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Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
3 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Cash flow from operating activities:    
Net earnings $ 132,422 $ 127,849
Adjustments to reconcile net earnings to cash provided by operations:    
Depreciation 157,278 142,722
Amortization of deferred policy acquisition costs 6,064 6,031
Amortization of premiums and accretion of discounts related to investments, net 3,275 3,219
Amortization of debt issuance costs 1,053 984
Interest credited to policyholders 14,218 8,060
Change in allowance for losses on trade receivables (162) 38
Change in allowance for inventory reserves 367 2,139
Net gain on sale of real and personal property (16,678) (16,295)
Net losses on disposal of real estate (1,622) 0
Net (gain) loss on sale of investments (4,267) 506
Net losses on equity investments (2,215) 1,176
Deferred income tax 29,763 37,574
Net change in other operating assets and liabilities:    
Reinsurance recoverables and trade receivables (18,215) (14,543)
Inventories 2,110 (7,170)
Prepaid expenses (15,720) (17,999)
Capitalization of deferred policy acquisition costs (5,090) (5,808)
Other assets 3,337 (761)
Related party assets (1,364) 2,205
Accounts payable and accrued expenses 89,716 86,430
Policy benefits and losses, claims and loss expenses payable 2,318 5,291
Other policyholders' funds and liabilities (5,281) (184)
Deferred income 8,527 7,732
Related party liabilities 1,092 474
Net cash provided by operating activities 380,926 369,670
Cash flow from investing activities:    
Escrow deposits 1,968 (4,559)
Purchase of:    
Property, plant and equipment (847,248) (548,147)
Short term investments (8,689) (14,390)
Fixed maturity investments (76,515) (103,121)
Equity securities 0 (46)
Preferred stock 0 (81)
Real estate (328) (80)
Mortgage loans (9,410) (8,262)
Proceeds from sale of:    
Property, plant and equipment 160,754 187,546
Short term investments 6,982 20,416
Fixed maturity investments 38,258 14,645
Preferred stock 0 500
Real estate 311  
Mortgage loans 1,678 9,402
Net cash used by investing activities (732,239) (446,177)
Cash flow from financing activities:    
Borrowings from credit facilities 333,700 103,641
Principal repayments on credit facilities (61,104) (73,770)
Payment of debt issuance costs (5) (1,420)
Capital lease payments (94,446) (84,374)
Employee stock ownership plan shares (131) (57)
Securitization deposits 0  
Common stock dividends paid (9,796) (9,795)
Investment contract deposits 61,515 76,343
Investment contract withdrawals (37,054) (38,763)
Net cash provided by (used in) financing activities 192,679 (28,195)
Effects of exchange rate on cash 4,764 (4,275)
Increase (decrease) in cash and cash equivalents (153,870) (108,977)
Cash and cash equivalents at the beginning of period 673,701 759,388
Cash and cash equivalents at the end of the period $ 519,831 $ 650,411