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Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
6 Months Ended
Jun. 30, 2013
Jun. 30, 2012
CASH FLOWS FROM OPERATING ACTIVITIES    
Net income $ 291,058 $ 135,200
Adjustments to reconcile net income to net cash provided by operating activities:    
Policy charges and fee income 7,526 5,867
Interest credited to policyholders' account balances 14,776 139,795
Realized investment (gains) losses, net 81,511 923
Amortization and depreciation 10,804 8,024
Change in:    
Future policy benefit reserves 139,943 117,159
Reinsurance recoverables (137,900) (133,202)
Accrued investment income 4,894 7,152
Payables to parent and affiliates (60,530) (20,850)
Deferred policy acquisition costs (74,037) 94,097
Income taxes payable 135,073 42,047
Deferred sales inducements (42,922) (31,471)
Other, net (20,991) (21,369)
Cash flows from (used in) operating activities 349,205 343,372
Proceeds from the sale/maturity/prepayment of:    
Fixed maturities, available-for-sale 712,921 690,623
Short-term investments 1,466,651 1,903,348
Policy loans 171 832
Commercial mortgage and other loans 8,767 12,182
Trading account assets 3,596 34,728
Other long-term investments 1,190 2,805
Payments for the purchase/origination of:    
Fixed maturities, available-for-sale (347,147) (286,467)
Short-term investments (1,609,953) (1,765,403)
Policy loans (448) (83)
Commercial mortgage and other loans (41,806) (26,316)
Trading account assets (3,163) (3,506)
Other long-term investments (4,790) (21,984)
Notes receivable from parent and affiliates, net 2,450 6,109
Other, net 24 68
Cash flows used in investing activities 188,463 546,936
CASH FLOWS USED IN FINANCING ACTIVITIES    
Affiliated asset transfers 12,439 16,396
Distribution to parent (184,000) (248,000)
Policyholders' account deposits 662,074 591,276
Policyholders' account withdrawals (1,032,196) (1,206,395)
Net change in securities sold under agreements to repurchase and cash collateral for loaned securities (1,190) (83,012)
Net increase in short-term borrowing 0 46,115
Drafts outstanding 5,192 (10,904)
Cash flows from (used in) financing activities (537,681) (894,524)
NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS (13) (4,216)
CASH AND CASH EQUIVALENTS, BEGINNING OF YEAR 266 8,861
CASH AND CASH EQUIVALENTS, END OF PERIOD $ 253 $ 4,645