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Fair Value of Financial Instruments (Carrying Amounts and Estimated Fair Values of Financial Instruments) (Details) (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2014
Dec. 31, 2013
Assets:    
Arbitrage trading account $ 681,077 $ 522,128
Loans receivable 376,198 346,746
Carrying Value
   
Assets:    
Fixed maturity securities 11,986,477 11,616,844
Equity securities available for sale 322,773 283,338
Arbitrage trading account 681,077 522,128
Loans receivable 373,166 343,583
Cash and cash equivalents 643,575 839,738
Trading account receivables from brokers and clearing organizations 74,786 304,936
Due from broker 0 17,735
Due from broker fair value 42,095 8,273
Liabilities:    
Trading account securities sold but not yet purchased 91,118 162,278
Junior subordinated debentures 339,865 339,800
Senior notes and other debt 1,692,690 1,692,442
Fair Value
   
Assets:    
Fixed maturity securities 12,004,315 11,631,744
Equity securities available for sale 322,773 283,338
Arbitrage trading account 681,077 522,128
Loans receivable 376,198 346,746
Cash and cash equivalents 643,575 839,738
Trading account receivables from brokers and clearing organizations 74,786 304,936
Due from broker 0 17,735
Liabilities:    
Trading account securities sold but not yet purchased 91,118 162,278
Junior subordinated debentures 301,560 288,540
Senior notes and other debt $ 1,897,820 $ 1,861,898