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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Millions, unless otherwise specified
9 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Cash flows from operating activities:    
Net income $ 84.1 $ 136.3
Adjustments to reconcile net income to operating cash flows:    
Depreciation of properties 92.1 65.0
Amortization of intangibles 121.5 220.6
Unamortized costs exceed ceiling limitations 81.0  
Impairment of Proved Oil and Gas Properties   0
Stock-based compensation 67.1 44.9
Amortization of debt issuance costs 14.7 10.3
Amortization of debt discount 2.2 1.1
Write-off of debt issuance costs on retired debt 6.4 15.5
Write-off of debt discount on retired debt 2.8 3.0
Deferred income taxes (1.4) 164.6
Gain on contingent purchase price reduction (0.5)   
Interest credited/index credits to contractholder account balances 585.1 320.2
Increase (Decrease) Cash Collateral from Counterparties 80.1   
Amortization of fixed maturity discounts and premiums (29.6) 24.4
Net recognized gains on investments and derivatives (341.5) (494.4)
Charges assessed to contractholders for mortality and administration (34.4) (23.9)
Deferred policy acquisition costs (172.5) (109.2)
Non-cash increase to cost of goods sold due to the sale of HHI Business acquisition inventory    31.0
Non-cash restructuring and related charges 4.0   
Changes in operating assets and liabilities: (396.8) (315.4)
Net change in cash due to operating activities 164.4 94.0
Cash flows from investing activities:    
Proceeds from investments sold, matured or repaid 4,754.5 7,396.3
Cost of investments acquired (5,929.7) (7,271.4)
Acquisitions, net of cash acquired (25.8) (2,013.7)
Asset-based loans originated, net (102.0) (251.8)
Capital expenditures (69.1) (58.8)
Proceeds from Sale of Productive Assets 9.1 0
Other investing activities, net (0.1) (0.6)
Net change in cash due to investing activities (1,363.1) (2,200.0)
Cash flows from financing activities:    
Proceeds from issuance of new debt 748.3 2,952.1
Repayment of debt, including tender and call premiums (571.9) (958.5)
Revolving credit facility activity 89.9 348.1
Debt issuance costs (11.0) (79.0)
Purchases of subsidiary stock, net (8.3) (73.9)
Contractholder account deposits 1,778.9 1,078.4
Contractholder account withdrawals (1,360.8) (1,323.7)
Dividend paid by subsidiary to noncontrolling interest (20.7) (12.1)
Dividends paid on preferred stock (20.4) (25.0)
Payments Related to Tax Withholding for Share-based Compensation (32.1) (22.4)
Proceeds from Issuance Initial Public Offering 172.6  
Payments for Repurchase of Common Stock 12.1  
Other financing activities, net 2.5   
Net change in cash due to financing activities 754.9 1,884.0
Effect of exchange rate changes on cash and cash equivalents    (5.0)
Net change in cash and cash equivalents (443.8) (227.0)
Cash and cash equivalents at beginning of period 1,899.7 1,470.7
Cash and cash equivalents at end of period $ 1,455.9 $ 1,243.7