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Schedule II Condensed Financial Information of Registrant (Tables) - Parent Company
12 Months Ended
Dec. 31, 2023
Condensed Financial Statements, Captions  
Condensed Balance Sheet of Parent Company
BALANCE SHEETS
December 31
20232022
(in millions of dollars)
Assets
Fixed Maturity Securities - at fair value (amortized cost: $656.2; $748.1)
$596.1 $657.7 
Other Long-term Investments27.0 19.3 
Short-term Investments970.9 845.8 
Investment in Subsidiaries11,663.6 10,815.7 
Deferred Income Tax118.1 114.9 
Other Assets593.6 555.5 
Total Assets$13,969.3 $13,008.9 
Liabilities and Stockholders' Equity
Liabilities
Short-term Debt$— $2.0 
Long-term Debt3,430.4 3,427.8 
Pension and Postretirement Benefits350.2 352.6 
Other Liabilities537.3 491.5 
Total Liabilities4,317.9 4,273.9 
Stockholders' Equity
Common Stock, $0.10 par
Authorized: 725,000,000 shares
Issued: 194,588,625 and 308,306,490 shares
19.4 30.8 
Additional Paid-in Capital1,547.8 2,441.0 
Accumulated Other Comprehensive Loss
(3,308.0)(3,448.3)
Retained Earnings11,431.5 13,141.3 
Treasury Stock - at cost: 1,216,528 and 110,551,977 shares
(39.3)(3,429.8)
Total Stockholders' Equity9,651.4 8,735.0 
Total Liabilities and Stockholders' Equity$13,969.3 $13,008.9 
Condensed Income Statement of Parent Company
STATEMENTS OF INCOME
Year Ended December 31
202320222021
(in millions of dollars)
Cash Dividends from Subsidiaries$1,581.1 $1,306.6 $909.8 
Non-Cash Dividends from Subsidiaries— 23.0 719.6 
Other Income90.3 81.8 53.5 
Total Revenue1,671.4 1,411.4 1,682.9 
Interest and Debt Expense194.8 188.5 185.9 
Cost Related to Early Retirement of Debt— 4.2 67.3 
Other Expenses54.2 35.6 39.1 
Total Expenses249.0 228.3 292.3 
Income of Parent Company Before Income Tax1,422.4 1,183.1 1,390.6 
Income Tax Expense (Benefit)(9.5)14.7 (24.1)
Income of Parent Company1,431.9 1,168.4 1,414.7 
Equity in Undistributed Earnings (Loss) of Subsidiaries(148.1)238.8 (433.7)
Net Income1,283.8 1,407.2 981.0 
Other Comprehensive Income, Net of Tax
140.3 1,716.3 1,145.6 
Comprehensive Income
$1,424.1 $3,123.5 $2,126.6 
Condensed Cash Flow Statement of Parent Company
STATEMENTS OF CASH FLOWS
Year Ended December 31
202320222021
(in millions of dollars)
Cash Provided by Operating Activities$1,548.0 $1,250.2 $861.0 
Cash Flows from Investing Activities
Proceeds from Sales and Maturities of Fixed Maturity Securities97.1 192.1 245.5 
Proceeds from Sales and Maturities of Other Investments23.9 7.4 20.1 
Purchase of Fixed Maturity Securities(44.5)(102.7)(2.0)
Purchase of Other Investments(23.4)(32.0)(0.9)
Net Purchases of Short-term Investments
(104.4)(209.6)(465.0)
Cash Distributions to Subsidiaries(854.5)(540.2)(300.9)
Net Purchases of Property and Equipment(113.1)(94.0)(91.3)
Cash Used by Investing Activities(1,018.9)(779.0)(594.5)
Cash Flows from Financing Activities
Short-term Debt Repayment(2.0)— — 
Issuance of Long-term Debt— 349.2 588.1 
Long-term Debt Repayment— (364.0)(500.0)
Cost Related to Early Retirement of Debt— (3.6)(62.8)
Issuance of Common Stock5.2 4.0 3.4 
Repurchase of Common Stock(250.1)(200.1)(50.0)
Dividends Paid to Stockholders(277.1)(254.2)(239.4)
Other, Net— 0.7 (1.6)
Cash Used by Financing Activities(524.0)(468.0)(262.3)
Increase in Cash$5.1 $3.2 $4.2