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Statements Of Cash Flows (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2012
Mar. 31, 2011
CASH FLOWS FROM OPERATING ACTIVITIES:    
Net Income $ 372,347 $ 121,521
Adjustments to reconcile net income to net cash provided by operating activities:    
Policy charges and fee income 3,702 18,618
Realized investment (gains) losses, net 36,083 1,859
Amortization and depreciation (2,394) (1,052)
Interest credited to policyholders' account balances (87,455) 66,484
Change in:    
Future policy benefit reserves 33,743 54,139
Accrued investment income (585) (805)
Trading account assets (113) 184
Net receivable (payable) to affiliates 43,075 (11,321)
Deferred sales inducements (15,951) (22,196)
Deferred policy acquisition costs (239,243) 8,074
Income taxes (receivable) payable 164,075 78,502
Reinsurance recoverable (66,629) (55,921)
Other, net (28,606) (14,229)
Cash Flows From Operating Activities 212,049 243,857
Proceeds from the sale/maturity of:    
Fixed maturities, available-for-sale 432,461 404,338
Commercial mortgage and other loans 4,047 19,971
Trading account assets 2,206 40,301
Policy loans 285 83
Other long-term investments 136 165
Short-term investments 764,353 837,188
Payments for the purchase/origination of:    
Fixed maturities, available-for-sale (61,262) (33,276)
Equity securities, available-for-sale   (2,500)
Commercial mortgage and other loans (12,957) (22,800)
Trading account assets (1,823) (760)
Policy loans (17) (188)
Other long-term investments (19,589) (2,313)
Short-term investments (685,233) (987,754)
Notes receivable from parent and affiliates, net 5,980 6,726
Other, net (839) (103)
Cash Flows From Investing Activities 427,748 259,078
CASH FLOWS USED IN FINANCING ACTIVITIES:    
Contributed capital (including parent/child asset transfer) 10,641   
Cash collateral for loaned securities (56,564) (48,763)
Securities sold under agreement to repurchase   59,249
Net increase in short-term borrowing 13 39,633
Drafts outstanding 734 (7,488)
Policyholders' account balances    
Deposits 178,058 329,901
Withdrawals (772,901) (873,867)
Cash Flows Used in Financing Activities (640,019) (501,335)
Net (decrease) increase in cash and cash equivalents (222) 1,600
Cash and cash equivalents, beginning of period 8,861 487
CASH AND CASH EQUIVALENTS, END OF PERIOD $ 8,639 $ 2,087