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FAIR VALUE OF FINANCIAL INSTRUMENTS (Details 4) - Successor - USD ($)
$ in Thousands
Jun. 30, 2016
Dec. 31, 2015
Assets:    
Mortgage loans on real estate $ 5,748,675 $ 5,662,812
Policy loans 1,670,218 1,699,508
Fixed maturities, held-to-maturity 2,779,280 593,314
Liabilities:    
Stable value product account balances 2,838,674 2,131,822
Annuity account balances 10,678,701 10,719,862
Debt:    
Subordinated debt securities 445,023 448,763
Non-recourse funding obligations 2,863,409 685,684
Golden Gate V    
Debt:    
Non-recourse funding obligations 598,863  
Carrying Amounts | Golden Gate V    
Debt:    
Non-recourse funding obligations 2,751,900 500,000
Fair Values | Golden Gate V    
Debt:    
Non-recourse funding obligations 2,828,500 495,500
Level 3 | Carrying Amounts    
Assets:    
Mortgage loans on real estate 5,748,675 5,662,812
Policy loans 1,670,218 1,699,508
Liabilities:    
Stable value product account balances 2,838,674 2,131,822
Annuity account balances 10,678,701 10,719,862
Debt:    
Bank borrowings 360,000 485,000
Non-recourse funding obligations 2,863,409 685,684
Level 3 | Carrying Amounts | Fixed maturities    
Assets:    
Fixed maturities, held-to-maturity 2,779,280 593,314
Level 3 | Fair Values    
Assets:    
Mortgage loans on real estate 5,735,650 5,529,803
Policy loans 1,670,218 1,699,508
Liabilities:    
Stable value product account balances 2,855,064 2,124,712
Annuity account balances 10,221,680 10,274,571
Debt:    
Bank borrowings 360,000 485,000
Non-recourse funding obligations 2,938,559 614,380
Level 3 | Fair Values | Fixed maturities    
Assets:    
Fixed maturities, held-to-maturity 2,853,788 515,000
Level 2 | Carrying Amounts    
Debt:    
Senior Notes 1,037,236 1,103,806
Subordinated debt securities 445,023 448,763
Level 2 | Fair Values    
Debt:    
Senior Notes 996,213 1,020,025
Subordinated debt securities $ 466,385 $ 457,275