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DERIVATIVE FINANCIAL INSTRUMENTS (Details) (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Notional amount and fair value of the entity's derivative financial instruments      
Credit obligations $ 0    
Realized investment gains (losses) - derivatives, gross (227,816,000) (155,005,000) [1] (144,438,000) [1]
Notional Amount, Other long-term investments 7,567,811,000 5,948,784,000  
Fair Value, Other long-term investments 130,428,000 54,645,000  
Notional Amount, Other liabilities 9,672,554,000 7,321,905,000  
Fair Value, Other liabilities 657,874,000 455,710,000  
PLC
     
Notional amount and fair value of the entity's derivative financial instruments      
Number of portfolio maintenance agreements 2    
Derivatives not designated as hedging instruments
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross (102,832,000) (5,823,000) (64,021,000)
Realized investment gains (losses) - derivatives, gross (227,816,000) (155,005,000) (144,438,000)
Derivatives not designated as hedging instruments | PLC
     
Notional amount and fair value of the entity's derivative financial instruments      
Notional Amount, Other long-term investments 1,404,750,000 796,713,000  
Fair Value, Other long-term investments 17,064,000 6,400,000  
Derivatives not designated as hedging instruments | Interest rate futures
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross 21,138,000 164,221,000 (11,778,000)
Notional Amount, Other long-term investments   615,445,000  
Fair Value, Other long-term investments   6,393,000  
Notional Amount, Other liabilities 893,476,000 270,019,000  
Fair Value, Other liabilities 13,970,000 1,148,000  
Derivatives not designated as hedging instruments | Equity futures
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross (50,797,000) (30,061,000) (42,258,000)
Notional Amount, Other long-term investments 147,581,000 49,631,000  
Fair Value, Other long-term investments 595,000 837,000  
Notional Amount, Other liabilities 152,364,000 189,765,000  
Fair Value, Other liabilities 3,316,000 1,454,000  
Derivatives not designated as hedging instruments | Currency future
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross (2,763,000) 2,977,000  
Notional Amount, Other long-term investments 15,944,000 57,912,000  
Fair Value, Other long-term investments 784,000 976,000  
Notional Amount, Other liabilities 131,979,000 14,348,000  
Fair Value, Other liabilities 1,901,000 126,000  
Derivatives not designated as hedging instruments | Volatility futures
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross (132,000)    
Derivatives not designated as hedging instruments | Volatility swaps
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross (11,792,000) (239,000) (2,433,000)
Notional Amount, Other long-term investments 500,000    
Fair Value, Other long-term investments 406,000    
Notional Amount, Other liabilities 2,675,000    
Fair Value, Other liabilities 12,198,000    
Derivatives not designated as hedging instruments | Equity options
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross (37,370,000) (15,051,000) (1,824,000)
Notional Amount, Other long-term investments 573,493,000 440,000,000  
Fair Value, Other long-term investments 61,833,000 19,396,000  
Derivatives not designated as hedging instruments | Interest rate swaptions
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross (2,260,000)    
Notional Amount, Other long-term investments 400,000,000    
Fair Value, Other long-term investments 11,370,000    
Derivatives not designated as hedging instruments | Interest rate swaps
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross 3,264,000 7,718,000  
Realized investment gains (losses) - derivatives, gross (87,000) (11,264,000) (8,427,000)
Notional Amount, Other long-term investments 355,000,000 125,000,000  
Fair Value, Other long-term investments 6,532,000 5,118,000  
Notional Amount, Other liabilities 400,000,000 25,000,000  
Fair Value, Other liabilities 10,025,000 3,064,000  
Derivatives not designated as hedging instruments | Credit default swaps
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross   (7,851,000)  
Net settlements received   2,500,000  
Realized loss on terminated contracts   10,400,000  
Derivatives not designated as hedging instruments | Embedded derivative - Modco reinsurance treaties
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives, gross (132,816,000) (134,340,000) (67,989,000)
Notional Amount, Other long-term investments 30,244,000 30,001,000  
Fair Value, Other long-term investments 1,330,000 2,038,000  
Notional Amount, Other liabilities 2,655,134,000 2,761,686,000  
Fair Value, Other liabilities 411,907,000 279,799,000  
Derivatives not designated as hedging instruments | Embedded derivative - GMWB
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives related to variable annuity contracts, gross (22,120,000) (127,537,000) (5,728,000)
Notional Amount, Other long-term investments 1,640,075,000 826,790,000  
Fair Value, Other long-term investments 30,261,000 10,665,000  
Notional Amount, Other liabilities 5,253,961,000 3,741,688,000  
Fair Value, Other liabilities 199,530,000 157,813,000  
Derivatives not designated as hedging instruments | Interest rate caps
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives, gross (2,666,000) (2,801,000)  
Notional Amount, Other long-term investments 3,000,000,000 3,000,000,000  
Fair Value, Other long-term investments   2,666,000  
Derivatives not designated as hedging instruments | Other
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives, gross (79,000) (477,000) 799,000
Notional Amount, Other long-term investments 224,000 224,000  
Fair Value, Other long-term investments 253,000 155,000  
Derivatives not designated as hedging instruments | Portfolio maintenance agreements
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives, gross 500,000    
Derivatives not designated as hedging instruments | Derivatives with PLC
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives, gross 10,664,000 (300,000) (4,800,000)
Derivatives not designated as hedging instruments | YRT premium support arrangement
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives, gross 600,000 0  
Derivatives not designated as hedging instruments | Interest Support Agreement
     
Notional amount and fair value of the entity's derivative financial instruments      
Realized investment gains (losses) - derivatives, gross 9,600,000 (300,000)  
Cash flow hedges | Inflation
     
Notional amount and fair value of the entity's derivative financial instruments      
Notional Amount, Other long-term investments   7,068,000  
Fair Value, Other long-term investments   1,000  
Notional Amount, Other liabilities 182,965,000 244,399,000  
Fair Value, Other liabilities 5,027,000 8,863,000  
Cash flow hedges | Interest rate swaps
     
Notional amount and fair value of the entity's derivative financial instruments      
Notional Amount, Other liabilities   75,000,000  
Fair Value, Other liabilities   $ 3,443,000  
[1] Recast from previously reported information