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FAIR VALUE OF FINANCIAL INSTRUMENTS - Estimated Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
Mar. 31, 2019
Dec. 31, 2018
Assets:    
Mortgage loans on real estate $ 7,701,465 $ 7,724,733
Policy loans 1,677,442 1,695,886
Fixed maturities, held-to-maturity 2,607,356 2,633,474
Liabilities:    
Stable value product account balances 5,527,816 5,234,731
Future policy benefits and claims 13,665,415 13,720,081
Other policyholders’ funds 1,166,378 1,128,379
Debt    
Non-recourse funding obligations 2,863,334 2,888,329
Capital lease obligations 2,800  
Capital lease obligations   1,300
Level 3 | Carrying Amounts    
Assets:    
Mortgage loans on real estate 7,701,465 7,724,733
Policy loans 1,677,442 1,695,886
Liabilities:    
Stable value product account balances 5,527,816 5,234,731
Future policy benefits and claims 1,637,741 1,671,414
Other policyholders’ funds 105,141 131,150
Debt    
Non-recourse funding obligations 2,863,334 2,888,329
Subordinated funding obligations 110,000 110,000
Level 3 | Carrying Amounts | Golden Gate and Golden Gate V    
Debt    
Non-recourse funding obligations 2,500,000 2,600,000
Level 3 | Carrying Amounts | Fixed maturities    
Assets:    
Fixed maturities, held-to-maturity 2,607,356 2,633,474
Level 3 | Fair Values    
Assets:    
Mortgage loans on real estate 7,624,622 7,447,702
Policy loans 1,677,442 1,695,886
Liabilities:    
Stable value product account balances 5,536,721 5,200,723
Future policy benefits and claims 1,644,622 1,671,434
Other policyholders’ funds 107,975 131,782
Debt    
Non-recourse funding obligations 2,907,541 2,801,399
Subordinated funding obligations 99,026 95,476
Level 3 | Fair Values | Golden Gate and Golden Gate V    
Debt    
Non-recourse funding obligations 2,600,000 2,500,000
Level 3 | Fair Values | Fixed maturities    
Assets:    
Fixed maturities, held-to-maturity $ 2,594,441 $ 2,547,210