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CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Dec. 31, 2011
Cash Flows from Operating Activities      
Net Income $ 858.1 $ 894.4 $ 284.2
Adjustments to Reconcile Net Income to Net Cash Provided by Operating Activities      
Change in Receivables (196.7) 40.4 37.0
Change in Deferred Acquisition Costs (47.9) (88.6) (76.8)
Impairment of Deferred Acquisition Costs 0 0 196.0
Change in Insurance Reserves and Liabilities 572.5 508.4 1,113.9
Change in Income Taxes (49.4) 168.0 (274.4)
Change in Other Accrued Liabilities 21.2 18.6 68.4
Non-cash Adjustments to Net Investment Income (211.5) (221.3) (240.6)
Net Realized Investment (Gain) Loss (6.8) (56.2) 4.9
Depreciation 84.8 84.3 81.1
Other, Net 7.2 31.6 0
Net Cash Provided by Operating Activities 1,031.5 1,379.6 1,193.7
Cash Flows from Investing Activities      
Proceeds from Sales of Fixed Maturity Securities 1,040.5 595.9 1,181.9
Proceeds from Maturities of Fixed Maturity Securities 2,146.4 2,160.5 1,692.7
Proceeds from Sales and Maturities of Other Investments 243.4 182.2 131.9
Purchase of Fixed Maturity Securities (3,553.6) (3,512.8) (2,760.1)
Purchase of Other Investments (363.7) (353.8) (304.1)
Net Sales (Purchases) of Short-term Investments 552.4 (80.1) (254.6)
Net Purchases of Property and Equipment (105.5) (105.4) (98.2)
Other, Net 0.2 0.1 0.2
Net Cash Provided by (Used in) Investing Activities (39.9) (1,113.4) (410.3)
Cash Flows from Financing Activities      
Net Short-term Debt Borrowings (Repayments) (379.3) 143.5 87.2
Issuance of Long-term Debt 0 246.4 0
Long-term Debt Repayments (116.2) (70.0) (84.4)
Issuance of Common Stock 11.4 4.9 14.8
Repurchase of Common Stock (317.2) (496.7) (619.9)
Dividends Paid to Stockholders (146.5) (133.8) (121.0)
Other, Net (27.0) 0.2 2.9
Net Cash Used by Financing Activities (974.8) (305.5) (720.4)
Net Increase (Decrease) in Cash and Bank Deposits 16.8 (39.3) 63.0
Cash and Bank Deposits at Beginning of Year 77.3 116.6 53.6
Cash and Bank Deposits at End of Year $ 94.1 $ 77.3 $ 116.6