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Consolidated Statements Of Cash Flows (USD $)
In Thousands
6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Cash flows-operating activities    
Premiums collected $ 328,356 $ 331,793
Policyholder benefits paid (274,337) (230,611)
Policy acquisition and other operating expenses paid (125,321) (121,369)
Federal income taxes paid (4,130) (13,468)
Investment income collected 135,894 133,750
Interest expense paid (6,784) (6,774)
Other (3,027) 735
Net cash provided by operating activities 50,651 94,056
Cash flows-investing activities    
Purchases (688,483) (735,773)
Sales 211,284 362,594
Maturities, paydowns, calls and redemptions 207,391 145,605
Net cash provided by short-term and other investments 174,270 99,078
Net cash used in investing activities (95,538) (128,496)
Cash flows-financing activities    
Dividends paid to shareholders (9,094) (6,519)
Exercise of stock options 2,127 240
Annuity contracts, variable and fixed    
Deposits 188,770 170,104
Benefits, withdrawals and net transfers to Separate Account (variable annuity) assets (113,693) (124,727)
Life policy accounts    
Deposits 917 886
Withdrawals and surrenders (2,560) (1,185)
Change in bank overdrafts 10,813 3,299
Net cash provided by financing activities 77,280 42,098
Net increase in cash 32,393 7,658
Cash at beginning of period 5,928 7,848
Cash at end of period $ 38,321 $ 15,506