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FAIR VALUE MEASUREMENTS (Detail) - Financial Instruments Not Carried at Fair Value (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2011
Dec. 31, 2010
Fixed maturities, held to maturity $ 2,668,978 $ 2,728,335
Other investments – structured transactions 323,700 327,700
Deposit Liabilities 1,608,108 1,684,606
Notes payable and debt 2,275,327 2,457,003
Redeemable series C preference ordinary shares 0 71,900
Carrying Value [Member]
   
Fixed maturities, held to maturity 2,668,978 2,728,335
Other investments – structured transactions 323,705 327,686
Financial Assets 2,992,683 3,056,021
Deposit Liabilities 1,608,108 1,684,606
Notes payable and debt 2,275,327 2,457,003
Financial Liabilities 3,883,435 4,141,609
Redeemable series C preference ordinary shares 0 71,900
Fair Value [Member]
   
Fixed maturities, held to maturity 2,895,668 2,742,626
Other investments – structured transactions 297,124 317,524
Financial Assets 3,192,792 3,060,150
Deposit Liabilities 1,809,812 1,737,107
Notes payable and debt 2,340,148 2,439,328
Financial Liabilities 4,149,960 4,176,435
Redeemable series C preference ordinary shares $ 0 $ 61,115