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FAIR VALUE OF FINANCIAL INSTRUMENTS (Details 4) (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2013
Dec. 31, 2012
Assets:    
Mortgage loans on real estate $ 4,835,917 $ 4,950,201
Policy loans 862,202 865,391
Liabilities:    
Stable value product account balances 2,544,609 2,510,559
Annuity account balances 10,524,393 10,658,463
Debt:    
Non-recourse funding obligations 596,000 586,000
Golden Gate V
   
Debt:    
Non-recourse funding obligations 315,000  
Carrying Amounts
   
Assets:    
Mortgage loans on real estate 4,835,917 4,950,201
Policy loans 862,202 865,391
Liabilities:    
Stable value product account balances 2,544,609 2,510,559
Annuity account balances 10,524,393 10,658,463
Debt:    
Bank borrowings 40,000 50,000
Senior and Medium-Term Notes 1,350,000 1,350,000
Subordinated debt securities 540,593 540,593
Non-recourse funding obligations 596,000 586,000
Carrying Amounts | Fixed maturities
   
Assets:    
Fixed maturities, held-to-maturity 315,000 300,000
Carrying Amounts | Golden Gate V
   
Debt:    
Non-recourse funding obligations 315,000 300,000
Fair Values
   
Assets:    
Mortgage loans on real estate 5,560,488 5,725,382
Policy loans 862,202 865,391
Liabilities:    
Stable value product account balances 2,572,367 2,534,094
Annuity account balances 10,142,020 10,525,702
Debt:    
Bank borrowings 40,000 50,000
Senior and Medium-Term Notes 1,586,286 1,584,438
Subordinated debt securities 560,833 556,524
Non-recourse funding obligations 561,299 481,056
Fair Values | Fixed maturities
   
Assets:    
Fixed maturities, held-to-maturity 334,579 319,163
Fair Values | Golden Gate V
   
Debt:    
Non-recourse funding obligations $ 359,600 $ 297,600