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Schedule I - Summary of Investments, Other Than Investments in Related Parties Schedule I - Summary of Investments, Other Than Investments in Related Parties
12 Months Ended
Dec. 31, 2019
SEC Schedule, 12-15, Insurance Companies, Summary of Investments, Other than Investments in Related Parties [Abstract]  
Summary of Investments, Other Than Investments in Related Parties
SCHEDULE I--SUMMARY OF INVESTMENTS -
OTHER THAN INVESTMENTS IN RELATED PARTIES
as of December 31, 2019
Unum Group and Subsidiaries

Type of Investment
Cost or Amortized Cost (1)
Fair ValueAmount shown on the balance sheet
(in millions of dollars)
Fixed Maturity Securities:
   Bonds
      United States Government and Government Agencies and Authorities$1,246.1  $1,401.7  $1,401.7  
      States, Municipalities, and Political Subdivisions2,863.1  3,363.4  3,363.4  
      Foreign Governments843.5  1,017.7  1,017.7  
      Public Utilities6,436.7  7,732.2  7,732.2  
      Mortgage/Asset-Backed Securities1,377.8  1,478.7  1,478.7  
      All Other Corporate Bonds28,273.1  32,410.4  32,410.4  
   Redeemable Preferred Stocks39.0  39.6  39.6  
              Total Fixed Maturity Securities41,079.3  $47,443.7  47,443.7  
Mortgage Loans2,397.0  2,397.0  
Policy Loans3,779.5  3,779.5  
Other Long-term Investments
      Derivatives—  27.5  (2) 
      Equity Securities32.6  32.6  
      Miscellaneous Long-term Investments748.8  784.1  (3) 
Short-term Investments1,294.5  1,294.5  
Total Investments$49,331.7  $55,758.9  

(1)The amortized cost for fixed maturity securities and mortgage loans represents original cost reduced by repayments, write-downs from other-than-temporary declines in fair value, amortization of premiums, and/or accretion of discounts.

(2)Derivatives are carried at fair value.
(3)The difference between amortized cost and carrying value primarily results from changes in the partnership owner's equity since acquisition.