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Fair Value Disclosures (Details 5) (USD $)
Mar. 31, 2013
Dec. 31, 2012
Mar. 31, 2012
Dec. 31, 2011
Assets        
Fixed maturity securities $ 22,401,659,000 $ 22,291,614,000    
Mortgage loans on real estate 2,325,191,000 2,300,587,000    
Policy loans 1,245,812,000 1,278,175,000    
Funds withheld at interest 5,698,594,000 5,594,182,000    
Short-term investments 180,707,000 288,082,000    
Other invested assets 1,129,651,000 1,159,543,000    
Cash and cash equivalents 1,001,841,000 1,259,892,000 873,933,000 962,870,000
Accrued Investment Income 230,269,000 201,344,000    
Reinsurance ceded receivables 602,373,000 620,901,000    
Liabilities        
Interest-sensitive contract liabilities 13,141,402,000 13,353,502,000    
Collateral finance facility 491,987,000 652,010,000    
Fair Value Inputs Level 1 Member
       
Assets        
Fixed maturity securities 598,605,000 533,349,000    
Mortgage loans on real estate 0 0    
Policy loans   0    
Funds withheld at interest   0    
Short-term investments   48,951,000    
Other invested assets   0    
Cash and cash equivalents   684,028,000    
Accrued Investment Income   0    
Liabilities        
Interest-sensitive contract liabilities   0    
Long And Short Term Debt   0    
Collateral finance facility   0    
Fair Value Inputs Level 2 Member
       
Assets        
Fixed maturity securities 19,481,405,000 19,520,344,000    
Mortgage loans on real estate 0 0    
Policy loans   1,278,175,000    
Funds withheld at interest   0    
Short-term investments   0    
Other invested assets   32,250,000    
Cash and cash equivalents   0    
Accrued Investment Income   201,344,000    
Liabilities        
Interest-sensitive contract liabilities   0    
Long And Short Term Debt   0    
Collateral finance facility   0    
Fair Value Inputs Level 3 Member
       
Assets        
Fixed maturity securities 2,321,649,000 2,237,921,000    
Mortgage loans on real estate 2,429,358,000 2,426,688,000    
Policy loans   0    
Funds withheld at interest   6,362,324,000    
Short-term investments   0    
Other invested assets   594,108,000    
Cash and cash equivalents   0    
Accrued Investment Income   0    
Liabilities        
Interest-sensitive contract liabilities   11,926,339,000    
Long And Short Term Debt   2,014,062,000    
Collateral finance facility   456,050,000    
Carrying Value [Member]
       
Assets        
Mortgage loans on real estate 2,325,191,000 2,300,587,000    
Policy loans 1,245,812,000 1,278,175,000    
Funds withheld at interest 5,851,967,000 5,837,359,000    
Short-term investments 23,426,000 48,951,000    
Other invested assets 552,420,000 596,336,000    
Cash and cash equivalents 633,965,000 684,028,000    
Accrued Investment Income 230,269,000 201,344,000    
Liabilities        
Interest-sensitive contract liabilities 11,385,069,000 11,566,962,000    
Long And Short Term Debt 1,815,392,000 1,815,253,000    
Collateral finance facility 491,987,000 652,010,000    
Estimated Fair Value [Member]
       
Assets        
Mortgage loans on real estate 2,429,358,000 2,426,688,000    
Policy loans 1,245,812,000 1,278,175,000    
Funds withheld at interest 6,363,220,000 6,362,324,000    
Short-term investments 23,426,000 48,951,000    
Other invested assets 589,979,000 626,358,000    
Cash and cash equivalents 633,965,000 684,028,000    
Accrued Investment Income 230,269,000 201,344,000    
Liabilities        
Interest-sensitive contract liabilities 11,805,623,000 11,926,339,000    
Long And Short Term Debt 2,025,511,000 2,014,062,000    
Collateral finance facility 368,625,000 456,050,000    
Estimated Fair Value [Member] | Fair Value Inputs Level 1 Member
       
Assets        
Policy loans 0      
Funds withheld at interest 0      
Short-term investments 23,426,000      
Other invested assets 0      
Cash and cash equivalents 633,965,000      
Accrued Investment Income 0      
Liabilities        
Interest-sensitive contract liabilities 0      
Long And Short Term Debt 0      
Collateral finance facility 0      
Estimated Fair Value [Member] | Fair Value Inputs Level 2 Member
       
Assets        
Policy loans 1,245,812,000      
Funds withheld at interest 0      
Short-term investments 0      
Other invested assets 32,250,000      
Cash and cash equivalents 0      
Accrued Investment Income 230,269,000      
Liabilities        
Interest-sensitive contract liabilities 0      
Long And Short Term Debt 0      
Collateral finance facility 0      
Estimated Fair Value [Member] | Fair Value Inputs Level 3 Member
       
Assets        
Policy loans 0      
Funds withheld at interest 6,363,220,000      
Short-term investments 0      
Other invested assets 557,729,000      
Cash and cash equivalents 0      
Accrued Investment Income 0      
Liabilities        
Interest-sensitive contract liabilities 11,805,623,000      
Long And Short Term Debt 2,025,511,000      
Collateral finance facility $ 368,625,000