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OTHER OPERATING STATEMENT DATA (Tables)
12 Months Ended
Dec. 31, 2022
Insurance [Abstract]  
Schedule of Insurance Policy Income
Insurance policy income consisted of the following (dollars in millions):
202220212020
Direct premiums collected (a)$4,619.7 $4,457.7 $4,176.0 
Reinsurance assumed
18.6 20.7 23.0 
Reinsurance ceded
(214.6)(231.3)(247.8)
Premiums collected, net of reinsurance
4,423.7 4,247.1 3,951.2 
Change in unearned premiums9.8 .9 9.2 
Less premiums on interest-sensitive life and products without mortality and morbidity risk which are recorded as additions to insurance liabilities (a)(2,123.6)(1,905.2)(1,620.1)
Premiums on traditional products with mortality or morbidity risk2,309.9 2,342.8 2,340.3 
Fees and surrender charges on interest-sensitive products189.9 180.6 171.0 
Insurance policy income$2,499.8 $2,523.4 $2,511.3 
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(a)     Excludes $899.0 million and $499.9 million in 2022 and 2021, respectively, of funds received from the issuance of funding agreements pursuant to our funding agreement-backed note ("FABN") program.
Schedule of Other Operating Cost and Expense
Other operating costs and expenses were as follows (dollars in millions):
202220212020
Commission expense$117.9 $116.4 $111.8 
Salaries and wages287.9 267.9 252.6 
Other548.8 603.0 577.6 
Total other operating costs and expenses$954.6 $987.3 $942.0 
Schedule of Changes in Deferred Acquisition Costs
Changes in deferred acquisition costs were as follows (dollars in millions):
202220212020
Balance, beginning of year$1,112.0 $1,027.8 $1,215.5 
Additions332.2 298.8 275.8 
Amortization(282.7)(252.4)(233.4)
Amounts related to changes in unrealized investment gains (losses) on fixed maturities, available for sale751.9 37.8 (230.1)
Balance, end of year$1,913.4 $1,112.0 $1,027.8 
Schedule of Changes in Present Value of Future Insurance Profits
Changes in the present value of future profits were as follows (dollars in millions):
202220212020
Balance, beginning of year$222.6 $249.4 $275.4 
Amortization(26.9)(28.7)(34.7)
Amounts related to changes in unrealized investment gains (losses) on fixed maturities, available for sale16.5 1.9 8.7 
Balance, end of year$212.2 $222.6 $249.4