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Schedule 2 - Parent Company Financial Statements - Balance Sheets (Parenthetical) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Mar. 10, 2022
Feb. 15, 2022
Dec. 31, 2021
Sep. 22, 2020
Amortized cost of fixed maturities $ 7,811.8     $ 7,358.2  
Long-term Debt $ 1,195.1     1,152.1  
Senior Notes | Senior Notes, 4.35 Percent Due February 15, 2025          
Stated interest rate, percentage 4.35%        
Long-term debt, gross $ 450.0        
Senior Notes | Senior Notes, 2.400 Percent Due September 30, 2030          
Stated interest rate, percentage         2.40%
Long-term debt, gross 400.0        
Proceeds from debt, net of issuance costs 395.8        
Senior Notes | Senior Notes, 3.800 Percent Due February 23, 2032          
Stated interest rate, percentage     3.80%    
Long-term debt, gross 400.0        
Junior Debt | Senior Notes, 5.875 Percent Due March 15, 2062          
Stated interest rate, percentage   5.875%      
Parent Company          
Amortized cost of fixed maturities 122.5     0.3  
Parent Company | Senior Notes | Senior Notes, 4.35 Percent Due February 15, 2025          
Long-term Debt $ 438.5     481.4  
Stated interest rate, percentage 4.35%        
Parent Company | Senior Notes | Senior Notes, 2.400 Percent Due September 30, 2030          
Long-term Debt $ 310.3     387.8  
Stated interest rate, percentage 2.40%        
Parent Company | Senior Notes | Senior Notes, 3.800 Percent Due February 23, 2032          
Long-term Debt $ 336.2     0.0  
Stated interest rate, percentage 3.80%        
Parent Company | Junior Debt | Senior Notes, 5.875 Percent Due March 15, 2062          
Long-term Debt $ 110.1     $ 0.0  
Stated interest rate, percentage 5.875%