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Schedule I - Summary of Investments Other-Than-Investments in Related Parties
12 Months Ended
Dec. 31, 2016
Summary of Investments, Other than Investments in Related Parties [Abstract]  
Schedule I - Summary of Investments Other-Than-Investments in Related Parties
Schedule I — Summary of Investments
Other-Than-Investments in Related Parties
 
Cost or
Amortized
 Cost
 
Fair
 Value
 
Amount at
 which shown in
 balance sheet
 
(in thousands)
Fixed maturity securities:
 
 
 
 
 
United States Government and government agencies and authorities
$
1,844

 
$
1,987

 
$
1,987

States, municipalities and political subdivisions
9,890

 
10,827

 
10,827

Foreign governments
9,286

 
11,301

 
11,301

Asset-backed
161

 
169

 
169

Commercial mortgage-backed
3,426

 
3,245

 
3,245

Residential mortgage-backed
33,731

 
36,863

 
36,863

U.S. corporate
667,024

 
793,399

 
793,399

Foreign corporate
146,104

 
170,872

 
170,872

Total fixed maturity securities
871,466

 
1,028,663

 
1,028,663

Equity securities:
 
 
 
 
 
Common stocks
92

 
447

 
447

Non-redeemable preferred stocks
85,610

 
93,170

 
93,170

Total equity securities
85,702

 
93,617

 
93,617

Commercial mortgage loans on real estate, at amortized cost
98,451

 
103,037

 
98,451

Policy loans
7,376

 
7,376

 
7,376

Short-term investments
2,714

 
2,714

 
2,714

Other investments
58,125

 
58,125

 
58,125

Total investments
$
1,123,834

 
$
1,293,532

 
$
1,288,946