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Supplemental Consolidated Cash and Cash Flow Information
12 Months Ended
Dec. 31, 2021
Supplemental Cash Flow Elements [Abstract]  
Supplemental Consolidated Cash and Cash Flow Information
($ in millions)Years Ended December 31,
202120202019
Cash$133.0 $21.8 $25.2 
Restricted cash0.7 0.5 0.3 
Total cash and restricted cash shown in the Consolidated Statements of
Cash Flows
$133.7 $22.3 $25.5 

Cash paid during the year for:
Interest
$13.5 $15.5 $14.1 
Income taxes
23.7 17.3 22.9 

Non-cash investing activities include $2.1 billion of investments transferred to a reinsurer as consideration paid in connection with a reinsurance transaction of a $2.9 billion block of in force fixed and variable annuity business in 2019. See Note 6 for further information.
Non-cash investing activities with respect to modifications or exchanges of fixed maturity securities as well as paid-in-kind activity for policy loans were insignificant for the years ended December 31, 2021, 2020 and 2019, respectively.