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DAI-ICHI MERGER (Tables)
9 Months Ended
Sep. 30, 2016
Business Combinations [Abstract]  
Summary of Fair Values of the Net Assets Acquired
The following table summarizes the fair value of assets acquired and liabilities assumed at the acquisition date:
 
 
Fair Value
 
As of
 
February 1, 2015
 
(Dollars In Thousands)
Assets
 

Fixed maturities
$
38,342,948

Equity securities
699,081

Mortgage loans
5,580,229

Investment real estate
7,456

Policy loans
1,751,872

Other long-term investments
657,346

Short-term investments
311,236

Total investments
47,350,168

Cash
378,903

Accrued investment income
483,691

Accounts and premiums receivable
104,260

Reinsurance receivables
5,538,637

Value of business acquired
1,278,064

Goodwill
735,712

Other intangibles
683,000

Property and equipment
102,736

Other assets
224,555

Income tax receivable
50,117

Assets related to separate accounts
 

Variable annuity
12,970,587

Variable universal life
819,188

Total assets
$
70,719,618

Liabilities
 

Future policy and benefit claims
$
30,195,397

Unearned premiums
622,278

Total policy liabilities and accruals
30,817,675

Stable value product account balances
1,932,277

Annuity account balances
10,941,661

Other policyholders’ funds
1,388,083

Other liabilities
1,533,666

Deferred income taxes
1,861,632

Non-recourse funding obligations
1,895,636

Repurchase program borrowings
50,000

Liabilities related to separate accounts
 

Variable annuity
12,970,587

Variable universal life
819,188

Total liabilities
64,210,405

Net assets acquired
$
6,509,213