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Prior Period Consolidated Financial Statements - Consolidated Balance Sheet (Unaudited) (Details) - USD ($)
$ in Millions
Jun. 30, 2023
Dec. 31, 2022
Jun. 30, 2022
Dec. 31, 2021
Assets        
Total investments $ 6,669.6 $ 6,587.6    
Cash 23.1 42.8 $ 50.1 $ 133.7
Deferred policy acquisition costs 332.9 330.6    
Reinsurance balances receivable 453.6 468.0    
Deposit asset on reinsurance 2,514.9 2,516.6    
Intangible assets 177.7 185.2    
Goodwill 54.3 54.3    
Other assets 347.3 328.7    
Separate Account variable annuity assets 3,098.5 2,792.3    
Total assets 13,671.9 13,306.1    
Policy liabilities        
Investment contract and policy reserves   0.0    
Future policy benefit reserves 1,740.9 1,718.0    
Policyholders' account balances 5,206.2 5,260.6    
Unpaid claims and claim expenses 597.8 564.0    
Unearned premiums 272.5 266.1    
Total policy liabilities 7,817.4 7,808.7    
Other policyholder funds 900.5 809.3    
Other liabilities 255.5 299.5    
Short-term debt 249.0 249.0    
Long-term debt 249.1 249.0    
Separate Account variable annuity liabilities 3,098.5 2,792.3    
Total liabilities 12,570.0 12,207.8    
Preferred stock 0.0 0.0    
Common stock 0.1 0.1    
Additional paid-in capital 505.7 502.6    
Retained earnings 1,478.6 1,512.4    
Accumulated other comprehensive income (loss), net of tax:        
Net unrealized investment losses on fixed maturity securities (393.7) (449.6)    
Net reserve remeasurements attributable to discount rates 42.9 59.0    
Net funded status of benefit plans (8.8) (8.8)    
Treasury stock, at cost (522.9) (517.4)    
Total shareholders’ equity 1,101.9 1,098.3 1,197.2  
Total liabilities and shareholders’ equity $ 13,671.9 13,306.1    
Previously Reported        
Assets        
Total investments   6,587.6    
Cash   42.8 50.1 133.7
Deferred policy acquisition costs   433.1    
Reinsurance balances receivable   506.2    
Deposit asset on reinsurance   2,516.6    
Intangible assets   185.2    
Goodwill   54.3    
Other assets   328.7    
Separate Account variable annuity assets   2,792.3    
Total assets   13,446.8    
Policy liabilities        
Investment contract and policy reserves   6,968.0    
Future policy benefit reserves      
Unpaid claims and claim expenses   585.1    
Unearned premiums   264.2    
Total policy liabilities   7,817.3    
Other policyholder funds   954.0    
Other liabilities   297.0    
Short-term debt   249.0    
Long-term debt   249.0    
Separate Account variable annuity liabilities   2,792.3    
Total liabilities   12,358.6    
Preferred stock   0.0    
Common stock   0.1    
Additional paid-in capital   502.6    
Retained earnings   1,468.6    
Accumulated other comprehensive income (loss), net of tax:        
Net unrealized investment losses on fixed maturity securities   (356.9)    
Net reserve remeasurements attributable to discount rates   0.0    
Net funded status of benefit plans   (8.8)    
Treasury stock, at cost   (517.4)    
Total shareholders’ equity   1,088.2 1,260.1  
Total liabilities and shareholders’ equity   13,446.8    
Effect of the Adoption of ASU 2018-12        
Assets        
Total investments   0.0    
Cash   0.0 0.0 $ 0.0
Deferred policy acquisition costs   (102.5)    
Reinsurance balances receivable   (38.2)    
Deposit asset on reinsurance   0.0    
Intangible assets   0.0    
Goodwill   0.0    
Other assets   0.0    
Separate Account variable annuity assets   0.0    
Total assets   (140.7)    
Policy liabilities        
Investment contract and policy reserves   (151.9)    
Future policy benefit reserves      
Unpaid claims and claim expenses   (2.9)    
Unearned premiums   1.9    
Total policy liabilities   (152.9)    
Other policyholder funds   (0.4)    
Other liabilities   2.5    
Short-term debt   0.0    
Long-term debt   0.0    
Separate Account variable annuity liabilities   0.0    
Total liabilities   (150.8)    
Preferred stock   0.0    
Common stock   0.0    
Additional paid-in capital   0.0    
Retained earnings   43.8    
Accumulated other comprehensive income (loss), net of tax:        
Net unrealized investment losses on fixed maturity securities   (92.7)    
Net reserve remeasurements attributable to discount rates   59.0    
Net funded status of benefit plans   0.0    
Treasury stock, at cost   0.0    
Total shareholders’ equity   10.1 $ (62.9)  
Total liabilities and shareholders’ equity   (140.7)    
Reclassifications        
Assets        
Total investments   0.0    
Cash   0.0    
Deferred policy acquisition costs   0.0    
Reinsurance balances receivable   0.0    
Deposit asset on reinsurance   0.0    
Intangible assets   0.0    
Goodwill   0.0    
Other assets   0.0    
Separate Account variable annuity assets   0.0    
Total assets   0.0    
Policy liabilities        
Investment contract and policy reserves   (6,816.1)    
Future policy benefit reserves   1,718.0    
Policyholders' account balances   5,260.6    
Unpaid claims and claim expenses   (18.2)    
Unearned premiums   0.0    
Total policy liabilities   144.3    
Other policyholder funds   (144.3)    
Other liabilities   0.0    
Short-term debt   0.0    
Long-term debt   0.0    
Separate Account variable annuity liabilities   0.0    
Total liabilities   0.0    
Preferred stock   0.0    
Common stock   0.0    
Additional paid-in capital   0.0    
Retained earnings   0.0    
Accumulated other comprehensive income (loss), net of tax:        
Net unrealized investment losses on fixed maturity securities   0.0    
Net reserve remeasurements attributable to discount rates   0.0    
Net funded status of benefit plans   0.0    
Treasury stock, at cost   0.0    
Total shareholders’ equity   0.0    
Total liabilities and shareholders’ equity   $ 0.0