XML 93 R79.htm IDEA: XBRL DOCUMENT v3.3.1.900
INVESTMENT OPERATIONS (Details 3) - USD ($)
1 Months Ended 11 Months Ended 12 Months Ended
Jan. 31, 2015
Dec. 31, 2015
Dec. 31, 2014
Dec. 31, 2013
Successor        
INVESTMENT OPERATIONS        
Other-than-temporary impairments of investments recorded   $ 28,659,000    
Other-than-temporary impairments of investments recorded in earnings   26,993,000    
Other-than-temporary impairments of investments recorded in other comprehensive income (loss)   1,666,000    
Successor | Fixed maturities        
INVESTMENT OPERATIONS        
Other-than-temporary impairments related to fixed maturities or equity securities that the entity intended to sell or expected to be required to sell   0    
Credit losses on debt securities        
Beginning balance   0    
Additions for newly impaired securities   22,761,000    
Additions for previously impaired securities   0    
Reductions for previously impaired securities due to a change in expected cash flows   0    
Reductions for previously impaired securities that were sold in the current period   0    
Other   0    
Ending balance $ 0 22,761,000    
Successor | Equity securities        
INVESTMENT OPERATIONS        
Other-than-temporary impairments related to fixed maturities or equity securities that the entity intended to sell or expected to be required to sell   0    
Predecessor        
INVESTMENT OPERATIONS        
Other-than-temporary impairments of investments recorded 636,000   $ 2,589,000 $ 10,941,000
Other-than-temporary impairments of investments recorded in earnings 481,000   7,275,000 22,400,000
Other-than-temporary impairments of investments recorded in other comprehensive income (loss) 155,000   (4,686,000) (11,506,000)
Predecessor | Fixed maturities        
INVESTMENT OPERATIONS        
Other-than-temporary impairments of investments recorded 600,000     7,600,000
Other-than-temporary impairments related to fixed maturities or equity securities that the entity intended to sell or expected to be required to sell 0   0 0
Credit losses on debt securities        
Beginning balance 15,463,000 $ 15,684,000 41,674,000 121,237,000
Additions for newly impaired securities 0   0 3,516,000
Additions for previously impaired securities 221,000   2,263,000 12,066,000
Reductions for previously impaired securities due to a change in expected cash flows 0   (28,474,000) (87,908,000)
Reductions for previously impaired securities that were sold in the current period 0   0 (7,237,000)
Other 0   0 0
Ending balance 15,684,000   15,463,000 41,674,000
Predecessor | Equity securities        
INVESTMENT OPERATIONS        
Other-than-temporary impairments of investments recorded       3,300,000
Other-than-temporary impairments related to fixed maturities or equity securities that the entity intended to sell or expected to be required to sell $ 0   $ 0 $ 0