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FAIR VALUE OF FINANCIAL INSTRUMENTS (Details 5) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Assets:    
Mortgage loans on real estate $ 5,294,729 $ 5,493,492
Policy loans 1,778,379 1,815,744
Fixed maturities, held-to-maturity 400,000 365,000
Liabilities:    
Stable value product account balances 2,435,995 2,559,552
Annuity account balances 11,071,468 11,125,253
Debt:    
Non-recourse funding obligations 1,524,426 1,495,448
Golden Gate V
   
Debt:    
Non-recourse funding obligations 400,000  
Carrying Amounts
   
Assets:    
Mortgage loans on real estate 5,294,729 5,493,492
Policy loans 1,778,379 1,815,744
Fixed maturities, held-to-maturity 400,000 365,000
Liabilities:    
Stable value product account balances 2,435,995 2,559,552
Annuity account balances 11,071,468 11,125,253
Debt:    
Non-recourse funding obligations 1,524,426 1,495,448
Carrying Amounts | Golden Gate V
   
Debt:    
Non-recourse funding obligations 400,000 365,000
Fair Values | Golden Gate V
   
Debt:    
Non-recourse funding obligations 427,100 321,500
Fair Values | Level 3
   
Assets:    
Mortgage loans on real estate 5,821,043 5,956,133
Policy loans 1,778,379 1,815,744
Fixed maturities, held-to-maturity 451,382 335,676
Liabilities:    
Stable value product account balances 2,456,141 2,566,209
Annuity account balances 10,665,435 10,639,637
Debt:    
Non-recourse funding obligations $ 1,593,615 $ 1,272,425