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Investment Securities (Details 9) (USD $)
In Millions, unless otherwise specified
6 Months Ended
Jun. 30, 2012
Jun. 30, 2011
Dec. 31, 2011
Dec. 31, 2010
Investment securities        
Investments reclassified to assets held for sale     $ 111.8  
AutoOne
       
Investment securities        
Investments reclassified to assets held for sale     111.8  
Level 1 Inputs
       
Investment securities        
Fair value investments 1,769.9 1,667.8 1,879.1 1,894.4
Total realized and unrealized gains (losses) 0 10.6    
Foreign currency gains (losses) through OCI 6.5 17.9    
Amortization/Accretion (0.2) 2.3    
Purchases 4,559.3 4,058.3    
Sales (4,674.8) (4,315.7)    
Transfers in 0 0    
Transfers out 0 0    
Level 2 Inputs
       
Investment securities        
Fair value investments 5,006.4 5,330.6 6,088.2 5,477.4
Total realized and unrealized gains (losses) 45.4 14.0    
Foreign currency gains (losses) through OCI (11.1) 90.5    
Amortization/Accretion (23.3) (27.8)    
Purchases 2,758.6 2,796.9    
Sales (3,872.4) (3,076.9)    
Transfers in 21.0 57.5    
Transfers out 0 1.0    
Securities of level 3 measurements recategorized as level 2 measurements 21.0 57.5    
Level 3 Inputs
       
Investment securities        
Fair value investments       0
Total realized and unrealized gains (losses)   0    
Foreign currency gains (losses) through OCI   0    
Amortization/Accretion   0    
Purchases   0    
Sales   0    
Fair Value
       
Investment securities        
Fair value investments 7,190.3 [1] 7,493.9 [1] 8,346.8 [1],[2] 7,901.6 [1]
Total realized and unrealized gains (losses) 50.5 33.6    
Foreign currency gains (losses) through OCI (5.2) 116.2    
Amortization/Accretion (24.3) (25.5)    
Purchases 7,479.0 6,937.6    
Sales (8,656.5) (7,469.6)    
Transfers in 21.0 58.5    
Transfers out 21.0 58.5    
Fixed maturity investments.
       
Investment securities        
Difference in value between securities determined using the industry standard pricing models and securities based upon quoted prices provided by a third party   0.8    
Fixed maturity investments. | Level 3 Inputs
       
Investment securities        
Fair value investments 119.7 123.0 78.9 128.4
Total realized and unrealized gains (losses) 7.4 (1.6)    
Foreign currency gains (losses) through OCI 0.7 0    
Amortization/Accretion (0.8) 0    
Purchases 138.8 52.7    
Sales (84.3) 0    
Transfers in 0 1.0    
Transfers out 21.0 57.5    
Common equity securities | Level 3 Inputs
       
Investment securities        
Fair value investments 35.8 74.5 32.3 71.2
Total realized and unrealized gains (losses) 1.0 (1.6)    
Foreign currency gains (losses) through OCI 0 1.0    
Amortization/Accretion 0 0    
Purchases 2.5 3.9    
Sales 0 0    
Transfers in 0 0    
Transfers out 0 0    
Convertible Debt Securities [Member] | Level 3 Inputs
       
Investment securities        
Fair value investments 0 0 0  
Total realized and unrealized gains (losses) 0      
Foreign currency gains (losses) through OCI 0      
Amortization/Accretion 0      
Purchases 0      
Sales 0      
Transfers in 0 0    
Transfers out 0 0    
Other long-term investments | Level 3 Inputs
       
Investment securities        
Fair value investments 258.5 [1] 298.0 [1] 268.3 [1] 330.2 [1]
Total realized and unrealized gains (losses) (3.3) 12.2    
Foreign currency gains (losses) through OCI (1.3) 6.8    
Amortization/Accretion 0 0    
Purchases 19.8 25.8    
Sales (25.0) (77.0)    
Transfers in    0    
Transfers out    0    
Fair value measured on a recurring basis | Level 1 Inputs
       
Investment securities        
Fair value investments 1,769.9   1,879.1  
Fair value measured on a recurring basis | Level 2 Inputs
       
Investment securities        
Fair value investments 5,006.4   6,088.2  
Fair value measured on a recurring basis | Level 3 Inputs
       
Investment securities        
Fair value investments 414.0   379.5  
Fair value measured on a recurring basis | Fair Value
       
Investment securities        
Fair value investments 7,190.3   8,346.8  
Fair value measured on a recurring basis | Fixed maturity investments. | Level 1 Inputs
       
Investment securities        
Fair value investments 321.6   365.7 [3]  
Fair value measured on a recurring basis | Fixed maturity investments. | Level 2 Inputs
       
Investment securities        
Fair value investments 4,807.4   5,889.1 [3]  
Fair value measured on a recurring basis | Fixed maturity investments. | Level 3 Inputs
       
Investment securities        
Fair value investments 119.7   78.9 [3]  
Fair value measured on a recurring basis | Fixed maturity investments. | Fair Value
       
Investment securities        
Fair value investments 5,248.7   6,333.7 [3]  
Fair value measured on a recurring basis | Convertible Debt Securities [Member] | Level 1 Inputs
       
Investment securities        
Fair value investments 0   0  
Fair value measured on a recurring basis | Convertible Debt Securities [Member] | Level 2 Inputs
       
Investment securities        
Fair value investments 145.5   143.8  
Fair value measured on a recurring basis | Convertible Debt Securities [Member] | Level 3 Inputs
       
Investment securities        
Fair value investments 0   0  
Fair value measured on a recurring basis | Convertible Debt Securities [Member] | Fair Value
       
Investment securities        
Fair value investments 145.5   143.8  
Fair value measured on a recurring basis | Other long-term investments | Level 1 Inputs
       
Investment securities        
Fair value investments 0 [3]   0 [2]  
Fair value measured on a recurring basis | Other long-term investments | Level 2 Inputs
       
Investment securities        
Fair value investments 0 [3]   0 [2]  
Fair value measured on a recurring basis | Other long-term investments | Level 3 Inputs
       
Investment securities        
Fair value investments 258.5 [3]   268.3 [2]  
Carrying value of investment accounted for using the equity method 34.0 35.3 33.0 41.9
Fair value measured on a recurring basis | Other long-term investments | Fair Value
       
Investment securities        
Fair value investments $ 258.5 [3]   $ 268.3 [2]  
[1] (1) Excludes carrying value of $33.0 and $34.0 at January 1, 2012 and June 30, 2012 associated with other long-term investments accounted for using the equity method.
[2] (2) Carrying value includes $111.8 that is classified as assets held for sale relating to AutoOne discontinued operations.
[3] (1) Excludes carrying value of $34.0 associated with other long-term investment limited partnerships accounted for using the equity method.