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CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Millions
Dec. 31, 2019
Dec. 31, 2018
Investments    
Fixed Maturity Securities - at fair value (amortized cost: $41,079.3; $40,275.2) $ 47,443.7 $ 43,011.7
Mortgage Loans 2,397.0 2,295.0
Policy Loans 3,779.5 3,729.9
Other Long-term Investments 844.2 702.9
Short-term Investments 1,294.5 968.1
Total Investments 55,758.9 50,707.6
Other Assets    
Cash and Bank Deposits 84.1 94.0
Accounts and Premiums Receivable 1,602.9 1,615.5
Reinsurance Recoverable 4,780.7 4,662.4
Accrued Investment Income 693.0 690.6
Deferred Acquisition Costs 2,324.0 2,309.4
Goodwill 351.7 350.3
Property and Equipment 534.1 546.9
Deferred Income Tax 0.0 109.9
Other Assets 884.0 789.0
Total Assets 67,013.4 61,875.6
Liabilities    
Policy and Contract Benefits 1,745.5 1,695.7
Reserves for Future Policy and Contract Benefits 47,780.1 44,841.9
Unearned Premiums 363.9 363.3
Other Policyholders' Funds 1,599.7 1,594.8
Income Tax Payable 256.7 24.0
Deferred Income Tax 95.4 0.0
Short-term debt 399.7 0.0
Long-term Debt 2,926.9 2,971.3
Other Liabilities 1,880.5 1,762.8
Total Liabilities 57,048.4 53,253.8
Commitments and Contingent Liabilities - Note 14
Stockholders' Equity    
Common Stock, $0.10 par; authorized: 725,000,000 shares; issued: 305,813,326 and 305,104,548 shares 30.6 30.5
Additional Paid-in Capital 2,348.1 2,321.7
Accumulated Other Comprehensive Income (Loss) 37.3 (814.2)
Retained Earnings 10,728.7 9,863.1
Treasury Stock - at cost: 102,876,514 and 90,551,513 shares (3,179.7) (2,779.3)
Total Stockholders' Equity 9,965.0 8,621.8
Total Liabilities and Stockholders' Equity $ 67,013.4 $ 61,875.6