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Fair Values of Financial Instruments (Fair Values and Carrying Amounts of Financial Instruments) (Details) - USD ($)
$ in Thousands
Mar. 31, 2021
Dec. 31, 2020
Assets    
Fixed maturity securities, available for sale, fair value $ 45,690,341 $ 47,538,893
Derivative instruments 1,509,892 1,310,954
Other investments 908,437 590,078
Coinsurance deposits (net of allowance for credit losses of $2,032 as of 2021 and $1,888 as of 2020) 4,646,406 4,844,927
Liabilities    
Policy benefit reserves 63,519,546 62,352,882
Carrying Amount    
Assets    
Fixed maturity securities, available for sale, fair value 45,690,341 47,538,893
Mortgage loans on real estate 4,290,602 4,165,489
Derivative instruments 1,509,892 1,310,954
Other investments 908,437 590,078
Cash and cash equivalents 11,087,125 9,095,522
Coinsurance deposits (net of allowance for credit losses of $2,032 as of 2021 and $1,888 as of 2020) 4,646,406 4,844,927
Liabilities    
Policy benefit reserves 62,755,460 61,406,599
Single premium immediate annuity (SPIA) benefit reserves 233,628 240,226
Notes payable 495,811 495,668
Subordinated debentures 78,187 78,112
Fair Value    
Assets    
Fixed maturity securities, available for sale, fair value 45,690,341 47,538,893
Mortgage loans on real estate 4,400,228 4,327,885
Derivative instruments 1,509,892 1,310,954
Other investments 908,437 590,078
Cash and cash equivalents 11,087,125 9,095,522
Coinsurance deposits (net of allowance for credit losses of $2,032 as of 2021 and $1,888 as of 2020) 4,265,420 4,411,051
Liabilities    
Policy benefit reserves 54,495,993 52,928,174
Single premium immediate annuity (SPIA) benefit reserves 240,883 247,679
Notes payable 555,150 567,345
Subordinated debentures $ 81,039 $ 87,951