23 27 5,889 (255)(324)
Net impact of net income adjustments$(86)$(100)$(22,151)$961 $1,221 
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
Pre-tax adjusted operating income by segment:
Annuity segment$8,121 $14,414 $12,019 $14,917 $18,916 
Life Insurance segment14,032 24,771 10,267 12,260 2,641 
Corporate and Other segment4,939 2,456 219 3,706 829 
Total pre-tax adjusted operating income27,092 41,641 22,505 30,883 22,386 
Income taxes on adjusted operating income(1,877)(6,802)(2,869)(5,633)(2,633)
Adjusted operating income (2)$25,215 $34,839 $19,636 $25,250 $19,753 

(1) Amounts are net of adjustments, as applicable, to amortization of unearned revenue reserves and deferred acquisition costs, as well as changes in interest sensitive product reserves and income taxes attributable to these items.
(2)    Adjusted operating income is a non-GAAP measure of earnings, see Note 1 on page 1 for additional information.
(3)     The items excluded from adjusted operating income impact the amortization of deferred acquisition costs and unearned revenue reserve. Certain interest sensitive reserves as well as income taxes are also impacted.
6



FBL Financial Group, Inc.
Segment Information

We analyze operations by reviewing financial information regarding our primary products that are aggregated into the Annuity and Life Insurance product segments. In addition, our Corporate and Other segment includes various support operations, corporate capital and other product lines that are not currently underwritten by the Company.

The Annuity segment primarily consists of fixed rate and indexed annuities and supplementary contracts (some of which involve life contingencies). Fixed rate and indexed annuities provide for tax-deferred savings and supplementary contracts provide for the systematic repayment of funds that accumulate interest. Fixed rate annuities consist primarily of flexible premium deferred annuities, but also include single premium deferred and immediate contracts. With fixed rate annuities, we bear the underlying investment risk and credit interest to the contracts at rates we determine, subject to interest rate guarantees. With indexed annuity products, we bear the underlying investment risk and credit interest in an amount equal to a percentage of the gain in a specified market index, subject to minimum guarantees.

The Life Insurance segment consists of whole life, term life and universal life policies, including indexed universal life. These policies provide benefits upon the death of the insured and may also allow the customer to build cash value on a tax-deferred basis.

The Corporate and Other segment includes (i) wealth management services; (ii) advisory services for the management of investments and other companies; (iii) marketing and distribution services for the sale of insurance products not issued by us; (iv) leasing services with affiliates; (v) closed blocks of variable annuity, variable life and accident and health products; (vi) interest expense and (vii) investments and related investment income not specifically allocated to our product segments.

We analyze our segment results based on pre-tax adjusted operating income. Accordingly, income taxes are not allocated to the segments. In addition, adjusted operating results are reported net of transactions between the segments.
7



FBL Financial Group, Inc.
Statements of Pre-tax Adjusted Operating Income
Annuity Segment
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
Pre-tax Adjusted Operating Income(Dollars in thousands)
Adjusted operating revenues:
Interest sensitive product charges$1,608 $1,734 $1,886 $2,079 $1,776 
Net investment income 49,633 52,618 52,768 51,458 51,576 
Total adjusted operating revenues51,241 54,352 54,654 53,537 53,352 
Adjusted operating benefits and expenses:
Interest sensitive product benefits28,585 30,980 33,883 30,518 25,652 
Underwriting, acquisition and insurance expenses:
Commission expense, net of deferrals405 662 421 315 320 
Amortization of deferred acquisition costs8,015 2,763 2,646 2,397 3,384 
Amortization of value of insurance in force acquired164 164 175 175 175 
Other underwriting expenses 5,951 5,369 5,510 5,215 4,905 
Total underwriting, acquisition and insurance expenses14,535 8,958 8,752 8,102 8,784 
Total adjusted operating benefits and expenses43,120 39,938 42,635 38,620 34,436 
Pre-tax adjusted operating income$8,121 $14,414 $12,019 $14,917 $18,916 
Selected balance sheet data, securities at amortized cost:
Assets:
Investments$4,521,789 $4,541,355 $4,635,897 $4,714,493 $4,662,809 
Deferred acquisition costs88,266 88,295 88,257 87,622 87,104 
Value of insurance in force acquired2,361 2,198 2,022 1,847 1,672 
Liabilities and equity:
Liabilities:
Interest sensitive product reserves$4,054,299 $4,105,054 $4,195,802 $4,260,316 $4,238,518 
Other insurance reserves338,585 335,222 332,478 329,208 322,916 
Allocated equity, excluding AOCI250,934 253,096 239,999 243,245 241,756 
Other data:
Number of direct contracts52,914 51,536 50,948 50,533 50,217 
Portfolio yield net of assumed defaults4.38 %4.35 %4.32 %4.28 %4.21 %
Credited rate2.61 2.60 2.55 2.56 2.56 
Spread on individual annuities at end of quarter (1)1.77 %1.75 %1.77 %1.72 %1.65 %
Interest sensitive reserve activity:
Individual annuity reserve:
Balance, beginning of period$3,214,755 $3,204,500 $3,221,385 $3,203,598 $3,209,679 
Deposits53,972 63,532 55,266 34,973 43,119 
Withdrawals, surrenders and death benefits(79,157)(63,065)(66,299)(51,605)(50,945)
Net flows(25,185)467 (11,033)(16,632)(7,826)
Policyholder interest18,352 21,207 21,479 20,811 21,125 
Annuitizations and other(3,422)(4,789)(28,233)1,902 (1,506)
Balance, end of period3,204,500 3,221,385 3,203,598 3,209,679 3,221,472 
Other interest sensitive reserves849,799 883,669 992,204 1,050,637 1,017,046 
Total interest sensitive product reserves$4,054,299 $4,105,054 $4,195,802 $4,260,316 $4,238,518 

(1)Point-in-time spread at the balance sheet date used by management for decision making, which differs from the spread earned during the reporting period disclosed in the Form 10Q or 10K.
8



FBL Financial Group, Inc.
Statements of Pre-tax Adjusted Operating Income
Life Insurance Segment
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
Pre-tax Adjusted Operating Income(Dollars in thousands)
Adjusted operating revenues:
Interest sensitive product charges$19,163 $18,956 $20,379 $19,969 $23,243 
Traditional life insurance premiums46,982 50,502 49,308 50,329 47,792 
Net investment income 38,581 40,204 37,575 39,271 40,198 
Other income(131)(159)(47)(77)(63)
Total adjusted operating revenues104,595 109,503 107,215 109,492 111,170 
Adjusted operating benefits and expenses:
Interest sensitive product benefits:
Interest and index credits 8,326 9,803 7,843 9,500 11,110 
Death benefits and other 17,198 15,513 16,371 16,846 22,958 
Total interest sensitive product benefits25,524 25,316 24,214 26,346 34,068 
Traditional life insurance benefits:
Death benefits25,233 22,878 26,098 23,584 25,579 
Surrender and other benefits9,435 9,548 10,142 7,383 7,835 
Increase in traditional life future policy benefits 8,206 10,716 9,970 14,144 12,113 
Total traditional life insurance benefits42,874 43,142 46,210 45,111 45,527 
Policyholder dividends2,441 2,514 2,529 1,617 1,733 
Underwriting, acquisition and insurance expenses:
Commission expense, net of deferrals4,487 5,195 4,832 4,662 4,547 
Amortization of deferred acquisition costs(592)(5,732)2,419 3,065 8,404 
Amortization of value of insurance in force acquired372 372 370 370 370 
Other underwriting expenses 16,278 14,950 16,749 15,078 14,179 
Total underwriting, acquisition and insurance expenses20,545 14,785 24,370 23,175 27,500 
Total adjusted operating benefits and expenses91,384 85,757 97,323 96,249 108,828 
$13,211 $23,746 $9,892 $13,243 $2,342 
Equity income (loss), before tax821 1,025 375 (983)299 
Pre-tax adjusted operating income$14,032 $24,771 $10,267 $12,260 $2,641 
Selected balance sheet data, securities at amortized cost:
Assets:
Investments$3,123,239 $3,155,216 $3,174,890 $3,191,110 $3,228,619 
Deferred acquisition costs323,609 341,143 346,585 350,092 346,776 
Value of insurance in force acquired13,296 12,924 12,554 12,184 11,814 
Liabilities and equity:
Liabilities: (1)
Interest sensitive reserves$1,024,103 $1,039,335 $1,050,311 $1,067,132 $1,086,664 
Other insurance reserves2,033,080 2,043,029 2,056,553 2,084,413 2,097,431 
Allocated equity, excluding AOCI476,443 480,489 504,451 514,602 520,220 

9



FBL Financial Group, Inc.
Statements of Pre-tax Adjusted Operating Income
Life Insurance Segment (Continued)
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
(Dollars in thousands)
Other data:
Number of direct policies - traditional life365,099 365,399 364,286 364,117 363,880 
Number of direct policies - universal life71,367 72,972 73,508 74,178 74,450 
Direct face amounts - traditional life$53,005,016 $53,320,484 $53,509,739 $53,846,236 $54,192,288 
Direct face amounts - universal life$8,020,444 $8,245,749 $8,342,877 $8,442,603 $8,503,362 
Portfolio yield net of assumed defaults4.91 %4.85 %4.84 %4.80 %4.76 %
Credited rate3.80 3.81 3.85 3.85 3.83 
Spread on universal life at end of quarter (2)1.11 %1.04 %0.99 %0.95 %0.93 %
Interest sensitive reserve activity: (1)
Balance, beginning of period$1,013,247 $1,024,103 $1,039,335 $1,050,311 $1,067,132 
Deposits28,110 30,962 33,118 30,903 30,888 
Withdrawals and surrenders(8,455)(6,915)(7,205)(6,972)(7,675)
Net flows19,655 24,047 25,913 23,931 23,213 
Policyholder interest7,774 9,165 7,156 8,971 9,444 
Policy charges(20,129)(20,603)(21,774)(21,733)(21,666)
Benefits and other3,556 2,623 (319)5,652 8,541 
Balance, end of period$1,024,103 $1,039,335 $1,050,311 $1,067,132 $1,086,664 

(1)Reserves on riders in interest sensitive life insurance products are included in Other insurance reserves.
(2)Point-in-time spread at the balance sheet date used by management for decision making with universal life (excluding products with a secondary guarantee) differs from the spread earned during the reporting period disclosed in the Form 10Q or 10K.
10



FBL Financial Group, Inc.
Statements of Pre-tax Adjusted Operating Income
Corporate and Other
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
Pre-tax Adjusted Operating Income (Dollars in thousands)
Adjusted operating revenues:
Interest sensitive product charges$10,408 $10,757 $10,956 $10,282 $10,246 
Net investment income 8,277 8,797 8,057 6,879 7,306 
Other income4,548 4,761 5,027 4,861 4,946 
Total adjusted operating revenues23,233 24,315 24,040 22,022 22,498 
Adjusted operating benefits and expenses:
Interest sensitive product benefits7,642 12,315 7,626 8,205 10,310 
Underwriting, acquisition and insurance expenses:
Commission expense, net of deferrals720 685 699 635 669 
Amortization of deferred acquisition costs1,854 5,055 (633)111 
Other underwriting expenses1,244 1,231 1,777 1,802 1,562 
Total underwriting, acquisition and insurance expenses3,818 1,925 7,531 1,804 2,342 
Interest expense1,213 1,213 1,213 1,213 1,212 
Other expenses 5,764 6,597 7,421 7,225 7,878 
Total adjusted operating benefits and expenses18,437 22,050 23,791 18,447 21,742 
4,796 2,265 249 3,575 756 
Net (income) loss attributable to noncontrolling interest(47)(92)56 88 21 
Equity income (loss), before tax190 283 (86)43 52 
Pre-tax adjusted operating income $4,939 $2,456 $219 $3,706 $829 
Selected balance sheet data, securities at amortized cost:
Assets:
Investments$686,296 $702,734 $652,607 $641,214 $692,965 
Deferred acquisition costs60,346 60,245 55,656 55,912 55,381 
Separate account assets612,338 645,881 525,582 599,203 616,381 
Liabilities and equity:
Liabilities:
Interest sensitive reserves$372,492 $369,454 $369,026 $368,870 $372,594 
Other insurance reserves81,706 86,094 83,905 80,819 82,944 
Separate account liabilities612,338 645,881 525,582 599,203 616,381 
Allocated equity, excluding AOCI378,198 394,408 328,408 325,330 324,166 
Rollforward of separate account balances:
Beginning separate account balance$625,177 $612,338 $645,881 $525,582 $599,203 
Net premiums and transfers1,208 3,502 4,313 3,466 (771)
Net investment income (loss)1,721 44,460 (107,413)86,556 37,130 
Charges, benefits and surrenders(15,768)(14,419)(17,199)(16,401)(19,181)
Ending separate account balance$612,338 $645,881 $525,582 $599,203 $616,381 
Other data:
Number of direct contracts - variable annuity8,810 8,676 8,543 8,407 8,260 
Number of direct policies - variable universal life33,787 33,383 32,943 32,618 32,298 
Direct face amounts - variable universal life$4,158,021 $4,117,248 $4,043,188 $4,010,324 $3,971,325 



11



FBL Financial Group, Inc.
Deferred Acquisition Costs by Segment
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
 (Dollars in thousands)
Annuity
Balance - beginning of period$93,898 $88,266 $88,295 $88,257 $87,622 
Cumulative effect of change in accounting principle related to current expected credit loss— — 286 —  
Capitalization:
    Commissions2,291 2,729 2,110 1,394 1,709 
    Expenses302 247 252 126 190 
         Total capitalization2,593 2,976 2,362 1,520 1,899 
Amortization - adjusted operating basis, before impact of unlocking(3,471)(2,844)(2,730)(2,463)(2,245)
Amortization - unlocking, adjusted operating basis(4,863)— — — (1,132)
Amortization - realized gains/losses on investments and unrealized gains/losses on derivatives and equities109 (103)44 308 960 
Balance - end of period$88,266 $88,295 $88,257 $87,622 $87,104 
Life Insurance
Balance - beginning of period$316,309 $323,609 $341,143 $346,585 $350,092 
Cumulative effect of change in accounting principle related to current expected credit loss— — 79 —  
Capitalization:
    Commissions4,243 8,160 4,353 4,641 4,298 
    Expenses2,367 2,494 2,380 2,059 1,850 
    Deferral of sales inducements111 1,517 241 284 81 
         Total capitalization6,721 12,171 6,974 6,984 6,229 
Amortization - adjusted operating basis, before impact of unlocking(3,206)(4,226)(2,514)(3,135)(2,895)
Amortization - unlocking, adjusted operating basis3,842 10,000 — — (6,624)
Amortization - realized gains/losses on investments and unrealized gains/losses on derivatives and equities(57)(411)903 (342)(26)
Balance - end of period$323,609 $341,143 $346,585 $350,092 $346,776 
Corporate and Other
Balance - beginning of period$62,499 $60,346 $60,245 $55,656 $55,912 
Cumulative effect of change in accounting principle related to current expected credit loss— — 105 —  
Capitalization:
    Commissions77 39 59 40  
    Deferral of sales inducements25 — 4 
         Total capitalization79 64 59 46 4 
Amortization - adjusted operating basis, before impact of unlocking(1,771)(9)(5,132)620 15 
Amortization - unlocking, adjusted operating basis(109)— — — (99)
Amortization - realized gains/losses on investments and unrealized gains/losses on derivatives and equities(352)(156)379 (410)(451)
Balance - end of period$60,346 $60,245 $55,656 $55,912 $55,381 


12



FBL Financial Group, Inc.
Deferred Acquisition Costs by Segment (Continued)
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
 (Dollars in thousands)
Total
Balance - beginning of period$472,706 $472,221 $489,683 $490,498 $493,626 
Cumulative effect of change in accounting principle related to current expected credit loss— — 470 —  
Capitalization:
    Commissions6,611 10,928 6,522 6,075 6,007 
    Expenses2,669 2,741 2,632 2,185 2,040 
    Deferral of sales inducements113 1,542 241 290 85 
         Total capitalization9,393 15,211 9,395 8,550 8,132 
Amortization - adjusted operating basis, before impact of unlocking(8,448)(7,079)(10,376)(4,978)(5,125)
Amortization - unlocking, adjusted operating basis(1,130)10,000 — — (7,855)
Amortization - realized gains/losses on investments and unrealized gains/losses on derivatives and equities(300)(670)1,326 (444)483 
Balance - end of period472,221 489,683 490,498 493,626 489,261 
Impact of unrealized gains in AOCI (219,109)(200,227)(152,526)(262,054)(288,239)
Deferred acquisition costs$253,112 $289,456 $337,972 $231,572 $201,022 


13



FBL Financial Group, Inc.
Impact of Unlocking on Pre-tax Adjusted Operating Income
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
 (Dollars in thousands)
Annuity Segment
Amortization of deferred sales inducements reported in interest sensitive product benefits$(195)$— $— $— $57 
Amortization of deferred acquisition costs(4,668)— — — (1,189)
Changes in reserves reported in interest sensitive product benefits— — — — 5,358 
Increase (decrease) to pre-tax adjusted operating income$(4,863)$— $— $— $4,226 
Life Segment
Amortization of unearned revenue reserve reported in interest sensitive product charges and other income$(386)$— $— $— $3,772 
Amortization of deferred sales inducements reported in interest sensitive product benefits45 — — — (1,207)
Amortization of deferred sales inducements reported in traditional life insurance benefits69 183 — — 138 
Amortization of deferred acquisition costs3,728 9,817 — — (5,556)
Changes in reserves reported in interest sensitive product benefits(1,062)— — — (7,270)
Increase (decrease) to pre-tax adjusted operating income $2,394 $10,000 $— $— $(10,123)
Corporate and Other Segment
Amortization of unearned revenue reserve reported in interest sensitive product charges$(94)$— $— $— $(62)
Amortization of deferred sales inducements reported in interest sensitive product benefits26 — — — 51 
Amortization of deferred acquisition costs(135)— — — (150)
Changes in reserves reported in interest sensitive product benefits— — — (659)
Decrease to pre-tax adjusted operating income $(201)$— $— $— $(820)
Total impact of unlocking on pre-tax adjusted operating income$(2,670)$10,000 $— $— $(6,717)

14



FBL Financial Group, Inc.
Collected Premiums (1)
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
 (Dollars in thousands)
Annuity
Individual:
Fixed rate:
First year$13,313 $10,489 $5,370 $4,465 $13,866 
Renewal11,644 13,428 17,483 14,072 8,888 
Total fixed rate24,957 23,917 22,853 18,537 22,754 
Index annuity30,293 41,177 32,641 16,436 20,647 
Total individual55,250 65,094 55,494 34,973 43,401 
Group826 1,643 2,605 832 1,862 
Total Annuity56,076 66,737 58,099 35,805 45,263 
Life Insurance
Direct:
Universal life:
First year6,571 7,129 8,106 5,870 6,336 
Renewal21,214 22,173 24,512 24,176 24,121 
Total universal life27,785 29,302 32,618 30,046 30,457 
Whole life:
First year1,834 2,335 1,789 1,882 2,141 
Renewal22,016 23,273 23,379 23,205 21,054 
Total whole life23,850 25,608 25,168 25,087 23,195 
Term life and other:
First year2,656 2,811 2,835 3,005 2,855 
Renewal26,798 27,382 28,302 28,329 27,636 
Total term life and other29,454 30,193 31,137 31,334 30,491 
Total direct life insurance81,089 85,103 88,923 86,467 84,143 
Reinsurance(6,046)(6,818)(6,288)(7,994)(6,477)
Total Life Insurance75,043 78,285 82,635 78,473 77,666 
Corporate and Other
Variable, net of reinsurance10,982 10,824 13,113 11,583 10,192 
Accident and health, net of reinsurance41 179 179 71 43 
Total Corporate and Other11,023 11,003 13,292 11,654 10,235 
Total collected premiums$142,142 $156,025 $154,026 $125,932 $133,164 

(1)Collected premiums is a measure of sales production not recognized under GAAP.


15



FBL Financial Group, Inc.
Other Information
September 30,December 31,March 31,June 30,September 30,
20192019202020202020
(Dollars in thousands, except per share data)
Capitalization:
Short-term debt$16,000 $— $10,000 $— $ 
Trust preferred securities, due 204797,000 97,000 97,000 97,000 97,000 
Total debt113,000 97,000 107,000 97,000 97,000 
Preferred stock3,000 3,000 3,000 3,000 3,000 
Common stockholders' equity, excluding AOCI1,105,035 1,127,993 1,072,858 1,083,177 1,086,142 
Total capitalization, excluding AOCI1,221,035 1,227,993 1,182,858 1,183,177 1,186,142 
Accumulated other comprehensive income406,175 354,764 258,422 481,626 529,087 
Total capitalization, including AOCI$1,627,210 $1,582,757 $1,441,280 $1,664,803 $1,715,229 
Common shares outstanding24,662,308 24,664,215 24,642,190 24,544,001 24,394,523 
Book Value per Share:
Excluding AOCI$44.81 $45.73 $43.54 $44.13 $44.52 
Including AOCI61.28 60.12 54.02 63.76 66.21 
Debt-to-Capital Ratio:
Excluding AOCI9.3 %7.9 %9.0 %8.2 %8.2 %
Including AOCI6.9 6.1 7.4 5.8 5.7 
Debt-to-Capital Ratio with 50% Credit for Trust Preferred Securities:
Excluding AOCI5.3 %3.9 %4.9 %4.1 %4.1 %
Including AOCI4.0 3.1 4.1 2.9 2.8 
Class A Common Ownership:
Iowa Farm Bureau Federation59.9 %59.9 %59.9 %60.2 %60.5 %
Public40.1 40.1 40.1 39.8 39.5 
100.0 %100.0 %100.0 %100.0 %100.0 %

16



FBL Financial Group, Inc.
Other Information (Continued)
September 30,December 31,March 31,June 30,September 30,
20192019202020202020
Investment by Type:
Fixed maturity securities58.2 %57.9 %57.1 %58.3 %58.6 %
Residential mortgage-backed7.4 7.4 7.3 7.3 7.6 
Commercial mortgage-backed11.6 11.5 12.7 12.1 12.0 
Other asset-backed7.6 7.9 7.8 8.0 7.9 
Mortgage loans11.1 11.2 11.0 10.5 10.1 
Equity securities1.1 1.1 1.0 1.0 1.0 
Other3.0 3.0 3.1 2.8 2.8 
Quality of Fixed Maturity Securities:
AAA, AA, A68.3 %68.2 %69.3 %67.9 %67.6 %
BBB29.5 29.5 28.1 28.5 28.8 
BB1.5 1.6 1.9 2.7 2.7 
<BB0.7 0.7 0.7 0.9 0.9 
Agent Strength Totals:
Full time agents and agency managers:
8-state Farm Bureau Property & Casualty channel 1,200 1,197 1,167 1,109 1,040 
6 life partner states and Colorado655 661 664 661 663 
1,855 1,858 1,831 1,770 1,703 
FBL Financial Group, Inc.
Income Taxes
(Dollars in thousands)
Q3 2019Q4 2019Q1 2020Q2 2020Q3 2020
Income tax benefit (expense) $(1,642)$(6,500)$3,081 $(6,085)$(2,883)
Tax benefit (expense) on equity income(212)(275)(61)197 (74)
Net income adjustments:
Income tax offset on net income adjustments(23)(27)(5,889)255 324 
Income taxes on adjusted operating income$(1,877)$(6,802)$(2,869)$(5,633)$(2,633)
Income taxes on adjusted operating income before benefits of LIHTC investments$(2,727)$(7,653)$(3,752)$(6,557)$(3,493)
Amounts related to LIHTC investments850 851 883 924 860 
Income taxes on adjusted operating income$(1,877)$(6,802)$(2,869)$(5,633)$(2,633)

17

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Document and Entity Information Document
Nov. 05, 2020
Entity Information [Line Items]  
Document Type 8-K
Document Period End Date Nov. 05, 2020
Entity File Number 1-11917
Entity Registrant Name FBL Financial Group, Inc.
Entity Incorporation, State or Country Code IA
Entity Tax Identification Number 42-1411715
Entity Address, Address Line One 5400 University Avenue,
Entity Address, City or Town West Des Moines,
Entity Address, State or Province IA
Entity Address, Postal Zip Code 50266-5997
City Area Code (515)
Local Phone Number 225-5400
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Title of 12(b) Security Class A Common Stock, without par value
Trading Symbol FFG
Security Exchange Name NYSE
Entity Emerging Growth Company false
Entity Central Index Key 0001012771
Amendment Flag false
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