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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2019
Sep. 30, 2018
Operating activities    
Net income $ 25,940 $ 404,193
Adjustments to reconcile net income to net cash provided by operating activities:    
Interest sensitive and index product benefits 888,062 1,355,135
Amortization of deferred sales inducements (2,675) 233,779
Annuity product charges (177,313) (164,094)
Change in fair value of embedded derivatives 1,306,163 (585,465)
Change in traditional life and accident and health insurance reserves (5,113) 2,241
Policy acquisition costs deferred (344,293) (289,131)
Amortization of deferred policy acquisition costs (45,856) 336,741
Provision for depreciation and other amortization 2,863 2,584
Amortization of discounts and premiums on investments 21,762 15,315
Realized gains (losses) on investments and net OTTI losses recognized in operations 1,381 57,951
Distributions from equity method investments 1,160 1,043
Change in fair value of derivatives (440,272) (276,688)
Deferred income taxes (14,676) (4,750)
Share-based compensation 9,402 8,444
Change in accrued investment income (28,562) (52,991)
Change in income taxes recoverable/payable (3,740) (47,997)
Change in other assets (2,009) (469)
Change in other policy funds and contract claims (16,465) (16,203)
Change in collateral held for derivatives 737,103 (335,548)
Change in collateral held for securities lending 365,592 0
Change in other liabilities 20,670 (48,663)
Other (10,844) (9,188)
Net cash provided by operating activities 2,288,280 586,239
Sales, maturities, or repayments of investments:    
Fixed maturity securities, available for sale 2,184,662 2,797,834
Mortgage loans on real estate 207,054 239,135
Derivative instruments 352,634 1,252,754
Other investments 7,887 156,536
Acquisitions of investments:    
Fixed maturity securities, available for sale (4,214,476) (5,215,295)
Mortgage loans on real estate (474,734) (465,473)
Derivative instruments (620,638) (642,849)
Other investments (344,652) (67,646)
Purchases of property, furniture and equipment (3,148) (3,510)
Net cash used in investing activities (2,905,411) (1,948,514)
Financing activities    
Receipts credited to annuity and single premium universal life policyholder account balances 4,035,051 3,255,014
Coinsurance deposits 67,858 (53,806)
Return of annuity policyholder account balances (2,626,214) (2,248,876)
Net proceeds from amounts due under repurchase agreements (60,367) 116,399
Proceeds from issuance of common stock 412 8,367
Change in checks in excess of cash balance (5,268) (19,626)
Net cash provided by financing activities 1,411,472 1,057,472
Increase (decrease) in cash and cash equivalents 794,341 (304,803)
Cash and cash equivalents at beginning of period 344,396 1,434,045
Cash and cash equivalents at end of period 1,138,737 1,129,242
Cash paid during period for interest:    
Interest expense 26,490 24,009
Cash paid during period for income taxes:    
Income taxes 28,193 148,157
Non-cash operating activity:    
Deferral of sales inducements $ 140,960 $ 135,015