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Consolidated Statements of Cash Flows - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2018
Operating activities      
Net income (loss) $ 1,428.5 $ 1,444.1 $ 1,553.7
Adjustments to reconcile net income to net cash provided by operating activities:      
Net realized capital (gains) losses (302.6) 52.8 75.4
Depreciation and amortization expense 251.9 226.8 205.1
Amortization of deferred acquisition costs and contract costs 412.9 371.4 277.3
Additions to deferred acquisition costs and contract costs (499.9) (515.5) (443.4)
Stock-based compensation 87.6 82.6 77.4
(Income) loss from equity method investments, net of dividends received (10.6) (111.9) (76.0)
Changes in:      
Accrued investment income (24.0) (50.4) (28.7)
Net cash flows for trading securities and equity securities with operating intent 144.2 (53.8) (133.7)
Premiums due and other receivables 16.4 (247.6) 37.8
Contractholder and policyholder liabilities and dividends 1,591.2 3,599.9 3,610.2
Current and deferred income taxes (benefits) 442.5 211.2 274.7
Real estate acquired through operating activities (16.4) (64.7) (89.2)
Real estate sold through operating activities 195.5 136.1 133.6
Other assets and liabilities (89.0) 401.1 (282.0)
Other 110.4 11.1 (35.7)
Net adjustments 2,310.1 4,049.1 3,602.8
Net cash provided by (used in) operating activities 3,738.6 5,493.2 5,156.5
Investing activities      
Fixed maturities available-for-sale and equity securities with intent to hold: Purchases (15,713.4) (14,137.1) (13,909.8)
Fixed maturities available-for-sale and equity securities with intent to hold: Sales 3,043.9 2,397.4 3,813.1
Fixed maturities available-for-sale and equity securities with intent to hold: Maturities 8,819.5 7,064.2 6,217.6
Mortgage loans acquired or originated (3,249.5) (3,487.7) (3,447.5)
Mortgage loans sold or repaid 2,477.2 2,335.9 2,228.4
Real estate acquired (230.6) (127.5) (88.1)
Real estate sold 2.3 96.3 63.5
Net (purchases) sales of property and equipment (108.8) (132.4) (92.3)
Purchase of business or interests in subsidiaries, net of cash acquired   (1,208.5) (184.7)
Net change in other investments (66.4) (489.1) (302.7)
Net cash provided by (used in) investing activities (5,025.8) (7,688.5) (5,702.5)
Financing activities      
Issuance of common stock 42.8 37.7 64.0
Acquisition of treasury stock (307.0) (281.0) (671.6)
Payments for financing element derivatives (30.9) (26.9) (65.9)
Purchase of subsidiary shares from noncontrolling interest (1.4) (1.7) (31.1)
Dividends to common stockholders (614.5) (606.0) (598.6)
Issuance of long-term debt 608.9 504.9 80.8
Principal repayments of long-term debt (65.8) (32.2) (1.3)
Net proceeds from (repayments of) short-term borrowings (12.6) 57.5 8.5
Investment contract deposits 10,284.4 9,200.0 8,308.8
Investment contract withdrawals (8,852.7) (7,747.7) (6,589.6)
Net increase (decrease) in banking operation deposits 569.7 623.4 553.0
Other 0.2 5.7 (4.3)
Net cash provided by (used in) financing activities 1,621.1 1,733.7 1,052.7
Net increase (decrease) in cash and cash equivalents 333.9 (461.6) 506.7
Cash and cash equivalents at beginning of period 2,515.9 2,977.5 2,470.8
Cash and cash equivalents at end of period 2,849.8 2,515.9 2,977.5
Supplemental information:      
Cash paid for interest 162.8 157.7 150.2
Cash paid for (received from) income taxes (172.0) (8.5) $ (96.2)
Supplemental disclosure of non-cash activities:      
Lease assets established upon adoption of accounting guidance   168.8  
Lease liabilities established upon adoption of accounting guidance   164.0  
Assets received in kind from pension risk transfer transactions $ 1,325.2 $ 1,225.8