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Fair Values of Financial Instruments (Fair Values and Carrying Amounts of Financial Instruments) (Details) - USD ($)
$ in Thousands
Mar. 31, 2022
Dec. 31, 2021
Assets    
Fixed maturity securities, available for sale, fair value $ 49,662,120 $ 51,305,943
Derivative instruments 642,413 1,277,480
Other investments 1,999,113 1,767,144
Coinsurance deposits (net of allowance for credit losses of $2,862 as of 2022 and $2,264 as of 2021) 8,713,069 8,850,608
Liabilities    
Policy benefit reserves 63,730,995 65,477,778
Other policy funds - FHLB 200,000  
Carrying Amount    
Assets    
Fixed maturity securities, available for sale, fair value 49,662,120 51,305,943
Mortgage loans on real estate 5,734,872 5,687,998
Real estate investments 510,188 337,939
Derivative instruments 642,413 1,277,480
Other investments 1,999,113 1,767,144
Cash and cash equivalents 1,933,899 4,508,982
Coinsurance deposits (net of allowance for credit losses of $2,862 as of 2022 and $2,264 as of 2021) 8,713,069 8,850,608
Liabilities    
Policy benefit reserves 63,342,037 65,076,041
Single premium immediate annuity (SPIA) benefit reserves 224,618 226,207
Other policy funds - FHLB 200,000 0
Notes payable 496,425 496,250
Subordinated debentures 78,502 78,421
Fair Value    
Assets    
Fixed maturity securities, available for sale, fair value 49,662,120 51,305,943
Mortgage loans on real estate 5,792,356 5,867,227
Real estate investments 510,188 337,939
Derivative instruments 642,413 1,277,480
Other investments 2,057,113 1,767,144
Cash and cash equivalents 1,933,899 4,508,982
Coinsurance deposits (net of allowance for credit losses of $2,862 as of 2022 and $2,264 as of 2021) 8,002,548 7,938,292
Liabilities    
Policy benefit reserves 56,478,030 56,375,076
Single premium immediate annuity (SPIA) benefit reserves 234,189 235,891
Other policy funds - FHLB 200,000 0
Notes payable 523,085 569,485
Subordinated debentures $ 80,126 $ 93,721