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Debt (Tables)
6 Months Ended
Jun. 30, 2024
Debt Disclosure [Abstract]  
Schedule of Selected Information about Debt Issues
The following table presents information about the terms and outstanding balances of Globe Life's debt.
 
Selected Information about Debt Issues
As of
June 30,
2024
December 31,
2023
InstrumentIssue DateMaturity Date Coupon Rate Par
Value
Unamortized Discount & Issuance CostsBook
Value
Fair
Value
Book
Value
Senior notes09/27/201809/15/20284.550%$550,000 $(3,359)$546,641 $522,121 $546,283 
Senior notes08/21/202008/15/20302.150%400,000 (3,099)396,901 320,552 396,670 
Senior notes(1)
05/19/202206/15/20324.800%250,000 (3,928)246,072 229,785 245,873 
Junior subordinated debentures11/17/201711/17/20575.275%125,000 (1,565)123,435 109,258 123,427 
Junior subordinated debentures06/14/202106/15/20614.250%325,000 (7,653)317,347 194,480 317,306 
Total long-term debt
1,650,000 (19,604)1,630,396 1,376,196 1,629,559 
Term loan(2)
05/11/202311/11/20246.420%170,000 (196)169,804 169,804 169,549 
FHLB borrowings180,000 — 180,000 180,000 — 
Commercial paper313,225 (8,423)304,802 304,802 316,564 
Total short-term debt
663,225 (8,619)654,606 654,606 486,113 
Total debt
$2,313,225 $(28,223)$2,285,002 $2,030,802 $2,115,672 
(1)An additional $150 million par value and book value is held by insurance subsidiaries that eliminates in consolidation.
(2)Interest calculated quarterly using Secured Overnight Financing Rate (SOFR) plus 135 basis points.
The following tables present certain information about our commercial paper borrowings.

Credit Facility—Commercial Paper
(Dollar amounts in thousands)

At
June 30,
2024
December 31, 2023June 30,
2023
Balance of commercial paper at end of period (par value)$313,225 $319,000 $260,000 
Annualized interest rate6.02 %5.71 %5.57 %
Letters of credit outstanding$115,000 $115,000 $115,000 
Remaining amount available under credit line571,775 316,000 375,000 

Credit Facility—Commercial Paper Activity
(Dollar amounts in thousands)
 Six Months Ended June 30,
 20242023
Average balance of commercial paper outstanding during period (par value)$392,905 $313,259 
Daily-weighted average interest rate (annualized)5.76 %5.21 %
Maximum daily amount outstanding during period (par value)$633,425 $477,700 
Commercial paper issued during period (par value)
997,492 1,055,000 
Commercial paper matured during period (par value)(1,003,267)(1,080,000)
Net commercial paper issued (matured) during period (par value)
(5,775)(25,000)