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CONSOLIDATED STATEMENT OF CASH FLOWS - USD ($)
$ in Millions
9 Months Ended
Sep. 30, 2025
Sep. 30, 2024
Cash flows from operating activities:    
Insurance policy income $ 1,781.0 $ 1,749.3
Net investment income 1,120.4 1,032.5
Fee revenue and other income 134.6 123.9
Insurance policy benefits (1,228.8) (1,215.3)
Interest expense (159.3) (167.9)
Deferrable policy acquisition costs (377.8) (327.4)
Other operating costs (780.6) (706.1)
Income taxes (9.5) (52.3)
Net cash provided by operating activities 480.0 436.7
Cash flows from investing activities:    
Sales of investments 2,315.4 2,549.3
Maturities and redemptions of investments 2,209.5 1,492.0
Purchases of investments (5,292.3) (5,381.9)
Net sales of trading securities 0.0 9.4
Other 0.9 (6.2)
Net cash used by investing activities (766.5) (1,337.4)
Cash flows from financing activities:    
Issuance of notes payable, net 0.0 691.0
Payments on notes payable (500.0) 0.0
Issuance of common stock 9.6 8.1
Payments to repurchase common stock (271.2) (208.5)
Common stock dividends paid (50.0) (51.3)
Payments on financing arrangements (11.4) (10.7)
Amounts received for deposit products 2,189.5 2,855.9
Withdrawals from deposit products (1,866.6) (1,492.7)
Issuance of investment borrowings:    
Federal Home Loan Bank 776.8 304.5
Payments on investment borrowings:    
Federal Home Loan Bank (523.7) (304.9)
Related to variable interest entities (222.6) (534.4)
Net cash provided (used) by financing activities (469.6) 1,257.0
Net increase (decrease) in cash and cash equivalents (756.1) 356.3
Cash and cash equivalents - unrestricted and including held by variable interest entities, beginning of period 1,997.7 889.0
Cash and cash equivalents - unrestricted and including held by variable interest entities, end of period $ 1,241.6 $ 1,245.3